

Santander vs Interactive Brokers
Santander vs Interactive Brokers: this page compares their business models, financial performance, and market context to help readers understand how each firm operates and why it matters. The content is presented in clear, neutral language for accessibility and learning. Educational content, not financial advice.
Santander vs Interactive Brokers: this page compares their business models, financial performance, and market context to help readers understand how each firm operates and why it matters. The content ...
Why It's Moving

Banco Santander surges to 52-week high amid revenue strength and analyst scrutiny.
- Revenue crushed expectations at $26.22 billion versus $15.32 billion forecast, highlighting strong net interest income and a healthy 17.9% net margin.
- Hit intraday 52-week high of $12.34 with elevated trading volume, reflecting market enthusiasm for 11.68% return on equity.
- Analysts split with Hold consensus after downgrades from DZ Bank, Barclays, and UBS, tempering optimism on near-term upside.

Interactive Brokers Surges to Record Highs on Q4 Earnings Beat and Trading Boom.
- Commissions revenue leaped 37% to $477 million, driven by 65% surge in stock trading and 32% in high-margin options, signaling robust market participation.
- Client equity hit $779.9 billion (up 37% YoY) and margin loans reached $90.2 billion, boosting interest income and underscoring deeper capital commitment from traders.
- Analysts at BMO and Barclays hiked price targets post-earnings, citing solid pretax beats, confident management tone, and constructive 2026 market outlook for brokers.

Banco Santander surges to 52-week high amid revenue strength and analyst scrutiny.
- Revenue crushed expectations at $26.22 billion versus $15.32 billion forecast, highlighting strong net interest income and a healthy 17.9% net margin.
- Hit intraday 52-week high of $12.34 with elevated trading volume, reflecting market enthusiasm for 11.68% return on equity.
- Analysts split with Hold consensus after downgrades from DZ Bank, Barclays, and UBS, tempering optimism on near-term upside.

Interactive Brokers Surges to Record Highs on Q4 Earnings Beat and Trading Boom.
- Commissions revenue leaped 37% to $477 million, driven by 65% surge in stock trading and 32% in high-margin options, signaling robust market participation.
- Client equity hit $779.9 billion (up 37% YoY) and margin loans reached $90.2 billion, boosting interest income and underscoring deeper capital commitment from traders.
- Analysts at BMO and Barclays hiked price targets post-earnings, citing solid pretax beats, confident management tone, and constructive 2026 market outlook for brokers.
Investment Analysis

