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Ziel der Anlagepolitik ist es, einen nachhaltigen Wertzuwachs gegenüber dem Vergleichsmaßstab (Dow Jones Brookfield Global Infrastructure Index) zu erzielen. Um dies zu erreichen, investiert der Fonds hauptsächlich in Aktien von Emittenten, deren Tätigkeit sich auf das weltweite Infrastruktursegment konzentriert. Das Infrastruktursegment umfasst neben der sozialen Infrastruktur die Bereiche Verkehr, Energie, Wasser und Kommunikation. In diesem Rahmen obliegt die Auswahl der einzelnen Investments dem Fondsmanagement. Der Fonds orientiert sich am Vergleichsmaßstab. Er bildet ihn nicht genau nach, sondern versucht seine Wertentwicklung zu übertreffen und kann deshalb wesentlich - sowohl positiv als auch negativ - von dem Vergleichsmaßstab abweichen. Die Währung des Teilfonds ist EUR, die Währung der Anteilklasse ist EUR. Der Fonds schüttet jährlich aus. Sie können bewertungstäglich die Rücknahme der Anteile verlangen.
Name | Titel | Seit | Bis |
---|---|---|---|
Francis X. Greywitt | Vice President | 2020 | Aktuell |
Biografie | Francis X. Greywitt III, Head of Investment Strategy Liquid Real Assets. Began managing the fund in 2008. ◾Joined DWS in 2005; previously has worked as a REIT analyst with KeyBanc Capital Markets covering the office sector. ◾Co-Head of Infrastructure Securities and Co-Lead Portfolio Manager: Chicago. ◾Investment industry experience began in 1999. ◾BBA, St. Bonaventure University; MBA, University of Chicago. | ||
Manoj H. Patel | Managing Director | 2013 | Aktuell |
Biografie | Manoj H. Patel is currently a Managing Director and Co-Head of Global Infrastructure Securities, based in Chicago. Mr. Patel has eight years of investment experience prior to joining the firm in 2011. He began his career as an Analyst for Brookfield Investment Management (formerly KG Redding/Brookfield Redding) and was promoted to Vice President in 2006. Most recently, Mr. Patel was a Director and spearheaded the formation of the dedicated listed infrastructure business for Brookfield. He was also responsible for the creation of the Dow Jones Brookfield Global Infrastructure Index series. | ||
John W. Vojticek | Managing Director | 2020 | 2020 |
Biografie | Co-Head of Liquid Real Assets / Chief Investment Officer of Liquid Real Assets John W. Vojticek has served as a Managing Director and Chief Investment Officer of Real Estate & Infrastructure Securities and Global Portfolio Manager for RREEF since July 2011 and was Co-Head of Americas Real Estate Securities from 2006 to July 2011. Mr. Vojticek was responsible for launching the firm's first listed infrastructure securities strategy in June 2008 and served as Head of the Listed Infrastructure Securities business from June 2008 until his appointment as Chief Information Officer in July 2011. Mr. Vojticek is an associate member of the National Association of Real Estate Investment Trusts. Mr. Vojticek holds a B.S. in Business Administration from the University of Southern California. | ||
Francis X. Greywitt | Vice President | 2013 | 2020 |
Biografie | Francis X. Greywitt III, Head of Investment Strategy Liquid Real Assets. Began managing the fund in 2008. ◾Joined DWS in 2005; previously has worked as a REIT analyst with KeyBanc Capital Markets covering the office sector. ◾Co-Head of Infrastructure Securities and Co-Lead Portfolio Manager: Chicago. ◾Investment industry experience began in 1999. ◾BBA, St. Bonaventure University; MBA, University of Chicago. | ||
Guillermo Guisado | - | 2008 | 2014 |
Sandra Resch | - | 2008 | 2014 |
Martin Berberich | Portfolio Manager | 2011 | 2013 |
Biografie | Martin Berberich, CFA, Director. Portfolio Manager.Joined Deutsche Asset & Wealth Management in 1999 with three years of industry experience; previously, he served as an Institutional Portfolio Manager. Before joining, he worked in the Treasury Department at Robert Bosch GmbH. Senior Portfolio Manager for Global Equities and Deputy Portfolio Manager for the DWS Top 50 Welt: Frankfurt. Completed Bank Training Program (”Bankkaufmann”) at HypoVereinsbank Wuerzburg; MBA (”Diplom-Kaufmann”) from University of Wuerzburg; CFA Charterholder. | ||
Thomas E. Bucher | Portfolio Manager | 2008 | 2013 |
Biografie | Bucher joined Deutsche Asset Management in 1995 and currently is a director and portfolio manager. He is head of global equity research team for health care sector and portfolio manager for European Equity (Frankfurt). Bucher served as analyst for European Chemical, Oil, Steel and Engineering sectors and portfolio manager for Eastern European equity. Bucher holds the Chartered Financial Analyst designation. | ||
Susana Penarrubia | - | 2008 | 2011 |
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