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CGBL vs. SMH
Performance
Risk-Adjusted Performance
Dividends
Drawdowns
Volatility

Key characteristics


CGBLSMH
YTD Return13.71%33.65%
Daily Std Dev9.78%33.74%
Max Drawdown-5.93%-95.73%
Current Drawdown-0.03%-16.91%

Correlation

-0.50.00.51.00.7

The correlation between CGBL and SMH is 0.71, which is considered to be high. That indicates a strong positive relationship between their price movements. Having highly-correlated positions in a portfolio may signal a lack of diversification, potentially leading to increased risk during market downturns.

Performance

CGBL vs. SMH - Performance Comparison

In the year-to-date period, CGBL achieves a 13.71% return, which is significantly lower than SMH's 33.65% return. The chart below displays the growth of a $10,000 investment in both assets, with all prices adjusted for splits and dividends.


-10.00%0.00%10.00%20.00%30.00%AprilMayJuneJulyAugustSeptember
7.20%
5.62%
CGBL
SMH

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CGBL vs. SMH - Expense Ratio Comparison

CGBL has a 0.33% expense ratio, which is lower than SMH's 0.35% expense ratio.


SMH
VanEck Vectors Semiconductor ETF
Expense ratio chart for SMH: current value at 0.35% compared with the broader market ranging from 0.00% to 2.12%.0.50%1.00%1.50%2.00%0.35%
Expense ratio chart for CGBL: current value at 0.33% compared with the broader market ranging from 0.00% to 2.12%.0.50%1.00%1.50%2.00%0.33%

Risk-Adjusted Performance

CGBL vs. SMH - Risk-Adjusted Performance Comparison

This table presents a comparison of risk-adjusted performance metrics for Capital Group Core Balanced ETF (CGBL) and VanEck Vectors Semiconductor ETF (SMH). Risk-adjusted metrics are performance indicators that assess an investment's returns in relation to its risk, enabling a more accurate comparison of different investment options.


CGBL
Sharpe ratio
No data
SMH
Sharpe ratio
The chart of Sharpe ratio for SMH, currently valued at 1.78, compared to the broader market0.002.004.001.78
Sortino ratio
The chart of Sortino ratio for SMH, currently valued at 2.31, compared to the broader market-2.000.002.004.006.008.0010.0012.002.31
Omega ratio
The chart of Omega ratio for SMH, currently valued at 1.31, compared to the broader market0.501.001.502.002.503.003.501.31
Calmar ratio
The chart of Calmar ratio for SMH, currently valued at 2.42, compared to the broader market0.005.0010.0015.002.42
Martin ratio
The chart of Martin ratio for SMH, currently valued at 7.60, compared to the broader market0.0020.0040.0060.0080.00100.00120.007.60

CGBL vs. SMH - Sharpe Ratio Comparison


Chart placeholderNot enough data

Dividends

CGBL vs. SMH - Dividend Comparison

CGBL's dividend yield for the trailing twelve months is around 1.22%, more than SMH's 0.45% yield.


TTM20232022202120202019201820172016201520142013
CGBL
Capital Group Core Balanced ETF
1.22%0.48%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%0.00%
SMH
VanEck Vectors Semiconductor ETF
0.45%0.60%2.37%1.02%1.38%6.00%3.75%2.85%1.61%4.28%2.31%3.11%

Drawdowns

CGBL vs. SMH - Drawdown Comparison

The maximum CGBL drawdown since its inception was -5.93%, smaller than the maximum SMH drawdown of -95.73%. Use the drawdown chart below to compare losses from any high point for CGBL and SMH. For additional features, visit the drawdowns tool.


-25.00%-20.00%-15.00%-10.00%-5.00%0.00%AprilMayJuneJulyAugustSeptember
-0.03%
-16.91%
CGBL
SMH

Volatility

CGBL vs. SMH - Volatility Comparison

The current volatility for Capital Group Core Balanced ETF (CGBL) is 3.03%, while VanEck Vectors Semiconductor ETF (SMH) has a volatility of 12.62%. This indicates that CGBL experiences smaller price fluctuations and is considered to be less risky than SMH based on this measure. The chart below showcases a comparison of their rolling one-month volatility.


0.00%5.00%10.00%15.00%20.00%AprilMayJuneJulyAugustSeptember
3.03%
12.62%
CGBL
SMH