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SAN Total early redemption of the issuance “First Issuance of Special Subordinated Debt of Banco Pastor, S.A.” with ISIN code ES0213770011

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DataTytułKursZmiana
2024-10-17
SAN Banco Santander communicates the transactions over its own shares which it has carried out between 10 and 16 October under the buyback programme
19,78
+1,10
2024-10-16
SAN Optional early redemption of all outstanding contingent redeemable perpetual bonds (‘Bonos de Fidelización’), with ISIN code ES0213900220
19,84
0,00
2024-10-10
SAN Banco Santander communicates the transactions over its own shares which it has carried out between 3 and 9 October under the buyback programme
19,50
0,00
2024-10-09
SAN Total Early Redemption of the “Issuance of Internationalisation Covered Bonds Banco Santander, S.A. Series 1 – April 2025”, with ISIN code ES0413900632
19,50
0,00
2024-10-03
SAN Banco Santander communicates the transactions over its own shares which it has carried out between 26 September and 2 October under the buyback programme
19,07
-0,36
2024-09-30
SAN Santander announces the results of the invitation to purchase its outstanding instruments with ISIN XS2168647357 and XS2575952424
19,80
0,00
2024-09-26
SAN Banco Santander communicates the transactions over its own shares which it has carried out between 19 and 25 September under the buyback programme
19,40
+1,55
2024-09-24
SAN Approval by the board of directors of the payment of an interim cash dividend
19,14
+2,48
2024-09-23
SAN Santander announces that it is launching an invitation to purchase its outstanding instruments with ISIN XS2168647357 and XS2575952424
19,75
0,00
2024-09-19
SAN Banco Santander communicates the transactions over its own shares which it has carried out between 12 and 18 September under the buyback programme
19,23
+1,43