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米国企業
BANCO BILBAO VIZCAYA ARGENTARIA, S.A.
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BANCO BILBAO VIZCAYA ARGENTARIA, S.A.
【BBVA】
時価総額
PER
どの企業の概要を作成しますか?社名か「事業内容・業界地位・特徴的なサービス/製品・重要な投資家/M&A/イベント・展開地域」のいずれかの情報を教えてください。指定がなければサンプル企業で作成する旨をお知らせください。
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株価
業績
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十億
百万
千
EUR
年次
四半期
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2021年
12月31日
2022年
12月31日
2023年
12月31日
2024年
12月31日
Cash and cash equivalents
67,799
79,756
75,416
51,145
Financial assets at fair value through profit or loss, classified as held for trading
123,493
110,671
141,042
108,948
Derivative financial assets held for trading
30,933
39,908
34,293
36,003
Equity instruments held at fair value through profit or loss, classified as held for trading
-
-
-
6,760
Debt instruments held for trading
-
-
-
27,955
Loans and advances to central banks held for trading
3,467
1,632
2,809
556
Loans and advances to credit institutions held for trading
-
-
-
20,938
loans and advances to customers held for trading
-
-
-
16,736
Financial assets at fair value through profit or loss, mandatorily measured at fair value
6,086
6,888
8,737
10,546
Equity instruments held at fair value through profit or loss, mandatorily measured at fair value, other than those classified as held for trading
-
-
-
9,782
Debt instruments held at fair value through profit or loss, mandatorily measured at fair value, other than those classified as held for trading
-
-
-
407
Loans and advances to customers at fair value through profit or loss, mandatorily measured at fair value, other than those classified as held for trading
-
-
-
358
Financial assets at fair value through profit or loss, designated upon initial recognition or subsequently
-
-
955
836
Debt securities at fair value through profit or loss
-
-
955
836
Financial assets at fair value through other comprehensive income
60,421
58,980
62,205
59,002
Investments in equity instruments designated at fair value through other comprehensive income
1,320
1,198
1,217
1,451
Debt securities at fair value through other comprehensive income
-
-
-
57,526
Loans and advances to banks measured at fair value through other comprehensive income
-
-
-
25
Financial assets at amortised cost
372,676
422,061
451,732
502,400
Debt instruments held at amortised cost
-
-
-
59,014
Loans and advances to central banks
-
-
-
8,255
Loans and advances to banks
-
-
-
22,655
Loans and advances to customers
-
-
-
412,477
Derivative financial assets held for hedging
1,805
1,891
1,482
1,158
Accumulated fair value hedge adjustment on hedged item included in carrying amount, assets
5
-148
-97
-65
Investments in subsidiaries, joint ventures and associates
900
916
976
989
Investments in joint ventures
152
100
93
94
Investments in associates
749
816
883
895
Insurance contracts that are assets
-
-
-
191
Tangible assets
7,298
8,737
9,253
9,759
Property, plant and equipment
7,107
8,441
9,046
9,506
Tangible assets for own use
-
-
8,295
8,501
Assets leased out under an operating lease
-
-
751
1,004
Investment property
191
296
207
253
Intangible assets and goodwill
2,197
2,156
2,363
2,490
Goodwill
818
707
795
700
Intangible assets other than goodwill
1,379
1,449
1,568
1,790
Tax assets
15,850
16,472
17,501
18,650
Current tax assets
932
1,978
2,860
4,295
Deferred tax assets
14,917
14,494
14,641
14,354
Other assets
1,934
2,614
2,859
5,525
Inventories
424
325
276
1,299
Rest other assets
1,510
2,289
2,583
4,226
Non-current assets or disposal groups classified as held for sale
1,061
1,022
923
828
Assets
662,885
713,140
775,558
772,402
Financial liabilities at fair value through profit or loss that meet definition of held for trading
