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BBVXF BANCO BILBAO VIZCAYA ARGENTAR

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  • 11.625
  • 0.0000.00%
15min DelayClose Apr 30 16:00 ET
67.00BMarket Cap8.02P/E (TTM)

BANCO BILBAO VIZCAYA ARGENTAR Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
(Q2)Jun 30, 2022
(Q1)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-103.04%-722M
323.59%11.09B
-152.56%-4.31B
-166.29%-11.22B
4.18%3.71B
2,009.74%23.72B
-170.34%-4.96B
299.80%8.2B
1,332.19%16.92B
139.74%3.56B
Net income from continuing operations
24.44%8.42B
24.81%2.13B
8.03%2.14B
22.72%2.15B
50.83%1.99B
20.38%6.76B
8.72%1.71B
19.35%1.98B
86.38%1.75B
-8.64%1.32B
Depreciation and amortization
5.65%1.4B
3.25%349M
11.83%378M
-2.60%337M
10.78%339M
7.62%1.33B
10.82%338M
7.64%338M
13.07%346M
-0.97%306M
Other non cashItems
3.18%10.75B
-12.07%3.34B
28.36%2.21B
18.83%3.31B
-10.58%1.88B
61.40%10.42B
5,862.12%3.8B
-37.76%1.72B
367.60%2.78B
-56.01%2.11B
Change in working capital
-288.71%-15.94B
171.71%6.83B
-269.39%-7.74B
-215.20%-15.23B
17.14%205M
164.94%8.44B
-270.15%-9.52B
297.79%4.57B
1,327.48%13.22B
101.15%175M
-Change in loans
----
----
----
----
-79.18%-2.65B
----
----
----
----
86.29%-1.48B
-Change in other current assets
186.86%476M
----
----
----
----
-192.57%-548M
----
----
----
----
-Change in other current liabilities
-6,323.53%-1.09B
----
----
----
----
70.69%-17M
----
----
----
----
-Change in other working capital
-270.04%-15.32B
183.11%7.44B
-394.88%-9.74B
-222.05%-15.87B
72.61%2.86B
166.56%9.01B
-21.41%-8.95B
-70.13%3.3B
201.58%13B
137.41%1.65B
Cash from discontinued operating activities
Operating cash flow
-103.04%-721M
323.50%11.09B
-152.53%-4.31B
-166.29%-11.22B
4.18%3.71B
2,009.66%23.72B
-170.37%-4.96B
299.71%8.2B
1,332.19%16.92B
139.72%3.56B
Investing cash flow
Cash flow from continuing investing activities
63.68%-1.42B
-686.36%-173M
-75.21%-615M
92.15%-278M
-8,950.00%-354M
-139.29%-3.91B
-105.96%-22M
-355.84%-351M
-75.30%-3.54B
-95.74%4M
Net investment purchase and sale
-176.09%-35M
-557.14%-64M
137.50%3M
-42.50%23M
--3M
53.33%46M
380.00%14M
-260.00%-8M
150.00%40M
--0
Net PPE purchase and sale
41.84%-1.04B
64.57%-45M
-136.44%-532M
87.00%-194M
-536.07%-266M
-460.69%-1.78B
52.79%-127M
-287.93%-225M
-10,757.14%-1.49B
1,320.00%61M
Net intangibles purchase and sale
-9.52%-690M
-27.87%-234M
8.18%-146M
-0.56%-178M
-18.92%-132M
-14.55%-630M
-7.02%-183M
-45.87%-159M
-16.45%-177M
5.93%-111M
Net business purchase and sale
101.51%21M
--15M
--0
100.43%6M
--0
-13,990.00%-1.39B
--0
--0
-27,880.00%-1.39B
--0
Net other investing changes
307.74%322M
-42.86%156M
41.46%58M
112.84%67M
-22.64%41M
80.77%-155M
-66.38%273M
-51.19%41M
72.56%-522M
-73.50%53M
Cash from discontinued investing activities
Investing cash flow
63.72%-1.42B
-647.83%-172M
-75.78%-617M
92.20%-276M
-11,900.00%-354M
-139.35%-3.91B
-106.23%-23M
-350.00%-351M
-75.33%-3.54B
-96.81%3M
Financing cash flow
Cash flow from continuing financing activities
75.64%-1.84B
-73.82%-1.47B
96.05%-87.68M
105.04%159M
66.72%-448M
-73.90%-7.56B
34.29%-843M
-516.11%-2.22B
-102.57%-3.16B
-17.25%-1.35B
Net issuance payments of debt
