SUWAX
DWS 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.

Dec 31, 2025 → Mar 31, 2026

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

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
CME GROUP INC CL A 0 76,774 76,774 0.52% $22.68M
U.S. Treasury Bills 0 5,000,000 5,000,000 0.11% $4.84M
ZCS BRL 14.0087 05/12/25-01/04/27 CME 0 400 400 0.02% $955.00K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
DWS GOVERNMENT & AGENCY SECURITIES PORTFOLIO DWS GOVERNMENT CASH INSTITUTIONAL SHARES 34,977,725 0 -34,977,725 0.00% -$34.98M
WIB 0 03/19/26 10,000,000 0 -10,000,000 0.00% -$9.93M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
AMAZON.COM INC 794,578 865,482 70,904 4.13% -$3.15M
DWS Central Cash Management Government Fund 32,243,528 41,036,834 8,793,306 0.94% $8.79M
NEWMONT CORP 214,309 312,921 98,612 0.78% $12.47M
KKR & CO INC 170,351 314,042 143,691 0.67% $7.33M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
APPLE INC 1,563,581 1,532,234 -31,347 8.90% -$36.21M
MICROSOFT CORP 806,209 790,045 -16,164 6.69% -$97.45M
NVIDIA CORP 1,627,228 1,594,604 -32,624 6.37% -$25.38M
ALPHABET INC CL C 846,178 829,214 -16,964 5.45% -$27.66M
JPMORGAN CHASE and CO 459,303 450,095 -9,208 3.03% -$15.60M
META PLATFORMS INC CL A 171,022 167,593 -3,429 2.20% -$17.00M
ABBVIE INC 415,233 406,909 -8,324 2.03% -$6.38M
WALMART INC 818,151 681,559 -136,592 1.94% -$6.45M
VISA INC-CLASS A 278,020 272,447 -5,573 1.89% -$15.16M
BROADCOM INC 254,795 249,686 -5,109 1.77% -$10.90M
MICRON TECHNOLOGY INC 222,698 218,233 -4,465 1.69% $10.17M
AMGEN INC 195,862 191,936 -3,926 1.55% $3.43M
WELLS FARGO & CO 836,528 819,757 -16,771 1.49% -$12.70M
TESLA INC 163,548 160,269 -3,279 1.36% -$13.97M
EXXON MOBIL CORP 317,398 311,035 -6,363 1.21% $14.57M
PULTEGROUP INC 590,127 443,085 -147,042 1.19% -$17.09M
CBOE GLOBAL MARKETS INC 189,025 185,236 -3,789 1.19% $4.62M
NRG ENERGY INC 358,541 351,353 -7,188 1.18% -$5.75M
ORACLE CORP 351,612 344,563 -7,049 1.16% -$17.84M
CHENIERE ENERGY INC 181,242 177,609 -3,633 1.15% $15.17M
ADV MICRO DEVICE 241,368 236,529 -4,839 1.10% -$3.57M
AMERIPRISE FINANCIAL INC 109,307 107,115 -2,192 1.09% -$6.00M
LOCKHEED MARTIN CORP 77,419 75,867 -1,552 1.05% $8.41M
RTX CORP 236,190 231,455 -4,735 1.02% $1.33M
REGENERON PHARMACEUTICALS INC 57,976 56,813 -1,163 1.00% -$853.94K
KIRBY CORP 320,637 314,208 -6,429 0.96% $6.42M
NETFLIX INC 442,252 433,386 -8,866 0.95% $204.52K
OWENS CORNING INC 377,309 369,745 -7,564 0.92% -$2.21M
PROLOGIS INC REIT 301,929 295,876 -6,053 0.90% $564.63K
CATERPILLAR INC 79,030 54,320 -24,710 0.88% -$6.79M
WASTE MANAGEMENT INC 168,741 165,357 -3,384 0.87% $923.30K
HF SINCLAIR CORP 579,101 567,491 -11,610 0.81% $8.72M
WALT DISNEY CO/T 373,119 365,638 -7,481 0.81% -$7.21M
ALBEMARLE CORP 197,070 193,120 -3,950 0.79% $6.80M
NUCOR CORP 208,067 203,896 -4,171 0.79% $541.01K
BANK OF AMERICA CORPORATION 707,153 692,976 -14,177 0.77% -$5.11M
HASBRO INC 508,820 358,628 -150,192 0.77% -$8.16M
S&P GLOBAL INC 80,173 78,566 -1,607 0.77% -$8.48M
