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Fair Value Quantitative and Qualitative Disclosure - Summary of Fair Value Measurement of Asset and Liability (Detail) - ARS ($)
$ in Thousands
Dec. 31, 2020
Dec. 31, 2019
FINANCIAL ASSETS    
Cash $ 25,422,664 $ 26,563,255
Financial institutions and Correspondents (620,389) (1,364,962)
Debt Securities at fair value through profit or loss 54,982,465 7,725,991
Derivative instruments 989,478 838,493
Other financial entities 1,839,258 5,418,127
Other financial assets 18,886,290 8,391,566
To the non-financial government Sector 5,690,072 15,018,591
Other debt securities 209,118,933 87,828,945
Financial assets delivered as guarantee 14,292,358 14,530,739
Equity Instruments at fair value through profit or loss 5,218,299 3,562,427
FINANCIAL LIABILITIES    
Derivative instruments 230 1,046,556
Other financial institutions 618,572 1,364,825
Other financial liabilities 49,215,887 30,181,836
Financing received from Central Bank and other financial entities 949,506 3,165,822
Issued corporate bonds 5,765,236 10,929,911
Subordinated corporate bonds 48,422,080 49,125,434
TOTAL FINANCIAL LIABILITIES 598,581,257 456,764,409
Financial liabilities at amortised cost, category [member]    
FINANCIAL LIABILITIES    
Deposits From the non financial government sector 73,565,424 23,906,675
From the financial sector 696,415 427,702
Other financial institutions 618,572 1,364,825
Other financial liabilities 49,215,887 30,181,836
Financing received from Central Bank and other financial entities 919,103 3,057,451
Issued corporate bonds 4,926,901 7,521,820
Subordinated corporate bonds 34,300,292 33,098,040
TOTAL FINANCIAL LIABILITIES 578,722,118 433,090,414
Financial liabilities at fair value through profit or loss, category [member]    
FINANCIAL LIABILITIES    
Derivative instruments 230 1,046,556
TOTAL FINANCIAL LIABILITIES 230 1,046,556
Amortized cost [member]    
FINANCIAL ASSETS    
Cash 25,422,664 26,563,255
Financial institutions and Correspondents 104,539,560 110,498,075
Other 5,262 5,100
Other financial entities   1,481,096
Central Bank of the Argentine Republic 39,421,705  
Other financial assets 18,280,848 7,889,031
To the non-financial government Sector 3,614,614 8,781,948
Other financial institutions 1,824,600 5,380,555
Other debt securities 31,113,789 24,004,210
Financial assets delivered as guarantee 13,596,610 14,530,739
TOTAL FINANCIAL ASSETS 489,801,633 485,703,095
Fair value with changes in other comprehensive income [member]    
FINANCIAL ASSETS    
Other debt securities 178,005,144 63,824,735
Financial assets delivered as guarantee 695,748  
TOTAL FINANCIAL ASSETS 178,700,892 63,824,735
Fair value with changes in P/L [member]    
FINANCIAL ASSETS    
Debt Securities at fair value through profit or loss 54,982,465 7,725,991
Derivative instruments 989,478 838,493
Other financial assets 605,442 502,535
Equity Instruments at fair value through profit or loss 5,218,299 3,562,427
TOTAL FINANCIAL ASSETS 61,795,684 12,629,446
Checking accounts [member] | Financial liabilities at amortised cost, category [member]    
FINANCIAL LIABILITIES    
Non financial liabilities at private and foreign residents 65,401,102 54,625,032
Savings account [member] | Financial liabilities at amortised cost, category [member]    
FINANCIAL LIABILITIES    
Non financial liabilities at private and foreign residents 138,844,482 123,517,591
Time deposits and Investment accounts [member] | Financial liabilities at amortised cost, category [member]    
FINANCIAL LIABILITIES    
Non financial liabilities at private and foreign residents 181,767,558 144,401,841
Other [member] | Financial liabilities at amortised cost, category [member]    
FINANCIAL LIABILITIES    
Non financial liabilities at private and foreign residents 28,466,382 10,987,601
Overdrafts [member] | Amortized cost [member]    
FINANCIAL ASSETS    
To the non-financial private sector and foreign residents 17,611,869 56,276,823
Document [member] | Amortized cost [member]    
FINANCIAL ASSETS    
To the non-financial private sector and foreign residents 27,339,195 28,085,343
Mortgage loans [member] | Amortized cost [member]    
FINANCIAL ASSETS    
To the non-financial private sector and foreign residents 25,410,608 28,053,169
Pledge loans [member] | Amortized cost [member]    
FINANCIAL ASSETS    
To the non-financial private sector and foreign residents 3,325,554 5,536,821
Personal loans [member] | Amortized cost [member]    
FINANCIAL ASSETS    
To the non-financial private sector and foreign residents 70,258,760 77,326,738
Credit card [member] | Amortized cost [member]    
FINANCIAL ASSETS    
To the non-financial private sector and foreign residents 64,266,490 57,392,877
Financial Leases [member] | Amortized cost [member]    
FINANCIAL ASSETS    
To the non-financial private sector and foreign residents 118,562 312,495
Other [member] | Amortized cost [member]    
FINANCIAL ASSETS    
To the non-financial private sector and foreign residents 43,650,943 33,584,820
Level 1 [member]    
FINANCIAL ASSETS    
Debt Securities at fair value through profit or loss 54,604,015 6,543,684
Derivative instruments   43,012
Other financial assets 579,263 471,221
Other debt securities 115,417,483 50,355,730
Financial assets delivered as guarantee 695,748  
Equity Instruments at fair value through profit or loss 9,855 12,842
TOTAL FINANCIAL ASSETS 171,306,364 57,426,489
FINANCIAL LIABILITIES    
Derivative instruments 230  
Other financial institutions 618,572 1,364,825
Other financial liabilities 47,879,138 28,680,171
TOTAL FINANCIAL LIABILITIES 230  
Level 2 [member]    
FINANCIAL ASSETS    
Debt Securities at fair value through profit or loss 6 72,681
Derivative instruments 7,232 25,991
Other debt securities 62,587,661 13,469,005
TOTAL FINANCIAL ASSETS 62,594,899 13,567,677
FINANCIAL LIABILITIES    
Derivative instruments   1,046,556
Other financial liabilities 1,331,299 1,489,374
TOTAL FINANCIAL LIABILITIES   1,046,556
Level 3 [member]    
FINANCIAL ASSETS    
Debt Securities at fair value through profit or loss 378,444 1,109,626
Derivative instruments 982,246 769,490
Other financial assets 26,179 31,314
Equity Instruments at fair value through profit or loss 5,208,444 3,549,585
TOTAL FINANCIAL ASSETS $ 6,595,313 $ 5,460,015