Deutsche Bank Invested Capital Average Trend

DB -- USA Stock  

USD 11.01  0.12  1.10%

This module enables investors to look at Deutsche Bank various fundamental indicators over time in order to gain insight into the company future performance. Macroaxis historical fundamental analysis tools allow evaluation of not only typical financial statement drivers such as Cost of Revenue of 301.2 M, Gross Profit of 25.9 B or Net Income to Non Controlling Interests of 24.7 M, but also many exotic indicators such as Asset Turnover of 0.0235, Book Value per Share of 53.1294 or Debt to Equity Ratio of 24.913. This module is a perfect complement to use when analyzing Deutsche Bank Valuation or Volatility. It can also complement various Deutsche Bank Technical models. Additionally see analysis of Deutsche Bank Correlation with competitors.
Showing smoothed Invested Capital Average of Deutsche Bank Aktiengesellschaft with missing and latest data points interpolated. Average invested capital value for the period used in the calculation of Return on Invested Capital, and derived from [INVCAP]. Invested capital is an input into the calculation of Return on Invested Capital, and is calculated as: Total Debt plus Total Assets minus Goodwill and Intangible Assets minus Cash and Equivalents minus [LIABILITIESC]. Please note this calculation method is subject to change.
Invested Capital Average10 Years Trend
Increasing
Stable
 Invested Capital Average 
      Timeline 

Regression Statistics

Arithmetic Mean  1,866,329,434,389
Geometric Mean  1,822,427,310,558
Coefficient Of Variation  19.15
Mean Deviation  233,744,554,821
Median  1,895,657,500,000
Standard Deviation  357,423,990,874
Range  1,462,798,500,000
R Value  0.14
R Squared  0.020735
Significance  0.64
Slope  13,215,741,112

Deutsche Bank Invested Capital Average Over Time

2016-12-31  1,746,637,500,000 
2017-12-31  1,746,637,500,000 
2018-12-31  2,054,867,647,059 

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Additionally see analysis of Deutsche Bank Correlation with competitors. Please also try Correlation Analysis module to reduce portfolio risk simply by holding instruments which are not perfectly correlated.