sector exposure

4 articles
The Motley FoolThe Motley Fool··Jake Lerch

VBR vs. ISCV: Comparing Two Small-Cap Value ETF Heavyweights

$VBR dominates $ISCV in scale ($62.3B vs $594.6M) with better liquidity, while $ISCV edges performance (18.3% vs 17.9%) with higher yield.
MRNACFISCVVBRdividend yieldsector exposure
The Motley FoolThe Motley Fool··Katie Brockman

VGT vs. XLK: Diversification Showdown in the Tech ETF Wars

VGT offers broader tech diversification with 320 holdings; XLK concentrates on 71 mega-cap stocks. XLK has outperformed recently but carries higher concentration risk.
NVDAMSFTXLKAAPLVGTdividend yieldsector exposure
The Motley FoolThe Motley Fool··Sara Appino

FDVV vs. HDV: High-Dividend ETFs Diverge on Tech Exposure

Two high-dividend ETFs offer similar yields but opposite strategies: FDVV embraces tech for growth; HDV favors defensive sectors for stability.
JNJNVDAMSFTAAPLXOM+2energy sectordividend yield
The Motley FoolThe Motley Fool··Jonathan Ponciano

Astoria Portfolio Adds $2.68M to Bank ETF as Financial Sector Extends Gains

Astoria Portfolio increased its stake in the Invesco KBW Bank ETF by $2.68M, reflecting continued institutional confidence in the banking sector amid strong 24.3% annual gains.
WFCWFCpAWFCpCWFCpDWFCpL+28institutional investmentbank ETF