db X-trackers MSCI Europe Hedged Equity Fund (DBEU) Tearsheet as of 11:54 am, April 28, 2014. Summary RATINGS* DIAMONDS* ETFG RISK RATING 4.63 Description db X-Trackers MSCI Europe Hedged Equity Fund is an exchange-traded fund incorporated in the USA. The Fund seeks to track the performance of the MSCI Europe USD Hedged Index. Inception Date: 10/01/2013 Expense Ratio: 0.45% Related Index: MSCI Europe USD Hedged Index Historical prices (1 year) Last 27.06 Change 0.08 (0.30%) Last Volume 34 Bid 26.92 27.23 Ask 27.08 High 27.10 Low 26.96 Open 27.01 Previous Close 26.98 Volume 3K Dividend Yield 1.77% 52wk High 27.34 52wk Low 25.22 Date 4/28/2014 Time 11:34:54 AM Mar 31 Apr 04 Apr 11 Apr 21 Apr 25 Key - Green Diamond Reward Ratings Key - Red Diamond Risk Ratings Key: 1 2 3 4 5 6 7 8 9 10 Key: 1 2 3 4 5 6 7 8 9 10 Underperform Market Perform Outperform Low Risk Moderate Risk High Risk (c) ETF Global Page 1 of 6
Exposure Geographic Exposure 21.2% 14.8% 13% 15.5% 11.2% 10.5% 9.4% Great Britain France Switzerland 28.1% Sweden Belgium Italy Jersey Denmark Brazil Germany 4.3% 4.7% Finland Bangladesh Ireland Austria Sector Exposure Netherlands Portugal Luxembourg Financials Norway Health Care Guernsey Consumer Staples 26.7% Spain Industrials Energy Materials Consumer Discretionary Telecommunication Services 5.8% Information Technology 6.7% Utilities 8.2% Consumer Goods Services Industrial Goods Currency Exposure 34.1% 31.7% 4.7% 12.6% 13% Industry Group Exposure 10.2% 26.8% 10.2% 8.3% 8.2% 6.9% Industry Exposure 10.5% 10% 8% (c) ETF Global 27.5% EUR GBp CHF SEK DKK BRL BDT NOK Commercial Banks Pharmaceuticals 11.1% Oil Gas & Consumable Fuels Food Products Metals & Mining 10.7% Insurance Beverages 8.3% Chemicals Diversified Telecommunication Services4.1% Building Products Machinery Tobacco Media Electrical Equipment 6.7% Sub-Industry 29.2% Pharmaceuticals Biotechnology & Life Sciences Banks Food Beverage & Tobacco Energy Capital Goods Materials Insurance Telecommunication Services Diversified Financials Media Commercial & Professional Services Utilities Automobiles & Components Retailing Exposure Consumer Durables & Apparel Food & Staples Retailing Household & Personal Products Diversified Banks Health Care Equipment & Services Pharmaceuticals Technology Hardware & Equipment Integrated Oil & Gas Real Estate Packaged Foods & Meats Software & Services Diversified Metals & Mining Consumer Services Integrated Telecommunication Services Commercial & Professional Services Building Products Transportation Tobacco Semiconductors & Semiconductor Equipment Brewers Consumer Goods Life & Health Insurance Services Diversified Chemicals Industrial Goods Multi-line Insurance Industrial Machinery Electrical Components & Equipment Page 2 of 6
Top Holdings Ticker Fund Ticker Constituent Name Country Currency Weight Shares Market Value 1 NESN.VX DBEU Nestle SA CHF 2.73% 0 840.78K 2 ROG DBEU Roche Holding AG CHF 2.27% 0 699.60K 3 NOVN DBEU Novartis AG CHF 2.21% 0 681.53K 4 HSBA DBEU HSBC Holdings PLC GBp 2.14% 0 660.98K 5 BP. DBEU BP PLC GBp 1.69% 0 521.79K 6 RDSA.LN DBEU Royal Dutch Shell PLC GBp 1.62% 0 499.59K 7 FP.FP DBEU Total SA EUR 1.62% 0 498.77K 8 GSK DBEU GlaxoSmithKline PLC GBp 1.49% 0 459.86K 9 SAN.FP DBEU Sanofi EUR 1.42% 0 436.58K 10 SAN.SQ DBEU BANCO SANTANDER SA - - 1.28% 0 395.89K 11 BAYN.GY DBEU Bayer AG - EUR 1.23% 0 379.68K 12 BATS DBEU British American Tobacco PLC GBp 1.21% 0 371.77K 13 SIE.GY DBEU SIEMENS AG-REG - - 1.19% 0 366.53K 14 BAS.GY DBEU BASF SE EUR 1.15% 0 354.91K 15 RDSB DBEU Royal Dutch Shell PLC GBp 1.11% 0 342.92K 16 VOD.LN DBEU Vodafone Group PLC - GBp 1.06% 0 327.04K 17 DAI.GY DBEU Daimler AG - EUR 