CWVGX Mutual Fund

CWVGX Mutual Fund

NAV$26.65
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Showing top 45 of 45 holdings · as of Mar 31, 2026
CWVGX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1
NESN
Nestle Sa
5.03%
5.0%402,977$39.53M--
2—AstraZeneca PLC
4.66%
9.7%187,543$36.67M--
Share changes, sector and industry · Pro
3—Asml Holding Nv
4.23%
13.9%25,029$33.28M
4
ICE
Intercontinental Hotels Group Plc
3.62%
17.5%215,933$28.48M
5—Aia Group Ltd
3.55%
21.1%2,512,523$27.92M
6—Roche Holding Ag
3.42%
24.5%67,382$26.89M
7
CPG
Compass Group Plc /Gbp/
3.39%
27.9%953,793$26.61M
8
IBE
Iberdrola Sa
3.37%
31.3%1,156,978$26.49M
9
SCHN
Schneider Electric Se
3.25%
34.5%93,672$25.51M
10
LVMH
Lvmh Moet Hennessy
3.23%
37.8%46,480$25.41M
11
RB
Reckitt Benckiser Group Plc
3.21%
41.0%375,066$25.22M
12—Keyence Corp
3.09%
44.1%68,167$24.26M
13
DBSM
DBS Group Holdings Ltd Dbs Group Holdings Ltd
3.08%
47.1%544,197$24.22M
14
BNPP
Bnp Paribas
3.00%
50.1%247,533$23.58M
15
AXAF
Axa S.A.
2.92%
53.1%500,126$22.98M
16—NatWest Group PLC
2.85%
55.9%3,025,718$22.41M
17
SAF
Safran Sa
2.78%
58.7%66,785$21.85M
18—L Oreal Prime De Fidelite 2027
2.76%
61.4%53,204$21.72M
19
HLMA
Halma Plc
2.70%
64.1%415,173$21.19M
20—Cie Financiere Richemont Sa
2.46%
66.6%109,371$19.31M
21
REL
RELX Plc
2.38%
69.0%571,714$18.73M
22
LSEG
London Stock Exchange Group Plc
2.33%
71.3%155,139$18.32M
23
KBC
Kbc Group Nv
2.30%
73.6%147,841$18.09M
24
AMA
Amadeus It Group Sa
2.06%
75.7%283,619$16.22M
25
INDT
Indutrade Ab
1.97%
77.6%675,253$15.48M
26
HDB
HDFC Bank Ltd
1.96%
79.6%1,966,826$15.41M
27—Recruit Holdings Ltd
1.95%
81.5%351,857$15.33M
28
LONN
Lonza Group Ag
1.95%
83.5%23,846$15.30M
29
STMN
Straumann Hldg-R
1.91%
85.4%143,331$15.00M
30—Tokyo Electron Ltd. Com Stk
1.88%
87.3%59,608$14.81M
31—Atlas Copco Ab, Class A
1.82%
89.1%811,927$14.33M
32—Terumo Corp
1.78%
90.9%1,041,980$14.00M
33
SIKA
Sika Ag
1.78%
92.7%84,678$14.02M
34
IFXGN
Infineon Technologies AG Ordinary Shares
1.72%
94.4%297,740$13.51M
35
ITRK
Intertek Group Plc
1.35%
95.7%218,848$10.65M
36
IMCD
Imcd Group Bv
1.14%
96.9%85,722$8.97M
37—Taiwan Semiconductor - Adr
1.12%
98.0%26,166$8.84M
38—Coloplast A/s, Class A
1.11%
99.1%128,173$8.73M
39
MVRXX
Morgan Stanley Institutional L Msilf Government Port Inst
0.93%
100.0%7,273,241$7.27M
40
OREP
L'Oreal Sa Common Stock EUR 0.2
0.71%
100.7%13,617$5.56M
41—Africa Renewable
0.02%
100.8%999,999$131.1K
42—Gnet Defta Development Holdg
0.01%
100.8%400,000$96.2K
43—Bioceptive Series A Preferred
0.00%
100.8%582,574-
44—Finae Series D
0.00%
100.8%2,597,442-
45—Bioceptive Series B
0.00%
100.8%40,523-
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CWVGX Mutual Fund All Holdings

CWVGX holdings total 45 positions. The top 10 holdings account for 37.8% of the fund, led by Nestle Sa at 5.0%, AstraZeneca PLC at 4.7%, Asml Holding Nv at 4.2%.

CWVGX portfolio concentration is moderate, with the top 10 representing 37.8% of total assets. The largest sector exposure is Financials at 8.4%.

CWVGX sectors provide a detailed breakdown. CWVGX overlap shows how holdings compare to other funds in your portfolio.