Global Bond-USD Hedged · NYSE ARCA · USD · Data as of 2026-05-31
AUM
$234.01M
Expense ratio
0.45%
Yield
4.29%
YTD return
-0.28%
Last price
$25.40
Bond · Coverage 38% · low
Today
58.8
Outlook
53.6
Block A (composite-derived)
53.5
Block C (market behavior)
63.8
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.
53.5
Coverage 38% · low
Liquidity
—
Expenses
65.0
Performance
—
Volatility
77.7
Dividend
0.0
Concentration
—
Smart Money
—
Activist
—
Formula version composite-v1.0.0. Axes hover to see why a sub-score is missing.
Capital Group International Bond ETF (USD-Hedged) (CGIB) is an exchange-traded fund from Capital Group in the Mixed asset class. Launched in 2024. Assets under management: 234,007,696.
Bullish Whales composite rating: 54 out of 100. Evidence coverage 38% across 3 of 8 axes. Strongest axes: volatility, expenses, dividend.
Annualized one-year realized volatility 4%, classified low. Weakest axes: dividend, expenses.
Trailing yield 0%.
etf_composite_score_current · composite_score, confidence, coverage_pct, dividend_score, expenses_score, volatility_scoreetf_fundamentals_td · dividend_frequency, yieldetf_universe · asset_class, aum_usd, fund_type, inception_date, issuer, name, ticker, volatility_1yCapital Group International Bond Fund (Hedged) is a type of mutual fund designed to provide investors with global exposure to a diversified portfolio of fixed-income securities. Its primary function is to offer income and capital appreciation by investing in a range of high-quality bonds issued by governments, agencies, and corporations of developed and emerging markets, while simultaneously hedging currency risks associated with foreign investments. This hedging strategy aims to reduce the impact of exchange rate fluctuations on the fund's returns. \n\nThe fund is actively managed by Capital Group, renowned for its long-term, research-driven investment approach. Key features include diversification across various sectors and geographies, seeking to mitigate risks traditionally associated with single-issuer or region-specific investments. The fund plays a significant role in the fixed-income market by providing an avenue for investors to gain exposure to international bond markets with an added layer of currency protection, appealing to those seeking more predictable income streams in foreign markets. Its structure is particularly useful for investors who wish to balance their portfolios with international assets without directly facing foreign exchange volatility.
Net AUM change history is not yet available for this ETF. Fund-flow time series is a Phase B deliverable.
Current AUM: $234,007,696. 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 CGIB are coming soon. The BW fund-document archive will surface PDFs alongside a metadata index for searchability.