Stocks/BBVA

BBVA three-lens brief

Evidence-based stock research on BBVA. Three independent lenses — Foundation, Expansion, Climate — examine live data from SEC filings, the Federal Reserve, and market feeds. Every claim traces to its primary source.

52-week rangeas of 08:00 ET
$17.90$28.84$29.64

Performance

1W
-2.7%
1M
+1.2%
3M
6M
YTD
1Y
3Y
5Y
BBVA · Nightly brief
Inspect

50-day MA above 200-day MA (golden-cross regime); price above both. · Trading at 93% of its 52-week range — near the top of the band.

  • Trading at 93% of its 52-week range — near the top of the band.
  • 50-day MA above 200-day MA (golden-cross regime); price above both.
  • Outperforming SPY by 8.5pp over 30 days.
  • Analyst mean target $24.53 — 15% below current (3 analysts).

BBVA closed at $28.84 (-0.83%) as of 2026-09-11. Market cap: $159.15B. P/E (trailing) 13.2. Price is above the 50-day MA and above the 200-day MA. Positives: 50-day MA above 200-day MA (golden-cross regime); price above both.; outperforming SPY by 8.5pp over 30 days.. Concerns: trading at 93% of its 52-week range — near the top of the band.; analyst mean target $24.53 — 15% below current (3 analysts).. Last quarter: Revenue $10.51B, net income $3.06B.

Market ✓· Fundamentals ✓
Informational only · Not investment advice
Three-lens method

Why three lenses on BBVA, not one.

A single reasoning model has blind spots it doesn’t know about. We examine BBVAacross Foundation (fundamentals), Expansion (growth runway and market expansion), and Climate (macro/sector). Disagreement between lenses is surfaced, not hidden — it’s how you know when HOLD is the honest call.

Read the full methodology
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