Schedule A
FUNDS
For each Fund, the investment management fee shall be accrued daily and calculated in accordance with the corresponding schedule set forth below:
(1) Effective as of the Date, with respect to the Fund listed below, the investment management fee shall be accrued daily and calculated in accordance with the following schedule:
| Average Daily Net Assets | Annual Rate |
| Fund net assets up to and including $2.5 billion | 0.55000% |
| Fund net assets greater than $2.5 billion up to and including $5 billion | 0.53625% |
| Fund net assets greater than $5 billion up to and including $7.5 billion | 0.52250% |
| Fund net assets greater than $7.5 billion up to and including $10 billion | 0.50875% |
| Fund net assets greater than $10 billion up to and including $15 billion | 0.49500% |
| Fund net assets greater than $15 billion | 0.46750% |
| Fund | Ticker | Effective Date of Agreement |
| First Trust NASDAQ-100 Select Equal Weight ETF | QQEW | December 22, 2025 |
(2) Effective as of the Date, with respect to the Fund listed below, the investment management fee shall be accrued daily and calculated in accordance with the following schedule:
| Average Daily Net Assets | Annual Rate |
| For the first $2.5 billion | 0.60000% |
| For the next $2.5 billion | 0.58500% |
| For the next $2.5 billion | 0.57000% |
| For the next $2.5 billion | 0.55500% |
| For the next $5 billion | 0.54000% |
| For the amount over $15 billion | 0.51000% |
| Fund | Ticker | Effective Date of Agreement |
| First Trust Bloomberg Inflation Sensitive Equity ETF | FTIF | March 9, 2023 |
| First Trust S&P 500 Diversified Free Cash Flow ETF | FCFY | August 22, 2023 |
(3) Effective as of the Date, with respect to the Fund listed below, the investment management fee shall be accrued daily and calculated in accordance with the following schedule:
| Average Daily Net Assets | Annual Rate |
| Fund net assets up to and including $2.5 billion | 0.7500% |
| Fund net assets greater than $2.5 billion up to and including $5 billion | 0.7313% |
| Fund net assets greater than $5 billion up to and including $7.5 billion | 0.7125% |
| Fund net assets greater than $7.5 billion up to and including $10 billion | 0.6938% |
| Fund net assets greater than $10 billion | 0.6750% |
| Fund | Ticker | Effective Date of Agreement |
| FT Vest Laddered Autocallable Barrier & Income ETF | ACYN | December 19, 2025 |
| FT Vest Laddered Autocallable Barrier & Resilient Income ETF | ACYS | April 15, 2026 |
| FT Vest Laddered Autocallable Barrier & Review ETF | ACRW | May 8, 2026 |
| FT Vest Laddered Autocallable Barrier & High Income ETF | ACYQ | June 10, 2026 |
(4) Effective as of the Date, with respect to the Fund listed below, the investment management fee shall be accrued daily and calculated in accordance with the following schedule:
| Average Daily Net Assets | Annual Rate |
| Fund net assets up to and including $2.5 billion | 0.85000% |
| Fund net assets greater than $2.5 billion up to and including $5 billion | 0.82875% |
| Fund net assets greater than $5 billion up to and including $7.5 billion | 0.80750% |
| Fund net assets greater than $7.5 billion up to and including $10 billion | 0.78625% |
| Fund net assets greater than $10 billion | 0.76500% |
| Fund | Ticker | Effective Date of Agreement |
| First Trust WCM International Equity ETF | WCMI | October 2, 2024 |
| FT Vest Bitcoin Strategy & Target Income ETF | DFII | March 26, 2025 |
| First Trust WCM Global Equity ETF | WCMG | April 14, 2026 |
(5) Effective as of the Date, with respect to the Fund listed below, the investment management fee shall be accrued daily and calculated in accordance with the following schedule:
| Average Daily Net Assets | Annual Rate |
| Fund net assets up to and including $2.5 billion | 0.90000% |
| Fund net assets greater than $2.5 billion up to and including $5 billion | 0.87750% |
| Fund net assets greater than $5 billion up to and including $7.5 billion | 0.85500% |
| Fund net assets greater than $7.5 billion up to and including $10 billion | 0.83250% |
| Fund net assets greater than $10 billion | 0.81000% |
| Fund | Ticker | Effective Date of Agreement |
| FT Vest Bitcoin Strategy Floor15 ETF – April | BFAP | March 26, 2025 |
| FT Vest Bitcoin Strategy Floor15 ETF – July | BFJL | June 18, 2025 |
| FT Vest Bitcoin Strategy Floor15 ETF – October | BFOC | September 29, 2025 |
| FT Vest Bitcoin Strategy Floor15 ETF – January | BFJA | December 24, 2025 |
(6) Effective as of the Date, with respect to the Fund listed below, the investment management fee shall be accrued daily and calculated in accordance with the following schedule:
| Average Daily Net Assets | Annual Rate |
| Fund net assets up to and including $2.5 billion | 0.95000% |
| Fund net assets greater than $2.5 billion up to and including $5 billion | 0.92625% |
| Fund net assets greater than $5 billion up to and including $7.5 billion | 0.90250% |
| Fund net assets greater than $7.5 billion up to and including $10 billion | 0.87875% |
| Fund net assets greater than $10 billion | 0.85500% |
| Fund | Ticker | Effective Date of Agreement |
| First Trust WCM Developing World Equity ETF | WCME | October 2, 2024 |