LU0292097317Issuer: XtrackersOne email when new issuers, new metrics and new articles land. Double opt-in, zero spam, one-click unsubscribe.
Xtrackers Ftse 250 UCITS ETF 1d tracks the issuer-declared index: FTSE 250 TR INDEX (GBP). The declared annual cost (TER) is 0.15%, plus 0.20% in transaction costs estimated by the issuer in the KID. Replication is physical replication (the KID declares buying all or a substantial number of the index constituents); income is distributed to investors. The fund has assets of about 35 million euro, was launched on 15 June 2007 and is domiciled in Luxembourg.
The fund is passively managed.
INVESTMENT OBJECTIVE:The aim is for your investment to reflect the performance of the FTSE 250 index (index) which is designed to reflect the performance of the shares of 250 medium sized UK companies listed on the London Stock Exchange which are not included in the FTSE 100 index.
DESCRIPTION OF INDEX:The companies are selected on the basis that they have the largest combined value of shares as compared to other companies on the London Stock Exchange, excluding the largest 100 companies.
Keep reading the KID section ▾
The composition of the index is reviewed quarterly.
INDEX REBALANCING, CALCULATION AND ADMINISTRATION:The index is administered by FTSE International Limited. The index is calculated on a total return net basis which means that all dividends and distributions by the companies are reinvested in the shares after tax.
INVESTMENT POLICY:To achieve the aim, the fund will attempt to replicate the index, before fees and expenses, by buying all or a substantial number of the securities in the index. The fund may employ techniques and instruments in order to manage risk, reduce costs and improve results. These techniques and instruments may include the use of financial contracts (derivatives). The fund may also engage in secured lending of its investments to certain eligible third parties to generate additional income to offset the costs of the fund. FURTHER INFORMATION: Certain information (including the latest share prices of the fund, indicative net asset values, full disclosure on the composition of the fund's portfolio and information on the index constituents) are available on your local DWS website or at www.Xtrackers.com. Transaction costs and taxes, unexpected fund costs and market conditions such as volatility or liquidity issues may affect the ability of the fund to track the index. The anticipated level of tracking error in normal market conditions is 1 per cent. The currency of the fund is GBP. The fund distributes up to four times per annum. You may request the redemption of shares generally on a daily basis.
| From the peak of | Trough | Depth | Back to break-even | Days underwater |
|---|---|---|---|---|
| 15 Jun 2007 | 21 Nov 2008 | -52.01% | 04 Nov 2010 | 1,238 |
| 02 Jan 2020 | 19 Mar 2020 | -41.69% | 16 Mar 2021 | 439 |
| 06 Sept 2021 | 12 Oct 2022 | -29.74% | 17 Jul 2025 | 1,410 |
| 07 Jul 2011 | 04 Oct 2011 | -22.02% | 07 Sept 2012 | 428 |
| 14 Jun 2018 | 27 Dec 2018 | -18.83% | 25 Nov 2019 | 529 |
| Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sept | Oct | Nov | Dec | Year | |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 2026 | 3.7 | 2.3 | -10.5 | 6.6 | 4.6 | -1.5 | 4.4 | 4.3 | -2.3 | 10.8 | |||
| 2025 | 1.7 | -2.9 | -4.0 | 2.7 | 6.1 | 3.2 | 1.8 | -1.3 | 2.1 | 1.0 | 0.3 | 1.6 | 12.7 |
| 2024 | -1.6 | -1.3 | 4.6 | 0.9 | 4.2 | -1.9 | 6.7 | -2.0 | 0.0 | -2.9 | 2.1 | -0.6 | 7.8 |
| 2023 | 5.4 | 0.4 | -4.6 | 3.2 | -3.4 | -1.3 | 4.1 | -2.5 | -1.5 | -6.3 | 7.1 | 8.2 | 7.8 |
| 2022 | -6.5 | -3.8 | 0.6 | -1.8 | -1.1 | -8.4 | 8.2 | -5.2 | -9.7 | 4.4 | 7.3 | -1.4 | -17.6 |
| 2021 | -1.2 | 3.4 | 3.0 | 4.9 | 1.0 | -1.2 | 2.7 | 5.2 | -4.3 | 0.4 | -2.4 | 4.4 | 16.6 |
