Banco Bilbao Vizcaya Argentaria, S.A. (BBVA), in compliance with the Securities Market
legislation, hereby communicates the following:
OTHER RELEVANT INFORMATION
Further to the notice of inside information of 2 October 2023, with registration number 1981, relating to the execution of a buyback program of own
shares of BBVA (the Buyback Program), and pursuant to article 5 of Regulation (EU) no. 596/2014 of the European Parliament and of the Council of 16 April 2014 on market abuse, and to articles 2.2 and 2.3 of Commission Delegated
Regulation (EU) 2016/1052, of 8 March 2016, BBVA informs that it has carried out the following transactions over BBVA shares in execution of the Buyback Program between 20 and 24 November 2023 (both inclusive):
Date Security Transaction Trading Venue Number of Shares Weighted average price 11/20/2023 BBVA. MC Purchase XMAD
2,500,000 8.2962 11/20/2023 BBVA. MC Purchase CEUX 500,000 8.2963 11/21/2023 BBVA. MC Purchase XMAD 2,500,000 8.2898 11/21/2023 BBVA. MC Purchase CEUX 500,000 8.2892 11/22/2023 BBVA. MC Purchase XMAD 2,500,000 8.3503 11/22/2023 BBVA. MC Purchase
CEUX 500,000 8.3502 11/23/2023 BBVA. MC Purchase XMAD 2,500,000 8.4424 11/23/2023 BBVA. MC Purchase CEUX 500,000 8.4474 11/24/2023 BBVA. MC Purchase XMAD 2,500,000 8.4704 11/24/2023 BBVA. MC Purchase CEUX 500,000 8.4722 TOTAL
15,000,000
The cash amount of the shares purchased to date as a result of the execution of the Buyback Program
amounts to 935,878,413.00 Euros, which, approximately, represents 93.59% of the maximum cash amount of the Buyback Program.
Issuer name: Banco
Bilbao Vizcaya Argentaria, S.A. - LEI K8MS7FD7N5Z2WQ51AZ71
ISIN Code of the ordinary shares of BBVA: ES0113211835
Detailed information regarding the transactions carried out within the referred period is attached as Annex I.
Madrid, 27 November 2023
This English version is a translation of the original in Spanish for information purposes only. In case of
discrepancy, the Spanish original will prevail.