The New Germany Fund, Inc. logo
GFThe New Germany Fund, Inc.

Earnings Yield: 18.80%

Is the earnings yield high or low?

The earnings yield of 18.80% is 22% below its 5-year average of 24.13%, near the low end of its 5-year range (1.25%–80.00%).

As of Friday, June 26, 2026. 14.79% below its 12-month average of 22.06%.

GF Earnings Yield

GF Earnings Yield Chart

18.80%
+1346.15% 1Y
GF Earnings Yield

GF Average Earnings Yield Chart

GF Earnings Yield

GF Current vs Average Earnings Yield Chart

GF Earnings Yield Metrics

EARNINGS YIELD

18.80%

EARNINGS YIELD AVG TTM

22.06%

EARNINGS YIELD AVG 3Y

12.75%

EARNINGS YIELD AVG 5Y

24.13%

EARNINGS YIELD AVG 10Y

25.21%

EARNINGS YIELD AVG 15Y

N/A

EARNINGS YIELD AVG 20Y

N/A

CURRENT VS TTM AVG

-14.79%

CURRENT VS 3Y AVG

+47.49%

CURRENT VS 5Y AVG

-22.08%

CURRENT VS 10Y AVG

-25.42%

CURRENT VS 15Y AVG

N/A

CURRENT VS 20Y AVG

N/A

GF Competitors' Earnings Yield

NAMEMARKET CAPEARNINGS YIELDTTM3Y5Y
The New Germany Fund, Inc. (GF)$189.09M18.80%22.06%12.75%24.13%
Franklin Universal Trust (FT)vs ›$202.06M33.33%28.06%22.28%17.16%
DeFi Technologies Inc. (DEFT)vs ›$157.89M20.37%13.38%9.67%9.67%
Blackrock 2037 Municipal Target Term Trust (BMN)vs ›$157.87MN/AN/AN/AN/A
Global X - MSCI Colombia ETF (COLO)vs ›$120.19MN/AN/AN/AN/A
Isabella Bank Corporation (ISBA)vs ›$292.13M6.80%5.86%9.16%9.39%
BlackRock Floating Rate Income Trust (BGT)vs ›$316.59M10.29%9.46%14.70%16.09%
CYBER HORNET S&P 500 and Bitcoin 75/25 Strategy ETF (ZZZ)vs ›$5.89MN/AN/AN/AN/A
Lufax Holding Ltd (LU)vs ›$515.70MN/A43.14%49.58%44.32%
WisdomTree Artificial Intelligence and Innovation Fund (WTAI)vs ›$659.68MN/AN/AN/AN/A

Earnings Yield vs P/E Ratio

Earnings Yield

18.80%

EPS ÷ Price

P/E Ratio

5.3

Price ÷ EPS

Formula: Earnings Yield = (EPS / Price) × 100

Earnings Yield is simply the inverse of P/E. A P/E of 20 equals a 5% earnings yield.

How earnings yield is used:

  • It expresses earnings relative to share price as a percentage
  • It can be compared with FCF yield and dividend yield
  • It can be compared with bond yields because both are percentages
  • It is mathematically the inverse of the P/E ratio

Earnings Yield Formula & Definition

Earnings Yield = EPS (TTM) / Share Price

Earnings yield is the inverse of the PE ratio, expressing trailing earnings as a percentage of price. Higher is cheaper.

Expanded definitions: Investopedia, Wikipedia, Corporate Finance Institute

Earnings Yield FAQ

What is the earnings yield for The New Germany Fund, Inc. (GF)?
The earnings yield for GF stock is 18.80%.
Is The New Germany Fund, Inc.'s earnings yield high or low?
The earnings yield of 18.80% is 22% below its 5-year average of 24.13%, near the low end of its 5-year range (1.25%–80.00%).
What is the TTM average earnings yield for The New Germany Fund, Inc. (GF)?
The TTM average earnings yield for GF stock is 22.06%.
What is the 3Y average earnings yield for The New Germany Fund, Inc. (GF)?
The 3Y average earnings yield for GF stock is 12.75%.
What is the 5Y average earnings yield for The New Germany Fund, Inc. (GF)?
The 5Y average earnings yield for GF stock is 24.13%.
What is the 10Y average earnings yield for The New Germany Fund, Inc. (GF)?
The 10Y average earnings yield for GF stock is 25.21%.

