CM vs BBVA

Head-to-Head Stock Analysis & Investment Rating

Last Updated: Sep 30, 2026

CM

54.7
AI Score
VS
BBVA Wins

BBVA

55.8
AI Score

Investment Advisor Scores

CM

55score
Recommendation
HOLD

BBVA

56score
Recommendation
HOLD

AI Analyst Insights

Detailed Metrics Comparison

Metric CM BBVA Winner
Forward P/E 13.6799 11.8624 BBVA
PEG Ratio 1.7128 2.2389 CM
Revenue Growth 16.6% 20.2% BBVA
Earnings Growth 14.9% 15.2% BBVA
Tradestie Score 54.7/100 55.8/100 BBVA
Profit Margin 33.7% 32.6% CM
Beta 1.00 1.00 Tie
AI Recommendation HOLD HOLD Tie

Relative Price Performance (Last 90 Days)

CM 1M: -2.2% · 3M: -3.5% BBVA 1M: -6.2% · 3M: +5.0%

Current Technical Phase

CM

Markdown
Sell / avoid

Price below a falling SMA50 (slope -0.9%), weak momentum, RSI 37

RSI (14): 37.2 · Price: $109.95

BBVA

Neutral
Hold

Mixed signals - no dominant trend phase, RSI 36

RSI (14): 35.8 · Price: $26.87

Fundamentals Snapshot

Metric CM BBVA
Market Cap — —
Forward P/E 9.7 10.8
Trailing P/E 15.0 13.3
Revenue (TTM) — —
Revenue Growth 0.2% 0.2%
Gross Margin 1.0% 1.0%
Operating Margin 0.4% 0.6%
EPS 7.36 2.09
Dividend Yield 0.04% 0.04%

Frequently Asked Questions

Based on our detailed analysis, BBVA 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.