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Equity Derivatives & ETD

Our Equity Derivatives & ETD business is based on a diversified geographical footprint, operating in both emerging and mature markets. It combines our capabilities to develop value-added solutions for institutional customers with structured products aligned with a unique blend of green framework and more innovative underlying assets such as LatAm, as well as Santander’s privileged position in terms of credit rating and balance sheet strength.

Our ambition is to become an established issuer in the world’s largest market for structured products and the partner of choice across the entire value chain from trading platforms, buy-side and financial advisors to the rest of the financial community.

Growth - financing

Our Equity Derivatives solutions

Investment solutions
Structured Notes, Certificates and SPVs
Leveraging and financing
European, US, LatAm and ESG underlyings
Private Banking & Insurance focus
Electronic platform
Profile exchange
Portfolio hedging & building
Dividend management
Corporate solutions
Stock financing
Acquisition leveraging
Portfolio hedging
Dividend hedging

Advantages and ETD solutions

A global player with seats on the world’s leading global and local exchanges and CCPs.
Strong balance sheet and rating.
Executing and clearing derivatives globally, specializing in all major underlying assets.
25 years servicing institutional clients and the Santander group in organized markets.
Regional execution desks in Madrid, Warsaw, New York, Mexico and Sao Paulo.
Post-trading, clearing & settlement centralised out of Madrid.
Developing a truly collaborative experience with institutional customers using technology.
A top team of professionals boasting over 15 years’ experience in listed derivatives.
Robust technology that ensures smooth transaction flow, something that proved to be particularly useful during the Covid-related market turmoil in 2020.
Positive track record in engaging with regulators: CFTC, SEC, FINRA, FSA, CNMV, BaFin, ECB, etc.

Awards

2021
The Banker
The Banker Deals of the Year 2021 (Europe)
2017
Global Capital
Best Liquidity Provider in covered bonds
2023
Global Capital
Most Innovative Deal of the Year
2022
Risk
Risk Solutions House of the Year
2022
FX
Best Regional Spot dealer (Americas)
2018
Extel
N.1 Leading Brokerage Firm Spain & Portugal
2023
Euromoney
Latam's Best Foreign Exchange Bank
2023
Global Capital
ABS Issuer of the Year
2024
Euromoney
Chile Best FX Bank
2020
FX-W
Best Bank for Latin American Currencies
2024
Global Capital
Latin America Derivatives House of the Year
2021
Euromoney
Best Bank for Financial Inclusion
2021
The Banker
The Banker Deals of the Year 2021 (Americas)
2019
Extel
N.1 Cash Equities Spain & Portugal
2020
FX-W
Best Bank for USD/BRL
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Why choose Santander Corporate & Investment Banking

We offer industry-leading support for global M&A activities, integrating comprehensive financial services through our local teams. With a strong record in Europe and Latin America, we advise on major global deals, combining local expertise with deep sector knowledge to support your transactions effectively.
High volumes
A fully integrated bespoke service that supports high volumes.
Strong relationships
Strong relationships with some of the world’s largest corporations and institutional investors.
Global presence
Combining a global presence in the world’s major financial hubs with leading market expertise in our core footprint of Europe and Latin America.

Meet our team

Mike_Bagguley

Mike Bagguley

Global head of Markets

Mike Bagguley is global head of Markets for the Santander Corporate and Investment Banking (Santander CIB) division.

He reports to José M. Linares, Group Senior Executive Vice-President & global head of Santander CIB, and is a member of the SCIB Executive Committee.

Mr. Bagguley spent most of his over 30 year career at Barclays where he held multiple leadership roles within the markets business, leading Macro products, Trading for FX, Commodities, Linear and Options. He was also head of the Markets Business at ABSA Bank, where he was responsible for integrating it and turning it around following Barclays´ acquisition. Most recently, he was Chief Operating Officer of Barclays International and Barclays Investment bank, responsible for technology, operating platforms, risks and controls with a strong focus on improving commercial agility.

Mike Bagguley holds a bachelor's degree in Mathematics from Warwick University.

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