BBVA

BANCO BILBAO VIZCAYA ARGENTARIA, S.A.

OTC · Commercial Banks, NEC · CIK 0000842180
$22.22 -2.67% $126.9B
Vol
Market Cap$126.9B
Cap SizeLarge Cap
Analyst ConsensusBuy (61%)
Inst. Holders6 funds
Inst. Value$699.3M
Inst. Activity1 buys / 0 sells
Reddit Sentiment67° Warm
Exchange OTC·Sector Commercial Banks, NEC·CIK 0000842180·Prev Close $22.83

Recent Activity

Inst.
NORGES BANK — NEW
330,000 shares ($7.7M)
Inst.
WELLS FARGO & COMPANY/MN — TRIM
1,187,782 shares ($22.9M)
Jun 1, 2026 short_volume
Short Volume: BBVA — 67.7% short (0.4M / 0.7M)
Short: 448,176 | Exempt: 0 | TRF Vol: 661,898 | Short Ratio: 67.7% | Off-exchange volume (dark pool

Price Targets

$22.85 +2.9% upside Hold
Current $22.22 Low $19.00 Median $21.00 High $28.56 3 analysts
$19.00 $28.56

Analyst Ratings

Buy61% buy · 31 analysts
6Strong Buy
13Buy
11Hold
1Sell
0Strong Sell
Recent Analyst Actions
DateFirmActionRating
Apr 20, 2026 UBS DOWNGRADE Buy → Neutral
Aug 7, 2025 Barclays UPGRADE Equal-Weight → Overweight
Aug 13, 2021 Berenberg UPGRADE Sell → Hold
Mar 4, 2021 Barclays DOWNGRADE Overweight → Equal-Weight
Feb 25, 2021 Jefferies UPGRADE Hold → Buy

Earnings Estimates

PeriodEPS Est.RangeGrowth#
Next FY $2.40 ▲ +7.3% $2.06 — $2.74 8% YoY 3
Current FY $2.23 ▲ +4.3% $2.01 — $2.43 8% YoY 3
Next Q $0.60 $0.60 — $0.60 1
Current Q $0.63 $0.63 — $0.63 1

Top Institutional Holders

FundValueMove
MORGAN STANLEY$279.3M
FMR LLC$200.0M
BANK OF AMERICA CORP$166.4MADD
WELLS FARGO & COMPANY/MN$25.8MTRIM
CHARLES SCHWAB INVESTMENT MANAGEMENT$20.2MNEW

Reddit Sentiment

67°
Warm
Bearish Neutral Bullish
2 mentions 2 bullish 0 bearish
6 institutional holders with $699.3M total value (29,998,323 shares) as of 2025-Q4. Top holders: MORGAN, FMR, BANK. Net buying activity: 1 institutions added/increased vs 0 reduced.

Top Institutional Holders — 2025-Q4

#FundSharesValue% of TrackedLast Move
1MORGAN STANLEY11,981,661$279.3M39.9%
2FMR LLC8,578,717$200.0M28.6%
3BANK OF AMERICA CORP /DE/7,136,800$166.4M23.8%ADD +28.0%
4WELLS FARGO & COMPANY/MN1,104,834$25.8M3.7%TRIM -33.4%
5CHARLES SCHWAB INVESTMENT MANAGEMENT INC866,311$20.2M2.9%NEW
6NORGES BANK330,000$7.7M1.1%NEW

Recent Position Changes

FundActionPrev SharesCurr SharesChange %ValueQuarter
NORGES BANKNEW330,000$7.7M2025-Q4
WELLS FARGO & COMPANY/MNTRIM1,783,0451,187,782-33.4%$22.9M2025-Q3
NORGES BANKEXIT330,0000-100.0%$0.002025-Q3
BANK OF AMERICA CORP /DE/ADD7,253,8789,288,196+28.0%$142.8M2025-Q2
WELLS FARGO & COMPANY/MNADD1,075,9981,783,045+65.7%$27.4M2025-Q2
NORGES BANKNEW330,000$5.1M2025-Q2
UBS Group AGTRIM1,099,110792,152-27.9%$10.8M2025-Q1
CITADEL ADVISORS LLCDOUBLED55,961292,554+422.8%$4.0M2025-Q1
NORGES BANKEXIT330,0000-100.0%$0.002025-Q1
UBS Group AGADD696,9311,099,110+57.7%$10.7M2024-Q4
CITADEL ADVISORS LLCTRIM133,98555,961-58.2%$543.9K2024-Q4
CHARLES SCHWAB INVESTMENT MANAGEMENT INCNEW377,530$4.1M2024-Q3

No insider trading data available yet. Insider transactions are collected from SEC Form 4 filings.

