Registration Statement Under the Securities Act of 1933 |
☐ |
Pre-Effective Amendment No. __ |
☐ |
Post-Effective Amendment No. 207 |
☒ |
and | |
Registration Statement Under the Investment Company Act of 1940 |
☐ |
Amendment No. 209 |
☒ |
☐ |
immediately upon filing pursuant to paragraph (b) |
☒ |
on July 31, 2025 pursuant to paragraph (b) |
☐ |
60 days after filing pursuant to paragraph (a)(1) |
☐ |
on (date) pursuant to paragraph (a)(1) |
☐ |
75 days after filing pursuant to paragraph (a)(2) |
☐ |
on (date) pursuant to paragraph (a)(2) of Rule 485. |
☐ |
this post-effective amendment designates a new effective date for a previously filed post-effective
amendment. |
First Trust
Exchange-Traded Fund VI |
Ticker Symbol: |
DGLO |
Exchange: |
Nasdaq, Inc. |
Maximum Sales Charge (Load) Imposed on Purchases (as a percentage of offering price) |
|
Management Fees |
|
Distribution and Service (12b-1) Fees |
|
Other Expenses(1)
|
|
Total Annual Fund Operating Expenses |
|
1 Year |
3 Years |
$ |
$ |
First Trust
Exchange-Traded Fund VI |
FUND NAME |
TICKER SYMBOL |
EXCHANGE |
First Trust RBA Deglobalization ETF |
DGLO |
Nasdaq, Inc. |
Name and
Year of Birth |
Position
and Offices
with Trust |
Term of
Office and
Year First
Elected or
Appointed |
Principal Occupations
During Past 5 Years |
Number of
Portfolios
in the First
Trust Fund
Complex
Overseen
by Trustee |
Other
Trusteeships or
Directorships
Held by
Trustee
During the
Past 5 Years |
TRUSTEE WHO IS AN INTERESTED PERSON OF THE TRUST | |||||
James A. Bowen (1)
1955 |
Chairman of the
Board and Trustee |
●Indefinite term
●Since inception |
Chief Executive Officer, First Trust
Advisors L.P. and First Trust Portfolios
L.P.; Chairman of the Board of Directors,
BondWave LLC (Software Development
Company) and Stonebridge Advisors LLC
(Investment Advisor) |
312 Portfolios |
None |
INDEPENDENT TRUSTEES | |||||
Richard E. Erickson
1951 |
Trustee |
●Indefinite term
●Since inception |
Retired; Physician, Edward-Elmhurst
Medical Group (2021 to September
2023); Physician and Officer, Wheaton
Orthopedics (1990 to 2021) |
312 Portfolios |
None |
Thomas R. Kadlec
1957 |
Trustee |
●Indefinite term
●Since inception |
Retired; President, ADM Investor
Services, Inc. (Futures Commission
Merchant) (2010 to July 2022) |
312 Portfolios |
Director, National
Futures
Association;
formerly, Director
of ADM Investor
Services, Inc.,
ADM Investor
Services
International,
ADMIS Hong Kong
Ltd., ADMIS
Singapore Ltd. and
Futures Industry
Association |
Denise M. Keefe
1964 |
Trustee |
●Indefinite term
●Since 2021 |
Senior Vice President, Advocate Health,
Continuing Health Division (Integrated
Healthcare System) (2023 to present);
Executive Vice President, Advocate
Aurora Health (Integrated Healthcare
System) (2018 to 2023) |
312 Portfolios |
Director and Board
Chair of Advocate
Home Health
Services, Advocate
Home Care
Products and
Advocate Hospice;
Director and Board
