LAST TRADING DAY

12.12.2025, 15:26:56

LAST TRADING DAY 

12.12.2025

Issuer:	SANTANDER INTERNATIONAL PRODUCTS PLC 

ISIN / NAME

XS2842094943	Series 2144 EUR 6070000 Interest Rate Linked Note due June 2029

XS3049557674	Series 3500 1,526,000 Equity Linked Note due June 2029

XS3049554143	Series 3501 643,000 Equity Linked Note due June 2029

XS3080758421	Series 3719 819,000 Equity Linked Note due June 2027

XS3080761219	Series 3720 800,000 Equity Linked Note due June 2028

XS3080758348	Series 3721 270,000 Equity Linked Note due June 2028