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CGGE · ARCA · ETF

Capital Group Global Equity ETF (CGGE) Price, Holdings & Fees

$373.25−0.60%−$2.26End-of-day price as of Oct 9, 2026

Capital Group Global Equity ETF (CGGE) closed at $373.25 on Oct 9, 2026, down 0.60% from the previous close of $375.51.

Share price, past year

1Y +16.05%

52-week range $312.04 – $380.75. Daily closing prices.
Monthly closing prices
Last closing price of each month
DateClose
Oct 9, 2026$373.25
Sep 30, 2026$375.61
Aug 31, 2026$354.02
Jul 31, 2026$348.89
Jun 30, 2026$335.38
May 29, 2026$333.45
Apr 30, 2026$342.00
Mar 31, 2026$348.16
Feb 27, 2026$334.61
Jan 30, 2026$329.97
Dec 31, 2025$320.35
Nov 28, 2025$332.30
Oct 31, 2025$318.82

Key statistics

Expense ratio
0.47%
as of Jul 31, 2025
Net assets
$2.8B
as of May 31, 2026
Holdings
115
as of May 31, 2026
52-week range
$312.04 – $380.75

Capital Group Global Equity ETF's expense ratio is 0.47%: $47.00 a year on $10,000 invested.

Holdings

Capital Group Global Equity ETF held 115 investments worth $2.80B as of May 31, 2026. Its largest holding was Alphabet Inc, at 5.26% of the fund.

Capital Group Global Equity ETF largest holdings by share of net assets
#Holding% of fundValue
1Alphabet Inc5.26%$147.03M
2Broadcom Inc5.19%$145.14M
3Taiwan Semiconductor Manufacturing Co Ltd3.84%$107.46M
4Microsoft Corp3.61%$100.96M
5Apple Inc3.17%$88.76M
6Capital Group Central Cash Fund2.96%$82.72M
7SK hynix Inc2.94%$54.50K
8ASML Holding NV2.74%$89.24M
9NVIDIA Corp2.16%$60.47M
10JPMorgan Chase & Co2.07%$57.86M
11Amazon.com Inc2.00%$56.03M
12General Electric Co2.00%$55.95M
13AstraZeneca PLC1.67%$62.94M
14Safran SA1.58%$51.55M
15Rolls-Royce Holdings PLC1.46%$54.80M
16Meta Platforms Inc1.35%$37.64M
17TotalEnergies SE1.33%$43.49M
18GE Vernova Inc1.31%$36.61M
19DBS Group Holdings Ltd1.30%$28.43M
20Micron Technology Inc1.21%$33.83M
21UniCredit SpA1.11%$36.14M
22Engie SA1.10%$36.01M
23Philip Morris International Inc1.07%$29.98M
24SAP SE1.06%$34.64M
25Mastercard Inc1.06%$29.55M

Top 25 of 115 holdings, as of May 31, 2026. Percentages are of the fund's net assets.

What the fund owns

Capital Group Global Equity ETF holdings by asset type
Asset type% of fund
Stocks99.65%
Capital Group Global Equity ETF holdings by country, largest 10
Country% of fund
United States52.33%
France7.15%
Japan6.72%
United Kingdom5.95%
Netherlands3.95%
Taiwan3.84%
Germany3.69%
South Korea2.94%
Switzerland1.70%
Ireland1.65%

Shares of net assets from the fund's N-PORT report. Funds that borrow can add up to more than 100%, with borrowing (such as repurchase agreements) shown as a negative share.

Monthly total returns

Over the 3 months to May 31, 2026, Capital Group Global Equity ETF's total return was +4.94%, as reported to the SEC.

Capital Group Global Equity ETF monthly total returns
MonthTotal return
May 31, 2026+4.72%
Apr 30, 2026+8.62%
Mar 31, 2026−7.74%

The fund's own total returns as reported to the SEC (N-PORT), including reinvested distributions. Not the sample prices above.

Fund profile

Name
Capital Group Global Equity ETF
Ticker
CGGE
Exchange
ARCA
Fund type
ETF
SEC series ID
S000084722
SEC CIK
0002008374
Fractional shares
Yes

Recent SEC filings

Shareholder reports and prospectuses are filed by Capital Group Global Equity ETF, the trust behind Capital Group Global Equity ETF, and cover all of its funds.

Frequently asked questions

What is CGGE's price?

Capital Group Global Equity ETF (CGGE) closed at $373.25 on Oct 9, 2026, down 0.60% from the previous close of $375.51.

What is CGGE's expense ratio?

Capital Group Global Equity ETF's expense ratio is 0.47%: $47.00 a year on $10,000 invested.

What does CGGE hold?

Capital Group Global Equity ETF held 115 investments worth $2.80B as of May 31, 2026. Its largest holding was Alphabet Inc, at 5.26% of the fund. Its five largest holdings were Alphabet Inc, Broadcom Inc, Taiwan Semiconductor Manufacturing Co Ltd, Microsoft Corp, Apple Inc.

How has CGGE performed?

Over the 3 months to May 31, 2026, Capital Group Global Equity ETF's total return was +4.94%, as reported to the SEC.

Sources and methodology

Holdings, net assets and monthly returns come from the fund's N-PORT filing with the SEC, as of May 31, 2026 (filed Jul 21, 2026). The expense ratio is from the fund's prospectus or shareholder report, as of Jul 31, 2025. Prices are generated sample data for development. Data sources and disclosures