Santander
SAN
Pros
- Reported a record nine-month attributable profit of β¬10.3 billion in 2025, an 11% increase from the previous year.
- Diversified business segments including retail, commercial, digital consumer banking, corporate and investment banking, and wealth management offer multiple growth streams.
- Continues to grow revenue with a 4% increase reported in the third quarter of 2025, supported by improved efficiency and lower cost of risk.
Considerations
- Share price forecast by technical indicators anticipates a decline of approximately 15% by December 2025.
- Current stock price volatility is medium, with a Fear & Greed index indicating cautious market sentiment towards the stock.
- Dividend payout ratio of 24% implies moderate dividend returns, which may limit income-focused investor appeal.
Pros
- Operates a leading electronic brokerage platform with a strong reputation for low-cost trading and advanced technology.
- Has a broad global customer base with sustained growth potential in retail and institutional client segments.
- Strong focus on innovation and expanding product offerings, including cryptocurrency trading and advanced portfolio management tools.
Considerations
- Exposure to market volatility and trading volume fluctuations can lead to inconsistent quarterly earnings.
- Regulatory scrutiny on brokerage and trading platforms continues to increase, potentially raising compliance costs and operational risks.
- Highly competitive industry landscape with pressures from new fintech entrants and evolving client expectations.
Related Market Insights
Global Blue-Chips: Could They Reduce Market Risk?
Invest in global blue-chip giants like Microsoft, P&G, & Coca-Cola. Discover how their worldwide operations and defensive traits can reduce market risk and stabilise your portfolio with Nemo.
Aimee Silverwood | Financial Analyst
October 14, 2025
Brazil's Pension Crisis: Why Global Investing Is Your Best Retirement Bet
Brazil's pension crisis demands global action. Diversify your retirement with US & EU-listed companies, hedging currency risk & capturing international growth. Invest with Nemo.
Aimee Silverwood | Financial Analyst
October 10, 2025
European Banking Consolidation: The M&A Wave Finally Arrives
UniCredit's Commerzbank move signals a new era for European banking M&A. Discover investment opportunities in consolidation, from advisory fees to strategic repositioning. Invest with Nemo.
Aimee Silverwood | Financial Analyst
September 14, 2025
Related Market Insights
Global Blue-Chips: Could They Reduce Market Risk?
Invest in global blue-chip giants like Microsoft, P&G, & Coca-Cola. Discover how their worldwide operations and defensive traits can reduce market risk and stabilise your portfolio with Nemo.
Aimee Silverwood | Financial Analyst
October 14, 2025
Brazil's Pension Crisis: Why Global Investing Is Your Best Retirement Bet
Brazil's pension crisis demands global action. Diversify your retirement with US & EU-listed companies, hedging currency risk & capturing international growth. Invest with Nemo.
Aimee Silverwood | Financial Analyst
October 10, 2025
European Banking Consolidation: The M&A Wave Finally Arrives
UniCredit's Commerzbank move signals a new era for European banking M&A. Discover investment opportunities in consolidation, from advisory fees to strategic repositioning. Invest with Nemo.
Aimee Silverwood | Financial Analyst
September 14, 2025
European Banking's M&A Catalyst: When Hostile Bids Spark Sector-Wide Opportunities
BBVA's hostile bid for Sabadell signals a European banking M&A wave. Explore consolidation opportunities for acquirers, targets & advisors. Invest in the European Bank Targets Neme with Nemo.
Aimee Silverwood | Financial Analyst
September 12, 2025
Santander's Β£2.65bn TSB Deal: The UK Banking Shake-Up That Changes Everything
Santander's Β£2.65 billion acquisition of TSB creates the UK's third-largest retail bank, reshaping competitive dynamics and potentially triggering further consolidation across the sector.
Aimee Silverwood | Financial Analyst
July 25, 2025
Europe's Banking Merger Wave: The Consolidation Play That Could Reshape Finance
Explore Europe's banking merger wave. Invest in financial consolidation with Nemo's Neme, featuring Deutsche Bank, UBS, & ING. Start with fractional shares from $1.
Aimee Silverwood | Financial Analyst
July 25, 2025
European Banking's Great Consolidation: The M&A Wave Finally Begins
UniCredit's Commerzbank stake sparks European banking M&A. Invest in potential merger targets & advisory firms profiting from deal fees. Explore this Neme on Nemo.
Aimee Silverwood | Financial Analyst
July 25, 2025
Santander (SAN) Next Earnings Date
Banco Santander's next earnings report is scheduled for February 4, 2026 before market open. This release will cover the company's full-year 2025 results. Based on consensus expectations, analysts anticipate earnings per share of approximately $0.25 for the period. The timing aligns with the bank's typical annual earnings release pattern in early February.
Interactive Brokers (IBKR) Next Earnings Date
Interactive Brokers (IBKR) is scheduled to report its Q4 2025 earnings on Tuesday, January 20, 2026, at approximately 4:00 pm ET. This covers the quarter ended December 31, 2025, with a conference call to follow at 4:30 pm ET. The next earnings after that, for Q1 2026, are estimated in mid-April 2026 based on historical patterns.
