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Banco Bilbao Vizcaya Argentaria, S.A.

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index 0 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 32 33 34 35 36 37 38 39 40
Rok finansowy 2014 2015 2015 2015 2015 2016 2016 2016 2016 2017 2017 2017 2017 2018 2018 2018 2018 2019 2019 2019 2019 2020 2020 2020 2020 2021 2021 2021 2021 2022 2022 2022 2022 2023 2023 2023 2023 2024 2024 2024 2024
Kwartał Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4
Aktywa 651 511.0 672 598.0 689 071.0 746 477.0 750 078.0 740 947.0 746 040.0 724 627.0 731 856.0 719 193.0 702 429.0 690 797.0 690 059.0 685 441.0 689 632.0 668 985.0 676 689.0 691 200.0 697 626.0 709 017.0 698 690.0 724 722.0 753 824.0 727 014.0 736 258.0 719 705.0 648 169.0 651 834.0 662 885.0 675 842.0 715 294.0 738 680.0 713 140.0 739 564.0 762 456.0 757 736.0 775 558.0 801 690.0 759 534.0 769 341.0 772 402.0
Aktywa trwałe 209 743.0 222 515.0 223 364.0 190 954.0 225 677.0 226 007.0 180 372.0 170 343.0 204 630.0 203 945.0 151 903.0 149 746.0 178 216.0 208 098.0 148 268.0 205 916.0 141 268.0 154 647.0 163 767.0 240 387.0 228 041.0 251 478.0 166 101.0 243 523.0 248 829.0 161 583.0 164 860.0 162 204.0 152 706.0 155 854.0 241 470.0 243 765.0 232 867.0 162 061.0 167 543.0 167 566.0 274 993.0 785 500.0 635 336.0 481 946.0 522 398.0
Rzeczowe aktywa trwałe netto 8 014.0 8 057.0 8 753.0 7 772.0 9 944.0 9 697.0 8 300.0 8 203.0 8 941.0 8 940.0 7 649.0 7 403.0 7 191.0 6 948.0 6 586.0 6 688.0 7 066.0 10 183.0 10 084.0 10 208.0 10 068.0 9 344.0 8 797.0 8 690.0 8 629.0 7 489.0 7 112.0 7 075.0 7 108.0 7 147.0 8 043.0 8 259.0 8 661.0 8 648.0 8 612.0 9 124.0 9 253.0 9 660.0 8 494.0 8 143.0 9 759.0
Wartość firmy 5 697.0 0.0 0.0 6 709.0 6 811.0 0.0 6 674.0 6 692.0 6 937.0 0.0 6 487.0 6 268.0 6 062.0 0.0 6 148.0 0.0 6 180.0 6 287.0 6 203.0 0.0 4 955.0 0.0 2 760.0 0.0 910.0 896.0 889.0 881.0 818.0 846.0 727.0 760.0 707.0 746.0 793.0 799.0 795.0 823.0 760.0 688.0 0.0
Wartości niematerialne i prawne 8 840.0 9 493.0 9 212.0 3 088.0 10 275.0 9 858.0 3 262.0 2 811.0 9 786.0 9 561.0 2 560.0 2 475.0 8 464.0 8 199.0 2 225.0 8 213.0 2 134.0 2 096.0 2 059.0 8 508.0 6 966.0 4 702.0 1 862.0 4 369.0 4 297.0 1 401.0 1 415.0 1 390.0 1 379.0 1 377.0 1 413.0 1 451.0 1 449.0 1 464.0 1 491.0 1 512.0 2 363.0 1 584.0 1 620.0 1 634.0 0.0
Wartość firmy i wartości niematerialne i prawne 8 840.0 9 493.0 9 212.0 9 797.0 10 275.0 9 858.0 9 936.0 9 503.0 9 786.0 9 561.0 9 047.0 8 743.0 8 464.0 8 199.0 8 373.0 8 213.0 8 314.0 8 383.0 8 262.0 8 508.0 6 966.0 4 702.0 4 622.0 4 369.0 4 297.0 2 297.0 2 304.0 2 271.0 2 197.0 2 223.0 2 140.0 2 211.0 2 156.0 2 210.0 2 284.0 2 311.0 2 363.0 2 407.0 2 380.0 2 322.0 2 490.0
