Holdings

Symbol Grade Price % Change Allocation
CTVA B 0.51 3.63
COP D -0.67 2.74
XOM B -0.81 2.67
VALE C -0.54 2.56

Recent News for Xtrackers RREEF Global Natural Resources ETF & its Holdings

Date Stock Title
May 20 XOM Calpers Opposes All Exxon Directors Amid Shareholder Dispute
May 20 XOM Column: In a major rebuke to Exxon Mobil, CalPERS will vote against its entire board
May 20 XOM Exxon Board Under Fire From Pension Fund for Suing to Prevent Shareholder Proposals
May 20 XOM Oil’s Rangebound Trading Pushes Volatility Measure to 2019 Lows
May 20 XOM Calpers to vote against Exxon board and CEO over ‘reckless’ lawsuit
May 20 XOM Exxon's Directors to Lose CalPERS' Vote Due to Lawsuit Against Climate Activists
May 20 XOM ExxonMobil (XOM), Pertamina Progress on CCS Hub in Indonesia
May 20 XOM Calpers says will oppose all Exxon directors in shareholder dispute
May 20 XOM CalPERS to vote against Exxon board members
May 18 COP ConocoPhillips: Delaware, Willow And The Decade Of Low-Risk Growth
May 18 XOM Want Decades of Passive Income? 2 Stocks to Buy Now and Hold Forever
May 17 XOM Why Exxon Stock Can Rise More. Plus Netflix, Home Depot, and More.
May 17 XOM Update: Market Chatter: Large Hess Shareholder to Abstain From Vote on Chevron Takeover
May 17 XOM Hess holders D.E. Shaw, Pentwater plan to abstain from vote on Chevron deal - reports
May 17 XOM 2 Energy Stocks That Wall Street Fell in Love With This Week
May 17 XOM Is Chevron's (CVX) $53B Acquisition of Hess in Jeopardy?
May 17 COP Top 2 Energy Stocks That May Rocket Higher This Month
May 17 XOM Hess shareholders should vote in favor of Chevron deal, Glass Lewis says
May 17 XOM Hess Investors Advised by Glass Lewis to Back Chevron Deal
May 16 XOM Mobil 1™ Celebrates Next Generation of Racing as Official Sponsor of Lollipop
NRES is the first actively managed ETF by DWS. It aims for total return, focusing on the global natural resources sector, encompassing agriculture, energy, and metals industries. The funds strategic approach involves top-down and bottom-up research to allocate its investments, considering factors like supply/demand, ESG criteria, and market interrelations. Insight into commodity-price cycles, sector interdependencies and trends guide its decision-making process amid evolving market condition. This approach enhances the ability of NRES to harness investment prospects. Additionally, the fund may concentrate its investments in non-US issuers and diversify up to 20% of its assets into debt securities, short-term investments, and ETFs for liquidity purposes and enhanced risk management. By leveraging this flexibility, NRES seeks to deliver optimal returns while navigating the complexities of the natural resources space. The funds goal is to position itself to seize investment opportunities for long-term growth and value creation.
Exchange Traded Funds
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