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BBVA | Banco Bilbao Vizcaya Argentaria, S.A. Stock Overview

(Stock Exchange: NYSE)
Day's Range 9.67 - 9.82
52 Week Range 8.63 - 12.20
Beta 1.30
Implied Volatility 110.97%
IV Rank 63.88%
Day's Volume 816,600
Average Volume 1,414,771
Shares Outstanding 5,752,290,000
Market Cap 56,027,304,600
Sector Financial Services
Industry Banks - Diversified
IPO Date 1988-12-15
Valuation
Profitability
Growth
Health
P/E Ratio 5.76
Forward P/E Ratio 5.19
EPS 1.69
1YR Price Target N/A
Dividend Yield 6.57%
Dividend Per Share 0.64
Dividend ExDate 2022-10-07
Dividend PayDate 2022-10-26
Employees 116,499
Country Spain
Website BBVA
Despite its Spanish origins, BBVA generates three quarters of its profits in emerging markets, especially Mexico that contributes nearly half of BBVA's net profit. BBVA is overwhelmingly a retail and commercial bank with corporate and investment banking forming a smaller part of the overall business.
BBVA's peers: BCS, ING, BCDRF, HSBC, NWG, SAN, UBS, C, RY, MUFG, SMFG
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Analyzing fundamentals for BBVA we got that it has average fundamentals where Valuation is considered to be significantly undervalued, Profitability is wealthy, Growth is good and Health is very weak. For more detailed analysis please see BBVA Fundamentals page.

Watching at BBVA technicals we can see that long-term trend is bearish, the same as bearish middle-term trend, as well as bearish short-term trend. More technicals details can be found on BBVA Technicals page.
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