QTEC vs. RAFE ETF Comparison

Comparison of First Trust NASDAQ-100- Technology Index Fund (QTEC) to PIMCO RAFI ESG U.S. ETF (RAFE)
QTEC

First Trust NASDAQ-100- Technology Index Fund

QTEC Description

The investment seeks investment results that correspond generally to the price and yield (before the fund's fees and expenses) of an equity index called the NASDAQ-100 Technology Sector Index(SM). The fund will normally invest at least 90% of its net assets plus the amount of any borrowings for investment purposes in common stocks that comprise the index. The index is an equal-weighted index based on the securities of the NASDAQ-100 Index(R) that are classified as "technology" according to the Industry Classification Benchmark classification system. The fund is non-diversified.

Grade (RS Rating)

Last Trade

$195.46

Average Daily Volume

114,333

Number of Holdings *

43

* may have additional holdings in another (foreign) market
RAFE

PIMCO RAFI ESG U.S. ETF

RAFE Description The investment seeks to provide total return that closely corresponds, before fees and expenses, to the total return of the RAFI ESG US Index. The fund seeks to achieve its investment objective by investing under normal circumstances at least 80% of its total assets in the component securities of the RAFI ESG US Index. The underlying index is constructed by RAFI Indices, LLC using a rules-based approach within publicly traded U.S. equities to create an integrated ESG strategy which overweights companies that rate well across various ESG themes and excludes companies with a major involvement in industries such as tobacco, gaming, weapons and fossil fuels.

Grade (RS Rating)

