close

This site works best in portait mode.

Please rotate your phone.

BBVA performance
2014 - a year of growth

Earnings

Growth of more recurring revenue

Risks

Improvement in risk indicators

Liquidity

Solid position in every market

Solvency

Capital strength as competitive advantage

Earnings

Net interest income +
fees and commissions
+13.3%
(at constant exchange rates)
Read more

Risks

NPA ratio
5.8%

-95 basis points
(year-on-year change)

Coverage ratio
64%

+4.4 percentage points
(year-on-year change)

Read more

Liquidity

Appropriate funding structure
>100% LCR
(Liquidity coverage ratio)
Read more

Solvency

Core capital CRD IV
11.9%
(Phased-in)

(10.4% fully-loaded)

Read more