Banco Santander, S.A. (SAN)
$14.72+0.89%Close
BUYBULL · day 18
Key stats
Short interest · FINRA settlement 2026-07-31
- Market cap
- $216.1B
- Avg volume
- 10.8M
- Beta
- 0.93
- Div yield
- 1.89%
- P/E (TTM)
- 11.44
- Short % float
- 0.63%
- Days to cover
- 8.7
- SI change
- +2.4%
- 1W
- +0.89%
- 1M
- +8.71%
- 3M
- +22.26%
- YTD
- +21.96%
- vs SPY 1W
- +2.08%
- vs SPY 1M
- +5.39%
- vs SPY 3M
- +19.87%
- vs SPY YTD
- +10.20%
Sector peers
Same-sector names ranked by LOPJLB quality proximity · Financial Services
- ATLCSELLAtlanticus Holdings CorporationRECOVERYQ 10$95.15-0.98%
- BKUSELLBankUnited, Inc.BEARQ 7$46.28-0.11%
- FSBWSELLFS Bancorp, Inc.BEARQ 26$42.94+1.11%
- AHL-PDSELLAspen Insurance Holdings LimitedBEARQ -5$18.91+1.34%
- AHL-PESELLAspen Insurance Holdings LimitedBEARQ -0$18.75+0.86%
- BOWBUYBowhead Specialty Holdings Inc.BULLQ 26$33.75+0.75%
- AMTDBUYAMTD IDEA GroupRECOVERYQ -14$0.80+0.00%
- GBLISELLGlobal Indemnity Group, LLCBEARQ 4$27.26+0.00%
- IBNSELLICICI Bank LimitedBULLQ 14$29.64-0.90%
- WFBUYWoori Financial Group Inc.RECOVERYQ 12$69.51+1.58%
- HOPEBUYHope Bancorp, Inc.BULLQ 13$13.95-0.14%
- SCMBUYStellus Capital Investment CorporationRECOVERYQ 10$8.79+1.62%
Industry peers
FMP comparable companies · ranked by market cap
- HSBCSELLHSBC Holdings plc$357.9BBULLQ 8$104.15-0.06%
- RYSELLRoyal Bank of Canada$285.2BBEARQ 22$205.23-0.59%
- MUFGSELLMitsubishi UFJ Financial Group, Inc.$248.5BBEARQ 6$22.04-0.36%
- CSELLCitigroup Inc.$225.8BRECOVERYQ 11$131.65+0.05%
- UBSBUYUBS Group AG$174.7BBULLQ 9$53.29+0.79%
- BBVABUYBanco Bilbao Vizcaya Argentaria, S.A.$160.5BBULLQ 10$29.04+0.59%
- BBVXFBanco Bilbao Vizcaya Argentaria, S.A.$157.4B$28.48
- INGBUYING Groep N.V.$99.5BBULLQ 5$34.84+0.55%
- BCSSELLBarclays PLC$90.5BBEARQ 12$26.83+0.52%
- BCLYFBarclays PLC$87.7B$6.50
- NWGBUYNatWest Group plc$37.1BBULLQ -10$18.62+0.59%
- SVNLYSvenska Handelsbanken AB (publ)$30.6B$7.72
Prediction markets
Kalshi · Polymarket · … linked
Loading markets…
FUNDAMENTALS
[SCORES & PROFILE]
- FUND
- 28
- VALUE
- 16
- GROWTH
- 61
- GARP
- 4
- TYPE
- Balanced
Composite of Value · Growth · GARP
ROIC9.3%
REV YoY-
ROE15.5%
EPS YoY-
ROA0.8%
GROSS72
OP29
NET24
[VALUATION]
P/E TTM11.44
P/E FWD-
SECTOR PE21.46
INDUSTRY PE-
P/B1.71
P/FCF-
EV/EBITDA16.25
EV/EBIT-
PEG-
FCF YIELD-
RISK
INT COV-
D/E412.31
ALTMAN Z-
CURR RATIO0.11
ND/EBITDA-
BETA0.93



















