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First Trust Tactical High Yield ETF

Open-end / ETF
Registrant
First Trust Exchange-Traded Fund IV
Class ticker
Net Assets
$1,638,499,772
Holdings
313
Latest Report
Apr 30, 2026

Net Assets Over Time

Holdings · 313

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Showing 1–50 of 313 holdings by value · page 1 of 7
Holding Balance Value % of Fund Open
1011778 B.C. ULC / NEW RED FINANCE INC
25,510,000 $24,282,928 1.48%
ONEDIGITAL BORR 06/12/32
24,162,388 $23,588,531 1.44%
BALDWIN INSURANCE GROUP HOLDINGS LLC (THE)
21,834,000 $22,120,833 1.35%
UNITED RENTALS (NORTH AMERICA) INC
20,566,000 $20,930,985 1.28%
QXO INC
19,171,000 $19,567,369 1.19%
DISH NETWORK CORP
17,162,000 $17,728,260 1.08%
ALLIANT HOLDINGS INTERMEDIATE LLC
17,412,000 $17,644,833 1.08%
FAIR ISAAC CORP
17,822,000 $17,590,565 1.07%
QUIKRETE HOLDINGS INC
17,334,000 $17,588,373 1.07%
ATHENAHEALTH GROUP INC
17,722,000 $16,904,880 1.03%
VIKING OCEAN CRUISES SHIP VII LTD
16,866,000 $16,888,329 1.03%
BUILDERS FIRSTSOURCE INC
16,601,000 $16,785,753 1.02%
CLOUD SOFTWARE GROUP INC
17,044,000 $16,749,397 1.02%
ECHOSTAR CORP
15,163,315 $16,473,159 1.01%
ARDONAGH FINCO LTD
15,634,000 $15,971,327 0.97%
LEIA FINCO US L 07/02/32
17,038,155 $15,650,738 0.96%
ARDONAGH GROUP FINANCE LTD
15,484,000 $15,424,856 0.94%
CRC INSURANCE GROUP LLC
15,319,000 $15,399,389 0.94%
RINGCENTRAL INC
14,252,000 $14,986,406 0.91%
SHIFT4 PAYMENTS LLC
15,000,000 $14,981,985 0.91%
VENTURE GLOBAL PLAQUEMINES LNG LLC
12,101,000 $13,615,670 0.83%
TRUIST INSURANC 03/08/32
13,511,826 $13,410,488 0.82%
ROCKET COMPANIES INC
12,953,000 $13,127,153 0.80%
MORGAN STANLEY INSTITUTIONAL LIQUIDITY FUNDS
13,118,582 $13,118,582 0.80%
RAVEN ACQUISITION HOLDINGS LLC
12,727,000 $12,605,796 0.77%
SMYRNA READY MIX CONCRETE LLC
11,864,000 $12,429,225 0.76%
TALEN ENERGY SUPPLY LLC
11,864,000 $11,915,155 0.73%
AHP HEALTH PARTNERS INC
11,849,000 $11,750,643 0.72%
EQUIPMENTSHARE.COM INC
10,531,000 $11,051,546 0.67%
CSC HOLDINGS LLC
18,851,000 $11,009,606 0.67%
HOWDEN UK REFINANCE PLC
10,792,000 $10,870,523 0.66%
TRANSDIGM INC
10,652,000 $10,741,732 0.66%
ALLIANT HOLDINGS INTERMEDIATE LLC
10,564,000 $10,562,827 0.64%
RB GLOBAL HOLDINGS INC
10,153,000 $10,554,343 0.64%
MEDLINE BORROWER LP
10,253,000 $10,209,432 0.62%
SURGERY CENTER HOLDINGS INC
10,166,000 $10,151,567 0.62%
FIRSTCASH INC
9,796,000 $10,051,976 0.61%
GRAPHIC PACKAGING INTERNATIONAL LLC
10,000,000 $9,992,874 0.61%
ALPHA GENERATION LLC
10,000,000 $9,937,696 0.61%
BUILDERS FIRSTSOURCE INC
9,914,000 $9,877,191 0.60%
US FOODS INC
9,700,000 $9,743,505 0.59%
PENNYMAC FINANCIAL SERVICES INC
10,000,000 $9,687,535 0.59%
STAR PARENT INC9/19/2030
9,529,799 $9,544,713 0.58%
BRINK'S COMPANY (THE)
9,090,000 $9,332,603 0.57%
UWM HOLDINGS LLC
10,000,000 $9,280,517 0.57%
Numericable US LLC
8,965,782 $9,149,984 0.56%
PERFORMANCE FOOD GROUP INC
9,313,000 $9,125,079 0.56%
NRG ENERGY INC
9,146,000 $9,087,893 0.55%
GARDA WORLD SECURITY CORP
8,793,000 $9,079,326 0.55%
ZIGGO BV
9,603,000 $9,039,703 0.55%