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GOODWILL - Cash-generating units - Impairment test assumptions (Details)
Dec. 31, 2024
Dec. 31, 2023
Sociedad Administradora de Fondos de Pensiones y Cesantias Porvenir S.A.    
Disclosure of information for cash-generating units [line items]    
Growth rate used to extrapolate cash flow projections 3.00%  
Sociedad Administradora de Fondos de Pensiones y Cesantias Porvenir S.A. | Not later than One Year    
Disclosure of information for cash-generating units [line items]    
Interest rate on investments 8.60% 8.30%
Borrowing rate 5.80% 5.80%
Growth in income from commissions 15.10% 0.80%
Growth in expenses 9.40% 7.70%
Inflation 3.00% 5.80%
Discount interest rate after taxes 9.90% 14.20%
Growth rate used to extrapolate cash flow projections 3.00% 3.10%
Sociedad Administradora de Fondos de Pensiones y Cesantias Porvenir S.A. | Not later than Two Year    
Disclosure of information for cash-generating units [line items]    
Interest rate on investments 6.80% 6.40%
Borrowing rate 5.80% 5.80%
Growth in income from commissions 22.00% 48.50%
Growth in expenses 5.60% 12.40%
Inflation 3.00% 3.50%
Discount interest rate after taxes 8.80% 11.50%
Sociedad Administradora de Fondos de Pensiones y Cesantias Porvenir S.A. | Not later than Three Year    
Disclosure of information for cash-generating units [line items]    
Interest rate on investments 6.90% 6.20%
Borrowing rate 5.80% 5.80%
Growth in income from commissions 5.20% 3.30%
Growth in expenses 5.20% 7.10%
Inflation 3.00% 3.20%
Discount interest rate after taxes 7.50% 10.20%
Sociedad Administradora de Fondos de Pensiones y Cesantias Porvenir S.A. | Not later than Four Year    
Disclosure of information for cash-generating units [line items]    
Interest rate on investments 6.90% 6.10%
Borrowing rate 5.80% 5.80%
Growth in income from commissions 6.90% 4.90%
Growth in expenses 4.90% 5.40%
Inflation 3.00% 3.10%
Discount interest rate after taxes 7.90% 9.10%
Sociedad Administradora de Fondos de Pensiones y Cesantias Porvenir S.A. | Not later than Five Year    
Disclosure of information for cash-generating units [line items]    
Interest rate on investments 6.90% 6.00%
Borrowing rate 5.80% 5.80%
Growth in income from commissions 6.00% 6.10%
Growth in expenses 4.20% 5.00%
Inflation 3.00% 3.10%
Discount interest rate after taxes 7.80% 9.10%
Banco de Bogota S.A. over Megabanco    
Disclosure of information for cash-generating units [line items]    
Growth rate used to extrapolate cash flow projections 6.10%  
Banco de Bogota S.A. over Megabanco | Not later than One Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 11.20% 12.10%
Borrowing rate 5.20% 7.10%
Growth in income from commissions 9.50% 16.00%
Growth in expenses 10.70% 11.70%
Inflation 5.30% 5.80%
Discount interest rate after taxes 13.20% 16.50%
Growth rate used to extrapolate cash flow projections 6.10% 6.50%
Banco de Bogota S.A. over Megabanco | Not later than Two Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 10.70% 10.80%
Borrowing rate 5.70% 5.50%
Growth in income from commissions 13.70% 14.70%
Growth in expenses 5.90% 8.30%
Inflation 3.00% 3.50%
Discount interest rate after taxes 12.10% 13.70%
Banco de Bogota S.A. over Megabanco | Not later than Three Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 10.70% 10.20%
Borrowing rate 5.80% 4.90%
Growth in income from commissions 13.10% 14.10%
Growth in expenses 6.70% 7.90%
Inflation 3.00% 3.20%
Discount interest rate after taxes 10.80% 12.40%
Banco de Bogota S.A. over Megabanco | Not later than Four Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 10.80% 10.00%
Borrowing rate 5.90% 4.70%
Growth in income from commissions 17.70% 11.30%
Growth in expenses 8.00% 6.20%
Inflation 3.00% 3.10%
Discount interest rate after taxes 11.40% 11.30%
Banco de Bogota S.A. over Megabanco | Not later than Five Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 10.80% 9.80%
Borrowing rate 6.00% 4.50%
Growth in income from commissions 5.20% 11.20%
Growth in expenses 7.90% 5.60%
Inflation 3.00% 3.10%
Discount interest rate after taxes 11.30% 11.60%
Banco Popular S.A.    
