Banco Bilbao Vizcaya Argentaria S.A. (BBVA) dropped -7.47% or -0.54 to $6.69. It is near 5.41 million shares traded, which is 293.86% compare to the average total volume 1.84 million. The market cap of BBVA is $44.61 billion. The year to date change is -13.32%. The 52 week price range is from $6.69 to $9.54. Price of BBVA have changed -5.49% during last week. It have changed -9.06% over last month, -13.92% over last 3 months, -12.39% over last 6 months and -9.63% over one year.
Some investors will use 50-day and 200-day Moving Averages as support and resistance levels. Those moving average will be very helpful most of time. The 50-day Moving Averages for BBVA is 7.84. It is 17.19% above current price. The 200-day Moving Averages for BBVA is 8.26. It is 23.47% above current price. The 52-week High is 9.54. It is 42.60% from the current price. The 52-week Low is 6.69. The stock hits 52-week low today.
Some people may be interesting about short interest ratio of a stock. The short interest ratio of BBVA is 1.47 on 2018-05-15. Short % to float is 0.04%. There are some statistics of BBVA. It is has market cap $44.61 billion. The share outstanding is 6.67 billion. The average volume is 1.84 million. The revenue is 24.90B. The percent of top 15 Institution holding is 3.10%. Return on equity is how much of net income returned as a percentage of the total amount of shareholder equity found on the balance sheet. Return on equity (ROE) of BBVA is 7.20%. Return on assets (ROA) is an indicator that shows how profitable a company is using its total assets to generate earnings. Return on Assets (ROA) of BBVA is 0.48%.