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Holdings (Monthly) Guide ↗

First Trust Rising Dividend Achievers ETF

· First Trust Exchange-Traded Fund VI
Monthly Holdings $19.9B AUM 74 positions Period Mar 2026 Filed May 21, 2026 EDGAR ↗ ← All Funds
# Name Ticker Since Shares Value % Port Cat
1 Lam Research Corporation LRCX Mar 2026 3,116,083 $665.8M 3.35% EC
2 Applied Materials Inc. AMAT Mar 2026 1,824,350 $623.5M 3.14% EC
3 KLA Corp. KLAC Mar 2026 377,914 $556.4M 2.80% EC
4 GE Vernova Inc. GEV Mar 2026 626,345 $546.7M 2.75% EC
5 Ross Stores Inc ROST Mar 2026 2,344,600 $507.9M 2.56% EC
6 Baker Hughes Company BKR Mar 2026 8,045,734 $491.2M 2.47% EC
7 Alphabet Inc. GOOGL Mar 2026 1,601,889 $460.6M 2.32% EC
8 The Bank of New York Mellon Corp. BK Mar 2026 3,656,424 $433.8M 2.18% EC
9 Mueller Industries Inc. MLI Jun 2023 3,909,000 $433.1M 2.18% EC
10 Chubb Ltd. Switzerland CB Mar 2026 1,283,990 $418.5M 2.11% EC
11 PNC Financial Services Group Inc. PNC Jun 2023 1,978,388 $411.7M 2.07% EC
12 Snap-On Incorporated SNA Jun 2023 1,130,281 $410.5M 2.07% EC
13 NVIDIA Corp. NVDA Mar 2026 2,347,784 $409.5M 2.06% EC
14 Travelers Companies, Inc. TRV Mar 2026 1,347,317 $393.0M 1.98% EC
15 The Hartford Insurance Group Inc. HIG Mar 2026 2,863,992 $387.3M 1.95% EC
16 JPMorgan Chase & Co. JPM Jun 2023 1,314,092 $386.6M 1.95% EC
17 Monolithic Power Systems Inc. MPWR Mar 2026 353,372 $386.4M 1.95% EC
18 Williams-Sonoma Inc. WSM Mar 2026 2,109,812 $384.7M 1.94% EC
19 The Allstate Corporation ALL Mar 2026 1,840,716 $381.7M 1.92% EC
20 GE Aerospace GE Mar 2026 1,341,292 $380.6M 1.92% EC
21 PULTEGROUP INC PHM Mar 2026 3,160,443 $371.7M 1.87% EC
22 American Express Company AXP Jun 2023 1,196,386 $361.9M 1.82% EC
23 Visa Inc V Jun 2023 1,135,478 $343.2M 1.73% EC
24 Meta Platforms Inc META Mar 2026 579,560 $331.6M 1.67% EC
25 Booking Holdings Inc BKNG Mar 2026 77,854 $327.8M 1.65% EC
26 Paccar Inc PCAR Mar 2026 2,829,826 $326.8M 1.65% EC
27 State Street Corp. STT Mar 2026 2,574,148 $325.8M 1.64% EC
28 Microsoft Corp. MSFT Jun 2023 847,150 $313.6M 1.58% EC
29 Costco Wholesale Corporation COST Mar 2026 313,800 $312.7M 1.57% EC
30 Salesforce Inc. CRM Mar 2026 1,671,555 $312.0M 1.57% EC
31 Accenture PLC ACN Mar 2026 1,542,939 $305.9M 1.54% EC
32 East West Bancorp Inc EWBC Mar 2026 2,799,128 $298.8M 1.51% EC
33 Automatic Data Processing, Inc. ADP Mar 2026 1,461,437 $296.9M 1.50% EC
34 Bank of America Corp. BAC Jun 2023 5,836,856 $284.5M 1.43% EC
35 Ameriprise Financial, Inc. AMP Mar 2026 626,902 $278.6M 1.40% EC
