0000088053-14-001237.txt : 20140911 0000088053-14-001237.hdr.sgml : 20140911 20140911143708 ACCESSION NUMBER: 0000088053-14-001237 CONFORMED SUBMISSION TYPE: 485BPOS PUBLIC DOCUMENT COUNT: 7 FILED AS OF DATE: 20140911 DATE AS OF CHANGE: 20140911 EFFECTIVENESS DATE: 20140911 FILER: COMPANY DATA: COMPANY CONFORMED NAME: DEUTSCHE INVESTMENT TRUST CENTRAL INDEX KEY: 0000088064 IRS NUMBER: 042212654 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 485BPOS SEC ACT: 1933 Act SEC FILE NUMBER: 002-13628 FILM NUMBER: 141098007 BUSINESS ADDRESS: STREET 1: 345 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10154-0004 BUSINESS PHONE: 212-454-6778 MAIL ADDRESS: STREET 1: 345 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10154-0004 FORMER COMPANY: FORMER CONFORMED NAME: DWS INVESTMENT TRUST DATE OF NAME CHANGE: 20060207 FORMER COMPANY: FORMER CONFORMED NAME: INVESTMENT TRUST DATE OF NAME CHANGE: 19980529 FORMER COMPANY: FORMER CONFORMED NAME: SCUDDER INVESTMENT TRUST DATE OF NAME CHANGE: 19920703 FILER: COMPANY DATA: COMPANY CONFORMED NAME: DEUTSCHE INVESTMENT TRUST CENTRAL INDEX KEY: 0000088064 IRS NUMBER: 042212654 STATE OF INCORPORATION: MA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 485BPOS SEC ACT: 1940 Act SEC FILE NUMBER: 811-00043 FILM NUMBER: 141098008 BUSINESS ADDRESS: STREET 1: 345 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10154-0004 BUSINESS PHONE: 212-454-6778 MAIL ADDRESS: STREET 1: 345 PARK AVENUE CITY: NEW YORK STATE: NY ZIP: 10154-0004 FORMER COMPANY: FORMER CONFORMED NAME: DWS INVESTMENT TRUST DATE OF NAME CHANGE: 20060207 FORMER COMPANY: FORMER CONFORMED NAME: INVESTMENT TRUST DATE OF NAME CHANGE: 19980529 FORMER COMPANY: FORMER CONFORMED NAME: SCUDDER INVESTMENT TRUST DATE OF NAME CHANGE: 19920703 0000088064 S000005705 Deutsche Capital Growth Fund C000144535 Class R6 485BPOS 1 xb082514inv_cgf.htm 485B XBRL FILING - DEUTSCHE INVESTMENT TRUST - DEUTSCHE CAPITAL GROWTH FUND xb082514inv_cgf.htm
Filed electronically with the Securities and Exchange Commission on September 11, 2014

File No. 002-13628
File No. 811-00043

UNITED STATES SECURITIES AND EXCHANGE COMMISSION
WASHINGTON, D. C. 20549

FORM N-1A

REGISTRATION STATEMENT UNDER THE SECURITIES ACT OF 1933
| X |
   
Pre-Effective Amendment No.
|__|
Post-Effective Amendment No. 206
| X |
and/or
 
REGISTRATION STATEMENT UNDER THE
 
INVESTMENT COMPANY ACT OF 1940
| X |
   
Amendment No. 156
 
   
Deutsche Investment Trust
(Exact Name of Registrant as Specified in Charter)
 
   
345 Park Avenue, New York, NY  10154
(Address of Principal Executive Offices)   (Zip Code)
 
   
Registrant’s Telephone Number, including Area Code:  (617) 295-1000
 
   
John Millette
Vice President and Secretary
One Beacon Street
Boston, MA 02108
(Name and Address of Agent for Service)
 
   
Copy to:
Thomas Hiller, Esq.
Ropes & Gray LLP
Prudential Tower, 800 Boylston Street
Boston, MA 02199-3600
 
   
   

It is proposed that this filing will become effective (check appropriate box):

|X|
Immediately upon filing pursuant to paragraph (b)
|__|
On ____________ pursuant to paragraph (b)
|__|
60 days after filing pursuant to paragraph (a)(1)
| __|
On _____________ pursuant to paragraph (a)(1)
|__|
75 days after filing pursuant to paragraph (a)(2)
|__|
On _____________ pursuant to paragraph (a)(3) of Rule 485
   
 
If appropriate, check the following box:
|__|
This post-effective amendment designates a new effective date for a previously filed post-effective amendment.
 
 
 
 

 

This filing relates solely to the following Fund, a series of the Registrant:

·  
Deutsche Capital Growth Fund — Class R6




 
 

 
 

SIGNATURES

Pursuant to the requirements of the Securities Act of 1933 and the Investment Company Act of 1940, the Registrant certifies that it meets all of the requirements for effectiveness of this Registration Statement pursuant to Rule 485(b) under the Securities Act of 1933 and has duly caused this amendment to its Registration Statement 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 10th day of September 2014.

