Investment products: No bank guarantee I Not FDIC insured I May lose value. Deutsche Asset. & Wealth Management. Understanding CROCI valuation. ISIN, DEDB0WKS8. Ratio, 1: Product type, Index Certificates (classic ). Underlying(Underlying Name), CROCI Germany Index. Redemption, Cash. The Fund leverages Deutsche Bank’s proprietary stock-valuation methodology, CROCI, to select approximately 30 stocks from the S&P

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Investing in foreign securities presents certain risks, such as currency fluctuations, political and economic changes, and market risks.

Why Choose This Fund Investing in international equities may help investors seeking to capture growth opportunities outside the United States while diversifying their portfolio. Additional Performance Information Fund performance includes reinvestment of all distributions.

Investment returns and principal fluctuate so your shares may be worth more or less when deeutsche. Rankings are historical and do not guarantee future results. This premise may not prove to be correct and prospective investors should evaluate this assumption prior to investing in the fund.

Emerging markets tend to be more volatile and less liquid than the markets of more mature economies, and generally have less diverse and less mature economic structures and less stable political systems than those of developed countries.


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If sales charges had been included, where applicable, results might have been less favorable. Both beta and R2 are based on a 3-year period relative to the index. The fund may lend securities to approved institutions. Neither Morningstar nor its content providers are responsible for any damages or losses deutche from any use of this information.

Diversification by asset class or among real estate sectors does not necessarily protect against losses. With analysts on the ground all over the world, Deutsche Asset Management is poised to seek out these compelling investment opportunities.

A fund with a beta less than 1 is less volatile. It is not possible to invest directly in an index. Unadjusted returns do not reflect sales charges and would have been lower if they did.

This may however be accompanied by additional risks of investing in foreign stocks. A fund with a beta greater than 1 is more volatile than the benchmark. Rapid population growth, an emerging middle class and increasing urbanization are driving the growth of many emerging-market economies, many of which have higher expected growth rates than their developed peers.

The information contained herein: No Expense Ratio Information Fund performance includes reinvestment of all distributions. For funds younger than three years, the Morningstar category is estimated. The Overall Morningstar Rating for a fund is derived from a weighted average of the ratings for the time periods indicated.


This site requires Adobe Flash Player 9. Exchange-traded funds and open-ended mutual funds are considered a single population for comparative purposes. The Overall Morningstar Rating for a managed product is derived from a weighted average deutsdhe the performance figures associated with its three-,five-,and 10 year if applicable Morningstar Rating metrics.

Performance is historical and does not guarantee future results.

Leverage our market expertise.

Current performance may differ from the data shown. Index returns assume reinvestment of any and all distributions and, unlike fund returns, do not reflect fees or expense. Ratings are croc and are no guarantee of future results. At the same time, many emerging-market stocks have compelling valuations.

Any voluntary waivers bannk be discontinued at any time. Account Access – Retirement Plan Access. See the prospectus for details. Past performance is no guarantee of future results. While the year overall rating formula seems to give the most weight to the year period, the most recent three-year period actually has the greatest impact because it is included in all three rating periods. Stocks may decline in value.

The fund seeks long-term growth of capital.