US Stock MarketDetailed Quotes

BSAC Banco Santander Chile

Watchlist
  • 20.600
  • +0.370+1.83%
Close Jul 22 16:00 ET
  • 20.595
  • -0.005-0.02%
Post 16:00 ET
9.70BMarket Cap14.02P/E (TTM)

Banco Santander Chile Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(Q1)Mar 31, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q3)Sep 30, 2022
Assets
Cash cash equivalents and federal funds sold
-65.54%2.04T
-12.27%5.69T
9.19%5.79T
9.19%5.79T
6.45%6.94T
74.08%5.91T
14.26%6.48T
0.48%5.3T
0.48%5.3T
-14.87%6.52T
-Cash and cash equivalents
-36.38%2.04T
-49.79%3.24T
9.60%5.78T
9.60%5.78T
-30.94%4.5T
-5.71%3.2T
13.60%6.45T
0.17%5.27T
0.17%5.27T
-14.87%6.52T
-Money market investments
----
----
----
----
--4.16B
----
----
----
----
----
-Restricted cash and investments
----
6,454.77%2.45T
-57.57%13.45B
-57.57%13.45B
121,610,000.00%2.43T
--2.71T
--37.4B
109.12%31.71B
109.12%31.71B
--2M
Receivables
----
364.89%1.52T
-24.91%382.23B
-24.91%382.23B
388.30%1.49T
17,987.56%1.5T
79.43%327.99B
50.39%509.03B
50.39%509.03B
-24.90%305.47B
-Accounts receivable
----
17.10%215.58B
7.98%199.75B
7.98%199.75B
--41.4B
--28.05B
--184.11B
100.99%184.99B
100.99%184.99B
----
-Other receivables
----
809.91%1.31T
-43.69%182.48B
-43.69%182.48B
374.75%1.45T
17,649.82%1.47T
-21.29%143.89B
31.49%324.04B
31.49%324.04B
49.70%305.47B
Prepaid assets
----
-32.32%160.91B
-31.04%169.6B
-31.04%169.6B
-27.50%198.29B
--219.2B
-23.49%237.75B
-23.83%245.94B
-23.83%245.94B
-20.95%273.52B
Net loan
6.75%39.38T
2.60%38.84T
5.55%39.66T
5.55%39.66T
-0.44%37.67T
-0.68%36.89T
5.74%37.86T
5.62%37.58T
5.62%37.58T
8.95%37.84T
-Gross loan
5.47%39.38T
5.74%40.03T
5.38%40.81T
5.38%40.81T
0.80%38.14T
0.52%37.33T
5.74%37.86T
5.73%38.73T
5.73%38.73T
5.83%37.84T
-Allowance for loans and lease losses
----
--1.19T
-0.28%1.15T
-0.28%1.15T
--467.76B
--445.94B
----
9.69%1.15T
9.69%1.15T
----
Securities and investments
-13.37%10.3T
12.80%12.9T
16.95%12.92T
16.95%12.92T
11.98%12.08T
11.23%11.89T
29.29%11.44T
4.53%11.04T
4.53%11.04T
19.77%10.79T
-Available for sale securities
109.71%10.3T
70.85%8.72T
67.99%8.18T
67.99%8.18T
4.21%5.02T
7.18%4.91T
7.83%5.1T
3.75%4.87T
3.75%4.87T
5,519.91%4.82T
-Short term investments
----
-33.96%4.18T
-23.27%4.74T
-23.27%4.74T
18.25%7.06T
14.28%6.98T
53.97%6.34T
5.15%6.18T
5.15%6.18T
-33.11%5.97T
Long term equity investment
----
18.16%56.66B
18.67%55.28B
18.67%55.28B
20.52%51.41B
8.26%44.67B
23.07%47.95B
23.59%46.59B
23.59%46.59B
298.92%42.65B
Derivative assets
8.11%12.04T
19.97%14.44T
-11.58%10.89T
-11.58%10.89T
-28.98%12.94T
-27.61%11.14T
29.06%12.04T
19.05%12.31T
19.05%12.31T
84.33%18.22T
Net PPE
----
-4.31%345.59B
-5.28%352.27B
-5.28%352.27B
-1.60%346.74B
0.34%355.21B
-0.30%361.15B
-0.78%371.89B
-0.78%371.89B
-3.34%352.37B
-Gross PPE
----
4.25%1T
4.00%991.69B
4.00%991.69B
5.68%969.13B
174.40%971.37B
6.43%959.34B
6.58%953.55B
6.58%953.55B
6.30%917.06B
-Accumulated depreciation
----
-9.41%-654.51B
-9.93%-639.42B
-9.93%-639.42B
-10.22%-622.38B
---616.16B
-10.95%-598.2B
-11.89%-581.66B