Chair of Aurora At
Home (since
2018); Director of
Advocate
Physician Partners
Accountable Care
Organization;
Director of RML
Long Term Acute
Care Hospitals;
Director of Senior
Helpers (2021 to
2024); and
Director of
MobileHelp (2022
to 2024) |
Name and
Year of Birth |
Position
and Offices
with Trust |
Term of
Office and
Year First
Elected or
Appointed |
Principal Occupations
During Past 5 Years |
Number of
Portfolios
in the First
Trust Fund
Complex
Overseen
by Trustee |
Other
Trusteeships or
Directorships
Held by
Trustee
During the
Past 5 Years |
INDEPENDENT TRUSTEES | |||||
Robert F. Keith
1956 |
Trustee |
●Indefinite term
●Since inception |
President, Hibs Enterprises (Financial and
Management Consulting) |
312 Portfolios |
Formerly, Director
of Trust Company
of Illinois |
Niel B. Nielson
1954 |
Trustee |
●Indefinite term
●Since inception |
Senior Advisor (2018 to present),
Managing Director and Chief Operating
Officer (2015 to 2018), Pelita Harapan
Educational Foundation (Educational
Products and Services) |
312 Portfolios |
None |
Bronwyn Wright
1971 |
Trustee |
●Indefinite term
●Since 2023 |
Independent Director to a number of Irish
collective investment funds (2009 to
present); Various roles at international
affiliates of Citibank (1994 to 2009),
including Managing Director, Citibank
Europe plc and Head of Securities and
Fund Services, Citi Ireland (2007 to
2009) |
283 Portfolios |
None |
Name and
Year of Birth |
Position and
Offices with Trust |
Term of Office and
Length of Service |
Principal Occupations
During Past 5 Years |
OFFICERS OF THE TRUST | |||
James M. Dykas
1966 |
President and Chief
Executive Officer |
●Indefinite term
●Since 2016 |
Managing Director and Chief Financial Officer, First
Trust Advisors L.P. and First Trust Portfolios L.P.;
Chief Financial Officer, BondWave LLC (Software
Development Company) and Stonebridge Advisors
LLC (Investment Advisor) |
W. Scott Jardine
1960 |
Secretary and Chief Legal
Officer |
●Indefinite term
●Since inception |
General Counsel, First Trust Advisors L.P. and First
Trust Portfolios L.P.; Secretary and General Counsel,
BondWave LLC; and Secretary, Stonebridge Advisors
LLC |
Daniel J. Lindquist
1970 |
Vice President |
●Indefinite term
●Since inception |
Managing Director, First Trust Advisors L.P. and First
Trust Portfolios L.P. |
Kristi A. Maher
1966 |
Chief Compliance Officer
and Assistant Secretary |
●Indefinite term
●Since inception |
International General Counsel, First Trust Advisors
L.P. and First Trust Portfolios L.P., February 2025 –
present. Previously, Deputy General Counsel, First
Trust Advisors L.P. and First Trust Portfolios L.P. |
Derek D. Maltbie
1972 |
Treasurer, Chief Financial
Officer and Chief
Accounting Officer |
●Indefinite term
●Since 2023 |
Senior Vice President, First Trust Advisors L.P. and
First Trust Portfolios L.P., July 2021 – present.
Previously, Vice President, First Trust Advisors L.P.
