ETF Components for FNY - First Trust Mid Cap Growth AlphaDEX


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
CVNA B 0.16 1.17
ANF C -4.57 1.06
SFM B -0.16 0.98
APP B -0.18 0.93
NTRA B 0.99 0.93
WING B 0.05 0.90
HOOD B -0.92 0.87
TXRH B 2.42 0.87
ELF C -0.88 0.86
FRPT A 0.85 0.86
EME D -2.30 0.82
WFRD B -2.99 0.82
MEDP C -0.17 0.81
MOD B -1.03 0.80
TOST B 1.38 0.80
LNW B -0.45 0.80
TDW C -1.21 0.79
DVA C -1.09 0.79
FIX D -3.06 0.77
APG C 0.00 0.76
ITGR C 1.13 0.76
PSN C -1.20 0.76
KD C -2.70 0.74
BFAM C 1.27 0.73
CVLT B -0.93 0.73
AVAV D -0.83 0.72
TTEK D -0.70 0.72
H C -0.38 0.72
RL C 0.57 0.72
BPMC A 2.45 0.71
ALSN D -2.29 0.71
WWD D -1.14 0.71
MUSA C 0.15 0.70
WSM D -0.36 0.70
AWI D -0.66 0.70
CLH B -0.77 0.70
TOL D -2.33 0.69
NCLH C -0.34 0.69
IBKR B -1.23 0.68
ATI C -1.86 0.68
BCO B 0.19 0.68
BLD D -0.61 0.67
CW C -0.37 0.66
CNM D -1.10 0.66
ESAB D -1.33 0.66
XPO C -0.50 0.65
MOG.A C -0.65 0.64
ARMK C -2.44 0.64
AZEK D 0.54 0.64
APPF B 1.04 0.62
BRBR B 2.55 0.61
AAON B 1.12 0.61
FSS D -0.62 0.61
EXP D -1.25 0.61
EEFT D -0.84 0.60
MSA C -0.42 0.60
ENSG B 0.15 0.60
HRI F -3.50 0.60
IBP D -0.08 0.60
POST C 0.38 0.60
MKSI B -0.65 0.60
COKE B -1.34 0.59
OWL D -0.06 0.59
GKOS A 2.08 0.58
PRI C -1.10 0.58
WMS D -1.70 0.58
ITT D -0.67 0.58
KNSL F -0.14 0.57
PEGA D 0.12 0.57
BWXT B -0.38 0.57
OLLI B 1.68 0.57
CASY B -0.24 0.56
ONTO B 0.27 0.56
INFA B 2.50 0.55
KAI B 0.30 0.55
MSTR D -1.56 0.55
CELH F -0.52 0.54
MARA C -3.86 0.54
ZWS D -1.69 0.54
IOT C 2.97 0.53
LYFT F -0.45 0.53
VNT D -0.68 0.52
AFRM F -1.48 0.51
NEU D -2.10 0.50
AM B -0.14 0.49
RYAN B 0.90 0.49
HQY B -1.18 0.48
FND F -3.91 0.48
SAIA C -1.27 0.48
TNET F -0.95 0.47
CBT D -1.60 0.47
AXTA D -1.23 0.46
INGR D -0.50 0.46
GATX B 0.59 0.46
GOLF C -0.92 0.46
ATR D -0.23 0.46
ACA D -0.59 0.45
VRNS B 0.69 0.45
AIT C -1.00 0.45
WEX D 0.47 0.45
RLI D 0.06 0.44
DUOL F -0.38 0.44
MORN B -0.15 0.44
DCI D -1.46 0.44
CRVL B 1.16 0.44
AOS D -0.69 0.43
GNTX D -0.59 0.43
GPK D -1.56 0.42
PFGC D -1.01 0.42
PR C -4.41 0.42
BRKR F -0.29 0.42
SFBS C -1.31 0.42
MAC D -2.41 0.41
CFR D -0.76 0.41
ALLE D -0.64 0.40
WYNN D -0.52 0.40
AMR D -5.25 0.39
SSD F -1.10 0.39
NCNO B 0.77 0.39
HALO B -0.87 0.39
RHP D -0.33 0.39
TPX D -3.31 0.38
SRPT C -0.90 0.38
INSM A 12.90 0.38
CRL F -0.87 0.36
BMI C -0.69 0.36
W D -0.08 0.36
GWRE A 0.17 0.36