Disclosure of information for cash-generating units [line items]    
Growth rate used to extrapolate cash flow projections 6.10%  
Banco Popular S.A. | Not later than One Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 11.50% 12.50%
Borrowing rate 5.80% 8.20%
Growth in expenses 7.40% 8.30%
Inflation 3.50% 7.20%
Discount interest rate after taxes 14.50% 17.30%
Growth rate used to extrapolate cash flow projections 6.10% 6.00%
Banco Popular S.A. | Not later than Two Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 11.30% 12.30%
Borrowing rate 4.80% 6.10%
Growth in expenses 13.70% (13.20%)
Inflation 3.00% 3.80%
Discount interest rate after taxes 12.40% 13.60%
Banco Popular S.A. | Not later than Three Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 11.10% 12.00%
Borrowing rate 4.70% 5.20%
Growth in expenses 6.80% 1.50%
Inflation 3.00% 3.00%
Discount interest rate after taxes 10.80% 12.00%
Banco Popular S.A. | Not later than Four Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 11.10% 11.60%
Borrowing rate 4.60% 4.70%
Growth in expenses 6.50% 7.70%
Inflation 3.00% 3.00%
Discount interest rate after taxes 11.40% 11.40%
Banco Popular S.A. | Not later than Five Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 11.20% 10.90%
Borrowing rate 4.50% 4.10%
Growth in expenses 6.40% 7.50%
Inflation 3.00% 3.00%
Discount interest rate after taxes 11.40% 11.60%
Banco de Bogota S.A.    
Disclosure of information for cash-generating units [line items]    
Growth rate used to extrapolate cash flow projections 6.10%  
Banco de Bogota S.A. | Not later than One Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 10.90% 12.90%
Borrowing rate 5.60% 7.20%
Growth in income from commissions 9.90% (3.40%)
Growth in expenses 11.30% 9.50%
Inflation 3.50% 7.20%
Discount interest rate after taxes 14.50% 17.30%
Growth rate used to extrapolate cash flow projections 6.10% 6.00%
Banco de Bogota S.A. | Not later than Two Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 10.40% 11.20%
Borrowing rate 4.70% 5.60%
Growth in income from commissions 13.10% 14.20%
Growth in expenses 7.00% 8.70%
Inflation 3.00% 3.80%
Discount interest rate after taxes 12.40% 13.60%
Banco de Bogota S.A. | Not later than Three Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 10.50% 10.50%
Borrowing rate 4.60% 4.90%
Growth in income from commissions 12.50% 14.30%
Growth in expenses 7.90% 8.40%
Inflation 3.00% 3.00%
Discount interest rate after taxes 10.80% 12.10%
Banco de Bogota S.A. | Not later than Four Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 10.50% 10.30%
Borrowing rate 4.60% 4.70%
Growth in income from commissions 15.90% 11.70%
Growth in expenses 9.20% 6.90%
Inflation 3.00% 3.00%
Discount interest rate after taxes 11.40% 11.40%
Banco de Bogota S.A. | Not later than Five Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 10.50% 10.10%
Borrowing rate 4.40% 4.60%
Growth in income from commissions 6.40% 11.00%
Growth in expenses 7.70% 5.10%
Inflation 3.00% 3.00%
Discount interest rate after taxes 11.40% 11.70%
Multi Financial Group Inc [member]    
Disclosure of information for cash-generating units [line items]    
Growth rate used to extrapolate cash flow projections 5.50%  
Multi Financial Group Inc [member] | Not later than One Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 6.60% 6.90%
Borrowing rate 4.80% 4.80%
Growth in income from commissions (0.70%) (22.00%)
Growth in expenses (15.10%) (1.60%)
Discount interest rate after taxes 10.70% 11.30%
Growth rate used to extrapolate cash flow projections 5.50% 5.60%
Multi Financial Group Inc [member] | Not later than Two Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 6.80% 6.90%
Borrowing rate 4.60% 4.40%
Growth in income from commissions 2.40% 8.60%
Growth in expenses 9.60% 2.10%
Multi Financial Group Inc [member] | Not later than Three Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 6.80% 6.90%
Borrowing rate 4.60% 4.30%
Growth in income from commissions 5.00% 12.60%
Growth in expenses 2.60% 1.40%
Multi Financial Group Inc [member] | Not later than Four Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 6.90% 6.90%
Borrowing rate 4.50% 4.20%
Growth in income from commissions 4.80% 11.70%
Growth in expenses 1.80% 2.60%
Multi Financial Group Inc [member] | Not later than Five Year    
Disclosure of information for cash-generating units [line items]    
Lending rate on the loan portfolio and investments 6.70% 6.90%
Borrowing rate 4.30% 4.20%
Growth in income from commissions 3.90% 11.90%
Growth in expenses 1.50% 3.00%