News Corner

January 10, 2024

Implementation of the results of the vote without meeting relating to USD 1,250,000,000 Undated Non-cumulative Fixed to Reset Rate Additional Tier 1 Notes of 2014 (ISIN XS1071551474)

Implementation of Results Announcement






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November 23, 2023

Deutsche Bank announces acceptance amount of public tender offer for Deutsche Postbank Funding Trust I & III securities

IR Release - Results Announcement






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November 9, 2023

IR Release: Deutsche Bank announces tender offer for Postbank Funding Trust I & III

Launch Announcement




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November 6, 2023

Results of the vote without meeting relating to USD 1,250,000,000 Undated Non-cumulative Fixed to Reset Rate Additional Tier 1 Notes of 2014 (ISIN XS1071551474)

Results Announcement





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October 11, 2023

Consent Solicitation relating to USD 1,250,000,000 Undated Non-cumulative Fixed to Reset Rate Additional Tier 1 Notes of 2014 (ISIN XS1071551474)

Launch Announcement

Consent Solicitation Memorandum

Proxy Form (English / German)

Voting Form (English)




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July 12, 2023 IBOR Transition Update - Fixing PDF
June 13, 2023

IBOR Transition Update

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May 10, 2023

IR Release: Tender offer final results

IR Release: Tender offer indicative results

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April 28, 2023

IR Release: Deutsche Bank announces tender offer for certain of its Euro-denominated notes

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March 27, 2023

ISIN US251525AM33
Redemption on May 24, 2023
USD 1.5bn, coupon 4.296%

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March 24, 2023

Deutsche Bank announces decision to redeem its Fixed to Fixed Reset Rate Subordinated Tier 2 Notes due 2028

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March 8, 2023

Announcement of the implementation results of the holders’ meeting of 19 January 2023 relating to the USD 528,400,000 Floating Rate Notes of 2018/2025

Implementation Announcement





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January 19, 2023 Holders’ Meeting relating to USD 1,250,000,000 Undated Non-cumulative Fixed to Reset Rate Additional Tier 1 Notes of 2014 (ISIN XS1071551474) and USD 528,400,000 Floating Rate Notes of 2018/2025 (ISIN: XS1788992870)

Results Second Meeting AT1 Notes

Results Second Meeting FRN Notes







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December 23, 2022

Announcement Second Meeting AT1 Notes (English / German)

Invitation Second Meeting AT1 Notes (German / English)          

Proxy Form AT1 Notes (English / German)

Announcement Second Meeting FRN Notes (English / German)

Invitation Second Meeting FRN Notes (German / English)           

Proxy Form FRN Notes (English / German)

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December 1, 2022

Consent Solicitation relating to USD 1,250,000,000 Undated Non-cumulative Fixed to Reset Rate Additional Tier 1 Notes of 2014 (ISIN XS1071551474) and USD 528,400,000 Floating Rate Notes of 2018/2025 (ISIN: XS1788992870)

Launch Announcement

Consent Solicitation Memorandum AT1 Notes

Consent Solicitation Memorandum FRN Notes







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September 7, 2022

IR Release: Tender offer final results

IR Release: Tender offer indicative results

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August 30, 2022 IR Release: Deutsche Bank announces Tender Offer for certain of its Euro and Pounds Sterling-denominated Notes

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August 29, 2022 ISIN DE000A0D24Z1
Deutsche Postbank Funding Trust III: Release of the Home Member State

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August 11, 2022 IR Release: Deutsche Bank Announces Pricing of its Previously Announced Tender Offer for Certain of its Outstanding Eligible Liabilities Senior Notes

IR Release: Deutsche Bank Announces Early Tender Results of its Previously Announced Tender Offer for Certain of its Outstanding Eligible Liabilities Senior Notes

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July 28, 2022 IR Release: Deutsche Bank Launches Cash Tender Offer for Certain of its Outstanding Eligible Liabilities Senior Notes PDF
March 28, 2022 Press Release: Deutsche Bank successfully completes issuance of Additional Tier 1 capital instruments PDF
March 28, 2022 Press Release: Deutsche Bank to issue Additional Tier 1 capital instruments PDF
January 28, 2022 ISIN DE000DB7XHP3
Redemption on April 30, 2022
EUR 1.75bn, coupon 6%
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November 16, 2021 Press Release: Deutsche Bank successfully completes issuance of Additional Tier 1 capital instruments PDF
November 15, 2021 Deutsche Bank to issue Additional Tier 1 capital instruments PDF
October 19, 2021 ISIN DE000A0DHUM0
Redemption on December 23, 2021
EUR 500 mn, Trust Preferred Securities, Deutsche Postbank Funding Trust II
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May 05, 2021 Deutsche Bank successfully completes issuance of Additional Tier 1 capital instruments PDF
May 04, 2021 Deutsche Bank to issue Additional Tier 1 capital instruments PDF
April 20, 2021 ISIN DE000A0E5JD4
Redemption on June 27, 2021
EUR 300 mn, Trust Preferred Securities, Deutsche Bank Capital Finance Trust I
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May 20, 2020

