ftec stock price: Fidelity FTEC ETF Guide
Fidelity MSCI Information Technology Index ETF (FTEC) — "ftec stock price"
ftec stock price queries are commonly about the ETF’s current market price, net asset value (NAV), recent performance and historical price series. This guide explains what "ftec stock price" refers to, where the data comes from, how market price and NAV interact, and practical steps for checking and trading FTEC while highlighting how investors typically use this ETF in a technology allocation.
Quick facts / Infobox content
- Ticker: FTEC
- Exchange: NYSE Arca (primary listing)
- Asset class: ETF — Information Technology sector (U.S. equities)
- Inception date: mid‑2016 (issuer inception year listed by Fidelity)
- Assets under management (AUM): several billions USD (see issuer page for latest figure)
- Expense ratio: low (Fidelity lists a sub‑0.10% expense ratio; confirm current figure on the fund factsheet)
- Dividend yield: typically low-to-moderate for a growth-oriented IT ETF (check the latest yield reported by the issuer)
- Primary index tracked: MSCI USA IMI Information Technology Index (or equivalent MSCI information-technology benchmark)
- Number of holdings: a few hundred (representative sampling across U.S. information-technology companies)
- Trading currency: USD (U.S. dollars)
As with any ETF, specific numeric values such as AUM, yield and number of holdings change over time — check the issuer’s factsheet or a live quote service for the up-to-date "ftec stock price" context.
Listing and ticker information
FTEC trades under the ticker symbol FTEC on NYSE Arca. When investors search for "ftec stock price" they are typically looking at the ETF’s last traded market price shown by broker quote feeds or public financial websites.
Exchange trading hours for NYSE Arca are standard U.S. equity hours (regular session), with pre-market and after‑hours reporting available in many broker platforms. Real-time market quotes show the latest trade price and bid/ask; NAV data for FTEC is usually updated at least daily by the issuer.
Data providers and brokers use the ticker FTEC to return market price, extended-hours prices, intraday charts and NAV history. When someone types "ftec stock price" into a quote box, the platform maps that request to the FTEC ticker and returns the latest market data and related metrics.
Investment objective and index tracked
FTEC’s investment objective is to track the performance of an MSCI information-technology benchmark — commonly the MSCI USA IMI Information Technology Index or an equivalent index. That index is designed to provide market-cap‑weighted exposure to U.S. companies classified in the information technology sector across the investable market‑cap spectrum (large, mid and small caps), while applying MSCI’s 25/50 concentration rule to limit extreme single-stock concentration.
The tracked index represents companies primarily involved in information‑technology goods and services: semiconductors and equipment, software, IT services, hardware, and related technologies. For investors checking the "ftec stock price," the index tells you the benchmark exposure behind the ETF’s holdings and returns.
Fund profile and management
FTEC is sponsored by Fidelity and offered as a passively managed, index‑tracking exchange‑traded fund. Fidelity uses an indexing approach rather than active stock selection, aiming to replicate or closely track the returns of its stated MSCI technology benchmark.
Replication is typically achieved via representative sampling: the ETF holds a diversified basket of index constituents sized to mirror index sector and factor exposures, rather than buying every single index security in exact index weights in all cases. Fidelity’s large asset‑management platform and ETF family provide operational scale, daily NAV calculation, and regular reporting through the fund factsheet and prospectus.
Notable features investors often cite include Fidelity’s competitive feeing for passive ETFs, institutional-grade trading infrastructure and readily available fund documentation. These operational details feed into how traders monitor the "ftec stock price" and decide on order execution.
Holdings and sector exposure
FTEC’s portfolio is concentrated in information‑technology companies, with top holdings typically representing some of the largest technology names by market capitalization. Examples of names frequently found among the top holdings are NVIDIA, Apple, Microsoft, Broadcom and similar large-cap technology firms. These names can materially influence the ETF’s price movement.
The ETF usually holds a few hundred securities to capture broad industry exposure within the U.S. information‑technology sector. Subsector weightings emphasize semiconductors, software, hardware, IT services and related industries. Because mega-cap tech names often carry large index weights, FTEC can be sensitive to the performance of a handful of giant firms.
When looking up "ftec stock price," investors should be aware that short-term price moves may be driven by the largest holdings or subsector-specific news.
Fees, expenses and fund economics
Fidelity positions FTEC with a low expense ratio relative to many actively managed funds and some sector ETFs. The expense ratio is an ongoing annual cost that reduces total fund returns. For precise cost, consult the fund factsheet — Fidelity publishes the current expense ratio in the prospectus and summary document.
Other costs to consider when trading around the "ftec stock price" include bid/ask spreads and brokerage commissions (if applicable). ETFs that track large, liquid sectors generally display tight bid/ask spreads; however, spreads widen during market stress or thin liquidity periods. Market participants often look at the ETF’s average daily trading volume and quoted spread when planning trades to estimate expected transaction costs.