  DEUTSCHE INVESTMENT TRUST

 
By:  /s/Brian E. Binder
Brian E. Binder*
President

Pursuant to the requirements of the Securities Act of 1933, this Post-Effective Amendment to its Registration Statement has been signed below by the following persons in the capacities and on the dates indicated:

SIGNATURE
TITLE
DATE
 
 
       
/s/Brian E. Binder
   
Brian E. Binder*
President
September 10, 2014
     
/s/Paul H. Schubert
   
Paul H. Schubert
Chief Financial Officer and Treasurer
September 10, 2014
     
/s/John W. Ballantine
   
John W. Ballantine*
Trustee
September 10, 2014
     
/s/Henry P. Becton, Jr.
   
Henry P. Becton, Jr.*
Trustee
September 10, 2014
     
/s/Dawn-Marie Driscoll
   
Dawn-Marie Driscoll*
Trustee
September 10, 2014
     
/s/Keith R. Fox
   
Keith R. Fox*
Trustee
September 10, 2014
     
/s/Paul K. Freeman
   
Paul K. Freeman*
Trustee
September 10, 2014
     
/s/Kenneth C. Froewiss
   
Kenneth C. Froewiss*
Chairperson and Trustee
September 10, 2014
     
/s/Richard J. Herring
   
Richard J. Herring*
Trustee
September 10, 2014
     
/s/William McClayton
   
William McClayton*
Vice Chairperson and Trustee
September 10, 2014
     
/s/Rebecca W. Rimel
   
Rebecca W. Rimel*
Trustee
September 10, 2014
     
/s/William N. Searcy, Jr.
   
William N. Searcy, Jr.*
Trustee
September 10, 2014
     
/s/Jean Gleason Stromberg
   
Jean Gleason Stromberg*
Trustee
September 10, 2014
     
/s/Robert H. Wadsworth
   
Robert H. Wadsworth*
Trustee
September 10, 2014
     

*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. 204, as filed on August 22, 2014 to the Registration Statement.

 
 

 
 

 
EXHIBIT INDEX

Index No.
  