Deutsche Bank announces expected acceptance amount for public tender offer

Tender Offer Indicative Results

Tender Offer Final Results

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May 18, 2020

Merger of DB Privat- und Firmenkundenbank AG with Deutsche Bank Aktiengesellschaft

ISIN DE000A0DEN75
Deutsche Postbank Funding Trust I
Notice of merger

ISIN DE000A0DHUMO
Deutsche Postbank Funding Trust II
Notice of merger

ISIN DE000A0D24Z1
Deutsche Postbank Funding Trust III
Notice of merger

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May 14, 2020

Deutsche Bank extends tender offer period

Tender extension announcement

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May 11, 2020

Deutsche Bank launches Tier 2 issuance and announces public tender offer for senior non-preferred debt

Further information on public tender offer

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March 24, 2020 ISIN US25153X2080
Redemption on May 23, 2020
USD 800mn Noncumulative Trust Preferred Securities, Deutsche Bank Contingent Capital Trust II
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March 11, 2020 Deutsche Bank announces decision to redeem Trust Preferred Securities and not to call Additional Tier 1 Notes PDF
February 11, 2020 Deutsche Bank successfully completes issuance of Additional Tier 1 capital PDF
February 10, 2020 Deutsche Bank to issue Additional Tier 1 capital PDF
November 19, 2019 ISIN US25150L1089 (T1)
Redemption on December 30, 2019
USD 1,385mn Noncumulative Trust Preferred Securities, Deutsche Bank Contingent Capital Trust V
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November 19, 2018

Ad-hoc: Deutsche Bank announces public tender offer

Further information on public tender offer

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May 28, 2018 ISIN DEDE000A0DEN75
Deutsche Postbank Funding Trust I
Notice of merger
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May 28, 2018 ISIN DE000A0DHUMO
Deutsche Postbank Funding Trust II
Notice of merger
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May 28, 2018 ISIN DE000A0D24Z1
Deutsche Postbank Funding Trust III
Notice of merger
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May 2, 2018

Deutsche Bank announces obligor exchange offer for eight senior debt instruments

May 16, 2018
Deutsche Bank Announces Preliminary Results of Exchange Offers

May 30, 2018
Final Prospectus

May 31, 2018
Deutsche Bank Announces Final Results of Exchange Offers

July 17, 2018
Deutsche Bank Exchange Offer: Issue Price Disclosure

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April 12, 2018 ISIN DE000A0TU305 (T1)
Redemption on May 15, 2018
EUR 1,000,000,000 8% Noncumulative Trust Preferred Securities, Deutsche Bank Contingent Capital Trust IV
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January 17, 2018 ISIN US25154A1088 (T1)
Redemption on February 20, 2018
USD 1,975mn Noncumulative Trust Preferred Securities, Deutsche Bank Contingent Capital Trust III
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December 29, 2017 ISIN XS0243058996 – WKN 139709 (T2)
Early redemption on February 7, 2018
JPY 21bn Subordinated Fixed Rate Callable Note of 2006/2036, Deutsche Postbank AG
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December 29, 2017 ISIN XS0244360391 – WKN 139710 (T2)
Early redemption on February 22, 2018
JPY 3bn Subordinated Fixed Rate Callable Note of 2006/2036, Deutsche Postbank AG
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November 27, 2017 ISIN XS0095376439 (T1)
Redemption on November 29, 2017
USD 318mn Noncumulative Trust Preferred Securities, Deutsche Bank Capital Trust I
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May 30, 2017 ISIN XS0307741917 - WKN A0NYWV (T1)
Redemption on June 29, 2017
EUR 500mn Noncumulative Trust Preferred Securities, Deutsche Postbank Funding Trust IV
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April 19, 2017

ISIN US251541AN81
Deutsche Bank Launches Exchange Offer and Cash Tender Offer for its Outstanding 4.25% Senior Notes due 2021

May 3, 2017
Deutsche Bank Announces Early Results of its Previously Announced Tender Offer for its Outstanding 4.25% Senior Notes due 2021

May 3, 2017
Deutsche Bank Announces Pricing of Its Previously Announced Tender Offer for its Outstanding 4.25% Senior Notes due 2021

