All Metrics
Sector note: Free-cash-flow and enterprise-value multiples (P/FCF, FCF yield, EV/EBITDA, EV/EBIT) are omitted — they aren't meaningful for banks and insurers, whose deposits and reserves a standard model misreads as debt. Book value (P/B), ROE and net interest margin are the right lenses here.
GF Valuation Metrics
GF Stock Price Metrics
GF Dividend Metrics
GF Growth Rate Metrics
GF Discounted Cash Flow Metrics
| Fair Value Price | - |
| Margin of Safety | - |
GF Revenue Metrics
GF PE Ratio Metrics
| PE Ratio | 5.32 |
| PE Ratio Avg TTM | 4.63 |
| PE Ratio Avg 3Y | 9.46 |
| Current VS TTM Avg | +14.81% |
| Current VS 3Y Avg | -43.76% |
| Current VS 5Y Avg | -25.37% |
GF PS Ratio Metrics
| PS Ratio | 15.30 |
| PS Ratio Avg TTM | 41.54 |
| PS Ratio Avg 3Y | 38.76 |
| Current VS TTM Avg | -63.17% |
| Current VS 3Y Avg | -60.52% |
| Current VS 5Y Avg | -64.70% |
GF PB Ratio Metrics
| PB Ratio | 0.92 |
| PB Ratio Avg TTM | 0.88 |
| PB Ratio Avg 3Y | 1.15 |
| Current VS TTM Avg | +4.09% |
| Current VS 3Y Avg | -19.94% |
| Current VS 5Y Avg | -32.57% |
GF Debt to Equity Ratio Metrics
| Debt/Equity Ratio | 0.13 |
| Debt/Equity Ratio Avg TTM | 0.10 |
| Debt/Equity Ratio Avg 3Y | 0.04 |
| Current VS TTM Avg | +38.51% |
| Current VS 3Y Avg | +223.19% |
| Current VS 5Y Avg | +406.49% |
GF PEG Ratio Metrics
| PEG Ratio | 0.02 |
| PEG Ratio Avg TTM | - |
| PEG Ratio Avg 3Y | 0.01 |
| Current VS TTM Avg | - |
| Current VS 3Y Avg | +100.00% |
| Current VS 5Y Avg | -57.14% |
GF Earnings Yield
| Earnings Yield | 18.80% |
| Earnings Yield Avg TTM | 22.06% |
| Earnings Yield Avg 3Y | 12.75% |
| Current VS TTM Avg | -14.79% |
| Current VS 3Y Avg | +47.49% |
| Current VS 5Y Avg | -22.08% |
GF Current Ratio Metrics
| Current Ratio | 1.05 |
| Current Ratio Avg TTM | 1.13 |
| Current Ratio Avg 3Y | 0.63 |
| Current VS TTM Avg | -7.00% |
| Current VS 3Y Avg | +65.51% |
| Current VS 5Y Avg | +125.48% |
GF Quick Ratio Metrics
| Quick Ratio | 1.05 |
| Quick Ratio Avg TTM | 1.13 |
| Quick Ratio Avg 3Y | 0.30 |
| Current VS TTM Avg | -7.00% |
| Current VS 3Y Avg | +251.86% |
| Current VS 5Y Avg | +327.51% |
GF ROIC Metrics
| ROIC | 26.89% |
| ROIC Avg 3Y | (9.44%) |
| ROIC Avg 5Y | (5.72%) |
| Current VS 3Y Avg | -384.78% |
| Current VS 5Y Avg | -570.10% |
| Current VS 10Y Avg | -5992.23% |
GF Return on Assets Metrics
| ROA | 23.62% |
| ROA Avg TTM | 5.54% |
| ROA Avg 3Y | (10.35%) |
| Current VS TTM Avg | +326.35% |
| Current VS 3Y Avg | -328.10% |
| Current VS 5Y Avg | -1156.82% |
GF Return on Equity Metrics
| ROE | 27.02% |
| ROE Avg TTM | 6.88% |
| ROE Avg 3Y | (9.68%) |
| Current VS TTM Avg | +292.73% |
| Current VS 3Y Avg | -379.13% |
| Current VS 5Y Avg | -2685.65% |
GF Net Profit Margin Metrics
| Net Profit Margin | (98.20%) |
| Net Profit Margin Avg TTM | 684.91% |
| Net Profit Margin Avg 3Y | 428.26% |
| Current VS TTM Avg | -114.34% |
| Current VS 3Y Avg | -122.93% |
| Current VS 5Y Avg | -115.78% |
Last Updated: Friday, June 26, 2026
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.
- Sector
- Financial Services
- Industry
- Asset Management
- CEO
- Linda Lonneberg