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BBVA bonds

Complete, always up-to-date list of BBVA bonds outstanding: for each bond you get ISIN, coupon type, currency, maturity and trading venue. BBVA is a banks issuer based in Spain; issues may come from the parent company or its financing entities. Data from the official EU register (FIRDS/ESMA), refreshed weekly. This page does not show market prices.

60 bonds outstanding · Parent domicile: Spain
Matures fromto60 bonds
BondISINTypeCouponCurrencyMaturityExchange
BANCO BILBAO VI/5.862 SR NT SR SRUS05946KAK79Fixed rate5.862%USD2026-09-14not on a retail exchange
BBVA/0.875 CEDHIP 20261122 GTIAES0413211915Fixed rate0.875%EUR2026-11-22BME (Madrid) · BME SEND (Spagna) +5
BBVA/VAR CEDHIP 20270202 GTIAES0413211A59Variable rateEUR2027-02-02BME (Madrid) · BME SEND (Spagna)
BBVA/VAR CEDTER 20270322 GTIAES0413211A67Variable rateEUR2027-03-22BME (Madrid) · BME SEND (Spagna)
BBVA/VAR CEDHIP 20270717 GTIAES0413211A75Variable rateEUR2027-07-17BME (Madrid) · BME SEND (Spagna) +4
BBVA/VAR CEDHIP 20280115 GTIAES0413211923Variable rateEUR2028-01-15BME (Madrid) · BME SEND (Spagna)
BBVA/VAR CEDINT 20280306 GTIAES0413211A83Variable rateEUR2028-03-06BME (Madrid) · BME SEND (Spagna)
BANCO BILBAO VI/6.138 SR NT SR SRUS05946KAL52Fixed rate6.138%USD2028-09-14Börse Frankfurt · Börse Stuttgart
BBVA/2.77 BD 20281128 SR UNSECCH1228837907Fixed rate2.77%CHF2028-11-28not on a retail exchange
BANCO BILBAO VI/4.15 SR NT 20290303US05946KAT88Fixed rate4.15%USD2029-03-03not on a retail exchange
BANCO BILBAO VI/VAR RATE SR NT SR SUS05946KAV35Variable rateUSD2029-03-03not on a retail exchange
BANCO BILBAO VI/5.381 NT 20290313 UUS05946KAQ40Fixed rate5.381%USD2029-03-13Börse Stuttgart
BBVA/2.875 CEDHIP 20290623 GTIAES0413211B41Fixed rate2.875%EUR2029-06-23BME (Madrid) · BME SEND (Spagna) +2
BBVA MEXICO SA /SR NT 2029 SR SR 14US07336UAC71Fixed rate5.2%USD2029-09-10Euronext Dublin
BBVA MEXICO SA /5.25 SR NT 20290910USP1S81BAC21Fixed rate5.25%USD2029-09-10Euronext Dublin
UNKNOWNUSP16236AG98Fixed rate5.25%USD2029-09-22not on a retail exchange
BBVA BANCOMER S/5.35 SUB NT SUB SubUSP16259AL02Fixed rate5.35%USD2029-11-12Euronext Dublin
BBVA/VAR CEDHIP 20300606 GTIAES0413211A91Variable rateEUR2030-06-06BME (Madrid) · BME SEND (Spagna)
BBVA/VAR CEDHIP 20301127 GTIAES0413211B17Variable rateEUR2030-11-27BME (Madrid) · BME SEND (Spagna)
BBVA/VAR CEDHIP 20310428 GTIAES0413211B33Variable rateEUR2031-04-28BME (Madrid) · BME SEND (Spagna)
BANCO BILBAO VI/4.968 SR NT SR SRUS05946KAX90OtherUSD2031-05-08Börse Düsseldorf · Börse Frankfurt +1
BBVA MEXICO S A/SR NT 2031 SR SR 14US072912AB45OtherUSD2031-06-03Euronext Dublin
BBVA MEXICO S A/5.4 SR NT 20310603USP2000GAB97OtherUSD2031-06-03Börse Frankfurt · Börse Stuttgart
BBVA/VAR CEDHIP 20310606 GTIAES0413211B09Variable rateEUR2031-06-06BME (Madrid) · BME SEND (Spagna)
BBVA/VAR CEDHIP 20311127 GTIAES0413211B25Variable rateEUR2031-11-27BME (Madrid) · BME SEND (Spagna)
BBVA MEXICO S A/5.125 SUB NT SUB SUUS05533UAF57Fixed rate5.125%USD2033-01-18not on a retail exchange
BBVA MEXICO S A/5.125 SUB NT SUB SUUSP16259AM84Fixed rate5.125%USD2033-01-18Börse Frankfurt · Börse Stuttgart +1
BBVA/VAR OBSUBD 20330303ES0213211115Variable rateEUR2033-03-03BME (Madrid) · BME SEND (Spagna)
BBVA/3.125 CEDHIP 20330623 GTIAES0413211B58Fixed rate3.125%EUR2033-06-23BME (Madrid) · BME SEND (Spagna) +2
BANCO BBVA PER/6.2 SUB NT 20340607USP07760AH74OtherUSD2034-06-07Börse Frankfurt · Börse Stuttgart +1
BBVA MEXICO S A/5.875 SUB NT SUB SUUSP16259AN67Fixed rate5.875%USD2034-09-13Börse Frankfurt · Börse Stuttgart +1
BBVA BANCOMER S/SUB NT 2034 SUB SUBUS05533UAG31Fixed rate5.875%USD2034-09-13Euronext Dublin
BANCO BILBAO VI/7.883 SUB NT SUB UNUS05946KAN19Fixed rate7.883%USD2034-11-15Börse Düsseldorf · Börse Frankfurt +1
BBVA MEXICO S A/SUB NT 2035 SUB SUBUSP2000GAA15Fixed rate7.625%USD2035-02-11Börse Frankfurt · Börse München +2
