ADVFN Logo ADVFN

We could not find any results for:
Make sure your spelling is correct or try broadening your search.

Trending Now

Toplists

It looks like you aren't logged in.
Click the button below to log in and view your recent history.

Hot Features

Registration Strip Icon for charts Register for streaming realtime charts, analysis tools, and prices.

BNC Banco Santander S.a.

480.50
3.00 (0.63%)
Last Updated: 14:49:16
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
  3.00 0.63% 480.50 480.00 481.00 483.50 477.50 482.50 144,366 14:49:16
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
Commercial Banks, Nec 62.67B 12.57B 0.7487 7.60 80.19B

Director/PDMR Shareholding

10/06/2010 6:25pm

UK Regulatory



 

TIDMBNC 
 
RNS Number : 4452N 
Banco Santander S.A. 
10 June 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 relates to   | 
|  | BANCO SANTANDER, S.A.     |  | (i) 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 managerial    |  | notification relates to a | 
|  | responsibilities/director |  | person                    | 
|  |                           |  | connected with a person   | 
|  | MR. FRANCISCO LUZÓN       |  | discharging managerial    | 
|  | LÓPEZ, DIRECTOR OF THE    |  | responsibilities/director | 
|  | ISSUER.                   |  | named in 3 and identify   | 
|  |                           |  | the connected person      | 
|  |                           |  |                           | 
|  |                           |  | THIS NOTIFICATION RELATES | 
|  |                           |  | TO THE FOLLOWING          | 
|  |                           |  | CONNECTED PERSON OF MR.   | 
|  |                           |  | FRANCISCO LUZON LOPEZ:    | 
|  |                           |  | CAÑABARA INVERSIONES,     | 
|  |                           |  | SICAV, S.A.               | 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
| 5.| Indicate whether the      | 6.| Description of shares     | 
|  | notification is in        |  | (including class),        | 
|  | respect of a holding of   |  | debentures or derivatives | 
|  | the person referred to in |  | or financial instruments  | 
|  | 3 or 4 above or in        |  | relating to shares        | 
|  | respect of a              |  |                           | 
|  | nonbeneficial             |  | ORDINARY SHARES OF 0.50   | 
|  | interest 1                |  | EURO NOMINAL VALUE.       | 
|  |                           |  |                           | 
|  | AS IN 4 ABOVE.            |  |                           | 
+--+---------------------------+--+---------------------------+ 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
| 7.| Name of registered        | 8.| State the nature of the   | 
|  | shareholders(s) and, if   |  | transactions              | 
|  | more than one, the number |  |                           | 
|  | of shares held by each of |  | PURCHASE BY CAÑABARA      | 
|  | them                      |  | INVERSIONES, SICAV, S.A.  | 
|  |                           |  | ON 08 JUNE 2010 OF 6,895  | 
|  | MR. FRANCISCO LUZÓN LÓPEZ |  | SHARES.                   | 
|  | AND HIS CONNECTED PERSON  |  |                           | 
|  | HOLD AFTER THE            |  |                           | 
|  | TRANSACTION DESCRIBED IN  |  |                           | 
|  | THIS NOTIFICATION A TOTAL |  |                           | 
|  | OF 1,225,272 SHARES,      |  |                           | 
|  | WHICH REPRESENT 0.015% OF |  |                           | 
|  | THE ISSUER'S SHARE        |  |                           | 
|  | (CAPITAL NOT TAKING INTO  |  |                           | 
|  | ACCOUNT TREASURY STOCK).  |  |                           | 
|  |                           |  |                           | 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
| 9.| Number of shares,         | 10.| Percentage of issued      | 
|  | debentures or financial   |  | class acquired (treasury  | 
|  | instruments relating to   |  | shares of that class      | 
|  | shares acquired           |  | should not be taken into  | 
|  |                           |  | account when calculating  | 
|  | SEE 8 ABOVE.              |  | percentage)               | 
|  |                           |  |                           | 
|  |                           |  | 0.000%                    | 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
| 11.| Number of shares,         | 12.| Percentage of issued      | 
|  | debentures or financial   |  | class disposed (treasury  | 
|  | instruments relating to   |  | shares of that class      | 
|  | shares disposed           |  | should not be taken into  | 
|  |                           |  | account when calculating  | 
|  |                           |  | percentage)               | 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
| 13.| Price per share or value  | 14.| Date and place of         | 
|  | of transactions           |  | transaction               | 
|  |                           |  |                           | 
|  | PURCHASE BY CAÑABARA      |  | SPAIN, 08 JUNE 2010.      | 
|  | INVERSIONES, SICAV, S.A.  |  | SEE 8 ABOVE.              | 
|  | ON 08 JUNE 2010 OF 6,895  |  |                           | 
|  | SHARES@7.25 EURO PER      |  |                           | 
|  | SHARE.                    |  |                           | 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
| 15.| Total holding following   | 16.| Date issuer informed of   | 
|  | notification and total    |  | transaction               | 
|  | percentage holding        |  |                           | 
|  | following notification    |  |                           | 
|  | (any treasury shares      |  | 10 JUNE 2010.             | 
|  | should not be taken into  |  |                           | 
|  | account when calculating  |  |                           | 
|  | percentage)               |  |                           | 
|  |                           |  |                           | 
|  | 1,225,272 SHARES          |  |                           | 
|  | REPRESENTING 0.015% 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 (if     | 20.| Description of shares or  | 
|  | any) for grant of the     |  | debentures involved       | 
|  | option                    |  | (class and number)        | 
|  |                           |  |                           | 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
| 21.| Exercise price (if fixed  | 22.| Total number of shares or | 
|  | at time of grant) or      |  | debentures over which     | 
|  | indication that price is  |  | options held following    | 
|  | to be fixed at the time   |  | notification              | 
|  | of exercise               |  |                           | 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
|  |                           |  |                           | 
+--+---------------------------+--+---------------------------+ 
| 23.| Any additional            | 24.| Name of contact and       | 
|  | information               |  | 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                                         | 
|                                                              | 
| 10 JUNE 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 
 
 RDSBRGDLSDBBGGG 
 

1 Year Banco Santander Chart

1 Year Banco Santander Chart

1 Month Banco Santander Chart

1 Month Banco Santander Chart

Your Recent History

Delayed Upgrade Clock