US Stock MarketDetailed Quotes

DB Deutsche Bank

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  • 16.470
  • +0.280+1.73%
Close May 3 16:00 ET
  • 16.500
  • +0.030+0.18%
Post 19:36 ET
32.52BMarket Cap5.39P/E (TTM)

Deutsche Bank Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(FY)Dec 31, 2018
(Q4)Dec 31, 2018
(Q3)Sep 30, 2018
(FY)Dec 31, 2017
(Q4)Dec 31, 2017
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
365.31%5.61B
28.45%-2.11B
-109.61%-2.95B
175.98%30.73B
25.33%-40.45B
-236.88%-54.17B
-162.90%-12.57B
68.69%-6.95B
-43.95%39.58B
-67.60%19.99B
Net income from continuing operations
16.17%6.45B
114.03%5.55B
315.87%2.6B
111.85%624M
-1,643.99%-5.27B
146.39%341M
83.13%-409M
-64.66%229M
45.80%-735M
-28.25%-2.42B
Operating gains losses
2,400.00%23M
99.79%-1M
38.41%-473M
-101.57%-768M
49.06%-381M
-4.47%-748M
85.11%-39M
32.77%-80M
33.77%-716M
-36.46%-262M
Deferred tax
118.23%163M
-1,541.94%-894M
120.95%62M
-115.85%-296M
576.81%1.87B
-77.63%276M
-113.48%-120M
-15.28%61M
495.51%1.23B
227.87%890M
Other non cashItems
286.44%220M
-145.04%-118M
-46.20%262M
-24.38%487M
78.89%644M
-19.46%360M
-75.25%101M
809.09%78M
-7.45%447M
750.00%408M
Change in working capital
43.32%-6.36B
-23.52%-11.22B
-134.01%-9.08B
163.54%26.71B
26.67%-42.03B
-256.34%-57.32B
-162.90%-12.96B
65.86%-7.95B
-45.88%36.66B
-66.62%20.6B
-Change in loans
104.84%1.51B
39.41%-31.25B
-404.92%-51.57B
128.28%16.91B
-377.80%-59.8B
-246.13%-12.52B
-336.32%-7.56B
-129.20%-25.26B
-106.49%-3.62B
-92.21%3.2B
-Change in other current assets
-201.53%-1.38B
-105.70%-459M
168.52%8.05B
-257.33%-11.74B
18.78%7.46B
-71.40%6.28B
-47.59%22.1B
38,093.48%17.57B
379.98%21.97B
7.62%42.17B
-Change in other current liabilities
-93.72%777M
169.44%12.38B
-353.53%-17.82B
142.44%7.03B
13.37%-16.56B
17.26%-19.12B
54.71%-26.12B
-309.30%-11.86B
-79.29%-23.11B
-17.86%-57.67B
-Change in other working capital
-189.54%-7.26B
-84.48%8.11B
260.29%52.26B
-46.01%14.51B
184.05%26.87B
-177.18%-31.97B
-104.19%-1.38B
164.43%11.59B
26.28%41.42B
8.33%32.9B
Cash from discontinued operating activities
Operating cash flow
365.31%5.61B
28.42%-2.11B
-109.60%-2.95B
175.99%30.74B
25.33%-40.45B
-236.88%-54.17B
-162.90%-12.57B
68.69%-6.95B
-43.95%39.58B
-67.60%19.99B
Investing cash flow
Cash flow from continuing investing activities
85.01%-2.58B
-172.80%-17.18B
1,346.43%23.6B
81.59%-1.89B
-234.66%-10.28B
213.77%7.63B
-154.58%-781M
-228.14%-1.52B
-78.35%2.43B
-85.93%1.43B
Net investment purchase and sale
97.29%-439M
-164.74%-16.21B
6,961.92%25.05B
96.63%-365M
-222.86%-10.83B
117.58%8.81B
-121.06%-398M
-170.75%-1.12B
