Data as of:
brimindinvest.com / compare / vgt-vs-ftecLIVE
VGT
Vanguard Information Technology ETF · ETF
$122.31
+2.95% this month
VERSUS
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FTEC
Fidelity MSCI Information Technology Index ETF · ETF
$291.75
+2.90% this month
Comparison scoreboard
FTEC LEADS 3/5
Exp. Ratioi
VGT 0.09%
FTEC 0.08%
1Y Returni
VGT +33.84%
FTEC +34.09%
Div. Yieldi
VGT 0.36%
FTEC 0.35%
AUMi
VGT $170.65B
FTEC $21.25B
Betai
VGT 1.37
FTEC 1.37
Metrics last refreshed: 9/19/2026
Quick take

VGT vs FTEC Stock Comparison: AI Score, Valuation, Performance and Upside

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VGT and FTEC both target technology sector exposure but take different paths to get there — VGT via the MSCI US Investable Market Information Technology Index, and FTEC via the MSCI USA IMI Information Technology Index. The practical differences come down to issuer, cost structure, and the specific index rules each fund follows, since both are pursuing a similar investment outcome.

VGT vs FTEC is largely a question of which issuer and index methodology you trust more for technology sector exposure — the underlying investment case is similar, so cost, liquidity, and tracking precision tend to be the deciding factors.

Live analysis · updated 9/19/2026

FTEC holds the edge across 3 of 5 key metrics in this comparison. FTEC has delivered stronger 1-year price return (+34.09% vs +33.84% for VGT).

Normalized 1Y performance
VGT
FTEC
Recent returns
VGT
FTEC
Who should consider this stock?
VGT may suit investors who:
  • want the lowest-cost, broadest technology sector fund
  • prefer Vanguard's approach and fund lineup
  • value one of the lowest expense ratios among tech sector ETFs
  • are comfortable with still concentrated at the top in mega-cap names
FTEC may suit investors who:
  • want broader-based technology sector exposure at ultra-low cost
  • prefer Fidelity's approach and fund lineup
  • value one of the lowest expense ratios among tech sector ETFs
  • are comfortable with less liquid and no meaningful options market versus XLK
Performance & AI score
Performance & AI score
MetricVGTFTEC
ETF scorei87.087.0
Latest closei$122.31$291.75
1M returni+2.95%+2.90%
6M returni+39.08%+39.03%
1Y returni+33.84%+34.09%

The ETF score weights long-term returns and risk-adjusted performance most heavily, but still rewards low expense ratios, larger fund size, and broader diversification — so it can favor low-cost, broad, mega-cap funds over smaller thematic or actively-managed funds even when the latter have delivered stronger returns.

$10,000 invested — hypothetical growth (dividends reinvested)

How much would $10,000 be worth today if invested at the start of each period, with all dividends reinvested?

$10,000 invested — hypothetical growth (dividends reinvested)
PeriodVGTFTEC
1Y ago$13.44K (+34.4%)
started 2025-09-18
$13.47K (+34.7%)
started 2025-09-18
5Y ago$25.46K (+154.6%)
started 2021-09-20
$25.67K (+156.7%)
started 2021-09-20
10Y ago$98.8K (+888.0%)
started 2016-09-19
$96.57K (+865.7%)
started 2016-09-19

Hypothetical — past performance does not guarantee future results.

Fund characteristics
Fund characteristics
MetricVGTFTEC
Expense ratioi0.09%0.08%
Total assets (AUM)i$170.65B$21.25B
Dividend yieldi0.36%0.35%
Trailing P/Ei32.6332.62
Betai1.371.37
52-week change33.84%34.09%
Risk & fund metrics
Risk & fund metrics
MetricVGTFTEC
1Y returni+33.84%+34.09%
6M returni+39.08%+39.03%
1M returni+2.95%+2.90%
1Y Sharpe ratio1.121.13
Betai1.371.37
Dividend yieldi0.36%0.35%
5Y CAGR+19.77%+20.01%
Correlation

Over the past year, VGT and FTEC have moved strongly in the same direction (correlation of 1.00), based on daily returns.

