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BNC Banco Santander S.a.

404.50
-9.50 (-2.29%)
Last Updated: 11:47:33
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
Banco Santander S.a. LSE:BNC London Ordinary Share ES0113900J37 ORD EUR0.50 (CDI)
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  -9.50 -2.29% 404.50 404.50 405.00 407.00 400.00 403.00 324,110 11:47:33
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
Commercial Banks, Nec 59.64B 11.08B 0.6595 8.13 69.53B

Director/PDMR Shareholding

30/03/2010 5:05pm

UK Regulatory



 

TIDMBNC 
 
RNS Number : 4598J 
Banco Santander S.A. 
30 March 2010 
 
 
Annex DTR3 
 
Notification of Transactions of Directors/Persons Discharging Managerial 
Responsibility and Connected Persons 
 
 
All relevant boxes should be completed in block capital letters. 
 
+-----+---------------------------+-----+---------------------------+ 
| 1.  | Name of the issuer        | 2.  | State whether the         | 
|     |                           |     | notification              | 
|     | BANCO SANTANDER,          |     | relates to (i) a          | 
|     | S.A.                      |     | transaction               | 
|     |                           |     | notified in               | 
|     |                           |     | accordance with           | 
|     |                           |     | DTR 3.1.2 R,              | 
|     |                           |     | (ii) a disclosure         | 
|     |                           |     | made in accordance        | 
|     |                           |     | LR 9.8.6R(1) or           | 
|     |                           |     | (iii) a disclosure        | 
|     |                           |     | made in accordance        | 
|     |                           |     | with section 793          | 
|     |                           |     | of the Companies          | 
|     |                           |     | Act (2006).               | 
|     |                           |     |                           | 
|     |                           |     | (i).                      | 
+-----+---------------------------+-----+---------------------------+ 
| 3.  | Name of person            | 4.  | State whether             | 
|     | discharging               |     | notification              | 
|     | managerial                |     | relates to a              | 
|     | responsibilities/director |     | person                    | 
|     |                           |     | connected with a          | 
|     | MR. FERNANDO DE ASÚA      |     | person discharging        | 
|     | ÁLVAREZ, DIRECTOR OF THE  |     | managerial                | 
|     | ISSUER.                   |     | responsibilities/director | 
|     |                           |     | named in 3 and identify   | 
|     |                           |     | the connected person      | 
|     |                           |     |                           | 
|     |                           |     | THIS NOTIFICATION RELATES | 
|     |                           |     | TO MR. FERNANDO DE ASÚA   | 
|     |                           |     | ÁLVAREZ.                  | 
|     |                           |     |                           | 
+-----+---------------------------+-----+---------------------------+ 
| 5.  | Indicate whether          | 6.  | Description of            | 
|     | the notification          |     | shares (including         | 
|     | is in respect of a        |     | class), debentures        | 
|     | holding of the            |     | or derivatives or         | 
|     | person referred to        |     | financial                 | 
|     | in 3 or 4 above or        |     | instruments               | 
|     | in respect of a           |     | relating to shares        | 
|     | nonbeneficial             |     |                           | 
|     | interest 1                |     | ORDINARY SHARES OF        | 
|     |                           |     | 0.50 EURO NOMINAL         | 
|     | AS IN 4 ABOVE.            |     | VALUE.                    | 
+-----+---------------------------+-----+---------------------------+ 
| 7.  | Name of registered        | 8.  | State the nature          | 
|     | shareholders(s)           |     | of the transaction        | 
|     | and, if more than         |     |                           | 
|     | one, the number of        |     |                           | 
|     | shares held by            |     | PURCHASE BY MR.           | 
|     | each of them              |     | FERNANDO DE ASÚA          | 
|     |                           |     | ÁLVAREZ ON 25             | 
|     | MR. FERNANDO DE           |     | MARCH 2010 OF 500         | 
|     | ASÚA ÁLVAREZ AND          |     | SHARES.                   | 
|     | HIS CONNECTED             |     |                           | 
|     | PERSON HOLD AFTER         |     |                           | 
|     | THE TRANSACTION           |     |                           | 
|     | DESCRIBED IN THIS         |     |                           | 
|     | NOTIFICATION A            |     |                           | 
|     | TOTAL OF 108,349          |     |                           | 
|     | SHARES, WHICH             |     |                           | 
|     | REPRESENT 0.001%          |     |                           | 
|     | OF THE ISSUER'S           |     |                           | 
|     | SHARE (CAPITAL NOT        |     |                           | 
|     | TAKING INTO               |     |                           | 
|     | ACCOUNT TREASURY          |     |                           | 
|     | STOCK).                   |     |                           | 
|     |                           |     |                           | 
+-----+---------------------------+-----+---------------------------+ 
| 9.  | Number of shares,         | 10. | Percentage of             | 
|     | debentures or             |     | issued class              | 
|     | financial                 |     | acquired (treasury        | 
|     | instruments               |     | shares of that            | 
|     | relating to shares        |     | class should not          | 
|     | acquired                  |     | be taken into             | 
|     |                           |     | account when              | 
|     |                           |     | calculating               | 
|     | SEE 8 ABOVE.              |     | percentage)               | 
|     |                           |     |                           | 
|     |                           |     | 0.000%                    | 
|     |                           |     |                           | 
+-----+---------------------------+-----+---------------------------+ 
| 11. | Number of shares,         | 12. | Percentage of             | 
|     | debentures or             |     | issued class              | 
|     | financial                 |     | disposed (treasury        | 
|     | instruments               |     | shares of that            | 
|     | relating to shares        |     | class should not          | 
|     | disposed                  |     | be taken into             | 
|     |                           |     | account when              | 
|     |                           |     | calculating               | 
|     |                           |     | percentage)               | 
|     |                           |     |                           | 
+-----+---------------------------+-----+---------------------------+ 
| 13. | Price per share or        | 14. | Date and place of         | 
|     | value of                  |     | transaction               | 
|     | transaction               |     |                           | 
|     |                           |     | SPAIN, 25 MARCH           | 
|     | PURCHASE BY MR.           |     | 2010.                     | 
|     | FERNANDO DE ASÚA          |     | SEE 8 ABOVE.              | 
|     | ÁLVAREZ ON 25             |     |                           | 
|     | MARCH 2010 OF 500         |     |                           | 
|     | SHARES@ 10.00 EURO        |     |                           | 
|     | PER SHARE.                |     |                           | 
|     |                           |     |                           | 
+-----+---------------------------+-----+---------------------------+ 
| 15. | Total holding             | 16. | Date issuer               | 
|     | following                 |     | informed of               | 
|     | notification and          |     | transaction               | 
|     | total percentage          |     |                           | 
|     | holding following         |     |                           | 
|     | notification (any         |     | 30 MARCH 2010.            | 
|     | treasury shares           |     |                           | 
|     | should not be             |     |                           | 
|     | taken into account        |     |                           | 
|     | when calculating          |     |                           | 
|     | percentage)               |     |                           | 
|     |                           |     |                           | 
|     | 108,349 SHARES            |     |                           | 
|     | REPRESENTING              |     |                           | 
|     | 0.001% OF THE             |     |                           | 
|     | ISSUER'S SHARE            |     |                           | 
|     | (CAPITAL NOT              |     |                           | 
|     | TAKING INTO               |     |                           | 
|     | ACCOUNT TREASURY          |     |                           | 
|     | STOCK).                   |     |                           | 
|     |                           |     |                           | 
+-----+---------------------------+-----+---------------------------+ 
 
