
BV Financial, Inc. Common Stock
Financials · USD
Price
$20
Cap
$162M
Earnings
4/4 beat
30d Trend
+0%
Near 52-week highs — limited upside before resistance
Consensus: Hold
Earnings history
Q4 2025
BEAT
0.57 vs 0
Q3 2025
BEAT
0.41 vs
Q2 2025
BEAT
0.29 vs
Q1 2025
BEAT
0.21 vs
Key macro factors
Central Banks Shift to "Higher for Longer" Rates Amid Inflation: This directly impacts BV Financial's net interest margin, cost of funds, and loan demand, as a banking institution's profitability is sensitive to interest rate environments.
Iran War Escalation Drives US Inflation to 3.3%: Elevated inflation affects the purchasing power of BV Financial's customers, potentially leading to changes in deposit behavior, loan demand, and an increased risk of loan defaults. It also influences the Federal Reserve's monetary policy decisions.
Q1 2026 Earnings Season Kicks Off with Major US Banks: The overall performance and sentiment surrounding major US banks during earnings season can influence investor perception and stock performance of smaller regional banks like BV Financial, due to industry-wide trends and potential contagion effects.
BV Financial, Inc. operates as the holding company for BayVanguard Bank, a full-service community-oriented financial institution offering traditional banking services, including various deposit and loan products, to individuals and businesses in the United States.
QUANT SCORE
Want full analysis on every stock?
Brain47 provides AI-powered research across 72,000+ instruments. Stocks, ETFs, REITs and more.
Join Brain47 — FreeGenerated by Brain47 AI. Educational research only. Not financial advice. Brain47 is not authorised by the FCA to provide investment advice.
