CGW vs VGI

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Quick Verdict

VGI offers more diversification with 353 holdings.

Side-by-Side Comparison

MetricCGWVGI
Fund FamilyInvesco (US)Virtus Global Multi-Sector Income Fund
Expense Ratio0.59%-
AUM$1.0B$149M
Dividend Yield1.45%-
Holdings Count77-
Inception Date2007-05-14-
Investment StyleMid Cap Blend-
1-Month Return+4.39%-
YTD Return+7.98%-
1-Year Return+23.15%-
3-Year Return+12.85%-
5-Year Return+8.95%-
10-Year Return+11.62%-
Buy Score81-
Momentum Score83-
Value Score52-

Holdings Overlap

0.0%
Weight Overlap
0
Shared Holdings
353
Total Unique

Sector Allocation

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Frequently Asked Questions

Which has lower fees, CGW or VGI?

Expense ratio data is not currently available.

Do CGW and VGI hold the same stocks?

CGW and VGI share 0 common holdings with a 0.0% weight overlap. They hold 353 unique securities combined. The moderate overlap means holding both could provide meaningful diversification benefits.

Which performed better, CGW or VGI?

Historical return data is not currently available for comparison.