Description of Exhibit
   
EX-101.INS
  
XBRL Instance Document
   
EX-101.SCH
  
XBRL Taxonomy Extension Schema Document
   
EX-101.CAL
  
XBRL Taxonomy Extension Calculation Linkbase
   
EX-101.DEF
  
XBRL Taxonomy Extension Definition Linkbase
   
EX-101.LAB
  
XBRL Taxonomy Extension Labels Linkbase
   
EX-101.PRE
  
XBRL Taxonomy Extension Presentation Linkbase

EX-101.INS 2 dit1-20140822.xml XBRL INSTANCE DOCUMENT 0000088064 2013-08-26 2014-08-25 0000088064 dit1:S000005705Member 2013-08-26 2014-08-25 0000088064 dit1:S000005705Member dit1:C000144535Member 2013-08-26 2014-08-25 0000088064 dit1:S000005705Member dit1:C000015676Member 2013-08-26 2014-08-25 0000088064 dit1:S000005705Member dit1:BeforeTaxMember dit1:C000015676Member 2013-08-26 2014-08-25 0000088064 dit1:S000005705Member rr:AfterTaxesOnDistributionsAndSalesMember dit1:C000015676Member 2013-08-26 2014-08-25 0000088064 dit1:S000005705Member dit1:RussellTenHundrendGrowthIndexMember 2013-08-26 2014-08-25 0000088064 dit1:S000005705Member rr:AfterTaxesOnDistributionsMember dit1:C000015676Member 2013-08-26 2014-08-25 pure iso4217:USD 485BPOS 2013-09-30 DEUTSCHE INVESTMENT TRUST 0000088064 false 2014-08-22 2014-08-25 <b>Deutsche Capital Growth Fund</b><br /><br />(formerly DWS Capital Growth Fund) <b>Investment Objective</b> The fund seeks to provide long-term growth of capital. <b>Fees and Expenses of the Fund</b> These are the fees and expenses you may pay when you buy and hold shares. <b>SHAREHOLDER FEES</b><br/><br/>(paid directly from your investment) <b>ANNUAL FUND OPERATING EXPENSES (expenses that you pay each year as a % of the value of your investment)</b> 0.0046 0 0.0015 0.0061 <b>EXAMPLE</b> This Example is intended to help you compare the cost of investing in the fund with the cost of investing in other mutual funds. The Example assumes that you invest $10,000 in the fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the fund's operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be: 62 195 340 762 <b>PORTFOLIO TURNOVER</b> The fund pays transaction costs, such as commissions, when it buys and sells securities (or "turns over" its portfolio). A higher portfolio turnover may indicate higher transaction costs and may mean higher taxes if you are investing in a taxable account. These costs are not reflected in annual fund operating expenses or in the expense example, and can affect the fund's performance.<br /><br />Portfolio turnover rate for fiscal year 2013: 31%. <b>Principal Investment Strategy</b> <b>Main investments.</b> The fund normally invests at least 65% of total assets in equities, mainly common stocks of US companies. The fund generally focuses on established companies that are similar in size to the companies in the S&amp;P 500<sup>&#174;</sup> Index (generally 500 of the largest companies in the US) or the Russell 1000<sup>&#174;</sup> Growth Index (generally those stocks among the 1,000 largest US companies that have above-average price-to-earnings ratios). As of December 31, 2013, the S&amp;P 500<sup>&#174;</sup> Index had a median market capitalization of $16.52 billion and, as of November 29, 2013, the Russell 1000<sup>&#174;</sup> Growth Index had a median market capitalization of $7.29 billion. Although the fund can invest in companies of any size, the fund intends to invest primarily in companies whose market capitalizations fall within the normal range of these indexes. The fund may also invest in other types of equity securities such as preferred stocks or convertible securities.<br /><br /><b>Management process.</b> In choosing stocks, portfolio management begins by utilizing proprietary quantitative models to rank stocks based on a number of factors including valuation and profitability. Portfolio management also applies fundamental factors to seek to identify companies that display above-average earnings growth compared to other companies and that have strong product lines, effective management and leadership positions within core markets. The fundamental factors considered and quantitative models used by portfolio management may change over time.<br /><br />Portfolio management will normally sell a security when it believes the potential risks have increased, its price is unlikely to go higher, its fundamental factors have changed, other investments offer better opportunities or in the course of adjusting the fund's emphasis on a given industry.<br /><br /><b>Securities Lending.</b> The fund may lend securities (up to one-third of total assets) to approved institutions. <b>Main Risks</b> There are several risk factors that could hurt the fund's performance, cause you to lose money or cause the fund's performance to trail that of other investments. The fund may not achieve its investment objective, and is not intended to be a complete investment program. An investment in the fund is not a deposit of a bank and is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other governmental agency.<br /><br /><b>Stock market risk.</b> When stock prices fall, you should expect the value of your investment to fall as well. Stock prices can be hurt by poor management on the part of the stock's issuer, shrinking product demand and other business risks. These may affect single companies as well as groups of companies. In addition, movements in financial markets may adversely affect a stock's price, regardless of how well the company performs. To the extent the fund invests in a particular capitalization or market sector, the fund's performance may be proportionately affected by that segment's general performance.<br /><br /><b>Growth investing risk.</b> As a category, growth stocks may underperform value stocks (and the stock market as a whole) over any period of time. Because the prices of growth stocks are based largely on the expectation of future earnings, growth stock prices can decline rapidly and significantly in reaction to negative news about such factors as earnings, the economy, political developments, or other news.<br /><br /><b>Security selection risk.</b> The securities in the fund's portfolio may decline in value. Portfolio management could be wrong in its analysis of industries, companies, economic trends, the relative attractiveness of different securities or other matters.<br /><br /><b>Medium-sized company risk.</b> Medium-sized company stocks tend to be more volatile than large company stocks. Because stock analysts are less likely to follow medium-sized companies, less information about them is available to investors. Industry-wide reversals may have a greater impact on medium-sized companies, since they lack the financial resources of larger companies. Medium-sized company stocks are typically less liquid than large company stocks.<br /><br /><b>Small company risk.</b> Small company stocks tend to be more volatile than medium-sized or large company stocks. Because stock analysts are less likely to follow small companies, less information about them is available to investors. Industry-wide reversals may have a greater impact on small companies, since they may lack the financial resources of larger companies. Small company stocks are typically less liquid than large company stocks.<br /><br /><b>Foreign investment risk.</b> The fund faces the risks inherent in foreign investing. Adverse political, economic or social developments could undermine the value of the fund's investments or prevent the fund from realizing the full value of its investments. Financial reporting standards for companies based in foreign markets differ from those in the US. Additionally, foreign securities markets generally are smaller and less liquid than US markets. To the extent that the fund invests in non-US dollar denominated foreign securities, changes in currency exchange rates may affect the US dollar value of foreign securities or the income or gain received on these securities.<br /><br /><b>Securities lending risk.</b> Any decline in the value of a portfolio security that occurs while the security is out on loan is borne by the fund and will adversely affect performance. Also, there may be delays in recovery of securities loaned or even a loss of rights in the collateral should the borrower of the securities fail financially while holding the security.<br /><br /><b>Liquidity risk.</b> In certain situations, it may be difficult or impossible to sell an investment in an orderly fashion at an acceptable price.<br /><br /><b>Pricing risk.</b> If market conditions make it difficult to value some investments, the fund may value these investments using more subjective methods, such as fair value pricing. In such cases, the value determined for an investment could be different than the value realized upon such investment's sale. As a result, you could pay more than the market value when buying fund shares or receive less than the market value when selling fund shares. Best Quarter: 16.37%, Q1 2012 Worst Quarter: -21.21%, Q4 2008<br/>Year-to-Date as of 6/30/14: 4.88% <b>Average Annual Total Returns<br />(For periods ended 12/31/2013 expressed as a %)</b> After-tax returns (which are shown only for Institutional Class and would be different for other classes) reflect the historical highest individual federal income tax rates, but do not reflect any state or local taxes. Your actual after-tax returns may be different. After-tax returns are not relevant to shares held in an IRA, 401(k) or other tax-advantaged investment plan. 0.0766 0.086 0.0843 0.1235 -0.3275 0.2608 0.1625 -0.0487 0.1572 0.3437 Year-to-Date 2014-06-30 0.0488 Best Quarter: 2012-03-31 0.1637 Worst Quarter: 2008-12-31 -0.2121 0.3437 0.2411 0.3348 0.3307 0.1674 0.164 0.2039 0.1476 0.0758 0.0738 0.0668 0.0783 2002-08-19 0.31 There are several risk factors that could hurt the fund's performance, cause you to lose money or cause the fund's performance to trail that of other investments. An investment in the fund is not a deposit of a bank and is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other governmental agency. How a fund's returns vary from year to year can give an idea of its risk; so can comparing fund performance to overall market performance (as measured by an appropriate market index). deutschefunds.com Past performance may not indicate future results. These year-by-year returns do not include sales charges, if any, and would be lower if they did. After-tax returns are not relevant to shares held in an IRA, 401(k) or other tax-advantaged investment plan. After-tax returns (which are shown only for Institutional Class and would be different for other classes) reflect the historical highest individual federal income tax rates, but do not reflect any state or local taxes. After-tax returns (which are shown only for Institutional Class and would be different for other classes) 0 <div style="display:none">~ http://deutschefunds.com/role/ScheduleShareholderFeesDeutscheCapitalGrowthFund column period compact * ~</div> <div style="display:none">~ http://deutschefunds.com/role/ScheduleAnnualFundOperatingExpensesDeutscheCapitalGrowthFund column period compact * ~</div> <div style="display:none">~ http://deutschefunds.com/role/ScheduleExpenseExampleTransposedDeutscheCapitalGrowthFund column period compact * ~</div> <div style="display:none">~ http://deutschefunds.com/role/ScheduleAnnualTotalReturnsDeutscheCapitalGrowthFundBarChart column period compact * ~</div> <div style="display:none">~ http://deutschefunds.com/role/ScheduleAverageAnnualTotalReturnsTransposedDeutscheCapitalGrowthFund column period compact * ~</div> 2014-08-25 <b>Past Performance</b> How a fund's returns vary from year to year can give an idea of its risk; so can comparing fund performance to overall market performance (as measured by an appropriate market index). Past performance may not indicate future results. All performance figures below assume that dividends were reinvested. For more recent performance figures, go to deutschefunds.com (the Web site does not form a part of this prospectus) or call the phone number included in this prospectus.<br /><br />Class R6 is a new class of shares and therefore does not have a full calendar year of performance available. In the bar chart and table below, the performance figures reflect the historical performance of Institutional Class. Institutional Class shares are invested in the same portfolio of securities as Class R6 and would have had similar performance. Performance would differ only to the extent that Class R6 and Institutional Class do not have the same fees and expenses. Institutional Class commenced operations on August 19, 2002 and is offered in a separate prospectus. <b>CALENDAR YEAR TOTAL RETURNS (%) (Institutional Class)</b> These year-by-year returns do not include sales charges, if any, and would be lower if they did. Returns for other classes were different and are not shown here. "Other Expenses" are based on estimated amounts for the current fiscal year. Class R6 is a new class of shares and therefore does not have a full calendar year of performance available. In the bar chart and table below, the performance figures reflect the historical performance of Institutional Class. Institutional Class shares are invested in the same portfolio of securities as Class R6 and would have had similar performance. Performance would differ only to the extent that Class R6 and Institutional Class do not have the same fees and expenses. Institutional Class commenced operations on August 19, 2002 and is offered in a separate prospectus. "Other Expenses" are based on estimated amounts for the current fiscal year. 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Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Registrant Name dei_EntityRegistrantName DEUTSCHE INVESTMENT TRUST
Prospectus Date rr_ProspectusDate Aug. 25, 2014
Document Creation Date dei_DocumentCreationDate Aug. 22, 2014

