Banco Bilbao Vizcaya Argentaria S.A. ADR’s stock market performance has been consistent. The 1-year high for the company’s stock was recorded at $14.84 on 03/18/25, with the lowest value being $9.23 on 11/27/24.
52-week price history of BBVA Stock
Analyzing the 52-week price history of a stock, including its high and low prices, can provide valuable insight into its current status and potential future performance. Banco Bilbao Vizcaya Argentaria S.A. ADR’s current trading price is -4.55% away from its 52-week high, while its distance from the 52-week low is 53.46%. The stock’s price range for this period has remained between $9.23 and $14.84. The Financial sector company’s shares managed to surpass a trading volume of around 1.02 million for the day, which was noticeably lower compared to the shares’ average daily volume of 2.66 million over the last three months.
Financial Performance and Market Capitalization
Banco Bilbao Vizcaya Argentaria S.A. ADR (BBVA) has experienced a quarterly rise of 45.87% in its revenues when compared to the same period in the previous year. Presently, the company has a total market capitalization of 81.54B and boasts a workforce of 125916 employees.
Moving average and trading volume data
Based on Barchart.com data, the company’s moving average over the 100-day period was 11.30, with a change in price of +4.31. Similarly, Banco Bilbao Vizcaya Argentaria S.A. ADR recorded 2,250,073 in trading volume during the last 100 days, posting a change of +43.81%.
BBVA Debt-to-equity ratio analysis
The debt-to-equity (D/E) ratio is a valuable metric that offers insight into a company’s financial health and standing in the market. This ratio is calculated by dividing a company’s current total liabilities by its shareholders’ equity. The D/E ratio illustrates the extent of debt a company is utilizing to support its assets in relation to the value of its shareholders’ equity. At the time of writing, the total D/E ratio for BBVA stands at 2.76. Similarly, the long-term debt-to-equity ratio is also 1.71.
BBVA Stock Stochastic Average
As of today, the raw stochastic average of Banco Bilbao Vizcaya Argentaria S.A. ADR over the past 50 days is 84.08%. This is a increase compared to the raw stochastic average of the last 20 days, which was recorded at 68.01%. Additionally, the Stochastic %K and %D values for the company were 74.01% and 73.54%, respectively, over the past 20 days.
BBVA Stock Price Performance Analysis
The stock price performance over the year has been a mixed bag, resulting in a range of outlooks from optimistic to pessimistic depending on the observer. Year to date metric has recorded a gain of 45.72%.However, over the last six months, we can see a weaker performance of 30.19%. Over the last 30 days, the price of BBVA has fallen by 5.55%. And in the last five days, it has fallen by -0.04%.