-63.88%4.05B
-79.31%1.89B
Net PPE purchase and sale
-23.49%-389M
27.75%-315M
10.66%-436M
-107.66%-488M
-115.60%-235M
70.70%-109M
-1,436.36%-169M
74.81%-33M
28.32%-372M
96.35%-11M
Net business purchase and sale
-182.23%-361M
8,880.00%439M
-200.00%-5M
-99.72%5M
700.91%1.76B
168.29%220M
1,181.82%119M
--0
-95.95%82M
-100.62%-11M
Net other investing changes
-27.83%-1.39B
-7.43%-1.09B
3.26%-1.01B
-6.75%-1.04B
24.24%-978M
2.79%-1.29B
23.80%-333M
-18.33%-368M
10.21%-1.33B
2.46%-437M
Cash from discontinued investing activities
Investing cash flow
85.00%-2.58B
-172.79%-17.18B
1,347.09%23.6B
81.60%-1.89B
-234.66%-10.28B
213.77%7.63B
-154.58%-781M
-228.14%-1.52B
-78.35%2.43B
-85.93%1.43B
Financing cash flow
Cash flow from continuing financing activities
-564.66%-2.85B
-62.31%614M
622.12%1.63B
88.87%-312M
15.96%-2.8B
-146.71%-3.33B
-113.79%-112M
9.37%-300M
532.87%7.14B
1,692.16%812M
Net issuance payments of debt
-128.38%-573M
375.06%2.02B
407.97%425M
81.94%-138M
30.73%-764M
-256.45%-1.1B
-113.60%-107M
-148.45%-241M
345.64%705M
1,224.29%787M
Net commonstock issuance
-23.31%-857M
-123.47%-695M
-53.20%-311M
-20.83%-203M
18.84%-168M
-102.73%-207M
-87.50%2M
81.45%-41M
2,803.20%7.6B
1,700.00%16M
Net preferred stock issuance
---225M
--0
25.44%-504M
45.26%-676M
54.75%-1.24B
-582.25%-2.73B
150.00%1M
-366.67%-8M
44.37%-400M
-109.52%-2M
Cash dividends paid
-50.25%-610M
---406M
--0
--0
0.00%-227M
42.09%-227M
--0
--0
---392M
--0
Net other financing activities
-150.86%-89M
-92.66%175M
125.88%2.38B
1,452.56%1.06B
-106.26%-78M
436.12%1.25B
-172.73%-8M
37.50%-10M
-2.49%-371M
1,200.00%11M
Cash from discontinued financing activities
Financing cash flow
-564.50%-2.85B
-62.33%614M
624.12%1.63B
88.90%-311M
15.96%-2.8B
-146.71%-3.33B
-113.79%-112M
9.37%-300M
532.87%7.14B
1,692.16%812M
Net cash flow
Beginning cash position
-7.96%165.63B
15.11%179.95B
21.31%156.33B
-28.73%128.87B
-21.05%180.82B
23.36%229.03B
-7.06%193.34B
-13.05%201.33B
76.01%185.65B
83.33%208.03B
Current changes in cash
100.95%178M
-183.84%-18.67B
-21.94%22.27B
153.30%28.53B
-7.34%-53.53B
-201.48%-49.87B
-160.57%-13.47B
58.89%-8.77B
-38.72%49.15B
-69.04%22.23B
Effect of exchange rate changes
-146.76%-2.04B
223.72%4.35B
225.23%1.35B
-168.06%-1.07B
-5.40%1.58B
128.90%1.67B
176.26%941M
136.39%790M
-20,514.29%-5.77B
-436.24%-1.23B
End cash position
-1.12%163.77B
-7.96%165.63B
15.11%179.95B
21.31%156.33B
-28.73%128.87B
-21.05%180.82B
-21.05%180.82B
-7.06%193.34B
23.36%229.03B
23.36%229.03B
Free cash flow
311.59%5.18B
30.04%-2.45B
-111.59%-3.5B
174.12%30.22B
25.37%-40.78B
-239.77%-54.64B
-163.76%-12.7B
68.28%-7.09B
