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Share Name | Share Symbol | Market | Type |
---|---|---|---|
First Trust Enhanced Equity Income Fund | NYSE:FFA | NYSE | Common Stock |
Price Change | % Change | Share Price | High Price | Low Price | Open Price | Shares Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
0.06 | 0.29% | 20.99 | 21.00 | 20.94 | 20.95 | 20,417 | 01:00:00 |
Shares
|
Description
|
Value
|
COMMON STOCKS – 98.4%
|
||
|
Air Freight & Logistics – 1.5%
|
|
21,000
|
FedEx Corp. (a)
|
$6,084,540
|
|
Automobiles – 0.9%
|
|
75,000
|
General Motors Co. (a) (b)
|
3,401,250
|
|
Banks – 6.7%
|
|
350,000
|
Huntington Bancshares, Inc. (a)
|
4,882,500
|
76,000
|
JPMorgan Chase & Co. (a)
|
15,222,800
|
17,500
|
PNC Financial Services Group (The), Inc. (a)
|
2,828,000
|
100,000
|
Truist Financial Corp.
|
3,898,000
|
|
|
26,831,300
|
|
Beverages – 3.2%
|
|
125,000
|
Coca-Cola (The) Co.
|
7,647,500
|
18,500
|
Constellation Brands, Inc., Class A
|
5,027,560
|
|
|
12,675,060
|
|
Biotechnology – 2.3%
|
|
51,000
|
AbbVie, Inc. (a) (b)
|
9,287,100
|
|
Broadline Retail – 1.8%
|
|
40,500
|
Amazon.com, Inc. (b) (c)
|
7,305,390
|
|
Capital Markets – 2.3%
|
|
10,000
|
Goldman Sachs Group (The), Inc. (a)
|
4,176,900
|
52,500
|
Morgan Stanley
|
4,943,400
|
|
|
9,120,300
|
|
Chemicals – 2.4%
|
|
15,000
|
Air Products and Chemicals, Inc.
|
3,634,050
|
16,500
|
Sherwin-Williams (The) Co.
|
5,730,945
|
|
|
9,364,995
|
|
Communications Equipment – 1.5%
|
|
117,500
|
Cisco Systems, Inc.
|
5,864,425
|
|
Consumer Staples Distribution & Retail – 1.6%
|
|
8,800
|
Costco Wholesale Corp. (b)
|
6,447,144
|
|
Diversified Telecommunication Services – 1.3%
|
|
125,000
|
Verizon Communications, Inc.
|
5,245,000
|
|
Electric Utilities – 2.0%
|
|
42,500
|
American Electric Power Co., Inc.
|
3,659,250
|
155,000
|
PPL Corp.
|
4,267,150
|
|
|
7,926,400
|
|
Entertainment – 2.1%
|
|
90,000
|
Cinemark Holdings, Inc. (a) (c)
|
1,617,300
|
15,000
|
Electronic Arts, Inc.
|
1,990,050
|
200,000
|
Lions Gate Entertainment Corp., Class B (a) (c)
|
1,862,000
|
19,000
|
Take-Two Interactive Software, Inc. (c)
|
2,821,310
|
|
|
8,290,660
|
|
Financial Services – 0.4%
|
|
24,000
|
PayPal Holdings, Inc. (a) (c)
|
1,607,760
|
|
Ground Transportation – 1.3%
|
|
57,500
|
Canadian Pacific Kansas City Limited (a)
|
5,069,775
|
Shares
|
Description
|
Value
|
COMMON STOCKS (Continued)
|
||
|
Health Care Equipment & Supplies – 1.3%
|
|
73,626
|
Boston Scientific Corp. (a) (b) (c)
|
$5,042,645
|
|
Health Care Providers & Services – 2.1%
|
|
16,800
|
UnitedHealth Group, Inc.
|
8,310,960
|
|
Hotels, Restaurants & Leisure – 3.6%
|
|
68,000
|
Carnival Corp. (b) (c)
|
1,111,120
|
90,000
|
Las Vegas Sands Corp.
|
4,653,000
|
51,400
|
Restaurant Brands International, Inc. (a)
|
4,083,730
|
31,500
|
Six Flags Entertainment Corp. (c)
|
829,080
|
40,000
|
Starbucks Corp.
|
3,655,600
|
|
|
14,332,530
|
|
Industrial Conglomerates – 1.5%
|
|
29,000
|
Honeywell International, Inc. (a)
|
5,952,250
|
|
Insurance – 3.8%
|
|
31,500
|
Arthur J. Gallagher & Co. (a)
|
7,876,260
|
28,500
|
Chubb Ltd.