and First Trust Portfolios L.P., 2014 –2021. |
Roger F. Testin
1966 |
Vice President |
●Indefinite term
●Since inception |
Senior Vice President, First Trust Advisors L.P. and
First Trust Portfolios L.P. |
Stan Ueland
1970 |
Vice President |
●Indefinite term
●Since inception |
Senior Vice President, First Trust Advisors L.P. and
First Trust Portfolios L.P. |
Name of Trustee |
Estimated Compensation from
the Fund (1)
|
Total Compensation from
the First Trust Fund Complex (2)
|
Richard E. Erickson |
$1,432 |
$653,176 |
Thomas R. Kadlec |
$1,441 |
$666,676 |
Denise M. Keefe |
$1,427 |
$636,112 |
Robert F. Keith |
$1,434 |
$657,442 |
Niel B. Nielson |
$1,429 |
$644,660 |
Bronwyn Wright |
$1,419 |
$617,975 |
Trustee |
Dollar Range of Equity
Securities in the Fund
(Number of Shares
Held) |
Aggregate Dollar
Range of Equity
Securities in All
Registered Investment
Companies Overseen
by Trustee in the First
Trust Fund Complex |
Interested Trustee | ||
James A. Bowen |
None |
Over $100,000 |
Trustee |
Dollar Range of Equity
Securities in the Fund
(Number of Shares
Held) |
Aggregate Dollar
Range of Equity
Securities in All
Registered Investment
Companies Overseen
by Trustee in the First
Trust Fund Complex |
Independent Trustees | ||
Richard E. Erickson |
None |
Over $100,000 |
Thomas R. Kadlec |
None |
Over $100,000 |
Denise M. Keefe |
None |
Over $100,000 |
Robert F. Keith |
None |
Over $100,000 |
Niel B. Nielson |
None |
Over $100,000 |
Bronwyn Wright |
None |
None |
Management Fee |
Breakpoints |
0.70000% |
Fund net assets up to and including $2.5 billion |
0.68250% |
Fund net assets greater than $2.5 billion up to and including $5 billion |
0.66500% |
Fund net assets greater than $5 billion up to and including $7.5 billion |
0.64750% |
Fund net assets greater than $7.5 billion up to and including $10 billion |
0.63000% |
Fund net assets greater than $10 billion up to and including $15 billion |
0.59550% |
Fund net assets greater than $15 billion |
Name |
Position with
First Trust |
Length of Service
with First Trust |
Principal Occupation During
Past Five Years |
Daniel J. Lindquist |
Chairman of the
Investment Committee
and Managing Director |
Since 2004 |
Managing Director, First Trust Advisors L.P. and
First Trust Portfolios L.P. |
David G. McGarel |
Chief Operating Officer,
Chief Investment Officer
and Managing Director |
Since 1997 |
Chief Operating Officer (2016 to present),
Chief Investment Officer and Managing Director,
First Trust Advisors L.P. and First Trust Portfolios L.P. |
Jon C. Erickson |
Senior Vice President |
Since 1994 |
Senior Vice President, First Trust Advisors L.P. and
First Trust Portfolios L.P. |
Roger F. Testin |
Senior Vice President |
Since 2001 |
Senior Vice President, First Trust Advisors L.P. and
First Trust Portfolios L.P. |
Stan Ueland |
Senior Vice President |
Since 2005 |
Senior Vice President, First Trust Advisors L.P. and
First Trust Portfolios L.P. |
Chris A. Peterson |
Senior Vice President |
Since 2000 |
Senior Vice President, First Trust Advisors L.P. and
First Trust Portfolios L.P. |
Erik Russo |
Senior Vice President |
Since 2010 |
Senior Vice President, First Trust Advisors L.P. and
First Trust Portfolios L.P. |
Investment
Committee
Member |
Registered
Investment
Companies
Number of
Accounts
($ Assets in
Thousands) |
Other
Pooled
Investment
Vehicles
Number of
Accounts
($ Assets in
Thousands) |
Other
Accounts
Number of
Accounts
($ Assets in
Thousands) |
Registered
Investment
Companies
With
Performance
Fees
Number of
Accounts
($ Assets in
Thousands) |
Other
Pooled
Investment
Vehicles
With
Performance
Fees
Number of
Accounts
($ Assets in
Thousands) |
Other
Accounts
With
Performance
Fees
Number of
Accounts
($ Assets in
Thousands) |
Daniel J. Lindquist |
125 ($103,728,278) |
59 ($3,452,623) |
1,139 ($512,543) |
N/A |
N/A |
N/A |
David G. McGarel |
126 ($103,785,402) |
59 ($3,452,623) |
1,139 ($512,543) |
N/A |
N/A |
N/A |
Jon C. Erickson |
122 ($103,724,741) |
59 ($3,452,623) |
1,139 ($512,543) |
N/A |
N/A |
N/A |
Roger F. Testin |
122 ($103,724,741) |