 
If a person discharging managerial responsibilities has been granted options by 
the issuer 
complete the following boxes 
 
+-----+--------------------+-----+--------------------+ 
| 17. | Date of grant      | 18. | Period during      | 
|     |                    |     | which or date on   | 
|     |                    |     | which exercisable  | 
|     |                    |     |                    | 
+-----+--------------------+-----+--------------------+ 
|     |                    |     |                    | 
+-----+--------------------+-----+--------------------+ 
| 19. | Total amount paid  | 20. | Description of     | 
|     | (if any) for grant |     | shares or          | 
|     | of the option      |     | debentures         | 
|     |                    |     | involved (class    | 
|     |                    |     | and number)        | 
|     |                    |     |                    | 
|     |                    |     |                    | 
+-----+--------------------+-----+--------------------+ 
|     |                    |     |                    | 
+-----+--------------------+-----+--------------------+ 
| 21. | Exercise price (if | 22. | Total number of    | 
|     | fixed at time of   |     | shares or          | 
|     | grant) or          |     | debentures over    | 
|     | indication that    |     | which options held | 
|     | price is to be     |     | following          | 
|     | fixed at the time  |     | notification       | 
|     | of exercise        |     |                    | 
|     |                    |     |                    | 
+-----+--------------------+-----+--------------------+ 
|     |                    |     |                    | 
+-----+--------------------+-----+--------------------+ 
| 23. | Any additional     | 24. | Name of contact    | 
|     | information        |     | and telephone      | 
|     |                    |     | number for queries | 
|     | NONE.              |     |                    | 
|     |                    |     | JESUS MARIA DIAZ   | 
|     |                    |     | DE MERA            | 
|     |                    |     | +(34) 912-897-738  | 
|     |                    |     |                    | 
+-----+--------------------+-----+--------------------+ 
 
+-----------------------------------------------+ 
| Name of authorised official of issuer         | 
| responsible for making notification           | 
|                                               | 
| JOSE MANUEL DE ARALUCE                        | 
|                                               | 
| Date of notification                          | 
|                                               | 
|  30 MARCH 2010                                | 
|                                               | 
+-----------------------------------------------+ 
 
 
Notes:    This form is intended for use by an issuer to make a RIS notification 
required by DR 3.3. 
 
+--+-------------------------------------------+ 
| (1)| An issuer making a notification in        | 
|  | respect of a transaction relating to the  | 
|  | shares or debentures of the issuer should | 
|  | complete boxes 1 to 16, 23 and 24.        | 
+--+-------------------------------------------+ 
| (2)| An issuer making a notification in        | 
|  | respect of a derivative relating the      | 
|  | shares of the issuer should complete      | 
|  | boxes 1 to 4, 6, 8, 13, 14, 16, 23 and    | 
|  | 24.                                       | 
+--+-------------------------------------------+ 
| (3)| An issuer making a notification in        | 
|  | respect of options granted to a           | 
|  | director/person discharging managerial    | 
|  | responsibilities should complete boxes 1  | 
|  | to 3 and 17 to 24.                        | 
+--+-------------------------------------------+ 
| (4)| An issuer making a notification in        | 
|  | respect of a financial instrument         | 
|  | relating to the shares of the issuer      | 
|  | (other than a debenture) should complete  | 
|  | boxes 1 to 4, 6, 8, 9, 11, 13, 14, 16, 23 | 
|  | and 24.                                   | 
+--+-------------------------------------------+ 
 
 
This information is provided by RNS 
            The company news service from the London Stock Exchange 
   END 
 
 RDSBLGDXXGXBGGG 
 

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