Header search > ticker > Open Stock TerminalSelect the market and trading date first when you need a specific listing or historical session.
Banco Santander Chile
Banco Santander Chile
Banco Santander Chile
Banco Santander Chile
Banco Santander Chile
Banco Santander Chile
Banco Santander Chile
Banco Santander Chile
Banco Santander Chile
The engine is monitoring news, price structure, forecasts and financial changes. New scored evidence will appear here against this stock automatically.
This is the ticker-specific Today’s AI desk for Banco Santander Chile. It compresses the live catalyst tape, bullish and bearish scoring, AI price forecasts, financial forecasting and trigger logic into one cockpit so users can judge conviction without hopping across screens.
Subscription turns this tab into a live signal desk with today’s news findings at the top, AI plus financial blend comparisons at the bottom, buy and sell trigger logic, and the full findings ledger behind every scored row.
Revenue is slipping -30.3% against the prior comparable period. Net margin is expanding by 10.9 pts. Net debt is building +351.5%.
Latest quarter printed 733.4B with the top line cooling off against the last comparable period.
Net income landed at 273.2B and the margin profile is broadening. That usually tells us whether operating leverage is finally kicking in.
Cash sits near 1.9T while net debt is 45.8T. The leverage stack is moving the wrong way.
| Period | Revenue | Net Income | FCF | Net Debt |
|---|---|---|---|---|
| Q1 2026 | 733.4B | 273.2B | -216.3B | 45.8T |
| Q4 2025 | 1.8T | 223.8B | -437.8B | 10.6T |
| Q3 2025 | 1.1T | 247.5B | 535.4B | 11.2T |
| Q2 2025 | 1.2T | 272.6B | 886.4B | 12.7T |
| Q1 2025 | 1.1T | 277.8B | -207.9B | 10.1T |
| Q4 2024 | 1.2T | 271.9B | 1.0B | 11.8T |
| Period | Revenue | Net Income | EBITDA | FCF |
|---|---|---|---|---|
| FY 2025 | 4.7T | 1.0T | 1.4T | 624.4B |
| FY 2024 | 4.9T | 853.0B | 1.2T | 374.7B |
| FY 2023 | 5.2T | 579.4B | 835.1B | -2.2T |
| FY 2022 | 4.7T | 792.3B | 1.0T | -472.3B |
| FY 2021 | 3.4T | 842.5B | 1.2T | -673.9B |
Price is 77.0% through the 52-week range, +3.1% vs 50DMA and +4.0% vs 200DMA. 5.1% of the register is locked by institutions and insiders, leaving 94.9% free float. Capital rhythm reads annual with forward yield near 4.5% and payout around 65.5%.
Implied spot is 32.66 with the stock +3.1% vs 50DMA and +4.0% vs 200DMA. The tape is sitting 77.0% through the 52-week range, which frames the regime as trend mixed.
Institutions hold about 5.1% and insiders about 0.0%, locking roughly 5.1% of the register and leaving 94.9% in free float. That reads as balanced register.
Short pressure is running near 0.6% of float with short ratio 2.1x and monthly change +28.0%. That gives us a read on whether the tape is clean, crowded, or coiled.
Dividend cadence reads annual with 1 event(s) in the last full year, a five-year average of 1.0, and stability score 100.0/100. Forward yield sits near 4.5% while payout is around 65.5%.
| Year | Dividend Count | Context |
|---|---|---|
| 2026 | 1 | Current partial year |
| 2025 | 1 | Full year |
| 2024 | 1 | Full year |
| 2023 | 1 | Full year |
| 2022 | 1 | Full year |
| 2021 | 1 | Full year |
| 2020 | 2 | Full year |
| 2019 | 1 | Full year |
Red histogram bars show short loading accelerating. Green bars show short covering accelerating. The two lines expose the crossover before the raw holder table does.
Short D compares the ticker’s disclosed short-position momentum with its own signal line.
Automated signalling scans momentum shifts, crossovers and volatility breaks in real time. Automated AI forecasts map best, average and worst simulation paths forward, predictive MACD extends the momentum story, and catalyst beacons pin market-moving headlines directly onto price action so users can connect news, signals and structure without leaving the chart.