tech sector exposure

4 articles
The Motley FoolThe Motley Fool··Katie Brockman

VOO vs. VTI: Which Vanguard ETF Better Weathers Market Storms?

VOO and VTI showed comparable drawdowns in 2022 and 2008 bear markets, with similar 10-year returns. Choice depends on tech exposure preferences, not crash protection.
VTIVOOportfolio diversificationmarket crash resilience
The Motley FoolThe Motley Fool··Katie Brockman

Small-Cap Diversification vs. Tech Growth: IWM and QQQ Offer Divergent Paths

IWM and QQQ present contrasting strategies: QQQ emphasizes large-cap tech concentration with higher returns and volatility, while IWM offers broad small-cap diversification with lower volatility and higher dividend yield.
QQQNVDAMSFTAAPLIWMdividend yieldsmall-cap stocks
The Motley FoolThe Motley Fool··Katie Brockman

VOOG's Tech Dominance Outpaces IWO's Small-Cap Diversity in Growth Race

Large-cap growth ETF $VOOG outperforms small-cap $IWO over five years with lower fees, but $IWO offers broader diversification and lower tech concentration for risk-averse investors.
NVDAMSFTAAPLVOOGIWOportfolio concentrationdiversification
The Motley FoolThe Motley Fool··Katie Brockman

SOXX vs. CHAT: Weighing Semiconductor Precision Against AI Breadth

$SOXX offers focused, low-cost semiconductor exposure; $CHAT provides broader active AI management with higher yields but more volatility. $CHAT slightly outperformed over two years.
NVDAMSFTGOOGGOOGLSOXX+1semiconductor stocksgenerative AI