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FNY · First Trust Mid Cap Growth AlphaDEX Fund ETF

First Trust Exchange-Traded AlphaDEX Fund

SEC fund profile
$102.91 +0.29% At close · Sep 4
Net assets $518,202,808
Holdings221
1 month
-3.80%
Year to date
+12.85%
52-week range
$85.09–$111.06
30-session avg volume
13,678

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Exchange-traded product
SEC series
S000031804
Report date
Apr 30, 2026
Holdings coverage
Tracked U.S. equities

Portfolio concentration

Top 10 holdings

Calculated only when the SEC filing is stored with complete portfolio coverage.

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
SANMINA CORP$5,760,2501.11%
VICOR CORP$5,733,8351.11%
TTM TECHNOLOGIES INC$5,567,9201.07%
VIAVI SOLUTIONS INC$5,397,9861.04%
POWELL INDUSTRIES INC$5,270,3481.02%
TERAWULF INC$5,162,7221.00%
VIASAT INC$4,933,6930.95%
IES HOLDINGS INC$4,634,1560.89%
PLANET LABS PBC$4,534,7400.88%
SITIME CORP$4,464,5950.86%
PRIMORIS SERVICES CORP$4,341,8030.84%
STERLING INFRASTRUCTURE INC$4,340,4890.84%
EVERUS CONSTRUCTION GROUP INC$4,281,2200.83%
ENOVA INTERNATIONAL INC$4,275,9080.83%
ARGAN INC$4,217,5240.81%
ENERSYS$4,208,6860.81%
DYCOM INDUSTRIES INC$4,190,2780.81%
TUTOR PERINI CORP$4,126,9490.80%
ADVANCED ENERGY INDUSTRIES INC$4,078,6600.79%
MODINE MANUFACTURING COMPANY$4,027,9920.78%
ARROWHEAD PHARMACEUTICALS INC$4,017,7390.78%
FIRSTCASH HOLDINGS INC$3,979,4600.77%
ESCO TECHNOLOGIES INC$3,947,3310.76%
ONTO INNOVATION INC$3,946,1320.76%
GRANITE CONSTRUCTION INC$3,919,9280.76%
BRIGHTSPRING HEALTH SERVICES INC$3,859,6180.74%
DIGITALOCEAN HOLDINGS INC$3,854,0180.74%
FORMFACTOR INC$3,843,6930.74%
ARCHROCK INC$3,817,4950.74%
CONSTRUCTION PARTNERS INC$3,815,1580.74%
COCA-COLA CONSOLIDATED INC$3,666,6520.71%
MADISON SQUARE GARDEN SPORTS CORP$3,652,6780.70%
AFFILIATED MANAGERS GROUP INC$3,651,2560.70%
MIRUM PHARMACEUTICALS INC$3,611,3690.70%
PACS GROUP INC$3,580,9930.69%
FRONTDOOR INC$3,560,8680.69%
FIVE BELOW INC$3,536,0780.68%
MOOG INC$3,529,8470.68%
FEDERATED HERMES INC$3,511,7730.68%
HASBRO INC$3,510,3320.68%
ALIGNMENT HEALTHCARE INC$3,508,5090.68%
LUMEN TECHNOLOGIES INC$3,488,5290.67%
VALMONT INDUSTRIES INC$3,487,1870.67%
CENTURY ALUMINUM COMPANY$3,472,1280.67%
AMENTUM HOLDINGS INC$3,448,0650.67%
FLOWSERVE CORP$3,434,4220.66%
GLOBALSTAR INC$3,398,4140.66%
CG ONCOLOGY INC$3,380,7150.65%
AXSOME THERAPEUTICS INC$3,371,1590.65%
RESIDEO TECHNOLOGIES INC$3,365,9050.65%