BBVA – Dividend Returns, History & Calculator

Dividend Challenger 5 Years

Dividend Data

Div Yield 6.15%
5Y Avg Yield 6.75%
Current Div $0.708
Payouts/Year 2
Annualized $1.416
Previous Div $0.369
Ex-date Apr 9, 2026
Dividend Pay Date Apr 27, 2026

Price Data

Price $23.03
Price Change -0.28
Price Change % -1.20%
Next Earnings Report Apr 30, 2026
Low (52W) $13.24
High (52W) $26.20

Growth Rates

Chowder Number 64.5
DGR 1Y 37.7%
DGR 3Y 33.8%
DGR 10Y 10.1%

Total Returns

TTR 1Y - With Specials 88.5%
TTR 3Y - With Specials 57.0%
TTR 1Y - No Specials 88.5%
TTR 3Y - No Specials 57.0%

Fair Value

Fair Value (P/E 10) $8.37
FV (P/E 10) % 175.0%
Fair Value (Peter Lynch) $51.75
FV (Peter Lynch) % -55.0%
Fair Value (Blended) $8.71
FV (Blended) % 164.0%

Financial Metrics

Revenue 1Y 4.1%
NPM 28.2%
CF/Share $2.66
ROE 18.3%
Debt/Capital 61.0%
ROTC 7.7%
P/E 11.1x
P/BV 1.9x
PEG 2.40

Company Info

Symbol BBVA
Company Banco Bilbao Vizcaya Argentaria
Sector Financial Services
Industry Banks - Diversified
Website Visit
Market Cap $129,751.2M
📊 Financial data last updated: April 16, 2026 3:01 pm

Calculate your BBVA Dividend Returns

Quickly and easily calculate BBVA dividend yield using our BBVA calculator. Adjust the fields below to see how your BBVA investments snowball over time.

Show Idealized Scenario (Assumes all future extra investments and dividends are made on Day 1 and reinvested instantly — this creates a best-case scenario for compounding growth.)

Portfolio Growth Over Time

Data last updated: April 17, 2026 11:03 am

Year-by-Year Portfolio Growth (Realistic DRIP Scenario)

YearStart BalanceStart SharesShare PriceDividend / ShareDividend YieldYield on CostAnnual DividendTotal DividendsEnd SharesEnd Balance
1$10,000435$22.97$0.716.16%6.16%$682$682517$11,882
2$13,436517$25.97$0.876.69%7.57%$975$1,657601$15,612
3$17,654601$29.37$1.077.27%9.29%$1,372$3,030689$20,226
4$22,872689$33.22$1.317.89%11.41%$1,912$4,941782$25,984
5$29,383782$37.56$1.618.57%14.01%$2,649$7,590885$33,232
6$37,579885$42.47$1.979.30%17.19%$3,661$11,251999$42,440
7$47,992999$48.03$2.4210.10%21.11%$5,060$16,3111,130$54,251
8$61,3481,130$54.31$2.9810.96%25.92%$7,009$23,3201,281$69,558
9$78,6571,281$61.42$3.6511.90%31.82%$9,748$33,0681,459$89,605
10$101,3271,459$69.45$4.4912.92%39.07%$13,633$46,7011,673$116,160