Należności netto 9 130.0 0.0 0.0 10 336.0 10 942.0 0.0 10 310.0 10 232.0 11 072.0 0.0 10 490.0 10 742.0 33 510.0 0.0 2 195.0 0.0 28 870.0 17 695.0 1 882.0 0.0 27 752.0 0.0 24 366.0 0.0 25 149.0 17 244.0 0.0 0.0 0.0 0.0 0.0 0.0 38 026.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Inwestycje długoterminowe 192 889.0 204 965.0 205 399.0 173 385.0 205 458.0 206 452.0 162 136.0 152 637.0 185 903.0 185 444.0 135 207.0 133 600.0 162 561.0 192 951.0 133 309.0 191 015.0 125 888.0 136 081.0 145 421.0 221 671.0 211 007.0 237 432.0 152 682.0 230 464.0 235 903.0 151 797.0 155 444.0 152 858.0 143 401.0 146 484.0 146 274.0 146 070.0 138 956.0 151 203.0 156 647.0 156 131.0 263 377.0 270 813.0 2 080.0 256 429.0 495 471.0
Aktywa obrotowe 139 135.0 128 736.0 137 328.0 164 032.0 167 677.0 131 791.0 132 682.0 137 959.0 135 636.0 145 714.0 124 387.0 131 259.0 145 821.0 120 130.0 103 544.0 121 757.0 147 560.0 143 745.0 110 006.0 123 862.0 137 619.0 129 627.0 165 193.0 163 157.0 166 445.0 150 476.0 141 940.0 141 308.0 164 053.0 142 776.0 166 564.0 176 650.0 197 193.0 157 580.0 148 410.0 140 262.0 162 248.0 16 190.0 124 198.0 287 395.0 250 004.0
Środki pieniężne i Inwestycje 130 005.0 128 736.0 137 328.0 153 696.0 156 735.0 131 791.0 122 372.0 127 727.0 124 564.0 145 714.0 113 897.0 120 517.0 112 311.0 120 130.0 101 349.0 121 757.0 118 690.0 126 050.0 108 124.0 123 862.0 109 867.0 129 627.0 140 827.0 163 157.0 141 296.0 133 232.0 140 039.0 138 928.0 134 956.0 141 000.0 164 493.0 173 397.0 159 167.0 154 430.0 144 779.0 136 144.0 162 248.0 16 190.0 (35 920.0) 150 164.0 250 004.0
Zapasy 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 (133 359.0) (138 645.0) (143 632.0) (144 373.0) (163 909.0) (175 939.0) (153 250.0) (207 662.0) (154 503.0) (146 933.0) (255 245.0) 0.0 (5 242.0) 0.0 0.0
Inwestycje krótkoterminowe 98 734.0 101 183.0 107 136.0 117 567.0 113 426.0 92 476.0 90 638.0 86 673.0 79 221.0 78 846.0 74 665.0 74 599.0 69 476.0 59 212.0 63 179.0 61 602.0 56 304.0 60 172.0 63 331.0 63 275.0 61 183.0 61 229.0 70 012.0 72 198.0 74 416.0 72 743.0 73 158.0 69 936.0 60 394.0 65 077.0 63 196.0 62 497.0 58 953.0 66 251.0 63 954.0 63 766.0 62 205.0 62 884.0 60 666.0 59 961.0 167 950.0
Środki pieniężne i inne aktywa pieniężne 33 908.0 27 553.0 30 192.0 36 129.0 43 467.0 39 315.0 31 734.0 41 054.0 80 307.0 66 868.0 39 232.0 45 918.0 76 241.0 60 918.0 38 170.0 60 155.0 62 386.0 50 283.0 44 793.0 60 587.0 62 227.0 68 398.0 70 815.0 90 959.0 98 124.0 60 489.0 66 967.0 68 992.0 74 562.0 75 923.0 90 440.0 95 188.0 85 092.0 88 179.0 80 825.0 72 378.0 100 043.0 105 499.0 53 254.0 90 203.0 82 054.0
Należności krótkoterminowe 165.0 0.0 0.0 1 106.0 0.0 0.0 149.0 174.0 160.0 0.0 92.0 122.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Dług krótkoterminowy 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 488.0 0.0 0.0 0.0 436.0 0.0 0.0 0.0 284.0 0.0 0.0 0.0 236.0 0.0 87 067.0 0.0 0.0
