Skip to main content

First Trust Dow Jones International Internet ETF

Open-end / ETF
Registrant
First Trust Exchange-Traded Fund II
Class ticker
Net Assets
$32,913,354
Holdings
41
Latest Report
Jun 30, 2026

Net Assets Over Time

Holdings · 41

Export CSV
Holding Balance Value % of Fund Open
TENCENT HOLDINGS LTD
58,298 $3,194,818 9.71%
ALIBABA GROUP HOLDING LTD
238,357 $2,821,863 8.57%
SPOTIFY TECHNOLOGY SA
4,013 $1,842,489 5.60%
NETEASE INC
62,698 $1,618,044 4.92%
PROSUS NV
34,216 $1,485,221 4.51%
NASPERS LTD
29,004 $1,453,069 4.41%
JD.COM INC
108,456 $1,372,493 4.17%
MEITUAN LLC
154,284 $1,347,527 4.09%
BAIDU INC
91,840 $1,283,419 3.90%
ADYEN NV
1,318 $1,235,474 3.75%
NAVER CORP
5,905 $758,468 2.30%
IREN LTD
14,192 $649,000 1.97%
KUAISHOU TECHNOLOGY
119,604 $634,403 1.93%
ALLEGRO.EU SA
44,190 $444,214 1.35%
YANGTZE OPTICAL FIBRE AND CABLE JOINT STOCK LTD CO
12,534 $408,166 1.24%
DELIVERY HERO SE
9,271 $381,348 1.16%
XERO LTD
7,134 $356,710 1.08%
WISE GROUP PLC
29,149 $349,607 1.06%
IG GROUP HOLDINGS PLC
13,857 $334,161 1.02%
QUEBECOR INC
6,286 $300,017 0.91%
RAKUTEN GROUP INC
63,673 $295,035 0.90%
KAKAO CORP
12,784 $285,088 0.87%
CAR GROUP LTD
15,843 $282,558 0.86%
LY CORP
103,576 $276,339 0.84%
INTERNATIONAL GAMES SYSTEM COMPANY LTD
10,838 $268,428 0.82%
ZALANDO SE
9,168 $265,759 0.81%
SCOUT24 SE
3,075 $254,200 0.77%
NEXON CO LTD
16,382 $216,166 0.66%
WISETECH GLOBAL LTD
8,852 $202,246 0.61%
REA GROUP LTD
2,093 $201,698 0.61%
ENTAIN PLC
26,759 $198,415 0.60%
KRAFTON INC
1,196 $182,183 0.55%
JD HEALTH INTERNATIONAL INC
42,968 $179,918 0.55%
DREYFUS GOVERNMENT CASH MANAGEMENT FUNDS
56,901 $56,901 0.17%