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FT Vest SMID Rising Dividend Achievers Target Income ETF Holdings

SDVD was created on 2023-08-09 by FT Vest. The fund's investment portfolio concentrates primarily on extended market equity. The ETF currently has 480.74m in AUM and 191 holdings. SDVD is an actively managed fund that seeks to provide a target level of current income and capital appreciation by holding a portfolio of dividend-paying small- and mid-cap companies. The fund also utilizes a naked call writing option strategy on the Russell 2000 Index (RUT) or related ETFs.

Last Updated: 3 days, 13 hours ago

Last reported holdings - FT Vest SMID Rising Dividend Achievers Target Income ETF

Ticker Name Est. Value
WWD
Woodward Inc $5.6 million
FIX
Comfort Systems USA Inc $5.4 million
NTRS
Northern Trust Corp $5.2 million
PRDO
Perdoceo Education Corp $5.2 million
EME
EMCOR Group Inc $5.1 million
IDCC
InterDigital Inc $5.1 million
RL
Ralph Lauren Corp Class A $5.0 million
ALG
Alamo Group Inc $5.0 million
SEIC
SEI Investments Co $5.0 million
WTS
Watts Water Technologies Inc Class A $4.9 million
CALM
Cal-Maine Foods Inc $4.9 million
TPR
Tapestry Inc $4.9 million
UNM
Unum Group $4.8 million
PSMT
Pricesmart Inc $4.8 million
WRB
WR Berkley Corp $4.8 million
EWBC
East West Bancorp Inc $4.7 million
AXS
Axis Capital Holdings Ltd $4.7 million
MTG
MGIC Investment Corp $4.7 million
PAYC
Paycom Software Inc $4.7 million
ITT
ITT Inc $4.6 million
YOU
Clear Secure Inc Ordinary Shares Class A $4.6 million
CBOE
Cboe Global Markets Inc $4.6 million
ACM
AECOM $4.6 million
HBAN
Huntington Bancshares Inc $4.5 million
OZK
Bank OZK $4.5 million
NYT
New York Times Co Class A $4.5 million
MLI
Mueller Industries Inc $4.5 million
RDN
Radian Group Inc $4.5 million
FBP
First BanCorp $4.5 million
WTFC
Wintrust Financial Corp $4.5 million
IBOC
International Bancshares Corp $4.5 million
WSM
Williams-Sonoma Inc $4.4 million
CFR
Cullen/Frost Bankers Inc $4.4 million
IBP
Installed Building Products Inc $4.4 million
AIT
Applied Industrial Technologies Inc $4.4 million
TGLS
Tecnoglass Inc $4.3 million
GGG
Graco Inc $4.3 million
LANC
Lancaster Colony Corp $4.3 million
AGO
Assured Guaranty Ltd $4.3 million
OFG
OFG Bancorp $4.3 million
CADE
Cadence Bank $4.3 million
G
Genpact Ltd $4.3 million
EFSC
Enterprise Financial Services Corp $4.3 million
INGR
Ingredion Inc $4.2 million
IPAR
Interparfums Inc $4.2 million
PRI
Primerica Inc $4.2 million
DKS
Dick's Sporting Goods Inc $4.2 million
DCI
Donaldson Co Inc $4.2 million
J
Jacobs Solutions Inc $4.2 million
SNA
Snap-on Inc $4.1 million
OLED
Universal Display Corp $4.1 million
SSB
SouthState Corp $4.1 million
WMS
Advanced Drainage Systems Inc $4.1 million
KTB
Kontoor Brands Inc $4.1 million
AOS
A.O. Smith Corp $4.1 million
AIZ
Assurant Inc $4.0 million
BHE
Benchmark Electronics Inc $4.0 million
ENS
EnerSys $4.0 million
RGA
Reinsurance Group of America Inc $4.0 million
ALSN
Allison Transmission Holdings Inc $4.0 million
SSD
Simpson Manufacturing Co Inc $4.0 million
FELE
Franklin Electric Co Inc $3.9 million
LZB
La-Z-Boy Inc $3.8 million
COKE
Coca-Cola Consolidated Inc $3.8 million
IEX
IDEX Corp $3.8 million
NOV
NOV Inc $3.7 million
ANDE
Andersons Inc $3.7 million
DDS
Dillard's Inc Class A $3.7 million
SYF
Synchrony Financial $3.7 million
IBKR
Interactive Brokers Group Inc Class A $3.7 million
WHD
Cactus Inc Class A $3.6 million
CHE
Chemed Corp $3.5 million
NIC
Nicolet Bankshares Inc $3.5 million
CF
CF Industries Holdings Inc $3.5 million
FOXA
Fox Corp Class A $3.5 million
ENSG
Ensign Group Inc $3.4 million
MSA
MSA Safety Inc $3.4 million
LECO
Lincoln Electric Holdings Inc $3.3 million
ESNT
Essent Group Ltd $3.3 million
OTTR
Otter Tail Corp $3.3 million
LNC
Lincoln National Corp $3.2 million
FULT
Fulton Financial Corp $3.1 million
CSL
Carlisle Companies Inc $3.1 million
CW
Curtiss-Wright Corp $3.0 million
LMAT
LeMaitre Vascular Inc $2.9 million
