UCITS Fund
DWS ZEITWERT PROTECT
Supervised by the CSSF · active
DWS ZEITWERT PROTECT is a UCITS fund regulated by the CSSF (Commission de Surveillance du Secteur Financier) under the Law of 17 December 2010, which governs undertakings for collective investment in Luxembourg. Its licence is recorded as active in the CSSF official register, with an effective date of 28 July 2008. No registered address is specified in the available register data, and the fund does not hold a registered LEI, the international identifier used in regulatory reporting and financial transactions. No RCS registration number is recorded for this entity in the CSSF register data used for this profile.
Key facts
- Fund structure
- UCITS Fund
- RCS number
- —
- LEI
- —
- Regulatory regime
- UCI (Law of 17 December 2010)
- Authorised since
- 28 July 2008
- Registered address
- —
About DWS ZEITWERT PROTECT
DWS ZEITWERT PROTECT holds an active UCI licence issued under the Law of 17 December 2010, classifying it as a UCITS fund — a category of collective investment undertaking that must meet the harmonised standards set out under EU UCITS directives. These standards cover areas such as eligible assets, risk diversification, investor disclosure, and ongoing fund governance. The fund's licence has been recorded as active in the CSSF register since 28 July 2008, meaning it has maintained its authorised status continuously from that licence date. The CSSF, as the competent supervisory authority, is responsible for overseeing the fund's compliance with applicable Luxembourg and EU investment fund regulations. The CSSF maintains a public register of all authorised UCIs, from which the data in this profile is sourced. No registered address is listed in the available register data for DWS ZEITWERT PROTECT, and no LEI — the Legal Entity Identifier used to identify parties in financial transactions and regulatory filings — has been recorded for this fund. No RCS number appears in the CSSF register data. The fund name suggests an association with DWS, a well-known asset management group, though no formal organisational or structural details are confirmed within the register data available. Specific services, sub-fund structures, or investment objectives are not specified in the CSSF register entry on which this profile is based, and no such details have been added. Any further information about the fund's investment policy or distribution would need to be sourced directly from official fund documentation such as the prospectus or key investor information document.