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      INVESTMENTS / EXCHANGE-TRADED FUNDS / ... / / CAPG Capital Group Global Equity Select ETF (Canada)
      Equity

      CAPG Capital Group Global Equity Select ETF™ (Canada)

      Pursuing global opportunities: A global equity strategy focused on capital appreciation. Anchored in on-the-ground research, it takes a flexible, long-term approach to invest in companies across industries and geographies.


        • YTD Returns (%)1
          13.02
          As of 12/3/25
        • Management Expense Ratio (%) tooltip: This is the total of the fund's management fee, fixed-rate administration fee and fund costs. Please refer to the fund's prospectus for additional details.4
          0.81
          As of 6/30/25
        • Dividend Yield (%) tooltip: Income generated by portfolio securities, before expenses; does not reflect unitholder distributions.
          1.25
          As of 10/31/25
        • Morningstar Category
          Global Equity
        • Inception date
          10/22/24
        • FUND ASSETS ($M)
          $176.3
          As of 12/3/25
        • ISSUERS (#)
          104
          As of 11/30/25
        • Benchmark
          MSCI All Country World Index (ACWI) (CAD) tooltip: MSCI All Country World Index is a free float-adjusted market capitalization weighted index that is designed to measure equity market results in the global developed and emerging markets, consisting of more than 40 developed and emerging market country indices.
        Capital Group Global Equity Select ETF™ (Canada)
        • Overview
        • Returns
        • Portfolio composition
        • Fees & expenses
        • Resources
      • Overview
      • Returns
      • Portfolio composition
      • Fees & expenses
      • Resources
      • Overview

        Key information

        Fund Objective
        Long-term growth of capital through investments primarily in common stocks, including growth-oriented stocks, on a global basis. Future income is a secondary objective.
        Distinguishing Characteristics
        The fund invests in companies from around the globe, focusing on high conviction investments across both developed and emerging markets. It follows a flexible approach spanning sectors and geographies. Capital Group’s deep, proprietary research is the foundation of identifying investment ideas for the portfolio.

        Key facts

        Fund inception
        10/22/24
        Fund assets (millions)
        $176.3
        As of 12/3/25 (updated daily)
        Exchange
        TSX
        Issuers (#)
        104
        As of 11/30/25 (updated monthly)
        mthDividendsPaid
        Income distributions paid
        DEC
        Price at NAV
        $29.00
        As of 12/3/25 (updated daily)
        Price at market price
        $29.04
        As of 12/3/25 (updated daily)
        CUSIP
        14021V107
        Risk rating
        Medium
        Registered plan available
        Yes

        Portfolio managers

        Portfolio managers as of 12/4/25. Years of experience are as of the previous calendar year-end.
        Georgios Damtsas
        21 years of investment industry experience
        21 years with Capital Group
        Leo Hee
        32 years of investment industry experience
        20 years with Capital Group
        Dawid Justus
        26 years of investment industry experience
        20 years with Capital Group
        Carl Kawaja
        37 years of investment industry experience
        33 years with Capital Group

        Why our system?

        The Capital System™ is the driving force behind our history of long-term results. It leverages a multi-manager system to construct portfolios containing diverse, high-conviction ideas while promoting continuity and resilience.

        Returns

        returns

        Investment results2, 3

        Total returns for periods ended 11/30/25 (%)
        • ●NAV
        • ●Market Price
        • ●Index
        Returns table
        ETFDaily YTD1M3MYTD1YLifetime
        Index data refers to the MSCI All Country World Index (ACWI) (CAD) tooltip: MSCI All Country World Index is a free float-adjusted market capitalization weighted index that is designed to measure equity market results in the global developed and emerging markets, consisting of more than 40 developed and emerging market country indices..
        Daily YTD as of 12/3/25
        Fund inception: 10/22/24. Index lifetime is based on inception date of the fund.
        Returns greater than one year are annualized.

        Prices & distributions

        As of 12/3/25
        • Price at nav ($)
          $29.00
        • Price change ($)
          $0.05
        • Price change (%)
          0.19%
        • Price at market price ($)
          $29.04
        • Price change ($)
          $0.03
        • Price change (%)
          0.10%
        Prices distributions table
        YTD income subtotal ($)—
        YTD cap gains subtotal ($)—
        YTD total distributions ($)—
        Find Historical Prices
        Find Historical Distributions

        Yield (%)

        As of 10/31/25 (updated monthly)
        Yield
        12-month distribution rate (at NAV) tooltip: Reflects the sum of income distributions over the trailing 12 months, divided by the sum of the previous month's ending NAV plus any capital gains distributed over the 12-month period.
        —
        Dividend yield tooltip: Income generated by portfolio securities, before expenses; does not reflect unitholder distributions.
        1.25

