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- Asset Class
- International Equities
- Responsible Entity
- Deutsche Asset Management (Australia) Limited
- APIR
- MGL0018AU
- ARSN
- 122 000 524
- Benchmark
- MSCI World ex-Australia Index (hedged in A$)
- Suggested Investment Period
- 5-7 years
- Fund Inception Date
- 17-October-2006
- Number of Stocks
- 90 - 130
- Income Distribution
- semi-annually
- Buy/Sell
- +0.20%/-0.20%
Unit Price as at
17 May 2012
CURRENCY
AUD
REDEMPTION PRICE
0.5532
PURCHASE PRICE
0.5555
Overview
The DWS Global Equity Thematic (Fully Hedged) Fund is uniquely positioned to provide Australian Investors with a global equity investment that identifies global themes in a truly universal market.Important Information
Please see the Product Disclosure Statement (PDS) for further details. Although the above information is taken from sources believed to be accurate, no warranty is given as to its accuracy, completeness or availability. Pricing: For daily priced funds, unit prices are calculated each business day based upon the net value of each fund divided by the number of units on issue in each fund.Unit prices may be delayed following the end of a distribution period or for other reasons. The Buy/Sell spread is applied to increase the purchase unit price by an allowance for the estimated costs of the purchase of assets in the fund and to reduce the redemption unit price by an allowance for the estimated costs of the sale of assets in the fund.INVEST IN THIS FUND
Downloads
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Product Disclosure Statement (455.4KB)
Updated 24/06/2011 |
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Monthly Report - Previous Month (61.6KB)
Updated 18/04/2012 |
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Management Costs (86.6KB)
Updated 27/04/2012 |
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Monthly Report (59.7KB)
Updated 15/05/2012 |
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Factsheet (39.5KB)
Updated 12/01/2010 |
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Withdrawal Form (44.9KB)
Updated 26/08/2009 |
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Management Costs FY 2010 2011 (27.2KB)
Updated 12/07/2011 |
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Annual Financial Report 2011 (6.6MB)
Updated 27/09/2011 |
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Australian Standard Transfer Form (95.6KB)
Updated 08/07/2011 |
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