1Y
1.00
-1.0+1.0
5Y
1.00
-1.0+1.0
10Y
1.00
-1.0+1.0
Drawdown & downside risk

Lower drawdown and smaller single-period drops generally indicate a smoother ride, though they do not guarantee lower future risk.

1Y risk snapshot
VGT max drawdowni16.40%
FTEC max drawdowni16.26%
VGT max wkly dropi9.34%
FTEC max wkly dropi9.32%
5Y risk snapshot
VGT max drawdowni35.07%
FTEC max drawdowni34.95%
VGT max wkly dropi14.00%
FTEC max wkly dropi14.03%
10Y risk snapshot
VGT max drawdowni35.07%
FTEC max drawdowni34.95%
VGT max wkly dropi17.57%
FTEC max wkly dropi17.95%
Performance metrics by period
Performance metrics by period
PeriodMetricVGTFTEC
1YGrowthi+33.84%+34.09%
CAGRi+33.87%+34.12%
Volatilityi24.84%24.91%
Sharpe ratioi1.121.13
Sortino ratioi1.641.65
Max drawdowni16.40%16.26%
Current drawdowni2.64%2.81%
Avg drawdowni5.19%5.16%
Ulcer Indexi6.29%6.25%
Max daily dropi6.14%6.17%
Max wkly dropi9.34%9.32%
5YGrowthi+146.17%+148.62%
CAGRi+19.77%+20.01%
Volatilityi26.00%26.05%
Sharpe ratioi0.650.66
Sortino ratioi0.940.96
Max drawdowni35.07%34.95%
Current drawdowni2.64%2.81%
Avg drawdowni9.29%9.23%
Ulcer Indexi13.20%13.14%
Max daily dropi7.24%7.23%
Max wkly dropi14.00%14.03%
10YGrowthi+800.52%+784.12%
CAGRi+24.59%+24.36%
Volatilityi24.98%25.07%
Sharpe ratioi0.830.82
Sortino ratioi1.181.17
Max drawdowni35.07%34.95%
Current drawdowni2.64%2.81%
Avg drawdowni6.36%6.37%
Ulcer Indexi10.26%10.24%
Max daily dropi13.49%13.84%
Max wkly dropi17.57%17.95%
AI Prediction Signali
Members only
Next 5 trading days
VGT
+2.8%BUY
FTEC
+1.1%HOLD
Next 30 trading days
VGT
+6.4%BUY
FTEC
+3.2%HOLD

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Fund overview
Fund overview
CategoryVGTFTEC
Fund nameVanguard Information Technology Index Fund ETF SharesFidelity MSCI Information Technology Index ETF
TypeETFETF
Expense ratioi0.09%0.08%
Total assets (AUM)i$170.65B$21.25B
Dividend yieldi0.36%0.35%
VGT strengths
  • One of the lowest expense ratios among tech sector ETFs
  • Broadest tech-stock universe of the major sector funds
  • Vanguard's index-tracking efficiency and tax friendliness
FTEC strengths
  • One of the lowest expense ratios among tech sector ETFs
  • Includes more mid-cap tech names than the narrower XLK
  • Fidelity's zero-commission trading for Fidelity account holders
Risks to watch — VGT
  • Still concentrated at the top in mega-cap names
  • Excludes Amazon and Meta under MSCI's sector classification
  • Sector-fund concentration risk applies regardless of breadth
Risks to watch — FTEC
  • Less liquid and no meaningful options market versus XLK
  • Still concentrated in the same mega-cap leaders at the top
  • Sector-fund concentration risk applies equally to both
Frequently asked questions
Neither VGT nor FTEC is universally "better" — VGT is built for the lowest-cost, broadest technology sector fund, while FTEC is built for broader-based technology sector exposure at ultra-low cost. Investors should pick based on which exposure and cost structure fits their own portfolio goals rather than assuming one strictly dominates the other.
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