36 Synchrony Financial SYF Jun 2023 4,052,114 $275.6M 1.39% EC
37 Coca-Cola Consolidated Inc COKE Mar 2026 1,422,599 $272.8M 1.37% EC
38 MasterCard Incorporated MA Jun 2023 543,801 $271.7M 1.37% EC
39 Veralto Corp. VLTO Mar 2026 2,957,706 $261.5M 1.32% EC
40 Cognizant Technology Solutions Corp. CTSH Jun 2023 4,007,435 $245.9M 1.24% EC
41 The Progressive Corporation PGR Mar 2026 1,128,718 $223.8M 1.13% EC
42 Abbott Laboratories ABT Jun 2023 2,146,549 $220.4M 1.11% EC
43 Dover Corporation DOV Mar 2026 1,035,574 $215.9M 1.09% EC
44 U.S. Bancorp. USB Mar 2026 3,969,970 $206.5M 1.04% EC
45 Ingredion Incorporated INGR Mar 2026 1,828,425 $206.0M 1.04% EC
46 Apple Inc. AAPL Mar 2026 802,156 $203.6M 1.03% EC
47 eBay Inc. EBAY Mar 2026 2,234,078 $203.3M 1.02% EC
48 Expedia Group Inc EXPE Mar 2026 879,481 $203.1M 1.02% EC
49 Regions Financial Corporation RF Jun 2023 7,721,729 $201.7M 1.02% EC
50 Cincinnati Financial Corporation CINF Mar 2026 1,239,763 $195.1M 0.98% EC
51 Unum Group UNM Mar 2026 2,418,255 $176.6M 0.89% EC
52 Raymond James Financial Inc. RJF Mar 2026 1,150,599 $166.6M 0.84% EC
53 ResMed Inc. RMD Mar 2026 737,411 $165.5M 0.83% EC
54 Elevance Health Inc. ELV Jun 2023 554,630 $162.4M 0.82% EC
55 Johnson & Johnson JNJ Mar 2026 562,836 $137.6M 0.69% EC
56 AECOM ACM Mar 2026 1,549,921 $131.5M 0.66% EC
57 Electronic Arts Inc. EA Mar 2026 607,572 $123.9M 0.62% EC
58 Old Dominion Freight Line Inc. ODFL Mar 2026 545,407 $106.6M 0.54% EC
59 Mckesson Corp. MCK Mar 2026 121,414 $105.1M 0.53% EC
60 Regeneron Pharmaceuticals, Inc. REGN Mar 2026 133,885 $103.4M 0.52% EC
61 The Charles Schwab Corporation SCHW Mar 2026 1,099,305 $103.3M 0.52% EC
62 Paypal Holdings Inc. PYPL Mar 2026 2,264,744 $102.4M 0.52% EC
63 Wells Fargo & Co. WFC Mar 2026 1,284,887 $102.3M 0.52% EC
64 Aflac Incorporated AFL Jun 2023 926,714 $101.7M 0.51% EC
65 Allison Transmission Holdings Inc ALSN Mar 2026 835,234 $97.8M 0.49% EC
66 Ralph Lauren Corp. RL Mar 2026 274,446 $94.4M 0.48% EC
67 Fox Corporation FOXA Mar 2026 1,578,739 $92.2M 0.46% EC
68 Amphenol Corporation APH Mar 2026 716,509 $90.5M 0.46% EC
69 Micron Technology Inc. MU Jun 2023 253,793 $85.7M 0.43% EC
70 Blackrock Inc. BLK Mar 2026 89,144 $85.7M 0.43% EC
71 MetLife Inc. MET Mar 2026 1,158,445 $81.9M 0.41% EC
72 QUALCOMM Inc. QCOM Mar 2026 601,630 $77.5M 0.39% EC
73 Lennar Corp. LEN Jun 2023 823,510 $71.5M 0.36% EC
74 Dreyfus Government Cash Management Funds MISXX Mar 2026 10,760,440 $10.8M 0.05% STIV