CWGIX Mutual Fund Holdings Information
Holdings Count
355Total Assets
144.01BTop 10 Percentage
27.38%355 Holdings as of ―
Sector Breakdown
Technology
20.03%Industrials
16.81%Financial
14.08%Communication Services
10.50%Healthcare
9.35%Consumer Cyclical
9.29%Basic Materials
5.45%Consumer Defensive
5.18%Energy
4.08%Utilities
2.33%General
2.05%Real Estate
0.84%Countries Breakdown
United States
56.40%United Kingdom
7.53%France
4.92%Japan
4.25%Canada
3.73%Germany
2.19%Hong Kong
2.04%Switzerland
2.01%Italy
1.56%Netherlands
1.53%Spain
1.03%Brazil
0.90%Sweden
0.85%India
0.56%Singapore
0.52%Denmark
0.49%Israel
0.25%Finland
0.18%Austria
0.18%Mexico
0.15%Australia
0.13%Portugal
0.08%Russia
<0.01%Breakdown By Smart Score
The weighted average smart score of the CWGIX Mutual Fund is 7
10
13.13%9
20.69%8
21.09%7
13.10%6
13.00%5
8.15%4
2.89%3
3.84%2
1.47%1
2.64%CWGIX Mutual Funds FAQ
What are Mutual Funds CWGIX’s top 3 holdings?
CWGIX’s top 3 holdings are AVGO, TW:2330, MSFT.
What is Mutual Funds CWGIX’s holdings count?
Mutual Funds CWGIX’s is holdings 355 different assets.
What are the total assets of Mutual Funds CWGIX?
Mutual Funds CWGIX’s total assets are 144.01B.