-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, O32/SrTXhmTtprXxL6aOeNeNR/icB8/7OktY5YqN8k7tsU+3ENC2pyIxz6Nezdiw d3Y+ZJHlwCLCCwO/euMoLg== 0000897569-07-000007.txt : 20070628 0000897569-07-000007.hdr.sgml : 20070628 20070628115536 ACCESSION NUMBER: 0000897569-07-000007 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 9 CONFORMED PERIOD OF REPORT: 20070430 FILED AS OF DATE: 20070628 DATE AS OF CHANGE: 20070628 EFFECTIVENESS DATE: 20070628 FILER: COMPANY DATA: COMPANY CONFORMED NAME: DREYFUS PREMIER WORLDWIDE GROWTH FUND INC CENTRAL INDEX KEY: 0000897569 IRS NUMBER: 133712071 STATE OF INCORPORATION: MD FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-07512 FILM NUMBER: 07945778 BUSINESS ADDRESS: STREET 1: C/O DREYFUS FUND STREET 2: 200 PARK AVE CITY: NEW YORK STATE: NY ZIP: 10166 BUSINESS PHONE: 2129226805 MAIL ADDRESS: STREET 1: C/O DREYFUS CORP STREET 2: 200 PARK AVE CITY: NEW YORK STATE: NY ZIP: 10166 FORMER COMPANY: FORMER CONFORMED NAME: DREYFUS PREMIER GROWTH FUND INC DATE OF NAME CHANGE: 19970227 FORMER COMPANY: FORMER CONFORMED NAME: PREMIER GROWTH FUND INC DATE OF NAME CHANGE: 19930714 0000897569 S000000096 DREYFUS PREMIER WORLDWIDE GROWTH FUND INC C000000155 Class A PGROX C000000156 Class B PGWBX C000000157 Class C PGRCX C000000158 Class I DPWRX C000000159 Class T DPWTX N-CSR 1 form-070.htm SEMI-ANNUAL REPORT form-070
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION 
Washington, D.C. 20549

FORM N-CSR 
CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT 
INVESTMENT COMPANIES 
Investment Company Act file number 811-7512 

DREYFUS PREMIER WORLDWIDE GROWTH FUND, INC. 
(Exact name of Registrant as specified in charter)

c/o The Dreyfus Corporation 
200 Park Avenue 
New York, New York 10166 
(Address of principal executive offices) (Zip code) 
 
Mark N. Jacobs, Esq. 
200 Park Avenue 
New York, New York 10166 
(Name and address of agent for service) 
 
Registrant's telephone number, including area code: (212) 922-6000 

Date of fiscal year end:    10/31 
Date of reporting period:    04/30/07 


FORM N-CSR

Item 1. Reports to Stockholders.


Save time. Save paper. View your next shareholder report online as soon as it’s available. Log into www.dreyfus.com and sign up for Dreyfus eCommunications. It’s simple and only takes a few minutes.

The views expressed in this report reflect those of the portfolio manager only through the end of the period covered and do not necessarily represent the views of Dreyfus or any other person in the Dreyfus organization. Any such views are subject to change at any time based upon market or other conditions and Dreyfus disclaims any responsibility to update such views.These views may not be relied on as investment advice and, because investment decisions for a Dreyfus fund are based on numerous factors, may not be relied on as an indication of trading intent on behalf of any Dreyfus fund.

Not FDIC-Insured • Not Bank-Guaranteed • May Lose Value


Contents
 
    THE FUND 


2    A Letter from the CEO 
3    Discussion of Fund Performance 
6    Understanding Your Fund’s Expenses 
6    Comparing Your Fund’s Expenses 
With Those of Other Funds
7    Statement of Investments 
10    Statement of Assets and Liabilities 
11    Statement of Operations 
12    Statement of Changes in Net Assets 
14    Financial Highlights 
19    Notes to Financial Statements 
27    Proxy Results 
FOR MORE INFORMATION

    Back Cover 


The Fund

Dreyfus Premier 
Worldwide Growth Fund, Inc. 

A LETTER FROM THE CEO

Dear Shareholder:

We are pleased to present this semiannual report for Dreyfus Premier Worldwide Growth Fund, Inc., covering the six-month period from November 1, 2006, through April 30, 2007.

Heightened volatility in global stock markets has suggested that investors’ appetite for risk is waning. Near the end of February 2007, a sudden and sharp decline in the Shanghai stock market shook equity markets worldwide, including the United States.The Shanghai market apparently reacted to fears that China would need to take steps to reduce the developing nation’s unsustainably high growth rate by raising their short-term rates.Although most international markets subsequently rebounded by the end of April, investors remained cautious with regard to risks posed by a potential interruption of the current global economic expansion.

At the same time, the U.S. dollar has continued to decline relative to many other currencies, including the euro and British pound, making investments denominated in foreign currencies more valuable for U.S. residents.A stubborn U.S. trade deficit and higher interest rates in overseas markets have resulted in a flow of global capital away from U.S. markets and toward those with higher potential returns. As always, your financial advisor can help determine the appropriate investments for you and position your investment portfolio for exposure to these markets.

For information about how the fund performed during the reporting period, as well as market perspectives, we have provided a Discussion of Fund Performance given by the fund’s Portfolio Manager.

Thank you for your continued confidence and support.

2

DISCUSSION OF FUND PERFORMANCE

Fayez Sarofim, Portfolio Manager 
Fayez Sarofim & Co., Sub-Investment Adviser 

How did Dreyfus Premier Worldwide Growth Fund perform relative to its benchmark?

For the six-month period ended April 30, 2007, the fund produced total returns of 11.15% for Class A shares, 10.67% for Class B shares, 10.75% for Class C shares, 11.29% for Class R shares and 11.01% for Class T shares.1 In comparison, the fund’s benchmark, the Morgan Stanley Capital International World Index (“MSCI World Index”), provided an 11.87% total return for the same period.2

Despite occasional bouts of heightened volatility, global stock markets generally rallied on the strength of robust economic growth, greater mergers-and-acquisitions activity and rising corporate earnings. However, the fund lagged its benchmark, primarily due to its underweighted positions in the industrials sector and, to a lesser extent, the utilities and telecommunications services areas.

Effective 6/1/07, Class R shares will be renamed Class I shares.

What is the fund’s investment approach?

