BBVA vs C

Head-to-Head Stock Analysis & Investment Rating

Last Updated: Aug 23, 2026

BBVA

45.7
AI Score
VS
C Wins

C

58.6
AI Score

Investment Advisor Scores

BBVA

46score
Recommendation
HOLD

C

59score
Recommendation
HOLD

AI Analyst Insights

Detailed Metrics Comparison

Metric BBVA C Winner
Forward P/E 12.9366 12.1803 C
PEG Ratio 2.4397 0.7165 C
Revenue Growth 20.2% 15.5% BBVA
Earnings Growth 15.2% 61.0% C
Tradestie Score 45.7/100 58.6/100 C
Profit Margin 32.6% 21.8% BBVA
Beta 1.00 1.00 Tie
AI Recommendation HOLD HOLD Tie

Relative Price Performance (Last 90 Days)

BBVA 1M: +12.6% · 3M: +30.6% C 1M: -0.4% · 3M: +5.3%

Current Technical Phase

BBVA

Markup
Hold / add on dips

Price above SMA50, rising 50-day trend (9.3% over 20 days), RSI 72

RSI (14): 71.7 · Price: $29.21

C

Neutral
Hold

Mixed signals - no dominant trend phase, RSI 44

RSI (14): 43.8 · Price: $131.72

Fundamentals Snapshot

Metric BBVA C
Market Cap
Forward P/E 11.8 10.2
Trailing P/E 13.1 14.2
Revenue (TTM)
Revenue Growth 0.2% 0.2%
Gross Margin 1.0% 1.0%
Operating Margin 0.6% 0.4%
EPS 2.21 9.28
Dividend Yield 0.04% 0.02%

Frequently Asked Questions

Based on our detailed analysis, C is currently the stronger investment candidate based on our comprehensive scoring model.

We analyze revenue and earnings growth rates in the "Growth" section above. Generally, the company with higher year-over-year revenue and EPS growth is fostering better expansion. Check the table above for the specific growth percentages.

Valuation is determined by metrics like the P/E Ratio and PEG Ratio. A lower P/E typically suggests a stock is cheaper relative to its earnings. Refer to the "Valuation" section in our comparison table to see which stock currently trades at a more attractive multiple.