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BBVA vs T

Comparison between Banco Bilbao Vizcaya Argentaria. (BBVA, Company) and AT&T Inc (T, Company).

BBVA is from the Financial Services sector, while T is from the Communication Services sector.

5-Year PerformanceBBVA has outperformed T, delivering a return of +41.4% compared to +8.4%

BBVA vs T - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
Winner
BBVA
$162B
T
$160B
Max Drawdown
BBVA
90.35%
Winner
T
69.56%
Sharpe Ratio
Winner
BBVA
1.66
T
-0.48
5Y Beta
BBVA
0.99
Winner
T
-0.04
Industry
BBVA
Banks - Diversified
T
Telecom Services
P/E Ratio
BBVA
12.72
Winner
T
7.35
Forward P/E
BBVA
12.90
Winner
T
9.98
PEG Ratio
BBVA
1.07
Winner
T
0.07
Dividend Yield
BBVA
3.83%
Winner
T
4.75%
5Y Dividends CAGR
BBVA
N/A
T
-2.45%
5Y EPS CAGR
Winner
BBVA
24.47%
T
7.17%
Debt to Equity
BBVA
180.07%
Winner
T
7.37%
Free Cash Flow Yield
BBVA
7.40%
Winner
T
25.18%
P/S Ratio
BBVA
4.54
Winner
T
1.24
P/B Ratio
BBVA
2.28
Winner
T
1.44

BBVA vs T - Historical Returns

Returns include dividend reinvestment.

1M
BBVA
+7.65%
Winner
T
+16.72%
3M
Winner
BBVA
+26.99%
T
-6.06%
6M
Winner
BBVA
+20.46%
T
-10.53%
1Y
Winner
BBVA
+66.53%
T
-9.71%
5Y(CAGR)
Winner
BBVA
+41.39%
T
+8.42%
10Y(CAGR)
Winner
BBVA
+23.88%
T
+2.74%
Max(CAGR)
Winner
BBVA
+8.07%
T
+3.65%

BBVA vs T - Annual Returns (1999 - 2026)

Returns include dividend reinvestment.

YearBBVAT
2026+20.96%-0.01%
2025+158.87%+13.68%
2024+13.05%+40.19%
2023+58.11%-4.43%
2022+8.76%+2.29%
2021+22.01%-10.18%
2020-8.81%-20.94%
2019+10.54%+40.69%
2018-35.31%-21.56%
2017+30.21%-5.04%
2016-0.04%+30.11%
2015-20.53%+7.43%
2014-17.58%+1.25%
2013+37.38%+5.71%
2012+18.60%+16.97%
2011-8.94%+7.94%
2010-41.41%+9.49%
2009+53.63%+1.54%
2008-45.49%-27.03%
2007+1.45%+23.34%
2006+34.63%+51.80%
2005+4.31%+1.26%
2004+31.06%+7.45%
2003+44.56%-1.09%
2002-21.32%-28.84%
2001-12.43%-20.15%
2000+3.93%+3.80%
1999+5.68%-8.02%

BBVA vs T Drawdown Comparison

The maximum drawdown for BBVA was -78.40%, occurring on Sep 23, 2020. Recovery took 4068 trading sessions.

The maximum drawdown for T was -64.11%, occurring on Mar 11, 2003. Recovery took 1624 trading sessions.

The current BBVA drawdown is -0.78%. The current T drawdown is -16.59%.

RankBBVAT
#1-78.40%
Dec 10, 2007 - Feb 8, 2024
-64.11%
Nov 22, 2000 - May 15, 2007
#2-56.37%
Jan 18, 2001 - Oct 19, 2004
-45.51%
Sep 26, 2007 - Apr 30, 2012
#3-23.17%
Aug 15, 2000 - Jan 8, 2001
-42.34%
Nov 18, 2019 - Sep 16, 2024
#4-22.14%
Jan 27, 2026 - Jul 2, 2026
-35.13%
Dec 7, 1999 - Oct 23, 2000
#5-21.02%
Feb 15, 2000 - Aug 15, 2000
-29.37%
Mar 17, 2017 - Sep 10, 2019
#6-19.76%
Mar 18, 2025 - Apr 28, 2025
-28.88%
Mar 27, 2026 - Jul 1, 2026
#7-18.76%
Apr 29, 2024 - Jan 27, 2025
-20.60%
Sep 15, 2025 - Mar 4, 2026
#8-17.47%
May 10, 2006 - Aug 17, 2006
-15.71%
Aug 11, 2016 - Jan 3, 2017
#9-16.03%
Feb 15, 2007 - Dec 10, 2007
-15.02%
Apr 23, 2013 - Jul 29, 2014
#10-14.48%
Dec 8, 1999 - Feb 14, 2000
-12.56%
Oct 4, 2012 - Apr 2, 2013
#11-13.55%
Dec 29, 2004 - Aug 11, 2005
-11.01%
Jul 29, 2014 - Jun 4, 2015
#12-8.93%
Apr 8, 2024 - Apr 26, 2024
-10.92%
Jun 25, 2015 - Jan 22, 2016
#13-7.59%
Jul 9, 2025 - Jul 31, 2025
-8.60%
Jul 2, 2007 - Sep 19, 2007
#14-7.33%
Nov 12, 2025 - Dec 2, 2025
-8.56%
Dec 6, 2024 - Jan 27, 2025
#15-6.65%
Aug 15, 2025 - Sep 19, 2025
-7.73%
Apr 3, 2025 - Jun 10, 2025

Correlation

Correlation between BBVA and T is 0.59 which considered as a moderate positive correlation - the stocks show some tendency to move together.

0.59
-101

Dividend Comparison (1999 - 2026)

BBVA vs T dividend yield comparison.

YearBBVAT
20262.52%3.51%
20253.51%4.47%
20247.71%4.87%
20235.51%6.62%
20226.29%6.66%
20212.79%8.45%
20203.50%7.23%
20195.23%5.22%
20185.75%7.01%
20175.17%5.04%
20166.02%4.51%
20154.29%5.46%
20145.71%5.48%
20134.47%5.12%
20128.70%5.22%
20118.73%5.69%
20107.94%5.72%
20094.14%5.85%
20089.19%5.61%
20073.65%3.42%
20062.54%3.72%
20052.80%5.54%
20042.38%8.54%
20032.36%8.51%
20023.08%5.04%
20012.03%2.99%
20001.74%2.10%
19990.09%0.00%

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