| 2020 | -3.3 | -8.5 | -21.8 | 9.2 | 3.6 | 0.6 | -1.0 | 5.4 | -2.5 | -0.5 | 12.5 | 6.1 | -4.8 |
| 2019 | 7.3 | 2.6 | -0.1 | 4.2 | -4.0 | 2.8 | 1.3 | -1.1 | 3.1 | 0.6 | 4.1 | 5.3 | 28.7 |
| 2018 | -1.8 | -2.7 | -0.9 | 4.7 | 3.1 | 0.1 | 0.4 | -0.6 | -1.6 | -6.7 | -2.1 | -5.4 | -13.3 |
| 2017 | 0.4 | 3.5 | 1.3 | 3.8 | 2.1 | -3.0 | 2.4 | 0.4 | 0.6 | 2.0 | -1.2 | 3.6 | 16.9 |
| 2016 | -5.3 | 0.7 | 2.2 | -0.3 | 2.6 | -5.1 | 6.3 | 2.8 | 1.1 | -1.7 | 0.1 | 3.3 | 6.2 |
| 2015 | 1.5 | 5.9 | -0.9 | 2.7 | 4.1 | -3.4 | 1.0 | -3.0 | -2.3 | 2.8 | 1.9 | 0.2 | 10.6 |
| 2014 | -1.6 | 6.7 | -2.5 | -2.3 | 1.5 | -1.7 | -1.3 | 2.8 | -3.0 | 1.0 | 2.4 | 1.6 | 3.1 |
| 2013 | 5.4 | 5.3 | 1.8 | 0.6 | 3.2 | -3.7 | 7.9 | -1.4 | 2.1 | 4.0 | -0.0 | 3.2 | 31.9 |
| 2012 | 6.7 | 6.4 | 1.0 | -0.7 | -7.2 | 3.9 | 2.0 | 2.7 | 3.1 | 1.9 | 0.9 | 3.0 | 25.7 |
| 2011 | -0.7 | 1.4 | -0.1 | 4.0 | 0.7 | -0.8 | -3.1 | -8.6 | -6.4 | 6.9 | -1.4 | -1.9 | -10.4 |
| 2010 | -0.7 | 1.3 | 9.2 | 2.3 | -6.9 | -2.6 | 6.3 | -1.1 | 7.5 | 3.1 | -2.1 | 9.2 | 26.9 |
| 2009 | -1.7 | -2.9 | 5.5 | 18.2 | 0.6 | -1.9 | 8.3 | 10.5 | 3.9 | -2.7 | 0.5 | 4.6 | 49.2 |
| 2008 | -7.2 | 1.9 | -0.3 | 1.7 | -0.3 | -8.7 | -3.0 | 5.9 | -15.4 | -19.8 | -2.8 | 4.8 | -37.9 |
| 2007 | -1.5 | -0.1 | -2.2 | 6.0 | -7.8 | -0.7 | -10.2 |
| Year | Fund | Index | Difference |
|---|---|---|---|
| 2025 | +12.65% | +12.86% | -0.21% |
| 2024 | +7.82% | +8.05% | -0.23% |
| 2023 | +7.76% | +7.92% | -0.16% |
| 2022 | -17.61% | -17.46% | -0.15% |
| 2021 | +16.61% | +16.82% | -0.21% |
| 2020 | -4.83% | -4.61% | -0.22% |
| 2019 | +28.75% | +28.79% | -0.04% |
| 2018 | -13.27% | -13.29% | +0.02% |
| 2017 | +16.94% | +17.73% | -0.79% |
| 2016 | +6.21% | +6.63% | -0.41% |
| Last year | Last 3 years | Last 5 years | Last 10 years | Full history | |
|---|---|---|---|---|---|
| Volatility (ann.) | 13.11% | 14.60% | 16.55% | 18.34% | 20.36% |
| Max drawdown | -11.20% | -19.89% | -35.76% | -47.31% | -63.41% |
| Sharpe | 0.85 | 0.43 | -0.09 | 0.13 | 0.15 |
| Sortino | 1.28 | 0.61 | -0.12 | 0.18 | 0.20 |
| Period | Dividends | Dividend yield |
|---|---|---|
| 1 year | 0.70 GBP | 3.46 % |
| 2025 | 0.76 GBP | 3.93 % |
| 2024 | 0.79 GBP | 4.21 % |
| 2023 | 0.60 GBP | 3.31 % |
| 2022 | 0.97 GBP | 4.22 % |
| 2021 | 0.32 GBP | 1.58 % |
| Year | Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 2026 | 0.17 | 0.12 | 0.24 | |||||||||
| 2025 | 0.13 | 0.12 | 0.34 | 0.17 | ||||||||
| 2024 | 0.28 | 0.11 | 0.23 | 0.16 | ||||||||
| 2023 | 0.11 | 0.11 | 0.22 | 0.15 | ||||||||
| 2022 | 0.52 | 0.10 | 0.20 | 0.15 | ||||||||
| 2021 | 0.32 | |||||||||||
| 2020 | 0.59 | |||||||||||
| 2019 | 0.76 | |||||||||||
| 2018 | 0.70 | |||||||||||
| 2017 | 0.59 | |||||||||||
| 2016 | 0.52 | |||||||||||
| 2015 | 0.07 | |||||||||||
| 2014 | 0.36 | |||||||||||
| 2013 | 0.35 | |||||||||||
| 2012 | 0.29 | |||||||||||
| 2011 | 0.29 | |||||||||||
| 2010 | 0.23 | |||||||||||
| 2009 | 0.17 | |||||||||||
| 2008 | 0.28 |
| Per share | Ex-dividend date | Record date | Payment |
|---|---|---|---|
| 0.2415 GBP | 19 Aug 2026 | 20 Aug 2026 | 3 Sept 2026 |
| 0.1216 GBP | 20 May 2026 | 21 May 2026 | 3 Jun 2026 |
| 0.1666 GBP | 18 Feb 2026 | 19 Feb 2026 | 5 Mar 2026 |
| 0.1727 GBP | 19 Nov 2025 | 20 Nov 2025 | 4 Dec 2025 |
| 0.3444 GBP | 20 Aug 2025 | 21 Aug 2025 | 4 Sept 2025 |
| 0.1186 GBP | 21 May 2025 | 22 May 2025 | 5 Jun 2025 |
| 0.127 GBP | 19 Feb 2025 | 20 Feb 2025 | 6 Mar 2025 |
| 0.1605 GBP | 13 Nov 2024 | 14 Nov 2024 | 29 Nov 2024 |
| Exchange | Ticker | Trading since |
|---|---|---|
| Börse Düsseldorf | — | 23 May 2008 |
| Börse Frankfurt | — | 23 May 2011 |
| Börse Hamburg | — | 16 Sept 2008 |
| Börse Hannover | — | 28 Dec 2022 |
| Börse München / gettex | — | 18 Jul 2007 |
| Börse Stuttgart | — | 9 Jul 2007 |
| Tradegate Exchange | — | 9 Feb 2010 |
| Xetra (Deutsche Börse) | XMCX | 9 Jul 2007 |