|
7,385,205
|
|
|
15,261,465
|
|
Interactive Media & Services – 3.8%
|
|
100,000
|
Alphabet, Inc., Class C (a) (c)
|
15,226,000
|
|
IT Services – 1.3%
|
|
26,500
|
International Business Machines Corp. (a)
|
5,060,440
|
|
Life Sciences Tools & Services – 3.6%
|
|
29,800
|
Danaher Corp.
|
7,441,656
|
12,000
|
Thermo Fisher Scientific, Inc.
|
6,974,520
|
|
|
14,416,176
|
|
Machinery – 1.7%
|
|
18,000
|
Caterpillar, Inc.
|
6,595,740
|
|
Metals & Mining – 0.6%
|
|
54,000
|
Freeport-McMoRan, Inc. (b)
|
2,539,080
|
|
Oil, Gas & Consumable Fuels – 4.6%
|
|
33,000
|
Diamondback Energy, Inc. (b)
|
6,539,610
|
50,000
|
Exxon Mobil Corp. (a)
|
5,812,000
|
39,000
|
Hess Corp. (a)
|
5,952,960
|
|
|
18,304,570
|
|
Pharmaceuticals – 3.6%
|
|
5,700
|
Eli Lilly & Co. (b)
|
4,434,372
|
76,000
|
Merck & Co., Inc. (a)
|
10,028,200
|
|
|
14,462,572
|
|
Semiconductors & Semiconductor Equipment – 8.9%
|
|
6,000
|
Broadcom, Inc. (b)
|
7,952,460
|
119,000
|
Intel Corp.
|
5,256,230
|
35,000
|
Marvell Technology, Inc. (b)
|
2,480,800
|
47,000
|
Micron Technology, Inc. (b)
|
5,540,830
|
15,500
|
NVIDIA Corp. (b)
|
14,005,180
|
|
|
35,235,500
|
|
Software – 12.8%
|
|
7,000
|
Adobe, Inc. (b) (c)
|
3,532,200
|
Shares
|
Description
|
Value
|
COMMON STOCKS (Continued)
|
||
|
Software (Continued)
|
|
101,300
|
Microsoft Corp. (a) (b)
|
$42,618,936
|
8,600
|
Synopsys, Inc. (a) (b) (c)
|
4,914,900
|
|
|
51,066,036
|
|
Specialized REITs – 2.1%
|
|
34,000
|
Crown Castle, Inc.
|
3,598,220
|
107,000
|
Gaming and Leisure Properties, Inc.
|
4,929,490
|
|
|
8,527,710
|
|
Technology Hardware, Storage & Peripherals – 7.6%
|
|
175,500
|
Apple, Inc. (a)
|
30,094,740
|
|
Textiles, Apparel & Luxury Goods – 1.6%
|
|
28,000
|
NIKE, Inc., Class B (b)
|
2,631,440
|
80,000
|
Tapestry, Inc. (b)
|
3,798,400
|
|
|
6,429,840
|
|
Tobacco – 1.5%
|
|
64,000
|
Philip Morris International, Inc. (a)
|
5,863,680
|
|
Wireless Telecommunication Services – 1.1%
|
|
26,000
|
T-Mobile US, Inc.
|
4,243,720
|
|
Total Common Stocks
|
391,486,753
|
|
(Cost $262,129,234)
|
|
COMMON STOCKS – BUSINESS DEVELOPMENT COMPANIES – 1.1%
|
||
|
Capital Markets – 1.1%
|
|
215,000
|
Ares Capital Corp. (a)
|
4,476,300
|
|
(Cost $3,728,891)
|
|
|
Total Investments – 99.5%
|
395,963,053
|
|
(Cost $265,858,125)
|
|
Number of
Contracts
|
Description
|
Notional
Amount
|
Exercise
Price
|
Expiration
Date
|
Value
|
WRITTEN OPTIONS – (0.2)%
|
|||||
|
Call Options Written – (0.2)%
|
|
|
|
|
(125
)
|
AbbVie, Inc.
|
$(2,276,250
)
|
$190.00
|
04/19/24
|
(3,750
)
|
(15
)
|
Adobe, Inc.
|
(756,900
)
|
560.00
|
05/17/24
|
(7,125
)
|
(85
)
|
Amazon.com, Inc.
|
(1,533,230
)
|
200.00
|
05/17/24
|
(24,055
)
|
(160
)
|
Boston Scientific Corp.
|
(1,095,840
)
|
65.00
|
05/17/24
|
(80,000
)
|
(15
)
|
Broadcom, Inc.
