Intermediate Core-Plus Bond · NYSE ARCA · USD · Data as of 2026-06-11
AUM
$7.87B
Expense ratio
0.34%
Yield
5.14%
YTD return
+0.60%
Last price
$22.22
Bond · Coverage 63% · low
Today
61.3
Outlook
58.6
Block A (composite-derived)
64.1
Block C (market behavior)
65.2
Today overlay (Block D)
0.0
Outlook overlay (Block D)
0.0
today_score = clip(0,100, 50 + 0.15·(A−50) + 0.60·(C−50) + D_today). Block B (holdings rollup) is in Phase 3 development; β=0 caps the natural range at ~12.5–87.5 in Preview v0.9. Formula version tide-etf-v1.0.0.
64.1
Coverage 63% · medium
Liquidity
92.4
Expenses
80.0
Performance
45.0
Volatility
51.3
Dividend
45.8
Concentration
—
Smart Money
—
Activist
—
Formula version composite-v1.0.0. Axes hover to see why a sub-score is missing.
Capital Group Core Plus Income ETF (CGCP) is an exchange-traded fund from Capital Group in the Mixed asset class. Launched in 2022. Assets under management: 7,841,607,168.
Bullish Whales composite rating: 64 out of 100. Evidence coverage 63% across 5 of 8 axes. Strongest axes: liquidity, expenses, volatility.
Annualized one-year realized volatility 4%, classified low. Weakest axes: performance, dividend.
Trailing yield 0%.
etf_composite_score_current · composite_score, confidence, coverage_pct, dividend_score, expenses_score, liquidity_score, performance_score, volatility_scoreetf_fundamentals_td · dividend_frequency, yieldetf_universe · asset_class, aum_usd, fund_type, inception_date, issuer, name, ticker, volatility_1yCapital Group Core Plus Income Fund is a mutual fund focused on generating consistent income while maintaining the potential for capital appreciation. This fund primarily invests in a diversified portfolio of fixed-income securities, which includes bonds from corporate issuers, government securities, and mortgage-backed securities. A notable feature of this fund is its "core plus" strategy, which optimizes returns by blending core fixed income investments with additional opportunities in sectors that offer higher yield and potential growth. By investing in a broad array of fixed-income instruments, the fund mitigates risk while benefiting from various interest rate environments and credit cycles. Managed by Capital Group, renowned for its deep expertise and rigorous research, this fund plays a significant role in providing investors with stability and income generation, making it a valuable component for long-term investment portfolios aimed at balancing risk and return.
Net AUM change history is not yet available for this ETF. Fund-flow time series is a Phase B deliverable.
Current AUM: $7,866,884,608. AUM change is computed from rolling daily fundamentals snapshots; it reflects total net-asset deltas (creations/redemptions + market value moves), not pure share creations.
Fund documents (fact sheets, prospectuses, semi-annual reports) for CGCP are coming soon. The BW fund-document archive will surface PDFs alongside a metadata index for searchability.