QQQ vs SMH ETF Comparison

Compare QQQ and SMH side-by-side — including expense ratio, yield, holdings count, index exposure, and portfolio overlap analysis.

Key Differences

Feature QQQ SMH
Expense Ratio 0.20% 0.35%
Dividend Yield 0.6% 0.3%
Holdings 100 25
Index Tracked NASDAQ-100 Index MVIS US Listed Semiconductor 25 Index
Inception Date 1999-03-10 2011-12-20

QQQ vs SMH: Which Is Better?

QQQ and SMH are both widely used by ETF investors, but they serve different portfolio roles depending on diversification goals, sector exposure, and long-term strategy.

QQQ is designed for investors seeking large-cap growth and technology exposure and tracks NASDAQ-100 Index. It is commonly used in portfolios focused on us growth allocations.

SMH is designed for investors seeking semiconductor industry exposure and tracks MVIS US Listed Semiconductor 25 Index. It is commonly used in portfolios focused on technology allocations.

Portfolio Overlap

Understanding how much QQQ and SMH overlap in their underlying holdings is key to evaluating whether combining them adds diversification or creates redundancy in your portfolio.

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