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Frequently asked questions about First Trust NASDAQ-100 Ex-Technology Sector Index Fund

What is an ETF?

An exchange-traded fund, or ETF, is a basket of assets such as stocks, bonds, commodities, or other instruments. ETFs trade on exchanges like regular stocks and often aim to track an index, sector, strategy, or asset class.

What is the QQXT price today?

QQXT is trading at 98.19 today. Over the past 24 hours, its price has changed by -0.30%. Follow the QQXT chart to monitor current market dynamics.

How can I invest in an ETF like QQXT?

ETFs such as QQXT can be bought and sold through brokers. Before investing, compare fees, liquidity, tracking quality, and whether the ETF fits your strategy.

What does QQXT invest in?

QQXT is First Trust NASDAQ-100 Ex-Technology Sector Index Fund. Review the analysis section on metatrader.com to see the asset mix, sector exposure, and concentration of the ETF.

What is the expense ratio of QQXT?

The expense ratio shows the annual operating cost of holding an ETF relative to its assets. Check the QQXT fund statistics on metatrader.com to compare its costs with similar ETFs.

Is QQXT leveraged?

Review the fund profile of QQXT to confirm whether it uses leverage. Leveraged ETFs use borrowing or derivatives to amplify returns and usually carry higher risk than non-leveraged funds.

Should I buy or sell QQXT?

A decision to buy or sell QQXT should be based on the fund's holdings, costs, liquidity, NAV behavior, technical picture, and your risk profile. Use the chart, fund data, and market news before making a decision.

Who issues QQXT?

QQXT is issued by First Trust Nasdaq-100 Ex-Technology Sector Index Fund. The issuer is responsible for managing the ETF according to its stated objective and methodology.

What index does QQXT track?

QQXT is First Trust NASDAQ-100 Ex-Technology Sector Index Fund. Check the ETF profile to see the benchmark, replication method, and investment objective of the fund.

How is QQXT managed?

ETF management depends on the fund's objective. QQXT may use a passive or active approach; review the fund profile to understand how it selects, weights, and rebalances its holdings.

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