The fund invests primarily in large, well-established, multinational companies that we believe are well-positioned to weather difficult economic climates and thrive during favorable times.We focus on purchasing large-cap,“blue-chip” stocks at a price we consider to be justified by a company’s fundamentals.The result is a portfolio of stocks of prominent companies selected for their sustained patterns of profitability, strong balance sheets, expanding global presence and above-average earnings growth potential.The fund pursues a “buy-and-hold” investment strategy in which we typically buy and sell relatively few stocks during the course of the year, which may help to reduce investors’ tax liabilities and the fund’s trading costs.3

The Fund 3


DISCUSSION OF FUND PERFORMANCE (continued)

What other factors influenced the fund’s performance?

Unlike the United States, where economic growth has been slowing, many international economies continued to grow robustly during the reporting period, providing a solid foundation for advances in global stock markets. Mergers-and-acquisitions activity intensified worldwide as low borrowing costs for private equity firms fueled a boom in leveraged buyouts, and companies seeking to consolidate their leadership positions or footholds in new markets merged with other companies. Europe led the developed international equity markets higher, while Japan’s economy and stock market continued to lag the averages.

These factors, together with expectations of strong corporate earnings, helped fuel a global stock market rally through the end of February, when turbulence in Chinese equity markets and the U.S. sub-prime mortgage market triggered sharp corrections in global equity markets. The sell-off proved to be relatively short-lived, however, and stocks rebounded in late March and April.

Although the fund participated in the market’s advance to a significant degree, its performance relative to the benchmark was undermined by its relatively light exposure to industrial companies that benefited from the construction of infrastructures in emerging markets, such as China. The fund also held relatively few utilities and telecommunications services stocks, where companies generally failed to meet our investment criteria but rebounded from earlier weakness.

The fund achieved better results in other economic sectors. An overweighted position in the energy area helped the fund achieve attractive results from integrated oil producers, including Exxon Mobil and ConocoPhillips. Relatively low inventories and limited refinery capacity helped boost commodity prices and energy producers’ earnings. In the financials sector, banking giant Citigroup fared well after announcing a major restructuring plan designed to unlock shareholder value. In addition, stabilizing interest rates helped produce positive year-over-year earnings comparisons for large banks, such as Deutsche Bank and European financial conglomerate Eurazeo.

The fund’s results in the consumer discretionary sector benefited from its position in luxury goods purveyor Christian Dior, which participated in general strength among luxury retailers.

4

Although our long-term investment perspective tends to result in a relatively low turnover rate for the fund, we eliminated a number of positions during the reporting period. Stocks no longer in the fund as of the reporting period’s end include The Home Depot, whose financial results may suffer in a declining U.S. housing market.We eliminated the fund’s position in drug developer Eli Lilly & Co. due to concerns regarding a lack of new products in its research-and-development pipeline. Freight carrier United Parcel Service has fallen short of earnings forecasts and may be hurt by rising fuel costs. Finally, while retailer Estee Lauder appears fundamentally sound, its stock appreciated to levels we considered richly valued.

What is the fund’s current strategy?

We have continued to invest in leading multinational corporations for the long term. At the same time, we believe that, over the shorter term, forecasts of a global economic slowdown may be too pessimistic. In our judgment, positive economic fundamentals remain intact in the United States and Europe, and we expect stabilizing short-term interest rates and ample financial liquidity to support further growth. Even if the global economy proves to be weaker than we currently anticipate, valuations of large companies remain low by historical standards, and we expect increasingly risk-averse investors to favor well-established companies that produce consistent earnings under a variety of economic conditions.

May 15, 2007

1    Total return includes reinvestment of dividends and any capital gains paid, and does not take into 
    consideration the maximum initial sales charges in the case of Class A and Class T shares, or the 
    applicable contingent deferred sales charges imposed on redemptions in the case of Class B and 
    Class C shares. Had these charges been reflected, returns would have been lower. Past performance 
    is no guarantee of future results. Share price and investment return fluctuate such that upon 
    redemption, fund shares may be worth more or less than their original cost. 
2    SOURCE: LIPPER INC. — Reflects reinvestment of net dividends and, where applicable, 
    capital gain distributions.The Morgan Stanley Capital International (MSCI) World Index is an 
    unmanaged index of global stock market performance, including the United States, Canada, 
    Europe, Australia, New Zealand and the Far East. 
3    Achieving tax efficiency is not a part of the fund’s investment objective, and there can be no 
    guarantee that the fund will achieve any particular level of taxable distributions in future years. In 
    periods when the manager has to sell significant amounts of securities (e.g., during periods of 
    significant net redemptions or changes in index components) funds can be expected to be less tax 
    efficient than during periods of more stable market conditions and asset flows. 

The Fund 5


UNDERSTANDING YOUR FUND’S EXPENSES (Unaudited)

As a mutual fund investor, you pay ongoing expenses, such as management fees and other expenses. Using the information below, you can estimate how these expenses affect your investment and compare them with the expenses of other funds.You also may pay one-time transaction expenses, including sales charges (loads) and redemption fees, which are not shown in this section and would have resulted in higher total expenses. For more information, see your fund’s prospectus or talk to your financial adviser.

Review your fund’s expenses

Expenses and Value of a $1,000 Investment             
assuming actual returns for the six months ended April 30, 2007         
    Class A    Class B    Class C    Class R    Class T 






Expenses paid per $1,000     $ 6.49    $ 10.92    $ 10.40    $ 5.08    $ 7.69 
Ending value (after expenses)    $1,111.50    $1,106.70    $1,107.50    $1,112.90    $1,110.10 

COMPARING YOUR FUND’S EXPENSES WITH THOSE OF OTHER FUNDS (Unaudited)

Using the SEC’s method to compare expenses

The Securities and Exchange Commission (SEC) has established guidelines to help investors assess fund expenses. Per these guidelines, the table below shows your fund’s expenses based on a $1,000 investment, assuming a hypothetical 5% annualized return. You can use this information to compare the ongoing expenses (but not transaction expenses or total cost) of investing in the fund with those of other funds.All mutual fund shareholder reports will provide this information to help you make this comparison. Please note that you cannot use this information to estimate your actual ending account balance and expenses paid during the period.

Expenses and Value of a $1,000 Investment assuming a hypothetical 5% annualized return for the six months ended April 30, 2007

    Class A    Class B    Class C    Class R    Class T 






Expenses paid per $1,000     $ 6.21    $ 10.44    $ 9.94    $ 4.86    $ 7.35 
Ending value (after expenses)    $1,018.65    $1,014.43    $1,014.93    $1,019.98    $1,017.50 

Expenses are equal to the fund’s annualized expense ratio of 1.24% for Class A, 2.09% for Class B, 1.99% for Class C, .97% for Class R and 1.47% for Class T; multiplied by the average account value over the period, multiplied by 181/365 (to reflect the one-half year period).