BBVA Dividend History

Ex-Date Payment Date Amount TTM Yield Forward Yield Price on Ex-Date
04/09/202604/09/2026$0.7088.19%6.24%$22.70
11/06/202511/06/2025$0.3697.62%3.57%$20.68
04/09/202504/09/2025$0.45810.91%7.26%$12.61
10/09/202410/09/2024$0.32412.33%6.38%$10.15
04/08/202404/08/2024$0.4259.05%7.37%$11.53
10/06/202310/06/2023$0.16911.00%4.23%$8.00
04/03/202304/03/2023$0.33311.75%9.74%$6.84
10/07/202210/07/2022$0.11712.02%5.19%$4.51
04/06/202204/06/2022$0.26111.35%9.91%$5.27
10/08/202110/08/2021$0.0936.55%2.73%$6.82
04/27/202104/27/2021$0.0719.82%2.60%$5.46
04/07/202004/07/2020$0.17321.10%11.20%$3.09
10/11/201910/11/2019$0.11011.29%4.25%$5.18
04/08/201904/08/2019$0.18210.18%6.02%$6.05
04/06/201804/06/2018$0.1876.70%4.84%$7.73
10/05/201710/05/2017$0.1064.94%2.49%$8.51
03/31/201703/31/2017$0.1415.32%3.71%$7.61
01/09/201701/09/2017$0.0845.96%2.46%$6.84
09/30/201609/30/2016$0.0896.90%2.99%$5.96
07/06/201607/06/2016$0.0917.62%3.36%$5.41
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Invest in BBVA with Interactive Brokers

BBVA 10-yr Total Return ($10,000 invested)

This analysis of BBVA demonstrates the power of dividend reinvestment over a 10-year period with a $10,000 initial investment. The dividend reinvestment strategy delivered a 22.2% CAGR, representing exceptional long-term performance. Recent 5-year performance has been particularly strong at 42.3% annually, outpacing the 10-year average. The DRIP strategy provided 18% more total return compared to collecting dividends as cash, highlighting the compounding effect of reinvestment.

With DRIP No DRIP

Total Return with and without DRIP (BBVA)

Over the selected period, investing $10,000 in BBVA would grow to $138,482 with DRIP (1,284.8%), and $84,180 without DRIP (741.8%).

BBVA Dividend Reinvestment Snowball

Investing $10,000 + $100/mo in BBVA with historic price growth (13.08%) and dividend growth (22.77%) produces dramatically different outcomes depending on whether you reinvest dividends.

After 20 Years

Your Investment: $34,000

With DRIP

Portfolio: $2,679,156

Annual Dividend: $855,161

Yield on Cost: 2,515.18%

Total Dividends: $1,701,085

No DRIP

Portfolio: $514,162

Total Dividends: $292,369

After 30 Years

Your Investment: $46,000

With DRIP

Portfolio: $472,436,875

Annual Dividend: $343,137,060

Yield on Cost: 745,950.13%

Total Dividends: $384,648,828

No DRIP

Portfolio: $3,233,019

Total Dividends: $2,450,941

Milestones on the way

By year 13, the compounding really starts to show. Your total dividends collected reach $121,846 against a total investment of $25,600. At this point, your portfolio is throwing off $48,246 per year in dividends alone.

By year 17, the annual dividend climbs to around your initial contribution. For a starting investment of $10,000, the yearly dividend now sits at approximately $227,303, a powerful “income on autopilot” milestone.

After two decades, cumulative dividends total $1,701,085 versus $34,000 invested, nearly a 5,003% recovery of capital purely from income. Yield on cost reaches 2,515.18%.

At year 25, the income engine takes over. The portfolio’s annual dividend of $11,914,993 is greater than total contributions to date ($40,000), and cumulative dividends exceed $18,233,616.

By year 30, the DRIP snowball is in full force. Yearly income reaches $343,137,060, cumulative dividends total $384,648,828, and the DRIP portfolio value stands at $472,436,875, compared with $3,233,019 if dividends weren’t reinvested.

How we estimate these numbers

We use the latest calculator inputs for BBVA, price $22.97, dividend per period $0.71 (2x/year), along with historic growth assumptions: price growth 13.08% and dividend growth 22.77% annually.

We simulate month by month for 30 years. Every month, a $100 contribution is added and converted to shares at that month’s price. Dividends are paid roughly evenly across the year based on the dividend frequency; in the DRIP path, each payout immediately buys additional shares at the then-current price. In the No-DRIP path, dividends accrue as cash. Prices grow using a monthly rate derived from the annual price growth. Dividends per share increase once per year at the annual dividend growth rate.

