Symbols / BBAR Stock $15.52 -6.00% Banco BBVA Argentina S.A.

Financial Services • Banks - Regional • Argentina • NYQ
BBAR (Stock) Chart
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About

Banco BBVA Argentina S.A. provides banking products and services in Argentina. The company offers retail banking products and services, such as checking and savings accounts, time deposits, credit card financing, consumer and pledge loans, mortgages, insurance, and investment products to individuals; and financing products, factoring, checking accounts, time deposits, transactional and payroll services, insurance, and investment products to private-sector companies and small and medium-sized enterprises. It also provides corporate and investment banking products and services, including global transaction services; global markets solutions comprising risk management and securities brokerage; project finance and syndicated loans; and corporate finance services consisting of mergers and acquisitions and capital markets advisory services to corporations and multinational companies. In addition, the company provides foreign trade and asset management services, as well as credit and debit cards. The company was formerly known as BBVA Banco Francés S.A. and changed its name to Banco BBVA Argentina S.A. in November 2019. The company was incorporated in 1886 and is based in Buenos Aires, Argentina.

Stock Fundamentals
Scroll to Statements
Market Cap 3.17B Enterprise Value -7.87B Income 249.99B Sales 3.14T Book/sh 12.34 Cash/sh 4772.98
Dividend Yield 1.92% Payout 14.02% Employees IPO P/E 13.86 Forward P/E 13.06
PEG 4.37 P/S 0.00 P/B 1.26 P/C EV/EBITDA EV/Sales -0.00
Quick Ratio Current Ratio Debt/Eq LT Debt/Eq EPS (ttm) 1.12 EPS next Y 1.19
EPS Growth -37.20% Revenue Growth -8.00% Earnings 2026-05-26 ROA 1.19% ROE 7.65% ROIC
Gross Margin 0.00% Oper. Margin 14.04% Profit Margin 7.96% Shs Outstand 204.24M Shs Float 161.36M Short Float 4.62%
Short Ratio 1.96 Short Interest 52W High 23.10 52W Low 7.76 Beta 0.15 Avg Volume 711.89K
Volume 709.01K Target Price $23.50 Recom Strong_buy Prev Close $16.51 Price $15.52 Change -6.00%
Valuation Models

Price estimates from analyst targets and simple models.

1. Analyst consensus
$23.50
Mean price target
2. Current target
$15.52
Latest analyst target
3. DCF / Fair value
$16.80
Fallback: EPS × 15 (assumed fair P/E). No FCF data; use with …
Ratings
Current target
$15.52
Low
$20.00
High
$29.00
Mean
$23.50

Latest analyst rating changes

Date Action Analyst Rating Change Price Target
2025-11-19 init UBS — → Neutral $18
2025-11-03 up Citigroup Neutral → Buy
2025-10-01 up HSBC Hold → Buy $17
2025-09-11 down Citigroup Buy → Neutral
2024-12-16 up Morgan Stanley Underweight → Overweight $27
2020-07-21 down HSBC Hold → Reduce
Insider Transactions

No recent insider transactions.

