US Stock MarketDetailed Quotes

BSAC Banco Santander Chile

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  • 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
(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
(Q2)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-140.35%-268.11B
466.52%1.32T
174.57%1.08T
-312.26%-439.88B
103.60%7.45B
-39.28%664.42B
39.63%-358.99B
52.90%-1.45T
109.29%207.23B
-105.27%-207.09B
Net income from continuing operations
0.58%158.55B
-26.46%593.84B
-57.07%221.8B
123.08%74.89B
-57.01%139.52B
-45.80%157.63B
-5.27%807.48B
255.72%516.67B
-249.86%-324.52B
70.91%324.52B
Operating gains losses
22.07%-2.87B
-6.77%-22.5B
37.52%-12.3B
-96.59%231M
0.59%-6.74B
-167.15%-3.68B
-146.85%-21.07B
-583.66%-19.69B
1,353.42%6.78B
19.97%-6.78B
Depreciation and amortization
0.63%36.27B
10.59%143.76B
-62.93%36.47B
211.83%36.31B
7.59%34.93B
14.02%36.05B
6.50%129.99B
211.42%98.38B
-201.02%-32.47B
6.13%32.47B
Deferred tax
99.04%35.51B
-151.42%-131.2B
-75.79%-169B
131.48%13.28B
-84.15%6.69B
-59.42%17.84B
-123.01%-52.18B
-125.27%-96.14B
-127.09%-42.19B
-41.55%42.19B
Other non cashItems
118.75%58.74B
63.96%-816.62B
108.37%171.64B
-422.36%-355.49B
-189.34%-319.48B
-45.12%-313.28B
-261.06%-2.27T
-419.52%-2.05T
132.51%110.28B
73.48%-110.42B
Change in working capital
-170.54%-252.82B
177.46%715.57B
160.64%808.79B
-147.58%-532.62B
107.23%80.97B
-12.60%358.42B
72.19%-923.78B
72.43%-1.33T
139.49%1.12T
-131.74%-1.12T
-Change in loans
-1,026.42%-458.04B
-15.59%-2.12T
32.15%-1.2T
-168.64%-500.44B
48.08%-378.56B
40.19%-40.66B
41.14%-1.83T
-109.67%-1.76T
166.96%729.09B
-281.82%-729.09B
-Change in other current assets
-628.16%-4.32B
-270.84%-5.69B
-97.07%-5.38B
-34.27%861M
55.95%-577M
-149.62%-593M
-131.79%-1.53B
-746.45%-2.73B
-28.38%1.31B
-174.73%-1.31B
-Change in other working capital
-47.57%209.53B
212.51%2.84T
366.53%2.01T
-108.49%-33.04B
218.24%460.11B
-16.19%399.68B
516.67%907.64B
110.78%430.77B
122.26%389.13B
-110.47%-389.13B
Cash from discontinued operating activities
Operating cash flow
-59.80%267.11B
466.52%1.32T
174.57%1.08T
-312.41%-439.88B
103.60%7.45B
-39.28%664.42B
39.63%-358.99B
52.91%-1.45T
109.28%207.09B
-105.27%-207.09B
Investing cash flow
Cash flow from continuing investing activities
-48.43%-19.29B
-26.69%-119.85B
32.83%-58.6B
-345.33%-35.08B
7.91%-13.17B
-76.63%-13B
-12.26%-94.6B
-184.81%-87.25B
140.90%14.3B
32.73%-14.3B
Net investment purchase and sale
--0
----
----
--0
--0
--0
----
----
--0
--0
Net PPE purchase and sale
-131.37%-12.32B
-88.36%-74.78B
-3.99%-40.68B
-719.50%-20.81B
-137.30%-7.97B
-805.78%-5.33B
28.46%-39.7B
-36.19%-39.12B
118.53%3.36B
69.27%-3.36B
Net intangibles purchase and sale
9.17%-6.97B
17.91%-45.07B
62.75%-17.93B
-230.45%-14.27B
52.49%-5.2B
-13.30%-7.67B
-90.79%-54.9B
---48.13B
159.34%10.94B
-5.96%-10.94B
Net other investing changes
----
--2B
----
----
----
----
----
----
----
----
Cash from discontinued investing activities
Investing cash flow
-48.43%-19.29B
-24.57%-117.85B
35.12%-56.6B
-345.33%-35.08B
7.91%-13.17B
-76.63%-13B
-12.26%-94.6B