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Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Registrant Name dei_EntityRegistrantName DEUTSCHE INVESTMENT TRUST
Prospectus Date rr_ProspectusDate Aug. 25, 2014
Deutsche Capital Growth Fund
 
Risk/Return: rr_RiskReturnAbstract  
Risk/Return [Heading] rr_RiskReturnHeading Deutsche Capital Growth Fund

(formerly DWS Capital Growth Fund)
Objective [Heading] rr_ObjectiveHeading Investment Objective
Objective, Primary [Text Block] rr_ObjectivePrimaryTextBlock The fund seeks to provide long-term growth of capital.
Expense [Heading] rr_ExpenseHeading Fees and Expenses of the Fund
Expense Narrative [Text Block] rr_ExpenseNarrativeTextBlock These are the fees and expenses you may pay when you buy and hold shares.
Shareholder Fees Caption [Text] rr_ShareholderFeesCaption SHAREHOLDER FEES

(paid directly from your investment)
Operating Expenses Caption [Text] rr_OperatingExpensesCaption ANNUAL FUND OPERATING EXPENSES (expenses that you pay each year as a % of the value of your investment)
Portfolio Turnover [Heading] rr_PortfolioTurnoverHeading PORTFOLIO TURNOVER
Portfolio Turnover [Text Block] rr_PortfolioTurnoverTextBlock The fund pays transaction costs, such as commissions, when it buys and sells securities (or "turns over" its portfolio). A higher portfolio turnover may indicate higher transaction costs and may mean higher taxes if you are investing in a taxable account. These costs are not reflected in annual fund operating expenses or in the expense example, and can affect the fund's performance.

