First Trust Nasdaq-100 Select Equal Weight ETF (QQEW)


Market Price (9/1/2026): $161.955

First Trust Nasdaq-100 Select Equal Weight ETF (QQEW)


Market Price (9/1/2026): $161.955

Key Takeaways

  • QQEW has returned +16.2% YTD vs +12.8% for SPY, +16.8% for QQQ; +21.7% over the past 12 months (SPY +19.9%, QQQ +26.1%). details →
  • Priced in gold, QQEW has returned -33.2% over the past 3 years, vs +53.6% in dollars — its dollar gains have lagged gold. details →
  • QQEW is trading within 1.1% of its all-time high. details →
  • Risk-adjusted returns trail QQQ: 3-year Sharpe ratio of 0.5 vs 0.9. details →
  • QQEW's top 10 holdings represent 26% of the fund vs 46% for QQQ — a more diversified portfolio. details →
Last updated: 8/31/2026.

Price Chart

Asset Allocation with QQEW

Risk Tolerance:
ConservativeModerateAggressive
Moderate — 55% equity / 25% bonds / 20% alternatives
10Y Return (ann.)
+11.4%
Volatility
11.9%
Sharpe
0.74
YTD
+10.9%
Modeled with monthly rebalancing to target weights; 10-year figures are annualized from monthly returns. Illustrative only — past performance is not indicative of future results.

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Tailored Asset Allocation
[1] Personalized 5 Level Risk Tolerance Assessment
[2] Asset Allocation for My Risk Tolerance
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[1] Defensive Portfolios
[2] Tax-Efficient Strategies

Top 20 Holdings for QQEW

Total Weights
Top 5: 13.5% | Top 10: 26.0% | Top 20: 48.6%

HoldingETF Weight
25809K105DoorDash, Inc. (Class A)2.87%
009066101Airbnb, Inc. (Class A)2.74%
98138H101Workday, Inc. (Class A)2.70%
05464C101Axon Enterprise Inc.2.59%
697435105Palo Alto Networks, Inc.2.55%
704326107Paychex, Inc.2.53%
776696106Roper Technologies, Inc.2.53%
053015103Automatic Data Processing, Inc.2.50%
75886F107Regeneron Pharmaceuticals, Inc.2.49%
031162100Amgen Inc.2.48%
252131107DexCom, Inc.2.38%
09857L108Booking Holdings Inc.2.37%
92532F100Vertex Pharmaceuticals Incorporated2.34%
34959E109Fortinet, Inc.2.32%
69608A108Palantir Technologies Inc. (Class A)2.30%
58733R102MercadoLibre, Inc.2.24%
594918104Microsoft Corporation2.20%
052769106Autodesk, Inc.2.18%
00724F101Adobe Incorporated2.17%
375558103Gilead Sciences, Inc.2.09%

Return vs. Risk

Price Returns Compared

 202120222023202420252026Total [1]
Returns
QQEW Return18%-25%33%7%14%16%69%
Peers Return26%-32%52%27%21%16%129%
S&P 500 Return27%-19%24%23%16%13%105%

Monthly Win Rates [3]
QQEW Win Rate67%33%58%67%58%50% 
Peers Win Rate81%33%67%75%67%50% 
S&P 500 Win Rate75%42%67%75%67%50% 

Max Drawdowns [4]
QQEW Max Drawdown-10%-31%-13%-10%-21%-16% 
Peers Max Drawdown-11%-35%-11%-13%-23%-12% 
S&P 500 Max Drawdown-5%-25%-10%-8%-19%-9% 


[1] Cumulative total returns since the beginning of 2021
[2] Peers: QQQ, QQQM, ONEQ.
[3] Win Rate = % of calendar months in which monthly returns were positive
[4] Max drawdown represents maximum peak-to-trough decline within a year
[5] 2026 data is for the year up to 8/31/2026 (YTD)

Sharpe Ratios Compared

One measure of reward vs. risk is a Sharpe ratio. A higher ratio indicates better risk-adjusted returns. Most funds have Sharpe ratios < 1.0.

Ticker1Y3Y5Y
QQEW0.480.480.25
Equity Top Results (3Y)   
IALT2.112.112.11
SPMO0.891.380.82
VLUE2.491.260.69
CORO1.331.251.25
CGDV1.351.230.94

Results as of 7312026.