234.77%3.04B
889.33%592M
102.82%41M
488.31%2.52B
-42.50%-114M
1.87%-2.26B
6.25%-75M
-664.74%-1.45B
38.85%-650M
91.74%-80M
Net commonstock issuance
42.92%-1.46B
-4,996.63%-979.33M
95.35%-30.68M
77.24%-211M
76.17%-234M
-336.47%-2.55B
103.51%20M
-1,683.78%-660M
-23,075.00%-927M
-3,737.04%-982M
Cash dividends paid
-28.51%-2.81B
-31.72%-951M
--0
-26.93%-1.86B
--0
-135.96%-2.19B
-35.46%-722M
--0
---1.46B
--0
Net other financing activities
-8.93%-622M
-93.45%-127.68M
7.31%-97.33M
-156.03%-297M
64.79%-100M
-6.13%-571M
34.00%-66M
21.05%-105M
-17.17%-116M
-37.86%-284M
Cash from discontinued financing activities
Financing cash flow
75.64%-1.84B
-73.90%-1.47B
96.08%-87M
105.04%159M
66.72%-448M
-73.90%-7.56B
34.29%-843M
-516.11%-2.22B
-102.44%-3.16B
-17.35%-1.35B
Net cash flow
Beginning cash position
17.64%79.76B
-24.09%66.86B
-11.84%71.86B
17.38%83.27B
17.64%79.76B
-11.82%67.8B
39.29%88.08B
32.13%81.51B
5.39%70.94B
-11.82%67.8B
Current changes in cash
-132.52%-3.98B
262.18%9.45B
-189.00%-5.01B
-210.86%-11.33B
31.08%2.91B
269.47%12.24B
-194.96%-5.83B
248.98%5.63B
306.46%10.22B
122.15%2.22B
Effect of exchange rate changes
-23.96%-357M
64.25%-892M
-98.83%11M
-122.00%-77M
-34.53%601M
84.55%-288M
-59.02%-2.5B
1,501.49%939M
152.16%350M
107.22%918M
End cash position
-5.44%75.42B
-5.44%75.42B
-24.09%66.86B
-11.84%71.86B
17.38%83.27B
17.64%79.76B
17.64%79.76B
39.29%88.08B
32.13%81.51B
5.39%70.94B
Free cash flow
-111.94%-2.54B
302.21%10.72B
-163.64%-4.98B
-175.76%-11.59B
-4.00%3.31B
1,072.39%21.28B
-181.14%-5.3B
311.19%7.83B
1,099.93%15.3B
137.96%3.45B
Currency Unit
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
EUR
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
Unqualified Opinion with Explanatory Notes
--
--
--
--
Unqualified Opinion
--
--
--
--
(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022(Q2)Jun 30, 2022(Q1)Mar 31, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -103.04%-722M323.59%11.09B-152.56%-4.31B-166.29%-11.22B4.18%3.71B2,009.74%23.72B-170.34%-4.96B299.80%8.2B1,332.19%16.92B139.74%3.56B
Net income from continuing operations 24.44%8.42B24.81%2.13B8.03%2.14B22.72%2.15B50.83%1.99B20.38%6.76B8.72%1.71B19.35%1.98B86.38%1.75B-8.64%1.32B
Depreciation and amortization 5.65%1.4B3.25%349M11.83%378M-2.60%337M10.78%339M7.62%1.33B10.82%338M7.64%338M13.07%346M-0.97%306M
Other non cashItems 3.18%10.75B-12.07%3.34B28.36%2.21B18.83%3.31B-10.58%1.88B61.40%10.42B5,862.12%3.8B-37.76%1.72B367.60%2.78B-56.01%2.11B
Change in working capital -288.71%-15.94B171.71%6.83B-269.39%-7.74B-215.20%-15.23B17.14%205M164.94%8.44B-270.15%-9.52B297.79%4.57B1,327.48%13.22B101.15%175M
-Change in loans -----------------79.18%-2.65B----------------86.29%-1.48B
-Change in other current assets 186.86%476M-----------------192.57%-548M----------------
-Change in other current liabilities -6,323.53%-1.09B----------------70.69%-17M----------------
-Change in other working capital -270.04%-15.32B183.11%7.44B-394.88%-9.74B-222.05%-15.87B72.61%2.86B166.56%9.01B-21.41%-8.95B-70.13%3.3B201.58%13B137.41%1.65B
Cash from discontinued operating activities
