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Buyback programme: transactions 30Oct-5nov

6th Nov 2025 11:08

RNS Number : 5077G
Banco Santander S.A.
06 November 2025
 

Banco Santander, S.A. (the "Bank" or "Banco Santander"), in compliance with the Securities Market legislation, hereby communicates the following:

OTHER RELEVANT INFORMATION

Reference is made to our notice of inside information of 30 July 2025 (official registry number 2844) (the "Buyback Commencement Communication"), relating to the buyback programme of own shares (the "Buyback Programme") approved by the Board of Directors of Banco Santander.

 

Pursuant to article 5 of Regulation (EU) no. 596/2014 on Market Abuse of 16 April 2014, and articles 2.2 and 2.3 of Commission Delegated Regulation (EU) 2016/1052, of 8 March 2016, the Bank informs of the transactions carried out over its own shares between 30 October and 5 November 2025 (both inclusive).

 

The cash amount of the shares purchased to 5 November 2025 as a result of the execution of the Buyback Programme amounts to 1,055,750,294 Euros, which represents approximately 62.1% of the maximum investment amount of the Buyback Programme. The programme was announced together with its other characteristics through the Buyback Commencement Communication. With these purchases, the Bank has repurchased approximately 14.9% of its outstanding shares as of 2021.

 

Date

Security

Transaction

Trading venue

Number of shares

Weighted average price (€)

30/10/2025

SAN

Purchase

XMAD

2,700,000

8.7320

30/10/2025

SAN

Purchase

CEUX

521,329

8.7239

30/10/2025

SAN

Purchase

TQEX

124,564

8.7375

30/10/2025

SAN

Purchase

AQEU

254,107

8.7468

31/10/2025

SAN

Purchase

XMAD

1,350,000

8.7832

31/10/2025

SAN

Purchase

CEUX

695,776

8.7696

31/10/2025

SAN

Purchase

TQEX

181,622

8.7710

31/10/2025

SAN

Purchase

AQEU

272,602

8.7696

03/11/2025

SAN

Purchase

XMAD

1,450,000

8.8651

03/11/2025

SAN

Purchase

CEUX

632,185

8.8461

03/11/2025

SAN

Purchase

TQEX

165,781

8.8452

03/11/2025

SAN

Purchase

AQEU

252,034

8.8442

04/11/2025

SAN

Purchase

XMAD

1,800,000

8.7098

04/11/2025

SAN

Purchase

CEUX

511,867

8.6982

04/11/2025

SAN

Purchase

TQEX

195,598

8.6987

04/11/2025

SAN

Purchase

AQEU

192,535

8.7002

05/11/2025

SAN

Purchase

XMAD

1,260,000

8.7870

05/11/2025

SAN

Purchase

CEUX

236,977

8.7603

05/11/2025

SAN

Purchase

TQEX

88,377

8.7494

05/11/2025

SAN

Purchase

AQEU

214,646

8.7479

TOTAL

13,100,000

 

Issuer name: Banco Santander, S.A. - LEI 5493006QMFDDMYWIAM13

 

Reference of the financial instrument: ordinary shares - Code ISIN ES0113900J37

Detailed information of the transactions carried out within the referred period is attached as Annex I.

 

Boadilla del Monte (Madrid), 6 November 2025

ANNEX I

Detailed information on each of the transactions carried out within the context of the Buy-back Programme between 30/10/2025 and 05/11/2025 (both inclusive)

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