Portfolio turnover rate for fiscal year 2013: 31%.
Portfolio Turnover, Rate rr_PortfolioTurnoverRate 31.00%
Other Expenses, New Fund, Based on Estimates [Text] rr_OtherExpensesNewFundBasedOnEstimates "Other Expenses" are based on estimated amounts for the current fiscal year.
Expense Example [Heading] rr_ExpenseExampleHeading EXAMPLE
Expense Example Narrative [Text Block] rr_ExpenseExampleNarrativeTextBlock This Example is intended to help you compare the cost of investing in the fund with the cost of investing in other mutual funds. The Example assumes that you invest $10,000 in the fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the fund's operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Strategy [Heading] rr_StrategyHeading Principal Investment Strategy
Strategy Narrative [Text Block] rr_StrategyNarrativeTextBlock Main investments. The fund normally invests at least 65% of total assets in equities, mainly common stocks of US companies. The fund generally focuses on established companies that are similar in size to the companies in the S&P 500® Index (generally 500 of the largest companies in the US) or the Russell 1000® Growth Index (generally those stocks among the 1,000 largest US companies that have above-average price-to-earnings ratios). As of December 31, 2013, the S&P 500® Index had a median market capitalization of $16.52 billion and, as of November 29, 2013, the Russell 1000® Growth Index had a median market capitalization of $7.29 billion. Although the fund can invest in companies of any size, the fund intends to invest primarily in companies whose market capitalizations fall within the normal range of these indexes. The fund may also invest in other types of equity securities such as preferred stocks or convertible securities.

Management process. In choosing stocks, portfolio management begins by utilizing proprietary quantitative models to rank stocks based on a number of factors including valuation and profitability. Portfolio management also applies fundamental factors to seek to identify companies that display above-average earnings growth compared to other companies and that have strong product lines, effective management and leadership positions within core markets. The fundamental factors considered and quantitative models used by portfolio management may change over time.

Portfolio management will normally sell a security when it believes the potential risks have increased, its price is unlikely to go higher, its fundamental factors have changed, other investments offer better opportunities or in the course of adjusting the fund's emphasis on a given industry.

Securities Lending. The fund may lend securities (up to one-third of total assets) to approved institutions.
Risk [Heading] rr_RiskHeading Main Risks
Risk Narrative [Text Block] rr_RiskNarrativeTextBlock There are several risk factors that could hurt the fund's performance, cause you to lose money or cause the fund's performance to trail that of other investments. The fund may not achieve its investment objective, and is not intended to be a complete investment program. An investment in the fund is not a deposit of a bank and is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other governmental agency.

Stock market risk. When stock prices fall, you should expect the value of your investment to fall as well. Stock prices can be hurt by poor management on the part of the stock's issuer, shrinking product demand and other business risks. These may affect single companies as well as groups of companies. In addition, movements in financial markets may adversely affect a stock's price, regardless of how well the company performs. To the extent the fund invests in a particular capitalization or market sector, the fund's performance may be proportionately affected by that segment's general performance.

Growth investing risk. As a category, growth stocks may underperform value stocks (and the stock market as a whole) over any period of time. Because the prices of growth stocks are based largely on the expectation of future earnings, growth stock prices can decline rapidly and significantly in reaction to negative news about such factors as earnings, the economy, political developments, or other news.

Security selection risk. The securities in the fund's portfolio may decline in value. Portfolio management could be wrong in its analysis of industries, companies, economic trends, the relative attractiveness of different securities or other matters.

Medium-sized company risk. Medium-sized company stocks tend to be more volatile than large company stocks. Because stock analysts are less likely to follow medium-sized companies, less information about them is available to investors. Industry-wide reversals may have a greater impact on medium-sized companies, since they lack the financial resources of larger companies. Medium-sized company stocks are typically less liquid than large company stocks.

Small company risk. Small company stocks tend to be more volatile than medium-sized or large company stocks. Because stock analysts are less likely to follow small companies, less information about them is available to investors. Industry-wide reversals may have a greater impact on small companies, since they may lack the financial resources of larger companies. Small company stocks are typically less liquid than large company stocks.

Foreign investment risk. The fund faces the risks inherent in foreign investing. Adverse political, economic or social developments could undermine the value of the fund's investments or prevent the fund from realizing the full value of its investments. Financial reporting standards for companies based in foreign markets differ from those in the US. Additionally, foreign securities markets generally are smaller and less liquid than US markets. To the extent that the fund invests in non-US dollar denominated foreign securities, changes in currency exchange rates may affect the US dollar value of foreign securities or the income or gain received on these securities.

Securities lending risk. Any decline in the value of a portfolio security that occurs while the security is out on loan is borne by the fund and will adversely affect performance. Also, there may be delays in recovery of securities loaned or even a loss of rights in the collateral should the borrower of the securities fail financially while holding the security.

Liquidity risk. In certain situations, it may be difficult or impossible to sell an investment in an orderly fashion at an acceptable price.

Pricing risk. If market conditions make it difficult to value some investments, the fund may value these investments using more subjective methods, such as fair value pricing. In such cases, the value determined for an investment could be different than the value realized upon such investment's sale. As a result, you could pay more than the market value when buying fund shares or receive less than the market value when selling fund shares.
Risk Lose Money [Text] rr_RiskLoseMoney There are several risk factors that could hurt the fund's performance, cause you to lose money or cause the fund's performance to trail that of other investments.
Risk Not Insured Depository Institution [Text] rr_RiskNotInsuredDepositoryInstitution An investment in the fund is not a deposit of a bank and is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other governmental agency.
Bar Chart and Performance Table [Heading] rr_BarChartAndPerformanceTableHeading Past Performance
Performance Narrative [Text Block] rr_PerformanceNarrativeTextBlock How a fund's returns vary from year to year can give an idea of its risk; so can comparing fund performance to overall market performance (as measured by an appropriate market index). Past performance may not indicate future results. All performance figures below assume that dividends were reinvested. For more recent performance figures, go to deutschefunds.com (the Web site does not form a part of this prospectus) or call the phone number included in this prospectus.