59 ($3,452,623) |
1,139 ($512,543) |
N/A |
N/A |
N/A |
Stan Ueland |
116 ($102,645,544) |
52 ($3,274,678) |
N/A |
N/A |
N/A |
N/A |
Chris A. Peterson |
126 ($103,785,402) |
59 ($3,452,623) |
1,139 ($512,543) |
N/A |
N/A |
N/A |
Erik Russo |
116 ($102,645,544) |
52 ($3,274,678) |
N/A |
N/A |
N/A |
N/A |
First Trust Exchange-Traded Fund VI
Part C – Other Information
Item 28. | Exhibits |
Exhibit No. Description
(a) | (1) Amended and Restated Declaration of Trust is incorporated by reference to the post-effective Amendment no. 88 filed on Form N-1A (File No. 333-182308) for Registrant on January 29, 2018. |
(b) | By-Laws of the Registrant is incorporated by reference to the initial Registration Statement filed on Form N-1A (File No. 333-182308) for Registrant on June 25, 2012. |
(c) | Not applicable. |
(2) Schedule A of the Investment Management Agreement between Registrant and First Trust Advisors L.P., is filed herewith. |
(e) | (1) Distribution Agreement is incorporated by reference to the post-effective Amendment no. 5 filed on Form N-1A (File No. 333-182308) for Registrant on January 28, 2013. |
(2) Exhibit A to Distribution Agreement is filed herewith. |
(f) | Not applicable. |
(2) Amended Appendix I to Custody Agreement between the Registrant and The Bank of New York, is filed herewith. |
(2) Amended Exhibit A to Fund Administration and Accounting Agreement between the Registrant and The Bank of New York is filed herewith. |
(4) Amended Exhibit A to Transfer Agency and Service Agreement between the Registrant and The Bank of New York is filed herewith. |
(6) Form of Subscription Agreement is incorporated by reference to the post-effective Amendment no. 5 filed on Form N-1A (File No. 333-182308) for Registrant on January 28, 2013. |
(7) Form of Participant Agreement is incorporated by reference to the post-effective Amendment no. 107 filed on Form N-1A (File No. 333-182308) for Registrant on August 30, 2018. |
(i) | (1) Opinion and Consent of Morgan, Lewis & Bockius LLP, is filed herewith. |
(2) Opinion and Consent of Chapman and Cutler LLP, is filed herewith. |
(j) | Not applicable. |
(k) | Not applicable. |
(l) | Not applicable. |
(m) | (1) 12b-1 Service Plan is incorporated by reference to the post-effective Amendment no. 5 filed on Form N-1A (File No. 333-182308) for Registrant on January 28, 2013. |
(2) Exhibit A to 12b-1 Service Plan is filed herewith. |
(n) | Not applicable. |
(o) | Not applicable. |
Item 29. | Persons Controlled By or Under Common Control with Registrant |
Not Applicable.
Item 30. | Indemnification |
Section 9.5 of the Registrant’s Declaration of Trust provides as follows:
Section 9.5. Indemnification and Advancement of Expenses. Subject to the exceptions and limitations contained in this Section 9.5, every person who is, or has been, a Trustee, officer, or employee of the Trust, including persons who serve at the request of the Trust as directors, trustees, officers, employees or agents of another organization in which the Trust has an interest as a shareholder, creditor or otherwise (hereinafter referred to as a “Covered Person”), shall be indemnified by the Trust to the fullest extent permitted by law against liability and against all expenses reasonably incurred or paid by him or in connection with any claim, action, suit or proceeding in which he becomes involved as a party or otherwise by virtue of his being or having been such a Trustee, director, officer, employee or agent and against amounts paid or incurred by him in settlement thereof.
No indemnification shall be provided hereunder to a Covered Person to the extent such indemnification is prohibited by applicable federal law.
The rights of indemnification herein provided may be insured against by policies maintained by the Trust, shall be severable, shall not affect any other rights to which any Covered Person may now or hereafter be entitled, shall continue as to a person who has ceased to be such a Covered Person and shall inure to the benefit of the heirs, executors and administrators of such a person.