        Portfolio composition

        STD_DEVIATION,NAV_YTD

        Valuation

        As of 9/30/25 (updated quarterly)
        Market valuation statistics
        CAPGINDEX
        Price/Book tooltip: Price-to-book ratio compares a stock's market value to the value of total assets less total liabilities (book value). Adjusted for stock splits. Price-to-cash-flow (P/C) ratio is the average price to cash flow ratio of the individual stocks within a fund. Price-to-earnings (P/E) ratio takes the current price of a stock divided by its earnings per share. The ratio reflects the cost of a given stock per dollar of current annual earnings and is the most common measure of a stock's expense. The higher the P/E, the more investors are paying, and therefore the more earnings growth they are expecting.3.203.10
        Price/Cash flow tooltip: Price-to-cash-flow (P/C) ratio is the average price to cash flow ratio of the individual stocks within a fund.12.8013.00
        Price/Earnings tooltip: Price-to-earnings (P/E) ratio takes the current price of a stock divided by its earnings per share. The ratio reflects the cost of a given stock per dollar of current annual earnings and is the most common measure of a stock's expense. The higher the P/E, the more investors are paying, and therefore the more earnings growth they are expecting.18.3019.20
        Index data refers to the MSCI All Country World Index (ACWI) (CAD) tooltip: MSCI All Country World Index is a free float-adjusted market capitalization weighted index that is designed to measure equity market results in the global developed and emerging markets, consisting of more than 40 developed and emerging market country indices..

        Top equity holdings

        As of 10/31/25 (updated monthly)
        CAPG
        Index
        CAPGIndex
        TSMC6.7%1.3%
        Broadcom5.8%1.8%
        Microsoft4.2%4.0%
        NVIDIA3.4%5.4%
        Alphabet2.2%3.3%
        Amazon.com2.0%2.5%
        BAE Systems1.8%0.1%
        SK Hynix1.8%0.2%
        Vertex Pharmaceuticals1.6%0.1%
        Banco Bilbao Vizcaya Argentaria1.5%0.1%
        Index data refers to the MSCI All Country World Index (ACWI) (CAD) tooltip: MSCI All Country World Index is a free float-adjusted market capitalization weighted index that is designed to measure equity market results in the global developed and emerging markets, consisting of more than 40 developed and emerging market country indices..
        VIEW QUARTERLY HOLDINGS

        Portfolio exposures

        As of 10/31/25 (updated monthly)
        Sector and top underlying holdings
        CAPG (%)INDEX (%)
        Energy2.03.4
        Materials4.63.4
        Industrials13.110.6
        Consumer discretionary13.210.5
        Consumer staples4.35.1
        Health care11.28.6
        Financials15.916.8
        Information technology28.028.5
        Communication services5.98.7
        Utilities—2.6
        Real estate—1.8
        Index data refers to the MSCI All Country World Index (ACWI) (CAD) tooltip: MSCI All Country World Index is a free float-adjusted market capitalization weighted index that is designed to measure equity market results in the global developed and emerging markets, consisting of more than 40 developed and emerging market country indices..

        The New Geography of Investing™6

        As of 10/31/25 (updated monthly)
        Equity portion breakdown by domicile

        Equity portion
        breakdown
        by domicile
        Geographic Allocation Legend - Use arrow keys to navigate table data
        RegionCAPG (%)INDEX (%)
        United States57.364.7
        Canada7.82.9
        Europe & Middle East18.614.3
        Japan2.94.9
        China1.33.2
        Emerging markets ex. China12.17.8
        Equity portion breakdown by revenue

        Equity portion
        breakdown
        by revenue
        Geographic Allocation Legend - Use arrow keys to navigate table data
        RegionCAPG (%)INDEX (%)
        United States46.044.5
        Canada4.02.6
        Europe & Middle East16.014.7
        Japan3.04.2
        Asia-Pacific ex. Japan3.04.2
        China8.011.0
        Emerging markets ex. China14.014.0
        Other6.04.8
        Fund breakdown by domicile

        Fund
        breakdown
        by domicile
        Geographic Allocation Legend - Use arrow keys to navigate table data
        RegionCAPG (%)INDEX (%)
        United States56.364.7
        Canada7.72.9
        Europe & Middle East18.214.3
        Japan2.84.9
        China1.33.2
        Emerging markets ex. China11.97.8
        RegionCAPG (%)INDEX (%)
        United States57.364.7
        Canada7.82.9
        Europe & Middle East18.614.3
        Japan2.94.9
        China1.33.2
        Emerging markets ex. China12.17.8
        RegionCAPG (%)INDEX (%)
        United States46.044.5
        Canada4.02.6
        Europe & Middle East16.014.7
        Japan3.04.2
        Asia-Pacific ex. Japan3.04.2
        China8.011.0
        Emerging markets ex. China14.014.0
        Other6.04.8
        RegionCAPG (%)INDEX (%)
        United States56.364.7
        Canada7.72.9
        Europe & Middle East18.214.3
        Japan2.84.9
        China1.33.2
        Emerging markets ex. China11.97.8
        Index data refers to the MSCI All Country World Index (ACWI) (CAD) tooltip: MSCI All Country World Index is a free float-adjusted market capitalization weighted index that is designed to measure equity market results in the global developed and emerging markets, consisting of more than 40 developed and emerging market country indices..

