KTRZX
DWS Global Income Builder Fund
DEUTSCHE DWS MARKET TRUST

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
343
Top-10 weight
28.67%
Effective holdings ?
73
Crowding ?
428.1

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 DWS Central Cash Management Government Fund 38,353,500 $38.35M 6.26%
2 US TREASURY N/B 34,706,400 $34.88M 5.69%
3 DWS GOVERNMENT & AGENCY SECURITIES PORTFOLIO DWS GOVERNMENT CASH INSTITUTIONAL SHARES DBBXX 29,255,280 $29.26M 4.78%
4 U.S. Treasury Bills B 20,000,000 $19.64M 3.21%
5 V/E JPM EM L C B EMLC 652,175 $17.15M 2.80%
6 NVIDIA CORP 58,299 $11.14M 1.82%
7 AMPHENOL CORPORATION CL A 74,625 $10.75M 1.76%
8 Uniform Mortgage-Backed Security, TBA FNMA 10,500,000 $10.75M 1.76%
9 Fannie Mae REMICS 9,494,803 $9.68M 1.58%
10 Novartis AG (Registered) NVSEF 58,324 $8.64M 1.41%
11 TBA GNMA 30 YR 5.50000000 GNR 7,000,000 $7.08M 1.16%
12 TRAVELERS COS IN 24,060 $6.85M 1.12%
13 Mexico Cetes 117,000,000 $6.65M 1.09%
14 SAMSUNG ELEC VTG GDR REGS SSNHZ US 2,356 $6.49M 1.06%
15 ALPHABET INC CL A 18,217 $6.16M 1.01%
16 ALPHABET INC CL C 18,129 $6.14M 1.00%
17 U.S. Treasury Notes 6,100,000 $6.10M 1.00%
18 LILLY ELI and CO 5,768 $5.98M 0.98%
19 AMAZON.COM INC 24,900 $5.96M 0.97%
20 US TREASURY N/B 5,302,000 $5.31M 0.87%
21 COSTCO WHOLESALE CORP 5,344 $5.02M 0.82%
22 BROADCOM INC 15,090 $5.00M 0.82%
23 JAPAN TOBACCO 134,500 $4.86M 0.79%
24 ALLSTATE CORPORATION 23,600 $4.70M 0.77%
25 UNITED MEXICAN 4,604,000 $4.59M 0.75%
26 EDISON INTL 72,800 $4.53M 0.74%
27 THE BOOKING HOLDINGS INC 889 $4.45M 0.73%
28 Republic of Colombia COLOM 3,850,000 $4.41M 0.72%
29 ABB Ltd. (Registered) ABLZF 51,002 $4.40M 0.72%
30 CHUBB LTD 14,080 $4.36M 0.71%
31 TRANE TECHNOLOGIES PLC 10,309 $4.34M 0.71%
32 NetEase Inc. SPON ADS EACH REP 25 ORD SH NTES US 32,500 $4.19M 0.68%
33 MICROSOFT CORP 9,669 $4.16M 0.68%
34 ARISTA NETWORKS INC 29,028 $4.11M 0.67%
35 CENOVUS ENERGY INC 208,200 $4.11M 0.67%
36 U.S. Treasury Notes TF 3,931,200 $3.93M 0.64%
37 PHILLIPS 66 26,800 $3.85M 0.63%
38 REGENERON PHARMACEUTICALS INC 5,145 $3.81M 0.62%
39 Freddie Mac Pool 3,672,088 $3.79M 0.62%
40 DOVER CORP 18,800 $3.79M 0.62%
41 NUCOR CORP 21,100 $3.75M 0.61%
42 RAD CLO 23 Ltd 3,500,000 $3.51M 0.57%
43 UBS GROUP AG 72,647 $3.43M 0.56%
44 SOMPO HOLDINGS I 96,500 $3.33M 0.54%
45 Hungary Government Bond 1,070,000,000 $3.25M 0.53%
46 Mahindra & Mahindra Ltd. MHID 85,087 $3.22M 0.53%
47 NUSTAR LOGISTICS LP REGD 6.37500000 NSUS 3,045,000 $3.19M 0.52%
48 AUTODESK INC 12,478 $3.16M 0.52%
49 PARKER HANNIFIN CORP 3,324 $3.11M 0.51%
50 Chemours Co/The 5.38 05/15/2027 CC 2,855,000 $2.87M 0.47%
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