|
(1,988,115
)
|
1,370.00
|
04/19/24
|
(35,850
)
|
(170
)
|
Carnival Corp.
|
(277,780
)
|
20.00
|
04/19/24
|
(510
)
|
(20
)
|
Costco Wholesale Corp.
|
(1,465,260
)
|
745.00
|
04/19/24
|
(13,060
)
|
(75
)
|
Diamondback Energy, Inc.
|
(1,486,275
)
|
197.82
|
04/19/24
|
(33,000
)
|
(10
)
|
Eli Lilly & Co.
|
(777,960
)
|
820.00
|
04/19/24
|
(7,000
)
|
(15
)
|
Eli Lilly & Co.
|
(1,166,940
)
|
850.00
|
04/19/24
|
(4,350
)
|
(150
)
|
Freeport-McMoRan, Inc.
|
(705,300
)
|
49.00
|
04/19/24
|
(10,350
)
|
(225
)
|
General Motors Co.
|
(1,020,375
)
|
43.00
|
04/19/24
|
(62,100
)
|
(50
)
|
Marvell Technology, Inc.
|
(354,400
)
|
80.00
|
04/19/24
|
(3,900
)
|
(50
)
|
Marvell Technology, Inc.
|
(354,400
)
|
85.00
|
05/17/24
|
(5,000
)
|
(150
)
|
Micron Technology, Inc.
|
(1,768,350
)
|
110.00
|
04/19/24
|
(137,250
)
|
(220
)
|
Micron Technology, Inc.
|
(2,593,580
)
|
125.00
|
04/19/24
|
(40,260
)
|
(75
)
|
Microsoft Corp.
|
(3,155,400
)
|
440.00
|
04/19/24
|
(11,400
)
|
(125
)
|
NIKE, Inc., Class B
|
(1,174,750
)
|
110.00
|
04/19/24
|
(375
)
|
(50
)
|
NVIDIA Corp.
|
(4,517,800
)
|
1,100.00
|
04/19/24
|
(14,750
)
|
Number of
Contracts
|
Description
|
Notional
Amount
|
Exercise
Price
|
Expiration
Date
|
Value
|
WRITTEN OPTIONS (Continued)
|
|||||
|
Call Options Written (Continued)
|
|
|
|
|
(125
)
|
S&P 500® Index (d)
|
$(65,679,375
)
|
$5,375.00
|
04/19/24
|
$(193,750
)
|
(225
)
|
S&P 500® Index (d)
|
(118,222,875
)
|
5,400.00
|
04/19/24
|
(177,075
)
|
(20
)
|
Synopsys, Inc.
|
(1,143,000
)
|
610.00
|
04/19/24
|
(7,940
)
|
(200
)
|
Tapestry, Inc.
|
(949,600
)
|
50.00
|
04/19/24
|
(8,000
)
|
|
Total Written Options
|
(880,850
)
|
|||
|
(Premiums received $717,038)
|
|
|
|
|
|
Net Other Assets and Liabilities – 0.7%
|
2,908,868
|
|
Net Assets – 100.0%
|
$397,991,071
|
(a)
|
All or a portion of these securities are pledged to cover index call options written.
At March 31, 2024, the segregated value of
these securities amounts to $194,521,002.
|
(b)
|
All or a portion of this security’s position represents cover for outstanding options written.
|
(c)
|
Non-income producing security.
|
(d)
|
Call options on securities indices were written on a portion of the common stock positions
that were not used to cover call options
written on individual equity securities held in the Fund’s portfolio.
|
Abbreviations throughout the Portfolio of Investments:
|
|
REITs
|
– Real Estate Investment Trusts
|
ASSETS TABLE
|
||||
|
Total
Value at
3/31/2024
|
Level 1
Quoted
Prices
|
Level 2
Significant
Observable
Inputs
|
Level 3
Significant
Unobservable
Inputs
|
Common Stocks*
|
$391,486,753
|
$391,486,753
|
$—
|
$—
|
Common Stocks - Business Development Companies*
|
4,476,300
|
4,476,300
|
—
|
—
|
Total Investments
|
$395,963,053
|
$395,963,053
|
$—
|
$—
|
|
||||
LIABILITIES TABLE
|
||||
|
Total
Value at
3/31/2024
|
Level 1
Quoted
Prices
|
Level 2
Significant
Observable
Inputs
|
Level 3
Significant
Unobservable
Inputs
|
Written Options
|
$(880,850
)
|
$(880,850
)
|
$—
|
$—
|
*
|
See Portfolio of Investments for industry breakout.
|
1 Year First Trust Enhanced Equ... Chart |
1 Month First Trust Enhanced Equ... Chart |
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