-11.89%-581.66B
-13.35%-564.69B
Assets held for sale
----
73.97%51.15B
27.47%51.45B
27.47%51.45B
-1.38%29.89B
19.46%31.98B
33.21%29.4B
35.03%40.36B
35.03%40.36B
2.60%30.31B
Goodwill and other intangible assets
----
-11.79%90.13B
-9.50%97.55B
-9.50%97.55B
-2.58%95.33B
1.06%94.32B
10.47%102.18B
12.97%107.79B
12.97%107.79B
14.38%97.85B
-Other intangible assets
----
-11.79%90.13B
-9.50%97.55B
-9.50%97.55B
-2.58%95.33B
--94.32B
10.47%102.18B
12.97%107.79B
12.97%107.79B
14.38%97.85B
Defined pension benefit
----
--304M
-57.01%233M
-57.01%233M
12.96%558M
--558M
--0
3.63%542M
3.63%542M
-22.08%494M
Other assets
1,496.68%4.51T
-16.55%227.12B
-22.42%174.61B
-22.42%174.61B
-10.22%243.75B
-91.76%282.2B
-44.05%272.17B
32.58%225.07B
32.58%225.07B
12.71%271.51B
Total assets
-0.61%68.26T
7.59%74.78T
3.90%71.09T
3.90%71.09T
-3.39%72.49T
-3.11%68.68T
13.08%69.51T
7.17%68.42T
7.17%68.42T
18.16%75.04T
Liabilities
Total deposits
9.76%29.3T
3.34%29.01T
8.97%28T
8.97%28T
-4.36%27.06T
-3.36%26.69T
3.82%28.07T
-2.20%25.69T
-2.20%25.69T
1.29%28.29T
Federal funds purchased and securities sold under agreement to repurchase
----
-41.78%265.74B
-10.39%282.58B
-10.39%282.58B
404.40%712.63B
-86.93%406.42B
194.58%456.42B
264.01%315.36B
264.01%315.36B
184.59%141.28B
Payables
----
0.01%690.68B
-21.15%831.3B
-21.15%831.3B
-34.92%317.21B
37,527.02%750.66B
43.59%690.63B
52.41%1.05T
52.41%1.05T
-26.94%487.42B
-Accounts payable
----
3.11%446.25B
-18.36%492.28B
-18.36%492.28B
-44.24%186.39B
--605.94B
9.73%432.78B
-0.81%603.01B
-0.81%603.01B
-47.21%334.27B
-Total tax payable
----
44.21%202.63B
62.91%302.2B
62.91%302.2B
75.38%130.81B
4,656.89%94.9B
279.65%140.52B
418.26%185.49B
418.26%185.49B
472.24%74.59B
-Other payable
----
-64.38%41.8B
-86.15%36.82B
-86.15%36.82B
----
--49.82B
136.69%117.34B
453.38%265.79B
453.38%265.79B
276.14%78.57B
Current debt and capital lease obligation
----
--16.63B
-20.02%20.72B
-20.02%20.72B
--23.4B
--24.64B
----
10.73%25.9B
10.73%25.9B
----
-Current capital lease obligation
----
--16.63B
-20.02%20.72B
-20.02%20.72B
--23.4B
--24.64B
----
10.73%25.9B
10.73%25.9B
----
Trading liabilities
----
--0
----
----
--0
--0
----
----
----
----
Long term provisions
----
-17.42%820.14B
-38.40%283.97B
-38.40%283.97B
-21.42%565.3B
-14.94%523.51B
34.73%993.14B
-0.63%461.02B
-0.63%461.02B
93.91%719.41B
Long term debt and capital lease obligation
-3.24%11T
-11.20%14.51T
17.47%12.4T
17.47%12.4T
-27.92%11.73T
-30.65%11.37T
9.40%16.34T
2.83%10.56T
2.83%10.56T
-6.32%16.27T
-Long term debt
-2.35%11T
-10.95%14.44T
17.92%12.32T
17.92%12.32T
-27.86%11.64T
-30.69%11.27T
9.53%16.21T
2.92%10.45T
2.92%10.45T
-6.38%16.13T
-Long term capital lease obligation
----
-41.24%78.11B
-24.63%83.8B
-24.63%83.8B
-34.05%92.98B
-26.22%103.43B
-5.25%132.94B
-4.48%111.19B
-4.48%111.19B
0.70%141B
Non current deferred liabilities
----
-17.34%5.04B
-42.41%220.62B
-42.41%220.62B
-98.38%98M
-99.95%1M
-28.14%6.1B
-11.79%383.08B
-11.79%383.08B
-98.08%6.05B
Derivative product liabilities
-12.09%12.27T