Financials
Statement View
Amounts in millions (2 decimals, no suffix) • EPS per share (2 decimals) • Trend = period evolution • YoY Growth = previous period %
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Total Revenue
3,054,315.45
-32.26%
4,509,032.75
-17.53%
5,467,333.70
+106.97%
2,641,601.00
Operating Revenue
3,054,315.45
-32.26%
4,509,032.75
-17.53%
5,467,333.70
+106.97%
2,641,601.00
Selling General And Administration
1,189,130.14
-6.38%
1,270,131.27
-1.49%
1,289,362.23
+53.72%
838,789.42
Selling And Marketing Expense
50,890.10
+12.87%
45,086.68
+14.53%
39,366.76
+65.44%
23,795.60
General And Administrative Expense
1,138,240.04
-7.09%
1,225,044.59
-2.00%
1,249,995.46
+53.37%
814,993.82
Salaries And Wages
604,172.98
-10.85%
677,697.76
-4.59%
710,291.83
+53.83%
461,751.07
Other Gand A
432,780.33
-1.19%
437,996.44
+4.19%
420,374.08
+59.30%
263,893.80
Reconciled Depreciation
111,103.06
+6.09%
104,727.61
+31.13%
79,866.31
+14.68%
69,639.88
Total Unusual Items
-563,251.43
+70.58%
-1,914,534.54
+19.40%
-2,375,333.78
-157.11%
-923,852.41
Total Unusual Items Excluding Goodwill
-563,251.43
+70.58%
-1,914,534.54
+19.40%
-2,375,333.78
-157.11%
-923,852.41
Special Income Charges
-562,229.15
+69.86%
-1,865,088.81
+21.46%
-2,374,651.10
-157.06%
-923,770.61
Other Special Charges
571,207.06
-69.45%
1,869,623.08
-21.33%
2,376,552.70
+161.83%
907,673.85
Impairment Of Capital Assets
-9,753.07
-62.00%
-6,020.46
-84.09%
-3,270.43
Restructuring And Mergern Acquisition
775.16
-47.84%
1,486.19
+8.57%
1,368.83
-91.50%
16,096.76
Net Income
315,143.93
-33.53%
474,106.22
+5.51%
449,341.30
+12.61%
399,017.98
Pretax Income
519,818.47
-10.41%
580,232.64
-35.35%
897,562.38
+138.76%
375,932.11
Net Interest Income
2,793,085.88
-28.81%
3,923,292.79
-17.36%
4,747,671.26
+102.27%
2,347,181.02
Interest Expense
2,578,698.78
+10.92%
2,324,816.25
-47.87%
4,459,404.99
+126.35%
1,970,167.74
Interest Income
5,371,784.66
-14.03%
6,248,109.04
-32.14%
9,207,076.26
+113.26%
4,317,348.76
Other Non Operating Income Expenses
-1,421,247.27
+21.25%
-1,804,868.43
-99.21%
-905,994.00
Gain On Sale Of Security
-458,330.70
-435.15%
136,754.12
+141.99%
-325,720.65
-220.53%
-101,619.96
Tax Provision
187,245.79
+86.64%
100,324.87
-77.56%
447,083.20
+2712.35%
-17,114.20
Tax Rate For Calcs
0.00
+111.76%
0.00
-51.43%
0.00
+0.00%
0.00
Tax Effect Of Unusual Items
-202,770.51
+37.70%
-325,470.87
+60.85%
-831,366.82
-157.11%
-323,348.34
Net Income Including Noncontrolling Interests
332,572.68
-30.70%
479,907.78
+6.53%
450,479.18
+14.61%
393,046.31
Net Income From Continuing Operation Net Minority Interest
315,143.93
-33.53%
474,106.22
+5.51%
449,341.30
+12.61%
399,017.98
Net Income From Continuing And Discontinued Operation
315,143.93
-33.53%
474,106.22
+5.51%
449,341.30
+12.61%
399,017.98
Net Income Continuous Operations
332,572.68
-30.70%
479,907.78
+6.53%
450,479.18
+14.61%
393,046.31
Minority Interests
-17,428.75
-200.42%
-5,801.55
-409.85%
-1,137.88
-119.05%
5,971.67
Normalized Income
675,624.84
-67.25%
2,063,169.89
+3.50%
1,993,308.26
+99.43%
999,522.05
Net Income Common Stockholders
315,143.93
-33.53%
474,106.22
+5.51%
449,341.30
+12.61%
399,017.98
Diluted EPS
1,224.03
-47.27%
2,321.36
+5.51%
2,200.10
+12.61%
1,953.70
Basic EPS
1,224.03
-47.27%
2,321.36
+5.51%
2,200.10
+12.61%
1,953.70
Basic Average Shares
204.24
+0.00%
204.24
+0.00%
204.24
+0.00%
204.24
Diluted Average Shares
204.24
+0.00%
204.24
+0.00%
204.24
+0.00%
204.24
Diluted NI Availto Com Stockholders
315,143.93
-33.53%
474,106.22
+5.51%
449,341.30
+12.61%
399,017.98
Amortization
21,431.22
-13.73%
24,843.02
+132.67%
10,677.44
+139.29%
4,462.04
Amortization Of Intangibles Income Statement
21,431.22
-13.73%
24,843.02