How Low Can It Go

EventQQEWS&P 500
2025 US Tariff Shock
  % Loss-21.4%-18.8%
  % Gain to Breakeven27.2%23.1%
  Time to Breakeven83 days79 days
Summer-Fall 2023 Five Percent Yield Shock
  % Loss-11.5%-9.5%
  % Gain to Breakeven13.0%10.5%
  Time to Breakeven35 days24 days
2022 Inflation Shock & Fed Tightening
  % Loss-30.7%-24.5%
  % Gain to Breakeven44.3%32.4%
  Time to Breakeven431 days427 days
2020 COVID-19 Crash
  % Loss-30.8%-33.7%
  % Gain to Breakeven44.5%50.9%
  Time to Breakeven77 days140 days
Q4 2018 Fed Policy Error / Growth Scare
  % Loss-19.0%-19.2%
  % Gain to Breakeven23.5%23.8%
  Time to Breakeven63 days105 days
2015-2016 China Devaluation / Global Growth Scare
  % Loss-17.0%-12.2%
  % Gain to Breakeven20.5%13.9%
  Time to Breakeven160 days62 days

Compare to QQQ, QQQM, ONEQ

In The Past

First Trust Nasdaq-100 Select Equal Weight ETF's stock fell -21.4% during the 2025 US Tariff Shock. Such a loss loss requires a 27.2% gain to breakeven.

Preserve Wealth

Limiting losses and compounding gains is essential to preserving wealth.

Asset Allocation

Actively managed asset allocation strategies protect wealth. Learn more.

EventQQEWS&P 500
2025 US Tariff Shock
  % Loss-21.4%-18.8%
  % Gain to Breakeven27.2%23.1%
  Time to Breakeven83 days79 days
2022 Inflation Shock & Fed Tightening
  % Loss-30.7%-24.5%
  % Gain to Breakeven44.3%32.4%
  Time to Breakeven431 days427 days
2020 COVID-19 Crash
  % Loss-30.8%-33.7%
  % Gain to Breakeven44.5%50.9%
  Time to Breakeven77 days140 days
2008-2009 Global Financial Crisis
  % Loss-55.2%-53.4%
  % Gain to Breakeven123.2%114.4%
  Time to Breakeven712 days1085 days

Compare to QQQ, QQQM, ONEQ

In The Past

First Trust Nasdaq-100 Select Equal Weight ETF's stock fell -21.4% during the 2025 US Tariff Shock. Such a loss loss requires a 27.2% gain to breakeven.

Preserve Wealth

Limiting losses and compounding gains is essential to preserving wealth.

Asset Allocation

Actively managed asset allocation strategies protect wealth. Learn more.

QQEW Dip Buy History


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Alerts when dip buy opportunities arise.
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Current Dip Buy Opportunities Across ETFs

ETFs currently down 5% or more from trailing 6M peaks.