-
-
121,715
86,591
Derivative financial liabilities held for trading
31,705
37,909
33,045
33,059
Short positions held for trading
-
-
15,735
13,878
Deposits from central banks held for trading
11,248
3,950
6,397
3,360
Deposits from credit institutions held for trading
-
-
-
16,285
Customer deposits held for trading
-
-
-
20,010
Financial liabilities at fair value through profit or loss, designated upon initial recognition or subsequently
-
-
13,299
14,952
Deposits from customers at fair value through profit or loss, designated upon initial recognition or subsequently
-
-
-
934
Other Financial liabilities at fair value through profit or loss, designated upon initial recognition or subsequently
-
-
8,605
9,420
Financial liabilities at amortised cost
487,893
528,629
557,589
584,339
Liabilities due to central banks
47,351
38,323
20,309
14,668
Deposits from banks
-
-
-
34,406
Deposits from customers
-
-
-
447,646
Debt instruments issued at amortised cost
-
-
-
69,867
Other financial liabilities
15,183
14,086
15,046
17,753
Derivative financial liabilities held for hedging
2,626
3,303
2,625
2,503
Insurance contracts issued that are liabilities
10,865
11,848
12,110
10,981
Provisions
5,889
4,933
4,924
4,619
Provisions for employee benefits
3,576
2,632
2,571
2,348
Other long term employees benefits
632
466
435
384
Legal proceedings provision
623
685
696
791
Provisions commitments and guarantees given
691
770
770
667
Other provisions
366
380
452
429
Tax liabilities
2,413
2,742
2,554
3,033
Current tax liabilities
644
1,415
878
575
Deferred tax liabilities
1,769
1,326
1,677
2,458
Other liabilities
3,621
4,880
5,477
5,370
Liabilities
614,125
662,526
720,293
712,388
Shareholders equity
60,383
64,422
67,955
72,875
Issued capital
3,267
2,955
2,861
2,824
Paid up capital
-
-
2,861
2,824
Share premium
23,599
20,856
19,769
19,184
Other equity interest
60
63
40
40
Retained earnings
31,841
32,536
36,237
40,693
Other reserves
-1,857
2,345
2,015
1,814
Reserves or accumulated losses of investments in subsidaries joint ventures and associates
-247
-221
-237
-227
Other
-1,610
2,566
2,252
2,041
Treasury shares
647
29
34
66
Profit or loss attributable to owners of the parent
4,653
6,420
8,019
10,054
Interim dividends
-532
-722
-951
-1,668
Accumulated other comprehensive income
-16,476
-17,432
-16,254
-17,220
Items that will not be reclassified to profit or loss
-2,075
-1,881
-2,105
-1,988
Actuarial gains or losses on defined benefit pension plans that will not be reclassified to profit or loss
-
-
-1,049
-1,067
Fair value changes of equity instruments measured at fair value through other comprehensive income that will not be reclassified to profit or loss
-
-1,194
-1,112
-905
Fair value changes of financial liabilities at fair value through profit or loss attributable to changes in their credit risk
2
72
55
-17
Other comprehensive income that will be reclassified to profit or loss, net of tax
-14,401
-15,550
-14,148
-15,232
Foreign currency translation
-
-
-2,498
-2,329
Foreign currency translation
-
-
-11,419
-12,702
Hedging derivatives. Cash flow hedges effective portion
-
-
133
370
Fair value changes of debt instruments measured at fair value through other comprehensive income that may be reclassified to profit or loss
-
-
-357
-576
Share of other recognized income and expense of investments in joint ventures and associates that may be reclassified to profit or loss
-
-
-8
5
Non-controlling interests
4,853
3,624
3,564
4,359
Accumulated other comprehensive income non controlling interest
-8,414
-3,112
-3,321
-2,730
Other non controlling interest items
13,267
6,736
6,885
7,089
Equity
48,760
50,615
55,265
60,014
Equity and liabilities
662,885
713,140
775,558
772,402