Class R6 is a new class of shares and therefore does not have a full calendar year of performance available. In the bar chart and table below, the performance figures reflect the historical performance of Institutional Class. Institutional Class shares are invested in the same portfolio of securities as Class R6 and would have had similar performance. Performance would differ only to the extent that Class R6 and Institutional Class do not have the same fees and expenses. Institutional Class commenced operations on August 19, 2002 and is offered in a separate prospectus.
Performance Information Illustrates Variability of Returns [Text] rr_PerformanceInformationIllustratesVariabilityOfReturns How a fund's returns vary from year to year can give an idea of its risk; so can comparing fund performance to overall market performance (as measured by an appropriate market index).
Performance One Year or Less [Text] rr_PerformanceOneYearOrLess Class R6 is a new class of shares and therefore does not have a full calendar year of performance available.
Performance Availability Website Address [Text] rr_PerformanceAvailabilityWebSiteAddress deutschefunds.com
Performance Past Does Not Indicate Future [Text] rr_PerformancePastDoesNotIndicateFuture Past performance may not indicate future results.
Bar Chart [Heading] rr_BarChartHeading CALENDAR YEAR TOTAL RETURNS (%) (Institutional Class)
Bar Chart Narrative [Text Block] rr_BarChartNarrativeTextBlock These year-by-year returns do not include sales charges, if any, and would be lower if they did. Returns for other classes were different and are not shown here.
Bar Chart Does Not Reflect Sales Loads [Text] rr_BarChartDoesNotReflectSalesLoads These year-by-year returns do not include sales charges, if any, and would be lower if they did.
Bar Chart Closing [Text Block] rr_BarChartClosingTextBlock Best Quarter: 16.37%, Q1 2012 Worst Quarter: -21.21%, Q4 2008
Year-to-Date as of 6/30/14: 4.88%
Bar Chart, Returns for Class Not Offered in Prospectus [Text] rr_BarChartReturnsForClassNotOfferedInProspectus In the bar chart and table below, the performance figures reflect the historical performance of Institutional Class. Institutional Class shares are invested in the same portfolio of securities as Class R6 and would have had similar performance. Performance would differ only to the extent that Class R6 and Institutional Class do not have the same fees and expenses. Institutional Class commenced operations on August 19, 2002 and is offered in a separate prospectus.
Performance Table Heading rr_PerformanceTableHeading Average Annual Total Returns
(For periods ended 12/31/2013 expressed as a %)
Performance Table Uses Highest Federal Rate rr_PerformanceTableUsesHighestFederalRate After-tax returns (which are shown only for Institutional Class and would be different for other classes) reflect the historical highest individual federal income tax rates, but do not reflect any state or local taxes.
Performance Table Not Relevant to Tax Deferred rr_PerformanceTableNotRelevantToTaxDeferred After-tax returns are not relevant to shares held in an IRA, 401(k) or other tax-advantaged investment plan.
Performance Table One Class of after Tax Shown [Text] rr_PerformanceTableOneClassOfAfterTaxShown After-tax returns (which are shown only for Institutional Class and would be different for other classes)
Performance Table Narrative rr_PerformanceTableNarrativeTextBlock After-tax returns (which are shown only for Institutional Class and would be different for other classes) reflect the historical highest individual federal income tax rates, but do not reflect any state or local taxes. Your actual after-tax returns may be different. After-tax returns are not relevant to shares held in an IRA, 401(k) or other tax-advantaged investment plan.
Deutsche Capital Growth Fund | Class R6
 
Risk/Return: rr_RiskReturnAbstract  
SHAREHOLDER FEES (paid directly from your investment) rr_ShareholderFeeOther none
Management fee rr_ManagementFeesOverAssets 0.46%
Distribution/service (12b-1) fees rr_DistributionAndService12b1FeesOverAssets none
Other expenses rr_OtherExpensesOverAssets 0.15% [1]
Total annual fund operating expenses rr_ExpensesOverAssets 0.61%
1 Year rr_ExpenseExampleYear01 62
3 Years rr_ExpenseExampleYear03 195
5 Years rr_ExpenseExampleYear05 340
10 Years rr_ExpenseExampleYear10 $ 762
Deutsche Capital Growth Fund | INST Class
 