May 17, 2017
Deutsche Bank Announces Expiration and Final Results of Exchange Offer and Cash Tender Offer for its Outstanding 4.25% Senior Notes due 2021

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April 26, 2016 ISIN DE000A0TU305 (T1)
Deutsche Bank Contingent Capital Trust IV: Release of the Home Member State
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April 26, 2016 ISIN DE000A0E5JD4 (T2)
Deutsche Bank Capital Finance Trust I: Release of the Home Member State
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March 29, 2016 ISIN XS0099377060 (T1)
Redemption on June 30, 2016
USD 162mn Floating Rate Noncumulative Trust Preferred Securities,
Deutsche Bank Capital Trust IV
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March 14, 2016 Deutsche Bank announces successful completion of public tender offer PDF
February 29, 2016

Deutsche Bank announces results of public tender offer for US Dollar bonds as of early tender date

Deutsche Bank announces early results of its previously announced tender offers

Deutsche Bank announces pricing of its previously announced tender offers

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February 23, 2016

Deutsche Bank announces successful completion of Euro-bonds public tender

EUR Tender Results Announcement February 2016

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February 12, 2016

Ad-hoc: Deutsche Bank announces a public tender offer to purchase certain series of EUR and USD denominated senior unsecured debt securities.

EUR Tender Offer

USD Tender Offer

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February 8, 2016

Ad-hoc: Deutsche Bank publishes updated information about AT1 payment capacity

Deutsche Bank AT1 coupon preliminary payment capacity

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January 26, 2016 ISIN GB0006031974 (T2)
Early redemption on February 29, 2016
Deutsche Morgan Grenfell Group plc Undated Primary Capital Floating Rate Notes
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November 19, 2015 ISIN US25153RAA05 (144A) - (T1)
ISIN US2492RAA69 (RegS) - (T1)
Redemption on January 19, 2016
USD 800mn Noncumulative Trust Preferred Securities, Deutsche Bank Capital Funding Trust VII
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November 4, 2015 ISIN DE0003933685 - WKN 393368 (T2)
Early redemption on December 20, 2015
EUR 500mn Subordinated Floating Rate Step Up Callable Notes of 2004/2016
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October 14, 2015

ISIN CA251541AA62 - WKN DB2J73 (T2)
Early redemption on November 22, 2015
CAD 300mn Callable Fixed to Floating Rate Subordinated Notes due August 2016

ISIN DE000DB5DDS2 - WKN DB5DDS (T2)
Early redemption on November 2, 2015
EUR 85mn Fixed Rate Step Up Callable Subordinated Notes of 2010/2020

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April 1, 2015 Deutsche Bank issues new T2
ISIN US251525AP63
USD 1,500mn 4.5% Fixed Rate Subordinated Tier 2 Notes of 2015/2025
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March 24, 2015 New section "Available Distributable Items (ADI)" more
March 17, 2015

ISIN US25153U2042 (T1)
Early redemption on April 18, 2015
USD 600mn 6.375% Noncumulative Trust Preferred Securities

ISIN XS0105748387 (144A) - (T1)
ISIN XS0105748114 (RegS) - (T1)
Early Redemption on June 30, 2015
USD 225mn Floating Rate Noncumulative Trust Preferred Securities, Deutsche Bank Capital Trust V

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February 23, 2015 ISIN US251528AA34 (144A) - WKN 308463 (T1)
ISIN USU2492SAA43 (RegS) - WKN 308462 (T1)
Early redemption on March 30, 2015
USD 650mn Noncumulative Trust Preferred Securities, Deutsche Bank Capital Funding Trust I
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February 17, 2015 Deutsche Bank issues new T2
ISIN DE000DB7XJJ2 - WKN DB7XJJ
EUR 1,250mn 2.75% Fixed Rate Subordinated Tier 2 Notes of 2015/2025
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February 3, 2015 ISIN DE000A1ALVC5 - WKN A1ALVC (T1)
Early redemption on March 31, 2015
EUR 1,300mn 9.50% Noncumulative Trust Preferred Securities
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January 27, 2015 ISIN DE000A0AA0X5 - WKN A0AA0X (T1)
Early redemption on March 2, 2015
EUR 300mn 6.15% Noncumulative Trust Preferred Securities
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January 20, 2015 ISIN US25153Y2063 - WKN DB5S5K (T1)
Early redemption on February 20, 2015
USD 1,150mn 6.625% Noncumulative Trust Preferred Securities
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December 19, 2014 ISIN DE000A0DTY34 - WKN A0DTY3 (T1)
Early redemption on January 28, 2015
EUR 900,000,000 Trust Preferred Securities
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November 19, 2014 Deutsche Bank successfully completes issuance of Additional Tier 1 capital more
July 30, 2014

