Exhibit 99.1

2021年第4四半期コミュニケーションの鍵更新

31 December 2021


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鍵 2021年第4四半期コミュニケーションの更新

Costs:

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Revenues:

3

Ratings:

クレジット損失準備金:

CET1 ratio:

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発行ポイント:

監視会更新:

次の重大なイベント:

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免責宣言

本稿では前向き陳述を含む.前向きな陳述は歴史的事実の陳述ではないか;それらは私たちの信念と期待と、それらの背後にある仮説に関する陳述を含む。これらの声明は現在ドイツ銀行経営陣が使用できるので、計画、推定、そして予測に基づいている。したがって、前向き陳述は発表の日からのみ発表され、新しい情報や未来のイベントに基づいてその中の任意の陳述を公開更新する義務はありません。

By their very nature, forward-looking statements involve risks and uncertainties. A number of important factors could therefore cause actual results to differ materially from those contained in any forward-looking statement. Such factors include the conditions in the financial markets in Germany, in Europe, in the United States and elsewhere from which we derive a substantial portion of our revenues and in which we hold a substantial portion of our assets, the development of asset prices and market volatility, potential defaults of borrowers or trading counterparties, the implementation of our strategic initiatives, the reliability of our risk management policies, procedures and methods, and other risks referenced in our filings with the US Securities and Exchange Commission (SEC). Such factors are described in detail in our US SEC Annual Report on Form 20-F dated 12 March 2021 under the heading “Risk Factors”. Copies of this document are available upon request or can be downloaded from www.db.com/ir.

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