Risk/Return: rr_RiskReturnAbstract  
2004 rr_AnnualReturn2004 7.66%
2005 rr_AnnualReturn2005 8.60%
2006 rr_AnnualReturn2006 8.43%
2007 rr_AnnualReturn2007 12.35%
2008 rr_AnnualReturn2008 (32.75%)
2009 rr_AnnualReturn2009 26.08%
2010 rr_AnnualReturn2010 16.25%
2011 rr_AnnualReturn2011 (4.87%)
2012 rr_AnnualReturn2012 15.72%
2013 rr_AnnualReturn2013 34.37%
Year to Date Return, Label rr_YearToDateReturnLabel Year-to-Date
Bar Chart, Year to Date Return, Date rr_BarChartYearToDateReturnDate Jun. 30, 2014
Bar Chart, Year to Date Return rr_BarChartYearToDateReturn 4.88%
Highest Quarterly Return, Label rr_HighestQuarterlyReturnLabel Best Quarter:
Highest Quarterly Return, Date rr_BarChartHighestQuarterlyReturnDate Mar. 31, 2012
Highest Quarterly Return rr_BarChartHighestQuarterlyReturn 16.37%
Lowest Quarterly Return, Label rr_LowestQuarterlyReturnLabel Worst Quarter:
Lowest Quarterly Return, Date rr_BarChartLowestQuarterlyReturnDate Dec. 31, 2008
Lowest Quarterly Return rr_BarChartLowestQuarterlyReturn (21.21%)
Deutsche Capital Growth Fund | before tax | INST Class
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 34.37%
5 Years rr_AverageAnnualReturnYear05 16.74%
10 Years rr_AverageAnnualReturnYear10 7.58%
Class Inception rr_AverageAnnualReturnInceptionDate Aug. 19, 2002
Deutsche Capital Growth Fund | After tax on distributions | INST Class
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 33.07%
5 Years rr_AverageAnnualReturnYear05 16.40%
10 Years rr_AverageAnnualReturnYear10 7.38%
Deutsche Capital Growth Fund | After tax on distributions and sale of fund shares | INST Class
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 24.11%
5 Years rr_AverageAnnualReturnYear05 14.76%
10 Years rr_AverageAnnualReturnYear10 6.68%
Deutsche Capital Growth Fund | Russell 1000 Growth Index (reflects no deduction for fees, expenses or taxes)
 
Risk/Return: rr_RiskReturnAbstract  
1 Year rr_AverageAnnualReturnYear01 33.48%
5 Years rr_AverageAnnualReturnYear05 20.39%
10 Years rr_AverageAnnualReturnYear10 7.83%
[1] "Other Expenses" are based on estimated amounts for the current fiscal year.
XML 14 R2.htm IDEA: XBRL DOCUMENT v2.4.0.8
Deutsche Capital Growth Fund
Deutsche Capital Growth Fund

(formerly DWS Capital Growth Fund)
Investment Objective
The fund seeks to provide long-term growth of capital.
Fees and Expenses of the Fund
These are the fees and expenses you may pay when you buy and hold shares.
SHAREHOLDER FEES

(paid directly from your investment)
Shareholder Fees (USD $)
Deutsche Capital Growth Fund
Class R6
SHAREHOLDER FEES (paid directly from your investment) none
ANNUAL FUND OPERATING EXPENSES (expenses that you pay each year as a % of the value of your investment)
Annual Fund Operating Expenses
Deutsche Capital Growth Fund
Class R6
Management fee 0.46%
Distribution/service (12b-1) fees none
Other expenses [1] 0.15%
Total annual fund operating expenses 0.61%
[1] "Other Expenses" are based on estimated amounts for the current fiscal year.
EXAMPLE
This Example is intended to help you compare the cost of investing in the fund with the cost of investing in other mutual funds. The Example assumes that you invest $10,000 in the fund for the time periods indicated and then redeem all of your shares at the end of those periods. The Example also assumes that your investment has a 5% return each year and that the fund's operating expenses remain the same. Although your actual costs may be higher or lower, based on these assumptions your costs would be:
Expense Example (USD $)
1 Year
3 Years
5 Years
10 Years
Deutsche Capital Growth Fund Class R6
62 195 340 762
PORTFOLIO TURNOVER
The fund pays transaction costs, such as commissions, when it buys and sells securities (or "turns over" its portfolio). A higher portfolio turnover may indicate higher transaction costs and may mean higher taxes if you are investing in a taxable account. These costs are not reflected in annual fund operating expenses or in the expense example, and can affect the fund's performance.

Portfolio turnover rate for fiscal year 2013: 31%.
Principal Investment Strategy
Main investments. The fund normally invests at least 65% of total assets in equities, mainly common stocks of US companies. The fund generally focuses on established companies that are similar in size to the companies in the S&P 500® Index (generally 500 of the largest companies in the US) or the Russell 1000® Growth Index (generally those stocks among the 1,000 largest US companies that have above-average price-to-earnings ratios). As of December 31, 2013, the S&P 500® Index had a median market capitalization of $16.52 billion and, as of November 29, 2013, the Russell 1000® Growth Index had a median market capitalization of $7.29 billion. Although the fund can invest in companies of any size, the fund intends to invest primarily in companies whose market capitalizations fall within the normal range of these indexes. The fund may also invest in other types of equity securities such as preferred stocks or convertible securities.

Management process. In choosing stocks, portfolio management begins by utilizing proprietary quantitative models to rank stocks based on a number of factors including valuation and profitability. Portfolio management also applies fundamental factors to seek to identify companies that display above-average earnings growth compared to other companies and that have strong product lines, effective management and leadership positions within core markets. The fundamental factors considered and quantitative models used by portfolio management may change over time.

Portfolio management will normally sell a security when it believes the potential risks have increased, its price is unlikely to go higher, its fundamental factors have changed, other investments offer better opportunities or in the course of adjusting the fund's emphasis on a given industry.

Securities Lending. The fund may lend securities (up to one-third of total assets) to approved institutions.
Main Risks
There are several risk factors that could hurt the fund's performance, cause you to lose money or cause the fund's performance to trail that of other investments. The fund may not achieve its investment objective, and is not intended to be a complete investment program. An investment in the fund is not a deposit of a bank and is not insured or guaranteed by the Federal Deposit Insurance Corporation or any other governmental agency.

