DWS Aktien Strategie Deutschland LC logo

DWS Aktien Strategie Deutschland LC

Mutual Fund
Mutual Fund
ISIN: DE0009769869
Ticker: HJUI
DE0009769869
HJUI

Price

Price

CHART BY

Data

TER

 
1.88%

Fund Volume

 
$2.21B

Asset Class

 
Equity

Distributing

 
No

Region

 
Europe

Country Based

 
Germany

Issuer

 
DWS

Industry breakdown

  • Aerospace & Defense
    10.22%
  • Major Pharmaceuticals
    8.11%
  • Investment Banks/ Brokers
    7.88%
  • Electrical Products
    7.66%
  • Electric Utilities
    6.76%
  • Packaged Software
    5.43%
  • Semiconductors
    4.88%
  • Multi-Line Insurance
    4.56%
  • Air Freight/ Couriers
    4.51%
  • Major Telecommunications
    4.43%
  • Industrial Machinery
    4.24%
  • Motor Vehicles
    3.95%
  • Steel
    3.27%
  • Apparel/ Footwear
    3%

Sector breakdown

  • Industrials
    37.72%
  • Financials
    15.21%
  • Information Technology
    12.03%
  • Materials
    8.81%
  • Health Care
    8.69%
  • Utilities
    6.76%
  • Consumer Discretionary
    5.91%
  • Communication Services
    4.43%
  • Non corporate
    1.28%
  • Consumer services
    0.35%
  • Business services
    0.22%

Country breakdown

  • 🇩🇪

    Germany
    81.87%
  • 🇳🇱

    Netherlands
    8.64%
  • 🇨🇭

    Switzerland
    2.48%
  • 🇬🇧

    United Kingdom
    2.16%
  • 🇫🇷

    France
    1.5%
  • 🇸🇪

    Sweden
    1.41%
  • 🇱🇺

    Luxembourg
    0.96%
  • 🇦🇹

    Austria
    0.79%
  • 🇳🇴

    Norway
    0.45%
  • 🇧🇪

    Belgium
    0.41%
  • 🇮🇹

    Italy
    0.38%
  • 🇫🇮

    Finland
    0.24%
  • 🇪🇸

    Spain
    0.1%
  • 🇮🇪

    Ireland
    <0.01%

Market cap breakdown

  • Large-cap
    73%
  • Mid-cap
    14.44%
  • Mega-cap
    12.23%
  • Other
    1.28%
  • Small-cap
    0.46%

Pricing

1D span
$708.32$714.23
52W span
$665.27$793.69

Information

The objective of the investment policy is to achieve sustained capital appreciation that exceeds the benchmark

Identifier

ISIN
DE0009769869
Primary Ticker
HJUI

Knockouts

Real-time data from LSX · Fundamentals & EOD data from FactSet
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