BBVA (BBVA.MC)
Seasonality Analysis
BBVA Annual Seasonality Statistics
BBVA Monthly Seasonality Performance
| Month | Avg Return | Win Rate | Strength |
|---|---|---|---|
| January | -0.17% | Weak | |
| February | 0.41% | Weak | |
| March WORST | -1.40% | Very Weak | |
| April | 1.75% | Moderate | |
| May | -1.39% | Very Weak | |
| June | -0.77% | Weak | |
| July | 1.62% | Strong | |
| August | 0.24% | Moderate | |
| September | -0.49% | Weak | |
| October BEST | 3.20% | Very Strong | |
| November | 1.26% | Weak | |
| December | 1.43% | Moderate |
BBVA 2026 vs Historical Pattern
BBVA Interactive Seasonality Chart
BBVA Pattern Scanner
BBVA Seasonal Historical Performance
About BBVA (BBVA.MC) Seasonality
BBVA (BBVA.MC) has been analyzed using 27 years of historical data to identify seasonal patterns. Classified under Stocks, BBVA shows distinct seasonal tendencies based on historical data.
The strongest month for BBVA is historically October, with an average return of 3.20% and a win rate of 73%. Conversely, March tends to be the weakest month, averaging -1.40% return.
Looking at the full calendar year, BBVA has an average annual return of 5.68% with an overall monthly win rate of 53.6%. Out of 12 months, 7 typically show positive average returns.
The seasonal pattern for BBVA has a consistency score of 39 (Poor), based on 27 years of data. Higher consistency means the seasonal pattern has been more reliable across different market conditions.
BBVA Seasonality FAQ
What is the best month to buy BBVA (BBVA.MC)?
Historically, October has been the best month for BBVA, with an average return of 3.20% and a win rate of 73%. However, past performance does not guarantee future results.
What is the worst month for BBVA (BBVA.MC)?
Based on historical data, March has been the weakest month for BBVA, with an average return of -1.40%. This is a historical observation and does not guarantee future results.
How reliable is BBVA.MC seasonality data?
The seasonality analysis for BBVA is based on 27 years of historical price data. While seasonal patterns can provide useful insights, they should be combined with other forms of analysis. Past patterns do not guarantee future performance.
How can I use BBVA seasonality in my trading?
Use BBVA (BBVA.MC) seasonality as one factor in your analysis. Identify historically strong and weak months, combine with other research methods. SeasOptima provides premium tools including interactive charts, pattern scanning, and historical performance data for deeper analysis.