Banco Santander, S.A.SAN

時価総額
PER
2017年
12月31日
2018年
12月31日
2019年
12月31日
2020年
12月31日
2023年
12月31日
Financial assets at fair value through other comprehensive income---2,8405,995
Financial assets at amortized cost---40,36577,701
Other interest income---2,53621,556
Interest income56,041--45,741105,252
Interest expense21,74519,98421,50213,74761,991
Interest income/(charges)34,29634,34135,28331,99443,261
Financial assets at fair value through other comprehensive income-1061118888
Dividend income384370533391571
Income from companies accounted for using the equity method704737324-96613
Commission income14,57914,66415,34913,02416,321
Commission expense2,9823,1793,5703,0094,264
Financial assets at amortized cost----31-3
Gains Losses On Financial Assets And Liabilities Not Measured At Fair Value Through Profit Or Loss Net4046041,1361,10796
Gains Losses On Financial Assets And Liabilities Held For Trading---3,2112,322
Gains (losses) on financial assets at fair value through profit or loss, mandatorily measured at fair value----204
Gains Losses On Financial Assets And Liabilities At Fair Value Through Profit Or Loss-85-57-286-171-93
Gain or losses from hedge accounting, net-1183-285163
Exchange differences, net105-679-932-2,09341
Other operating income----1,104
Other operating expenses----2,827
Income from assets under insurance and reinsurance contracts---1,452-
Income from insurance and reinsurance contracts----460
Expenses from liabilities under insurance and reinsurance contracts2,4893,1242,4141,242-
Expenses from insurance and reinsurance contracts----449
Total income---44,27957,423
Administrative expenses20,40020,35420,27918,32022,241
Staff costs12,04711,86512,14110,78313,726
Other general administrative expenses---7,5378,515
Depreciation and amortisation cost2,5932,4253,0012,8103,184
Provisions or reversal of provisions, net3,0582,2233,4902,3782,678
Financial assets at fair value through other comprehensive income-1121944
Financial assets at amortized cost-8,9859,34012,36312,912
Impairment or reversal of impairment at financial assets not measured at fair value through profit or loss and net gains and losses from changes-8,9869,35212,38212,956
Impairment or reversal of impairment of investments in subsidiaries, joint ventures and associates, net1317---
Impairment or reversal of impairment on non-financial assets, net1,2601901,62310,416237
Tangible assets728345174136
Intangible assets1,0731171,56410,24273
Others115-1014-28
Gains (Losses) On Disposals Of Non-Financial Assets, Net---114313
Negative goodwill recognized in results-67-839
Gains (Losses) On Non-Current Assets Held For Sale Not Classified As Discontinued Operations-----20
Operating profit/(loss) before tax12,09114,20112,543-2,07616,459
Tax expense or income from continuing operations3,8844,8864,4275,6324,276
Profit/(loss) from continuing operations8,2079,3158,116-7,70812,183
Profit (loss) from discontinued operations-----
Profit/(loss) for the year8,2079,3158,116-7,70812,183
Profit/(loss) attributable to non-controlling interests1,5881,5051,6011,0631,107
Profit/(loss) attributable to the parent6,6197,8106,515-8,77111,076
Basic (in euro per share)0.4040.4490.362-0.5380.654
Diluted (in euro per share)0.4030.4480.361-0.5380.651