GF Earnings Yield History

DATEEARNINGS YIELD
2026-06-2518.80%
2026-06-2419.05%
2026-06-2318.73%
2026-06-2218.55%
2026-06-1818.35%
2026-06-1718.55%
2026-06-1618.52%
2026-06-1518.80%
2026-06-1218.90%
2026-06-1119.05%
2026-06-1019.05%
2026-06-0918.76%
2026-06-0818.59%
2026-06-0518.45%
2026-06-0418.12%
2026-06-0318.18%
2026-06-0218.15%
2026-06-0118.02%
2026-05-2917.92%
2026-05-2818.05%
2026-05-2718.32%
2026-05-2618.45%
2026-05-2218.59%
2026-05-2118.48%
2026-05-2018.62%
2026-05-1918.69%
2026-05-1818.48%
2026-05-1518.52%
2026-05-1418.28%
2026-05-1318.52%
2026-05-1218.69%
2026-05-1118.28%
2026-05-0818.08%
2026-05-0718.18%
2026-05-0618.18%
2026-05-0518.62%
2026-05-0419.12%
2026-05-0118.87%
2026-04-3018.69%
2026-04-2919.23%
2026-04-2819.46%
2026-04-2718.94%
2026-04-2418.80%
2026-04-2318.80%
2026-04-2218.48%
2026-04-2118.45%
2026-04-2018.18%
2026-04-1718.21%
2026-04-1618.73%
2026-04-1518.80%
2026-04-1419.05%
2026-04-1319.31%
2026-04-1019.34%
2026-04-0919.61%
2026-04-0819.72%
2026-04-0720.83%
2026-04-0620.58%
2026-04-0220.88%
2026-04-0120.92%
2026-03-3121.41%
2026-03-3021.83%
2026-03-2721.55%
2026-03-2621.46%
2026-03-2520.88%
2026-03-2421.37%
2026-03-2321.01%
2026-03-2021.41%
2026-03-1920.83%
2026-03-1820.20%
2026-03-1720.20%
2026-03-1620.08%
2026-03-1320.12%
2026-03-1220.16%
2026-03-1119.65%
2026-03-1019.80%
2026-03-0920.33%
2026-03-0619.80%
2026-03-0519.19%
2026-03-0419.01%
2026-03-0319.05%
2026-03-0218.38%
2026-02-2718.21%
2026-02-2618.12%
2026-02-2518.05%
2026-02-2418.05%
2026-02-2318.02%
2026-02-2017.92%
2026-02-1918.02%
2026-02-1817.92%
2026-02-1718.28%
2026-02-1318.42%
2026-02-1218.25%
2026-02-1118.08%
2026-02-1017.99%
2026-02-0917.92%
2026-02-0617.99%
2026-02-0518.42%
2026-02-0418.42%
2026-02-0317.99%
2026-02-0218.02%
2026-01-3018.35%
2026-01-2918.28%
2026-01-2818.21%
2026-01-2718.02%
2026-01-2618.18%
2026-01-2318.32%
2026-01-2218.48%
2026-01-2118.59%
2026-01-2018.62%
2026-01-1618.42%
2026-01-1518.35%
2026-01-1418.38%
2026-01-1317.99%
2026-01-1218.08%
2026-01-0918.28%
2026-01-0818.25%
2026-01-0718.28%
2026-01-0618.42%
2026-01-0518.62%
2026-01-0219.08%
2025-12-3119.19%
2025-12-3019.34%
2025-12-2925.06%
2025-12-2625.19%
2025-12-2425.13%
2025-12-2325.13%
2025-12-2225.45%
2025-12-1925.19%
2025-12-1825.32%
2025-12-1725.51%
2025-12-1625.32%
2025-12-1525.58%
2025-12-1225.51%
2025-12-1125.58%
2025-12-1025.84%
2025-12-0925.77%
2025-12-0825.84%
2025-12-0525.64%
2025-12-0426.25%
2025-12-0326.53%
2025-12-0226.32%
2025-12-0126.46%
2025-11-2826.46%
2025-11-2626.67%
2025-11-2526.81%
2025-11-2427.10%
2025-11-2127.10%
2025-11-2027.40%
2025-11-1927.62%
2025-11-1827.10%
2025-11-1727.03%
2025-11-1427.10%
2025-11-1326.81%
2025-11-1226.46%
2025-11-1126.74%
2025-11-1026.95%
