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Deutsche Bank Ag (DB)

Deutsche Bank Ag (DB)
20.31 x 1 20.67 x 1
Post-market by (Cboe BZX)
20.47 -2.41 (-10.53%) 04/04/25 [NYSE]
20.31 x 1 20.67 x 1
Post-market 20.61 +0.14 (+0.68%) 19:21 ET
Cash Flow for Fri, Apr 4th, 2025
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Fiscal Year End Date: 12/31

(Values in U.S. thousands)
  12-2024 12-2023 12-2022 12-2021 12-2020
Cash Flows From Operating Activities
Net Income 4,848,890 6,983,000 5,851,694 3,070,145 699,088
Depreciation Amortization 2,984,432 3,897,362 3,516,917 3,749,244 2,165,801
Income taxes - deferred 983,629 176,415 -941,918 73,352 -343,832
Accounts payable and accrued liabilities 39,921,910 -2,488,208 20,219,640 40,964,840 -2,466,226
Other Working Capital -41,644,610 -6,881,267 -11,819,280 -10,744,920 30,863,800
Loans 228,323 10,483,160 -12,705,360 -50,526,650 -890,994
Other Operating Activity -38,253,324 -6,103,088 -6,347,950 9,921,478 5,082,094
Operating Cash Flow $-30,930,750 $6,067,374 $-2,226,257 $-3,492,511 $35,109,730
Cash Flows From Investing Activities
Change In Deposits -7,009,844 3,426,562 -17,590,910 -8,398,827 6,966,888
PPE Investments -549,707 -421,015 -331,884 -515,832 -557,442
Net Acquisitions 3,246 -390,710 462,530 -5,916 5,712
Purchase Of Investment -42,579,550 -41,828,730 -45,475,480 -48,901,070 -56,823,710
Sale Of Investment 44,284,940 37,970,330 45,983,320 87,022,920 49,364,500
Other Investing Activity -1,486,806 -1,544,442 -1,143,156 -1,286,036 -1,117,179
Investing Cash Flow $-7,337,720 $-2,788,005 $-18,095,580 $27,915,240 $-2,161,232
Cash Flows From Financing Activities
Debt Issued 21,642 1,549,854 2,861,578 1,355,833 1,923,633
Debt Repayment -165,561 -1,592,063 -94,824 -49,690 -1,334,206
Common Stock Issued N/A N/A N/A 41,409 86,815
Common Stock Repurchased -1,218,445 -927,531 -732,252 -409,353 -318,702
Dividend Paid -1,241,169 -768,433 -528,907 -100,564 -87,957
Other Financing Activity 1,904,497 -1,348,546 -858,684 1,090,818 -624,838
Financing Cash Flow $-699,037 $-3,086,719 $646,910 $1,928,453 $-355,255
Exchange Rate Effect 3,148,911 -2,203,563 4,587,375 1,591,270 -1,226,830
Beginning Cash Position 177,213,400 179,257,000 189,591,100 184,951,700 147,207,100
End Cash Position 141,393,700 177,246,100 174,503,500 212,894,100 178,573,500
Net Cash Flow $-35,819,680 $-2,010,913 $-15,087,550 $27,942,460 $31,366,420
Free Cash Flow
Operating Cash Flow -30,930,750 6,067,374 -2,226,257 -3,492,511 35,109,730
Capital Expenditure -571,349 -456,731 -355,063 -650,705 -584,858
Free Cash Flow -31,502,099 5,610,643 -2,581,320 -4,143,216 34,524,872
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