Announcements

    Drinks

      Name ISIN Issuer Rating type Instrument rating Maturity date Coupon Coupon type Volume Currency
      SAN 0.271 03/04/20 FRN XS1195284705 SANTANDER INTERNATIONAL DEBT SA Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      SAN 0.321 05/06/19 FRN XS1402346990 SANTANDER INTERNATIONAL DEBT SA Public WD 06/05/2019 - Floating: Fixed Margin over Index 300,001,517 EUR
      SAN 0.543 12/09/20 MTN XS1328831067 SANTANDER INTERNATIONAL DEBT SA Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      SAN 0.571 03/08/19 FRN XS1373983383 SANTANDER INTERNATIONAL DEBT SA Public WD 08/03/2019 - Floating: Fixed Margin over Index 50,004,683 EUR
      SAN 0.571 04/08/19 FRN XS0570096593 SANTANDER INTERNATIONAL DEBT SA Public WD 08/04/2019 0.884% Floating: Fixed Margin over Index 16,008,273 EUR
      SAN 0.571 05/03/19 FRN XS0570099001 SANTANDER INTERNATIONAL DEBT SA Public WD 03/05/2019 0.884% Floating: Fixed Margin over Index 6,007,098 EUR
      SAN 0.625 03/13/19 XS1198979129 SANTANDER INTERNATIONAL DEBT SA Public WD 13/03/2019 0.625% Fixed:Plain Vanilla Fixed Coupon 50,009,306 EUR
      SAN 1.375 03/03/21 MTN XS1370695477 SANTANDER INTERNATIONAL DEBT SA Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden
      SAN 1.375 03/25/17 MATd XS1046276504 SANTANDER INTERNATIONAL DEBT SA Public WD 25/03/2017 1.375% Fixed:Plain Vanilla Fixed Coupon 1,500,002,379 EUR
      SAN 2.000 02/23/21 '19 MTN XS1365097648 SANTANDER INTERNATIONAL DEBT SA Subscription Scope One exclusive - XX/XX/XXXX - XXXX% - Xxxxx Forbidden Forbidden