Factor Report

Data as of market close on 11/27/2020.

Validea's factor report analyzes any stock using the major investing factors, including value, quality, momentum, and low volatility.
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BANCO BILBAO VIZCAYA ARGENTARIA SA (ADR) (BBVA)

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Latest Close: $4.65 Market Cap ($ mil): $31,570 Sector: Financial Industry: Money Center Banks 52 Week High: $5.80 52 Week Low: $2.49 Relative Strength: 40 Twelve Minus One Return: -47.8% Standard Deviation: 42.4%
PE Ratio: N/A Price/Sales: 1.0 Price/Book: 0.6 Price/Cash Flow: 12.0 EV/EBITDA: 3.09 Yield: 9.99% Shareholder Yield: 9.88% F Score: 1 G Score: 3
Return on Equity: -0.4% Return on Assets: 0.1% Return on Tangible Capital: N/A Return on Invested Capital: 0.0% WACC: 2.3% Debt/Equity: 1.80 LT EPS Growth: 5.5% LT Sales Growth: 5.3% Beta: 1.45
Banco Bilbao Vizcaya Argentaria, S.A. (BBVA) is a Spain - based bank. It is a diversified financial company engaged in retail banking, wholesale banking, asset management and private banking. Its segments are: Spain, the United States, Turkey, Mexico, South America and Rest of Eurasia. The activities in Spain are banking activity and Insurance. In the United States it offers services through, BBVA USA and the BBVA New York branch. The Turkey segment is represented by the group Garanti BBVA, an integrated financial services group, that also operate in Holland and Romania. The Mexico segment activities include banking and insurance businesses. In South America, it provides banking and insurance businesses. The Rest of Eurasia segment includes business activity in the rest of Europe and Asia

Factor Profile

BBVA's exposure to the major factors (100 is highest).

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