KTCSX
DWS Science and Technology Fund
DEUTSCHE DWS SECURITIES TRUST

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
61
Top-10 weight
56.10%
Effective holdings ?
23
Crowding ?
1844.6

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 1,180,846 $225.70M 10.72%
2 MICROSOFT CORP 419,682 $180.58M 8.58%
3 BROADCOM INC 502,950 $166.63M 7.91%
4 APPLE INC 514,243 $133.44M 6.34%
5 ALPHABET INC CL A 354,208 $119.72M 5.69%
6 META PLATFORMS INC CL A 155,770 $111.61M 5.30%
7 ALPHABET INC CL C 280,420 $94.93M 4.51%
8 LAM RESEARCH CORP 252,000 $58.83M 2.79%
9 AMPHENOL CORPORATION CL A 325,605 $46.91M 2.23%
10 ORACLE CORP 281,747 $46.37M 2.20%
11 ARISTA NETWORKS INC 309,347 $43.85M 2.08%
12 MICRON TECHNOLOGY INC 96,625 $40.09M 1.90%
13 ASML HOLDING-NY 26,466 $37.66M 1.79%
14 CIENA CORP 143,599 $36.16M 1.72%
15 CROWDSTRIKE HOLDINGS INC 73,083 $32.26M 1.53%
16 ANALOG DEVICES INC 99,982 $31.08M 1.48%
17 MONGODB INC CL A 83,293 $30.93M 1.47%
18 TAIWAN SEMIC MFG CO LTD SP ADR 90,087 $29.78M 1.41%
19 CADENCE DESIGN SYSTEMS INC 99,268 $29.42M 1.40%
20 SHOPIFY INC CL A 218,739 $28.71M 1.36%
21 SERVICENOW INC 239,250 $27.99M 1.33%
22 MOTOROLA SOLUTIONS INC 68,260 $27.48M 1.31%
23 SNOWFLAKE INC CL A 141,854 $27.34M 1.30%
24 INTUIT INC 51,472 $25.68M 1.22%
25 CLOUDFLARE INC-A 143,697 $25.48M 1.21%
26 BLOOM ENERGY CORP CL A 167,860 $25.41M 1.21%
27 SYNOPSYS INC 51,833 $24.11M 1.15%
28 MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 107,765 $23.61M 1.12%
29 MARVELL TECHNOLOGY INC 296,641 $23.41M 1.11%
30 APPLIED MATERIALS INC 65,527 $21.12M 1.00%
31 CHECK POINT SOFTWARE TECHS LTD 115,288 $20.70M 0.98%
32 PALANTIR TECHNOLOGIES INC 136,392 $19.99M 0.95%
33 TEXAS INSTRUMENTS INC 92,399 $19.92M 0.95%
34 BWX TECHNOLOGIES INC 96,921 $19.91M 0.95%
35 QUANTA SVCS INC 35,760 $16.97M 0.81%
36 LILLY ELI and CO 15,893 $16.48M 0.78%
37 MASTERCARD INC CL A 28,888 $15.56M 0.74%
38 UBER TECHNOLOGIES INC 169,166 $13.54M 0.64%
39 VERISK ANALYTICS INC 61,621 $13.40M 0.64%
40 DYNATRACE INC 348,457 $13.27M 0.63%
41 SANDISK CORPORATION 20,834 $12.01M 0.57%
42 DWS Central Cash Management Government Fund 11,628,461 $11.63M 0.55%
43 BYD COMPANY LTD H 915,000 $11.39M 0.54%
44 APPLOVIN CORP 23,472 $11.10M 0.53%
45 ADV MICRO DEVICE 45,097 $10.68M 0.51%
46 THERMO FISHER SCIENTIFIC INC 17,520 $10.14M 0.48%
47 ATLASSIAN CORP PLC CLS A 83,591 $9.88M 0.47%
48 BOX INC- CLASS A 378,338 $9.59M 0.46%
49 PEGASYSTEMS INC 211,442 $9.24M 0.44%
50 GUIDEWIRE SOFTWARE INC 65,343 $9.20M 0.44%
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