BBVA (Banco Bilbao Vizcaya Argentaria, S.A.) Stock Analysis - Financials

Banco Bilbao Vizcaya Argentaria, S.A. (BBVA) is a publicly traded Financial Services sector company. As of May 20, 2026, BBVA trades at $22.61 with a market cap of $122.92B and a P/E ratio of 0.00. BBVA moved +4.58% today. Year to date, BBVA is -9.84%; over the trailing twelve months it is +42.21%. Its 52-week range spans $9.23 to $26.20. Rallies surfaces BBVA's financials, insider trades, hedge fund holdings, congressional trades, analyst ratings, and AI-generated research below.

What are BBVA's key financials?

BBVA financials on Rallies include revenue, net income, EPS, valuation metrics, market cap, price history, and balance sheet context. BBVA recently traded at $22.61. Market cap is $122.92B. P/E ratio is 0.00. Revenue is $0.

BBVA Key Metrics

Key financial metrics for BBVA
MetricValue
Price$22.61
Market Cap$122.92B
P/E Ratio0.00
EPS$0.00
Dividend Yield0.70%
52-Week High$26.20
52-Week Low$9.23
Volume1.02M
Avg Volume0
Revenue (TTM)$0
Net Income$0
Gross Margin0.00%

Latest BBVA News

BBVA Analyst Consensus

BBVA analyst coverage data. Average price target: $0.00.

Common questions about BBVA

What are BBVA's key financials?
BBVA financials on Rallies include revenue, net income, EPS, valuation metrics, market cap, price history, and balance sheet context. BBVA recently traded at $22.61. Market cap is $122.92B. P/E ratio is 0.00. Revenue is $0.
Is BBVA research on Rallies investment advice?
No. Rallies provides research, data, and educational context for BBVA. It does not provide personalized investment advice.
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