04/30/2026 | Press release | Distributed by Public on 04/30/2026 12:23
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Copy to:
John S. Marten
Vedder Price P.C.
222 North LaSalle Street
Chicago, IL 60601-1104
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Government Cash Management Portfolio
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Page
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Item 5. Management
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1
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Item 6. Purchase and Sale of Portfolio Shares
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1
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Item 7. Tax Information
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1
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Item 8. Financial Intermediary Compensation
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1
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Item 9. Investment Objectives, Principal Investment Strategies, Related Risks and Disclosure of Portfolio
Holdings
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2
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Item 10. Management, Organization and Capital Structure
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7
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Item 11. Shareholder Information
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9
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Item 12. Distribution Arrangements
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13
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Government Cash Management Portfolio
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Page
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Item 15. Portfolio History
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1
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Item 16. Description of the Portfolio and Its Investments and Risks
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1
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Item 17. Management of the Portfolio
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4
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Item 18. Control Persons and Principal Holders of Securities
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14
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Item 19. Investment Advisory and Other Services
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14
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Item 20. Portfolio Managers
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16
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Item 21. Brokerage Allocation and Other Practices
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17
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Item 22. Capital Stock and Other Securities
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20
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Item 23. Purchase, Redemption and Pricing of Shares
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21
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Item 24. Taxation of the Portfolio
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21
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Item 25. Underwriters
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27
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Item 26. Calculation of Performance Data
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27
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Item 27. Financial Statements
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28
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Name, Year of Birth,
Position
with the Portfolio
and Length of Time
Served(1)
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Business Experience and
Directorships During the Past 5 Years
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Number of
Funds in
DWS
Fund Complex
Overseen
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Other Directorships
Held by Board Member
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Keith R. Fox, CFA (1954)
Chairperson since 2017,
and Board Member since
1996
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Former Managing General Partner, Exeter
Capital Partners (a series of private
investment funds) (1986-2023); Former
Chairman, National Association of Small
Business Investment Companies; Former
Directorships: ICI Mutual Insurance
Company; BoxTop Media Inc. (advertising);
Sun Capital Advisers Trust (mutual funds);
Progressive International Corporation
(kitchen goods designer and distributor)
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65
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-
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Jennifer S. Conrad (1959)
Board Member since 2024
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Emerita Professor of Finance, Kenan-Flagler
Business School, University of North
Carolina at Chapel Hill (Since 2025);
Formerly, Dalton McMichael, Sr.,
Distinguished Professor of Finance (2003-
2025) and Interim Dean (2022-2023), Kenan-
Flagler Business School, University of North
Carolina at Chapel Hill; and Director of the
Four Corners Center for Research on Index
Investments (2021-2023)
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65
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-
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Mary Schmid Daugherty,
NACD.DC, PHD, CFA (1958)
Board Member since 2023
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Senior Fellow in Applied Finance,
Department of Finance, Opus College of
Business at the University of St. Thomas
(1987-present); Directorships: The Meritex
Company (real estate investment and
management company) (2017-present); The
Hardenbergh Foundation (2021-present) and
Warners' Stellian (appliance company) (2024-
present); Former Directorships: Driessen
Water, Inc. (2016-2023); Mairs & Power
Funds Trust (mutual funds) (2010-2022); and
Crescent Electric Supply Company (2010-
2019)
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65
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-
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Chad D. Perry (1972)
