Xtrackers Emerging Markets Carbon Reduction and Climate Improvers ETF (EMCR)
Xtrackers FTSE Developed ex US Multifactor ETF (DEEF)
Xtrackers High Beta High Yield Bond ETF (HYUP)
Xtrackers Low Beta High Yield Bond ETF (HYDW)
Xtrackers MSCI EAFE Selection Equity ETF (EASG)
Xtrackers MSCI Emerging Markets Climate Selection ETF (EMCS)
Xtrackers MSCI Kokusai Equity ETF (KOKU)
Xtrackers MSCI USA Climate Action Equity ETF (USCA)
Xtrackers MSCI USA Selection Equity ETF (USSG)
Xtrackers Net Zero Pathway Paris Aligned US Equity ETF (USNZ)
Xtrackers Nifty 500 India ETF (IND)
Xtrackers Risk Managed USD High Yield Strategy ETF (HYRM)
Xtrackers RREEF Global Natural Resources ETF (NRES)
Xtrackers Russell 1000 US Quality at a Reasonable Price ETF (QARP)
Xtrackers Russell US Multifactor ETF (DEUS)
Xtrackers S&P 500 Scored & Screened ETF (SNPE)
Xtrackers S&P 500 Growth Scored & Screened ETF (SNPG)
Xtrackers S&P Dividend Aristocrats Screened ETF (SNPD)
Xtrackers S&P MidCap 400 Scored & Screened ETF (MIDE)
Xtrackers S&P 500 Value Scored & Screened ETF (SNPV)
Xtrackers S&P 500 Diversified Sector Weight ETF (SPXD)
Xtrackers Short Duration High Yield Bond ETF (SHYL)
Xtrackers USD High Yield BB-B ex Financials ETF (BHYB)
Xtrackers USD High Yield Corporate Bond ETF (HYLB)
The following disclosure is added for each fund in the “Transaction Fees” sub-section of the “Investing in the Funds” section in each fund’s prospectus:
If a purchase or redemption consists of a cash portion and a fund places a brokerage
transaction to purchase portfolio securities with an AP (or an affiliated or unaffiliated broker-dealer that is engaged through
the AP), the AP may be required, in its capacity as broker-dealer with respect to that transaction, to cover certain brokerage,
tax, foreign exchange, execution, and price movement costs through an execution performance guarantee, as described in the
SAI.
The following disclosure is added under the sub-heading “Cash Purchase Method” under the “Creation and Redemption of Creation Units” sub-section of the “PURCHASE AND REDEMPTION OF SHARES” section of each fund’s Statement of Additional Information:
Alternatively, if a purchase consists of a cash portion and a fund places a brokerage
transaction to purchase portfolio securities with an authorized participant (or an affiliated or unaffiliated broker-dealer that
is engaged through the authorized participant), the authorized participant may be required, in its capacity as broker-dealer
with respect to that transaction, to cover certain brokerage, tax, foreign exchange, execution, and price movement costs
through an Execution Performance Guarantee, as described in the “Portfolio Trading by Authorized Participants” section of this SAI.
The following disclosure is added under the “PORTFOLIO TRANSACTIONS” section of each fund’s Statement of Additional Information:
Portfolio Trading by Authorized Participants. When creation or redemption transactions consist of cash, the transactions may require a fund to contemporaneously transact with broker-dealers for purchases
of Deposit Securities (as defined above under Fund Deposit) or sales of Fund Securities (as defined above under Redemption
of Creation Units) as applicable. Depending on the timing of the transactions and certain other factors, such transactions
with an applicable broker-dealer may be placed with the purchasing or redeeming authorized participant in its capacity
as a broker-dealer (or with a broker-dealer affiliated with the authorized participant or a third party broker-dealer engaged
through the authorized participant) and conditioned upon an agreement with the authorized participant or its affiliated broker-dealer
to transact at guaranteed prices in order to reduce transaction costs that the fund would otherwise incur as a consequence
of settling creations or redemptions in cash rather than in-kind.
Following a fund’s receipt of a creation or redemption order, to the extent such purchases
or redemptions consist of a cash portion, the fund may enter an order with the transacting authorized participant or
its affiliated broker-dealer to purchase or sell the Deposit Securities or Fund Securities, as applicable. Depending on the timing
of the transaction and certain other factors, such authorized participant or its affiliated broker-dealer will be required
to guarantee that the fund will achieve execution of its order at a price at least as favorable to the fund as the fund’s valuation
of the Deposit Securities/Fund Securities