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First Trust Advisors

First Trust Advisors Portfolio holdings

AUM $170B
1-Year Est. Return 46.21%
This Fund
S&P 500
This Quarter Est. Return
+2.29%
1 Year Est. Return
+46.21%
3 Year Est. Return
+117.8%
5 Year Est. Return
+135.17%
10 Year Est. Return
+586.77%
AUM
$15.4B
AUM Growth
Cap. Flow
+$15.4B
Cap. Flow %
100.23%
Top 10 Hldgs %
6.7%
Holding
2,200
New
2,200
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

Rank Sector Weight
1 Energy 16.34%
2 Healthcare 11.78%
3 Technology 10.48%
4 Consumer Discretionary 10.4%
5 Industrials 8.41%
Name Market Value Portfolio Weight Shares or Principal Change
in Stake
Capital Flow
SLB icon
1401
SLB Ltd
SLB
$84.7B
$1.13M 0.01%
+15,776
New +$1.17M
AF
1402
DELISTED
Astoria Financial Corporation
AF
$1.13M 0.01%
+104,905
New +$1.04M
BC icon
1403
Brunswick
BC
$4.6B
$1.13M 0.01%
+35,361
New +$1.15M
FR icon
1404
First Industrial Realty Trust
FR
$8.08B
$1.12M 0.01%
+74,081
New +$1.26M
JPC icon
1405
Nuveen Preferred & Income Opportunities Fund
JPC
$2.69B
$1.11M 0.01%
+116,550
New +$1.18M
TYPE
1406
DELISTED
Monotype Imaging Holdings Inc.
TYPE
$1.11M 0.01%
+43,813
New +$1.02M
MNP
1407
DELISTED
Western Asset Municipal Partners Fund, Inc.
MNP
$1.11M 0.01%
+74,514
New +$1.2M
TUES
1408
DELISTED
Tuesday Morning Corp
TUES
$1.11M 0.01%
+106,859
New +$919K
SFNC icon
1409
Simmons First National
SFNC
$3.31B
$1.1M 0.01%
+84,652
New +$1.07M
CYT
1410
DELISTED
CYTEC INDS INC
CYT
$1.1M 0.01%
+30,030
New +$1.1M
SINA
1411
DELISTED
Sina Corp
SINA
$1.09M 0.01%
+19,620
New +$1.07M
AEGN
1412
DELISTED
Aegion Corp
AEGN
$1.09M 0.01%
+48,438
New +$1.07M
DCOM
1413
DELISTED
Dime Community Bancshares
DCOM
$1.09M 0.01%
+71,138
New +$1.03M
MOG.A icon
1414
Moog Inc Class A
MOG.A
$11.6B
$1.09M 0.01%
+21,073
New +$1.02M
KRG icon
1415
Kite Realty
KRG
$5.22B
$1.08M 0.01%
+44,975
New +$1.14M
NSIT icon
1416
Insight Enterprises
NSIT
$4.58B
$1.08M 0.01%
+61,083
New +$1.14M
HSNI
1417
DELISTED
HSN, Inc.
HSNI
$1.08M 0.01%
+20,158
New +$1.1M
DGII icon
1418
Digi International
DGII
$2.62B
$1.08M 0.01%
+115,172
New +$1.07M
GCO icon
1419
Genesco
GCO
$381M
$1.08M 0.01%
+16,072
New +$1.03M
TCOM icon
1420
Trip.com Group
TCOM
$24.7B
$1.07M 0.01%
+65,678
New +$898K
BTT icon
1421
BlackRock Municipal 2030 Target Term Trust
BTT
$1.43B
$1.07M 0.01%
+54,989
New +$1.21M
CMTL icon
1422
Comtech Telecommunications
CMTL
$45.8M
$1.07M 0.01%
+39,779
New +$1.01M
UNS
1423
DELISTED
UNS ENERGY CORP COM
UNS
$1.06M 0.01%
+23,726
New +$1.14M
CBEY
1424
DELISTED
CBEYOND INC COM STK
CBEY
$1.06M 0.01%
+135,312
New +$1.13M
CLD
1425
DELISTED
Cloud Peak Energy Inc
CLD
$1.06M 0.01%
+64,285
New +$1.19M

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First Trust Advisors's Q2 2013 Portfolio in Review

Q2 2013 is the first quarter with a 13F filing on record for First Trust Advisors, which disclosed 2,200 positions worth $15.4B. Its ten largest holdings account for 6.7% of the portfolio.

Its largest position is Enterprise Products Partners: 4,440,950 shares worth $138M.

By sector, the portfolio is most concentrated in Energy at 16% of assets, followed by Healthcare and Technology.

  • First Trust Advisors's largest Q2 2013 buy was Enterprise Products Partners: 4,440,950 shares worth $138M.
  • First Trust Advisors's ten largest holdings make up 6.7% of its $15.4B portfolio in Q2 2013.
  • First Trust Advisors disclosed 2,200 positions in Q2 2013, its first 13F filing on record.

Based on First Trust Advisors's 13F filing for Q2 2013, filed 12 Aug 2013.