Mutual Funds

Explore a wide range of mutual fund options, spanning all major asset classes—domestic international and global equities; taxable fixed-income; municipal bonds, multi-asset solutions, index-based and real assets.

Showing 10 of 48

Performance as of 09/30/18. Performance as of 11/30/18. Daily prices and YTD performance as of 12/12/18. 12/12/18. Data indicated by * is as of the previous business day

  • Ticker
  • Fund name
  • Asset class
  • % Max sales charge
  • $ MOP
  • $ change
  • % change
  • % YTD
  • % 1Y
  • % 5Y
  • % 10Y
  • % Since inception
  • Inception date
  • SDCSX
  • -- --
  • -- 7.32
  • -- 0.00
  • -- 0.00
  • -- -0.17 -- -0.17
  • -- 0.21 -- 0.35
  • -- 3.89 -- 3.71
  • -- 5.11 -- 5.30
  • -- 4.50 -- 4.46
  • 06/18/01 06/18/01
  • SCGSX
  • -- --
  • -- 80.66
  • -- 0.71
  • -- 0.89
  • -- 3.74 -- 3.74
  • -- 24.77 -- 8.37
  • -- 16.10 -- 12.27
  • -- 12.37 -- 14.13
  • -- 10.48 -- 10.14
  • 07/17/00 07/17/00
  • SCDGX
  • -- --
  • -- 27.29
  • -- 0.18
  • -- 0.66
  • -- -0.30 -- -0.30
  • -- 18.56 -- 5.12
  • -- 14.31 -- 11.00
  • -- 12.77 -- 15.22
  • -- -- -- --
  • 05/31/29 05/31/29
  • KDHSX
  • -- --
  • -- 57.46
  • -- 0.19
  • -- 0.33
  • -- 1.42 -- 1.42
  • -- 11.93 -- 7.17
  • -- 11.23 -- 9.78
  • -- 8.83 -- 12.00
  • -- 5.35 -- 5.30
  • 02/28/05 02/28/05
  • SCINX
  • DWS CROCI International Fund International/Global Equity
  • -- --
  • -- 42.34
  • -- 0.77
  • -- 1.85
  • -- -13.15 -- -13.15
  • -- -1.24 -- -11.01
  • -- 3.64 -- 1.22
  • -- 3.61 -- 6.15
  • -- -- -- --
  • 06/18/53 06/18/53
  • DCUSX
  • -- --
  • -- 10.73
  • -- 0.07
  • -- 0.66
  • -- -6.70 -- -6.70
  • -- 8.17 -- -0.70
  • -- -- -- --
  • -- -- -- --
  • -- 6.25 -- 4.92
  • 04/10/15 04/10/15
  • SEMGX
  • DWS Emerging Markets Equity Fund International/Global Equity
  • -- --
  • -- 18.40
  • -- 0.24
  • -- 1.32
  • -- -10.90 -- -10.90
  • -- 1.37 -- -6.24
  • -- 4.42 -- 3.21
  • -- 3.11 -- 7.49
  • -- 5.16 -- 4.98
  • 05/08/96 05/08/96
  • SCEMX
  • -- --
  • -- 8.61
  • -- 0.02
  • -- 0.23
  • -- -6.44 -- -6.44
  • -- -4.07 -- -7.18
  • -- 1.30 -- 0.46
  • -- 3.35 -- 5.93
  • -- 6.77 -- 6.59
  • 12/31/93 12/31/93
  • SKSRX
  • -- --
  • -- 10.19
  • -- 0.02
  • -- 0.20
  • -- -9.88 -- -9.88
  • -- 0.62 -- -9.98
  • -- -3.60 -- -5.00
  • -- -3.36 -- -0.65
  • -- -0.58 -- -1.19
  • 02/14/05 02/14/05
  • BTIEX
  • -- --
  • -- 215.49
  • -- 1.16
  • -- 0.54
  • -- 0.75 -- 0.75
  • -- 17.57 -- 5.98
  • -- 13.58 -- 10.76
  • -- 11.67 -- 14.01
  • -- 9.55 -- 9.27
  • 12/31/92 12/31/92

Showing 10 of 48

Performance is historical and does not guarantee future results. Investment returns and principal fluctuate so your shares may be worth more or less when redeemed. Current performance may differ from the data shown. Adjusted returns reflect the maximum sales charge. Unadjusted returns do not reflect sales charges and would have been lower if they did. To view the Net Asset Value (NAV) for a fund, please select the UNADJ option in the View Data drop down box below. Gross expense ratio is as of the latest prospectus.

