Key Investor Information for Investors in the United Kingdom This document provides you with key investor information about this fund. It is not marketing material. The information is required by law to help you understand the nature and the risks of investing in this fund. You are advised to read it so you can make an informed decision about whether to invest. Xtrackers USD Corporate Bond SRI PAB UCITS ETF Share class: 2C - EUR Hedged, ISIN: IE00BL58LL31, Security code: A2P5C9, Currency: EUR a sub-fund of Xtrackers (IE) plc. The management company is DWS Investment S.A., a member of the DWS Group. Objectives and investment policy The fund is passively managed. INVESTMENT OBJECTIVE: The means that the payments from coupons are reinvested in the aim is for your investment to reflect the performance of the Reference Index. INVESTMENT POLICY: To achieve the aim, the Bloomberg MSCI USD Liquid Investment Grade Corporate SRI fund will i) attempt to replicate the index, before fees and expenses, PAB Index (index). DESCRIPTION OF INDEX: The index aims toby buying a portfolio of securities that may comprise the reflect the performance of certain types of tradable debt (bonds) constituents of the index or other unrelated investments as issued by companies which are denominated in US Dollars. The determined by DWS entities and ii) enter into financial contracts index aims to comply with the minimum standards of the EU Paris- (derivatives) which attempt to reduce the effect of exchange rate aligned Benchmark (EU PAB) Regulation by setting an initial 50% fluctuations between the currency of the fund's assets and the decarbonization of absolute greenhouse gas (GHG) emissionscurrency of your shares. The fund may employ techniques and relative to the standard Bloomberg USD Liquid Investment Gradeinstruments in order to manage risk, reduce costs and improve Corporate Index, followed by an annual 7% decarbonization results. These techniques and instruments may include the use of trajectory of absolute GHG emissions. In addition, the index will derivatives. FURTHER INFORMATION: Certain information exclude bonds issued by companies which fail to meet certain (including the latest share prices of the fund, indicative net asset environmental, social and governance (ESG) criteria. The values, full disclosure on the composition of the fund's portfolio and composition the index is rebalanced monthly. On each rebalancing information on the index constituents) are available on your local date, specific rules are applied to determine which bonds are DWS website or at www.Xtrackers.com. Transaction costs and eligible for inclusion, which include; minimum time to maturity, taxes, unexpected fund costs and market conditions such as amount outstanding, ESG considerations, and a minimum volatility or liquidity issues may affect the ability of the fund to track ‘investment grade’ credit rating from major ratings agencies. INDEX the index. The anticipated level of tracking error in normal market REBALANCING, CALCULATION AND ADMINISTRATION: The conditions is 1 per cent. The currency of the fund is USD. Returns index is administered by Bloomberg Index Services Limited (index and gains are not distributed but are reinvested in the fund. You administrator). The index is calculated on a total return basis which may request the redemption of shares generally on a daily basis. Risk and reward profile Lower risk Higher risk trading activity may occasionally be disrupted or impossible. The index may be affected. SUSTAINABILITY RISK: The ESG Potentially lower reward Potentially higher reward screening and decarbonization criteria are embedded within the 1 2 3 456 7index selection process, which seeks to exclude bonds issued by companies involved in certain activities. The investment manager The calculation of the risk and reward profile is based on simulated and sub-portfolio manager are not responsible for monitoring the data that cannot be used as a reliable indicator for the future risk screening process or confirming that all bonds which pass the profile. This risk indicator is subject to changes; the classification of screening process are issued by companies with adequate ESG the fund may change over time and cannot be guaranteed. Even aand EU PAB standards. Xtrackers (IE) plc is relying on the fund that is classified in the lowest category (category 1) does not activities conducted by and information provided by the index represent a completely risk-free investment. The fund is classified administrator and MSCI ESG Research LLC for the ESG screening in category 5 because its share price fluctuates comparativelyand EU PAB compliance criteria. ESG information from third-party strongly and the likelihood of both losses and gains is therefore data providers may be incomplete, inaccurate, or unavailable. As a relatively high. The following risks could be of particular result, there is a risk that the index administrator may incorrectly significance for the fund: The fund will attempt to replicate the assess a security or issuer, resulting in the incorrect inclusion or performance of the index less costs, but your investment is not exclusion of a security in the index. Whilst the index seeks to expected to match the performance of the index precisely. ensure alignment with all EU PAB requirements at each rebalance EXCEPTIONALCIRCUMSTANCESRISK: Exceptional date, between these rebalances limits may be breached and circumstances may arise, such as, but not limited to, disruptive relevant targets may not be reached. DERIVATIVES RISK: The market conditions, additional costs/taxes or extremely volatile fund may use derivatives to i) try to manage its investments more markets, which may cause the fund's performance to be efficiently, and ii) try to reduce movements in currency exchange substantially different from the performance of the index.rates between the currency of the fund’s assets and the currency of CONFLICTS OF INTEREST RISK: DWS entities and related the