ETF comparison

CGGR vs IWF

Both US Large Cap Growth.

Capital Group Growth ETF · iShares Russell 1000 Growth ETF

Holdings overlap

Weighted by ISIN/CUSIP
44.4 %

56 positions appear in both funds. Buying equal dollars of CGGR and IWF would leave roughly 44.4% of each dollar exposed to the same underlying securities.

CGGR only 55.2% Shared 44.4% IWF only 55.4%
In CGGR only
35 positions
Shared
56 positions
In IWF only
331 positions

Side by side

CGGR

Capital Group Growth ETF

Capital Group · US Large Cap Growth

76 composite / 100
Expense ratio
0.39%
Net assets
$24.84B
TTM yield
0.15%
Top-10 conc.
41.2%
IWF

iShares Russell 1000 Growth ETF

iShares · US Large Cap Growth

80 composite / 100
Expense ratio
0.18%
Net assets
$128.90B
TTM yield
0.35%
Top-10 conc.
58.9%

Sub-score comparison

61
Cost
82
90
Tax efficiency
90
100
Liquidity
100
55
Concentration
30
Tracking quality
CGGR sub-score IWF

Tracking quality isn't part of the composite — see what we don't score for why.

Cost difference

IWF is 21 bps cheaper than CGGR. On a $100,000 position that's about $210/yr more in fees for CGGR.

Fee figure is the annual expense charged on $100,000. To see how the gap compounds over a multi-decade holding period, open the cost calculator pre-filled with CGGR vs IWF.

Top shared holdings

56 shared in total
# Holding In CGGR In IWF Overlap
1 NVIDIA Corp 5.21% 12.92% 5.21%
2 Broadcom Inc 4.32% 4.79% 4.32%
3 Microsoft Corp 3.91% 8.82% 3.91%
4 Tesla Inc 5.84% 3.55% 3.55%
5 Meta Platforms Inc 7.92% 3.46% 3.46%
6 Alphabet Inc 3.03% 3.54% 3.03%
7 Alphabet Inc 3.25% 2.87% 2.87%
8 Amazon.com Inc 2.22% 4.66% 2.22%
9 Eli Lilly & Co 1.97% 2.66% 1.97%
10 Apple Inc 1.96% 11.64% 1.96%
11 Visa Inc 2.25% 1.84% 1.84%
12 Netflix Inc 2.26% 1.47% 1.47%

Only in CGGR

35 total
  • Micron Technology Inc 3.09%
  • Capital Group Central Cash Fund 2.38%
  • Shopify Inc 1.84%
  • Taiwan Semiconductor Manufacturing Co Ltd 1.40%
  • SK hynix Inc 1.40%
  • Wheaton Precious Metals Corp 1.17%
  • DR Horton Inc 0.87%
  • EOG Resources Inc 0.80%
  • ATI Inc 0.72%
  • Grupo Mexico SAB de CV 0.70%

Only in IWF

331 total
  • ABBVIE INC. 1.39%
  • PALANTIR TECHNOLOGIES INC. 1.15%
  • LAM RESEARCH CORPORATION 0.97%
  • ORACLE CORPORATION 0.89%
  • GE VERNOVA INC. 0.85%
  • ADVANCED MICRO DEVICES, INC. 0.69%
  • THE COCA-COLA COMPANY 0.52%
  • AMGEN INC. 0.50%
  • BOOKING HOLDINGS INC. 0.46%
  • PALO ALTO NETWORKS, INC. 0.46%

Open CGGR or IWF at a brokerage

Both funds trade commission-free at major US brokerages.

Affiliate links — opening an account through these earns PlainIndex a one-time referral. Scoring is computed before any affiliate consideration; see our methodology and funding disclosure.

Holdings overlap is the sum of min(weight_a, weight_b) over positions matched on ISIN (CUSIP fallback). Methodology: see /methodology/.

Comparing two funds doesn't endorse swapping one for the other. Tax-lot history, account type, and personal goals matter — PlainIndex publishes data and methodology, not investment advice.