BBVA.MC BB

BBVA.MC BANCO BILBAO VIZCAYA ARGENTARIA

Financial Services · Banks - Diversified

7 · Fair Momentum 10.0 · Strong Safe 4y streak

24.62

-1.05%

About the company

Banco Bilbao Vizcaya Argentaria, S.A., together with its subsidiaries, provides various financial services in Spain, Mexico, Turkey, South America, Europe, the United States, and Asia. The company offers traditional retail, wholesale, investment, and transaction banking. It also engages in financial, insurance, asset management, and capital markets businesses, as well as digital banking. The company was formerly known as Banco Bilbao Vizcaya, S.A. and changed its name to Banco Bilbao Vizcaya Argentaria, S.A. in January 2000. Banco Bilbao Vizcaya Argentaria, S.A. was founded in 1857 and is headquartered in Bilbao, Spain.

3.74%
48.68%
0.92
136.0B
13.03
1.89
20.21

52-week range

24.6
low 15.3 high 25.3
Yield Growth Momentum Safety Value Health

Dividend deep dive

BANCO BILBAO VIZCAYA ARGENTARIA (BBVA.MC) operates in the Banks - Diversified sector. The current dividend yield is 4.17%, which is below its 5-year average yield of 11.0% and its 5-year low of 5.35%, indicating it is "overvalued" according to Yield Theory. The company's dividend is rated as "safe". Payments are typically semi-annual, occurring in April, October, and November. Its market capitalization stands at 119.56 billion EUR.

Dividend history

The company has a dividend increase streak of 4 years. The 3-year dividend Compound Annual Growth Rate (CAGR) stands at 27.77%. A 5-year CAGR figure is not available in the provided data. The dividend per share history shows some variability: 0.4 EUR in 2013, 0.32 EUR in 2014-2016, 0.36 EUR in 2017, 0.5 EUR in 2018, and 0.52 EUR in 2019. After a gap, dividends resumed with 0.278 EUR in 2021, followed by significant increases to 0.7 EUR in 2022, 0.94 EUR in 2023, 1.36 EUR in 2024, and 1.46 EUR projected for 2025.

Dividend safety

The dividend payout ratio is 50.55% of earnings, which suggests reasonable coverage. The company holds total cash of 160.84 billion EUR against total debt of 168.72 billion EUR.

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AI-generated from Quantic's dividend data · Updated 17 Jul 2026 · Information, not financial advice.

Price history

22.6 12.5 2.37 2021 2022 2023 2024 2025 2026 2020-07 · 2.45 2020-08 · 2.37 2020-09 · 2.46 2020-10 · 3.93 2020-11 · 4.04 2020-12 · 3.77 2021-01 · 4.60 2021-02 · 4.43 2021-03 · 4.67 2021-04 · 5.14 2021-05 · 5.23 2021-06 · 5.41 2021-07 · 5.55 2021-08 · 5.72 2021-09 · 6.06 2021-10 · 4.70 2021-11 · 5.25 2021-12 · 5.63 2022-01 · 5.29 2022-02 · 5.21 2022-03 · 5.06 2022-04 · 5.08 2022-05 · 4.33 2022-06 · 4.42 2022-07 · 4.49 2022-08 · 4.62 2022-09 · 5.21 2022-10 · 5.61 2022-11 · 5.63 2022-12 · 6.46 2023-01 · 7.37 2023-02 · 6.57 2023-03 · 6.65 2023-04 · 6.12 2023-05 · 7.03 2023-06 · 7.21 2023-07 · 7.27 2023-08 · 7.71 2023-09 · 7.42 2023-10 · 8.51 2023-11 · 8.23 2023-12 · 8.68 2024-01 · 9.19 2024-02 · 11.0 2024-03 · 10.2 2024-04 · 9.94 2024-05 · 9.35 2024-06 · 9.70 2024-07 · 9.59 2024-08 · 9.71 2024-09 · 9.15 2024-10 · 8.94 2024-11 · 9.45 2024-12 · 11.1 2025-01 · 12.8 2025-02 · 12.5 2025-03 · 12.1 2025-04 · 13.2 2025-05 · 13.1 2025-06 · 14.6 2025-07 · 15.5 2025-08 · 16.3 2025-09 · 17.4 2025-10 · 18.6 2025-11 · 20.1 2025-12 · 21.4 2026-01 · 19.8 2026-02 · 18.3 2026-03 · 18.8 2026-04 · 20.1 2026-05 · 21.9 2026-06 · 22.2 2026-07 · 22.6
Price

Dividend profile

Frequency
Semi-annual
Growth (TTM)
+31.4%
CAGR 3y
+27.8%
4 years

(5-year)

Now 3.7%
5.3% avg 11.0% 13.9%

Payment calendar

Jan
Feb
Mar
Apr
May
Jun
Jul
Aug
Sep
Oct
Nov
Dec

Dividend history

CAGR 3y +27.8% 4y streak
13 14 15 16 17 18 19 21 22 23 24 25

Per-share dividend by year

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Debt & leverage

Debt vs cash
Debt Cash
Total debt
168.7B EUR
Total cash
160.8B EUR

Latest reported balance-sheet figures.

Held by 4 investors · watched by 1

Appears in these lists

BBVA.MC qualifies for these curated dividend rankings.

Information, not financial advice.

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