The table below shows the expenses you would have paid on a $1,000 investment in Dreyfus Premier Worldwide Growth Fund, Inc. from November 1, 2006 to April 30, 2007. It also shows how much a $1,000 investment would be worth at the close of the period, assuming actual returns and expenses.

  6

STATEMENT OF INVESTMENTS 
April 30, 2007 (Unaudited) 

Common Stocks—100.0%    Shares    Value ($) 



Consumer Discretionary—22.6%         
Christian Dior    330,000    42,896,770 
L’Oreal, ADR    1,840,000    44,270,400 
LVMH Moet Hennessy Louis Vuitton    122,175    14,340,271 
McDonald’s    217,800    10,515,384 
McGraw-Hill Cos.    370,800    24,298,524 
News, Cl. A    706,400    15,816,296 
Pearson    300,944    5,176,544 
Procter & Gamble    330,000    21,222,300 
        178,536,489 
Consumer Staples—24.6%         
Altria Group    584,000    40,249,280 
Coca-Cola    403,100    21,037,789 
Diageo, ADR    165,000    13,926,000 
Groupe Danone, ADR    980,000    32,516,400 
Kraft Foods, Cl. A    329,000    11,011,630 
Nestle, ADR    326,600    32,444,444 
PepsiCo    241,675    15,972,301 
Wal-Mart Stores    77,322    3,705,270 
Walgreen    523,000    22,959,700 
        193,822,814 
Energy—17.4%         
BP, ADR    60,000    4,039,200 
Chevron    345,800    26,899,782 
ConocoPhillips    26,000    1,803,100 
Exxon Mobil    594,508    47,192,045 
Norsk Hydro, ADR    522,000    18,035,100 
Total, ADR    535,316    39,447,436 
        137,416,663 

The Fund 7


STATEMENT OF INVESTMENTS (Unaudited) (continued)

Common Stocks (continued)    Shares    Value ($) 



Financial—14.9%         
American Express    132,850    8,060,010 
Ameriprise Financial    45,970    2,733,836 
Assicurazioni Generali    239,900    11,113,278 
Citigroup    541,284    29,023,648 
Deutsche Bank    85,300    13,097,815 
Eurazeo    63,193    10,007,316 
HSBC Holdings, ADR    125,000    11,545,000 
JPMorgan Chase & Co.    254,100    13,238,610 
UBS    200,000    13,110,817 
Zurich Financial Services    20,500    5,993,457 
        117,923,787 
Health Care—9.0%         
Abbott Laboratories    200,300    11,340,986 
Johnson & Johnson    203,525    13,070,375 
Novartis, ADR    143,000    8,306,870 
Pfizer    10,754    284,551 
Roche Holding, ADR    402,000    37,989,000 
        70,991,782 
Industrial—4.5%         
Emerson Electric    190,200    8,937,498 
General Electric    716,072    26,394,414 
        35,331,912 
Information Technology—3.8%         
Intel    810,941    17,435,232 
Microsoft    415,600    12,443,064 
        29,878,296 

8

Common Stocks (continued)    Shares    Value ($) 



Materials—3.2%         
Air Liquide, ADR    474,118    23,658,488 
Yara International, ADR    52,400    1,544,228 
        25,202,716 



Total Investments (cost $383,090,484)    100.0%    789,104,459 
Cash and Receivables (Net)    .0%    269,628 
Net Assets    100.0%    789,374,087 

ADR—American Depository Receipts.

Portfolio Summary    (Unaudited)          
 
    Value (%)        Value (%) 




Consumer Staples    24.6    Industrial    4.5 
Consumer Discretionary    22.6    Information Technology    3.8 
Energy    17.4    Materials    3.2 
Financial    14.9         
Health Care    9.0        100.0 
 
Based on net assets.             
See notes to financial statements.         

The Fund 9


STATEMENT OF ASSETS AND LIABILITIES 
April 30, 2007 (Unaudited) 

                Cost    Value 






Assets ($):                     
Investments in securities—See Statement of Investments    383,090,484    789,104,459 
Dividends and interest receivable                1,735,014 
Receivable for investment securities sold            1,256,696 
Receivable for shares of Common Stock subscribed            322,033 
Prepaid expenses                    94,869 
                    792,513,071 






Liabilities ($):                     
Due to The Dreyfus Corporation and affiliates—Note 3(c)        859,183 
Payable for shares of Common Stock redeemed            894,452 
Bank Loan payable—Note 2                715,000 
Cash overdraft due to Custodian                160,407 
Interest payable—Note 2                22,384 
Accrued expenses                    487,558 
                    3,138,984 






Net Assets ($)                    789,374,087 






Composition of Net Assets ($):                 
Paid-in capital                    452,565,262 
Accumulated distributions in excess of investment income—net        (2,277,758) 
Accumulated net realized gain (loss) on investments            (66,931,992) 
Accumulated net unrealized appreciation (depreciation)         
on investments and foreign currency transactions            406,018,575 




Net Assets ($)                    789,374,087 






 
 
Net Asset Value Per Share                 
    Class A    Class B    Class C    Class R    Class T 






Net Assets ($)    614,981,555    74,258,759    93,985,494    1,682,652    4,465,627 
Shares Outstanding    13,658,811    1,733,327    2,251,373    37,047    100,212 






Net Asset Value                     
Per Share ($)    45.02    42.84    41.75    45.42    44.56 
 
See notes to financial statements.                 

10

STATEMENT OF OPERATIONS 
Six Months Ended April 30, 2007 (Unaudited) 

Investment Income ($):     
Income:     
Cash dividends (net of $543,187 foreign taxes withheld at source): 
Unaffiliated issuers    8,399,927 
Affiliated issuers    86,455 
Total Income    8,486,382 
Expenses:     
Investment advisory fee—Note 3(a)    2,861,135 
Shareholder servicing costs—Note 3(c)    1,551,348 
Distribution fees—Note 3(b)    656,158 
Prospectus and shareholders’ reports    178,762 
Custodian fees    69,527 
Registration fees    44,020 
Professional fees    24,544 
Interest expense—Note 2    24,455 
Directors’ fees and expenses—Note 3(d)    8,930 
Loan commitment fees—Note 2    174 
Miscellaneous    18,260 
Total Expenses    5,437,313 
Investment Income—Net    3,049,069 


Realized and Unrealized Gain (Loss) on Investments—Note 4 ($): 
Net realized gain (loss) on investments and     
foreign currency transactions    9,513,606 
Net unrealized appreciation (depreciation)     
on investments and foreign currency transactions    68,322,795 
Net Realized and Unrealized Gain (Loss) on Investments    77,836,401 
Net Increase in Net Assets Resulting from Operations    80,885,470 

See notes to financial statements.