No SEC filing reports analyzed yet. Reports are generated when new filings are detected and processed by the LLM pipeline.

No press releases analyzed yet. Press releases are collected from GlobeNewsWire and analyzed by the LLM pipeline.

Current analyst consensus: Buy (61% buy). Based on 31 analysts: 6 strong buy, 13 buy, 11 hold, 1 sell, 0 strong sell.

Analyst Price Targets

$22.85 mean target +2.9% upside Hold (2.67)
$19.00 Low $28.56 High
MetricValue
Current Price$22.22
Target Low$19.00
Target Mean$22.85
Target Median$21.00
Target High$28.56
# Analysts3
RecommendationHold (2.67)

Earnings Estimates & Revisions

PeriodEPS AvgEPS LowEPS HighEPS Growth30d Rev.Up/DownRev. AvgRev. GrowthAnalysts
Next FY
2027-12-31
$2.40 $2.06 $2.74 7.6% +7.3% 1↑ 1↓ $42.9B 3.7% 3
Current FY
2026-12-31
$2.23 $2.01 $2.43 7.6% +4.3% 1↑ 1↓ $41.3B 11.9% 3
Next Q
2026-09-30
$0.60 $0.60 $0.60 $10.0B 9.4% 1
Current Q
2026-06-30
$0.63 $0.63 $0.63 $9.8B 12.7% 1

Current Quarter EPS Revision History

TimepointEPS EstimateChange
Current$0.625
7d ago$0.625
30d ago$0.000+0.625
60d ago$0.000+0.625
90d ago$0.000+0.625
12 analyst firms have rated this stock: 13 upgrades, 9 downgrades, 1 initiations.

Individual Analyst Actions

DateAnalyst FirmActionPrevious RatingNew Rating
Apr 20, 2026 UBS DOWNGRADE Buy Neutral
Aug 7, 2025 Barclays UPGRADE Equal-Weight Overweight
Aug 13, 2021 Berenberg UPGRADE Sell Hold
Mar 4, 2021 Barclays DOWNGRADE Overweight Equal-Weight
Feb 25, 2021 Jefferies UPGRADE Hold Buy
Nov 9, 2016 Jefferies DOWNGRADE Buy Hold
Oct 19, 2016 RBC Capital UPGRADE Sector Perform Outperform
Sep 6, 2016 Barclays UPGRADE Underweight Equal-Weight
Mar 7, 2016 UBS INITIATE Sell
Feb 10, 2016 Exane BNP Paribas UPGRADE Underperform Outperform
Jan 5, 2016 RBC Capital UPGRADE Underperform Sector Perform
Apr 20, 2015 Goldman Sachs DOWNGRADE Buy Neutral
Jan 20, 2015 Citigroup UPGRADE Buy
Nov 24, 2014 B of A Securities UPGRADE Underperform Neutral
Oct 15, 2014 Deutsche Bank UPGRADE Hold Buy
Nov 25, 2013 B of A Securities DOWNGRADE Neutral Underperform
Oct 29, 2013 B of A Securities DOWNGRADE Neutral Underperform
Jul 22, 2013 UBS UPGRADE Neutral Buy
May 15, 2013 HSBC DOWNGRADE Neutral Underweight
May 9, 2013 Societe Generale UPGRADE Hold Buy
Feb 4, 2013 UBS UPGRADE Sell Neutral
Jan 22, 2013 Deutsche Bank DOWNGRADE Buy Hold
Jul 6, 2012 HSBC DOWNGRADE Overweight Neutral

Monthly Consensus History

PeriodStrong BuyBuyHoldSellStrong SellBuy %Distribution
Jun 1, 2026613111061%
May 1, 2026514112059%
Apr 1, 202651582067%
Mar 1, 202651582067%
Feb 1, 202661373066%
Jan 1, 202661362070%
Strong BuyBuyHoldSellStrong Sell

No congressional trading data available for this ticker. Data is sourced from Senate and House financial disclosure filings.