WFRD
Weatherford International PLC Ordinary Shares - New $2.9 million
PKG
Packaging Corp of America $2.9 million
CAH
Cardinal Health Inc $2.8 million
TOL
Toll Brothers Inc $2.7 million
POWL
Powell Industries Inc $2.6 million
FSS
Federal Signal Corp $2.6 million
MTH
Meritage Homes Corp $2.6 million
ULS
UL Solutions Inc Class A common stock $2.4 million
HCC
Warrior Met Coal Inc $2.4 million
EQH
Equitable Holdings Inc $2.4 million
OSW
OneSpaWorld Holdings Ltd $2.4 million
RGLD
Royal Gold Inc $2.3 million
HWC
Hancock Whitney Corp $2.3 million
BCO
The Brink's Co $2.3 million
ALLE
Allegion PLC $2.3 million
INDB
Independent Bank Corp $2.2 million
UMBF
UMB Financial Corp $2.2 million
HOMB
Home BancShares Inc $2.2 million
WKC
World Kinect Corp $2.1 million
CBSH
Commerce Bancshares Inc $2.1 million
GHC
Graham Holdings Co $2.1 million
ATMU
Atmus Filtration Technologies Inc $2.1 million
CTRA
Coterra Energy Inc Ordinary Shares $2.1 million
CNO
CNO Financial Group Inc $2.1 million
DLB
Dolby Laboratories Inc Class A $2.1 million
RJF
Raymond James Financial Inc $2.1 million
BRC
Brady Corp Class A $2.1 million
NTAP
NetApp Inc $2.1 million
THG
The Hanover Insurance Group Inc $2.1 million
CSW
CSW Industrials Inc $2.0 million
UNF
UniFirst Corp $2.0 million
SHOO
Steven Madden Ltd $2.0 million
FCF
First Commonwealth Financial Corp $2.0 million
HRB
H&R Block Inc $2.0 million
PHIN
Phinia Inc $1.9 million
CMC
Commercial Metals Co $1.9 million
EBC
Eastern Bankshares Inc Ordinary Shares $1.9 million
EG
Everest Group Ltd $1.9 million
TEX
Terex Corp $1.9 million
MGY
Magnolia Oil & Gas Corp Class A $1.8 million
ATKR
Atkore Inc $1.7 million
MTX
Minerals Technologies Inc $1.7 million
TNET
Trinet Group Inc $1.6 million
KBH
KB Home $1.6 million
IOSP
Innospec Inc $1.6 million
None
Dreyfus Govt Cm Inst 289 $1.6 million
OMC
Omnicom Group Inc $1.5 million
HUBG
Hub Group Inc Class A $1.5 million
WING
Wingstop Inc $1.5 million
EBAY
eBay Inc $1.3 million
AYI
Acuity Inc $1.3 million
PHM
PulteGroup Inc $1.2 million
SM
SM Energy Co $1.2 million
IDT
IDT Corp Class B $1.2 million
PRIM
Primoris Services Corp $1.2 million
CRBG
Corebridge Financial Inc $1.2 million
ESI
Element Solutions Inc $1.2 million
SFBS
Servisfirst Bancshares Inc $1.2 million
BOKF
BOK Financial Corp $1.2 million
ACT
Enact Holdings Inc $1.2 million
BKE
Buckle Inc $1.1 million
SLM
SLM Corp $1.1 million
RS
Reliance Inc $1.1 million
LEA
Lear Corp $1.1 million
ESAB
ESAB Corp $1.1 million
LDOS
Leidos Holdings Inc $1.1 million
EXPO
Exponent Inc $1.1 million
STLD
Steel Dynamics Inc $1.1 million
USLM
United States Lime & Minerals Inc $1.1 million
CATY
Cathay General Bancorp $1.1 million
TXRH
Texas Roadhouse Inc $1.1 million
CSGS
CSG Systems International Inc $1.1 million
HPE
Hewlett Packard Enterprise Co $1.1 million
CINF
Cincinnati Financial Corp $1.1 million
WMK
Weis Markets Inc $1.1 million
WDFC
WD-40 Co $1.0 million
BRO
Brown & Brown Inc $1.0 million
LII
Lennox International Inc $1.0 million
CNR
Core Natural Resources Inc Ordinary Shares $1.0 million
KMPR
Kemper Corp $1.0 million
TNC
Tennant Co $1.0 million
BCPC
Balchem Corp $1.0 million
KFY
Korn Ferry $1.0 million
FCNCA
First Citizens BancShares Inc Class A $1.0 million
EIG
Employers Holdings Inc $1.0 million
JXN
Jackson Financial Inc $995874
WINA
Winmark Corp $992277
DOV
Dover Corp $972686
RNR
RenaissanceRe Holdings Ltd $965864
WAFD
WaFd Inc $942549
PFG
Principal Financial Group Inc $942397
NBHC
National Bank Holdings Corp Class A $925434
VLTO
Veralto Corp $915808
UFPI
UFP Industries Inc $870128
DINO
HF Sinclair Corp $860181
MATX
Matson Inc $830575
TPL
Texas Pacific Land Corp $773724
SPB
Spectrum Brands Holdings Inc $742739
NSP
Insperity Inc $662801
SLVM
Sylvamo Corp Ordinary Shares When Issued $650134
None
Cash $290856
None
Mrut Us 07/03/25 C217 $-1.2 million

Recent Changes - FT Vest SMID Rising Dividend Achievers Target Income ETF

Date Ticker Name Change (Shares)