| DWS FLOATING RATE NOTES FC | RF EURO | 2,57% | 11,02% | 13,30% | · |
| DWS FLOATING RATE NOTES FD | RF EURO | -0,77% | -1,49% | -1,46% | · |
| DWS FLOATING RATE NOTES IC | RF EURO | 2,64% | 11,21% | 13,63% | · |
| DWS FLOATING RATE NOTES ID | RF EURO | · | · | · | · |
| DWS FLOATING RATE NOTES LC | RF EURO | 2,48% | 10,74% | 12,83% | 12,32% |
| DWS FLOATING RATE NOTES LD | RF EURO | -0,78% | -1,49% | -1,56% | -4,40% |
| DWS FLOATING RATE NOTES TFC | RF EURO | 2,58% | 11,01% | 13,29% | · |
| DWS FLOATING RATE NOTES TFD | RF EURO | -0,78% | -1,50% | -1,50% | · |
| DWS FUNDS ESG-GARANT | MIXTO FLEXIBLE | 7,44% | 20,18% | · | · |
| DWS GLOBAL COMMUNICATIONS ND | RVI TELECOMUNICACIONES | -4,72% | 40,77% | 25,03% | 104,01% |
| DWS GLOBAL EMERGING MARKETS EQUITIES ND | RVI EMERGENTES | 30,49% | 65,05% | 42,94% | 101,75% |
| DWS GLOBAL GROWTH LD | RVI GLOBAL CRECIMIENTO | 8,17% | 43,89% | 46,19% | 189,98% |
| DWS GLOBAL GROWTH TFC | RVI GLOBAL CRECIMIENTO | 8,89% | 46,91% | 51,28% | · |
| DWS GLOBAL GROWTH TFD | RVI GLOBAL CRECIMIENTO | 8,69% | 45,26% | 49,25% | · |
| DWS GLOBAL HYBRID BOND FC | RFI GLOBAL | 0,71% | 21,65% | 11,10% | 37,63% |
| DWS GLOBAL HYBRID BOND FD | RFI GLOBAL | -4,06% | 6,15% | -9,27% | -5,43% |
| DWS GLOBAL HYBRID BOND LD | RFI GLOBAL | -4,06% | 6,14% | -9,21% | -5,32% |
| DWS GLOBAL HYBRID BOND TFC | RFI GLOBAL | 0,71% | 21,65% | 11,09% | · |
| DWS GLOBAL HYBRID BOND TFD | RFI GLOBAL | -4,06% | 6,13% | -9,28% | · |
| DWS GLOBAL VALUE FD | RVI GLOBAL VALOR | 21,15% | 39,81% | 55,67% | 112,16% |
| DWS GLOBAL VALUE IC | RVI GLOBAL VALOR | 22,77% | · | · | · |
| DWS GLOBAL VALUE ID | RVI GLOBAL VALOR | 21,19% | 39,92% | 56,01% | · |
| DWS GLOBAL VALUE LC | RVI GLOBAL VALOR | 21,69% | · | · | · |
| DWS GLOBAL VALUE LD | RVI GLOBAL VALOR | 21,08% | 39,63% | 54,44% | 110,28% |
| DWS GLOBAL VALUE SC | RVI GLOBAL VALOR | 22,48% | 45,75% | 67,19% | 146,07% |
| DWS GLOBAL VALUE TFC | RVI GLOBAL VALOR | 22,48% | · | · | · |
| DWS GLOBAL VALUE TFD | RVI GLOBAL VALOR | 21,16% | 39,85% | 55,86% | · |
| DWS GLOBAL VALUE USD TFC | RVI GLOBAL VALOR | 22,11% | · | · | · |
| DWS INDIA LC | RVI INDIA | -9,39% | -6,90% | -0,82% | 72,31% |
| DWS INDIA TFC | RVI INDIA | -8,48% | -4,06% | 4,23% | · |
| DWS INSTITUTIONAL ESG EURO MONEY MARKET FUND IC | MONETARIO EURO | 2,16% | 9,24% | 11,01% | 8,88% |
| DWS INSTITUTIONAL ESG EURO MONEY MARKET FUND ID | MONETARIO EURO | -0,11% | 0,51% | 0,01% | -2,50% |
| DWS INTERNATIONALE RENTEN TYP O NC | RFI GLOBAL | -1,82% | -2,30% | -16,50% | -16,91% |
| DWS INVEST ARTIFICIAL INTELLIGENCE FC | RVI TECNOLOGÍA | 20,85% | 84,73% | 74,83% | · |
| DWS INVEST ARTIFICIAL INTELLIGENCE LC | RVI TECNOLOGÍA | 19,95% | 80,59% | 68,37% | · |
| DWS INVEST ARTIFICIAL INTELLIGENCE LD | RVI TECNOLOGÍA | 19,92% | 80,48% | 65,46% | · |
| DWS INVEST ARTIFICIAL INTELLIGENCE NC | RVI TECNOLOGÍA | 19,35% | 77,90% | 64,21% | · |
| DWS INVEST ARTIFICIAL INTELLIGENCE TFC | RVI TECNOLOGÍA | 20,85% | 84,72% | 74,80% | · |
| DWS INVEST ARTIFICIAL INTELLIGENCE TFCH (P) | RVI TECNOLOGÍA | 15,86% | 90,19% | 58,60% | · |
| DWS INVEST ARTIFICIAL INTELLIGENCE USD FC | RVI TECNOLOGÍA | 20,81% | 84,52% | 75,28% | · |
| DWS INVEST ARTIFICIAL INTELLIGENCE USD LC | RVI TECNOLOGÍA | 19,91% | 80,43% | 68,84% | · |
| DWS INVEST ARTIFICIAL INTELLIGENCE XC | RVI TECNOLOGÍA | 21,33% | 86,97% | 78,37% | · |
| DWS INVEST ASIAN BONDS AUD LDMH | RFI ASIA PACÍFICO | 5,26% | -2,16% | -19,70% | · |
| DWS INVEST ASIAN BONDS CHF LCH | RFI ASIA PACÍFICO | -4,05% | 4,36% | 6,35% | · |
| DWS INVEST ASIAN BONDS CHF TFCH | RFI ASIA PACÍFICO | -3,56% | 5,75% | 8,81% | · |
| DWS INVEST ASIAN BONDS FCH | RFI ASIA PACÍFICO | 0,31% | 12,59% | 3,05% | 18,67% |
| DWS INVEST ASIAN BONDS HKD LDM | RFI ASIA PACÍFICO | -1,30% | -9,60% | -14,46% | · |
| DWS INVEST ASIAN BONDS HKD LDMH | RFI ASIA PACÍFICO | -3,34% | -12,97% | -19,42% | · |
| DWS INVEST ASIAN BONDS IDH | RFI ASIA PACÍFICO | -4,27% | -1,80% | -17,15% | · |
| DWS INVEST ASIAN BONDS LCH | RFI ASIA PACÍFICO | -0,22% | 10,70% | 0,26% | · |