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0HLE Banco Santander Sa

6.08
0.00 (0.00%)
24 Apr 2024 - Closed
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
Banco Santander Sa LSE:0HLE London Ordinary Share BANCO SANTANDER ADR REP 1 ORD (CDI)
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  0.00 0.00% 6.08 2,392 01:00:00
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
Commercial Banks, Nec 59.64B 11.08B 0.6844 7.28 80.6B

Banco Santander S.A. Total early redemption of mortgage covered bonds (9413K)

23/12/2022 11:33am

UK Regulatory


Banco Santander (LSE:0HLE)
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RNS Number : 9413K

Banco Santander S.A.

23 December 2022

Banco Santander, S.A., in compliance with the Securities Market legislation, hereby communicates the following:

OTHER RELEVANT INFORMATION

Banco Santander, S.A. (the " Issuer ") hereby announces that, in relation to the following issuances:

1. "Issuance of Banco Popular Español, S.A Mortgage Covered Bonds 2013-5 " ("Emisión de Cédulas Hipotecarias Banco Popular Español, S.A Serie 2013-5 "), with ISIN code ES0413790280 , for a total amount of one million two hundred fifty thousand euros (EUR 1,250,000,000), which current outstanding nominal amount ups to four hundred million euros (EUR 400,000,000) and the Final Conditions of which were registered with the registries of the Spanish National Securities Market Commission on 1 August 2013;

2. "Issuance of Banco Popular Español, S.A Mortgage Covered Bonds 2013-6 " ( " Emisión de Cédulas Hipotecarias Banco Popular Español, S.A. 2013-6 "), with ISIN code ES0413790298, for a total amount of one billion five hundred million euros (EUR 1,500,000,000), which current outstanding nominal amount ups to five hundred million euros (EUR 500,000,000) and the Final Conditions of which were registered with the registries of the Spanish National Securities Market Commission on 1 August 2013;

3. "Issuance of Banco Popular Español, S.A Mortgage Covered Bonds 2013-7 " ( " Emisión de Cédulas Hipotecarias Banco Popular Español, S.A. 2013-7 "), with ISIN code ES0413790306, for a total amount of one billion five hundred million euros (EUR 1,500,000,000), the Final Conditions of which were registered with the registries of the Spanish National Securities Market Commission on 1 August 2013;

4. "Issuance of Banco Popular Español, S.A Mortgage Covered Bonds 2014-1 " ( " Emisión de Cédulas Hipotecarias Banco Popular Español, S.A. 2014-1 "), with ISIN code ES0413790330, for a total amount of one billion five hundred million euros (EUR 1,500,000,000), which current outstanding nominal amount ups to one billion euros (EUR 1,000,000,000) and the Final Conditions of which were registered with the registries of the Spanish National Securities Market Commission on 21 February 2014;

5. " Issuance of Banco Pastor S.A.U. Mortgage Covered Bonds 1-2014 " ( " Emisión de Cédulas Hipotecarias Banco Pastor S.A.U. 1-2014 "), with ISIN code ES0405035009, for a total amount of one billion euros (EUR 1,000,000,000), the Final Conditions of which were registered with the registries of the Spanish National Securities Market Commission on 29 July 2014;

6. " Issuance of Banco Popular Español, S.A Mortgage Covered Bonds 2017-1 " ( " Emisión de Cédulas Hipotecarias Banco Popular Español, S.A. 2017-1 "), with ISIN code ES0413790470, for a total amount of one billion euros (EUR 1,000,000,000), the Final Conditions of which were registered with the registries of the Spanish National Securities Market Commission on 4 April 2017;

7. " Issuance of Banco Popular Español, S.A Mortgage Covered Bonds 2017-2 " ( " Emisión de Cédulas Hipotecarias Banco Popular Español, S.A. 2017-2 "), with ISIN code ES0413790488, for a total amount of one billion six hundred million euros (EUR 1,600,000,000), the Final Conditions of which were registered with the registries of the Spanish National Securities Market Commission on 11 May 2017;

8. " Issuance of Banco Santander, S.A. Mortgage Covered Bonds Series 16-- - March 2025 " ( "Emisión de Cédulas Hipotecarias Banco Santander, S.A. Serie 16-- - Marzo 2025"), with ISIN code ES0413900616, for a total amount of one billion euros (EUR 1,000,000,000), the Final Conditions of which were registered with the registries of the Spanish National Securities Market Commission on 17 March 2020;

9. " Issuance of Banco Santander, S.A. Mortgage Covered Bonds Series 17-- - April 2027 " ( "Emisión de Cédulas Hipotecarias Banco Santander, S.A. Serie 17-- - Abril 2027"), with ISIN code ES0413900624, for a total amount of two billion euros (EUR 2,000,000,000), the Final Conditions of which were registered with the registries of the Spanish National Securities Market Commission on 14 April 2020;

10. " Issuance of Banco Santander, S.A. Mortgage Covered Bonds Series 28 - September 2031 " ( "Emisión de Cédulas Hipotecarias Banco Santander, S.A. Serie 28 - Septiembre 2031"), with ISIN code ES0413900772 , for a total amount of one billion euros (EUR 1,000,000,000), the Final Conditions of which were registered with the registries of the Spanish National Securities Market Commission on 30 September 2021;

11. " Issuance of Banco Santander, S.A. Mortgage Covered Bonds Series 33 - June 2029 " ( "Emisión de Cédulas Hipotecarias Banco Santander, S.A. Serie 33 - Junio 2029"), with ISIN code ES0413900822, for a total amount of three billion euros (EUR 3,000,000,000), the Final Conditions of which were registered with the registries of the Spanish National Securities Market Commission on 9 June 2022; and

12. " Issuance of Banco Santander, S.A. Mortgage Covered Bonds Series 34 - June 2030 " ( "Emisión de Cédulas Hipotecarias Banco Santander, S.A. Serie 34 - Junio 2030"), with ISIN code ISIN ES0413900830, for a total amount of two billion euros (EUR 2,000,000,000), the Final Conditions of which were registered with the registries of the Spanish National Securities Market Commission on 21 June 2022;

it intends to carry out on 28 December 2022 the total early redemption of the issuances and their respective outstanding nominal amounts indicated above, through the redemption at par of each and every one of the securities that compose each of the aforementioned issuances.

All the mortgage covered bonds to be early redeemed and cancelled are held by the Issuer.

Likewise, it is stated that all the necessary communications have been made to the corresponding organizations.

This is hereby reported as other relevant information for the appropriate purposes.

Boadilla del Monte (Madrid), 23 December 2022

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END

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(END) Dow Jones Newswires

December 23, 2022 06:33 ET (11:33 GMT)

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