Introductory Overview

Deutsche Bank AG, a global financial services group listed on Xetra, continues to navigate a complex environment. Its core businesses span investment banking, private banking, asset management, and corporate finance. Recent market data shows a close price of €30.84 as of 16 July 2026, with a 52‑week high of €34.26 and a low of €23.82. The bank’s price‑earnings ratio sits at 10.26, reflecting moderate valuation relative to peers.

Analyst Ratings and Target Prices

A broad spectrum of analysts maintains or adjusts their outlooks for Deutsche Bank:

  • JPMorgan upgraded its target to €41 and kept an overweight rating, citing confidence in the bank’s private‑client segment.
  • Goldman Sachs and RBC hold a neutral stance with a target of €35, noting higher costs and geopolitical uncertainty.
  • Deutsche Bank Research keeps a buy rating at €45, arguing that cost‑control measures and supplier settlements offset new expenses.
  • Clarify: The consensus among major banks suggests a stable outlook, with a few optimistic upgrades and a few conservative downgrades.

The spread between the highest target (€45) and the lowest (€35) indicates a moderate range of expectations.

Market Performance Highlights

  • Close Price (2026‑07‑16): €30.84
  • 52‑Week High: €34.26
  • 52‑Week Low: €23.82
  • Market Capitalisation: €57.9 bn These figures provide a snapshot of the bank’s valuation and recent volatility.

Key Catalysts and Risks

  • Operational Efficiency: Management’s focus on cost‑control and risk management remains a positive driver.
  • Regulatory Environment: Ongoing regulatory scrutiny and capital‑requirement changes pose potential headwinds.
  • Geopolitical Factors: Market sentiment can be affected by global tensions, impacting investment banking activity.
  • Credit Market Conditions: Fluctuations in interest rates influence borrowing costs and loan demand.

DEUTSCHE BANK AG Market and Financial Data

CategoryValue
SymbolDBK.DE
ISINDE0005140008
Last Close (07/16/2026)€30.84
Market Cap$66,270,024,000.00
P/E Ratio10.26
Price/Sales Ratio1.97
Price/Book Ratio0.75
52W High / Low34.26 / 23.82 EUR
Daily Change1,918.13%
Weekly Change1,907.39%
Monthly Change1,912.26%
Yearly Change2,281.06%
Shares Outstanding1,877,736,369
Dividend€3.14
ExchangeXetra (Europe/Berlin)

Outlook for Investors

The consensus suggests a neutral to slightly positive view for Deutsche Bank, with analysts expecting stable earnings and moderate growth in key business lines. While the bank’s valuation sits within a typical range for European banks, the market remains sensitive to macro‑economic and regulatory developments.

Conclusion

What should you do now?

  • Stay informed on upcoming earnings releases and regulatory updates that could shift analyst sentiment.
  • Monitor macro‑economic indicators that influence banking profitability, such as interest‑rate changes and credit demand.
  • Consider the bank’s current valuation relative to its peers and the broader market when evaluating long‑term positioning.

By focusing on these factors, you can assess whether Deutsche Bank’s trajectory aligns with your investment horizon and risk tolerance.