fund’s shares. This may not always be successful and may companies may act in several roles in relation to the fund such asresult in greater fluctuations in the value of the fund. This may distributor and management company which may involve conflictsnegatively affect the value of the fund and your investment. of interest. NO GUARANTEE RISK: The fund is not guaranteedCREDIT RISK & INTEREST RATE RISK: The fund may invest in and your investment is at risk. The value of your investment may bonds which are exposed to credit risk and interest rate risk. Credit go down as well as up. CURRENCY RISK: Fluctuations in interestrisk means that there is a risk that the bond issuer may be unable rates of the currency of the shares, the index or the other assets of to pay interest or repay the bond principal, resulting in your the fund may affect the value of your investment. BONDS RISK: investment suffering a loss. Interest rate risk means that if interest The index provides a notional exposure to the value and/or return rates rise, typically the value of the bond will fall, which could also of certain bonds which may fall. Markets in these asset classes affect the value of your investment. may at times become volatile or illiquid. This means that ordinaryA more detailed description of risks and other general information can be found in the risk section(s) of the prospectus. Charges The charges you pay are used to pay the costs of running the fund, including the costs of marketing and distributing it. These charges reduce the potential growth of your investment. One-off charges taken before or after you investSecondary market investors (those who buy or sell shares Entry charge None on a stock exchange) may be charged certain fees by their Exit charge None stock broker. These charges, if any, can be obtained from This is the maximum that might be taken out of your money before it is such stock broker. Authorised participants dealing directly invested (entry charge) and before the proceeds of your investment are paid with the fund will pay the transaction costs related to their out (exit charge). subscriptions and redemptions. Charges taken from the fund over a year The ongoing charges figure is based on expenses for the Ongoing charges 0.21 %fiscal year ending 31.12.2024. It may vary from year to Charges taken from the fund under certain specific conditions year. It excludes portfolio transaction costs and Performance fee None performance fees, if any. Additional information on costs can be found in the cost section(s) of the prospectus. Past performance aaa Past performance is not a reliable indicator of future performance. All costs and fees that were withdrawn from the 2C - EUR Hedged share class of Xtrackers USD Corporate Bond SRI PAB UCITS ETF were deductedduringthe calculation. The 2C - EUR Hedged share class of Xtrackers USD Corporate Bond SRI PAB UCITS ETF was launched in 2020. ─── As of 31 October 2022, the index was amended to comply with minimum standards of EU PAB, and as a result changed its name from Bloomberg MSCI USD Liquid Investment Grade Corporate Sustainable and SRI Index to Bloomberg MSCI USD Liquid Investment Grade Corporate SRI PAB Index. Practical information The depositary is State Street Custodial Services (Ireland) Limited, such taxation regimes. Xtrackers (IE) plc may be held liable solely Ireland. Copies of the prospectus and the periodic reports are on the basis of any statement contained in this document that is available free of charge in the language of this document. The misleading, inaccurate or inconsistent with the relevant parts of the documents as well as other information (including the latest share sales prospectus. This fund is a sub-fund of Xtrackers (IE) plc for prices as well as the indicative net asset values) are available freewhich the sales prospectus and the periodic reports are prepared of charge. The documents are available on your local DWS website as a whole in addition to individual supplements per sub-fund. The or at www.Xtrackers.com, for full disclosure on the composition of assets and liabilities of each sub-fund are segregated by law. As a the fund's portfolio and information on the index constituents result, assets of one sub-fund are not available in the event of please refer to this website as well. Information on the current claims against or insolvency of another. More share classes may remuneration policy of the management company, including a be available for this fund - please refer to the relevant section of description of how remuneration and benefits are calculated is the supplement for further details. You are not permitted to published on the Internet at https://www.dws.com/footer/Legal- exchange your shares in this fund for other funds of Xtrackers (IE) Resources/dws-remuneration-policy?setLanguage=en.The plc. This fund is authorised in Ireland and is regulated by the information will be sent to you in paper form free of charge uponCentral Bank of Ireland. DWS Investment S.A. is authorised in request. Taxation regimes applicable to the fund in your jurisdictionLuxembourg and is regulated by the Commission de Surveillance may affect your personal tax situation. Prospective investorsdu Secteur Financier. should inform themselves of, and where appropriate take advice on This key investor information is accurate as at 12.02.2025. “Bloomberg®” and Bloomberg MSCI USD Liquid Investment Grade Corporate SRI PAB Index are service marks of Bloomberg Finance L.P. and its affiliates, including Bloomberg Index Services Limited (“BISL”), the administrator of the index (collectively, “Bloomberg”) and have been licensed for use for certain purposes by Xtrackers IE. Bloomberg is not affiliated with Xtrackers IE, and Bloomberg does not approve, endorse, review, or recommend Xtrackers USD Corporate Bond SRI PAB UCITS ETF. Bloomberg does not guarantee the timeliness, accurateness, or completeness of any data or information relating to Xtrackers USD Corporate Bond SRI PAB UCITS ETF.