This model isn’t investment advice; it’s a simple, transparent framework that illustrates how reinvesting dividends can accelerate both income and total return over time.

Projected Future Returns & Dividends for BBVA

Based on past 10-year performance, here are BBVA growth metrics:

Share price CAGR of +6.76%
Dividend CAGR of +14.61%

Using BBVA CAGR metrics, we can estimate that your initial $10,000 investment, over the next 10 years, should grow as follows:

BBVA (DRIP)BBVA (No DRIP)
Current Price$21.35$21.35
Start Shares468.38468.38
Start Value$10,000$10,000
After 10 years:
Final Share Count778.26468.38
Dividends Payment$2.89$2.89
Annual Dividends$2,099$1,352
Yield on cost20.99%13.52%
Share Price$41.06$41.06
Total Dividends$10,267$7,892
Final Value$31,953$27,123

Estimated Future Value + Dividends – BBVA

Dividend History: Payments & Yield

Shows quarterly dividend payments with trailing yield and a 5-year rolling average overlay. Use the range pills to switch the visible period.

Yield Dividend

Dividend Growth

Lifetime quarterly dividend amounts, with range controls for 1Y/2Y/5Y/10Y. Useful to visualize the cadence and pace of dividend increases over time.

Dividend

Dividend Payments & Yield

Quarterly dividends with TTM yield and a 5‑year rolling average overlay. Helps compare current yield versus recent history across different ranges.