67°
Warm
Bearish Neutral Bullish
2 mentions 2 bullish 0 bearish 2 time periods

Reddit Sentiment History

DateMentionsSentimentBullishBearishThreads
Mar 2, 2026160° Warm101
Mar 2, 2026160° Warm101

Recent Reddit Threads

r/pennystocks Bullish 3mo ago
ZAPATA QUANTUM $ZPTA – THE PURE-PLAY QUANTUM SOFTWARE COMPANY!
▲ 1 💬 1 ⚡ 0.5
Jun 1, 2026
short_volume
Short Volume: BBVA — 67.7% short (0.4M / 0.7M)
Short: 448,176 | Exempt: 0 | TRF Vol: 661,898 | Short Ratio: 67.7% | Off-exchange volume (dark pool + OTC)
May 28, 2026
short_volume
Short Volume: BBVA — 56.7% short (0.4M / 0.6M)
Short: 361,740 | Exempt: 0 | TRF Vol: 638,518 | Short Ratio: 56.7% | Off-exchange volume (dark pool + OTC)
May 12, 2026
short_interest
FTD: BBVA — 49,380 shares ($1.1M) failed to deliver
Settlement: 20260512, Price: $21.94, FTD Value: $1,083,397.2, BANCO BILBAO VIZ ARGENTARA ADS
May 4, 2026
short_volume
Short Volume: BBVA — 56.0% short (0.4M / 0.7M)
Short: 375,397 | Exempt: 3 | TRF Vol: 670,534 | Short Ratio: 56.0% | Off-exchange volume (dark pool + OTC)
Apr 28, 2026
short_volume
Short Volume: BBVA — 75.9% short (0.4M / 0.6M)
Short: 423,988 | Exempt: 0 | TRF Vol: 558,693 | Short Ratio: 75.9% | Off-exchange volume (dark pool + OTC)
Apr 27, 2026
short_interest
FTD: BBVA — 44,000 shares ($1.0M) failed to deliver
Settlement: 20260427, Price: $21.87, FTD Value: $962,280, BANCO BILBAO VIZ ARGENTARA ADS
Apr 24, 2026
short_interest
FTD: BBVA — 42,784 shares ($0.9M) failed to deliver
Settlement: 20260424, Price: $21.62, FTD Value: $924,990.08, BANCO BILBAO VIZ ARGENTARA ADS
Apr 20, 2026
short_volume
Short Volume: BBVA — 62.4% short (0.5M / 0.9M)
Short: 532,208 | Exempt: 200 | TRF Vol: 852,498 | Short Ratio: 62.4% | Off-exchange volume (dark pool + OTC)
Apr 7, 2026
short_volume
Short Volume: BBVA — 66.9% short (0.4M / 0.6M)
Short: 388,073 | Exempt: 0 | TRF Vol: 580,323 | Short Ratio: 66.9% | Off-exchange volume (dark pool + OTC)
Apr 6, 2026
short_volume
Short Volume: BBVA — 66.1% short (0.4M / 0.6M)
Short: 371,232 | Exempt: 0 | TRF Vol: 561,474 | Short Ratio: 66.1% | Off-exchange volume (dark pool + OTC)
Apr 1, 2026
short_interest
FTD: BBVA — 24,341 shares ($0.5M) failed to deliver
Settlement: 20260401, Price: $21.66, FTD Value: $527,226.06, BANCO BILBAO VIZ ARGENTARA ADS
Mar 25, 2026
short_volume
Short Volume: BBVA — 64.8% short (0.5M / 0.7M)
Short: 478,089 | Exempt: 0 | TRF Vol: 738,339 | Short Ratio: 64.8% | Off-exchange volume (dark pool + OTC)
Mar 24, 2026
short_volume
Short Volume: BBVA — 57.0% short (1.2M / 2.1M)
Short: 1,172,878 | Exempt: 100 | TRF Vol: 2,058,675 | Short Ratio: 57.0% | Off-exchange volume (dark pool + OTC)
Mar 5, 2026
short_interest
FTD: BBVA — 29,313 shares ($0.6M) failed to deliver
Settlement: 20260305, Price: $22.05, FTD Value: $646,351.65, BANCO BILBAO VIZ ARGENTARA ADS
Feb 27, 2026
short_interest
FTD: BBVA — 21,721 shares ($0.5M) failed to deliver
Settlement: 20260227, Price: $23.66, FTD Value: $513,918.86, BANCO BILBAO VIZ ARGENTARA ADS