For buy-and-hold investors, the annual expense ratio and distribution reinvestment policy are the primary economics. Traders, by contrast, weigh intraday spread and market impact when timing trades around the displayed "ftec stock price." Bitget users should factor in Bitget’s execution environment and fee schedule when trading.
Performance and historical price
ETF performance can be expressed by market-price total return (which includes price changes plus distributions reinvested based on market trades) and NAV total return (which uses the ETF’s calculated NAV for intrinsic performance). When people search "ftec stock price," they often want the latest market price history as a quick proxy for recent returns.
Historical returns vary with market cycles. Over multi‑year periods, information‑technology sector ETFs like FTEC have generally delivered strong cumulative returns when mega-cap tech companies and semiconductors outperformed broad markets; conversely, they underperformed during technology selloffs or sector rotation into value segments.
To study historical performance for FTEC — including 1‑year, 5‑year and since‑inception returns — use the issuer’s performance tables and reputable financial-data services that provide NAV and market-price total return charts. These sources also let you switch between price-only, dividend-adjusted and total-return views to properly interpret the "ftec stock price" history.
Price history and key price statistics
Investors checking the "ftec stock price" commonly look for:
- Most recent close (last trade price)
- Intraday high and low for the trading session
- 52‑week high and 52‑week low
- Average daily volume (trading liquidity)
- Market capitalization (derived from share count times market price) and AUM (fund assets under management)
- Valuation metrics where applicable (e.g., weighted P/E of holdings) and the ETF’s yield
These statistics give context to a live quote: the raw "ftec stock price" is more informative when paired with volume, 52‑week range and NAV comparisons.
NAV, market price, premium/discount dynamics
ETF quotes usually show two related but different figures: the intraday market price and the fund’s calculated NAV per share. NAV is the sum of underlying holdings’ market values divided by shares outstanding and is typically published at the end of each trading day (and sometimes updated intraday by the issuer).
The difference between market price and NAV can be expressed as a premium (market price > NAV) or discount (market price < NAV). For highly liquid, large ETFs like FTEC, premiums and discounts are normally small because authorized participants (APs) can create or redeem shares to keep market price aligned with NAV. Still, short-term divergences can occur during volatile sessions or when a particular holding’s liquidity is impaired.
When monitoring "ftec stock price," check the premium/discount indicator on your data provider to know whether the traded price fairly reflects the ETF’s intrinsic value.
Distributions and dividends
FTEC pays distributions driven by dividends from its underlying holdings and any realized capital gains. Sector ETFs focused on growth‑oriented technology firms typically distribute lower yields than value or income-focused funds. Distributions are often made quarterly, and the fund announces ex‑dividend dates and payment amounts in its shareholder reports.
Dividend yield contributes to total return and is part of what investors have in mind when they compare fund options and the historical "ftec stock price" total return. For exact recent distribution amounts and ex‑dividend dates, consult the fund’s distributions page or the issuer’s reporting.
Trading and liquidity considerations
Average daily volume is a primary liquidity metric for traders checking the "ftec stock price." A higher average volume typically implies tighter bid/ask spreads and lower market impact when executing orders.
Common order types used for ETFs include:
- Limit orders (recommended for price control to avoid paying a worse price than seen in the quote)
- Market orders (execute immediately at prevailing prices but can suffer slippage in volatile periods)
For FTEC, many brokers and trading platforms also offer extended-hours trading (pre-market and after-hours), but liquidity is usually lower outside regular hours. Options and shorting availability depend on the broker and the ETF’s listing — many large ETFs have options chains and are shortable; confirm availability on your trading platform.
During low-liquidity periods or market stress, the "ftec stock price" can gap or display wider spreads. To minimize execution risk, traders often use limit orders or route orders through venues that aggregate liquidity. Bitget traders should use Bitget’s order tools and review share‑level liquidity before executing large trades.
Risk profile
Principal risks associated with FTEC include:
- Sector concentration risk: FTEC is focused on information technology; poor sector performance or regulatory changes impacting tech can cause outsized losses relative to diversified broad-market funds.
- Mega‑cap concentration: Large firms such as NVIDIA, Apple and Microsoft may command significant index weights, amplifying idiosyncratic risk.
- Volatility: Tech sector ETFs can be more volatile than broad-market ETFs.
- Tracking error: The ETF may not perfectly match the index due to sampling, fees and transaction costs.
- Liquidity risk: While generally liquid, ETF pricing can be affected during market stress or when primary holdings have liquidity issues.
Investors searching “ftec stock price” should pair price monitoring with an understanding of these risks rather than using price moves alone as a buy/sell signal.
