C000017188 Holdings — DWS CROCI(R) International VIP

All 78 reported holdings of DWS CROCI(R) International VIP (C000017188) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Sanofi SA4.89%$4.60M
Tenaris SA4.22%$3.97M
Dws4.12%$3.88M
BHP Group Ltd3.60%$3.39M
Shionogi & Co Ltd2.92%$2.75M
Ono Pharmaceutical Co Ltd2.86%$2.69M
Credit Agricole SA2.83%$2.66M
Rio Tinto PLC2.65%$2.49M
BNP Paribas SA2.42%$2.28M
Banco Santander SA2.41%$2.27M
Imperial Brands PLC2.31%$2.18M
UniCredit SpA2.28%$2.15M
Dcc PLC2.27%$2.13M
Central Japan Railway Co2.24%$2.11M
Komatsu Ltd2.14%$2.01M
Roche Holding AG2.13%$2.01M
British American Tobacco PLC2.06%$1.94M
TotalEnergies SE2.05%$1.93M
Japan Tobacco Inc2.04%$1.92M
Oversea-Chinese Banking Corp Ltd2.04%$1.92M
Gsk PLC2.03%$1.91M
Banco Bilbao Vizcaya Argentaria SA1.93%$1.82M
HSBC Holdings PLC1.88%$1.77M
Hong Kong & China Gas Co Ltd1.83%$1.72M
Venture Corp Ltd1.82%$1.71M
Intesa Sanpaolo SpA1.78%$1.68M
Astellas Pharma Inc1.77%$1.67M
Henkel AG & Co KGaA1.68%$1.58M
Itv PLC1.62%$1.52M
Toyota Motor Corp1.58%$1.49M
Nestle SA1.36%$1.28M
Takeda Pharmaceutical Co Ltd1.24%$1.17M
Origin Energy Ltd1.24%$1.16M
Nitto Denko Corp1.22%$1.15M
Societe Generale SA1.12%$1.05M
Pandora A/S1.10%$1.03M
Kansai Electric Power Co Inc/The1.08%$1.01M
Vinci SA1.03%$972.43K
ANA Holdings Inc1.01%$950.30K
International Consolidated Airlines Group SA0.98%$925.14K
TDK Corp0.98%$925.11K
Teleperformance SE0.94%$885.40K
NatWest Group PLC0.92%$867.26K
Dentsu Group Inc0.92%$863.38K
Beiersdorf AG0.86%$805.13K
Denso Corp0.85%$804.46K
Sekisui House Ltd0.85%$800.63K
Brenntag SE0.80%$754.76K
Daikin Industries Ltd0.74%$698.86K
Bunzl PLC0.73%$688.86K
Bayer AG0.62%$580.26K
Yue Yuen Industrial Holdings Ltd0.60%$567.03K
Sony Group Corp0.59%$556.18K
Nordea Bank Abp0.59%$555.48K
Teva Pharmaceutical Industries Ltd0.59%$551.50K
Danske Bank A/S0.56%$523.99K
Volvo AB0.51%$481.02K
Barclays PLC0.47%$441.42K
Shin-Etsu Chemical Co Ltd0.47%$440.33K
easyJet PLC0.47%$439.87K
United Overseas Bank Ltd0.46%$432.56K
Dws0.42%$395.60K
Pernod Ricard SA0.42%$394.41K
Carnival PLC0.39%$369.23K
Otsuka Holdings Co Ltd0.38%$354.28K
Asahi Kasei Corp0.34%$321.75K
Pearson PLC0.34%$316.70K
Engie SA0.33%$311.07K
Sodexo SA0.33%$310.04K
Essity AB0.30%$286.50K
Deutsche Post AG0.27%$255.79K
Tui AG0.27%$252.91K
Daiichi Sankyo Co Ltd0.25%$237.87K
PRADA SpA0.23%$219.60K
Suzuki Motor Corp0.23%$215.14K
Skandinaviska Enskilda Banken AB0.22%$211.59K
Siemens AG0.21%$197.29K
Capgemini SE0.19%$179.92K

C000017188 overview: performance, fees, allocation and SEC filings