The Fund 11


STATEMENT OF CHANGES IN NET ASSETS

    Six Months Ended     
    April 30, 2007    Year Ended 
    (Unaudited)    October 31, 2006 



Operations ($):         
Investment income—net    3,049,069    6,273,566 
Net realized gain (loss) on investments    9,513,606    56,802,780 
Net unrealized appreciation         
(depreciation) on investments    68,322,795    61,974,486 
Net Increase (Decrease) in Net Assets         
Resulting from Operations    80,885,470    125,050,832 



Dividends to Shareholders from ($):         
Investment income—net:         
Class A shares    (4,981,532)    (8,641,653) 
Class B shares        (668,416) 
Class C shares    (1,074,861)    (822,549) 
Class R shares    (19,089)    (18,508) 
Class T shares    (27,305)    (49,825) 
Total Dividends    (6,102,787)    (10,200,951) 



Capital Stock Transactions ($):         
Net proceeds from shares sold:         
Class A shares    45,909,304    114,706,540 
Class B shares    1,013,436    5,792,423 
Class C shares    3,837,771    7,524,878 
Class R shares    202,860    944,107 
Class T shares    137,682    399,458 
Dividends reinvested:         
Class A shares    4,249,758    7,270,834 
Class B shares        557,353 
Class C shares    677,785    511,766 
Class R shares    18,546    17,586 
Class T shares    26,536    48,467 
Cost of shares redeemed:         
Class A shares    (63,480,811)    (166,931,801) 
Class B shares    (32,408,930)    (81,087,983) 
Class C shares    (6,653,631)    (20,313,029) 
Class R shares    (531,876)    (1,379,582) 
Class T shares    (171,450)    (642,256) 
Increase (Decrease) in Net Assets         
from Capital Stock Transactions    (47,173,020)    (132,581,239) 
Total Increase (Decrease) in Net Assets    27,609,663    (17,731,358) 



Net Assets ($):         
Beginning of Period    761,764,424    779,495,782 
End of Period    789,374,087    761,764,424 
Undistributed (distributions in excess of)         
investment income—net    (2,277,758)    775,960 

12


    Six Months Ended     
    April 30, 2007    Year Ended 
    (Unaudited)    October 31, 2006 



Capital Share Transactions:         
Class A a         
Shares sold    1,087,328    3,018,366 
Shares issued for dividends reinvested    100,331    200,875 
Shares redeemed    (1,495,030)    (4,432,471) 
Net Increase (Decrease) in Shares Outstanding    (307,371)    (1,213,230) 



Class B a         
Shares sold    25,136    161,120 
Shares issued for dividends reinvested        16,091 
Shares redeemed    (806,208)    (2,292,606) 
Net Increase (Decrease) in Shares Outstanding    (781,072)    (2,115,395) 



Class C         
Shares sold    96,596    216,422 
Shares issued for dividends reinvested    17,212    15,038 
Shares redeemed    (168,128)    (580,436) 
Net Increase (Decrease) in Shares Outstanding    (54,320)    (348,976) 



Class R         
Shares sold    4,791    23,706 
Shares issued for dividends reinvested    434    481 
Shares redeemed    (12,394)    (37,134) 
Net Increase (Decrease) in Shares Outstanding    (7,169)    (12,947) 



Class T         
Shares sold    3,278    10,741 
Shares issued for dividends reinvested    632    1,351 
Shares redeemed    (4,076)    (17,267) 
Net Increase (Decrease) in Shares Outstanding    (166)    (5,175) 

a    During the period ended April 30, 2007, 471,594 Class B shares representing $18,925,378 were automatically 
    converted to 448,696 Class A shares and during the period ended October 31, 2006, 1,175,666 Class B shares 
    representing $41,542,986 were automatically converted to 1,117,242 Class A shares. 
See notes to financial statements. 

The Fund 13


FINANCIAL HIGHLIGHTS

The following tables describe the performance for each share class for the fiscal periods indicated. All information (except portfolio turnover rate) reflects financial results for a single fund share.Total return shows how much your investment in the fund would have increased (or decreased) during each period, assuming you had reinvested all dividends and distributions.These figures have been derived from the fund’s financial statements.

    Six Months Ended                     
        April 30, 2007        Year Ended October 31,     



Class A Shares    (Unaudited)    2006    2005    2004    2003    2002 







Per Share Data ($):                         
Net asset value,                         
beginning of period    40.85    35.12    31.35    29.73    25.60    28.84 
Investment Operations:                         
Investment income—net a    .21    .39    .42    .23    .21    .10 
Net realized and unrealized                         
gain (loss) on investments    4.32    5.91    3.83    1.79    3.92    (3.34) 
Total from                         
Investment Operations    4.53    6.30    4.25    2.02    4.13    (3.24) 
Distributions:                         
Dividends from                         
investment income—net    (.36)    (.57)    (.48)    (.40)         
Net asset value, end of period    45.02    40.85    35.12    31.35    29.73    25.60 







Total Return (%) b    11.15c    18.16    13.63    6.85    16.13    (11.24) 







Ratios/Supplemental Data (%):                     
Ratio of total expenses                         
to average net assets    .62c    1.23    1.24    1.25    1.27    1.32 
Ratio of net expenses                         
to average net assets    .62c    1.23    1.24    1.25    1.27    1.32 
Ratio of net investment income                     
to average net assets    .49c    1.04    1.21    .73    .79    .34 
Portfolio Turnover Rate    .00c    .30    .52    .58    1.08    1.58 







Net Assets, end of period                         
($ x 1,000)    614,982    570,586    533,041    465,536    390,243    320,717 
 
a    Based on average shares outstanding at each month end.                 
b    Exclusive of sales charge.                         
c    Not annualized.                         
See notes to financial statements.                         