Subject to applicable federal law, expenses of preparation and presentation of a defense to any claim, action, suit or proceeding subject to a claim for indemnification under this Section 9.5 shall be advanced by the Trust prior to final disposition thereof upon receipt of an undertaking by or on behalf of the recipient to repay such amount if it is ultimately determined that he is not entitled to indemnification under this Section 9.5.
To the extent that any determination is required to be made as to whether a Covered Person engaged in conduct for which indemnification is not provided as described herein, or as to whether there is reason to believe that a Covered Person ultimately will be found entitled to indemnification, the Person or Persons making the determination shall afford the Covered Person a rebuttable presumption that the Covered Person has not engaged in such conduct and that there is reason to believe that the Covered Person ultimately will be found entitled to indemnification.
As used in this Section 9.5, the words “claim,” “action,” “suit” or “proceeding” shall apply to all claims, demands, actions, suits, investigations, regulatory inquiries, proceedings or any other occurrence of a similar nature, whether actual or threatened and whether civil, criminal, administrative or other, including appeals, and the words “liability” and “expenses” shall include without limitation, attorneys’ fees, costs, judgments, amounts paid in settlement, fines, penalties and other liabilities.
Item 31. | Business and Other Connections of the Investment Adviser |
First Trust Advisors L.P. (“First Trust”), investment adviser to the Registrant, serves as adviser or sub-adviser to various other open-end and closed-end management investment companies and is the portfolio supervisor of certain unit investment trusts. The principal business of certain of First Trust’s principal executive officers involves various activities in connection with the family of unit investment trusts sponsored by First Trust Portfolios L.P. (“FTP”). The principal address for all these investment companies, First Trust, FTP and the persons below is 120 East Liberty Drive, Suite 400, Wheaton, Illinois 60187.
A description of any business, profession, vocation or employment of a substantial nature in which the officers of First Trust who serve as officers or trustees of the Registrant have engaged during the last two years for his or her account or in the capacity of director, officer, employee, partner or trustee appears under “Management of the Fund” in the Statement of Additional Information. Such information for the remaining senior officers of First Trust appears below:
Name and Position with First Trust | Employment During Past Two Years |
Andrew S. Roggensack, President | Managing Director and President, First Trust |
R. Scott Hall, Managing Director | Managing Director, First Trust |
David G. McGarel, Chief Investment Officer, Chief Operating Officer and Managing Director | Managing Director; Senior Vice President, First Trust |
Kelly C. Dehler, Chief Compliance Officer | Assistant General Counsel, First Trust |
Brian Wesbury, Chief Economist and Senior Vice President | Chief Economist and Senior Vice President, First Trust |
Item 32. | Principal Underwriter |
(a) FTP serves as principal underwriter of the shares of the Registrant, First Trust Exchange-Traded Fund, First Trust Exchange-Traded Fund II, First Trust Exchange-Traded Fund III, First Trust Exchange-Traded Fund IV, First Trust Exchange Traded Fund V, First Trust Exchange-Traded Fund VII, First Trust Exchange-Traded Fund VIII, First Trust Exchange-Traded AlphaDEX® Fund, First Trust Exchange-Traded AlphaDEX® Fund II, First Trust Variable Insurance Trust and First Trust Series Fund. FTP serves as principal underwriter and depositor of the following investment companies registered as unit investment trusts: the First Trust Combined Series, FT Series (formerly known as the First Trust Special Situations Trust), the First Trust Insured Corporate Trust, the First Trust of Insured Municipal Bonds and the First Trust GNMA.
(b) Positions and Offices with Underwriter
Name
and Principal Business Address* |
Positions
and Offices with Underwriter |
Positions
and Offices with Fund |
The Charger Corporation | General Partner | None |
Grace Partners of DuPage L.P. | Limited Partner | None |
James A. Bowen | Chief Executive Officer and Managing Director | Trustee and Chairman of the Board |
James M. Dykas | Chief Financial Officer | President and Chief Executive Officer |
Frank L. Fichera | Managing Director | None |
R. Scott Hall | Managing Director | None |
W. Scott Jardine | General Counsel, Secretary and Managing Director | Secretary |
Daniel J. Lindquist | Managing Director | Vice President |
David G. McGarel | Chief Investment Officer, Chief Operating Officer and Managing Director | None |
Richard A. Olson | Managing Director | None |
Marisa Bowen | Managing Director | None |
Andrew S. Roggensack | President and Managing Director | None |
Kristi A. Maher | International General Counsel | Chief Compliance Officer and Assistant Secretary |
* All addresses are |
(c) Not Applicable.