TickerNameDip %Mkt PricePrice DatePeak PricePeak Date# Days
SCHASchwab U.S. Small-Cap ETF-5.5%34.16831202636.13630202662
IJKiShares S&P Mid-Cap 400 Growth ETF-5.0%113.158312026119.11817202614
MDYGState Street SPDR S&P 400 Mid Cap Growth ETF-5.0%107.958312026113.69817202614
IJTiShares S&P Small-Cap 600 Growth ETF-5.3%169.658312026179.07804202627
SLYGState Street SPDR S&P 600 Small Cap Growth ETF-5.3%113.228312026119.50804202627
EEMiShares MSCI Emerging Markets ETF-5.9%67.02831202671.21622202670
ASHRXtrackers Harvest CSI 300 China A-Shares ETF-8.0%34.33831202637.30622202670
EWYiShares MSCI South Korea ETF-17.5%180.868312026219.20621202671
EWZiShares MSCI Brazil ETF-13.7%36.03831202641.734142026139
FXIiShares China Large-Cap ETF-7.6%35.37831202638.265132026110
ILFiShares Latin America 40 ETF-8.4%34.90831202638.104142026139
KWEBKraneShares CSI China Internet ETF-16.7%25.81831202630.993102026174
MTUMiShares MSCI USA Momentum Factor ETF-13.0%300.368312026345.22622202670
SPHQInvesco S&P 500 Quality ETF-5.2%85.40831202690.10630202662
SPMOInvesco S&P 500 Momentum ETF-9.0%147.098312026161.66622202670
URAGlobal X Uranium ETF-21.9%45.51831202658.265062026117
BOTZGlobal X Funds Global X Robotics & Artificial Intelligence ETF-13.8%35.89831202641.635132026110
ROBOROBO Global Robotics & Automation Index ETF-11.0%80.44831202690.34602202690
LITGlobal X Lithium & Battery Tech ETF-16.6%76.37831202691.625112026112
ICLNiShares Global Clean Energy ETF-27.2%17.30831202623.75602202690
ARKQARK Autonomous Technology & Robotics ETF-14.8%122.508312026143.82528202695
ARKXARK Space & Defense Innovation ETF-14.2%32.38831202637.74528202695
NASATema Space Innovators ETF-44.5%23.26831202641.89527202696
AGIXKraneShares Artificial Intelligence ETF-8.6%45.13831202649.40601202691
XLKState Street Technology Select Sector SPDR ETF-5.9%186.508312026198.21602202690
XLIState Street Industrial Select Sector SPDR ETF-6.1%175.138312026186.51816202615
XLCState Street Communication Services Select Sector SPDR ETF-6.4%111.468312026119.104192026134
XLUState Street Utilities Select Sector SPDR ETF-10.4%42.23831202647.154092026144
IYJiShares U.S. Industrials ETF-5.1%161.208312026169.86804202627
SMHVanEck Semiconductor ETF-16.8%556.638312026668.91622202670
SOXXiShares Semiconductor ETF-22.0%511.048312026655.01622202670
ITAiShares U.S. Aerospace & Defense ETF-9.8%228.358312026253.22816202615
IYTiShares U.S. Transportation ETF-5.4%85.14831202690.01716202646
KREState Street SPDR S&P Regional Banking ETF-5.6%73.56831202677.93816202615
MISLFirst Trust Indxx Aerospace & Defense ETF-12.9%44.14831202650.663022026182
RINGiShares MSCI Global Gold Miners ETF-12.7%86.52831202699.053022026182
SOXQInvesco PHLX Semiconductor ETF-21.2%90.768312026115.11622202670
TLTiShares 20+ Year Treasury Bond ETF-6.5%82.52831202688.253022026182
VGLTVanguard Long-Term Treasury ETF-5.8%52.76831202656.033022026182
SPTLState Street SPDR Portfolio Long Term Treasury ETF-5.8%25.19831202626.743022026182
TLHiShares 10-20 Year Treasury Bond ETF-5.1%97.008312026102.213022026182
EDVVanguard World Funds Extended Duration ETF-9.5%60.17831202666.523022026182
GSGiShares GSCI Commodity-5.8%30.01831202631.853182026166
GLDSPDR Gold Trust-16.6%408.428312026490.003022026182
IAUiShares Gold Trust-16.6%83.718312026100.383022026182
GLDMSPDR Gold MiniShares Trust-16.5%88.118312026105.543022026182
SGOLETFS Physical Swiss Gold Shares-12.1%44.66831202650.813022026182
BARDirexion Daily Gold Bull 3X Shares-15.6%44.34831202652.533022026182
SLViShares Silver Trust-26.3%60.13831202681.573022026182
PPLTETFS Physical Platinum Shares-22.5%16.25831202620.983022026182
CPERUnited States Copper Index Fund ETV-8.4%33.33831202636.393022026182
PALLETFS Physical Palladium Shares-23.0%24.78831202632.193022026182
USOUnited States Oil Fund LP-12.6%133.708312026152.965192026104
UNGUnited States Natural Gas Fund LP-19.2%10.54831202613.043122026172
BNOUnited States Brent Oil Fund LP ETV-7.1%55.85831202660.135042026119
SCHHSchwab U.S. REIT ETF-5.1%23.58831202624.86726202636
USRTiShares Core U.S. REIT ETF-6.0%65.63831202669.82726202636

ETF Fund Flows

Largest fund inflows and outflows across ETFs, with the asset-allocation rotation they imply.

Net fund flows

Asset allocation rotation · Past month

  • Bond ETFs drew the largest net inflows (+$6.3B), followed by Equity (+$5.5B), while Cash (−$745M) and Commodity (−$20M) saw the largest outflows.
  • Within the mix, money rotated into US Aggregate Core (+$3.6B) and out of Emerging Markets (−$798M).
  • Relative to fund size, CNEQ drew the largest inflow (+95.0% of AUM) and EWZ the largest outflow (−11.0%).
Largest inflows
#TickerNameTypeNet flow% of AUM
1AVLVAvantis U.S. Large Cap Value ETFOther+$3.41B+18.1%
2BNDVanguard Total Bond Market ETFBond US Aggregate Core+$2.3B+1.4%
3EFViShares MSCI EAFE Value ETFEquity International Developed Broad+$2.02B+6.4%
4DYNFiShares U.S. Equity Factor Rotation Active ETFEquity Factor Smart Beta+$1.58B+3.9%
5CNEQAlger Concentrated Equity ETFOther+$1.48B+95.0%
6AGGiShares Core U.S. Aggregate Bond ETFBond US Aggregate Core+$1.33B+1.0%
7ETHAiShares Ethereum Trust ETFCrypto+$1.31B+22.8%
8BNDXVanguard Total International Bond ETFBond International+$1.1B+1.3%
9BOXXAlpha Architect 1-3 Month Box ETFOther+$1.1B+8.1%
10AVUVAvantis U.S. Small Cap Value ETFEquity US Small Value+$1.05B+3.3%
Largest outflows
#TickerNameTypeNet flow% of AUM
1AIQGlobal X - Artificial Intelligence & Technology ETFOther-$942M-9.3%
2EWZiShares MSCI Brazil ETFEquity Emerging Markets-$891M-11.0%
3BILState Street SPDR Bloomberg 1-3 Month T-Bill ETFCash-$529M-1.1%
4DRAMRoundhill Memory ETFOther-$438M-1.7%
5EWYiShares MSCI South Korea ETFEquity Emerging Markets-$387M-1.4%
6DIAState Street SPDR Dow Jones Industrial Average ETF TrustEquity US Large Concentrated-$383M-0.8%
7EWUiShares MSCI United Kingdom ETFOther-$344M-8.9%
8ARKKARK Innovation ETFEquity Thematic-$284M-4.5%
9AKREAkre Focus ETFEquity US Large Growth-$237M-4.4%
10COPXGlobal X - Copper Miners ETFOther-$222M-2.7%

