Deutsche Post AG (DPW.DE)
Company Info
ISIN | DE0005552004 |
---|---|
Sector | Industrials |
Industry | Integrated Freight & Logistics |
DPW.DEShare Price Chart
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DPW.DEPerformance
The chart shows the growth of €10,000 invested in Deutsche Post AG in Jan 2010 and compares it to the S&P 500 index or another benchmark. It would be worth nearly €47,656 for a total return of roughly 376.56%. All prices are adjusted for splits and dividends.
DPW.DEReturns in periods
Period | Return | Benchmark |
---|---|---|
1M | 18.14% | 8.19% |
6M | -18.16% | -7.40% |
YTD | -22.57% | -13.01% |
1Y | -24.26% | -5.58% |
5Y | 7.74% | 10.15% |
10Y | 14.07% | 10.72% |
DPW.DEMonthly Returns Heatmap
Jan | Feb | Mar | Apr | May | Jun | Jul | Aug | Sep | Oct | Nov | Dec | |
---|---|---|---|---|---|---|---|---|---|---|---|---|
2022 | -6.28% | -14.78% | -3.56% | -6.04% | -1.35% | -7.18% | 8.84% | 7.34% | ||||
2021 | 0.77% | 0.61% | 13.78% | 4.78% | 17.05% | 2.80% | -0.44% | 4.32% | -8.56% | -1.76% | -2.52% | 8.38% |
2020 | -7.16% | -14.11% | -8.65% | 9.59% | 3.06% | 16.33% | 5.25% | 14.61% | 2.05% | -2.21% | 6.47% | -0.00% |
2019 | 7.74% | 6.06% | 6.15% | 6.55% | -11.09% | 9.55% | 2.11% | 1.32% | 2.49% | 3.61% | 6.58% | 0.50% |
2018 | -4.23% | -1.13% | -5.63% | 4.82% | -10.06% | -13.86% | 7.94% | 4.04% | -2.23% | -8.99% | 0.61% | -14.97% |
2017 | -0.90% | 4.59% | -0.83% | 2.79% | 1.85% | 0.94% | -0.06% | 6.23% | 8.09% | 4.39% | 1.45% | -0.35% |
2016 | -13.97% | -1.77% | 11.33% | 5.00% | 5.56% | -3.97% | 6.02% | 6.41% | -2.04% | 1.47% | 4.46% | 5.92% |
2015 | 6.38% | 5.77% | -4.39% | 1.58% | -4.36% | -4.52% | 5.02% | -10.77% | 0.90% | 9.26% | 2.20% | -6.18% |
2014 | -3.13% | 6.00% | -0.88% | 0.61% | 3.23% | -2.94% | -9.07% | 3.62% | 2.03% | -1.32% | 6.63% | 1.24% |
2013 | 4.19% | -0.64% | 4.60% | 0.25% | 12.47% | -2.38% | 10.34% | 3.75% | 12.21% | 1.61% | 4.43% | 1.81% |
2012 | 6.90% | 3.82% | 9.48% | -2.32% | -0.73% | 4.65% | 5.02% | 5.50% | -1.59% | 0.62% | 4.35% | 4.01% |
2011 | 5.43% | -0.75% | -4.29% | 5.03% | 2.89% | 1.26% | -7.02% | -13.51% | -9.67% | 14.39% | 1.86% | 5.93% |
2010 | -9.58% | -5.50% | 7.54% | -1.41% | -0.94% | -0.91% | 10.95% | -3.15% | 3.10% | 0.71% | -7.87% | 2.88% |
DPW.DEDividend History
Deutsche Post AG granted a 4.31% dividend yield in the last twelve months. The annual payout for that period amounted to €1.80 per share.
Period | TTM | 2021 | 2020 | 2019 | 2018 | 2017 | 2016 | 2015 | 2014 | 2013 | 2012 | 2011 | 2010 |
---|---|---|---|---|---|---|---|---|---|---|---|---|---|
Dividend | €1.80 | €1.35 | €1.15 | €1.15 | €1.15 | €1.05 | €0.85 | €0.85 | €0.80 | €0.70 | €0.70 | €0.65 | €0.44 |
Dividend yield | 4.31% | 2.50% | 3.06% | 3.75% | 5.55% | 3.15% | 3.35% | 4.16% | 3.87% | 3.56% | 5.89% | 8.03% | 5.36% |
DPW.DEDrawdowns Chart
The Drawdowns chart displays portfolio losses from any high point along the way.
DPW.DEWorst Drawdowns
The table below shows the maximum drawdowns of the Deutsche Post AG. A maximum drawdown is an indicator of risk. It shows a reduction in portfolio value from its maximum due to a series of losing trades.
The maximum drawdown since January 2010 for the Deutsche Post AG is 49.94%, recorded on Mar 18, 2020. It took 106 trading sessions for the portfolio to recover.
Depth | Start | To Bottom | Bottom | To Recover | End | Total |
---|---|---|---|---|---|---|
-49.94% | Dec 19, 2017 | 564 | Mar 18, 2020 | 106 | Aug 19, 2020 | 670 |
-41.03% | Sep 17, 2021 | 188 | Jun 13, 2022 | — | — | — |
-34.64% | Apr 13, 2015 | 213 | Feb 11, 2016 | 196 | Nov 17, 2016 | 409 |
-31.54% | Aug 10, 2010 | 290 | Sep 23, 2011 | 104 | Feb 17, 2012 | 394 |
-20.01% | Jan 11, 2010 | 83 | May 7, 2010 | 62 | Aug 3, 2010 | 145 |
-19.27% | Apr 3, 2014 | 136 | Oct 15, 2014 | 63 | Jan 19, 2015 | 199 |
-10.29% | Apr 3, 2012 | 13 | Apr 23, 2012 | 50 | Jul 3, 2012 | 63 |
-9.55% | Oct 22, 2012 | 14 | Nov 8, 2012 | 20 | Dec 6, 2012 | 34 |
-9.32% | Oct 15, 2020 | 12 | Oct 30, 2020 | 49 | Jan 13, 2021 | 61 |
-8.93% | Mar 3, 2014 | 9 | Mar 13, 2014 | 11 | Mar 28, 2014 | 20 |
DPW.DEVolatility Chart
Current Deutsche Post AG volatility is 33.04%. The chart below shows the rolling 10-day volatility. Volatility is a statistical measure showing how big price swings are in either direction. The higher asset volatility, the riskier it is, because the price movements are less predictable.