Performance includes reinvestment of all distributions.

Glossary Word X

Showing 10 of 48

Expense ratio as of current prospectus. Data indicated by * is as of the previous business day

  • Ticker
  • Fund name
  • Asset class
  • % Net expense ratio
  • % Gross expense ratio
  • Contractual
  • Voluntary

Showing 10 of 48

Showing 10 of 48

  • Ticker
  • Fund name
  • Asset class
  • Record date
  • Reinvest ex-date
  • Payment date
  • Dividend payment

Showing 10 of 48

Note that the dividend policies of the funds are subject to change at any time as market or other conditions change. There can be no guarantee that a particular dividend policy will continue. Dividends on Class C shares will fluctuate due to slight variations in fund class expenses from month to month. Not all funds have dividend payouts.

Showing 10 of 51

  • Fund name
  • Asset class
  • Record date
  • Reinvest ex-date
  • Payment date
  • Short term
  • Long term
  • Total
  • Approximate % of NAV

Showing 10 of 51

The above list of per-share estimated capital gain distributions for our funds payable to shareholders on the dates shown below. It is important to note that no amounts will be provided for distributions attributable to net investment income. The final amounts will be reported to you for tax purposes on your Form 1099-DIV which will be mailed early in 2019.

With capital gain payments, please keep in mind the following:

Short-term and long-term capital gains are taxed at different rates. Please consult a tax advisor regarding your specific tax situation.
Amounts shown are "per share". To calculate your capital gain distribution, mulitply the per share amounts in the chart by the amount of shares you own. Your final capital gain distribution will be based on the number of shares you own on the fund's record date.

Prospective investors should consider purchasing shares after the record date in order to avoid a tax liability on gains their shares did not earn.

Per-share amounts are based on the actual number of shares outstanding on the funds' record date.

If you have any questions, please contact Shareholder Services at (800) 728-3337.

Showing 10 of 48

Distribution rates as of 12/12/18. Yields as of 09/28/18 Yields as of 11/30/18

  • Ticker
  • Fund name
  • Asset class
  • % With sales charge
  • % Without sales charge
  • % Tax equivalent with sales charge
  • % Tax equivalent without sales charge
  • % 30 day subsidized
  • % 30 day non-subsidized
  • % Tax-equivalent 30-day SEC yield
  • Inception date

Showing 10 of 48

Yields are historical, will fluctuate and do not guarantee future results. The nonsubsidized yield reflects what the yield would have been had a fee and/or expense waiver not been in place during the period shown. Investment returns and principal fluctuate so your shares may be worth more or less when redeemed. Current performance may differ from the data shown. Please see below for distribution rate information.

Current annualized distribution rate based upon NAV is the latest daily dividend shown as an annualized percentage of net asset value. Current annualized distribution rate, based upon maximum offering price which is adjusted for sales changes (MOP), where applicable, is the latest daily dividend shown as an annualized percentage of maximum offering price. Distribution rate simply measures the level of dividends and is not a complete measure of performance.

The tax-equivalent distribution rate for DWS California Tax-Free Income Fund is calculated using a 48.67% combined marginal federal and state of California tax rate.
The tax-equivalent distribution rate for DWS Intermediate Tax-Free Fund, DWS Managed Municipal Bond Bond and DWS Short-Term Municipal Bond Fund is calculated using a 40.8% marginal federal income tax rate.
The tax-equivalent distribution rate for DWS Massachusetts Tax-Free Income fund is calculated using a 43.81% combined marginal federal and state of Massachusetts tax rate.
The tax-equivalent distribution rate for DWS New York Tax-Free Income fund is calculated using a 46.02% combined marginal federal and state of New York tax rate.

Get in touch

Right for you?

Talk with your Financial Advisor to determine how this fund may serve your objectives.

Add to your brokerage account?

Many DWS funds are available on brokerage platforms. Check with yours today.

(844) 851-4255
Investment Professional - Sales
To speak with your sales representative please call the above number
(800) 621-5027
Investment Professionals - Account Information
Account services and transaction processing. 7 a.m. to 6 p.m. CT Monday - Friday. Email us at rep@dws.com
(800) 728-3337
Shareholders - Account Information
7 a.m. to 6 p.m. CT Monday - Friday. Automated assistance 24 hours a day. Email us at service@dws.com