Dividend 5-yr Rolling AVG Yield

BBVA Dividend History

Ex-Date Payment Date Amount TTM Yield Forward Yield Price on Ex-Date
04/09/202604/09/2026$0.7088.19%6.24%$22.70
11/06/202511/06/2025$0.3697.62%3.57%$20.68
04/09/202504/09/2025$0.45810.91%7.26%$12.61
10/09/202410/09/2024$0.32412.33%6.38%$10.15
04/08/202404/08/2024$0.4259.05%7.37%$11.53
10/06/202310/06/2023$0.16911.00%4.23%$8.00
04/03/202304/03/2023$0.33311.75%9.74%$6.84
10/07/202210/07/2022$0.11712.02%5.19%$4.51
04/06/202204/06/2022$0.26111.35%9.91%$5.27
10/08/202110/08/2021$0.0936.55%2.73%$6.82
04/27/202104/27/2021$0.0719.82%2.60%$5.46
04/07/202004/07/2020$0.17321.10%11.20%$3.09
10/11/201910/11/2019$0.11011.29%4.25%$5.18
04/08/201904/08/2019$0.18210.18%6.02%$6.05
04/06/201804/06/2018$0.1876.70%4.84%$7.73
10/05/201710/05/2017$0.1064.94%2.49%$8.51
03/31/201703/31/2017$0.1415.32%3.71%$7.61
01/09/201701/09/2017$0.0845.96%2.46%$6.84
09/30/201609/30/2016$0.0896.90%2.99%$5.96
07/06/201607/06/2016$0.0917.62%3.36%$5.41
03/31/201603/31/2016$0.1446.29%4.42%$6.52
01/07/201601/07/2016$0.0875.88%2.54%$6.85
09/30/201509/30/2015$0.0904.97%2.15%$8.37
07/13/201507/13/2015$0.0894.28%1.77%$10.05
03/25/201503/25/2015$0.1374.42%2.69%$10.19
12/17/201412/17/2014$0.1005.72%2.09%$9.59
09/24/201409/24/2014$0.1044.81%1.71%$12.15
07/07/201407/07/2014$0.1094.78%1.71%$12.78
03/26/201403/26/2014$0.2365.59%4.02%$11.75
09/25/201309/25/2013$0.1364.90%2.41%$11.29
07/05/201307/05/2013$0.1306.59%3.13%$8.31
04/03/201304/03/2013$0.1556.37%3.63%$8.53
01/07/201301/07/2013$0.1325.74%2.77%$9.54
09/26/201209/26/2012$0.1316.99%3.35%$7.83
07/05/201207/05/2012$0.1258.39%3.79%$6.60
04/11/201204/11/2012$0.1608.00%4.48%$7.14
01/05/201201/05/2012$0.1317.73%3.26%$8.03
09/27/201109/27/2011$0.1387.22%3.29%$8.39
07/05/201107/05/2011$0.1427.13%2.44%$11.63
03/29/201103/29/2011$0.2106.58%3.42%$12.28
01/05/201101/05/2011$0.1167.36%2.41%$9.62
11/29/201011/29/2010$0.3618.36%7.65%$9.43
10/06/201010/06/2010$0.1214.11%1.79%$13.54
07/07/201007/07/2010$0.1104.85%1.89%$11.65
04/07/201004/07/2010$0.1974.14%2.81%$13.98
12/22/200912/22/2009$0.1293.46%1.47%$17.55
10/07/200910/07/2009$0.1304.15%1.51%$17.22
07/10/200907/10/2009$0.1237.06%2.07%$11.89
01/07/200901/07/2009$0.2269.56%3.90%$11.57
10/07/200810/07/2008$0.2367.52%3.25%$14.52
07/07/200807/07/2008$0.2556.03%2.89%$17.64
04/07/200804/07/2008$0.3904.56%3.53%$22.09
01/07/200801/07/2008$0.2114.07%1.85%$22.77
10/04/200710/04/2007$0.2083.83%1.80%$23.12
07/05/200707/05/2007$0.1973.51%1.65%$23.88
04/04/200704/04/2007$0.3113.34%2.59%$23.99
01/05/200701/05/2007$0.1683.01%1.43%$23.49
10/04/200610/04/2006$0.1622.94%1.42%$22.74
07/05/200607/05/2006$0.1603.19%1.59%$20.14
04/05/200604/05/2006$0.2173.01%2.12%$20.50
01/05/200601/05/2006$0.1323.21%1.46%$17.97
10/05/200510/05/2005$0.1343.47%1.61%$16.62
07/06/200507/06/2005$0.1353.82%1.83%$14.71
04/06/200504/06/2005$0.1773.44%2.24%$15.82
01/05/200501/05/2005$0.1313.03%1.58%$16.49
10/08/200410/08/2004$0.1193.41%1.69%$14.09
07/07/200407/07/2004$0.1173.54%1.79%$13.10
04/06/200404/06/2004$0.1343.42%2.05%$13.01
01/07/200401/07/2004$0.1112.85%1.61%$13.80
10/07/200310/07/2003$0.1023.58%1.96%$10.38
07/07/200307/07/2003$0.0993.45%1.92%$10.30
04/07/200304/07/2003$0.0823.61%1.79%$9.18
01/07/200301/07/2003$0.0893.68%1.83%$9.75
10/07/200210/07/2002$0.0855.02%2.48%$6.86
07/05/200207/05/2002$0.0763.03%1.36%$11.08
04/05/200204/05/2002$0.1092.88%1.90%$11.50
01/07/200201/07/2002$0.0752.74%1.29%$11.57
10/04/200110/04/2001$0.0772.89%1.48%$10.36
07/05/200107/05/2001$0.0712.83%1.19%$11.92
04/05/200104/05/2001$0.0962.42%1.43%$13.41
01/05/200101/05/2001$0.0575.30%0.77%$14.76
10/04/200010/04/2000$0.1145.55%1.52%$15.00
07/05/200007/05/2000$0.0585.45%0.82%$14.21
04/18/200004/18/2000$0.5545.46%7.82%$14.15
01/05/200001/05/2000$0.1071.99%1.56%$13.73
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Dividend Payout Ratio

Tracks the percentage of earnings paid out as dividends each quarter. Lower and stable ratios often indicate safer, more sustainable payouts.

