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SECT vs CGCP

Main Sector Rotation ETF vs Capital Group Core Plus Income ETF

SECT

Main Sector Rotation ETF

Main Management ETFs

Annual cost

0.69%

Fund size

$2.6B

CGCP

Capital Group Core Plus Income ETF

Capital Group

Annual cost

0.34%

Fund size

$7.6B

Key differences

  • CGCP costs 0.35% less per year.
  • SECT is classified as equity, while CGCP is fixed income — different risk/return profiles.
  • SECT covers north america markets; CGCP covers global.
  • Over the last 3 years, SECT has delivered higher annualized returns.
  • SECT has a longer track record, which may reduce uncertainty around long-term behavior.

Side-by-side comparison

SECTCGCP
Annual cost (TER)0.69%0.34%
Fund size (AUM)$2.6B$7.6B
Since20172022
Dividend yield0.65%5.14%
Asset classequityfixed income
Regionnorth americaglobal
Strategyactive selectionactive selection
CAGR 1Y+29.7%+6.6%
CAGR 3Y+20.4%+5.1%
CAGR 5Y+12.5%N/A
Sharpe 3Y0.980.29
Volatility 1Y13.14%3.74%
Max drawdown-38.09%-15.07%

Green dot indicates the better value for that metric. Performance data is historical and does not predict future results.

Similar to SECT and CGCP