JGLO
JPMorgan Global Select Equity Active ETF (CA)

Full JGLO fund page
VS
ESGG
BMO MSCI World ESG Leaders Index ETF

Full ESGG fund page

JPMorgan Global Select Equity Active ETF (CA) (JGLO) and BMO MSCI World ESG Leaders Index ETF (ESGG) offer distinct profiles for Canadian ETF investors. A direct comparison shows that JGLO focuses its top 3 sector exposures on Technology, Finance, and Healthcare, while ESGG leans towards Technology, Finance, and Healthcare. When evaluating costs, JGLO features a management fee (MER) of 0.47%, compared to 0.25% for ESGG. Performance-wise, JGLO has returned 7.25% year-to-date with +$156 M in net flows, whereas ESGG is at 10.49% with -$0 M. Use the comparison tool below to benchmark these funds across top 10 holdings, yield, sector weights and historical returns.

NAV Performance and Flows

-1.00.01.02.03.0%Jun 24Jul 1Jul 8Jul 15Jul 22

Key Data

Historical performance and flows

As of July 24, 2026
1M3MYTD1Y3Y
Perf.
JGLO
+0.38%+4.02%+7.25%+11.24%-
ESGG
-0.64%+6.48%+10.49%+20.63%+72.17%
Flows
JGLO
+$38 M+$134 M+$156 M+$196 M-
ESGG
+$0 M+$0 M-$0 M+$0 M+$9 M

JGLO vs ESGG exposure

Countries

JGLO
USA
67.87%
Other
32.13%
ESGG
USA
70.83%
Other
29.17%

Sectors

JGLO
Technology
36.51%
Finance
18.22%
Healthcare
9.61%
Industrials
8.02%
Other
27.65%
ESGG
Technology
37.41%
Finance
16.97%
Healthcare
10.15%
Industrials
9.89%
Other
25.58%
As of July 24, 2026

Top 10 Holdings

JGLO
NVIDIA Corp.
6.85%
Amazon.com, Inc.
4.49%
Alphabet, Inc.
4.36%
Microsoft Corp.
4.31%
Mastercard, Inc.
3.45%
Apple, Inc.
3.44%
ASML Holding NV
2.98%
Johnson & Johnson
2.82%
Safran SA
2.65%
NextEra Energy, Inc.
2.37%
ESGG
NVIDIA Corp.
9.74%
Microsoft Corp.
5.63%
Alphabet, Inc.
4.46%
Alphabet, Inc.
3.51%
Tesla, Inc.
2.51%
Eli Lilly & Co.
2.14%
Advanced Micro Devices, Inc.
1.91%
ASML Holding NV
1.53%
Johnson & Johnson
1.34%
Visa, Inc.
1.24%

Diversification

JGLO
Total weight of top 10 holdings out of 77 total
37.71%
ESGG
Total weight of top 10 holdings out of 654 total
34.01%

Characteristics

Compare
JGLO
ESGG
ProviderJ.P. Morgan Asset ManagementBMO
ManagementActively managedPassively managed
Benchmark-MSCI World Selection NTR Index - CAD
Replication MethodDirect (Physical)
Asset ClassEquityEquity
Dividend PolicyDistributingDistributing
Trailing 12m distribution yield0.20%0.88%
Meets ESG criteriaNoYes
Inception DateJuly 23, 2025January 27, 2020

Frequently asked questions about JGLO and ESGG

Which ETF has performed better year to date: JGLO or ESGG?
As of July 24, 2026, JGLO has returned 7.25% year to date, while ESGG has returned 10.49%. ESGG is ahead on YTD performance.
Which ETF is larger by assets under management: JGLO or ESGG?
As of July 24, 2026, JGLO manages $202.66 M in assets, while ESGG manages $56.93 M. JGLO is the larger fund by AUM.
How are JGLO and ESGG managed?
JGLO is actively managed by J.P. Morgan Asset Management. It does not track an index. ESGG is passively managed by BMO. It tracks the MSCI World Selection NTR Index - CAD benchmark.
What sectors do JGLO and ESGG emphasize?
JGLO is most exposed to Technology, Finance, and Healthcare. ESGG is most exposed to Technology, Finance, and Healthcare.
Which ETF is attracting more investor flows: JGLO or ESGG?
Year to date, JGLO has seen +$156.28 M in net flows, compared with -$0.07 M for ESGG. JGLO has attracted more net investor money so far.
How do the fees of JGLO and ESGG compare?
JGLO has an expense ratio of 0.47%, while ESGG has an expense ratio of 0.28%.
What are the top holdings of JGLO and ESGG?
JGLO's largest holdings include NVIDIA Corp., Amazon.com, Inc., and Alphabet, Inc.. ESGG's top holdings include NVIDIA Corp., Alphabet, Inc., and Microsoft Corp..
Which ETF is more diversified: JGLO or ESGG?
JGLO holds 76 securities, while ESGG holds 649. On holdings count, ESGG is the more diversified portfolio.
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