+132.67%
10,677.44
+139.29%
4,462.04
Depreciation Amortization Depletion Income Statement
111,099.70
+6.10%
104,715.17
+31.14%
79,852.26
+14.66%
69,639.88
Depreciation And Amortization In Income Statement
111,099.70
+6.10%
104,715.17
+31.14%
79,852.26
+14.66%
69,639.88
Depreciation Income Statement
89,668.48
+12.27%
79,872.15
+15.46%
69,174.83
+6.13%
65,177.83
Insurance And Claims
29,604.13
+48.08%
19,992.24
-8.91%
21,947.99
+20.84%
18,162.54
Other Non Interest Expense
717,023.42
+1.78%
704,515.83
-17.01%
848,944.38
+93.28%
439,237.17
Rent And Landing Fees
71,682.60
-19.78%
89,358.16
-8.24%
97,381.57
+36.80%
71,186.42
Rent Expense Supplemental
71,682.60
-19.78%
89,358.16
-8.24%
97,381.57
+36.80%
71,186.42
Line Item Trend 2023-12-31
Total Assets
13,305,540.25
Cash And Cash Equivalents
2,488,330.01
Cash Equivalents
-589.05
Cash Financial
1,583,725.75
Other Short Term Investments
1,443,931.94
Receivables
926,860.56
Other Receivables
227,657.75
Prepaid Assets
76,195.44
Net PPE
649,407.21
Gross PPE
889,747.57
Accumulated Depreciation
-240,340.36
Properties
553,042.14
Machinery Furniture Equipment
215,406.55
Construction In Progress
8,884.23
Other Properties
112,414.65
Leases
Goodwill And Other Intangible Assets
72,161.12
Other Intangible Assets
72,161.12
Investments And Advances
2,151,548.11
Long Term Equity Investment
26,929.05
Total Liabilities Net Minority Interest
10,224,683.50
Payables And Accrued Expenses
774,971.54
Payables
774,971.54
Accounts Payable
27.99
Other Payable
282,207.35
Dividends Payable
0.00
Employee Benefits
139,836.56
Total Tax Payable
492,736.21
Income Tax Payable
492,736.21
Current Debt And Capital Lease Obligation
2,662.76
Current Capital Lease Obligation
2,662.76
Long Term Debt And Capital Lease Obligation
137,589.91
Long Term Debt
89,059.19
Long Term Capital Lease Obligation
48,530.72
Long Term Provisions
45,128.64
Non Current Pension And Other Postretirement Benefit Plans
Non Current Deferred Liabilities
151,084.94
Non Current Deferred Revenue
111,069.52
Non Current Deferred Taxes Liabilities
40,015.42
Stockholders Equity
3,041,728.81
Common Stock Equity
3,041,728.81
Capital Stock
612.71
Common Stock
612.71
Share Issued
612.71
Ordinary Shares Number
612.71
Treasury Shares Number
0.00
Additional Paid In Capital
6,744.97
Retained Earnings
-369,305.68
Gains Losses Not Affecting Retained Earnings
2,501,049.36
Minority Interest
39,127.94
Other Equity Adjustments
2,501,049.36
Total Equity Gross Minority Interest
3,080,856.75
Total Capitalization
3,130,788.00
Invested Capital
3,130,788.00
Total Debt
140,252.67
Capital Lease Obligations
51,193.47
Net Tangible Assets
2,969,567.69
Tangible Book Value
2,969,567.69
Available For Sale Securities
680,687.12
Cash Cash Equivalents And Federal Funds Sold
5,103,985.40
Derivative Product Liabilities
27,167.11
Notes Receivable
699,202.81
Other Equity Interest
902,627.44
Line Item Trend 2025-12-31 2024-12-31 2023-12-31 2022-12-31
Operating Cash Flow
1,000,293.26
-70.63%
3,406,237.94
+97.77%
1,722,297.98
+124.72%
766,425.28
Cash Flow From Continuing Operating Activities
1,000,293.26
-70.63%
3,406,237.94
+97.77%
1,722,297.98
+124.72%
766,425.28
Net Income From Continuing Operations
519,818.47
-10.41%
580,232.64
-35.35%
897,562.38
+138.76%
375,932.11
Depreciation Amortization Depletion
111,103.06
+6.09%
104,727.61
+31.13%
79,866.31
+14.68%
69,639.88
Depreciation
89,671.83
+12.25%
79,884.58
+15.46%
69,188.88
+6.15%
65,177.83
Amortization Cash Flow
21,431.22
-13.73%
24,843.02
+132.67%
10,677.44
+139.29%
4,462.04
Depreciation And Amortization
111,103.06
+6.09%
104,727.61
+31.13%
79,866.31
+14.68%
69,639.88
Amortization Of Intangibles
21,431.22
-13.73%
24,843.02
+132.67%
