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DASHBOARDS: Portfolio Hub Market Pulse Performance

CGDV

Capital Group Dividend Value ETF Share Class
TREND FOLLOWING PERFORMANCE HISTORY
2026-07-26
Executive Summary
The quantitative backtest for CGDV (Capital Group Dividend Value ETF Share Class) using the Moving Average (50/200)* strategy in a Investing context demonstrated its primary role in risk mitigation, experiencing a maximum drawdown of -13.6% (compared to the benchmark's drawdown of -14.3%). Over the evaluated period, this protective approach generated a Compound Annual Growth Rate (CAGR) of 20.0%, compared to a Buy-and-Hold benchmark return of 23.3%. The strategy executed 1 total trades.

* Moving Average (50/200): Classic Moving Average Crossover (e.g., 50-day crossing 200-day). The foundational basis of research-grade trend following.

CGDV Quality Metrics & KPI Summary

Metric1YFull History
StrategyB&HStrategyB&H
CAGR20.64%20.64%19.99%23.28%
Sharpe Ratio1.521.521.401.48
Max Drawdown-9.75%-9.75%-13.58%-14.28%
% Time Invested100.0%100.0%97.2%100.0%
Trades / Year0.00.00.40.0

Cumulative Growth Performance

Return Distribution Analysis

Return Distribution

Trade History

This log shows every signal-driven transition. Completed trades reflect standard market cycles. An Open or Mark-to-Market exit denotes an active position (either in the primary asset or a cash/yield sleeve) valued at the current price for reporting purposes. Interest entries record yield accrued from cash or cash alternatives (like BIL) during out-of-market defensive periods.

Entry DateExit DateTypeAllocationEntry PriceExit PriceNet Return %Exit Reason
🔒 Active Positions & Recent Execution Signals Hidden
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2025-04-08 2025-05-01 Interest (CASH) 100% $1.00 $1.00 0.27% Interest Income
2024-02-22 2025-04-08 Completed 100% $29.70 $32.81 10.43% Stop
2024-02-20 2024-02-22 Interest (CASH) 100% $1.00 $1.00 0.02% Interest Income