Company: BBVXF
Filing Date: 2025-03-21
Form Type: 6-K
Source: 0000842180-25-000016
Chunk: 293

Company: BANCO BILBAO VIZCAYA ARGENTARIA, S.A.
Filing Date: 2025-03-21
Form: 6-K
Chunk 293
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 been drawn up, the emissions perimeter of which includes the three scopes (1, 2, and 3 upstream) of their value chain. BBVA understands that this scope is the one that companies can directly manage within their value chain, where they can carry out mitigation actions, accelerate their transition to productive processes or improve energy efficiency.

Below is the Group’s exposure data for the 20 most carbon-intensive companies worldwide, showing that there are seven clients with a combined balance of €1,188 million, representing 0.23% of the exposure to non-financial companies and whose weighted average maturity is 0.20 years.

| PILLAR 3 2024 |     | 7. PRUDENTIAL DISCLOSURES ON ENVIRONMENTAL, SOCIAL AND GOVERNANCE RISKS |     | P.298 |

| Table 105.ESG4. Banking book - Climate change transition risk: Exposures to top 20 carbon-intensive firms(Million euros. 12-31-2024) |

|                                                                                                                                                                                                                                                                                                                                          |     | Gross carrying amount (aggregate) | Gross carrying amount towards the counterparties compared to total gross carrying amount (aggregate)(*) |      |   |     | Of which environmentally sustainable (CCM) |     | Weighted average maturity |     | Number of top 20 polluting firms included |
|                                                                                                                                                                                                                                                                                                                                          |     |                             1,188 |                                                                                                         | 0.23 | % |     | —                                          |     |                      0.20 |     |                                         7 |
| (*)For counterparties among the top 20 carbon emitting companies in the world, exclusively considering non-financial corporates in the investment portfolio of the entity.                                                                                                                                                               |     |                                   |                                                                                                         |      |   |     |                                            |     |                           |     |                                           |
| (**)Accounting portfolios: "At amortised cost", "Fair Value through Other Comprehensive Income (FVOCI)", "Fair Value through P&L" and "Non-tradable at Fair Value through Profit or Loss". Instruments: loans, fixed income and equities. Sectors: non-financial corporations.                                                           |     |                                   |                                                                                                         |      |   |     |                                            |     |                           |     |                                           |
| (***)The information includes the BBVA Group total prudential balance. In terms of breakdown of environmental objectives, the most significant entities are included and correspond to 96% of the total assets. The data included in the template