7.71%16.58T
-13.63%13.14T
-13.63%13.14T
-34.59%13.98T
-15.92%13.96T
39.12%15.39T
28.94%15.21T
28.94%15.21T
94.49%21.37T
Liabilities of discontinued operations
----
--0
----
----
--0
--0
----
----
----
----
Other liabilities
6.82%11.39T
144.29%8.59T
8.59%10.59T
8.59%10.59T
264.23%13.79T
275.13%10.66T
8.64%3.51T
4.03%9.76T
4.03%9.76T
54.91%3.79T
Securities loaned
----
--0
----
----
----
----
----
----
----
----
Total liabilities
-0.67%63.97T
7.66%70.49T
3.65%65.77T
3.65%65.77T
-4.07%68.17T
-4.17%64.39T
13.54%65.47T
6.81%63.46T
6.81%63.46T
18.19%71.07T
Shareholders'equity
Share capital
----
0.00%891.3B
0.00%891.3B
0.00%891.3B
0.00%891.3B
0.00%891.3B
0.00%891.3B
0.00%891.3B
0.00%891.3B
0.00%891.3B
-common stock
----
0.00%891.3B
0.00%891.3B
0.00%891.3B
0.00%891.3B
0.00%891.3B
0.00%891.3B
0.00%891.3B
0.00%891.3B
0.00%891.3B
Retained earnings
----
-44.09%242.9B
-20.90%537.46B
-20.90%537.46B
-31.99%358.1B
-12.85%301.49B
-37.78%434.44B
5.00%679.44B
5.00%679.44B
13.67%526.55B
Gains losses not affecting retained earnings
----
16.72%3.03T
17.15%3.16T
17.15%3.16T
20.40%2.94T
30.11%3.06T
22.64%2.59T
22.61%2.69T
22.61%2.69T
26.69%2.44T
Other equity interest
----
----
3.13%608.72B
3.13%608.72B
----
---83.47B
----
-1.32%590.25B
-1.32%590.25B
----
Total stockholders'equity
0.62%4.19T
6.18%4.16T
6.97%5.19T
6.97%5.19T
8.55%4.19T
16.17%4.17T
5.81%3.92T
12.03%4.85T
12.03%4.85T
17.61%3.86T
Non controlling interests
-14.47%102.1B
12.25%127.53B
13.85%124.74B
13.85%124.74B
17.18%124.88B
16.69%119.37B
15.58%113.62B
16.11%109.56B
16.11%109.56B
16.58%106.57B
Total equity
0.20%4.3T
6.35%4.29T
7.12%5.32T
7.12%5.32T
8.78%4.32T
16.18%4.29T
6.06%4.03T
12.11%4.96T
12.11%4.96T
17.58%3.97T
Currency Unit
CLP
CLP
CLP
CLP
CLP
CLP
CLP
CLP
CLP
CLP
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
--
Unqualified Opinion
--
--
--
--
--
--
--
(Q2)Jun 30, 2024(Q1)Mar 31, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q3)Sep 30, 2022
Assets
Cash cash equivalents and federal funds sold -65.54%2.04T-12.27%5.69T9.19%5.79T9.19%5.79T6.45%6.94T74.08%5.91T14.26%6.48T0.48%5.3T0.48%5.3T-14.87%6.52T
-Cash and cash equivalents -36.38%2.04T-49.79%3.24T9.60%5.78T9.60%5.78T-30.94%4.5T-5.71%3.2T13.60%6.45T0.17%5.27T0.17%5.27T-14.87%6.52T
-Money market investments ------------------4.16B--------------------
-Restricted cash and investments ----6,454.77%2.45T-57.57%13.45B-57.57%13.45B121,610,000.00%2.43T--2.71T--37.4B109.12%31.71B109.12%31.71B--2M
Receivables ----364.89%1.52T-24.91%382.23B-24.91%382.23B388.30%1.49T17,987.56%1.5T79.43%327.99B50.39%509.03B50.39%509.03B-24.90%305.47B
-Accounts receivable ----17.10%215.58B7.98%199.75B7.98%199.75B--41.4B--28.05B--184.11B100.99%184.99B100.99%184.99B----
-Other receivables ----809.91%1.31T-43.69%182.48B-43.69%182.48B374.75%1.45T17,649.82%1.47T-21.29%143.89B31.49%324.04B31.49%324.04B49.70%305.47B
Prepaid assets -----32.32%160.91B-31.04%169.6B-31.04%169.6B-27.50%198.29B--219.2B-23.49%237.75B-23.83%245.94B-23.83%245.94B-20.95%273.52B