14

    Six Months Ended                     
        April 30, 2007        Year Ended October 31,     



Class B Shares    (Unaudited)    2006    2005    2004    2003    2002 







Per Share Data ($):                         
Net asset value,                         
beginning of period    38.71    33.19    29.54    28.03    24.33    27.59 
Investment Operations:                         
Investment income (loss)—net a    .02    .08    .17    (.03)    .00b    (.11) 
Net realized and unrealized                         
gain (loss) on investments    4.11    5.60    3.59    1.69    3.70    (3.15) 
Total from                         
Investment Operations    4.13    5.68    3.76    1.66    3.70    (3.26) 
Distributions:                         
Dividends from                         
investment income—net        (.16)    (.11)    (.15)         
Net asset value, end of period    42.84    38.71    33.19    29.54    28.03    24.33 







Total Return (%) c    10.67d    17.16    12.73    5.96    15.21    (11.82) 







Ratios/Supplemental Data (%):                     
Ratio of total expenses                         
to average net assets    1.04d    2.08    2.06    2.07    2.05    2.03 
Ratio of net expenses                         
to average net assets    1.04d    2.08    2.06    2.07    2.05    2.03 
Ratio of net investment income                     
(loss) to average net assets    .05d    .23    .53    (.10)    .02    (.39) 
Portfolio Turnover Rate    .00d    .30    .52    .58    1.08    1.58 







Net Assets, end of period                         
($ x 1,000)    74,259    97,334    153,641    295,281    432,448    509,980 
 
a    Based on average shares outstanding at each month end.                 
b    Amount represents less than $.01.                     
c    Exclusive of sales charge.                         
d    Not annualized.                         
See notes to financial statements.                         

The Fund 15


FINANCIAL HIGHLIGHTS (continued)

    Six Months Ended                     
        April 30, 2007        Year Ended October 31,     



Class C Shares    (Unaudited)    2006    2005    2004    2003    2002 







Per Share Data ($):                         
Net asset value,                         
beginning of period    38.15    32.82    29.30    27.82    24.13    27.36 
Investment Operations:                         
Investment income (loss)—net a    .05    .11    .16    (.01)    .01    (.10) 
Net realized and unrealized                         
gain (loss) on investments    4.02    5.53    3.58    1.67    3.68    (3.13) 
Total from                         
Investment Operations    4.07    5.64    3.74    1.66    3.69    (3.23) 
Distributions:                         
Dividends from                         
investment income—net    (.47)    (.31)    (.22)    (.18)         
Net asset value, end of period    41.75    38.15    32.82    29.30    27.82    24.13 







Total Return (%) b    10.75c    17.30    12.77    6.07    15.25    (11.80) 







Ratios/Supplemental Data (%):                     
Ratio of total expenses                         
to average net assets    .98c    1.96    2.01    2.02    2.02    2.01 
Ratio of net expenses                         
to average net assets    .98c    1.96    2.01    2.02    2.02    2.01 
Ratio of net investment income                     
(loss) to average net assets    .12c    .31    .48    (.05)    .04    (.37) 
Portfolio Turnover Rate    .00c    .30    .52    .58    1.08    1.58 







Net Assets, end of period                         
($ x 1,000)    93,985    87,964    87,120    97,433    110,960    116,415 
 
a    Based on average shares outstanding at each month end.                 
b    Exclusive of sales charge.                         
c    Not annualized.                         
See notes to financial statements.                         

16

    Six Months Ended                     
        April 30, 2007        Year Ended October 31,     



Class R Shares    (Unaudited)    2006    2005    2004    2003    2002 







Per Share Data ($):                         
Net asset value,                         
beginning of period    41.27    35.49    31.69    29.95    25.75    28.88 
Investment Operations:                         
Investment income—net a    .27    .42    .59    .36    .29    .24 
Net realized and unrealized                         
gain (loss) on investments    4.36    6.01    3.80    1.81    3.91    (3.37) 
Total from                         
Investment Operations    4.63    6.43    4.39    2.17    4.20    (3.13) 
Distributions:                         
Dividends from                         
investment income—net    (.48)    (.65)    (.59)    (.43)         
Net asset value, end of period    45.42    41.27    35.49    31.69    29.95    25.75 







Total Return (%)    11.29b    18.35    14.01    7.28    16.31    (10.84) 







Ratios/Supplemental Data (%):                     
Ratio of total expenses                         
to average net assets    .48b    1.06    .91    .85    .96    .93 
Ratio of net expenses                         
to average net assets    .48b    1.06    .91    .85    .96    .93 
Ratio of net investment income                     
to average net assets    .63b    1.19    1.74    1.14    1.10    .82 
Portfolio Turnover Rate    .00b    .30    .52    .58    1.08    1.58 







Net Assets, end of period                         
($ x 1,000)    1,683    1,825    2,029    3,042    3,257    3,005 
 
a    Based on average shares outstanding at each month end.                 
b    Not annualized.                         
See notes to financial statements.                         

The Fund 17


FINANCIAL HIGHLIGHTS (continued)

    Six Months Ended                     
        April 30, 2007        Year Ended October 31,     



Class T Shares    (Unaudited)    2006    2005    2004    2003    2002 







Per Share Data ($):                         
Net asset value,                         
beginning of period    40.40    34.71    31.00    29.41    25.39    28.63 
Investment Operations:                         
Investment income—net a    .16    .30    .33    .15    .13    .06 
Net realized and unrealized                         
gain (loss) on investments    4.27    5.86    3.78    1.78    3.89    (3.30) 
Total from                         
Investment Operations    4.43    6.16    4.11    1.93    4.02    (3.24) 
Distributions:                         
Dividends from                         
investment income—net    (.27)    (.47)    (.40)    (.34)         
Net asset value, end of period    44.56    40.40    34.71    31.00    29.41    25.39 







Total Return (%) b    11.01c    17.90    13.38    6.58    15.83    (11.32) 







Ratios/Supplemental Data (%):                     
Ratio of total expenses                         
to average net assets    .73c    1.46    1.49    1.49    1.50    1.50 
Ratio of net expenses                         
to average net assets    .73c    1.46    1.49    1.49    1.50    1.50 
Ratio of net investment income                     
to average net assets    .37c    .80    .99    .49    .51    .20 
Portfolio Turnover Rate    .00c    .30    .52    .58    1.08    1.58 







Net Assets, end of period                         
($ x 1,000)    4,466    4,056    3,664    3,931    3,403    2,623 
 
a    Based on average shares outstanding at each month end.                 
b    Exclusive of sales charge.                         
c    Not annualized.                         
See notes to financial statements.                         

