Risk factor
Significant default risk
Profitability factor
Good growth
In Guru Portfolios
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Data is available to registered users only | Data is available to registered users only | Data is available to registered users only | Data is available to registered users only |
Data is available to registered users only | Data is available to registered users only | Data is available to registered users only | Data is available to registered users only |
Data is available to registered users only | Data is available to registered users only | Data is available to registered users only | Data is available to registered users only |
About
Banco Bilbao Vizcaya Argentaria, S.A. (BBVA), founded in Bilbao, Spain, in 1857, operates as a global financial services group offering a comprehensive range of retail, wholesale, and asset management solutions. The bank's diverse offerings include a wide array of deposit accounts, such as checking, savings, demand, time, and subordinated options, along with various credit facilities and credit card products. Additionally, BBVA provides insurance and real estate services, manages investment and pension funds, and actively trades in securities. Its wholesale division encompasses robust corporate and investment banking services. Customers can conveniently access these services via advanced online and mobile channels. As of December 31, 2021, the company's extensive physical network included 6,083 branches and 29,148 ATMs. BBVA maintains a significant international presence, conducting operations across Spain, Mexico, the United States, Turkey, numerous South American countries, Asia, and other European regions.
Company Valuation
From both historical and forecast perspectives, the stock is fairly priced compared to similar stocks. In particular, the stock is reasonably priced on P/E, of fair value
Target Price
The average target price of BBVA.MC is 21 and suggests 8% downside potential. Usually, this means a SELL recommendation among investment firms, or a recommendation to dec