10,677.44
+139.29%
4,462.04
Other Non Cash Items
-2,350,788.09
-27.70%
-1,840,910.16
+15.24%
-2,171,786.40
-61.52%
-1,344,631.26
Asset Impairment Charge
805,083.60
+181.18%
286,321.80
Operating Gains Losses
387,734.58
-64.58%
1,094,820.78
+187.17%
-1,256,026.98
-704.02%
207,944.64
Net Foreign Currency Exchange Gain Loss
-341,690.61
-147.94%
712,796.04
+143.44%
-1,641,030.43
-19864.77%
-8,219.63
Gain Loss On Sale Of PPE
35.29
0.00
-100.00%
2,283.50
-52.15%
4,772.39
Change In Working Capital
-714,164.30
-1283.25%
60,356.14
+120.09%
-300,393.91
+68.50%
-953,712.20
Change In Other Working Capital
7,027,947.08
-9.21%
7,740,619.35
-25.43%
10,380,933.09
+813.25%
1,136,698.85
Change In Other Current Assets
663.84
+100.52%
-127,758.19
+1.78%
-130,068.36
-372.94%
47,654.58
Change In Other Current Liabilities
728,608.69
-35.89%
1,136,523.48
Investing Cash Flow
-240,570.32
-12.61%
-213,628.38
-73.45%
-123,165.25
+33.11%
-184,130.64
Cash Flow From Continuing Investing Activities
-240,570.32
-12.61%
-213,628.38
-73.45%
-123,165.25
+33.11%
-184,130.64
Net PPE Purchase And Sale
-216,833.69
-0.19%
-216,430.02
-79.25%
-120,739.24
-8.50%
-111,280.46
Purchase Of PPE
-216,833.69
-0.19%
-216,430.02
-79.25%
-120,739.24
-8.50%
-111,280.46
Capital Expenditure
-216,833.69
-0.19%
-216,430.02
-79.25%
-120,739.24
-8.50%
-111,280.46
Net Investment Purchase And Sale
Sale Of Investment
Net Business Purchase And Sale
-25,543.08
0.00
0.00
Purchase Of Business
-25,543.08
0.00
0.00
Gain Loss On Sale Of Business
0.00
0.00
+100.00%
-3,392.69
Net Other Investing Changes
-2,013.56
-1.76%
-1,978.78
+65.64%
-5,758.96
+92.85%
-80,559.95
Financing Cash Flow
939,867.28
+474.37%
163,634.75
+315.90%
-75,791.12
-31.36%
-57,697.38
Cash Flow From Continuing Financing Activities
939,867.28
+474.37%
163,634.75
+315.90%
-75,791.12
-31.36%
-57,697.38
Net Issuance Payments Of Debt
753,865.31
+223.00%
233,393.01
+401.61%
-77,383.61
-76.03%
-43,961.48
Issuance Of Debt
770,294.30
+207.39%
250,594.19
+543.77%
38,925.83
0.00
Repayment Of Debt
-16,428.98
+4.49%
-17,201.18
+85.21%
-116,309.44
-164.57%
-43,961.48
Long Term Debt Issuance
770,294.30
+207.39%
250,594.19
+543.77%
38,925.83
0.00
Long Term Debt Payments
-16,428.98
+4.49%
-17,201.18
+85.21%
-116,309.44
-164.57%
-43,961.48
Net Long Term Debt Issuance
753,865.31
+223.00%
233,393.01
+401.61%
-77,383.61
-76.03%
-43,961.48
Cash Dividends Paid
-17,004.45
+85.73%
-119,195.33
-14849.76%
-797.31
+95.44%
-17,475.20
Net Other Financing Charges
203,006.42
+310.64%
49,437.06
+1968.67%
2,389.80
-36.09%
3,739.30
Changes In Cash
1,699,590.22
-49.36%
3,356,244.31
+120.32%
1,523,341.61
+190.38%
524,597.26
Effect Of Exchange Rate Changes
341,690.61
+147.94%
-712,796.04
-143.44%
1,641,030.43
+19864.77%
8,219.63
Beginning Cash Position
3,714,135.21
+13.47%
3,273,349.60
+23.88%
2,642,258.85
-8.36%
2,883,317.14
End Cash Position
4,752,284.95
+27.95%
3,714,135.21
+13.47%
3,273,349.60
+62.97%
2,008,588.33
Free Cash Flow
783,459.57
-75.44%
3,189,807.92
+99.17%
1,601,558.74
+144.46%
655,144.82
Dividends Received CFI
3,820.01
-20.09%
4,780.43
+43.43%
3,332.95
-56.77%
7,709.77
Interest Paid CFF
0.00
0.00
Interest Paid CFO
-1,719,435.30
+30.13%
-2,461,008.42
+44.61%
-4,442,805.01
-137.38%
-1,871,629.19
Interest Received CFO
4,786,812.02
-23.16%
6,229,747.26
-30.29%
8,936,110.77
+108.11%
4,293,902.15
Other Cash Adjustment Outside Changein Cash
-1,003,131.09
+54.46%
-2,202,662.66
+13.05%
-2,533,281.29
-79.98%
-1,407,545.70
Taxes Refund Paid
-20,787.17
+94.25%
-361,727.90
-1688.15%
-20,229.19
-83.55%
-11,020.85
SEC Filings

No SEC filings found for this symbol (may be non-US or ticker not in SEC index).

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