2025-11-0727.25%
2025-11-0627.17%
2025-11-0526.46%
2025-11-0426.53%
2025-11-0325.77%
2025-10-3125.45%
2025-10-3025.51%
2025-10-2925.84%
2025-10-2825.38%
2025-10-2725.51%
2025-10-2425.51%
2025-10-2325.58%
2025-10-2225.84%
2025-10-2125.58%
2025-10-2025.84%
2025-10-1725.84%
2025-10-1625.32%
2025-10-1525.45%
2025-10-1425.06%
2025-10-1325.19%
2025-10-1025.13%
2025-10-0924.51%
2025-10-0824.33%
2025-10-0724.51%
2025-10-0624.39%
2025-10-0324.39%
2025-10-0224.39%
2025-10-0124.33%
2025-09-3024.81%
2025-09-2925.13%
2025-09-2625.25%
2025-09-2525.25%
2025-09-2424.69%
2025-09-2324.69%
2025-09-2224.81%
2025-09-1924.75%
2025-09-1824.51%
2025-09-1724.88%
2025-09-1624.63%
2025-09-1524.75%
2025-09-1224.94%
2025-09-1124.88%
2025-09-1025.06%
2025-09-0924.94%
2025-09-0824.81%
2025-09-0525.25%
2025-09-0425.32%
2025-09-0325.25%
2025-09-0225.00%
2025-08-2924.57%
2025-08-2824.51%
2025-08-2724.57%
2025-08-2624.33%
2025-08-2524.57%
2025-08-2224.63%
2025-08-2124.81%
2025-08-2024.57%
2025-08-1924.33%
2025-08-1824.39%
2025-08-1524.15%
2025-08-1424.21%
2025-08-1324.15%
2025-08-1224.15%
2025-08-1124.04%
2025-08-0823.98%
2025-08-0724.10%
2025-08-0624.39%
2025-08-0524.81%
2025-08-0424.88%
2025-08-0125.06%
2025-07-3124.39%
2025-07-3024.27%
2025-07-2924.04%
2025-07-2823.92%
2025-07-2523.58%
2025-07-2423.64%
2025-07-2323.58%
2025-07-2223.92%
2025-07-2123.92%
2025-07-1823.92%
2025-07-1724.15%
2025-07-1623.87%
2025-07-1523.64%
2025-07-1423.64%
2025-07-1123.42%
2025-07-1023.20%
2025-07-0923.58%
2025-07-0823.81%
2025-07-0723.87%
2025-07-0323.92%
2025-07-0224.21%
2025-07-0123.98%
2025-06-3024.04%
2025-06-271.27%
2025-06-261.29%
2025-06-251.30%
2025-06-241.30%
2025-06-231.32%
2025-06-201.32%
2025-06-181.29%
2025-06-171.29%
2025-06-161.28%
2025-06-131.29%
2025-06-121.27%

Showing the most recent 260 of 2,514 data points. The chart above shows the full history.

About The New Germany Fund, Inc.

The New Germany Fund Inc. functions as a closed-ended equity investment vehicle, originally established by Deutsche Investment Management Americas Inc. and currently overseen by Deutsche Asset Management International GmbH. Its primary objective is to allocate capital within the public stock markets of Germany, seeking out opportunities in shares of companies operating across a diverse range of industries. The fund predominantly focuses its investments on small and mid-capitalization (SMC) firms. To assess its portfolio's returns, the fund utilizes the Midcap Market Performance Index as its benchmark. This fund was founded on January 16, 1990, and is legally registered in Germany.

Frankfurt Am Main
0
Financial Services / Asset Management
Sector
Financial Services
Industry
Asset Management
CEO
Linda Lonneberg