Board Member since 2021
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Private Investor; Formerly: Executive Vice
President, General Counsel and Secretary,
RLJ Lodging Trust(2) (2023-2025); Executive
Vice President, General Counsel and
Secretary, Tanger Factory Outlet Centers,
Inc.(2) (2011-2023); Executive Vice President
and Deputy General Counsel, LPL Financial
Holdings Inc.(2) (2006-2011); Senior
Corporate Counsel, EMC Corporation (2005-
2006); Associate, Ropes & Gray LLP (1997-
2005)
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65
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Director, Great Elm Capital
Corp. (business development
company) (since 2022)
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Name, Year of Birth,
Position
with the Portfolio
and Length of Time
Served(1)
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Business Experience and
Directorships During the Past 5 Years
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Number of
Funds in
DWS
Fund Complex
Overseen
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Other Directorships
Held by Board Member
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Rebecca W. Rimel (1951)
Board Member since 1995
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Directorships: Washington College (since
July 2023); Formerly: President, Chief
Executive Officer and Director (1994-2020)
and Senior Advisor (2020-2021), The Pew
Charitable Trusts (charitable organization);
Executive Vice President, The Glenmede
Trust Company (investment trust and wealth
management) (1983-2004); Board Member,
Investor Education (charitable organization)
(2004-2005); Former Directorships: Trustee,
Executive Committee, Philadelphia Chamber
of Commerce (2001-2007); Director, Viasys
Health Care(2) (January 2007-June 2007);
Trustee, Thomas Jefferson Foundation
(charitable organization) (1994-2012);
Director, BioTelemetry Inc.(2) (acquired by
Royal Philips in 2021) (healthcare) (2009-
2021); Director, Becton Dickinson and
Company(2) (medical technology company)
(2012-2022)
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65
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Director, The Bridgespan
Group (nonprofit organization)
(since October 2020)
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Catherine Schrand (1964)
Board Member since 2021
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Celia Z. Moh Professor of Accounting (2016-
present) and Professor of Accounting (1994-
present), The Wharton School, University of
Pennsylvania; and Member of the Financial
Economists Roundtable (2014-present),
Member of its Steering Committee (2022-
present) and Member of Executive
Committee (2024-present). Directorships:
Advisory Board Member, the Jacobs Levy
Center, The Wharton School, University of
Pennsylvania (since 2023); Former positions:
Vice Dean, Wharton Doctoral Programs, The
Wharton School, University of Pennsylvania
(2016-2019)
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65
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-
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Name, Year of Birth, Position
with the Portfolio
and Length of Time Served(4)
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Business Experience and Directorships During the Past 5 Years
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Hepsen Uzcan(5) (1974)
President and Chief Executive
Officer, 2017-present
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Managing Director, DWS; CEO of the Americas (since 2024), DWS; Head of Client
Coverage Americas Wealth, DWS (since 2026); Head of Product Americas, DWS (2021-
present); Head of Fund Administration and Head of U.S. Mutual Funds, DWS (2017-
present); Vice President, DWS Service Company (2018-present); President and Chief
Executive Officer, The European Equity Fund, Inc., The New Germany Fund, Inc. and
The Central and Eastern Europe Fund, Inc. (2017-present); Vice President, DWS
Investment Management Americas, Inc. (2023-present); formerly: Vice President for
the Deutsche funds (2016-2017); Assistant Secretary for the DWS funds (2013-2019);
Secretary, DWS USA Corporation (2018-2023); Assistant Secretary, DWS Investment
Management Americas, Inc. (2018-2023); Assistant Secretary, DWS Trust Company
(2018-2023); Assistant Secretary, The European Equity Fund, Inc., The New Germany
Fund, Inc. and The Central and Eastern Europe Fund, Inc. (2013-2020); Assistant
Secretary, DWS Distributors, Inc. (2018-2023); Head of Americas CEO Office, DWS
(2023-2026); Director of Cayman Real Assets Fund, Ltd. (2018-2026); Director of
Cayman Commodity Fund II, Ltd. (2018-2026); and Director of Episcopal Charities of
New York (2018 - 2026); Directorships: Director of DWS Service Company (2018-
present); Interested Director of The European Equity Fund, Inc., The New Germany
Fund, Inc. and The Central and Eastern Europe Fund, Inc. (2020-present); Director of ICI
Mutual Insurance Company (2020-present); Director of DWS USA Corporation (2023-
present); Director of DWS Investment Management Americas, Inc. (2023-present); and
Manager of DBX Advisors LLC. (2023-present)
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John Millette(6) (1962)
Vice President and Secretary,
1999-present
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Director, DWS; Legal (Associate General Counsel), DWS; Chief Legal Officer, DWS
Investment Management Americas, Inc. (2015-present); Director of DWS Trust
Company (2016-present); President and CEO, DWS Trust Company (since October 17,
2025); Secretary, DBX ETF Trust (2020-present); Vice President, DBX Advisors LLC
(2021-present); Secretary, The European Equity Fund, Inc., The New Germany Fund,
Inc. and The Central and Eastern Europe Fund, Inc. (2011-present); formerly: Secretary,
Deutsche Investment Management Americas Inc. (2015-2017); and Assistant
Secretary, DBX ETF Trust (2019-2020); and Vice President of DWS Trust Company
(2016-2025)
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Ciara Crawford(5) (1984)
Assistant Secretary, 2019-
present
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Vice President, DWS (2025-present); Fund Administration (Specialist), DWS (2015-
present); Secretary, DWS Service Company (2024-present); Assistant Secretary of U.S.