Largest ETF fund flows across ~ funds (min AUM $100M). Net creations/redemptions; leveraged & inverse ETFs excluded. A ⚠ marks a day excluded as a suspected data error.

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About QQEW

0Holdings Count: 102
Expense Ratio: 0.55%
Inception Date: 2006-04-19
First Trust Nasdaq-100 Select Equal Weight ETF
The First Trust Nasdaq-100 Select Equal Weight ETF (QQEW) aims to replicate the overall financial performance – covering both capital growth and income – of the Nasdaq-100 Select Equal Weight Index, prior to accounting for its own operational costs and charges. To achieve this, the Fund consistently allocates at least 80% of its net investments, which includes any borrowed funds, directly into the specific stocks that constitute this benchmark index.
Asset Class: Growth | ETF Website

Recent Active Movers

Peer Comparisons

Peers to compare with:

Profile

QQEWQQQQQQMONEQMedian
NameFirst Trus.Invesco QQ.Invesco NA.Fidelity N. 
Asset ClassEquityEquityEquityEquity-
AUM ($ Bil)1.9480.8104.210.357.3
Expense Ratio0.55%0.18%0.15%0.21%0.19%
10-D Avg Volume (Mil)0.0441.963.760.352.05
Latest Day Volume (Mil)0.017.700.850.050.45
Holdings Count1021031041,046104
Inception Date4/19/20063/10/199910/13/20209/25/2003-

Fundamentals

QQEWQQQQQQMONEQMedian
NameFirst Trus.Invesco QQ.Invesco NA.Fidelity N. 
Net Asset Value165.55706.30294.93104.05-
Premium/Discount-0.0%1.4%0.0%0.0%0.0%
Distribution Yield0.3%0.4%0.4%0.5%0.4%
Sales Yield-16.1%15.9%17.9%16.1%
Earnings Yield-3.1%3.1%3.3%3.1%

Valuation

QQEWQQQQQQMONEQMedian
NameFirst Trus.Invesco QQ.Invesco NA.Fidelity N. 
P/S (TTM)-6.2x6.3x5.6x6.2x
P/E (TTM)-32.5x32.6x30.2x32.5x
P/FCF (TTM)-46.9x47.2x53.2x47.2x
Forward P/E-21.4x21.4x22.0x21.4x
Forward P/S-5.0x5.1x4.7x5.0x

Risk

QQEWQQQQQQMONEQMedian
NameFirst Trus.Invesco QQ.Invesco NA.Fidelity N. 
Volatility (1Y)18.7%19.6%19.4%18.3%19.1%
Volatility (3Y)18.6%20.5%20.3%20.3%20.3%
Volatility (5Y)21.1%22.9%22.8%22.5%22.6%
Beta (1Y)1.221.421.411.371.39
Beta (3Y)1.131.291.281.301.29
Beta (5Y)1.161.281.281.271.27
Sharpe Ratio (1Y)1.121.251.261.221.23
Sharpe Ratio (3Y)0.901.211.221.211.21
Sharpe Ratio (5Y)0.480.720.730.670.70
Max Drawdown (1Y)-15.8%-12.0%-12.0%-12.8%-12.4%
Max Drawdown (3Y)-21.4%-22.8%-22.7%-24.1%-22.7%
Max Drawdown (5Y)-32.1%-35.1%-35.0%-35.2%-35.1%

Returns

QQEWQQQQQQMONEQMedian
NameFirst Trus.Invesco QQ.Invesco NA.Fidelity N. 
1M Return6.6%4.1%4.1%4.0%4.1%
3M Return2.3%-3.5%-3.5%-2.4%-3.0%
6M Return23.6%18.0%18.0%16.4%18.0%
YTD Return16.5%16.8%16.8%14.0%16.6%
1Y Return21.0%24.6%24.6%22.3%23.4%
2Y Return34.9%52.1%52.3%50.5%51.3%
3Y Return60.9%101.6%102.0%100.3%100.9%

Short Interest

Short Interest: As Of Date8142026
Short Interest: Shares Quantity0.0 Mil
Short Interest: % Change Since 7312026-33.2%
Average Daily Volume0.0 Mil
Days-to-Cover Short Interest1