BBVA MEXICO S A/SUB NT 2035 SUB SUBUS072912AA61Fixed rate7.625%USD2035-02-11Euronext Dublin
BANCO BILBAO VI/FXD FR NT 20350313US05946KAR23Variable rateUSD2035-03-13Börse Stuttgart
BBVA GM/0.00 OB 20360220 269ES0205067491Fixed rateEUR2036-02-20BME (Madrid) · BME SEND (Spagna) +1
BANCO BILBAO VI/5.127 SR NT SR SRUS05946KAU51Fixed rate5.127%USD2036-03-03Börse Düsseldorf · Börse Frankfurt +1
BBVA/4.60 CEDHIP 20370202 GTIAES0413211147Fixed rate4.6%EUR2037-02-02BME (Madrid) · BME SEND (Spagna)
CA.CATALUNYA/CUPCER OB 20380115ES0214840367Zero coupon0%EUR2038-01-15BME (Madrid) · BME SEND (Spagna)
BBVA MEXICO SA /SUB NT 2038 SUB SUBUS07336UAA16Fixed rate8.45%USD2038-06-29Euronext Dublin
BBVA MEXICO SA /8.45 SUB NT SUB SUBUSP1S81BAA64Fixed rate8.45%USD2038-06-29Börse Frankfurt · Börse Stuttgart +1
CA.CATALUNYA/CUPCER OB 20381015ES0214840359Zero coupon0%EUR2038-10-15BME (Madrid) · BME SEND (Spagna)
BBVA MEXICO SA /8.125 SUB NT SUB SUUS07336UAB98Fixed rate8.125%USD2039-01-08Euronext Dublin
BBVA MEXICO SA /8.125 SUB NT SUB SUUSP1S81BAB48Fixed rate8.125%USD2039-01-08Börse Frankfurt · Börse Stuttgart +1
CA.CATALUNYA/VAR OB 20390115ES0214840375Variable rateEUR2039-01-15BME (Madrid) · BME SEND (Spagna)
BBVA Glo Mrkts /DBT 20391104NL0014040214Zero coupon0%EUR2039-11-04Euronext Dublin
BANCO BILBAO VI/5.875BD PERP W/C SXS1619422865Fixed rate5.875%EUR9999-12-31not on a retail exchange
CAIXA TERRASSA /VAR BD PERPXS0225115566Variable rateEUR9999-12-31not on a retail exchange
CA.TERRASSA/VAR OBSUBD PERPES0214974075Variable rateEUR9999-12-31BME (Madrid) · BME SEND (Spagna) +2
BBVASM 5.875 23-49ES0813211002Variable rateEUR9999-12-31not on a retail exchange
BBVA/VAR NACU PPR 2019ES0813211010Variable rateEUR9999-12-31not on a retail exchange
BBVA/VAR NACU PPR 2020ES0813211028Variable rateEUR9999-12-31not on a retail exchange
BBVA GLOBAL MAR/VAR MTN 20360127XS3184635814Fixed rate0%USD9999-12-31Euronext Dublin
BANCO BILBAO VI/9.375 NT 20290919 SUS05946KAM36OtherUSD9999-12-31Börse Frankfurt · Börse Stuttgart
BANCO BILBAO VI/5.625 BD PERP JRXS3226545617Fixed rate5.625%EUR9999-12-31Börse Düsseldorf · Börse Frankfurt +3
BANCO BILBAO VI/8.875BD PERP W/C SXS1394911496Fixed rateEUR9999-12-31not on a retail exchange
BANCO BILBAO VI/6.875BD PERP W/C SXS2840032762Fixed rate6.875%EUR9999-12-31Borsa del Lussemburgo · Börse Stuttgart +1
BANCO BILBAO VI/BD PERPUS05946KAF84Fixed rate6.125%USD9999-12-31Börse Düsseldorf · Börse Frankfurt +2
BANCO BILBAO VI/8.375EUR NT PERP W/XS2638924709Fixed rate8.375%EUR9999-12-31Borsa del Lussemburgo · Börse Frankfurt +3
NoteAn informational registry of objective data, not investment advice or an offer to buy. It does not show market prices. Information comes from the public EU register and may contain delays or inaccuracies: always verify with your broker.
Sources: reference data from ESMA (FIRDS); issuer identifiers from GLEIF (LEI, CC0 licence). Rebalix is not affiliated with or endorsed by ESMA, GLEIF or the issuer.

Frequently asked questions

How many BBVA bonds are outstanding?

Right now the official EU register (FIRDS/ESMA) reports 60 not yet matured, issued by 4 group entities. The list refreshes weekly together with the register.

Are BBVA bonds government bonds?

No. They are corporate bonds — loans to a company (BBVA), not to a state. Risk and return depend on the issuer's credit standing, not a government's.

Does it include prices and yields?

No. This is a registry — ISIN, coupon type, currency, maturity, venue — not a price list: prices change constantly and you'll see them at your broker. If you have a price, you can estimate the yield to maturity with the Rebalix calculator.

What does ISIN mean?

It's the 12-character international code that uniquely identifies each bond: using it with your broker avoids mix-ups between similarly named issues.

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