CGGO ETF

$42.45

Fund Essentials - as of Mar 31, 2026

Net Assets
$11.9B
Expense Ratio
0.47%
Dividend Yield (Current)
1.71%
Holdings
115
Inception Date
Feb 22, 2022
Fund Family
Capital Group (US)
Investment Style
••••••••••
Asset Class
••••••••••
Legal Structure
••••••••••
Dividend Frequency
Semi-Annually
SEC 30-Day Yield
••••••••••

Performance

YTD+20.77%
1 Year+38.02%
3 Year+22.53%

Asset Allocation

Stocks: 97.98%
Cash: 1.94%
Other: 0.08%

Price Chart (6M)

View Full Chart →

Top Holdings

View All →
TickerNameWeight
TSM:TWTSM:TW6.38%
MUMU3.71%
AVGOAVGO3.66%
000660:KR000660:KR3.65%
ASML:ASASML:AS2.69%
Top 10 Concentration: 29.95%Report Date: Mar 31, 2026
Download all 115 holdings for CGGO
CSV export with sector, industry & share changes
Get CSV

Dividend Summary

View Details →
Dividend Yield (Current)
1.71%
Frequency
Semi-Annually

Peer Comparison

Benchmark
••••••••••
Outperforming by ••••%
Ranked #••• of •,••• funds
This ETF
+••.••%
Peer Avg
+••.••%
Premium Feature
Sign in to unlock peer comparison, category rankings and more

CGGO ETF Overview

CGGO ETF (Capital Group Global Growth Equity ETF) is managed by Capital Group (US) with $11.90B in net assets. CGGO expense ratio is 0.47%, holding 115 positions across sectors including Unknown. Inception date: 2022-02-22.

CGGO performance shows a YTD return of 20.77%. The 1-year return is 38.02%. CGGO dividend yield stands at 1.71%, paid semi-annually.

CGGO top holdings include TSM:TW (6.4%), MU (3.7%), AVGO (3.7%), 000660:KR (3.6%), ASML:AS (2.7%). View all CGGO holdings, sector breakdown, or dividend history.

CGGO can be compared against other funds using the overlap calculator or side-by-side comparison tool. CGGO alternatives are available via the screener, along with tax-loss harvesting opportunities.

1 Month
+10.12%
YTD
+20.77%
1 Year
+38.02%
3 Year
+22.53%

Magnificent 7 Exposure

Combined weight of mega-cap tech leaders

8.7%

of portfolio

MSFTMSFT
2.20%
GOOGLGOOGL
1.96%
NVDANVDA
1.69%
METAMETA
1.58%
AMZNAMZN
0.80%
AAPLAAPL
0.44%

Top 10 Holdings (29.9% of portfolio)

#TickerNameSectorWeight
1TSM:TWTSM:TWUnknown6.38%
2MUMUUnknown3.71%
3AVGOAVGOUnknown3.66%
4000660:KR000660:KRUnknown3.65%
5ASML:ASASML:ASUnknown2.69%
6MSFTMSFTUnknown2.20%
7CCUnknown2.08%
8GOOGLGOOGLUnknown1.96%
9CMQXXCMQXXUnknown1.91%
10AON:IEAON:IEUnknown1.71%