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Performance analysis of Banco Bilbao Vizcaya Argentaria. (BBVA)

Annual Return

Over the past 3 years, BBVA has had an average annual return of +55.83%, outperforming the benchmark SPY, which returned +19.31% annual.

Over the past 5 years, BBVA has had an average annual return of +41.07%, outperforming the benchmark SPY, which returned +12.55% annual.

Over the past 10 years, BBVA has had an average annual return of +22.29%, outperforming the benchmark SPY, which returned +14.95% annual.

Since Nov 1, 1999, BBVA has had an average annual return of +7.62%, underperforming the benchmark SPY, which returned +8.46% annual.

202620252024202320222021202020192018201720162015
+11.11%+152.74%+14.17%+62.31%+10.24%+22.01%-6.53%+10.96%-35.00%+32.71%-1.41%-19.34%
201420132012201120102009200820072006200520042003
-20.64%+39.57%+22.61%-9.30%-39.53%+55.72%-45.44%+4.48%+38.78%+3.73%+32.01%+47.24%
2002200120001999
-19.69%-13.56%+5.32%+5.68%

Monthly Return

YearJanFebMarAprMayJunJulAugSepOctNovDecAnnually Total
2026+9.05%-9.01%-6.35%+5.31%+5.74%+7.14%+0.22%+11.11%
2025+16.67%+16.67%+2.95%+4.13%+9.78%+2.19%+8.85%+8.37%+6.18%+4.57%+8.99%+8.17%+152.74%
2024+2.41%+6.65%+18.99%-6.21%+1.87%-8.07%+5.08%+1.04%+1.79%-5.47%-4.83%+2.86%+14.17%
2023+17.47%+9.91%-9.15%+9.19%-11.17%+17.79%+3.39%+0%+1.38%-0.68%+18.65%-1.94%+62.31%
2022+8.69%-7.84%-3.23%-4.26%+5.39%-17.37%+0.45%-2.20%+0.22%+18.73%+13.78%+2.56%+10.24%
2021-7.29%+21.62%-6.29%+8.67%+11.25%-0.32%+2.57%+2.67%+0.76%+7.21%-23.96%+10.75%+22.01%
2020-8.24%-7.03%-35.71%+10.42%-2.82%+9.34%-9.71%-5.87%-5.18%+5.46%+58.49%+7.86%-6.53%
2019+12.85%+3.52%-7.29%+9.49%-10.84%+2.40%-8.10%-7.04%+9.47%+2.71%+0%+6.70%+10.96%
2018+10.47%-11.39%-5.05%+4.49%-14.64%+1.75%+4.28%-15.07%+1.61%-11.46%+3.47%-6.54%-35.00%
2017+1.84%-3.96%+18.54%+5.13%+2.75%+1.70%+8.61%-2.65%+0.91%+0.42%-2.06%-0.70%+32.71%

Drawdown analysis of Banco Bilbao Vizcaya Argentaria. (BBVA)

The maximum drawdown for the BBVA was -78.40%, occurring on Sep 23, 2020. Recovery took 849 trading sessions.

The current BBVA drawdown is -3.92%.

Since Nov 1, 1999 BBVA has experienced the following drawdowns:

  • 50% or more: 2 times
  • 40% or more: 2 times
  • 30% or more: 2 times
  • 20% or more: 5 times
  • 10% or more: 11 times
DepthStartTo BottomBottomTo RecoverEndTotal
-78.40%Dec 10, 20073219Sep 23, 2020849Feb 8, 20244068
-56.37%Jan 18, 2001431Oct 9, 2002510Oct 19, 2004941
-23.17%Aug 15, 200070Nov 22, 200030Jan 8, 2001100
-22.14%Jan 27, 202643Mar 30, 202665Jul 2, 2026108
-21.02%Feb 15, 200067May 22, 200059Aug 15, 2000126
-19.76%Mar 18, 202515Apr 8, 202513Apr 28, 202528
-18.76%Apr 29, 2024148Nov 27, 202438Jan 27, 2025186
-17.47%May 10, 200623Jun 13, 200646Aug 17, 200669
-16.03%Feb 15, 2007147Sep 17, 200759Dec 10, 2007206
-14.48%Dec 8, 199930Jan 21, 200016Feb 14, 200046
-13.55%Dec 29, 2004125Jun 28, 200531Aug 11, 2005156
-8.94%Apr 8, 20246Apr 16, 20248Apr 26, 202414
-7.59%Jul 9, 20258Jul 21, 20258Jul 31, 202516
-7.33%Nov 12, 20256Nov 20, 20257Dec 2, 202513
-6.65%Aug 15, 20258Aug 27, 202516Sep 19, 202524
-6.58%Sep 19, 202515Oct 10, 20254Oct 16, 202519
-5.87%Jan 30, 20252Feb 3, 20253Feb 6, 20255
-5.63%Aug 11, 200512Aug 29, 20058Sep 9, 200520
-5.33%Nov 22, 20062Nov 27, 200638Jan 24, 200740
-4.92%Feb 1, 20064Feb 7, 200611Feb 23, 200615
-4.66%Apr 28, 20252Apr 30, 20256May 8, 20258
-4.61%Sep 5, 20064Sep 11, 200617Oct 4, 200621
-4.59%Sep 9, 20058Sep 21, 200528Oct 31, 200536
-4.59%Jan 5, 20262Jan 7, 20263Jan 12, 20265
-4.56%May 20, 202519Jun 17, 202511Jul 3, 202530