Santander (SAN) Next Earnings Date
Banco Santander's next earnings report is scheduled for February 4, 2026 before market open. This release will cover the company's full-year 2025 results. Based on consensus expectations, analysts anticipate earnings per share of approximately $0.25 for the period. The timing aligns with the bank's typical annual earnings release pattern in early February.
Interactive Brokers (IBKR) Next Earnings Date
Interactive Brokers (IBKR) is scheduled to report its Q4 2025 earnings on Tuesday, January 20, 2026, at approximately 4:00 pm ET. This covers the quarter ended December 31, 2025, with a conference call to follow at 4:30 pm ET. The next earnings after that, for Q1 2026, are estimated in mid-April 2026 based on historical patterns.
Which Baskets Do They Appear In?
Global Blue-Chips: Could They Reduce Market Risk?
Amid local economic fluctuations, many Brazilians are looking to international markets for portfolio resilience and stable growth opportunities. This basket provides exposure to a collection of large, established US and EU-listed multinational companies known for their market leadership.
Published: October 14, 2025
Explore BasketBrazil Pension System Global Investment Options 2025
With Brazil's pension system under pressure, building a global nest egg offers a way to secure long-term financial independence and hedge against local economic uncertainty. This basket provides exposure through US and EU-listed companies, such as asset managers and multinationals, that are integral to global markets and have a strong presence in Latin America.
Published: October 10, 2025
Explore BasketBanking M&A Opportunities Explained
Italian banking giant UniCredit has signaled its potential sale of a major stake in Germany's Commerzbank, possibly to a non-EU buyer. This move could catalyze a wave of mergers and acquisitions across the European banking sector, creating opportunities for investment banks and other financial institutions poised for consolidation.
Published: September 14, 2025
Explore BasketWhich Baskets Do They Appear In?
Global Blue-Chips: Could They Reduce Market Risk?
Amid local economic fluctuations, many Brazilians are looking to international markets for portfolio resilience and stable growth opportunities. This basket provides exposure to a collection of large, established US and EU-listed multinational companies known for their market leadership.
Published: October 14, 2025
Explore BasketBrazil Pension System Global Investment Options 2025
With Brazil's pension system under pressure, building a global nest egg offers a way to secure long-term financial independence and hedge against local economic uncertainty. This basket provides exposure through US and EU-listed companies, such as asset managers and multinationals, that are integral to global markets and have a strong presence in Latin America.
Published: October 10, 2025
Explore BasketBanking M&A Opportunities Explained
Italian banking giant UniCredit has signaled its potential sale of a major stake in Germany's Commerzbank, possibly to a non-EU buyer. This move could catalyze a wave of mergers and acquisitions across the European banking sector, creating opportunities for investment banks and other financial institutions poised for consolidation.
Published: September 14, 2025
Explore BasketEuropean Bank Targets: M&A Risks and Opportunities
BBVA's hostile takeover bid for Sabadell has been rejected by the latter's board, signaling a potential wave of mergers and acquisitions in the European banking sector. This theme focuses on financial institutions that could be involved in or benefit from increased M&A activity.
Published: September 12, 2025
Explore BasketEuropean Banking M&A
UniCredit's major stake in Commerzbank signals the start of European banking consolidation. Our experts have selected companies positioned to benefit from this wave, including potential M&A targets and the investment banks that will earn fees from these deals.
Published: July 10, 2025
Explore BasketUK Banking Consolidation
Santander's Β£2.65 billion acquisition of TSB is reshaping the UK banking sector. This collection features companies positioned to benefit from this major consolidation, including direct competitors, potential M&A targets, and the investment banks facilitating these industry-changing deals.
Published: July 2, 2025
Explore BasketEuropean Financial Consolidation
BNP Paribas's acquisition of AXA Investment Managers could trigger a wave of mergers in European finance. These carefully selected stocks represent potential buyers and targets in banking, insurance, and asset management as the industry reshapes for the future.
Published: July 2, 2025
Explore BasketBuy SAN or IBKR in Nemo
Zero Commission
Trade stocks, ETFs, and more with zero commission. Keep more of your returns.
Trusted & Regulated
Part of Exinity Group 2015, serving over a million customers globally.
6% Interest on Cash
Earn 6% AER on uninvested cash with daily interest payments.
Discover More Comparisons


Santander vs Progressive
Santander vs Progressive: a stock comparison


Santander vs Capital One
Santander vs Capital One: company comparison


Santander vs BBVA
Santander vs BBVA: comparing banks' profiles