TOWR
BMO Brookfield Global Real Estate Tech Fund ETF

Full TOWR fund page
VS
CGR
iShares Global Real Estate Index ETF

Full CGR fund page

BMO Brookfield Global Real Estate Tech Fund ETF (TOWR) and iShares Global Real Estate Index ETF (CGR) offer distinct profiles for Canadian ETF investors. A direct comparison shows that TOWR focuses its top 3 sector exposures on Real Estate, Communication Services, and Information Technology, while CGR leans towards Real Estate. When evaluating costs, TOWR features a management fee (MER) of 0.8%, compared to 0.65% for CGR. Performance-wise, TOWR has returned 13.4% year-to-date with -$1 M in net flows, whereas CGR is at 11.2% with +$19 M. Use the comparison tool below to benchmark these funds across top 10 holdings, yield, sector weights and historical returns.

NAV Performance and Flows

-3.0-2.0-1.00.01.0%May 11May 19May 26Jun 2Jun 9

Key Data

Historical performance and flows

As of June 11, 2026
1M3MYTD1Y3Y
Perf.
TOWR
+0.46%+8.05%+13.40%+10.68%+28.97%
CGR
+0.70%+5.02%+11.20%+12.04%+36.90%
Flows
TOWR
+$0 M+$0 M-$1 M-$2 M-$37 M
CGR
+$3 M+$6 M+$19 M+$45 M+$38 M

TOWR vs CGR exposure

Countries

TOWR
USA
64.55%
United Kingdom
7.04%
Other
28.42%
CGR
USA
66.02%
Japan
10.17%
Other
23.82%

Sectors

TOWR
Real Estate
88.72%
Other
11.28%
CGR
Real Estate
99.67%
As of June 11, 2026

Top 10 Holdings

TOWR
EQUINIX INC COMMON STOCK REIT
10.19%
PROLOGIS REIT
9.65%
DIGITAL REALTY REIT
9.05%
AMERICAN TOWER CL A REIT
6.93%
CROWN CASTLE INTERNATIONAL
6.56%
IRON MOUNTAIN
6.37%
SBA COMMUNICATIONS
6.16%
TERRENO REALTY REIT
4.88%
TRITAX BIG BOX REIT
4.85%
GOODMAN GROUP CF
4.84%
CGR
EQUINIX INC COMMON STOCK REIT
4.85%
DIGITAL REALTY REIT
4.45%
WELLTOWER INC
4.22%
AMERICAN TOWER CL A REIT
4.06%
PROLOGIS REIT
3.94%
SIMON PROPERTY GROUP REIT
3.88%
REALTY INCOME REIT
3.86%
PUBLIC STORAGE REIT
3.67%
GOODMAN GROUP CF
3.34%
VENTAS REIT
3.17%

Diversification

TOWR
Total weight of top 10 holdings out of 25 total
69.48%
CGR
Total weight of top 10 holdings out of 75 total
39.45%

Characteristics

Compare
TOWR
CGR
ProviderBMOiShares
ManagementActively managedPassively managed
Benchmark-Cohen & Steers Global Realty Majors Total Return Index - USD
Replication MethodDirect (Physical)
Asset ClassEquityEquity
Dividend PolicyDistributingDistributing
Trailing 12m distribution yield1.53%2.27%
Meets ESG criteriaNoNo
Inception DateMarch 1, 2022August 26, 2008

Frequently asked questions about TOWR and CGR

Which ETF has performed better year to date: TOWR or CGR?
As of June 11, 2026, TOWR has returned 13.40% year to date, while CGR has returned 11.20%. TOWR is ahead on YTD performance.
Which ETF is larger by assets under management: TOWR or CGR?
As of June 11, 2026, TOWR manages $2.83 M in assets, while CGR manages $284.41 M. CGR is the larger fund by AUM.
How are TOWR and CGR managed?
TOWR is actively managed by BMO. It does not track an index. CGR is passively managed by iShares. It tracks the Cohen & Steers Global Realty Majors Total Return Index - USD benchmark.
What sectors do TOWR and CGR emphasize?
TOWR is most exposed to Real Estate, Communication Services, and Information Technology. CGR is most exposed to Real Estate.
Which ETF is attracting more investor flows: TOWR or CGR?
Year to date, TOWR has seen -$1.41 M in net flows, compared with +$18.98 M for CGR. CGR has attracted more net investor money so far.
How do the fees of TOWR and CGR compare?
TOWR has an expense ratio of 0.89%, while CGR has an expense ratio of 0.72%.
What are the top holdings of TOWR and CGR?
TOWR's largest holdings include EQUINIX INC COMMON STOCK REIT, PROLOGIS REIT, and DIGITAL REALTY REIT. CGR's top holdings include EQUINIX INC COMMON STOCK REIT, DIGITAL REALTY REIT, and WELLTOWER INC.
Which ETF is more diversified: TOWR or CGR?
TOWR holds 23 securities, while CGR holds 75. On holdings count, CGR is the more diversified portfolio.

Recent articles about TOWR and CGR

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