Mutual Funds, DWS (2019-present); Secretary, DWS USA Corporation (2024-present);
Assistant Secretary, DBX Advisors, LLC (2025-present); Assistant Secretary, DWS
Investment Management Americas, Inc. (2025-present); Assistant Clerk, DWS Trust
Company (2025-present); Assistant Secretary, DWS Distributors, Inc. (2025-present);
formerly, Assistant Vice President, DWS (2015-2025); Assistant Secretary, DWS
Service Company (2018-2024); Assistant Secretary, DWS USA Corporation (2023-
2024); Secretary (2024-2025) and Assistant Secretary (2023-2024), DBX Advisors, LLC;
Secretary (2024-2025) and Assistant Secretary (2023-2024), DWS Investment
Management Americas, Inc.; Clerk (2024-2025) and Assistant Clerk (2023-2024), DWS
Trust Company; Secretary (2024-2025) and Assistant Secretary (2023-2024), DWS
Distributors, Inc.; Legal Assistant at Accelerated Tax Solutions
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Diane Kenneally(6) (1966)
Chief Financial Officer and
Treasurer, 2018-present
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Director, DWS; Fund Administration Treasurer's Office (Head since 2024), DWS;
Treasurer, Chief Financial Officer and Controller, DBX ETF Trust (2019-present);
Treasurer and Chief Financial Officer, The European Equity Fund, Inc., The New
Germany Fund, Inc. and The Central and Eastern Europe Fund, Inc. (2018-present);
formerly: Assistant Treasurer for the DWS funds (2007-2018); and Co-Head of DWS
Treasurer's Office (2018-2024)
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Yvonne Wong(6) (1960)
Assistant Treasurer, 2023-
present
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Vice President, DWS; Fund Administration (Senior Analyst), DWS; Assistant Treasurer,
DBX ETF Trust (2023-present)
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Jeffrey Berry(6) (1959)
Assistant Treasurer, since May
15, 2025
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Director, DWS; Fund Administration (Senior Specialist), DWS; Financial and Regulatory
Reporting Oversight and Print, Publishing and Mail for DWS Funds; Assistant Treasurer,
DBX ETF Trust (2019-present); and Director and Vice President of DWS Trust Company
(since October 17, 2025)
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Name, Year of Birth, Position
with the Portfolio
and Length of Time Served(4)
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Business Experience and Directorships During the Past 5 Years
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Rob Benson(7) (1978)
Chief Compliance Officer, since
May 20, 2025
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Director, DWS (since 2024); AFC & Compliance US (Senior Team Lead), DWS (since
2025); Vice President, DBX Advisors LLC (since 2025); and Chief Compliance Officer,
The European Equity Fund, Inc., The New Germany Fund, Inc. and The Central and
Eastern Europe Fund, Inc. (since 2025); formerly: Associate General Counsel, DWS
Legal (2023-2025); Vice President and Senior Counsel, DWS Legal (2021-2023); and
Assistant Vice President and Counsel, DWS Legal (2017-2021)
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Caroline Pearson(6) (1962)
Chief Legal Officer, 2010-
present
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Managing Director, DWS; Legal (Regional Head of Legal, Americas), DWS (since 2024);
Assistant Secretary, DBX ETF Trust (2020-present); Chief Legal Officer, DBX Advisors
LLC (2019-present); Chief Legal Officer, The European Equity Fund, Inc., The New
Germany Fund, Inc. and The Central and Eastern Europe Fund, Inc. (2012-present);
formerly: Secretary, Deutsche AM Distributors, Inc. (2002-2017); Secretary, Deutsche
AM Service Company (2010-2017); Chief Legal Officer, DBX Strategic Advisors LLC
(2020-2021); and Legal (Senior Team Lead), DWS (2020-2024)
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Christian Rijs(5) (1980)
Anti-Money Laundering
Compliance Officer, 2021-
present
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Director, DWS; Senior Team Lead Anti-Financial Crime and Compliance, DWS; AML
Officer, DWS Trust Company (2021-present); AML Officer, DBX ETF Trust (2021-
present); AML Officer, The European Equity Fund, Inc., The New Germany Fund, Inc.
