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PANW vs BBVA

Comparison between Palo Alto Networks Inc (PANW, Company) and Banco Bilbao Vizcaya Argentaria. (BBVA, Company).

PANW is from the Technology sector, while BBVA is from the Financial Services sector.

5-Year PerformanceBBVA has outperformed PANW, delivering a return of +38.6% compared to +29.5%

PANW vs BBVA - Performance Comparison

Key Characteristics

Financial metrics and valuation ratios

Market Cap
Winner
PANW
$129B
BBVA
$125B
Max Drawdown
Winner
PANW
47.98%
BBVA
90.35%
Sharpe Ratio
PANW
0.36
Winner
BBVA
1.57
5Y Beta
PANW
1.17
Winner
BBVA
0.92
Industry
PANW
Software - Infrastructure
BBVA
Banks - Diversified
P/E Ratio
PANW
98.19
Winner
BBVA
10.24
Forward P/E
PANW
46.30
Winner
BBVA
9.68
PEG Ratio
PANW
3.09
Winner
BBVA
0.86
Dividend Yield
PANW
N/A
BBVA
4.84%
5Y EPS CAGR
PANW
N/A
BBVA
25.43%
Debt to Equity
Winner
PANW
0.00%
BBVA
155.61%
Free Cash Flow Yield
PANW
3.08%
Winner
BBVA
82.76%
P/S Ratio
PANW
15.06
Winner
BBVA
3.79
P/B Ratio
PANW
15.88
Winner
BBVA
1.81

PANW vs BBVA - Historical Returns

Returns include dividend reinvestment.

1M
Winner
PANW
+19.62%
BBVA
-1.75%
3M
Winner
PANW
+25.23%
BBVA
-6.51%
6M
PANW
-2.08%
Winner
BBVA
+12.54%
1Y
PANW
+10.26%
Winner
BBVA
+62.13%
5Y(CAGR)
PANW
+29.50%
Winner
BBVA
+38.64%
10Y(CAGR)
Winner
PANW
+24.52%
BBVA
+19.92%
Max(CAGR)
Winner
PANW
+25.70%
BBVA
+7.20%

PANW vs BBVA - Annual Returns (1999 - 2026)

Returns include dividend reinvestment.

YearPANWBBVA
2026+15.89%-4.21%
2025+1.91%+158.87%
2024+25.96%+13.05%
2023+112.99%+58.11%
2022-23.08%+8.76%
2021+58.32%+22.01%
2020+50.97%-8.81%
2019+26.22%+10.54%
2018+26.79%-35.31%
2017+14.18%+30.21%
2016-27.09%-0.04%
2015+45.07%-20.53%
2014+120.21%-17.58%
2013+12.18%+37.38%
2012+0.73%+18.60%
2011N/A-8.94%
2010N/A-41.41%
2009N/A+53.63%
2008N/A-45.49%
2007N/A+1.45%
2006N/A+34.63%
2005N/A+4.31%
2004N/A+31.06%
2003N/A+44.56%
2002N/A-21.32%
2001N/A-12.43%
2000N/A+3.93%
1999N/A+5.68%

PANW vs BBVA Drawdown Comparison

The maximum drawdown for PANW was -47.98%, occurring on Mar 18, 2020. Recovery took 360 trading sessions.

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

The current PANW drawdown is -6.10%. The current BBVA drawdown is -11.99%.

RankPANWBBVA
#1-47.98%
Feb 27, 2019 - Jul 31, 2020
-78.40%
Dec 10, 2007 - Feb 8, 2024
#2-45.20%
Jul 23, 2015 - May 7, 2018
-56.37%
Jan 18, 2001 - Oct 19, 2004
#3-44.86%
Sep 10, 2012 - Feb 13, 2014
-23.17%
Aug 15, 2000 - Jan 8, 2001
#4-36.01%
Oct 28, 2025 - Feb 24, 2026
-22.14%
Jan 27, 2026 - Mar 30, 2026
#5-36.00%
Apr 13, 2022 - May 26, 2023
-21.02%
Feb 15, 2000 - Aug 15, 2000
#6-30.81%
Sep 12, 2018 - Feb 27, 2019
-19.76%
Mar 18, 2025 - Apr 28, 2025
#7-30.49%
Feb 9, 2024 - Oct 21, 2024
-18.76%
Apr 29, 2024 - Jan 27, 2025
#8-26.81%
Feb 18, 2025 - Oct 2, 2025
-17.47%
May 10, 2006 - Aug 17, 2006
#9-26.70%
Mar 18, 2014 - Jun 16, 2014
-16.03%
Feb 15, 2007 - Dec 10, 2007
#10-20.17%
Feb 19, 2021 - Jul 20, 2021
-14.48%
Dec 8, 1999 - Feb 14, 2000
#11-19.51%
Jul 5, 2023 - Oct 11, 2023
-13.55%
Dec 29, 2004 - Aug 11, 2005
#12-18.84%
Aug 20, 2020 - Nov 16, 2020
-8.93%
Apr 8, 2024 - Apr 26, 2024
#13-17.31%
Dec 6, 2024 - Feb 18, 2025
-7.59%
Jul 9, 2025 - Jul 31, 2025
#14-16.34%
Dec 27, 2021 - Feb 25, 2022
-7.33%
Nov 12, 2025 - Dec 2, 2025
#15-14.60%
Oct 3, 2014 - Oct 23, 2014
-6.65%
Aug 15, 2025 - Sep 19, 2025

Correlation

Correlation between PANW and BBVA is 0.75 which considered as a strong positive correlation - the stocks tend to move together.

0.75
-101

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