v3.26.1
Fair value of financial instruments not carried at fair value (Tables)
6 Months Ended
Jun. 30, 2026
Fair Value of Financial Instruments not carried at Fair Value [Abstract]  
Estimated fair value of the financial instruments not carried at fair value Estimated fair value of financial instruments not carried at fair value on the balance sheet
Jun 30, 2026
Dec 31, 2025
in € m.
Carrying value
Fair value
Carrying value
Fair value
Financial assets:
Cash and central bank balances
131,899
131,899
164,659
164,659
Interbank balances (w/o central banks)
8,546
8,546
6,962
6,962
Central bank funds sold and securities purchased under resale
agreements
44,138
44,154
37,509
37,535
Securities borrowed
6
6
6
6
Loans
489,960
475,840
478,214
466,128
Other financial assets
177,564
176,823
158,129
157,433
Financial liabilities:
Deposits
700,894
700,664
694,580
694,445
Central bank funds purchased and securities sold under repurchase
agreements
3,691
3,691
4,177
4,173
Securities loaned
2
2
2
2
Other short-term borrowings
24,850
24,853
18,204
18,211
Other financial liabilities
131,562
131,562
123,451
123,451
Long-term debt
111,352
112,133
114,754
115,463
Trust preferred securities
283
292
283
297