and The Central and Eastern Europe Fund, Inc. (2021-present); AML Officer, DWS
Distributor, Inc. (2021-present); formerly: DWS UK & Ireland Head of Anti-Financial
Crime and MLRO
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Rich Kircher(5) (1962)
Deputy Anti-Money Laundering
Compliance Officer, 2024-
present
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Director, DWS; Senior Team Lead Anti-Financial Crime and Compliance, of DWS
Investment Management Americas, Inc.; Deputy AML Officer, The European Equity
Fund, Inc., The New Germany Fund, Inc. and The Central and Eastern Europe Fund, Inc.
(2024-present); Deputy AML Officer, DBX ETF Trust (2024-present); Deputy AML
Officer, DWS Distributors, Inc. (2024-present); formerly: BSA & Sanctions Compliance
Officer for Putnam Investments
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Ciara Crawford:
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Assistant Secretary
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Christian Rijs:
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Anti-Money Laundering Compliance Officer
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Rich Kircher:
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Deputy Anti-Money Laundering Compliance
Officer
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Name of Committee
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Number of
Meetings in Last
Calendar Year
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Functions
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Current Members
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AUDIT COMMITTEE
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5
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Assists the Board in fulfilling its responsibility
for oversight of (1) the integrity of the financial
statements, (2) a fund's accounting and
financial reporting policies and procedures, (3)
a fund's compliance with legal and regulatory
requirements related to accounting and
financial reporting, (4) valuation of fund assets
and securities and (5) the qualifications,
independence and performance of the
independent registered public accounting firm
for a fund. Oversees a fund's valuation
designee, who is responsible for valuing the
fund's securities and other assets. The Audit
Committee also approves and recommends to
the Board the appointment, retention or
termination of the independent registered
public accounting firm for a fund, reviews the
scope of audit and internal controls, considers
and reports to the Board on matters relating to
a fund's accounting and financial reporting
practices, and performs such other tasks as
the full Board deems necessary or appropriate.
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Catherine Schrand (Chair),
Jennifer S. Conrad (Vice
Chair) and Keith R. Fox
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Name of Committee
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Number of
Meetings in Last
Calendar Year
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Functions
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Current Members
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NOMINATING AND
GOVERNANCE
COMMITTEE
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5
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Recommends individuals for membership on
the Board, nominates officers, Board and
committee chairs, vice chairs and committee
members, and oversees the operations of the
Board. The Nominating and Governance
Committee has not established specific,
minimum qualifications that must be met by an
individual to be considered by the Nominating
and Governance Committee for nomination as
a Board Member. The Nominating and
Governance Committee may take into account
a wide variety of factors in considering Board
Member candidates, including, but not limited
to: (i) availability and commitment of a
candidate to attend meetings and perform his
or her responsibilities to the Board, (ii) relevant
industry and related experience, (iii)
educational background, (iv) financial expertise,
(v) an assessment of the candidate's ability,
judgment and expertise, and (vi) the current
composition of the Board. The Committee
generally believes that the Board benefits from
diversity of background, experience and views
among its members, and considers this as a
factor in evaluating the composition of the
Board, but has not adopted any specific policy
in this regard. The Nominating and Governance
Committee reviews recommendations by
shareholders for candidates for Board positions
on the same basis as candidates
recommended by other sources. Shareholders
may recommend candidates for Board
positions by forwarding their correspondence
by US mail or courier service to Keith R. Fox,
DWS Funds Board Chair, c/o Thomas R. Hiller,
Ropes & Gray LLP, Prudential Tower, 800
Boylston Street, Boston, MA 02199-3600.