Payout Ratio

Dividend to Free Cash Flow Ratio

Shows dividends as a percentage of free cash flow. Consistently high values may signal limited reinvestment capacity or potential dividend risk.

Dividend/FCF Ratio

Share Price

Historical closing price with range controls. Table view includes quarter‑over‑quarter and year‑over‑year changes for additional context.

BBVA Price

Price to Earnings

BBVA trades at a 49.9x price-to-earnings ratio. This elevated valuation suggests investors expect strong future growth.

Price to Sales

BBVA trades at a 12.4x price-to-sales ratio, providing insight into market valuation relative to revenue generation.

Revenue

BBVA generated $9.8B in revenue. Revenue has grown by 57% over the period.

Net Income

BBVA reported $2.4B in net income. Net income has grown by 52% over the period.

Revenue vs Net Income

BBVA generated $9.8B in revenue with net income of $2.4B, representing a 24.9% net profit margin.

Gross Profit

BBVA achieved $8.0B in gross profit, showing revenue after direct production costs.

Operating Income

BBVA generated $3.4B in operating income, representing profit from core business operations.

EBITDA

BBVA generated $3.9B in EBITDA, measuring operational profitability before interest, taxes, depreciation, and amortization.

Operating Cash Flow

BBVA generated $2.8B in operating cash flow, demonstrating the company’s ability to convert earnings into cash.

Free Cash Flow

BBVA generated $2.5B in free cash flow. Free cash flow has increased by 51% over the period.

Free Cash Flow / Share

BBVA generates $0.44 in free cash flow per share. FCF per share has grown by 51% over the period.

Earnings Per Share (EPS)

BBVA reported $0.43 in earnings per share. EPS has grown by 52% over the period.

Return on Equity (ROE)

BBVA delivered a 20.7% return on equity, indicating how effectively the company generates returns for shareholders.

Return on Assets (ROA)

BBVA achieved a 12.4% return on assets, measuring how efficiently the company uses its assets to generate profit.

Net Profit Margin

BBVA maintains a 24.9% net profit margin, showing the percentage of revenue retained as profit after all expenses.

Gross Profit Margin

BBVA operates with a 82.2% gross profit margin, reflecting pricing power and cost efficiency in core operations.

Cash & Debt

BBVA holds $1.5B in cash against $0.5B in debt, resulting in a net cash position of $1.0B.

Shares Outstanding

BBVA has 5.6B shares outstanding.

Stock-Based Comp

BBVA reported $0.2B in stock-based compensation. Over the period, stock-based compensation has increased by 57%.

FCF vs Stock Based Comp

BBVA generated $2.5B in free cash flow while spending $0.2B on stock-based compensation, representing 10% of FCF.

FCF vs FCF / Share

BBVA reported $2.5B in free cash flow, translating to $0.44 per share.

Revenue: Actual + Estimates

This chart tracks BBVA revenue: actual + estimates metrics over time, providing insights into the company’s financial performance and trends.

EPS: Actual + Estimates

This chart tracks BBVA eps: actual + estimates metrics over time, providing insights into the company’s financial performance and trends.

Net Income: Actual + Estimates

This chart tracks BBVA net income: actual + estimates metrics over time, providing insights into the company’s financial performance and trends.

EBITDA: Actual + Estimates

This chart tracks BBVA ebitda: actual + estimates metrics over time, providing insights into the company’s financial performance and trends.

About Banco Bilbao Vizcaya Argentaria

Banco Bilbao Vizcaya Argentaria, S.A., together with its subsidiaries, provides various financial services in Spain, Mexico, Turkey, South America, Europe, the United States, and Asia. The company offers traditional retail, wholesale, investment, and transacti

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Disclaimer: The information on this page is for educational and entertainment purposes only and does not constitute financial advice. Do your own research and consult a qualified financial advisor before making investment decisions. Data sources include Yahoo Finance and other third-party providers and may contain errors or delays.

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