18

NOTES TO FINANCIAL STATEMENTS (Unaudited)

NOTE 1—Significant Accounting Policies:

Dreyfus Premier Worldwide Growth Fund, Inc. (the “fund”) is registered under the Investment Company Act of 1940, as amended (the “Act”), as a diversified open-end management investment company. The fund’s investment objective is to provide investors with long-term capital growth consistent with the preservation of capital.The Dreyfus Corporation (the “Manager” or “Dreyfus”) serves as the fund’s investment adviser. Fayez Sarofim & Co. (“Sarofim”) serves as the fund’s sub-investment adviser. Dreyfus is a wholly-owned subsidiary of Mellon Financial Corporation (“Mellon Financial”).

On May 24, 2007, the shareholders of Mellon Financial and The Bank of New York Company, Inc. approved the proposed merger of the two companies. The new company will be called The Bank of New York Mellon Corporation.As part of this transaction, Dreyfus would become a wholly-owned subsidiary of The Bank of New York Mellon Corporation.The transaction is subject to certain regulatory approvals, as well as other customary conditions to closing. Subject to such approvals and the satisfaction of the other conditions, Mellon Financial and The Bank of New York Company, Inc. expect the transaction to be completed in the third quarter of 2007.

Dreyfus Service Corporation (the “Distributor”), a wholly-owned subsidiary of Dreyfus, is the distributor of the fund’s shares. The fund is authorized to issue 100 million shares of $.001 par value Common Stock in each of the following classes of shares: Class A, Class B, Class C, Class R and Class T. Class A and Class T shares are subject to a sales charge imposed at the time of purchase. Class B shares are subject to a contingent deferred sales charge (“CDSC”) imposed on Class B share redemptions made within six years of purchase and automatically convert to Class A shares after six years.The fund no longer offers Class B shares, except in connection with dividends reinvestment and permitted exchanges of Class B shares. Class C shares are subject to a CDSC on Class C shares redeemed within one year of purchase and Class R

The Fund 19


NOTES TO FINANCIAL STATEMENTS (Unaudited) (continued)

shares are sold at net asset value per share only to institutional investors. Other differences between the classes include the services offered to and the expenses borne by each class and certain voting rights. Income, expenses (other than expenses attributable to a specific class) and realized and unrealized gains or losses on investments are allocated to each class of shares based on its relative net assets.

The fund’s financial statements are prepared in accordance with U.S. generally accepted accounting principles, which may require the use of management estimates and assumptions. Actual results could differ from those estimates.

The fund enters into contracts that contain a variety of indemnifications. The fund’s maximum exposure under these arrangements is unknown.The fund does not anticipate recognizing any loss related to these arrangements.

(a) Portfolio valuation: Investments in securities are valued at the last sales price on the securities exchange or national securities market on which such securities are primarily traded. Securities listed on the National Market System for which market quotations are available, are valued at the official closing price or, if there is no official closing price that day, at the last sales price. Securities not listed on an exchange or the national securities market, or securities for which there were no transactions, are valued at the average of the most recent bid and asked prices, except for open short positions, where the asked price is used for valuation purposes. Bid price is used when no asked price is available. Registered open-end investment companies that are not traded on an exchange are valued at their net asset value.When market quotations or official closing prices are not readily available, or are determined not to reflect accurately fair value, such as when the value of a security has been significantly affected by events after the close of the exchange or market on which the security is principally traded (for example, a foreign exchange or market), but before the fund calculates its net asset value, the fund may value these investments at fair value as determined in accordance with the procedures approved by the Board of Directors.

20

Fair valuing of securities may be determined with the assistance of a pricing service using calculations based on indices of domestic securities and other appropriate indicators, such as prices of relevant ADR’s and futures contracts. For other securities that are fair valued by the Board of Directors, certain factors may be considered such as: fundamental analytical data, the nature and duration of restrictions on disposition, an evaluation of the forces that influence the market in which the securities are purchased and sold, and public trading in similar securities of the issuer or comparable issuers. Financial futures are valued at the last sales price. Investments denominated in foreign currencies are translated to U.S. dollars at the prevailing rates of exchange. Forward currency exchange contracts are valued at the forward rate.

The Financial Accounting Standards Board (FASB) released Statement of Financial Accounting Standards No. 157 “Fair Value Measurements” (“FAS 157”). FAS 157 establishes an authoritative definition of fair value, sets out a framework for measuring fair value, and requires additional disclosures about fair-value measurements.The application of FAS 157 is required for fiscal years beginning after November 15, 2007 and interim periods within those fiscal years. Management does not believe that the application of this standard will have a material impact on the financial statements of the fund.

(b) Foreign currency transactions: The fund does not isolate that portion of the results of operations resulting from changes in foreign exchange rates on investments from the fluctuations arising from changes in market prices of securities held. Such fluctuations are included with the net realized and unrealized gain or loss on investments.

Net realized foreign exchange gains or losses arise from sales and maturities of short-term securities, sales of foreign currencies, currency gains or losses realized on securities transactions and the difference between the amounts of dividends, interest and foreign withholding taxes recorded on the fund’s books and the U.S. dollar equivalent of the amounts actually received or paid. Net unrealized foreign exchange

The Fund 21


NOTES TO FINANCIAL STATEMENTS (Unaudited) (continued)

gains and losses arise from changes in the value of assets and liabilities other than investments in securities, resulting from changes in exchange rates. Such gains and losses are included with net realized and unrealized gain or loss on investments.

(c) Securities transactions and investment income: Securities transactions are recorded on a trade date basis. Realized gain and loss from securities transactions are recorded on the identified cost basis. Dividend income is recognized on the ex-dividend date and interest income, including, where applicable, accretion of discount and amortization of premium on investments, is recognized on the accrual basis.

The fund has an arrangement with the custodian bank whereby the fund receives earnings credits from the custodian when positive cash balances are maintained, which are used to offset custody fees. For financial reporting purposes, the fund includes net earnings credits, if any, as an expense offset in the Statement of Operations.

(d) Affiliated issuers: Investments in other investment companies advised by the Manager are defined as “affiliated” in the Act.

(e) Dividends to shareholders: Dividends are recorded on the ex-dividend date. Dividends from investment income-net and dividends from net realized capital gain, if any, are normally declared and paid annually, but the fund may make distributions on a more frequent basis to comply with the distribution requirements of the Internal Revenue Code of 1986, as amended (the “Code”).To the extent that net realized capital gain can be offset by capital loss carryovers, it is the policy of the fund not to distribute such gain. Income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. generally accepted accounting principles.

