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Issue and public offering prospectuses
Register dateRegister numberName of the issuerprospectusFact sheetProspectusnominal valueISINAdmission to regulated market
27/11/2001 3716 FONDO DE TITULIZACION DE ACTIVOS SANTANDER I TOTAL FTA1,000,000,000 AIAF
27/11/2001 3418 SANTANDER INVESTMENT, S.A. EUR/USD CALL 0.95440,000 ES06139010K0 Ma Ba
27/11/2001 3418 SANTANDER INVESTMENT, S.A. EUR/USD CALL 1.00220,000 ES06139010L8 Ma Ba
27/11/2001 3418 SANTANDER INVESTMENT, S.A. EUR/USD PUT 0,85380,000 ES06139010M6 Ma Ba
27/11/2001 3418 SANTANDER INVESTMENT, S.A. IBEX CALL 8.000,001,320,000 ES06139010N4 Ma Ba
27/11/2001 3418 SANTANDER INVESTMENT, S.A. IBEX CALL 9.000,00780,000 ES06139010O2 Ma Ba
27/11/2001 3418 SANTANDER INVESTMENT, S.A. IBEX CALL 10.000,00430,000 ES06139010P9 Ma Ba
27/11/2001 3418 SANTANDER INVESTMENT, S.A. IBEX CALL 11.000,00200,000 ES06139010Q7 Ma Ba
27/11/2001 3418 SANTANDER INVESTMENT, S.A. IBEX PUT 7.000,00235,000 ES06139010R5 Ma Ba
27/11/2001 3418 SANTANDER INVESTMENT, S.A. IBEX PUT 8.000,00375,000 ES06139010S3 Ma Ba
27/11/2001 3418 SANTANDER INVESTMENT, S.A. NASDAQ 100 CALL 1.700865,000 ES06139010T1 Ma Ba
27/11/2001 3418 SANTANDER INVESTMENT, S.A. NASDAQ 100 CALL 2.100465,000 ES06139010U9 Ma Ba
27/11/2001 3418 SANTANDER INVESTMENT, S.A. NASDAQ 100 PUT 1.500640,000 ES06139010V7 Ma Ba
27/11/2001 3418 SANTANDER INVESTMENT, S.A. EUROSTOXX CALL 3.8002,150,000 ES06139010W5 Ma Ba
27/11/2001 3418 SANTANDER INVESTMENT, S.A. EUROSTOXX CALL 4.3001,195,000 ES06139010X3 Ma Ba
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El importe incluye tramos nacionales e internacionales