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Zwischenbericht zum 30. Juni 2024 geschuetzt
18.207 20.402 Nachrangige Verbindlichkeiten 591 603 Negative Fair Values der Sicherungsderivate 616 789
Q124 pbb AP FINAL 2405
Operating Income 591 149 123 128 131 531 119 140 156 188 603 146 Net income from risk provisioning -81 -18 -1
Q124 pbb AP FINAL 0524
Operating Income 591 149 123 128 131 531 119 140 156 188 603 146 Net income from risk provisioning -81 -18 -1
Q124 pbb AP FINAL1 -14052024
Operating Income 591 149 123 128 131 531 119 140 156 188 603 146 Net income from risk provisioning -81 -18 -1
Q124 pbb AP FINAL -14052024
Operating Income 591 149 123 128 131 531 119 140 156 188 603 146 Net income from risk provisioning -81 -18 -1
FY2023 PM en final
15 15 32 Operating Income 131 531 119 140 156 188 603 Net income from risk pro- visioning -6 -44 -2 -19
FY2023 PM de final
15 32 Operative Erträge 131 531 119 140 156 188 603 Risikovorsorgeergebnis -6 -44 -2 -19 -83 -108 -212
2312 Alternative Performance Measures secured
of non-financial assets 276 242 Operating income 603 531 Cost-income ratio (in %) 45.8 45.6 AVERAGE FINANCING
2312 Alternative Leistungskennzahlen geschuetzt
finanzielle Vermögenswerte 276 242 Operative Erträge 603 531 Cost-Income-Ratio (in %) 45,8 45,6 DURCHSCHNITTLICHES
Final Terms DE000A2LQNK9
Programme of Deutsche Pfandbriefbank AG Issue Price: 99.603 % Issue Date: 20 November 2018 These Final Terms