-44.06%39.09B
-67.55%19.93B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion
--
Unqualified Opinion
--
--
Unqualified Opinion with Explanatory Notes
--
--
Unqualified Opinion
--
(FY)Dec 31, 2023(FY)Dec 31, 2022(FY)Dec 31, 2021(FY)Dec 31, 2020(FY)Dec 31, 2019(FY)Dec 31, 2018(Q4)Dec 31, 2018(Q3)Sep 30, 2018(FY)Dec 31, 2017(Q4)Dec 31, 2017
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities 365.31%5.61B28.45%-2.11B-109.61%-2.95B175.98%30.73B25.33%-40.45B-236.88%-54.17B-162.90%-12.57B68.69%-6.95B-43.95%39.58B-67.60%19.99B
Net income from continuing operations 16.17%6.45B114.03%5.55B315.87%2.6B111.85%624M-1,643.99%-5.27B146.39%341M83.13%-409M-64.66%229M45.80%-735M-28.25%-2.42B
Operating gains losses 2,400.00%23M99.79%-1M38.41%-473M-101.57%-768M49.06%-381M-4.47%-748M85.11%-39M32.77%-80M33.77%-716M-36.46%-262M
Deferred tax 118.23%163M-1,541.94%-894M120.95%62M-115.85%-296M576.81%1.87B-77.63%276M-113.48%-120M-15.28%61M495.51%1.23B227.87%890M
Other non cashItems 286.44%220M-145.04%-118M-46.20%262M-24.38%487M78.89%644M-19.46%360M-75.25%101M809.09%78M-7.45%447M750.00%408M
Change in working capital 43.32%-6.36B-23.52%-11.22B-134.01%-9.08B163.54%26.71B26.67%-42.03B-256.34%-57.32B-162.90%-12.96B65.86%-7.95B-45.88%36.66B-66.62%20.6B
-Change in loans 104.84%1.51B39.41%-31.25B-404.92%-51.57B128.28%16.91B-377.80%-59.8B-246.13%-12.52B-336.32%-7.56B-129.20%-25.26B-106.49%-3.62B-92.21%3.2B
-Change in other current assets -201.53%-1.38B-105.70%-459M168.52%8.05B-257.33%-11.74B18.78%7.46B-71.40%6.28B-47.59%22.1B38,093.48%17.57B379.98%21.97B7.62%42.17B
-Change in other current liabilities -93.72%777M169.44%12.38B-353.53%-17.82B142.44%7.03B13.37%-16.56B17.26%-19.12B54.71%-26.12B-309.30%-11.86B-79.29%-23.11B-17.86%-57.67B
-Change in other working capital -189.54%-7.26B-84.48%8.11B260.29%52.26B-46.01%14.51B184.05%26.87B-177.18%-31.97B-104.19%-1.38B164.43%11.59B26.28%41.42B8.33%32.9B
Cash from discontinued operating activities
Operating cash flow 365.31%5.61B28.42%-2.11B-109.60%-2.95B175.99%30.74B25.33%-40.45B-236.88%-54.17B-162.90%-12.57B68.69%-6.95B-43.95%39.58B-67.60%19.99B
Investing cash flow
Cash flow from continuing investing activities 85.01%-2.58B-172.80%-17.18B1,346.43%23.6B81.59%-1.89B-234.66%-10.28B213.77%7.63B-154.58%-781M-228.14%-1.52B-78.35%2.43B-85.93%1.43B
Net investment purchase and sale 97.29%-439M-164.74%-16.21B6,961.92%25.05B96.63%-365M-222.86%-10.83B117.58%8.81B-121.06%-398M-170.75%-1.12B-63.88%4.05B-79.31%1.89B
Net PPE purchase and sale -23.49%-389M27.75%-315M10.66%-436M-107.66%-488M-115.60%-235M70.70%-109M-1,436.36%-169M74.81%-33M28.32%-372M96.35%-11M
