CGW vs TYO

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Quick Verdict

CGW has a lower expense ratio. CGW delivered stronger 1-year returns. CGW offers more diversification with 77 holdings.

Side-by-Side Comparison

MetricCGWTYO
Fund FamilyInvesco (US)Direxion Shares ETF Trust
Expense Ratio0.59%1.00%
AUM$1.0B$9M
Dividend Yield1.45%3.85%
Holdings Count776
Inception Date2007-05-142009-04-16
Investment StyleMid Cap BlendTrading-Inverse Debt
1-Month Return+4.39%+1.89%
YTD Return+7.98%+1.51%
1-Year Return+23.15%-5.33%
3-Year Return+12.85%+7.45%
5-Year Return+8.95%+12.86%
10-Year Return+11.62%+0.23%
Buy Score8155
Momentum Score8341
Value Score5236

Holdings Overlap

0.0%
Weight Overlap
0
Shared Holdings
0
Total Unique

Sector Allocation

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Frequently Asked Questions

Which has lower fees, CGW or TYO?

CGW has an expense ratio of 0.59% while TYO charges 1.00%. CGW is the cheaper option, saving you money on management fees over time.

Do CGW and TYO hold the same stocks?

CGW and TYO share 0 common holdings with a 0.0% weight overlap. They hold 0 unique securities combined. The moderate overlap means holding both could provide meaningful diversification benefits.

Which performed better, CGW or TYO?

Over the past year, CGW returned +23.15% while TYO returned -5.33%. CGW outperformed over this period. Past performance does not guarantee future results.