Quick Links

DWS Treasury Fund Investment Plan Institiutional (Weekly Dividend)
Bookmark and Share
         






NAV Details

06-Jul-2012 NAV Load (%)
NAV 10.00 -
Entry Price 10.00 NA
Exit Price 9.90 -1.00

NAV Return (%)

  1 Week 1 Month 3 Months 6 Months 1 Year Inception More Info
NAV Growth NA NA -0.81% 1.53% 5.72% 6.07% View Factsheet

NAV History