(f) Federal income taxes: It is the policy of the fund to continue to qualify as a regulated investment company, if such qualification is in the best interests of its shareholders, by complying with the applicable provisions of the Code, and to make distributions of taxable income sufficient to relieve it from substantially all federal income and excise taxes.

22

The FASB released FASB Interpretation No. 48 “Accounting for Uncertainty in Income Taxes” (FIN 48). FIN 48 provides guidance for how uncertain tax positions should be recognized, measured, presented and disclosed in the financial statements. FIN 48 requires the evaluation of tax positions taken or expected to be taken in the course of preparing the fund’s tax returns to determine whether the tax positions are “more-likely-than-not” of being sustained by the applicable tax authority. Tax positions not deemed to meet the more-likely-than-not threshold would be recorded as a tax benefit or expense in the current year.Adoption of FIN 48 is required for fiscal years beginning after December 15,2006 and is to be applied to all open tax years as of the effective date. Management does not believe that the application of this standard will have a material impact on the financial statements of the fund.

The fund has an unused capital loss carryover of $76,445,598 available for federal income tax purposes to be applied against future net securities profits, if any, realized subsequent to October 31, 2006. If not applied, $15,947,030 of the carryover expires in fiscal 2008, $14,032,078 expires in fiscal 2010, $28,550,186 expires in fiscal 2011 and $17,916,304 expires in fiscal 2012.

The tax character of distributions paid to shareholders during the fiscal year ended October 31, 2006 were as follows: ordinary income $10,200,951.The tax character of the current year distributions will be determined at the end of the current fiscal year.

NOTE 2—Bank Line of Credit:

The fund participates with other Dreyfus-managed funds in a $350 million redemption credit facility (the “Facility”) to be utilized for temporary or emergency purposes, including the financing of redemptions. In connection therewith, the fund has agreed to pay commitment fees on its pro rata portion of the Facility. Interest is charged to the fund based on prevailing market rates in effect at the time of borrowing.

The Fund 23


NOTES TO FINANCIAL STATEMENTS (Unaudited) (continued)

The average daily amount of borrowings outstanding under the Facility during the period ended April 30, 2007, was approximately $858,300, with a related weighted average annualized interest rate of 5.75% .

NOTE 3—Investment Advisory Fee, Sub-Investment Advisory Fee and Other Transactions With Affiliates:

(a) Pursuant to an Investment Advisory Agreement with Dreyfus, the investment advisory fee is computed at the annual rate of .75% of the value of the fund’s average daily net assets and is payable monthly.

Pursuant to a Sub-Investment Advisory Agreement between Dreyfus and Sarofim, Dreyfus has agreed to pay Sarofim a monthly sub-investment advisory fee, computed at the following annual rates:

    Annual Fee as a Percentage of 
Total Net Assets    Average Daily Net Assets 
0 to $25 million    11% 
$25 million up to $75 million    18% 
$75 million up to $200 million    22% 
$200 million up to $300 million    26% 
In excess of $300 million    275% 

During the period ended April 30, 2007, the Distributor retained $27,586 and $215 from commissions earned on sales of the fund’s Class A and Class T shares, respectively, and $58,866 and $2,218 from CDSC on redemptions of the fund’s Class B and Class C shares, respectively.

(b) Under a Distribution Plan (the “Plan”) adopted pursuant to Rule 12b-1 under the Act, Class B, Class C and Class T shares pay the Distributor for distributing their shares at an annual rate of .75% of the value of the average daily net assets of Class B and Class C shares and .25% of the value of the average daily net assets of Class T shares. During the period ended April 30, 2007, Class B, Class C and Class T shares were charged $315,374, $335,518 and $5,266, respectively, pursuant to the Plan.

(c) Under the Shareholder Services Plan, Class A, Class B, Class C and Class T shares pay the Distributor, at an annual rate of .25% of the

24

value of their average daily net assets for the provision of certain ser-vices.The services provided may include personal services relating to shareholder accounts, such as answering shareholder inquiries regarding the fund and providing reports and other information, and services related to the maintenance of shareholder accounts. The Distributor may make payments to Service Agents (a securities dealer, financial institution or other industry professional) in respect of these services. The Distributor determines the amounts to be paid to Service Agents. During the period ended April 30, 2007, Class A, Class B, Class C and Class T shares were charged $729,323, $105,125, $111,839 and $5,266, respectively, pursuant to the Shareholder Services Plan.

The fund compensates Dreyfus Transfer, Inc., a wholly-owned subsidiary of Dreyfus, under a transfer agency agreement for providing personnel and facilities to perform transfer agency services for the fund. During the period ended April 30, 2007, the fund was charged $318,880 pursuant to the transfer agency agreement.

During the period ended April 30, 2007, the fund was charged $2,044 for services performed by the Chief Compliance Officer.

The components of Due to The Dreyfus Corporation and affiliates in the Statement of Assets and Liabilities consist of: investment advisory fees $482,195, Rule 12b-1 distribution plan fees $103,857, shareholder services plan fees $160,380, chief compliance officer fees $3,407 and transfer agency per account fees $109,344.

(d) Each Board member also serves as a Board member of other funds within the Dreyfus complex. Annual retainer fees and attendance fees are allocated to each fund based on net assets.

(e) Pursuant to an exemptive order from the SEC, the fund may invest its available cash balances in affiliated money market mutual funds. Management fees of the underlying money market mutual funds have been waived by Dreyfus.

The Fund 25


NOTES TO FINANCIAL STATEMENTS (Unaudited) (continued)

26

NOTE 4—Securities Transactions:

The aggregate amount of purchases and sales of investment securities, excluding short-term securities, during the period ended April 30, 2007, amounted to $0 and $51,385,460, respectively.

At April 30, 2007, accumulated net unrealized appreciation on investments was $406,013,975, consisting of $411,996,680 gross unrealized appreciation and $5,982,705 gross unrealized depreciation.

At April 30, 2007, the cost of investments for federal income tax purposes was substantially the same as the cost for financial reporting purposes (see the Statement of Investments).

NOTE 5—Subsequent Event:

The fund’s Board of Directors approved the redesignation of the fund’s Class R shares as Class I shares, effective June 1, 2007. The description of the eligibility requirements for Class I shares remains the same as it was for Class R shares.


