37 /100
MEDIUM RISK
Score updated Jul 14, 2026

BBVA — Banco Bilbao Vizcaya Argentaria, S.A. Dilution Risk Tracker

Track BBVA dilution risk with DilutionWatch's stock tracker. DilutionScore™ measures dilution risk across 5 factors — lower scores indicate higher risk of share dilution.

⚠️ Not financial advice. Do your own research before making any investment decisions.

🔔 Track BBVA — Get alerts when the score changes →

As of July 14, 2026, Banco Bilbao Vizcaya Argentaria, S.A. (BBVA) has a DilutionWatch DilutionScore of 37/100, rated MEDIUM dilution risk. Banco Bilbao Vizcaya Argentaria, S.A. has a market capitalization of $130.29B, 5.71B shares outstanding, 1 institutional holders tracked.

Source: DilutionWatch (dilutionwatch.com) — data updated daily from SEC EDGAR filings. Not financial advice.

📊 Score Breakdown

📋 Offering Ability
59
💰 Cash Runway
10
📊 Float Risk
0
⚠️ Warrant Exposure
15
🔄Convertible Debt

🌦️ Dilution Forecast

☀️
Clear
No significant dilution signals
0%
No significant dilution signals detected for BBVA.
🔔 Track BBVA — Get forecast alerts →

💹 Market Data

Market Cap$130.29B
Shares Outstanding5.71B
Float5.82B
Cash$187.53B
Debt$196.71B
Short InterestN/A

🏛 Institutional Holdings

QoQ: ↓ 13.1% shares (2026Q1 vs prior)
1 institutional holders · 46.9K shares
#1 Generali Investments CEE, investicni spolecnost, a.s. 46.9K shares

📉 Short Interest

Short Interest824.8K
Days to Cover1.0
% of Float0.0%
FINRA data as of Jun 30, 2026

📁 Recent SEC Activity

424B5 DEBT May 04, 2026
424B5 DEBT Apr 30, 2026
6-K 8K EVENT Apr 30, 2026
6-K 8K EVENT Mar 03, 2026
424B5 DEBT Feb 23, 2026
Full SEC filing analysis available with free account

📰 Recent News

No recent news

📋 What This Means for BBVA Shareholders

Banco Bilbao Vizcaya Argentaria, S.A. (BBVA) has a DilutionScore of 37/100, rated Medium dilution risk. This tier indicates some dilution exposure — often an older shelf registration with remaining capacity, warrants not yet exercised, or a cash position that will require monitoring over the next several quarters. Score as of July 14, 2026.

DilutionWatch's EDGAR monitoring for BBVA shows no major active dilution programs at this time. The primary risk categories — shelf registration capacity, ATM programs, warrant overhang, and cash runway — are each within normal ranges for a company of this profile. This can change quickly if a new S-3 or Form S-1 is filed.

DilutionWatch tracks over 25 SEC filing types for BBVA in real-time, scanning EDGAR every 60 seconds. The DilutionWatch screener shows real-time score changes for BBVA alongside comparable medium-risk stocks. Not financial advice — this analysis is for informational purposes only.

Track BBVA Dilution Risk in Real-Time
Get instant alerts when SEC filings impact dilution risk. Free tier available.
Start Tracking BBVA — Free
Real-time SEC alerts DilutionScore™ tracking No credit card required

🔗 Related Stocks — MEDIUM Risk

Other MEDIUM dilution risk stocks tracked by DilutionWatch with similar profiles:

Browse all 7,800+ tracked stocks →

📖 Dilution Education
→ Complete Dilution Guide for Retail Investors → Anti-Dilution Provisions Explained → Stock Dilution Red Flags to Watch → Understanding Shelf Registrations
🔬 More Research for BBVA
📊 BBVA FDA Catalyst Timeline & Biotech Grade — BiotechSigns 📡 BBVA Signal Convergence & Dark Pool Activity — StonkWhisper

Part of the Guerilla Finance research network. Cross-reference multiple data sources for better due diligence.