Item 33. | Location of Accounts and Records |
First Trust, 120 East Liberty Drive, Wheaton, Illinois 60187, maintains the Registrant’s organizational documents, minutes of meetings, contracts of the Registrant and all advisory material of the investment adviser.
The Bank of New York Mellon, 240 Greenwich Street, New York, New York 10286 (“BNY”) maintains all general and subsidiary ledgers, journals, trial balances, records of all portfolio purchases and sales, and all other requirement records not maintained by First Trust.
BNY also maintains all the required records in its capacity as transfer, accounting, dividend payment and interest holder service agent for the Registrant.
Item 34. | Management Services |
Not Applicable.
Item 35. | Undertakings |
Not Applicable.
Signatures
Pursuant to the requirements of the Securities Act of 1933 and the Investment Company Act of 1940, the Registrant certifies that it meets all of the requirements for effectiveness of this Registration Statement under rule 485(b) under the Securities Act and has duly caused this Registration Statement to be signed on its behalf by the undersigned, duly authorized, in the City of Wheaton, and State of Illinois, on the 30th day of July, 2025.
First Trust Exchange-Traded Fund VI | ||
By: | /s/ James M. Dykas | |
James M. Dykas, President and Chief Executive Officer |
Pursuant to the requirements of the Securities Act of 1933, this Registration Statement has been signed below by the following persons in the capacities and on the date indicated:
Signature | Title | Date | |
/s/ James M. Dykas | President and Chief Executive Officer |
July 30, 2025 | |
James M. Dykas | |||
/s/ Derek D. Maltbie | Treasurer, Chief Financial Officer and Chief Accounting Officer |
July 30, 2025 | |
Derek D. Maltbie | |||
James A. Bowen* | ) Trustee ) |
||
) | |||
Richard E. Erickson* | ) Trustee ) |
||
) | |||
Thomas R. Kadlec* | ) Trustee ) |
||
) | |||
Denise M. Keefe* | ) Trustee ) |
||
) | |||
Robert F. Keith* | ) Trustee ) |
||
) | By: | /s/ W. Scott Jardine | |
Niel B. Nielson* | ) Trustee ) |
W. Scott Jardine Attorney-In-Fact | |
) | July 30, 2025 | ||
Bronwyn Wright* | ) Trustee ) |
||
) |
* | Original powers of attorney dated December 31, 2015 or November 1, 2021 or September 11, 2023, authorizing James A. Bowen, W. Scott Jardine, James M. Dykas, Eric F. Fess and Kristi A. Maher to execute Registrant’s Registration Statement, and Amendments thereto, for each of the trustees of the Registrant on whose behalf this Registration Statement is filed, were previously executed, filed as an exhibit and are incorporated by reference herein. |
Index to Exhibits
(d)(2) | Schedule A of the Investment Management Agreement between Registrant and First Trust Advisors L.P. |
(e)(2) | Exhibit A to Distribution Agreement is filed herewith. |
(g)(2) | Amended Appendix I to Custody Agreement between the Registrant and The Bank of New York. |
(h)(2) | Amended Exhibit A to Fund Administration and Accounting Agreement between the Registrant and The Bank of New York. |
(h)(4) | Amended Exhibit A to Transfer Agency and Service Agreement between the Registrant and The Bank of New York. |
(i)(1) | Opinion and Consent of Morgan, Lewis & Bockius LLP. |
(i)(2) | Opinion and Consent of Chapman and Cutler LLP. |
(m)(2) | Exhibit A to 12b-1 Service Plan. |