CGMS
+0.09 · +0.32%
$27.72 · NYSE ARCA

Capital Group U.S. Multi-Sector Income ETF (CGMS) ETF Analysis | Multisector Bond

Capital Group · USA
AUM:$4.4B
#– of – in Multisector Bond ETFs

Educational tool only – Figures are based on historical data, holdings and expense metrics for informational purposes. This is not financial advice or a recommendation to buy or sell any security. Always conduct your own research or consult a qualified financial adviser.

Market Performance

Up 7.3% over the past year, showing positive momentum.

Cost Efficiency

Ongoing charge of 0.39% — moderate cost. Consider how fees compound over long holding periods.

What is CGMS?

The fund normally invests at least 80% of its assets in the securities of issuers domiciled within the United States. The fund invests primarily in bonds and other debt instruments, which may be represented by derivatives.

Performance Highlights

Returns (%)
Top Sectors (%)

Investment Breakdown

Positive 1-Year Return
CGMS returned 7.3% over the past year. Historical returns only — past performance is not indicative of future results.
Moderate Cost
Expense ratio of 0.39%. Consider how fees compound over a long holding period.
Moderate Concentration
Top 10 holdings make up 39.3% of the ETF — a moderate level of name concentration.
ETF Information
AUM$4.4B
Expense Ratio0.39%
Dividend Yield6.00%
Holdings3
Inception DateOct 2022
Domicile–
Distribution–
Index–
ProviderCapital Group
Beta0.74
CategoryMultisector Bond
CurrencyUSD
Portfolio Impact

How would CGMS affect your portfolio?

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Example preview
6168
+7 points · better diversified

Chart Tools

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Uses ISF.L (iShares FTSE 100 ETF)
Indicators

Performance Metrics

Historical returns

6M
-1.4%
1Y
+1.3%
3Y
+21.7%
5Y
+31.3%
OpenBook InsightIf you had invested £10,000 in CGMS 5 years ago, it would have grown to £13,133 — a gain of £3,133.

Annual Returns

Calendar year performance

CGMS delivered positive returns in 4 of the last 5 calendar years.
YearCGMS
2026 YTD-0.5%
2025+7.7%
2024+7.8%
2023+11.3%
2022+2.6%
CAGR 4yr+7.3%
4/5 positive yearsAvg return: +5.8%Worst year: -0.5% (2026)

Technical Analysis Summary

Automated insights from historical price action and indicators

Technical Regime: MIXED
Trend Strength
33%
Negative
Volatility
3.8%
Low
Momentum
-0.3%
30-day change
Support Level
27.07
Key floor
Key Insights
  • Price is consolidating, with low momentum over the recent period.
  • Low volatility environment with a narrower recent trading range.
  • Monitor key support and resistance levels as part of broader risk assessment.