Tax considerations
U.S. investors face common ETF tax considerations: dividend income is taxable in the year received and may qualify for lower tax rates if dividends meet qualified dividend criteria. Capital gains from selling ETF shares are taxable as short‑ or long‑term depending on holding period.
ETFs often achieve tax efficiency via in-kind creation/redemption mechanisms, which can reduce capital gains distributions versus active mutual funds. International tax treatment and specific outcomes will vary by investor residence and account type (taxable account vs. retirement account). Consult a tax professional for personalized guidance rather than relying solely on price movements such as the "ftec stock price."
Comparison with peers
Investors comparing "ftec stock price" to similar ETFs look at peers such as those tracking the U.S. technology sector or broad NASDAQ/tech indices. Common comparisons include ETFs that cover U.S. information technology (e.g., ETFs that track other MSCI or sector indices), large-cap tech ETFs and broader tech-heavy funds.
Key differentiators to evaluate when comparing FTEC with peers include:
- Expense ratio: lower fees can compound into better long-term net returns.
- Index methodology: MSCI vs other index providers can change constituent lists and weightings.
- Holdings and concentration: differences in top holdings and sector subsector exposure.
- Liquidity and AUM: larger funds typically have tighter spreads and more stable flows.
When checking "ftec stock price," compare the price performance and NAV total return to peer ETFs over identical periods to understand relative performance.
How to check the FTEC stock price (data sources and interpretation)
Practical ways to obtain an up‑to‑date "ftec stock price" include:
- Your brokerage platform or trading app: provides real‑time or near‑real‑time market price, bid/ask, volume and execution capability. For traders preferring Bitget’s environment, review FTEC availability and quote features on Bitget.
- Issuer fund page (Fidelity): provides NAV, fund factsheet, holdings, distributions and official documentation.
- Financial data sites and market‑data services: common sources offer delayed and real‑time feeds, interactive charts and historical price series. Note whether a site displays real‑time quotes or delayed data when searching "ftec stock price."
When reading data, distinguish between market price and NAV, confirm quote time stamps and check whether the quote is real‑time or delayed. For historic analysis, use total‑return charts that include reinvested distributions rather than price-only charts where applicable.
How to buy and trade FTEC
To buy FTEC, open a brokerage account that supports U.S. equities and ETFs. Steps typically include:
- Search the ticker FTEC in your broker’s trade ticket (entering "ftec stock price" into the search box will return the live quote).
- Choose order type (limit to control execution price is common for ETFs).
- Input share quantity and submit the order during market hours, or place a limit-on-open/limit-on-close order depending on your strategy.
Considerations before trading include the expense ratio, tax implications, your portfolio allocation objectives and whether FTEC’s technology concentration matches your investment goals (core technology allocation vs. tactical exposure).
Bitget users should verify instrument availability, trading hours and commission schedule on Bitget and consider using Bitget Wallet for custody needs if applicable.
Recent developments and news flow
As of 2025-12-31, according to issuer reporting and mainstream financial outlets, sector flows and earnings cycles in large-cap technology companies remain primary drivers of prices in technology ETFs.
Types of news that commonly move the "ftec stock price" include:
- Earnings results and guidance of the ETF’s largest holdings (chipmakers, cloud and software companies)
- Sector rotation or macroeconomic shifts that alter growth vs. value sentiment
- Index reconstitutions or methodology changes that affect constituent weights
- Fund inflows or outflows which can influence supply/demand dynamics
For timely updates on factors affecting the "ftec stock price," monitor the issuer’s fund news, company earnings calendars of top holdings, and reputable financial news outlets.
References and data sources
Primary sources for price and fund data used when checking the "ftec stock price" typically include:
- Fidelity fund page and official fund factsheet/prospectus (issuer documents)
- Exchange quote feeds for NYSE Arca (via brokers and data vendors)
- Major financial-data and news providers that publish ETF quotes, charts and historical series
Always validate critical numbers such as AUM, expense ratio, and recent distributions against the issuer’s official documents.
See also
- Exchange-traded fund
- Sector ETF
- Technology sector investing
- MSCI indexes
- Peer ETFs (Vanguard Information Technology ETF — VGT; Technology Select Sector ETF — XLK; iShares U.S. Technology ETF — IYW)
External links
A complete reference article would link to the issuer’s official FTEC fund page, the ETF factsheet and prospectus, and major quote/data providers for live "ftec stock price" data.
Further reading and next steps: explore the fund factsheet on Fidelity for the latest AUM, expense ratio and the issuer’s NAV history; check live quotes through your brokerage to see the current "ftec stock price" and consider Bitget’s trading tools if you prefer to trade within Bitget’s platform or use Bitget Wallet for custody.
Note: This article is informational and not investment advice. Verify current metrics on issuer pages and quoting services before making trading decisions. Sources: issuer documents and mainstream market-data providers (reported dates are shown where specific figures are cited).

















