Risk Considerations

Investors should note that Deutsche Invest Funds are generally not capital protected or guaranteed and investors in each Deutsche Invest Funds should be prepared and able to sustain losses up to the total capital invested. The value of an investment in a Deutsche Invest Funds may go down as well as up and past performance is not a reliable indicator of future results. Investment in any Deutsche Invest Funds involves numerous risks, for a list of related risks please click here.


Deutsche Bank has received reports that the Deutsche Bank name and brand are being misused to facilitate an investment fraud scam, whereby members of the public receive calls from someone purporting to be a Deutsche Bank DWS Global Wealth Management employee offering minimum £10,000 investments in a one year DWS Corporate Bond offering high rates of return. The fraudsters are using names, telephone numbers and email addresses not affiliated to Deutsche Bank.
If you have concerns then please contact Deutsche Bank via our switchboard. If you have been the victim of fraud then please report the matter to the Police, via Action Fraud reporting line on 0300 123 2040.

DWS Invest Global Bonds LC

ISIN: LU0616844923Price by date: 25/05/2020Issue price: 98.17
 Currency: EURRedemption price: 95.23

Success Story

Deutsche Invest Global Bonds is a conservatively managed unconstrained fixed income fund, which seeks to generate a return of 3 month Euribor plus 300 basis points (gross of fees) per year with the objective to keep the annual volatility below 3% and targeting capital preservation over a rolling 3 year period. The fund seeks to exploit a diversity of return drivers and avoids a reliance on any one source of performance.

Investment Process

Unconstrained fixed income managers tend to have access to a wider range of markets and investment instruments and therefore risk and return drivers. The resultant flexibility means unconstrained fixed income managers have a greater range of options to help them generate superior risk-adjusted returns.


  • -  Aim to generate a positive return regardless of the prevailing market environment
  • -  Wide range of Investment materials
  • -  Worldwide bond fund, euro hedged


  • -  Market, sector and company-specific risks
  • -  Currency Risk


CategoryBond Funds
Investor Profile Income-oriented
Morningstar Gesamtrating™
(as of date: 31/03/2020)
FERI Funds Ratingn/a
Lipper Leaders
(as of date: 31/03/2020)
Total Assets
(in M EUR)
Total Expense Ratio (as of 02/01/2020)n.a.
Date for selected period


Bernhard Falk

In March core rate yields moved lower. US, Germany ...More