technology is such an integral part of all aspects of our daily lives that the sector is virtually certain to have more days in the sun. biotechnology funds are usually included in the healthcare sector, although they can sometimes fall into the tech sector as well. as with most other types of funds, tech funds can also be either domestic or global in regards to what securities are eligible for purchase.
the volatility inherent in this sector often results in high portfolio turnover, which is usually greater than that of funds in other sectors, such as energy or consumer staples. technology funds also tend to be volatile, although their price movements have historically been relatively tangential to the overall markets. tax-conscious investors should also carefully consider the capital gains distributions that will result from high portfolio turnover however, those investors who are seeking long-term, aggressive growth holdings for their portfolios would be wise to consider a fund in this category.
these mere words evoke strong memories for some investors, from the euphoria during the off-the-charts growth of the late 1990s to invesco technology sector y, ifodx, 3.89, 27.27, 14.48, 31.82, 11.94, 14.56. ivy science and technology e, istex, 3.31, 20.96, 12.22, 31.09, 5.46, 15.69. two funds from t. rowe price make the list, and they have different ways to attack the tech sector. technology mutual funds vanguard, fidelity select it services portfolio, best technology funds 2017, best technology funds 2016, best technology index funds, best technology mutual funds 2016, best technology mutual funds 2017, red oak technology select fund
the good, the bad and the uglyinvestors must consider the same criteria when examining technology funds as those of any other sector. past performance should also be looked at in light of what the tech sector has done, as well as the overall market. the volatility and capital gains distributions inherent in these funds should be carefully weighed against their performance history as well as the objective and risk tolerance of the investor.