Net business purchase and sale -182.23%-361M8,880.00%439M-200.00%-5M-99.72%5M700.91%1.76B168.29%220M1,181.82%119M--0-95.95%82M-100.62%-11M
Net other investing changes -27.83%-1.39B-7.43%-1.09B3.26%-1.01B-6.75%-1.04B24.24%-978M2.79%-1.29B23.80%-333M-18.33%-368M10.21%-1.33B2.46%-437M
Cash from discontinued investing activities
Investing cash flow 85.00%-2.58B-172.79%-17.18B1,347.09%23.6B81.60%-1.89B-234.66%-10.28B213.77%7.63B-154.58%-781M-228.14%-1.52B-78.35%2.43B-85.93%1.43B
Financing cash flow
Cash flow from continuing financing activities -564.66%-2.85B-62.31%614M622.12%1.63B88.87%-312M15.96%-2.8B-146.71%-3.33B-113.79%-112M9.37%-300M532.87%7.14B1,692.16%812M
Net issuance payments of debt -128.38%-573M375.06%2.02B407.97%425M81.94%-138M30.73%-764M-256.45%-1.1B-113.60%-107M-148.45%-241M345.64%705M1,224.29%787M
Net commonstock issuance -23.31%-857M-123.47%-695M-53.20%-311M-20.83%-203M18.84%-168M-102.73%-207M-87.50%2M81.45%-41M2,803.20%7.6B1,700.00%16M
Net preferred stock issuance ---225M--025.44%-504M45.26%-676M54.75%-1.24B-582.25%-2.73B150.00%1M-366.67%-8M44.37%-400M-109.52%-2M
Cash dividends paid -50.25%-610M---406M--0--00.00%-227M42.09%-227M--0--0---392M--0
Net other financing activities -150.86%-89M-92.66%175M125.88%2.38B1,452.56%1.06B-106.26%-78M436.12%1.25B-172.73%-8M37.50%-10M-2.49%-371M1,200.00%11M
Cash from discontinued financing activities
Financing cash flow -564.50%-2.85B-62.33%614M624.12%1.63B88.90%-311M15.96%-2.8B-146.71%-3.33B-113.79%-112M9.37%-300M532.87%7.14B1,692.16%812M
Net cash flow
Beginning cash position -7.96%165.63B15.11%179.95B21.31%156.33B-28.73%128.87B-21.05%180.82B23.36%229.03B-7.06%193.34B-13.05%201.33B76.01%185.65B83.33%208.03B
Current changes in cash 100.95%178M-183.84%-18.67B-21.94%22.27B153.30%28.53B-7.34%-53.53B-201.48%-49.87B-160.57%-13.47B58.89%-8.77B-38.72%49.15B-69.04%22.23B
Effect of exchange rate changes -146.76%-2.04B223.72%4.35B225.23%1.35B-168.06%-1.07B-5.40%1.58B128.90%1.67B176.26%941M136.39%790M-20,514.29%-5.77B-436.24%-1.23B
End cash position -1.12%163.77B-7.96%165.63B15.11%179.95B21.31%156.33B-28.73%128.87B-21.05%180.82B-21.05%180.82B-7.06%193.34B23.36%229.03B23.36%229.03B
Free cash flow 311.59%5.18B30.04%-2.45B-111.59%-3.5B174.12%30.22B25.37%-40.78B-239.77%-54.64B-163.76%-12.7B68.28%-7.09B-44.06%39.09B-67.55%19.93B
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion--Unqualified Opinion----Unqualified Opinion with Explanatory Notes----Unqualified Opinion--

Analysis

Analyst Rating

No Data

Price Target

No Data

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