
Capital Group Core Plus Income ETF (CGCP) ETF Ticker
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About Capital Group Core Plus Income ETF
The Capital Group Core Plus Income ETF endeavors to generate consistent current income and achieve optimal total returns, while simultaneously safeguarding invested capital. This fund constructs a diverse portfolio of fixed-income instruments, including government and agency bonds, corporate debt, mortgage- and asset-backed securities, municipal obligations, and debt issued by emerging markets and non-U.S. entities. Its holdings also extend to high-yield securities. The target maturities for the bonds within the fund are flexibly managed, adapting to the prevailing investment strategy. Regarding portfolio composition, the fund observes specific limits: Up to 35% of its assets may be invested in securities classified as below investment grade (defined as BB+/Ba1 or lower, or unrated but considered equivalent by the investment adviser at the time of acquisition). This threshold encompasses high-yield corporate bonds and debt from developing country governments and corporations. A maximum of 10% of the portfolio can be allocated to equity securities and instruments possessing both debt and equity characteristics. Investments in securities denominated in currencies other than the U.S. dollar are limited to 35% of assets. Similarly, exposure to securities issued by emerging market entities is capped at 35% of the fund's total assets.
CGCP etf facts
| Ticker symbol | CGCP |
| Exchange | New York Stock Exchange Arca |
| Sector | Financial Services |
| Industry | Asset Management - Income |
| Market cap | $8.1B |
| Headquarters | Los Angeles, CA, US |
| IPO date | 2022-02-24 |
| Website | www.capitalgroup.com/advisor/investments/exchange-traded-funds/details/cgcp |
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What is the ticker symbol for Capital Group Core Plus Income ETF?
The ticker symbol for Capital Group Core Plus Income ETF is CGCP, listed on the New York Stock Exchange Arca.
What is CGCP?
The Capital Group Core Plus Income ETF endeavors to generate consistent current income and achieve optimal total returns, while simultaneously safeguarding invested capital. This fund constructs a diverse portfolio of fixed-income instruments, including government and agency bonds, corporate debt, mortgage- and asset-backed securities, municipal obligations, and debt issued by emerging markets…