Net loan 6.75%39.38T2.60%38.84T5.55%39.66T5.55%39.66T-0.44%37.67T-0.68%36.89T5.74%37.86T5.62%37.58T5.62%37.58T8.95%37.84T
-Gross loan 5.47%39.38T5.74%40.03T5.38%40.81T5.38%40.81T0.80%38.14T0.52%37.33T5.74%37.86T5.73%38.73T5.73%38.73T5.83%37.84T
-Allowance for loans and lease losses ------1.19T-0.28%1.15T-0.28%1.15T--467.76B--445.94B----9.69%1.15T9.69%1.15T----
Securities and investments -13.37%10.3T12.80%12.9T16.95%12.92T16.95%12.92T11.98%12.08T11.23%11.89T29.29%11.44T4.53%11.04T4.53%11.04T19.77%10.79T
-Available for sale securities 109.71%10.3T70.85%8.72T67.99%8.18T67.99%8.18T4.21%5.02T7.18%4.91T7.83%5.1T3.75%4.87T3.75%4.87T5,519.91%4.82T
-Short term investments -----33.96%4.18T-23.27%4.74T-23.27%4.74T18.25%7.06T14.28%6.98T53.97%6.34T5.15%6.18T5.15%6.18T-33.11%5.97T
Long term equity investment ----18.16%56.66B18.67%55.28B18.67%55.28B20.52%51.41B8.26%44.67B23.07%47.95B23.59%46.59B23.59%46.59B298.92%42.65B
Derivative assets 8.11%12.04T19.97%14.44T-11.58%10.89T-11.58%10.89T-28.98%12.94T-27.61%11.14T29.06%12.04T19.05%12.31T19.05%12.31T84.33%18.22T
Net PPE -----4.31%345.59B-5.28%352.27B-5.28%352.27B-1.60%346.74B0.34%355.21B-0.30%361.15B-0.78%371.89B-0.78%371.89B-3.34%352.37B
-Gross PPE ----4.25%1T4.00%991.69B4.00%991.69B5.68%969.13B174.40%971.37B6.43%959.34B6.58%953.55B6.58%953.55B6.30%917.06B
-Accumulated depreciation -----9.41%-654.51B-9.93%-639.42B-9.93%-639.42B-10.22%-622.38B---616.16B-10.95%-598.2B-11.89%-581.66B-11.89%-581.66B-13.35%-564.69B
Assets held for sale ----73.97%51.15B27.47%51.45B27.47%51.45B-1.38%29.89B19.46%31.98B33.21%29.4B35.03%40.36B35.03%40.36B2.60%30.31B
Goodwill and other intangible assets -----11.79%90.13B-9.50%97.55B-9.50%97.55B-2.58%95.33B1.06%94.32B10.47%102.18B12.97%107.79B12.97%107.79B14.38%97.85B
-Other intangible assets -----11.79%90.13B-9.50%97.55B-9.50%97.55B-2.58%95.33B--94.32B10.47%102.18B12.97%107.79B12.97%107.79B14.38%97.85B
Defined pension benefit ------304M-57.01%233M-57.01%233M12.96%558M--558M--03.63%542M3.63%542M-22.08%494M
Other assets 1,496.68%4.51T-16.55%227.12B-22.42%174.61B-22.42%174.61B-10.22%243.75B-91.76%282.2B-44.05%272.17B32.58%225.07B32.58%225.07B12.71%271.51B
Total assets -0.61%68.26T7.59%74.78T3.90%71.09T3.90%71.09T-3.39%72.49T-3.11%68.68T13.08%69.51T7.17%68.42T7.17%68.42T18.16%75.04T
Liabilities
Total deposits 9.76%29.3T3.34%29.01T8.97%28T8.97%28T-4.36%27.06T-3.36%26.69T3.82%28.07T-2.20%25.69T-2.20%25.69T1.29%28.29T
Federal funds purchased and securities sold under agreement to repurchase -----41.78%265.74B-10.39%282.58B-10.39%282.58B404.40%712.63B-86.93%406.42B194.58%456.42B264.01%315.36B264.01%315.36B184.59%141.28B
Payables ----0.01%690.68B-21.15%831.3B-21.15%831.3B-34.92%317.21B37,527.02%750.66B43.59%690.63B52.41%1.05T52.41%1.05T-26.94%487.42B
-Accounts payable ----3.11%446.25B-18.36%492.28B-18.36%492.28B-44.24%186.39B--605.94B9.73%432.78B-0.81%603.01B-0.81%603.01B-47.21%334.27B
-Total tax payable ----44.21%202.63B62.91%302.2B62.91%302.2B75.38%130.81B4,656.89%94.9B279.65%140.52B418.26%185.49B418.26%185.49B472.24%74.59B