        Fees & expenses

        Expenses (%)

        Management fee tooltip: The management fee compensates the fund manager for its services. The fund manager provides all managerial, supervisory and administrative services required for the day-to-day operation of the fund.
        0.70
        rafgx
        Management expense ratio tooltip: This is the total of the fund's management fee, fixed-rate administration fee and fund costs. Please refer to the fund's prospectus for additional details.4
        As of 6/30/25
        0.81
        Trading expense ratio tooltip: These are the fund's trading costs.
        As of 6/30/25
        0.04

        Resources

        Literature

        View regulatory documents
        Commissions, management fees and expenses all may be associated with investments in investment funds. Please read the prospectus before investing. The indicated rates of return are the historical annual compounded total returns including changes in unit value and reinvestment of all distributions and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any security holder that would have reduced returns. Investment funds are not guaranteed, their values change frequently, and past performance may not be repeated.
        Capital Group exchange-traded funds (ETFs) are actively managed and do not seek to replicate a specific index. ETF units are bought and sold through an exchange at the then current market price, not net asset value (NAV), and are not individually redeemed from the fund. Units may trade at a premium or discount to their NAV when traded on an exchange. Brokerage commissions will reduce returns. There can be no guarantee that an active market for ETFs will develop or be maintained, or that the ETF's listing will continue or remain unchanged.
        The ETFs are prospectus qualified in Canada and are not registered with the United States Securities and Exchange Commission and are not intended for distribution in the United States.
        There may have been periods when the results lagged the index and/or average. Indices are unmanaged and their results include reinvested distributions but do not reflect the effect of sales charges, commissions, account fees, expenses or income taxes. Investors cannot invest directly in an index.
        MSCI has not approved, reviewed or produced this report, makes no express or implied warranties or representations and is not liable whatsoever for any data in the report. You may not redistribute the MSCI data or use it as a basis for other indices or investment products.
        © 2025 Morningstar, Inc. All rights reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; (3) does not constitute investment advice offered by Morningstar; and (4) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from this information. Past performance is no guarantee of future results.
        All Capital Group trademarks are owned by The Capital Group Companies, Inc. or an affiliated company in Canada, the U.S. and other countries. All other company names mentioned are the property of their respective companies.
        Capital Group funds in Canada are offered by Capital International Asset Management (Canada), Inc., part of Capital Group, a global investment management firm originated in Los Angeles, California in 1931.
        The Capital Group funds offered on this website are available only to Canadian residents.
        The portfolio is actively managed; holdings will change.
        Totals may not reconcile due to rounding.
        1.
        YTD (year-to-date return): For the period from January 1 of the current year to the date shown or from inception date if first offered after January 1 of the current year.
        2.
        When applicable, returns for less than one year are not annualized, but calculated as cumulative total returns.
        3.
        ETF market price returns since inception are calculated using NAV for the period until market price became available (generally a few days after inception).
        4.
        Capital Group, at its discretion, currently waives some of its management fees or absorbs some expenses of certain Capital Group funds. Such waivers and absorptions may be terminated at any time, but can be expected to continue for certain portfolios until such time as such funds are of sufficient size to reasonably absorb all management fees and expenses incurred in their operations.
        The management expense ratio for the portfolio is based on unaudited total expenses for the 6-month period ended June 30, 2025, and is expressed as an annualized percentage of daily average net assets during the period. Actual MERs may vary. For the 6-month period ended June 30, 2025, the total net asset value was of sufficient size to reasonably absorb all management fees and expenses incurred in the operations of the fund, and therefore there were no waivers or absorptions during this period.
        5.
        Cash includes short-term investments and other assets less liabilities.
        6.
        The breakdown of this fund by revenue was done using publicly traded holdings. Additionally, the domicile and the revenue breakdown excludes cash (and fixed income securities if applicable), and the percentages presented have all been rebalanced back to 100% for the fund. Underlying revenue data were compiled by MSCI and account for disparities in the way companies report their revenues across geographic segments. MSCI breaks out each company’s reported revenues into country-by-country estimates. MSCI provides revenue data figures based on a proprietary, standardized model. Revenue exposure at the fund and index level was calculated by using FactSet, which takes these company revenue exposures and multiplies by the company’s weighting in the portfolio and index. In this breakdown, Israel has been included in Europe. MSCI has not approved, reviewed or produced this report, makes no express or implied warranties or representations and is not liable whatsoever for any data in the report. You may not redistribute the MSCI data or use it as a basis for other indices or investment products.