DESUX
DWS ESG Core Equity Fund
DEUTSCHE DWS INVESTMENT TRUST

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Nov 30, 2025 → Feb 28, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
SLB LTD 0 47,850 47,850 0.86% $2.46M
EXXON MOBIL CORP 0 11,831 11,831 0.63% $1.80M
NETFLIX INC 0 13,507 13,507 0.45% $1.30M
CME GROUP INC CL A 0 3,525 3,525 0.39% $1.13M
DIAMONDBACK ENERGY INC 0 4,537 4,537 0.28% $789.80K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
SLB Ltd. 48,336 0 -48,336 0.00% -$1.75M
CINCINNATI FINANCIAL CORP 9,358 0 -9,358 0.00% -$1.57M
BRUNSWICK CORP 12,727 0 -12,727 0.00% -$841.38K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
AMAZON.COM INC 39,203 42,901 3,698 3.14% -$133.71K
NEWMONT CORP 17,846 34,370 16,524 1.56% $2.85M
DWS Central Cash Management Government Fund 2,393,023 3,551,565 1,158,542 1.24% $1.16M
DWS GOVERNMENT & AGENCY SECURITIES PORTFOLIO DWS GOVERNMENT CASH INSTITUTIONAL SHARES 544,055 2,981,245 2,437,190 1.04% $2.44M
DEERE & CO 2,223 3,880 1,657 0.85% $1.41M
UNITED AIRLINES HOLDINGS INC 9,342 17,926 8,584 0.66% $953.02K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
APPLE INC 93,884 92,942 -942 8.56% -$1.63M
ALPHABET INC CL A 74,709 73,959 -750 8.04% -$862.87K
MICROSOFT CORP 49,407 48,911 -496 6.70% -$5.10M
NVIDIA CORP 95,358 94,402 -956 5.83% -$151.28K
BANK OF AMERICA CORPORATION 125,073 123,818 -1,255 2.15% -$540.32K
AMGEN INC 15,711 15,554 -157 2.10% $609.92K
GOLDMAN SACHS GROUP INC 6,782 6,714 -68 2.01% $168.95K
MICRON TECHNOLOGY INC 15,855 13,247 -2,608 1.90% $1.71M
THE CIGNA GROUP 17,489 17,314 -175 1.75% $168.59K
BROADCOM INC 15,834 15,675 -159 1.75% -$1.37M
TESLA INC 12,513 11,253 -1,260 1.58% -$853.27K
AMERICAN EXPRESS CO 14,688 14,541 -147 1.57% -$873.37K
HOWMET AEROSPACE INC 22,690 16,742 -5,948 1.53% -$246.87K
PEPSICO INC 23,668 23,430 -238 1.39% $456.63K
WALMART INC 30,154 29,851 -303 1.33% $487.12K
META PLATFORMS INC CL A 5,840 5,781 -59 1.31% -$36.90K
CITIGROUP INC 48,352 32,961 -15,391 1.27% -$1.38M
JPMORGAN CHASE and CO 12,100 11,979 -121 1.25% -$190.97K
PULTEGROUP INC 26,387 26,122 -265 1.25% $227.78K
AMERICAN WATER WRKS COMPANY 23,979 23,739 -240 1.13% $110.27K
IRON MOUNTAIN INC 30,035 29,734 -301 1.12% $627.56K
WESCO INTL 11,071 10,960 -111 1.11% $212.42K
ADV MICRO DEVICE 15,458 15,303 -155 1.07% -$298.77K
HYATT HOTELS CORP CL A 18,458 18,273 -185 1.03% -$83.22K
HILTON WORLDWIDE HOLDINGS INC 9,333 9,240 -93 1.00% $220.66K
WALT DISNEY CO/T 27,171 26,899 -272 0.99% $13.82K
SALESFORCE INC 13,997 13,856 -141 0.94% -$527.86K
LAM RESEARCH CORP 14,914 11,411 -3,503 0.93% $342.33K
VERTEX PHARMACEUTICALS INC 5,185 5,133 -52 0.89% $301.96K
LOWES COS INC 9,670 9,573 -97 0.88% $187.95K
REPUBLIC SVCS 10,909 10,800 -109 0.86% $105.29K