ISIN XS0229840474 - WKN DB2D9K (T2)
Early redemption on September 22, 2014
EUR 636,000,000 Callable Subordinated Floating Rate Bonds of 2005/2015

ISIN XS0189609745 - WKN 393358 (T2)
Early redemption on September 15, 2014
GBP 154,000,000 Subordinated Callable Fixed to Floating Rate Bonds of 2004/2015

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May 20, 2014

Publication of prospectuses for
- EUR 1.75 bn, coupon 6%, ISIN DE000DB7XHP3 (AT1)
- USD 1.25 bn, coupon 6.25%, ISIN XS1071551474 (AT1)
- GBP 650 mn, coupon 7.125%, ISIN XS1071551391 (AT1)

Deutsche Bank AG placed undated Additional Tier 1 Notes with an equivalent value of EUR 3.5 billion:
- EUR 1.75 bn, coupon 6%, ISIN DE000DB7XHP3,
- USD 1.25 bn, coupon 6.25%, ISIN XS1071551474,
- GBP 650 mn, coupon 7.125%, ISIN XS1071551391

more







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May 5, 2014 ISIN DE0003933941 - WKN 393394 (T2)
Early redemption on June 9, 2014
EUR 465,000,000 Callable Subordinated Fixed to Floating Rate Bonds of 2005/2017
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April 28, 2014 Deutsche Bank undertakes issuance of Additional Tier 1 capital PDF
March 18, 2014 ISIN XS0097723166 - WKN 308334 (T1)
Early redemption on June 30, 2014
USD 118,000,000 Floating Rate Trust Preferred Securities
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February 27, 2014

ISIN DE000DB7URU8 - WKN DB7URU (T2)
Early redemption on March 13, 2014
EUR 150,000,000 6.00% Subordinated Fixed Rate Callable Notes of 2009/2019

ISIN DE000DB7UPZ1 - WKN DB7UPZ (T2)
Early redemption on April 17, 2014
EUR 88,000,000 5.875% Subordinated Fixed Rate Callable Notes of 2009/2019

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February 24, 2014 New section "Capital Instruments / Prospectuses" with information and prospectuses for our AT1, T1 and T2 instruments more
February 17, 2014 ISIN NZDBKDT001C5 + ISIN NZDBKDT002C3 (T2)
Early redemption on March 17, 2014
NZD 200,000,000 Subordinated Medium Term Note Issue due June 2014
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February 11, 2014

ISIN US25154D1028 - WKN A0M7PZ (T1)
Early redemption on March 17, 2014
USD 805,000,000 7.35% Trust Preferred Securities

ISIN XS0176823424 - WKN 906930 (T1)
Early redemption on March 19, 2014
EUR 1,000,000,000 5.33% Trust Preferred Securities

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January 7, 2014

ISIN XS0198456054 - WKN 393365 (T2)
Early redemption on February 18, 2014
USD 335,400,000 Subordinated Floating Rate Step up Callable Notes of 2004/2015

ISIN DE0003933750 - WKN 393375 (T2)
Early redemption on February 18, 2014
EUR 33,000,000 Subordinated Floating Rate Step up Callable Notes of 2004/2014

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December 27, 2013

ISIN AU0000DBAHC4 - WKN A0S8UJ (T2)
Early redemption on January 23, 2014
AUD 129,900,000 Subordinated 6.50% Rate Medium Term Notes 2004/2014

ISIN AU0000DBAHD2 - WKN A0GKBQ (T2)
Early redemption on January 23, 2014
AUD 115,280,000 Subordinated Floating Rate Medium Term Notes 2004/2014

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December 5, 2013 ISIN DE0003933701 - WKN 393370 (T2)
Early redemption on January 27, 2014
EUR 43,000,000 Subordinated Floating Rate Step up Callable Notes of 2004/2014
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October 30, 2013 ISIN XS0198327712 - WKN 393362 (T2)
Early redemption on January 6, 2014
JPY 3 billion Subordinated Callable Fixed to Floating Rate Notes of 2004/2014
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October 23, 2013 New section "Mortgage Pfandbriefe" with information on Final Terms, transparency provisions according to §28 PfandBG and supporting documents more
September 13, 2013 ISIN DE0003933511 - WKN 393351 (T2)
Early redemption on October 16, 2013
EUR 834,300,000 Fixed/Floating Rate Subordinated Callable Notes of 2004/2014
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May 22, 2013 ISIN US251525AM33 - WKN DB5DCY
Deutsche Bank successfully issues USD 1.5 billion of Tier 2 capital
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