Company: BCDRF
Filing Date: 2025-07-31
Form Type: 6-K
Source: 0000891478-25-000111
Chunk: 86

Company: Banco Santander, S.A.
Filing Date: 2025-07-31
Form: 6-K
Chunk 86
---
 |            |    10,516 |           |                |    10,746 |           |
| TOTAL EQUITY                                                                        |     |      |     |            |   108,985 |           |                |   107,327 |           |
| TOTAL LIABILITIES AND EQUITY                                                        |     |      |     |            | 1,815,888 |           |                | 1,837,081 |           |
| MEMORANDUM ITEMS: OFF BALANCE SHEET AMOUNTS                                         |     |   14 |     |            |           |           |                |           |           |
| Loan commitments granted                                                            |     |      |     |            |   302,446 |           |                |   302,861 |           |
| Financial guarantees granted                                                        |     |      |     |            |    18,251 |           |                |    16,901 |           |
| Other commitments granted                                                           |     |      |     |            |   143,921 |           |                |   134,493 |           |

<div align='center'>(*) Presented for comparison purposes only (see Note 1.e).

The accompanying explanatory Notes 1 to 17 are an integral part of the condensed consolidated balance sheet as at 30 June 2025.</div>

| January - June 2025 |     | 101 |

<div align='center'>Translation of interim condensed consolidated financial statements originally issued in Spanish and prepared in accordance with the regulatory financial reporting framework applicable to the Group in Spain (see Notes 1 and 17). In the event of a discrepancy, the Spanish-language version prevails.</div>

### GRUPO SANTANDER

### CONDENSED CONSOLIDATED INCOME STATEMENTS
<div align='center'>FOR THE SIX-MONTH PERIODS ENDED 30 JUNE 2025 AND 2024</div>

| (EUR million)                                                                                                    |     |   |     |      | (Debit) / Credit |         |                          |     |         |                              |
|                                                                                                                  |     |   |     | Note |                  |         | 01-01-2025 to 30-06-2025 |     |         | 01-01-2024 to 30-06-2024 (*) |
| Interest income                                                                                                  |     |   |     |      |                  |  51,338 |                          |     |  55