-184.81%-87.25B
140.90%14.3B
32.73%-14.3B
Financing cash flow
Cash flow from continuing financing activities
941.82%304.39B
-34.08%-515.29B
-1,179.42%-822.19B
98.12%582.36B
-3.65%-304.68B
106.34%29.22B
-261.03%-384.32B
-69.72%76.17B
188.23%293.95B
-252.40%-293.95B
Net issuance payments of debt
85.59%518.47B
-137.32%-30.1B
-476.51%-832.49B
210.25%300.27B
-15.54%222.75B
19.55%279.37B
275.16%80.65B
62.19%-144.4B
-1,100.28%-272.36B
-60.41%263.72B
Cash dividends paid
--0
-4.35%-485.19B
--0
--0
-4.35%-485.19B
--0
-49.77%-464.98B
---464.98B
249.77%464.98B
-49.77%-464.98B
Cash from discontinued financing activities
Financing cash flow
941.82%304.39B
-34.08%-515.29B
-1,179.42%-822.19B
98.12%582.36B
-3.65%-304.68B
106.34%29.22B
-261.03%-384.32B
-69.72%76.17B
188.23%293.95B
-252.40%-293.95B
Net cash flow
Beginning cash position
37.34%2.72T
-28.08%2.08T
-29.27%2.47T
-20.62%2.36T
-23.69%2.66T
-31.19%1.98T
-0.09%2.89T
-37.99%3.49T
2.65%2.97T
-0.33%3.49T
Current changes in cash
-18.87%552.21B
181.47%682.62B
114.00%204.97B
-79.16%107.4B
39.77%-310.4B
8.65%680.64B
-90.31%-837.91B
48.89%-1.46T
119.83%515.34B
-112.56%-515.34B
Effect of exchange rate changes
794.64%19.46B
-106.86%-1.78B
-115.39%-7.28B
--0
--8.3B
86.90%-2.8B
-94.08%25.9B
-64.91%47.28B
--0
--0
End cash position
3.76%2.76T
32.73%2.76T
32.73%2.76T
-29.27%2.47T
-20.62%2.36T
-23.69%2.66T
-28.08%2.08T
-28.08%2.08T
-54.12%3.49T
-60.90%2.97T
Free cash flow
-62.33%244.54B
352.87%1.19T
166.05%1.03T
-314.62%-477.91B
96.89%-6.92B
-40.27%649.22B
30.69%-472.28B
49.99%-1.56T
109.82%222.68B
-105.70%-222.68B
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
--
--
--
--
--
--
--
--
(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(Q2)Jun 30, 2022
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -140.35%-268.11B466.52%1.32T174.57%1.08T-312.26%-439.88B103.60%7.45B-39.28%664.42B39.63%-358.99B52.90%-1.45T109.29%207.23B-105.27%-207.09B
Net income from continuing operations 0.58%158.55B-26.46%593.84B-57.07%221.8B123.08%74.89B-57.01%139.52B-45.80%157.63B-5.27%807.48B255.72%516.67B-249.86%-324.52B70.91%324.52B
Operating gains losses 22.07%-2.87B-6.77%-22.5B37.52%-12.3B-96.59%231M0.59%-6.74B-167.15%-3.68B-146.85%-21.07B-583.66%-19.69B1,353.42%6.78B19.97%-6.78B
Depreciation and amortization 0.63%36.27B10.59%143.76B-62.93%36.47B211.83%36.31B7.59%34.93B14.02%36.05B6.50%129.99B211.42%98.38B-201.02%-32.47B6.13%32.47B
Deferred tax 99.04%35.51B-151.42%-131.2B-75.79%-169B131.48%13.28B-84.15%6.69B-59.42%17.84B-123.01%-52.18B-125.27%-96.14B-127.09%-42.19B-41.55%42.19B
Other non cashItems 118.75%58.74B63.96%-816.62B108.37%171.64B-422.36%-355.49B-189.34%-319.48B-45.12%-313.28B-261.06%-2.27T-419.52%-2.05T132.51%110.28B73.48%-110.42B
Change in working capital -170.54%-252.82B177.46%715.57B160.64%808.79B-147.58%-532.62B107.23%80.97B-12.60%358.42B72.19%-923.78B72.43%-1.33T139.49%1.12T-131.74%-1.12T
-Change in loans -1,026.42%-458.04B-15.59%-2.12T32.15%-1.2T-168.64%-500.44B48.08%-378.56B40.19%-40.66B41.14%-1.83T-109.67%-1.76T166.96%729.09B-281.82%-729.09B