PROXY RESULTS (Unaudited)

The fund held a special meeting of shareholders on November 30, 2006.The proposal considered at the meeting, and the results, are as follows:

        Shares     



    Votes For        Authority Withheld 



To elect Board Members:             
David W. Burke     14,764,918        169,851 
Joseph S. DiMartino     14,776,053        158,716 
Diane Dunst     14,775,308        159,461 
Jay I. Meltzer     14,770,393        164,375 
Daniel Rose     14,771,003        163,766 
Warren B. Rudman     14,771,103        163,665 
Sander Vanocur     14,761,283        173,486 

Each new Board member’s term commenced on January 1, 2007.

Although Joseph S. DiMartino has served as a Board member of the fund since 1995, he previously had not stood for election by fund shareholders. In addition, Clifford L. Alexander,Jr., Peggy C. Davis, Ernest Kafka and Nathan Leventhal continue as Board members of the fund.

The Fund 27


NOTES



Item 2.    Code of Ethics. 
    Not applicable. 
Item 3.    Audit Committee Financial Expert. 
    Not applicable. 
Item 4.    Principal Accountant Fees and Services. 
    Not applicable. 
Item 5.    Audit Committee of Listed Registrants. 
    Not applicable. 
Item 6.    Schedule of Investments. 
    Not applicable. 
Item 7.    Disclosure of Proxy Voting Policies and Procedures for Closed-End Management 
    Investment Companies. 
    Not applicable. 
Item 8.    Portfolio Managers of Closed-End Management Investment Companies. 
    Not applicable. 
Item 9.    Purchases of Equity Securities by Closed-End Management Investment Companies and 
    Affiliated Purchasers. 
    Not applicable. [CLOSED-END FUNDS ONLY] 
Item 10.    Submission of Matters to a Vote of Security Holders. 

The Registrant has a Nominating Committee (the "Committee"), which is responsible for selecting and nominating persons for election or appointment by the Registrant's Board as Board members. The Committee has adopted a Nominating Committee Charter (the "Charter"). Pursuant to the Charter, the Committee will consider recommendations for nominees from shareholders submitted to the Secretary of the Registrant, c/o The Dreyfus Corporation Legal Department, 200 Park Avenue, 8th Floor East, New York, New York 10166. A nomination submission must include information regarding the recommended nominee as specified in the Charter. This information includes all information relating to a recommended nominee that is required to be disclosed in solicitations or proxy statements for the election of Board members, as well as information sufficient to evaluate the factors to be considered by the Committee, including character and integrity, business and professional experience, and whether the person has the ability to apply sound and independent business judgment and would act in the interests of the Registrant and its shareholders.


Nomination submissions are required to be accompanied by a written consent of the individual to stand for election if nominated by the Board and to serve if elected by the shareholders, and such additional information must be provided regarding the recommended nominee as reasonably requested by the Committee.

Item 11. Controls and Procedures.

(a) The Registrant's principal executive and principal financial officers have concluded, based on their evaluation of the Registrant's disclosure controls and procedures as of a date within 90 days of the filing date of this report, that the Registrant's disclosure controls and procedures are reasonably designed to ensure that information required to be disclosed by the Registrant on Form N-CSR is recorded, processed, summarized and reported within the required time periods and that information required to be disclosed by the Registrant in the reports that it files or submits on Form N-CSR is accumulated and communicated to the Registrant's management, including its principal executive and principal financial officers, as appropriate to allow timely decisions regarding required disclosure.

(b) There were no changes to the Registrant's internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that have materially affected, or are reasonably likely to materially affect, the Registrant's internal control over financial reporting.

Item 12. Exhibits.

(a)(1)    Not applicable. 
(a)(2)    Certifications of principal executive and principal financial officers as required by Rule 30a-2(a) 
under the Investment Company Act of 1940. 
(a)(3)    Not applicable. 
(b)    Certification of principal executive and principal financial officers as required by Rule 30a-2(b) 
under the Investment Company Act of 1940. 


SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the Registrant has duly caused this Report to be signed on its behalf by the undersigned, thereunto duly authorized.

DREYFUS PREMIER WORLDWIDE GROWTH FUND, INC.

By:    /s/ J. David Officer 
    J. David Officer 
    President 
 
Date:    June 19, 2007 
 
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 
1940, this Report has been signed below by the following persons on behalf of the Registrant and in the 
capacities and on the dates indicated. 
 
By:    /s/ J. David Officer 
    J. David Officer 
    President 
 
Date:    June 19, 2007 
 
By:    /s/ James Windels 
    James Windels 
    Treasurer 
 
Date:    June 19, 2007 
 
EXHIBIT INDEX
 
    (a)(2) Certifications of principal executive and principal financial officers as required by Rule 30a- 
    2(a) under the Investment Company Act of 1940. (EX-99.CERT) 
 
    (b) Certification of principal executive and principal financial officers as required by Rule 30a- 
    2(b) under the Investment Company Act of 1940. (EX-99.906CERT) 


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[EX-99.CERT]—Exhibit (a)(2)

SECTION 302 CERTIFICATION

I, J. David Officer, certify that:

1. I have reviewed this report on Form N-CSR of Dreyfus Premier Worldwide Growth Fund, Inc.;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

4. The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting;

5. The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

By:    /s/ J. David Officer 
    J. David Officer 
    President
Date:    June 19, 2007 


SECTION 302 CERTIFICATION

I, James Windels, certify that:

1. I have reviewed this report on Form N-CSR of Dreyfus Premier Worldwide Growth Fund, Inc.;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

4. The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

(a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

(b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

(c) Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

(d) Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting;

5. The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

(a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and

(b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

By:    /s/ James Windels 
    James Windels 
    Treasurer
Date:    June 19, 2007 


EX-99 8 ex906-070.htm CERTIFICATION 906 ex906-070

[EX-99.906CERT] Exhibit (b)

SECTION 906 CERTIFICATIONS

In connection with this report on Form N-CSR for the Registrant as furnished to the Securities and Exchange Commission on the date hereof (the "Report"), the undersigned hereby certify, pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, that:

(1) the Report fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as applicable; and

(2) the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

By:    /s/ J. David Officer 
    J. David Officer 
    President
 
Date:    June 19, 2007 
 
 
By:    /s/ James Windels 
    James Windels 
    Treasurer
 
Date:    June 19, 2007 

This certificate is furnished pursuant to the requirements of Form N-CSR and shall not be deemed "filed" for purposes of Section 18 of the Securities Exchange Act of 1934, or otherwise subject to the liability of that section, and shall not be deemed to be incorporated by reference into any filing under the Securities Act of 1933 or the Securities Exchange Act of 1934.


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