Zobowiązania krótkoterminowe 165.0 0.0 0.0 1 106.0 0.0 0.0 149.0 174.0 160.0 0.0 92.0 122.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 269.0 0.0 0.0 0.0 244.0 0.0 425 356.0 357 369.0 218.0 361 599.0 475 506.0 426 221.0 142.0 497 757.0 563 944.0 502 602.0 439 258.0 2 675.0 494 540.0 0.0 566 942.0
Rozliczenia międzyokresowe 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0
Zobowiązania długoterminowe 76 688.0 620 232.0 638 075.0 85 424.0 694 639.0 686 431.0 79 319.0 80 227.0 80 010.0 664 275.0 72 550.0 72 154.0 636 736.0 633 618.0 637 546.0 617 888.0 623 816.0 637 654.0 642 938.0 651 988.0 65 891.0 681 749.0 704 271.0 678 493.0 66 401.0 668 993.0 598 226.0 601 267.0 218.0 627 584.0 666 500.0 688 782.0 142.0 59 811.0 70 294.0 72 620.0 68 707.0 743 235.0 207 903.0 0.0 145 446.0
Rezerwy z tytułu odroczonego podatku 3 177.0 0.0 0.0 3 424.0 3 483.0 0.0 3 585.0 3 630.0 3 392.0 0.0 2 848.0 2 687.0 2 184.0 0.0 2 186.0 0.0 2 046.0 0.0 2 323.0 0.0 1 928.0 0.0 1 968.0 0.0 1 810.0 0.0 1 824.0 1 819.0 1 769.0 1 468.0 1 212.0 1 264.0 1 326.0 1 958.0 2 087.0 2 195.0 1 677.0 2 311.0 2 332.0 2 821.0 0.0
Zobowiązania długoterminowe 76 688.0 620 232.0 638 075.0 85 424.0 694 639.0 686 431.0 79 319.0 80 227.0 80 010.0 664 275.0 72 550.0 72 154.0 636 736.0 633 618.0 637 546.0 617 888.0 623 816.0 637 654.0 642 938.0 651 988.0 65 891.0 681 749.0 704 271.0 678 493.0 66 401.0 668 993.0 598 226.0 601 267.0 218.0 627 584.0 666 500.0 688 782.0 142.0 59 811.0 70 294.0 72 620.0 68 707.0 743 235.0 207 903.0 0.0 145 446.0
Zobowiązania z tytułu leasingu 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 0.0 3 433.0 3 415.0 0.0 3 335.0 0.0 3 129.0 0.0 244.0 0.0 0.0 0.0 218.0 0.0 0.0 0.0 142.0 0.0 1 407.0 1 516.0 236.0 0.0 1 455.0 0.0 0.0
Zobowiązania ogółem 599 902.0 620 232.0 638 075.0 692 875.0 694 639.0 686 431.0 690 078.0 668 737.0 676 429.0 664 275.0 647 704.0 636 397.0 636 736.0 633 618.0 637 546.0 617 888.0 623 816.0 637 654.0 642 938.0 651 988.0 643 766.0 681 749.0 704 271.0 678 493.0 686 239.0 668 993.0 598 226.0 601 267.0 614 125.0 627 584.0 666 500.0 688 782.0 662 523.0 59 811.0 70 294.0 72 620.0 68 707.0 745 912.0 702 443.0 712 569.0 712 388.0
Kapitał (fundusz) podstawowy 49 446.0 50 347.0 52 177.0 3 090.0 50 639.0 50 555.0 3 175.0 3 175.0 52 821.0 53 188.0 3 267.0 3 267.0 55 136.0 54 432.0 3 267.0 56 502.0 3 267.0 3 267.0 3 267.0 0.0 3 267.0 0.0 3 267.0 0.0 3 267.0 3 267.0 3 267.0 3 267.0 3 267.0 3 267.0 3 129.0 2 955.0 2 955.0 2 955.0 2 923.0 2 923.0 67 955.0 66 947.0 2 824.0 70 536.0 72 875.0
Zyski zatrzymane 0.0 0.0 0.0 0.0 0.0 0.0 23 797.0 23 809.0 23 688.0 0.0 25 580.0 25 585.0 25 474.0 0.0 26 075.0 0.0 23 018.0 26 345.0 28 870.0 0.0 26 402.0 0.0 30 589.0 0.0 31 813.0 33 009.0 33 231.0 34 557.0 36 494.0 36 080.0 35 560.0 37 465.0 38 956.0 38 263.0 40 257.0 42 246.0 43 068.0 43 173.0 45 658.0 46 751.0 0.0