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Rebecca W. Rimel (Chair),
Chad D. Perry (Vice Chair)
and Keith R. Fox
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OPERATIONS
COMMITTEE
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5
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Reviews the administrative operations and
general compliance matters of the funds.
Reviews administrative matters related to the
operations of the funds, policies and
procedures relating to portfolio transactions,
custody arrangements, fidelity bond and
insurance arrangements and such other tasks
as the full Board deems necessary or
appropriate.
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Chad D. Perry (Chair), Mary
Schmid Daugherty (Vice
Chair) and Rebecca W.
Rimel
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DIVIDEND COMMITTEE
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0
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Authorizes dividends and other distributions for
those funds that are organized as Maryland
corporations or as series of a Maryland
corporation. The Committee meets on an as-
needed basis. The Committee applies only to
the following corporations: Deutsche DWS
Global/International Fund, Inc. and Deutsche
DWS International Fund, Inc.
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Keith R. Fox, Catherine
Schrand, Jennifer S. Conrad
(Alternate), Mary Schmid
Daugherty (Alternate), Chad
D. Perry (Alternate) and
Rebecca W. Rimel
(Alternate)
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Funds Overseen by
Board Member in the
DWS Funds
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Independent Board Member:
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Jennifer S. Conrad
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Over $100,000
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Mary Schmid Daugherty
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Over $100,000
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Keith R. Fox
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Over $100,000
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Chad D. Perry
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Over $100,000
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Rebecca W. Rimel
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Over $100,000
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Catherine Schrand
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Over $100,000
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Independent
Board Member
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Owner and
Relationship to
Board Member
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Company
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Title of
Class
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Value of
Securities on an
Aggregate Basis
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Percent of
Class on an
Aggregate Basis
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Jennifer S. Conrad
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None
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Mary Schmid Daugherty
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None
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||||
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Keith R. Fox
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None
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||||
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Chad D. Perry
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None
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||||
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Rebecca W. Rimel
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None
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||||
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Catherine Schrand
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None
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Government Cash Management Portfolio
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Independent Board Member:
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Jennifer S. Conrad
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$138,163
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Mary Schmid Daugherty
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$138,163
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Keith R. Fox
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$194,145
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Chad D. Perry
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$149,359
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Rebecca W. Rimel
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$149,359
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Catherine Schrand
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$153,838
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Board Member
