DWS Systematic & Quantitative Investments stands for long-term investment success through a methodical and disciplined investment process and mature risk management. The team develops a rigorous approach based on sound economic principles, fundamental data and quantitative research. The goal is to make portfolios more cost-efficient while at the same time improving the risk-return profile.
The idea is that returns are driven by systematically replicable factors. By identifying these factors as well as the calculation of returns and correlations, we seek to make to recreate these so-called factor returns repeatable and reliable. With the factors are cleverly combined, an efficient portfolio can be formed, free from emotional investment decisions. Beforehand extensive analyzes must be carried out. The DWS Systematic & Quantitative Investments team has developed various models for the calculations and applies them to the three areas of "Quant Equity", "Quant Fixed Income" and "Quant Allocation".
Priciples and beliefs of the DWS Systematic & Quantitative Investment Team
The concept of DWS Systematic & Quantitative Investments is based on 3 principles.
1. as of March 31, 2020
DIE HIER DARGESTELLTEN INHALTE SIND NUR FÜR PROFESSIONELLE ANLEGER BESTIMMT, Z.B. BANKEN, ANLAGEBERATER, PENSIONSFONDS, INVESTMENTFONDS, VERSICHERUNGSGESELLSCHAFTEN UND ÄHNLICHE RECHTSTRÄGER UND SIND NICHT FÜR PRIVATANLEGER VORGESEHEN. MIT DER ZUSTIMMUNG ZU DIESEN BEDINGUNGEN BESTÄTIGT DER NUTZER UND ERKENNT AN, DASS ER IN SEINER FUNKTION ALS PROFESSIONELLER ANLEGER HANDELT ODER EINEN PROFESSIONELLEN ANLEGER VERTRITT UND NICHT ALS PRIVATANLEGER HANDELT.
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