CGCV: Lower Volatility And Better Resilience Than The S&P 500

  • CGCV is a newer ETF focusing on companies with superior resilience during market declines, offering less volatility and better capital preservation. The fund's strategy includes a significant exposure to dividend-paying technology, healthcare, and industrials, avoiding high volatility stocks with inflated P/E ratios. CGCV has outperformed SPY and QQQ since inception, proving effective during market declines, though it may underperform in long-term total returns.