-Other payable -----64.38%41.8B-86.15%36.82B-86.15%36.82B------49.82B136.69%117.34B453.38%265.79B453.38%265.79B276.14%78.57B
Current debt and capital lease obligation ------16.63B-20.02%20.72B-20.02%20.72B--23.4B--24.64B----10.73%25.9B10.73%25.9B----
-Current capital lease obligation ------16.63B-20.02%20.72B-20.02%20.72B--23.4B--24.64B----10.73%25.9B10.73%25.9B----
Trading liabilities ------0----------0--0----------------
Long term provisions -----17.42%820.14B-38.40%283.97B-38.40%283.97B-21.42%565.3B-14.94%523.51B34.73%993.14B-0.63%461.02B-0.63%461.02B93.91%719.41B
Long term debt and capital lease obligation -3.24%11T-11.20%14.51T17.47%12.4T17.47%12.4T-27.92%11.73T-30.65%11.37T9.40%16.34T2.83%10.56T2.83%10.56T-6.32%16.27T
-Long term debt -2.35%11T-10.95%14.44T17.92%12.32T17.92%12.32T-27.86%11.64T-30.69%11.27T9.53%16.21T2.92%10.45T2.92%10.45T-6.38%16.13T
-Long term capital lease obligation -----41.24%78.11B-24.63%83.8B-24.63%83.8B-34.05%92.98B-26.22%103.43B-5.25%132.94B-4.48%111.19B-4.48%111.19B0.70%141B
Non current deferred liabilities -----17.34%5.04B-42.41%220.62B-42.41%220.62B-98.38%98M-99.95%1M-28.14%6.1B-11.79%383.08B-11.79%383.08B-98.08%6.05B
Derivative product liabilities -12.09%12.27T7.71%16.58T-13.63%13.14T-13.63%13.14T-34.59%13.98T-15.92%13.96T39.12%15.39T28.94%15.21T28.94%15.21T94.49%21.37T
Liabilities of discontinued operations ------0----------0--0----------------
Other liabilities 6.82%11.39T144.29%8.59T8.59%10.59T8.59%10.59T264.23%13.79T275.13%10.66T8.64%3.51T4.03%9.76T4.03%9.76T54.91%3.79T
Securities loaned ------0--------------------------------
Total liabilities -0.67%63.97T7.66%70.49T3.65%65.77T3.65%65.77T-4.07%68.17T-4.17%64.39T13.54%65.47T6.81%63.46T6.81%63.46T18.19%71.07T
Shareholders'equity
Share capital ----0.00%891.3B0.00%891.3B0.00%891.3B0.00%891.3B0.00%891.3B0.00%891.3B0.00%891.3B0.00%891.3B0.00%891.3B
-common stock ----0.00%891.3B0.00%891.3B0.00%891.3B0.00%891.3B0.00%891.3B0.00%891.3B0.00%891.3B0.00%891.3B0.00%891.3B
Retained earnings -----44.09%242.9B-20.90%537.46B-20.90%537.46B-31.99%358.1B-12.85%301.49B-37.78%434.44B5.00%679.44B5.00%679.44B13.67%526.55B
Gains losses not affecting retained earnings ----16.72%3.03T17.15%3.16T17.15%3.16T20.40%2.94T30.11%3.06T22.64%2.59T22.61%2.69T22.61%2.69T26.69%2.44T
Other equity interest --------3.13%608.72B3.13%608.72B-------83.47B-----1.32%590.25B-1.32%590.25B----
Total stockholders'equity 0.62%4.19T6.18%4.16T6.97%5.19T6.97%5.19T8.55%4.19T16.17%4.17T5.81%3.92T12.03%4.85T12.03%4.85T17.61%3.86T
Non controlling interests -14.47%102.1B12.25%127.53B13.85%124.74B13.85%124.74B17.18%124.88B16.69%119.37B15.58%113.62B16.11%109.56B16.11%109.56B16.58%106.57B
Total equity 0.20%4.3T6.35%4.29T7.12%5.32T7.12%5.32T8.78%4.32T16.18%4.29T6.06%4.03T12.11%4.96T12.11%4.96T17.58%3.97T
Currency Unit CLPCLPCLPCLPCLPCLPCLPCLPCLPCLP
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ----Unqualified Opinion--------------

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