COSTCO WHOLESALE CORP 33,738 33,062 -676 0.75% $3.85M
MERCK & CO 272,939 267,466 -5,473 0.74% $3.44M
GENERAL MOTORS CO 605,893 431,728 -174,165 0.74% -$17.11M
QUALCOMM INC 245,890 240,960 -4,930 0.71% -$11.03M
PHILIP MORRIS INTL INC 189,133 185,341 -3,792 0.70% $307.35K
APOLLO GLOBAL MANAGEMENT INC 257,956 252,783 -5,173 0.64% -$9.18M
HOWMET AEROSPACE INC 123,774 121,292 -2,482 0.64% $2.58M
TJX COS INC 173,190 169,717 -3,473 0.62% $500.09K
KENVUE INC 1,569,920 1,546,318 -23,602 0.61% -$422.60K
CONSTELLATION BRANDS INC CL A 179,945 176,338 -3,607 0.61% $1.63M
MKS INSTRUMENTS INC 116,410 114,076 -2,334 0.60% $7.61M
HUBBELL INC 53,623 52,547 -1,076 0.59% $1.97M
LAM RESEARCH CORP 115,179 112,870 -2,309 0.55% $4.40M
MEDICAL PROPERTI 5,237,853 5,132,841 -105,012 0.54% -$2.42M
WEC ENERGY GROUP INC 208,687 204,502 -4,185 0.54% $1.67M
CLOUDFLARE INC-A 112,728 110,468 -2,260 0.52% $569.64K
GENERAL ELECTRIC CO 77,548 75,993 -1,555 0.49% -$2.32M
HYATT HOTELS CORP CL A 144,760 141,858 -2,902 0.47% -$2.81M
STERIS PLC 92,988 91,124 -1,864 0.46% -$3.42M
JOHNSON&JOHNSON 82,225 80,576 -1,649 0.45% $2.68M
ELEVANCE HEALTH INC 68,298 66,928 -1,370 0.45% -$4.35M
SLB LTD 386,757 379,003 -7,754 0.45% $4.63M
BLACKSTONE INC 172,080 168,630 -3,450 0.44% -$7.13M
UNITED AIRLINES HOLDINGS INC 212,025 207,775 -4,250 0.44% -$4.58M
MOLSON COORS BEVERAGE CO B 449,789 440,771 -9,018 0.43% -$2.02M
BOEING CO/THE 97,004 95,060 -1,944 0.43% -$2.14M
INTERCONTINENTAL EXCHANGE INC 120,740 118,319 -2,421 0.43% -$945.84K
MEDTRONIC PLC 216,333 211,996 -4,337 0.42% -$2.41M
CHORD ENERGY CORP 130,154 127,545 -2,609 0.42% $6.07M
ALLSTATE CORPORATION 88,929 87,146 -1,783 0.41% -$441.72K
FIRSTENERGY CORP 359,705 352,494 -7,211 0.41% $1.75M
SERVICENOW INC 172,010 168,561 -3,449 0.40% -$8.73M
ROCKET LAB CORP 268,468 263,086 -5,382 0.39% -$1.83M
FORTINET INC 209,471 205,272 -4,199 0.38% $140.74K
AVALONBAY COMMUNITIES INC REIT 104,781 102,681 -2,100 0.38% -$2.22M
T-MOBILE US INC 80,883 79,261 -1,622 0.38% $224.70K
THE CIGNA GROUP 110,375 61,716 -48,659 0.38% -$13.92M
APTARGROUP INC 131,838 129,194 -2,644 0.37% $202.07K
AUTOMATIC DATA PROCESSING INC 80,058 78,453 -1,605 0.36% -$4.65M
ABBOTT LABS 156,726 153,584 -3,142 0.36% -$3.87M
NIKE INC CL B 297,077 291,120 -5,957 0.35% -$3.55M
VEEVA SYSTEMS-A 88,051 86,286 -1,765 0.35% -$4.50M
UNITEDHEALTH GRP 55,964 54,843 -1,121 0.34% -$3.63M
VISTRA CORP 100,149 98,142 -2,007 0.34% -$1.40M
COUPANG INC A 672,680 659,194 -13,486 0.28% -$3.42M
VERISK ANALYTICS INC 64,362 63,071 -1,291 0.27% -$2.43M
VERALTO CORP 122,816 120,354 -2,462 0.24% -$1.61M
SPOTIFY TECHNOLOGY SA 22,045 21,603 -442 0.24% -$2.33M
MOSAIC CO/THE 412,413 404,145 -8,268 0.24% $370.67K
PALANTIR TECHNOLOGIES INC 63,996 62,713 -1,283 0.21% -$2.20M
ADOBE INC 32,130 31,486 -644 0.18% -$3.59M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ZOOM COMMUNICATIONS INC CLASS A 58,463,220 58,463,220 0 0.00% $4.06M

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