
DWS EMERGI.MARK. TYP
Fund · DE0009773010 · 977301 (XFRA)
No Price
Closing Price XFRA 28.01.2026:
157,62 EUR
28.01.2026 14:20
Current Prices from DWS EMERGI.MARK. TYP
| Exchange | Ticker | Currency | Last Trade | Price | Daily Change |
|---|---|---|---|---|---|
![]() Frankfurt |
DWW9.F
|
EUR
|
28.01.2026 14:20
|
157,62 EUR
| 1,50 EUR
+0,96 %
|
![]() Hamburg |
DWSGEM10.HAMB
|
EUR
|
28.01.2026 07:06
|
158,53 EUR
| 2,41 EUR
+1,55 %
|
![]() Quotrix |
DWSGEM10.DUSD
|
EUR
|
28.01.2026 06:27
|
158,23 EUR
| 2,11 EUR
+1,35 %
|
![]() Düsseldorf |
DWSGEM10.DUSB
|
EUR
|
27.01.2026 20:46
|
156,07 EUR
| -0,66 EUR
-0,42 %
|
![]() Hannover |
DWSGEM10.HANB
|
EUR
|
27.01.2026 07:02
|
158,88 EUR
| 2,16 EUR
+1,38 %
|
Asset Allocation
| Asset | Percentage % |
|---|---|
| Keine Daten vorhanden | |
Largest Positions
| Symbol | ISIN | Name | Percentage % |
|---|---|---|---|
| Keine Daten vorhanden | |||
Region Distribution
| Region | Percentage % |
|---|---|
| Keine Daten vorhanden | |
Sector Distribution
| Sector | Percentage % |
|---|---|
| Keine Daten vorhanden | |
Latest AI Analyses of DWS EMERGI.MARK. TYP
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Fund Master Data
Issuer DWS
Asset Class FUND
Name DWS Global Emerging Markets Equities ND
Asset Class Aktienfonds
Asset Subclass Emerging Markets
Fund Currency EUR
Total Expense Ratio (TER) 1,70 %
Morningstar Rating 3
Fund Key Figures
Fund Size 124.226,80 EUR
NAV 131.6
Bid Price 131,60 EUR
Ask Price 131,60 EUR
Investment Strategy
Aktien von Unternehmen in Emerging Markets, die unserer Einschätzung nach über eine starke Marktposition und überdurchschnittlich gute Wachstumsperspektiven verfügen. Zu den Risiken einer Anlage in Schwellenländern vgl. Verkaufsprospekt.
Company Data
Name DWS EMERGI.MARK. TYP
Primary Exchange
Frankfurt
Frankfurt
WKN 977301
ISIN DE0009773010
Asset Class Fund
Currency EUR
Ticker Symbols
| Name | Symbol |
|---|---|
| Düsseldorf | DWSGEM10.DUSB |
| Frankfurt | DWW9.F |
| Hamburg | DWSGEM10.HAMB |
| Hannover | DWSGEM10.HANB |
| Quotrix | DWSGEM10.DUSD |
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