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Total Compensation
from the Portfolio and
DWS Fund Complex(1)
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Independent Board Member:
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Jennifer S. Conrad
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$325,000
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Mary Schmid Daugherty
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$325,000
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Keith R. Fox(2)
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$450,000
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Chad D. Perry(3)
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$350,000
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Rebecca W. Rimel(3)
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$350,000
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Catherine Schrand(3)
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$360,000
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Portfolio Name
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Management Fee Rate
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|
Government Cash Management Portfolio
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First $3 billion 0.1200%
Next $4.5 billion 0.1025%
Thereafter 0.0900%
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|
Fiscal Year Ended
|
Gross Amount
Paid to DIMA
for Advisory
Services
|
Amount Waived
by DIMA for
Advisory
Services
|
Gross Amount Paid to
DIMA for General
Administrative
Services
|
Amount Waived by
DIMA for General
Administrative
Services
|
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2025
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$32,098,644
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$6,668,937
|
$10,212,048
|
$0
|
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2024
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$34,685,171
|
$8,434,068
|
11,074,224
|
$0
|
|
2023
|
$30,640,663
|
$15,133,377
|
$9,726,055
|
$0
|
|
Fiscal
Year
|
Brokerage Commissions
Paid by Portfolio
|
|
|
Government Cash Management Portfolio
|
2025
|
$0
|
|
2024
|
$0
|
|
|
2023
|
$0
|
|
Fiscal
Year
|
Name of
Affiliated
Broker
|
Affiliation
|
Aggregate
Brokerage
Commissions
Paid by Portfolio
to Affiliated
Brokers
|
% of the Total
Brokerage
Commissions
|
% of the
Aggregate
Dollar
Value of all
Portfolio
Transactions
|
|
|
Government Cash
Management Portfolio
|
2025
|
None
|
-
|
None
|
-
|
-
|
|
2024
|
None
|
-
|
None
|
-
|
-
|
|
Fiscal
Year
|
Name of
Affiliated
Broker
|
Affiliation
|
Aggregate
Brokerage
Commissions
Paid by Portfolio
to Affiliated
Brokers
|
% of the Total
Brokerage
Commissions
|
% of the
Aggregate
Dollar
Value of all
Portfolio
Transactions
|
|
|
2023
|
None
|
-
|
None
|
-
|
-
|
|
Fund
|
Amount of Transactions
with Research Firms
|
Commissions Paid
on Transactions
with Research Firms
|
|
Government Cash Management Portfolio
|
$0
|
$0
|
|
Item 28.
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Exhibits
|
|
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(a)
|
(1)
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Amended and Restated Declaration of Trust dated April 1, 1990. (Incorporated by reference to Amendment
No. 9 to the Registration Statement, as filed on April 24, 1996.)
|
|
(2)
|
reference to Amendment No. 13 to the Registration Statement, as filed on April 30, 1999.)
|
|
|
(3)
|
Certificate of Amendment to the Declaration of Trust, dated May 16, 2003. (Incorporated by reference to
Amendment No. 18 to the Registration Statement, as filed on April 29, 2004.)
|
|
|
(4)
|
Certificate of Amendment to the Declaration of Trust, dated February 6, 2006. (Incorporated by reference to
Amendment No. 20 to the Registration Statement, as filed on April 28, 2006.)
|
|
|
(5)
|
Certificate of Amendment to the Declaration of Trust, dated April 12, 2016. (Incorporated by reference to
Amendment No. 34 to the Registration Statement, as filed on April 29, 2016.)
|
|
|
(b)
|
(1)
|
By-Laws dated March 26, 1990. (Incorporated by reference to Amendment No. 9 to the Registration State-
ment, as filed on April 24, 1996.)
|
|
(2)
|
Amendment to By-Laws dated September 30, 2005. (Incorporated by reference to Amendment No. 33 to
the Registration Statement, as filed on May 1, 2015.)
|
|
|
(3)
|
Amendment to By-Laws dated April 1, 2011. (Incorporated by reference to Amendment No. 29 to the Reg-
istration Statement, as filed on April 29, 2011.)
|
|
|
(c)
|
(1)
|
Instruments defining the rights of shareholders, including the relevant portions of the Declaration of Trust,
dated April 1, 1990, as amended through April 12, 2016 (see Section 6). Referenced in exhibits (a)(1)
through (a)(5) to this Item, above.
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(2)
|
Instruments defining the rights of shareholders, including the relevant portions of the By-Laws, dated
March 6, 1990, as amended through April 1, 2011 (see Article #1). Referenced in exhibits (b)(1) through
(b)(3) to this Item, above.
