DESSX
DWS ESG Core Equity Fund
DEUTSCHE DWS INVESTMENT TRUST

Portfolio concentration

As of February 28, 2026 · N-PORT
Holdings
93
Top-10 weight
42.18%
Effective holdings ?
33
Crowding ?
1726.2

Holdings

As of February 28, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 APPLE INC 92,942 $24.55M 8.65%
2 ALPHABET INC CL A 73,959 $23.06M 8.12%
3 MICROSOFT CORP 48,911 $19.21M 6.76%
4 NVIDIA CORP 94,402 $16.73M 5.89%
5 AMAZON.COM INC 42,901 $9.01M 3.17%
6 BANK OF AMERICA CORPORATION 123,818 $6.17M 2.17%
7 AMGEN INC 15,554 $6.04M 2.13%
8 GOLDMAN SACHS GROUP INC 6,714 $5.77M 2.03%
9 MICRON TECHNOLOGY INC 13,247 $5.46M 1.92%
10 THE CIGNA GROUP 17,314 $5.02M 1.77%
11 BROADCOM INC 15,675 $5.01M 1.76%
12 TESLA INC 11,253 $4.53M 1.59%
13 AMERICAN EXPRESS CO 14,541 $4.49M 1.58%
14 NEWMONT CORP 34,370 $4.47M 1.57%
15 HOWMET AEROSPACE INC 16,742 $4.40M 1.55%
16 PEPSICO INC 23,430 $3.98M 1.40%
17 WALMART INC 29,851 $3.82M 1.34%
18 META PLATFORMS INC CL A 5,781 $3.75M 1.32%
19 CITIGROUP INC 32,961 $3.63M 1.28%
20 JPMORGAN CHASE and CO 11,979 $3.60M 1.27%
21 PULTEGROUP INC 26,122 $3.58M 1.26%
22 DWS Central Cash Management Government Fund 3,551,565 $3.55M 1.25%
23 AMERICAN WATER WRKS COMPANY 23,739 $3.23M 1.14%
24 IRON MOUNTAIN INC 29,734 $3.22M 1.13%
25 WESCO INTL 10,960 $3.17M 1.12%
26 ADV MICRO DEVICE 15,303 $3.06M 1.08%
27 DWS GOVERNMENT & AGENCY SECURITIES PORTFOLIO DWS GOVERNMENT CASH INSTITUTIONAL SHARES DBBXX 2,981,245 $2.98M 1.05%
28 HYATT HOTELS CORP CL A 18,273 $2.95M 1.04%
29 HILTON WORLDWIDE HOLDINGS INC 9,240 $2.88M 1.01%
30 WALT DISNEY CO/T 26,899 $2.85M 1.00%
31 SALESFORCE INC 13,856 $2.70M 0.95%
32 LAM RESEARCH CORP 11,411 $2.67M 0.94%
33 VERTEX PHARMACEUTICALS INC 5,133 $2.55M 0.90%
34 LOWES COS INC 9,573 $2.53M 0.89%
35 REPUBLIC SVCS 10,800 $2.47M 0.87%
36 SLB LTD 47,850 $2.46M 0.87%
37 DEERE & CO 3,880 $2.44M 0.86%
38 CISCO SYSTEMS INC 27,861 $2.21M 0.78%
39 HARTFORD INSURANCE GROUP INC/THE 15,348 $2.16M 0.76%
40 BALL CORP 31,586 $2.12M 0.75%
41 MERCK & CO 16,730 $2.07M 0.73%
42 TRADEWEB MARKETS INC A 16,680 $2.06M 0.72%
43 MSCI INC 3,532 $2.02M 0.71%
44 ABBVIE INC 8,497 $1.97M 0.69%
45 QNITY ELECTRONICS INC 15,231 $1.93M 0.68%
46 VERISK ANALYTICS INC 9,285 $1.93M 0.68%
47 UNITED AIRLINES HOLDINGS INC 17,926 $1.91M 0.67%
48 BAKER HUGHES CO 27,916 $1.82M 0.64%
49 EXXON MOBIL CORP 11,831 $1.80M 0.64%
50 TJX COS INC 11,002 $1.78M 0.63%
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