FTEC vs SMH — stock comparison tool

FTEC currently yields 0.45% TTM versus SMH at 0.19%. Use the calculator below to compare DRIP total returns and fundamentals side by side.

FTECSMH
Performance Comparison
Total return with dividends reinvested (DRIP) from a $10,000 start — price + income.
FTEC
SMH

*Total Return = DRIP (price + reinvested dividends). Range: 2025-09-23 to 2026-09-23. Legend ordered low → high.

Chart metrics: Total Return (%) · Price Return (%) · Portfolio Value ($) · Stock Price · Dividends (Annual) · Dividend Growth (%). Market Cap history is not available yet.

Calendar-year total returns

Side-by-side yearly performance for each ticker (adjusted close ≈ total return)

FTEC Total Returns by Year
Calendar-year total returns, including reinvested dividends
Adj. close

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SMH Total Returns by Year
Calendar-year total returns, including reinvested dividends
Adj. close

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Best Total Return

No data

Highest Dividend Income

No data

Best Avg Annual Return

No data

DRIP Simulation Summary
$10,000 initial investment with DRIP (live)
TickerPeriodStart $End $DividendsStart PriceEnd PriceSharesReturn %
Current Data Comparison
Live fundamental metrics and analyst data
Metric
FTEC$299.40

Fidelity MSCI Information Technology Index ETF

SMH$596.03

VanEck Semiconductor ETF

Dividend Information

Dividend Yield
0.45%
0.19%
Annual Dividend
$1.33
$1.10
Dividend Growth (5yr)
-
-
Years of Growth
4
2
ETF holdings & allocation
Side-by-side composition for each ETF in this comparison.

FTEC

294 holdings
Technology99.33%
Communication Services0.42%
Financial Services0.30%
Industrials0.30%
Energy0.27%
Consumer Cyclical0.07%
Basic Materials0.00%
Cash & Others0.00%

Top 10 holdings

NameWeight
NVDANVIDIA CORP18.41%
AAPLAPPLE INC15.88%
MSFTMICROSOFT CORP11.29%
MUMICRON TECHNOLOGY INC4.43%
AVGOBROADCOM INC4.35%
AMDADVANCED MICRO DEVICES INC2.99%
CSCOCISCO SYSTEMS INC1.69%
INTCINTEL CORP1.65%
LRCXLAM RESEARCH CORP1.52%
PLTRPALANTIR TECHNOLOGIES INC1.50%
Top 1063.71%

SMH

26 holdings
Technology100.00%
Cash & Others0.02%

Top 10 holdings

NameWeight
NVDANvidia Corp23.45%
TSMTaiwan Semiconductor Manufacturing Co L9.65%
AVGOBroadcom Inc6.11%
MUMicron Technology Inc5.61%
AMDAdvanced Micro Devices Inc5.29%
ASMLAsml Holding Nv5.08%
ADIAnalog Devices Inc4.27%
TXNTexas Instruments Inc4.26%
LRCXLam Research Corp4.22%
AMATApplied Materials Inc4.16%
Top 1072.10%

Overlap & differences

Ticker overlap by weight, sector tilts, and where one fund is overweight. Open full tool

79205
FTECSharedSMH

Overlap by weight

41%

Share of portfolio weight that appears in both funds.

# overlapping holdings

20

FTEC: 20% also in SMHSMH: 80% also in FTEC

FTEC: showing top 99 holdings by weight (of 294) · SMH: showing top 25 holdings by weight (of 26). Overlap counts use this top slice, not the full fund book.

Sector drift (FTEC vs SMH)

Left = heavier in FTEC. Right = heavier in SMH.

FTEC overweight (left)SMH overweight (right)
20 shown

Overlapping tickers

NVDA
18.4%23.4%18.4%
MU
4.4%5.6%4.4%
AVGO
4.3%6.1%4.3%
AMD
3.0%5.3%3.0%
INTC
1.7%4.0%1.7%
LRCX
1.5%4.2%1.5%
AMAT
1.4%4.2%1.4%
KLAC
1.0%3.8%1.0%
TXN
0.9%4.3%0.9%
MRVL
0.8%3.9%0.8%

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FTEC vs SMH Dividend Comparison | DRIP Tool | Dividend Wealth