Kapitał własny 51 609.0 52 366.0 50 996.0 53 602.0 55 439.0 54 516.0 55 962.0 55 890.0 55 427.0 54 918.0 54 725.0 54 400.0 53 323.0 51 823.0 52 086.0 51 097.0 52 873.0 53 546.0 54 688.0 57 029.0 54 924.0 42 973.0 49 553.0 48 521.0 50 019.0 50 712.0 49 943.0 50 567.0 48 760.0 48 258.0 48 794.0 49 898.0 50 617.0 51 472.0 52 568.0 53 453.0 55 265.0 55 778.0 57 091.0 56 772.0 60 014.0
Udziały mniejszościowe 2 511.0 1 692.0 1 728.0 7 329.0 8 149.0 8 132.0 8 527.0 8 324.0 8 064.0 6 874.0 6 895.0 7 069.0 6 979.0 6 592.0 6 336.0 5 100.0 5 764.0 5 718.0 5 839.0 6 299.0 6 201.0 0.0 5 836.0 5 404.0 5 471.0 5 396.0 5 428.0 5 628.0 4 853.0 5 258.0 3 351.0 3 654.0 3 624.0 3 680.0 3 517.0 3 703.0 3 564.0 3 775.0 3 851.0 3 883.0 4 359.0
Pasywa 651 511.0 672 598.0 689 071.0 746 477.0 750 078.0 740 947.0 746 040.0 724 627.0 731 856.0 719 193.0 702 429.0 690 797.0 690 059.0 685 441.0 689 632.0 668 985.0 676 689.0 691 200.0 697 626.0 709 017.0 698 690.0 724 722.0 753 824.0 727 014.0 736 258.0 719 705.0 648 169.0 651 834.0 662 885.0 675 842.0 715 294.0 738 680.0 713 140.0 739 564.0 762 456.0 757 736.0 775 558.0 801 690.0 759 534.0 769 341.0 772 402.0
Inwestycje 242 579.0 306 148.0 312 535.0 290 952.0 318 884.0 298 928.0 252 774.0 239 310.0 222 015.0 264 290.0 209 872.0 208 199.0 196 067.0 252 163.0 196 488.0 252 617.0 182 192.0 257 628.0 208 752.0 284 946.0 203 519.0 298 661.0 222 694.0 302 662.0 217 021.0 224 540.0 228 602.0 222 794.0 203 795.0 211 561.0 294 217.0 295 511.0 280 954.0 217 454.0 220 601.0 219 897.0 325 582.0 333 697.0 2 080.0 316 390.0 663 421.0
Dług 73 511.0 73 982.0 78 425.0 82 000.0 82 274.0 75 071.0 75 734.0 76 597.0 76 618.0 72 840.0 69 702.0 69 467.0 63 915.0 60 866.0 65 044.0 62 022.0 64 192.0 69 409.0 70 495.0 63 324.0 63 963.0 64 937.0 71 752.0 67 024.0 64 591.0 61 395.0 58 789.0 58 992.0 61 719.0 59 227.0 58 982.0 59 238.0 60 116.0 57 853.0 68 207.0 70 425.0 68 707.0 73 627.0 185 203.0 67 325.0 69 867.0
Środki pieniężne i inne aktywa pieniężne 33 908.0 27 553.0 30 192.0 36 129.0 43 467.0 39 315.0 31 734.0 41 054.0 80 307.0 66 868.0 39 232.0 45 918.0 76 241.0 60 918.0 38 170.0 60 155.0 62 386.0 50 283.0 44 793.0 60 587.0 62 227.0 68 398.0 70 815.0 90 959.0 98 124.0 60 489.0 66 967.0 68 992.0 74 562.0 75 923.0 90 440.0 95 188.0 85 092.0 88 179.0 80 825.0 72 378.0 100 043.0 105 499.0 53 254.0 90 203.0 82 054.0
Dług netto 39 603.0 46 429.0 48 233.0 45 871.0 38 807.0 35 756.0 44 000.0 35 543.0 (3 689.0) 5 972.0 30 470.0 23 549.0 (12 326.0) (52.0) 26 874.0 1 867.0 1 806.0 19 126.0 25 702.0 2 737.0 1 736.0 (3 461.0) 937.0 (23 935.0) (33 533.0) 906.0 (8 178.0) (10 000.0) (12 843.0) (16 696.0) (31 458.0) (35 950.0) (24 976.0) (30 326.0) (12 618.0) (1 953.0) (31 336.0) (31 872.0) 131 949.0 (22 878.0) (12 187.0)
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