CISCO SYSTEMS INC 46,469 27,861 -18,608 0.77% -$1.36M
HARTFORD INSURANCE GROUP INC/THE 15,503 15,348 -155 0.75% $37.08K
BALL CORP 31,906 31,586 -320 0.74% $540.06K
MERCK & CO 16,899 16,730 -169 0.72% $299.99K
TRADEWEB MARKETS INC A 16,849 16,680 -169 0.72% $221.71K
MSCI INC 3,568 3,532 -36 0.70% $8.35K
ABBVIE INC 8,583 8,497 -86 0.69% $17.63K
QNITY ELECTRONICS INC 15,386 15,231 -155 0.67% $683.03K
VERISK ANALYTICS INC 9,379 9,285 -94 0.67% -$183.64K
BAKER HUGHES CO 28,199 27,916 -283 0.64% $406.21K
TJX COS INC 16,352 11,002 -5,350 0.62% -$705.61K
AMERIPRISE FINANCIAL INC 3,812 3,774 -38 0.62% $36.95K
DIGITAL REALTY TRUST INC 9,871 9,772 -99 0.60% $151.05K
ATMOS ENERGY CORP 9,177 9,085 -92 0.59% $78.44K
KKR & CO INC 19,321 19,127 -194 0.58% -$686.10K
REGENERON PHARMACEUTICALS INC 2,036 2,016 -20 0.55% -$12.62K
PERFORMANCE FOOD GROUP CO 16,154 15,992 -162 0.54% -$15.89K
DUPONT DE NEMOURS INC 30,773 30,464 -309 0.53% $300.58K
CBOE GLOBAL MARKETS INC 5,135 5,083 -52 0.53% $197.77K
LEAR CORP NEW 11,705 11,588 -117 0.53% $264.28K
OWENS CORNING INC 12,156 12,034 -122 0.51% $92.44K
TARGET CORP 12,985 12,854 -131 0.51% $285.96K
ORACLE CORP 10,158 10,056 -102 0.51% -$589.27K
CHENIERE ENERGY INC 6,264 6,201 -63 0.51% $155.97K
UNITED PARCEL SERVICE INC CL B 12,275 12,152 -123 0.49% $233.32K
BRISTOL-MYERS SQUIBB CO 22,719 22,491 -228 0.49% $284.99K
COSTCO WHOLESALE CORP 1,365 1,351 -14 0.48% $118.53K
ELEVANCE HEALTH INC 4,270 4,227 -43 0.47% -$91.73K
BEST BUY CO INC 21,997 21,777 -220 0.47% -$394.40K
ESTEE LAUDER COS INC CL A 12,439 12,314 -125 0.47% $177.88K
MATCH GROUP INC 40,837 40,427 -410 0.45% -$82.79K
TECHNIPFMC PLC 56,594 18,254 -38,340 0.42% -$1.35M
BIOGEN INC 6,162 6,100 -62 0.41% $48.06K
MASTERCARD INC CL A 2,217 2,195 -22 0.40% -$85.25K
UNION PACIFIC CORP 4,257 4,214 -43 0.39% $129.73K
HUBBELL INC 2,196 2,174 -22 0.39% $164.86K
ROCKET LAB CORP 14,998 14,847 -151 0.36% $393.91K
PAYPAL HOLDINGS 21,766 21,548 -218 0.35% -$368.78K
HUMANA INC 5,253 5,200 -53 0.35% -$300.22K
KIRBY CORP 7,015 6,945 -70 0.31% $105.12K
KEURIG DR PEPPER INC 29,650 29,352 -298 0.31% $61.54K
MOLSON COORS BEVERAGE CO B 18,163 17,981 -182 0.31% $36.13K
VEEVA SYSTEMS-A 4,812 4,764 -48 0.30% -$289.18K
CENTENE CORP 18,862 18,673 -189 0.29% $96.01K
RINGCENTRAL INC CL A 21,659 21,441 -218 0.27% $169.87K
UBER TECHNOLOGIES INC 10,164 10,062 -102 0.26% -$130.88K
SKYWORKS SOLUTIONS INC 11,016 10,905 -111 0.23% -$76.79K
MEDICAL PROPERTI 70,256 69,551 -705 0.14% -$4.06K
ZCS BRL 14.0087 05/12/25-01/04/27 CME 100 75 -25 0.04% $96.50K
NEW FORTRESS ENERGY INC 80,246 79,441 -805 0.03% -$11.31K
CHARGEPOINT HOLDINGS INC CL A 2,789 2,761 -28 0.01% -$5.45K

No positions in this category.

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