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|
|
(d)
|
June 1, 2006, and revised as of January 1, 2007, May 14, 2007, August 1, 2007, and May 1, 2016. (Incor-
porated by reference to Amendment No. 34 to the Registration Statement, as filed on April 29, 2016.)
|
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(f)
|
Not applicable.
|
|
|
(g)
|
(1)
|
November 17, 2008. (Incorporated by reference to Amendment No. 25 to the Registration Statement, as
filed on April 30, 2009.)
|
|
(2)
|
2008. (Incorporated by reference to Amendment No. 36 to the Registration Statement, as filed on April 28,
2017.)
|
|
|
(3)
|
(Incorporated by reference to Amendment No. 36 to the Registration Statement, as filed on April 28, 2017.)
|
|
|
(4)
|
Amendment, effective as of January 1, 2020, to the Master Custodian Agreement between the Registrant
and State Street Bank and Trust Company, dated November 17, 2008. (Incorporated by reference to
Amendment No. 42 to the Registration Statement, as filed on April 30, 2021.)
|
|
|
(5)
|
and State Street Bank and Trust Company, dated November 17, 2008. (Incorporated by reference to
Amendment No. 46 to the Registration Statement, as filed on April 30, 2025.)
|
|
(h)
|
(1)
|
Exclusive Placement Agent Agreement between the Registrant and Scudder Distributors, Inc. (now known
as DWS Distributors, Inc.) dated August 19, 2002. (Incorporated by reference to Amendment No. 17 to the
Registration Statement, as filed on April 30, 2003.)
|
|
(2)
|
(Portions omitted.) (Incorporated by reference to Amendment No. 18 to the Registration Statement, as filed
on April 29, 2004.)
|
|
|
(3)
|
dated April 1, 2003. (Incorporated by reference to Amendment No. 36 to the Registration Statement, as
filed on April 28, 2017.)
|
|
|
(4)
|
dated April 1, 2003. (Incorporated by reference to Amendment No. 39 to the Registration Statement, as
filed on December 7, 2018.)
|
|
|
(5)
|
dated April 1, 2003 (Portions omitted.) (Incorporated by reference to Amendment No. 41 to the Registration
Statement, as filed on April 29, 2020.)
|
|
|
(6)
|
dated April 1, 2003. (Incorporated by reference to Amendment No. 46 to the Registration Statement, as
filed on April 30, 2025.)
|
|
|
(7)
|
April 1, 2003. (Incorporated by reference to Amendment No. 46 to the Registration Statement, as filed on
April 30, 2025.)
|
|
|
(8)
|
April 1, 2003. (Incorporated by reference to Amendment No. 36 to the Registration Statement, as filed on
April 28, 2017.)
|
|
|
(9)
|
Management Americas, Inc., dated as of January 1, 2020. (Portions omitted.) (Incorporated by reference to
Amendment No. 41 to the Registration Statement, as filed on April 29, 2020.)
|
|
|
(10)
|
Company (now known as DWS Service Company) dated June 1, 2006. (Incorporated by reference to
Amendment No. 21 to the Registration Statement, as filed on April 30, 2007.)
|
|
|
(11)
|
2006. (Incorporated by reference to Amendment No. 36 to the Registration Statement, as filed on April 28,
2017.)
|
|
|
(12)
|
Form of Expense Limitation Agreement, dated October 1, 2007, between the Registrant and Deutsche
Investment Management Americas Inc. (now known as DWS Investment Management Americas, Inc.)
(Filed herein.)
|
|
|
(j)
|
Consent of Independent Registered Public Accounting Firm. (Filed herein.)
|
|
|
(l)
|
Investment representation letters of initial investors. (Incorporated by reference to Registrant's Registration
Statement on Form N-1A, as filed on July 20, 1990.)
|
|
|
(m)
|
Not applicable.
|
|
|
(n)
|
Not applicable.
|
|
|
(o)
|
Reserved.
|
|
|
(p)
|
(1)
|
Code of Ethics - DWS Group (U.S. Registered Entities), dated August 22, 2025. (Filed herein.)
|
|
(2)
|
DWS Funds and Germany Funds Code of Ethics, dated May 19, 2023. (Incorporated by reference to
Amendment No. 45 to the Registration Statement, as filed on April 29, 2024.)
|
|
(1)
DWS Distributors, Inc.