Stock market risk. When stock prices fall, you should expect the value of your investment to fall as well. Stock prices can be hurt by poor management on the part of the stock's issuer, shrinking product demand and other business risks. These may affect single companies as well as groups of companies. In addition, movements in financial markets may adversely affect a stock's price, regardless of how well the company performs. To the extent the fund invests in a particular capitalization or market sector, the fund's performance may be proportionately affected by that segment's general performance.

Growth investing risk. As a category, growth stocks may underperform value stocks (and the stock market as a whole) over any period of time. Because the prices of growth stocks are based largely on the expectation of future earnings, growth stock prices can decline rapidly and significantly in reaction to negative news about such factors as earnings, the economy, political developments, or other news.

Security selection risk. The securities in the fund's portfolio may decline in value. Portfolio management could be wrong in its analysis of industries, companies, economic trends, the relative attractiveness of different securities or other matters.

Medium-sized company risk. Medium-sized company stocks tend to be more volatile than large company stocks. Because stock analysts are less likely to follow medium-sized companies, less information about them is available to investors. Industry-wide reversals may have a greater impact on medium-sized companies, since they lack the financial resources of larger companies. Medium-sized company stocks are typically less liquid than large company stocks.

Small company risk. Small company stocks tend to be more volatile than medium-sized or large company stocks. Because stock analysts are less likely to follow small companies, less information about them is available to investors. Industry-wide reversals may have a greater impact on small companies, since they may lack the financial resources of larger companies. Small company stocks are typically less liquid than large company stocks.

Foreign investment risk. The fund faces the risks inherent in foreign investing. Adverse political, economic or social developments could undermine the value of the fund's investments or prevent the fund from realizing the full value of its investments. Financial reporting standards for companies based in foreign markets differ from those in the US. Additionally, foreign securities markets generally are smaller and less liquid than US markets. To the extent that the fund invests in non-US dollar denominated foreign securities, changes in currency exchange rates may affect the US dollar value of foreign securities or the income or gain received on these securities.

Securities lending risk. Any decline in the value of a portfolio security that occurs while the security is out on loan is borne by the fund and will adversely affect performance. Also, there may be delays in recovery of securities loaned or even a loss of rights in the collateral should the borrower of the securities fail financially while holding the security.

Liquidity risk. In certain situations, it may be difficult or impossible to sell an investment in an orderly fashion at an acceptable price.

Pricing risk. If market conditions make it difficult to value some investments, the fund may value these investments using more subjective methods, such as fair value pricing. In such cases, the value determined for an investment could be different than the value realized upon such investment's sale. As a result, you could pay more than the market value when buying fund shares or receive less than the market value when selling fund shares.
Past Performance
How a fund's returns vary from year to year can give an idea of its risk; so can comparing fund performance to overall market performance (as measured by an appropriate market index). Past performance may not indicate future results. All performance figures below assume that dividends were reinvested. For more recent performance figures, go to deutschefunds.com (the Web site does not form a part of this prospectus) or call the phone number included in this prospectus.

Class R6 is a new class of shares and therefore does not have a full calendar year of performance available. In the bar chart and table below, the performance figures reflect the historical performance of Institutional Class. Institutional Class shares are invested in the same portfolio of securities as Class R6 and would have had similar performance. Performance would differ only to the extent that Class R6 and Institutional Class do not have the same fees and expenses. Institutional Class commenced operations on August 19, 2002 and is offered in a separate prospectus.
CALENDAR YEAR TOTAL RETURNS (%) (Institutional Class)
These year-by-year returns do not include sales charges, if any, and would be lower if they did. Returns for other classes were different and are not shown here.
Bar Chart
Best Quarter: 16.37%, Q1 2012 Worst Quarter: -21.21%, Q4 2008
Year-to-Date as of 6/30/14: 4.88%
Average Annual Total Returns
(For periods ended 12/31/2013 expressed as a %)
After-tax returns (which are shown only for Institutional Class and would be different for other classes) reflect the historical highest individual federal income tax rates, but do not reflect any state or local taxes. Your actual after-tax returns may be different. After-tax returns are not relevant to shares held in an IRA, 401(k) or other tax-advantaged investment plan.
Average Annual Total Returns Deutsche Capital Growth Fund
Class Inception
1 Year
5 Years
10 Years
INST Class before tax
Aug. 19, 2002 34.37% 16.74% 7.58%
INST Class After tax on distributions
  33.07% 16.40% 7.38%
INST Class After tax on distributions and sale of fund shares
  24.11% 14.76% 6.68%
Russell 1000 Growth Index (reflects no deduction for fees, expenses or taxes)
  33.48% 20.39% 7.83%
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Label Element Value
Risk/Return: rr_RiskReturnAbstract  
Document Type dei_DocumentType 485BPOS
Document Period End Date dei_DocumentPeriodEndDate Sep. 30, 2013
Registrant Name dei_EntityRegistrantName DEUTSCHE INVESTMENT TRUST
Central Index Key dei_EntityCentralIndexKey 0000088064
Amendment Flag dei_AmendmentFlag false
Document Creation Date dei_DocumentCreationDate Aug. 22, 2014
Document Effective Date dei_DocumentEffectiveDate Aug. 25, 2014
Prospectus Date rr_ProspectusDate Aug. 25, 2014
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