Xtrackers artificial intelligence and big data ucits etf 1c
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NAV All-in-fee TER : 0. Past performance does not predict future returns. Performance shown above is net of fund fees and any index replication costs. ETF performance calculation includes reinvested dividends.
Xtrackers artificial intelligence and big data ucits etf 1c
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Service providers. The reason for this is that the requirements to display ongoing costs and charges at product level pursuant to the new MiFID II regulations go beyond the existing disclosure regulations applicable to the asset management companies under their relevant regulatory frameworks i.
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Xtrackers artificial intelligence and big data ucits etf 1c
If the details are unavailable, the Sub-Fund has not engaged in securities lending transactions during the previous 30 days. As part of the new rules, investment firms are required to identify or review and refine, as the case may be, the target market for each financial instrument they distribute. This means that they have to specify the type s of client for whose needs, characteristics and objectives the financial instrument is compatible. Further, MiFID II introduces new cost disclosure requirements which aim at increasing cost transparency for investors on a quantitative as well as on a qualitative level. Accordingly, investment firms have to disclose all relevant costs to the client; i. The costs have to be aggregated and provided ex-ante i. The asset management companies pertaining to DWS support this process by delivering relevant data to the investment firms to enable them to fulfil their new legal obligations. To provide an enhanced level of transparency, the target market and material product cost related MiFID II data are additionally displayed here below with regard to the relevant investment fund.
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Total ongoing costs of the product. Asset class. Show more World link World. EUR 3. Index key facts. Technology Sustainability preferences. Placing the mouse over the chart results in a text box displaying the NAV and index values with the corresponding date above the chart. Developed Markets Global. Fund all-in fee TER. Fund profile ISIN. German English. Equity
All-in-fee TER : 0.
In particular, the content does not constitute any form of advice, recommendation, representation, endorsement or arrangement by FT and is not intended to be relied upon by users in making or refraining from making any specific investment or other decisions. Past performance is no guarantee of future results. NAV Ireland 3. Distribution policy. Share class launch date. The Corporations are not responsible for and have not participated in the determination of the timing of, prices at, or quantities of the Product s to be issued or in the determination or calculation of the equation by which the Product s is to be converted into cash. Registered countries. Others Country allocation. Prospectus DE. Fund size. From Feb to Feb DWS does not accept any responsibility or liability whatsoever in relation to the data except in case of gross negligence or wilful misconduct.
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