Name and Principal
Business Address
|
(2)
Positions and Offices with
DWS Distributors, Inc.
|
(3)
Positions and
Offices with Registrant
|
|
Brian Maute
222 South Riverside Plaza
Chicago, IL 60606-5808
|
Chairperson of the Board,
Director, President, and Chief
Executive Officer
|
None
|
|
Kevin Abbott
222 South Riverside Plaza
Chicago, IL 60606-5808
|
Director and Chief Operating
Officer
|
None
|
|
John Shields
101 California Street
San Francisco, CA 94111-5802
|
Director and Vice President
|
None
|
|
Jason Vassil
222 South Riverside Plaza
Chicago, IL 60606-5808
|
Director and Vice President
|
None
|
|
Michelle Reuter
222 South Riverside Plaza
Chicago, IL 60606-5808
|
Vice President
|
None
|
|
Joel (JJ) Wilczewski
222 South Riverside Plaza
Chicago, IL 60606-5808
|
Vice President
|
None
|
|
Rheeza Ramos
875 Third Avenue
New York, NY 10022-6225
|
Chief Financial Officer and
Treasurer
|
None
|
|
Nicole Chelel
875 Third Avenue
New York, NY 10022-6225
|
Chief Compliance Officer
|
None
|
|
Christian Rijs
875 Third Avenue
New York, NY 10022-6225
|
Anti-Money Laundering
Compliance Officer
|
Anti-Money Laundering
Compliance Officer
|
|
Rich Kircher
875 Third Avenue
New York, NY 10022-6225
|
Deputy Anti-Money Laundering
Compliance Officer
|
Deputy Anti-Money Laundering
Compliance Officer
|
|
Maci Joplin
5201 Gate Parkway
Jacksonville, FL 32256-7284
|
Secretary
|
None
|
|
Ciara Crawford
875 Third Avenue
New York, NY 10022-6225
|
Assistant Secretary
|
Assistant Secretary
|
|
Advisor and Administrator (Accounting Agent, as
applicable)
|
DWS Investment Management Americas, Inc.
875 Third Avenue
New York, NY 10022-6225
|
|
DWS Investment Management Americas, Inc.
100 Summer Street
Boston, MA 02110-2146
|
|
|
DWS Investment Management Americas, Inc.
5201 Gate Parkway
Jacksonville, FL 32256-7284
|
|
|
Custodian and Sub-Administrator (Sub-Accounting
Agent, as applicable)
|
State Street Bank and Trust Company
State Street Financial Center
One Congress Street, Suite 1
Boston, MA 02114-2016
|
|
Sub-Transfer Agent
|
SS&C GIDS, Inc.
333 West 11th Street
Kansas City, MO 64105-1628
|
|
Placement Agent
|
DWS Distributors, Inc.
222 South Riverside Plaza
Chicago, IL 60606-5808
|
|
Storage Vendor
|
Iron Mountain Incorporated
12646 NW 115th Avenue
Medley, FL 33178-3179
|
SIGNATURES
Pursuant to the requirements of the Investment Company Act of 1940, the Registrant, GOVERNMENT CASH MANAGEMENT PORTFOLIO, has duly caused this Amendment No. 47 to its Registration Statement on Form N-1A to be signed on its behalf by the undersigned, thereto duly authorized in the City of New York and the State of New York, on the 22nd day of April 2026.
GOVERNMENT CASH MANAGEMENT PORTFOLIO
By: /s/Hepsen Uzcan
Hepsen Uzcan*
President
*By:
/s/Caroline Pearson
Caroline Pearson**
Chief Legal Officer
| ** | Attorney-in-fact pursuant to the powers of attorney that are incorporated herein by reference to Post-Effective Amendment No. 38, as filed on July 2, 2018 to the Registration Statement. |
|
(h)(12)
|
|
(j)
|
|
(p)(1)
|