Operating cash flow -103.04%-721M323.50%11.09B-152.53%-4.31B-166.29%-11.22B4.18%3.71B2,009.66%23.72B-170.37%-4.96B299.71%8.2B1,332.19%16.92B139.72%3.56B
Investing cash flow
Cash flow from continuing investing activities 63.68%-1.42B-686.36%-173M-75.21%-615M92.15%-278M-8,950.00%-354M-139.29%-3.91B-105.96%-22M-355.84%-351M-75.30%-3.54B-95.74%4M
Net investment purchase and sale -176.09%-35M-557.14%-64M137.50%3M-42.50%23M--3M53.33%46M380.00%14M-260.00%-8M150.00%40M--0
Net PPE purchase and sale 41.84%-1.04B64.57%-45M-136.44%-532M87.00%-194M-536.07%-266M-460.69%-1.78B52.79%-127M-287.93%-225M-10,757.14%-1.49B1,320.00%61M
Net intangibles purchase and sale -9.52%-690M-27.87%-234M8.18%-146M-0.56%-178M-18.92%-132M-14.55%-630M-7.02%-183M-45.87%-159M-16.45%-177M5.93%-111M
Net business purchase and sale 101.51%21M--15M--0100.43%6M--0-13,990.00%-1.39B--0--0-27,880.00%-1.39B--0
Net other investing changes 307.74%322M-42.86%156M41.46%58M112.84%67M-22.64%41M80.77%-155M-66.38%273M-51.19%41M72.56%-522M-73.50%53M
Cash from discontinued investing activities
Investing cash flow 63.72%-1.42B-647.83%-172M-75.78%-617M92.20%-276M-11,900.00%-354M-139.35%-3.91B-106.23%-23M-350.00%-351M-75.33%-3.54B-96.81%3M
Financing cash flow
Cash flow from continuing financing activities 75.64%-1.84B-73.82%-1.47B96.05%-87.68M105.04%159M66.72%-448M-73.90%-7.56B34.29%-843M-516.11%-2.22B-102.57%-3.16B-17.25%-1.35B
Net issuance payments of debt 234.77%3.04B889.33%592M102.82%41M488.31%2.52B-42.50%-114M1.87%-2.26B6.25%-75M-664.74%-1.45B38.85%-650M91.74%-80M
Net commonstock issuance 42.92%-1.46B-4,996.63%-979.33M95.35%-30.68M77.24%-211M76.17%-234M-336.47%-2.55B103.51%20M-1,683.78%-660M-23,075.00%-927M-3,737.04%-982M
Cash dividends paid -28.51%-2.81B-31.72%-951M--0-26.93%-1.86B--0-135.96%-2.19B-35.46%-722M--0---1.46B--0
Net other financing activities -8.93%-622M-93.45%-127.68M7.31%-97.33M-156.03%-297M64.79%-100M-6.13%-571M34.00%-66M21.05%-105M-17.17%-116M-37.86%-284M
Cash from discontinued financing activities
Financing cash flow 75.64%-1.84B-73.90%-1.47B96.08%-87M105.04%159M66.72%-448M-73.90%-7.56B34.29%-843M-516.11%-2.22B-102.44%-3.16B-17.35%-1.35B
Net cash flow
Beginning cash position 17.64%79.76B-24.09%66.86B-11.84%71.86B17.38%83.27B17.64%79.76B-11.82%67.8B39.29%88.08B32.13%81.51B5.39%70.94B-11.82%67.8B
Current changes in cash -132.52%-3.98B262.18%9.45B-189.00%-5.01B-210.86%-11.33B31.08%2.91B269.47%12.24B-194.96%-5.83B248.98%5.63B306.46%10.22B122.15%2.22B
Effect of exchange rate changes -23.96%-357M64.25%-892M-98.83%11M-122.00%-77M-34.53%601M84.55%-288M-59.02%-2.5B1,501.49%939M152.16%350M107.22%918M
End cash position -5.44%75.42B-5.44%75.42B-24.09%66.86B-11.84%71.86B17.38%83.27B17.64%79.76B17.64%79.76B39.29%88.08B32.13%81.51B5.39%70.94B
Free cash flow -111.94%-2.54B302.21%10.72B-163.64%-4.98B-175.76%-11.59B-4.00%3.31B1,072.39%21.28B-181.14%-5.3B311.19%7.83B1,099.93%15.3B137.96%3.45B
Currency Unit EUREUREUREUREUREUREUREUREUREUR
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions Unqualified Opinion with Explanatory Notes--------Unqualified Opinion--------

Analysis

Analyst Rating

No Data

Price Target

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