1.01% 0 310.20K 18 NOVOB.DC DBEU Novo Nordisk A/S DKK 1.00% 0 308.08K 19 ABI.BB DBEU Anheuser-Busch InBev NV EUR 0.97% 0 298.90K 20 AZN DBEU AstraZeneca PLC GBp 0.94% 0 290.19K Product Info Service Providers Tax Classification Administrator The Bank of New York Mellon Corporation Tax Classification Regulated Investment Company Advisor DBX Advisors LLC Commodity Pool Operator - Commodity Trading Advisor - Custodian The Bank of New York Mellon Corporation Depositor - Depository - Distributor ALPS Distributors, Inc. Futures Commission Merchant - Expenses Management Fee.450% Expenses.000% Total Expenses.450% Fee Waivers.000% Net Expenses.450% General Partner - Marketing Agent - Pool Manager - Pool Tax Administrator - Portfolio Manager Vishal Bhatia, Dino Bourdos Subadvisor TDAM USA Inc. Trust Processing Agent - Transfer Agent The Bank of New York Mellon Corporation Trust Sponsor - Trustee - Additional Information Fiscal Year End May 31 Distribution Frequency Semi-Annual Listing Exchange NYSE Arca, Inc. Creation Unit Size 50,000 Creation Fee $6,000.00 SEC Series Id S000042012 SEC Class Id C000130527 CTA NAV Symbol DBEU.NV CTA Est Cash Symbol DBEU.SO ETFG Index Membership CTA Total Cash Symbol CTA IOPV Symbol DBEU.TC DBEU.IV (c) ETF Global Page 3 of 6
Performance * 2010 Performance 2011 Performance 2012 Performance 2013 Performance 2014 Performance 1.17% Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Year Q1 Q2 Q3 Q4 Total 2010 - - - - - 2011 - - - - - 2012 - - - - - 2013 - - - - - 2014 1.17% 0.37% - - 1.54% MTD YTD 1 Year 3 Year 5 Year 0.37% 1.54% - - - Peer Group Stats (Equity) 1 Month 3 Month 6 Month 1 Year 3 Year Peer Ave. Return 1.84% 1.20% 4.68% 11.76% 12.28% Peer Low -11.95% -22.70% -20.84% -29.02% -98.06% Peer 25th -0.34% -0.92% 1.92% 0.00% 0.00% Peer Median 1.55% 1.26% 4.65% 13.21% 0.00% Peer 75th 3.76% 3.51% 6.72% 22.05% 36.83% Peer High 45.40% 32.16% 26.49% 70.96% 90.28% Number of Funds 831 831 831 831 831 Fund Return 2.13% -0.30% 3.77% 0.00% 0.00% Fund Percentile 71% 36% 49% 31% 51% Peer Group Stats (Broad Equity) 1 Month 3 Month 6 Month 1 Year 3 Year Peer Ave. Return 3.27% 2.16% 5.48% 7.10% 0.79% Peer Low -9.93% -13.54% -14.66% -28.30% -45.93% Peer 25th 1.16% -0.14% 2.53% -1.73% -5.80% Peer Median 3.13% 1.43% 5.08% 3.91% 0.00% Peer 75th 5.13% 4.92% 7.98% 16.47% 4.88% Peer High 19.32% 16.90% 25.49% 59.80% 68.71% Number of Funds 215 215 215 215 215 Fund Return 2.13% -0.30% 3.77% 0.00% 0.00% Fund Percentile 56% 30% 40% 45% 73% (c) ETF Global Page 4 of 6
Peer Group Stats (Broad Equity) 1 Month 3 Month 6 Month 1 Year 3 Year Peer Ave. Return 3.27% 2.16% 5.48% 7.10% 0.79% Peer Low -9.93% -13.54% -14.66% -28.30% -45.93% Peer 25th 1.16% -0.14% 2.53% -1.73% -5.80% Peer Median 3.13% 1.43% 5.08% 3.91% 0.00% Peer 75th 5.13% 4.92% 7.98% 16.47% 4.88% Peer High 19.32% 16.90% 25.49% 59.80% 68.71% Number of Funds 215 215 215 215 215 Fund Return 2.13% -0.30% 3.77% 0.00% 0.00% Fund Percentile 56% 30% 40% 45% 73% * - as of 04/25/2014. All return calculations are based off of price only and do not include dividend reinvestment. All returns are cumulative unless stated otherwise. Fund Flows 1 Week 2 Week 1 Month 3 Month $427.57K $229.43K $490.82K $-221.11M Fund Statistics Risk and Reward Diamond Ratings Dynamics Risk & Reward 6.56 Mar 17 Return and Risk Statistics Mar 26 Apr 7 Apr 16 Apr 25 Statistics 1 year 3 year 5 year Annualized Return - - - Beta - - - Standard Deviation - - - Sharpe Ratio - - - Treynor Ratio - - - Sortino Ratio - - - All return calculations are based off of price only and do not include dividend reinvestment. (c) ETF Global Page 5 of 6
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