Daily NAV | NAV change as of 05/27/22
$18.35 1.49%Total Net Assets as of 03/31/22 $328 million
Designed to deliver consistent, strong risk-adjusted returns across varying market conditions. Potentially a great anchor strategy.
Our investment process is unique as we begin by selecting our countries before our stocks, taking an active currency view in the process. We will tilt the portfolio value or growth, depending on where we see the current market opportunities. We aim to provide clients with diversification in terms of alpha generation, as our excess returns are generated from both country selection and stock selection. (Diversification neither assures a profit nor guarantees against a loss).
Our Emerging Markets investment team is headquartered in Asia, home to ~80% of the companies in the MSCI Emerging Markets universe. We also have boots on the ground in EMEA and Latin America.
We manage the portfolio within a very robust risk controlled framework, where we utilize a proprietary beta adjusted risk system for portfolio construction and risk management.
Sean Taylor
29 years experience
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Class A and T shares are subject to a maximum front-end sales charge. Class C shares include a deferred sales charge which declines to zero after first year. The Institutional, R6 and S share classes are not subject to a sales charge.
Class T shares are closed to new purchases, except in connection with the reinvestment of dividends or other distributions where Class T shares have been issued.
Class R6 shares are generally available only to certain qualifying plans and programs, which may have their own policies or instructions for buying and selling fund shares.
Class S shares are only available to a limited group of investors as well as through firms that have an agreement with DWS Distributors, Inc. to offer the shares on an agency basis on brokerage platforms.
Institutional Class shares are generally available only to qualified institutions.