PCOR C 0.06 0.36
TREX F 0.13 0.35
PGNY D 0.64 0.35
CHDN B -0.31 0.35
ESTC B -0.87 0.35
KTB D -0.25 0.34
VRRM B 0.84 0.34
AAL F -0.72 0.34
FOUR B 0.45 0.34
TW C -0.08 0.32
ITCI C 0.71 0.32
FCN D -1.91 0.32
LOPE C 0.09 0.31
LAMR B -0.15 0.31
AXSM B 2.26 0.31
CWST B -0.06 0.31
HCC C -2.91 0.31
CFLT C 2.55 0.30
EXLS B 0.38 0.30
BOX D 0.15 0.29
CHH B 0.87 0.29
STWD D -0.63 0.29
EXEL C 0.64 0.29
S C 0.99 0.28
SOFI F -0.77 0.28
ALKS C 0.25 0.28
IRTC C 2.84 0.28
FELE D -0.37 0.28
FFIV C 0.67 0.28
EVH F 1.32 0.28
WTS D -1.09 0.27
WDFC D 0.27 0.27
HXL D 0.12 0.27
DOCU C 0.61 0.27
CCOI D 1.23 0.26
OPCH F -0.78 0.26
COTY F 0.82 0.26
IPAR F -0.38 0.26
GTLB C -1.11 0.26
CHE D -0.37 0.26
WSC F -4.45 0.25
APLS F 2.34 0.22
LNTH C -0.84 0.20
INSP F 5.17 0.19
ALTR B 0.74 0.18
IRT B -0.05 0.18
MTSI A 1.96 0.18
NYT A -0.06 0.18
PLNT B -0.11 0.18
RVMD D 1.65 0.18
HLNE B 0.70 0.17
DV D 0.00 0.17
IONS B 1.07 0.17
HRB B -2.20 0.17
MMSI B -0.37 0.17
PATH D 2.16 0.17
RBC C -0.26 0.16
OTTR D -1.05 0.16
SPSC B 0.04 0.16
HAS D -0.77 0.16
EPRT A 0.50 0.16
AES D -1.01 0.16
EGP B 0.94 0.15
JKHY C -0.36 0.15
BRX B -0.57 0.15
HAE C 0.99 0.15
BCPC A 0.49 0.15
APLE D -0.07 0.14
RARE D 1.67 0.14
WEN F -0.12 0.14
CIVI D -3.73 0.14
CNS B -0.06 0.14
WMG D -0.98 0.14
SGRY F -0.81 0.13
MTCH F -0.34 0.13
QLYS D 1.32 0.13
BRZE D -1.24 0.13
TENB C 1.09 0.13
RPD C -0.02 0.13
CYTK D 2.04 0.12
PCTY F 2.05 0.12
MTN F 1.08 0.12
MSM F -1.45 0.12
BL D -0.10 0.11
EXAS D 3.20 0.10
FIVE F -2.12 0.09

Recent News for First Trust Mid Cap Growth AlphaDEX & its Holdings

The investment seeks investment results that correspond generally to the price and yield (before the fund's fees and expenses) of an equity index called the Defined Mid Cap Growth Index (the "index"). The fund will normally invest at least 90% of its net assets in common stocks that comprise the index. The index is a modified equal-dollar weighted index designed by S&P to objectively identify and select stocks from the S&P MidCap 400(R) Growth Index that may generate positive alpha relative to traditional passive-style indices through the use of the AlphaDEX(R) selection methodology. It is non-diversified.
Exchange Traded Fund ETF Stock Market Index Fundamentally Based Indexes Midcap S&P Mid Cap 400 Low Volatility Index
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