Last Trade

$37.47

Average Daily Volume

12,394

Number of Holdings *

237

* may have additional holdings in another (foreign) market
Performance
Period QTEC RAFE
30 Days 1.76% 0.70%
60 Days 4.48% 2.26%
90 Days 1.92% 3.92%
12 Months 23.11% 22.96%
22 Overlapping Holdings
Symbol Grade Weight in QTEC Weight in RAFE Overlap
AAPL C 2.28% 5.06% 2.28%
ADBE C 2.31% 0.5% 0.5%
ADI D 2.13% 0.31% 0.31%
AMAT F 2.21% 0.71% 0.71%
AMD F 2.03% 0.05% 0.05%
AVGO D 2.27% 1.07% 1.07%
CDNS B 2.52% 0.1% 0.1%
CDW F 1.83% 0.09% 0.09%
CTSH B 2.44% 0.15% 0.15%
INTC C 2.61% 2.33% 2.33%
KLAC F 1.94% 0.18% 0.18%
LRCX F 2.21% 0.43% 0.43%
MCHP F 1.94% 0.05% 0.05%
META D 2.34% 0.98% 0.98%
MRVL B 2.8% 0.11% 0.11%
MSFT D 2.24% 4.52% 2.24%
MU D 2.49% 0.84% 0.84%
NVDA B 2.89% 0.88% 0.88%
ON D 2.2% 0.08% 0.08%
QCOM F 2.21% 1.29% 1.29%
SNPS B 2.47% 0.07% 0.07%
TXN C 2.31% 0.7% 0.7%
QTEC Overweight 21 Positions Relative to RAFE
Symbol Grade Weight
TEAM A 3.5%
DASH B 2.84%
FTNT C 2.81%
ZS B 2.75%
PANW B 2.64%
ADSK A 2.62%
CRWD B 2.62%
DDOG A 2.61%
PDD F 2.56%
WDAY B 2.49%
INTU B 2.48%
GFS C 2.47%
ANSS B 2.42%
MDB B 2.39%
ROP B 2.31%
ARM F 2.24%
NXPI D 2.2%
ASML F 1.99%
GOOG C 1.23%
GOOGL C 1.22%
SMCI F 0.9%
QTEC Underweight 215 Positions Relative to RAFE
Symbol Grade Weight
JPM A -3.18%
C A -2.61%
JNJ C -2.55%
CSCO B -2.39%
WFC A -2.2%
PG C -2.18%
PFE F -1.92%
T A -1.86%
GM C -1.79%
BMY B -1.6%
IBM C -1.45%
HD B -1.4%
MRK D -1.39%
ORCL A -1.33%
VZ C -1.29%
CMCSA B -1.28%
ABBV F -1.26%
CI D -1.09%
AMGN F -0.98%
LOW C -0.95%
ABT B -0.93%
F C -0.92%
LIN C -0.91%
TGT F -0.91%
MMM D -0.88%
GILD C -0.87%
V A -0.86%
DIS B -0.85%
GS A -0.8%
ACN B -0.78%
KO D -0.78%
ELV F -0.76%
BAC A -0.68%
MA B -0.63%
LLY F -0.6%
HPQ B -0.58%
HPE B -0.56%
MET A -0.55%
PYPL B -0.51%
AXP A -0.51%
UNH B -0.5%
CRM B -0.49%
DD C -0.48%
ALL A -0.46%
JCI B -0.45%
DE B -0.43%
UPS C -0.42%
DOW F -0.42%
NKE F -0.4%
PRU A -0.4%
BBY D -0.4%
TSLA B -0.39%
DHR F -0.38%
TJX A -0.38%
ADP A -0.37%
TMUS B -0.37%
NEM D -0.36%
WM B -0.35%
FDX B -0.35%
IP A -0.34%
MCK A -0.34%
EBAY D -0.33%
HUM C -0.33%
APD A -0.32%
CVS D -0.32%
WDC D -0.3%
CARR C -0.3%
CBRE B -0.3%
CL D -0.29%
FIS C -0.29%
BDX F -0.27%
GIS D -0.26%
ADM D -0.26%
WELL A -0.26%
ITW B -0.25%
PEP F -0.24%
BIIB F -0.24%
MDLZ F -0.24%
CAH B -0.24%
MAR A -0.23%
KMB C -0.23%
EA A -0.23%
LUMN C -0.22%
GEHC D -0.22%
FI A -0.22%
NTAP C -0.22%
STT B -0.21%
WY F -0.21%
HIG B -0.21%
ECL D -0.21%
CCI C -0.21%
SYY D -0.2%
AMP A -0.2%
PGR A -0.2%
EQIX A -0.19%
EIX B -0.19%
PARA C -0.18%
JLL D -0.18%
VTR B -0.18%
MOS F -0.17%
PPG F -0.17%
MSI B -0.17%
KHC F -0.17%
WHR B -0.17%
OC A -0.17%
BK A -0.16%
VFC C -0.16%
PFG D -0.16%
JNPR D -0.16%
CMI A -0.16%
GWW B -0.15%
AMT C -0.15%
FOXA A -0.15%
BAX F -0.15%
IRM C -0.15%
LH B -0.15%
K A -0.14%
SHW B -0.13%
EQR C -0.13%
BALL F -0.13%
AVB B -0.13%
A D -0.13%
MCO B -0.13%
DVA C -0.13%
DG F -0.12%
PKG A -0.12%
OMC C -0.12%
HLT A -0.12%
CF A -0.12%
EW C -0.12%
ARW D -0.12%
KSS F -0.12%
ISRG A -0.11%
DELL B -0.11%
COR B -0.11%
CNC D -0.11%
ZTS D -0.11%
KDP F -0.11%
TPR B -0.11%
IFF D -0.1%
AWK C -0.1%
FAST B -0.1%
FITB B -0.1%
BSX A -0.09%
KEYS A -0.09%
TSCO D -0.09%
HST C -0.09%
PAYX B -0.09%
SWK D -0.09%
WAT C -0.09%
TROW B -0.09%
SYK B -0.09%
EL F -0.09%
PVH C -0.09%
GAP C -0.09%
OTIS C -0.09%
DOX D -0.08%
HCA F -0.08%
AVT C -0.08%
TER F -0.08%
WBA F -0.08%
SPGI C -0.08%
HOLX D -0.08%
ILMN C -0.07%
LNC C -0.07%
LEA F -0.07%
LKQ F -0.07%
WAB B -0.07%
VTRS A -0.07%
SOLV D -0.07%
SJM D -0.07%
USFD A -0.07%
HUN F -0.06%
CAG F -0.06%
NTRS A -0.06%
MAA B -0.06%
AKAM D -0.06%
DXC B -0.06%
NWSA A -0.06%
GPC D -0.06%
PLD F -0.06%
NFLX A -0.06%
DOV A -0.05%
KD B -0.05%
HSY F -0.05%
EQH C -0.05%
DGX A -0.05%
CHD A -0.05%
NDAQ A -0.05%
KIM A -0.05%
GT C -0.05%
TSN B -0.05%
NWL C -0.04%
FLEX B -0.04%
ESS B -0.04%
ORLY B -0.04%
HAS D -0.04%
XRX F -0.04%
MHK D -0.04%
CTVA C -0.04%
ROK C -0.04%
CPB D -0.04%
HSIC C -0.04%
FL F -0.04%
WU F -0.03%
AAP D -0.03%
AGCO D -0.03%
OGN F -0.03%
GEN B -0.03%
RSG A -0.03%
ANET C -0.02%
MAN F -0.02%
M F -0.02%
HRL D -0.01%
O C -0.01%
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