-Change in other current assets -628.16%-4.32B-270.84%-5.69B-97.07%-5.38B-34.27%861M55.95%-577M-149.62%-593M-131.79%-1.53B-746.45%-2.73B-28.38%1.31B-174.73%-1.31B
-Change in other working capital -47.57%209.53B212.51%2.84T366.53%2.01T-108.49%-33.04B218.24%460.11B-16.19%399.68B516.67%907.64B110.78%430.77B122.26%389.13B-110.47%-389.13B
Cash from discontinued operating activities
Operating cash flow -59.80%267.11B466.52%1.32T174.57%1.08T-312.41%-439.88B103.60%7.45B-39.28%664.42B39.63%-358.99B52.91%-1.45T109.28%207.09B-105.27%-207.09B
Investing cash flow
Cash flow from continuing investing activities -48.43%-19.29B-26.69%-119.85B32.83%-58.6B-345.33%-35.08B7.91%-13.17B-76.63%-13B-12.26%-94.6B-184.81%-87.25B140.90%14.3B32.73%-14.3B
Net investment purchase and sale --0----------0--0--0----------0--0
Net PPE purchase and sale -131.37%-12.32B-88.36%-74.78B-3.99%-40.68B-719.50%-20.81B-137.30%-7.97B-805.78%-5.33B28.46%-39.7B-36.19%-39.12B118.53%3.36B69.27%-3.36B
Net intangibles purchase and sale 9.17%-6.97B17.91%-45.07B62.75%-17.93B-230.45%-14.27B52.49%-5.2B-13.30%-7.67B-90.79%-54.9B---48.13B159.34%10.94B-5.96%-10.94B
Net other investing changes ------2B--------------------------------
Cash from discontinued investing activities
Investing cash flow -48.43%-19.29B-24.57%-117.85B35.12%-56.6B-345.33%-35.08B7.91%-13.17B-76.63%-13B-12.26%-94.6B-184.81%-87.25B140.90%14.3B32.73%-14.3B
Financing cash flow
Cash flow from continuing financing activities 941.82%304.39B-34.08%-515.29B-1,179.42%-822.19B98.12%582.36B-3.65%-304.68B106.34%29.22B-261.03%-384.32B-69.72%76.17B188.23%293.95B-252.40%-293.95B
Net issuance payments of debt 85.59%518.47B-137.32%-30.1B-476.51%-832.49B210.25%300.27B-15.54%222.75B19.55%279.37B275.16%80.65B62.19%-144.4B-1,100.28%-272.36B-60.41%263.72B
Cash dividends paid --0-4.35%-485.19B--0--0-4.35%-485.19B--0-49.77%-464.98B---464.98B249.77%464.98B-49.77%-464.98B
Cash from discontinued financing activities
Financing cash flow 941.82%304.39B-34.08%-515.29B-1,179.42%-822.19B98.12%582.36B-3.65%-304.68B106.34%29.22B-261.03%-384.32B-69.72%76.17B188.23%293.95B-252.40%-293.95B
Net cash flow
Beginning cash position 37.34%2.72T-28.08%2.08T-29.27%2.47T-20.62%2.36T-23.69%2.66T-31.19%1.98T-0.09%2.89T-37.99%3.49T2.65%2.97T-0.33%3.49T
Current changes in cash -18.87%552.21B181.47%682.62B114.00%204.97B-79.16%107.4B39.77%-310.4B8.65%680.64B-90.31%-837.91B48.89%-1.46T119.83%515.34B-112.56%-515.34B
Effect of exchange rate changes 794.64%19.46B-106.86%-1.78B-115.39%-7.28B--0--8.3B86.90%-2.8B-94.08%25.9B-64.91%47.28B--0--0
End cash position 3.76%2.76T32.73%2.76T32.73%2.76T-29.27%2.47T-20.62%2.36T-23.69%2.66T-28.08%2.08T-28.08%2.08T-54.12%3.49T-60.90%2.97T
Free cash flow -62.33%244.54B352.87%1.19T166.05%1.03T-314.62%-477.91B96.89%-6.92B-40.27%649.22B30.69%-472.28B49.99%-1.56T109.82%222.68B-105.70%-222.68B
Currency Unit CLPCLPCLPCLPCLPCLPCLPCLPCLPCLP
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion----------------

Analysis

Analyst Rating

No Data

Price Target

No Data

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