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Other Debt Securities - Summary of Other Debt Securities (Detail) - ARS ($)
$ in Thousands
Dec. 31, 2021
Dec. 31, 2020
Disclosure of other debt securities at fair value through profit or loss [line items]    
Total Other debt securities measured at fair value through other comprehensive income $ 261,934,556 $ 268,683,871
Debt Securities of Financial Trust provisional Best Consumer Finance 24,042,051 46,963,661
TOTAL OTHER DEBT SECURITIES 285,976,607 315,647,532
Foreign Government securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 4,109,963 6,853,979
Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 124,853,842 67,604,659
Debt Securities of Financial Trust provisional Best Consumer Finance 23,777,903 46,162,630
Central Bank of Argentina Bills [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 132,970,751 194,225,233
Private securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 264,148 801,031
Liquidity letters of Central Bank of Argentina in pesos - Maturity: 01-12-2021 | Central Bank of Argentina Bills [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss   32,027,644
Liquidity letters of Central Bank of Argentina in pesos - Maturity: 01-21-2021 | Central Bank of Argentina Bills [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss   29,785,222
US Treasury Bill - Maturity: 01-14-2021 | Foreign Government securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss   3,810,254
US Treasury Bill - Maturity: 01-19-2021 | Foreign Government securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss   1,270,073
US Treasury Bill - Maturity: 01-21-2021 | Foreign Government securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss   1,016,064
US Treasury Bill - Maturity: 01-28-2021 | Foreign Government securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss   757,588
Bonds of treasury of federal government in pesos adjusted by CER - Maturity: 03-18-2022 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance   84,062
Federal government treasury letters at variable rate in pesos - Maturity: 03-31-2021 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance   2,389,616
Other private securities [member] | Private securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 3,601 650,122
Federal government treasury bonds adjusted by CER - Maturity: 04-17-2021 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance   12,940,391
Bonds Par denominated in Pesos - Maturity 12-31-2038 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance   42,643
Level 1 [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
TOTAL OTHER DEBT SECURITIES 145,515,549 174,213,033
Level 1 [member] | Foreign Government securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 4,109,963  
Level 1 [member] | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 22,742,357 277,187
Level 1 [member] | Private securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 43,098  
Level 1 [member] | Liquidity letters of Central Bank of Argentina in pesos - Maturity: 01-25-2022 | Central Bank of Argentina Bills [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 16,551,744  
Level 1 [member] | Debt securities of Province of Río Negro in pesos - Maturity: 04-12-2022 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 218,580  
Level 1 [member] | Federal government bonds in pesos at 22% - Maturity: 05-21-2022 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance   30,428,731
Level 1 [member] | Discount bonds denominated in pesos at 5.83% - Maturity: 12-31-2033 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 265,823  
Level 2 [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
TOTAL OTHER DEBT SECURITIES 116,419,007 94,470,838
Level 2 [member] | Central Bank of Argentina Bills [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss   132,412,367
Level 2 [member] | Federal government treasury bonds linked to dollar - Maturity: 04-28-2023 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 29,321,529  
Level 2 [member] | Federal government treasury bonds in pesos adjusted by CER - Maturity: 09-20-2022 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 25,114,882  
Level 2 [member] | Letters of National Estate in pesos adjusted by CER to discount - Maturity: 07-29-2022 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 19,588,804  
Level 2 [member] | Federal government treasury bonds in pesos BADLAR +200 PB - Maturity: 04-03-2022 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 15,202,690  
Level 2 [member] | Federal government treasury bonds in pesos adjusted by CER - Maturity: 03-25-2023 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 10,414,066  
Level 2 [member] | Letters of National Estate in pesos adjusted by CER to discount - Maturity: 04-18-2022 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 9,905,621  
Level 2 [member] | Letters of National Estate in pesos adjusted by CER to discount - Maturity: 05-23-2022 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 4,021,054  
Level 2 [member] | Letters of National Estate in pesos to discount Maturity 01-31-2022 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 3,794,807  
Level 2 [member] | Federal government treasury bonds in pesos adjusted by CER - Maturity: 03-25-2024 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 3,357,516  
Level 2 [member] | Federal government treasury bonds in pesos adjusted by CER - Maturity: 08-13-2023 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 3,096,000  
Level 2 [member] | Other Government securities | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 1,036,873  
Level 2 [member] | Liquidity letters of Central Bank of Argentina in pesos - Maturity: 01-04-2022 | Central Bank of Argentina Bills [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 21,520,780  
Level 2 [member] | Liquidity letters of Central Bank of Argentina in pesos - Maturity: 01-27-2022 | Central Bank of Argentina Bills [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 18,879,645  
Level 2 [member] | Liquidity letters of Central Bank of Argentina in pesos - Maturity: 01-18-2022 | Central Bank of Argentina Bills [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 18,637,794  
Level 2 [member] | Liquidity letters of Central Bank of Argentina in pesos - Maturity: 01-11-2022 | Central Bank of Argentina Bills [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 17,725,328  
Level 2 [member] | Liquidity letters of Central Bank of Argentina in pesos - Maturity: 01-13-2022 | Central Bank of Argentina Bills [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 17,501,774  
Level 2 [member] | Liquidity letters of Central Bank of Argentina in pesos - Maturity: 01-06-2022 | Central Bank of Argentina Bills [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 15,888,779  
Level 2 [member] | Liquidity letters of Central Bank of Argentina in pesos - Maturity: 01-20-2022 | Central Bank of Argentina Bills [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss 6,264,907  
Level 2 [member] | Treasury bills of Province of Neuquén Series 4 Class 1 - Maturity: 02-28-2022 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 45,849  
Level 2 [member] | Treasury bills of Province of Río Negro Series 2 Class 1 - Maturity: 06-15-2022 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 193,577  
Level 2 [member] | Treasury bills of Province of Neuquén Series 1 Class 1 - Maturity: 04-07-2022 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 311,717  
Level 2 [member] | Corporate Bonds YPF SA Class 043 - Maturity: 10-21-2023 | Private securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 55,706 112,103
Level 2 [member] | Corporate Bonds Santander Río Bank S.A. Class 021 - Maturity: 01-26-2022 | Private securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 26,651 38,806
Level 3 [member] | Federal government treasury bonds in pesos BADLAR +200 PB - Maturity: 04-03-2022 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss   49,728
Level 3 [member] | Federal government treasury bonds in pesos adjusted by CER - Maturity: 03-25-2023 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss   1,568,690
Level 3 [member] | Federal government treasury bonds in pesos adjusted by CER - Maturity: 03-25-2024 | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss   1,321,885
Level 3 [member] | Other Government securities | Local Government Securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Other debt securities measured at fair value through profit and loss   $ 64,664,356
Level 3 [member] | Debt Securities in Financial Trusts Secubono Series 207 Class A - Maturity: 03-28-2022 | Private securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 5,998  
Level 3 [member] | Debt Securities in Financial Trusts Secubono Series 211 Class A - Maturity: 07-28-2022 | Private securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 13,095  
Level 3 [member] | Debt Securities in Financial Trusts Secubono Series 210 Class A - Maturity: 06-28-2022 | Private securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 18,608  
Level 3 [member] | Debt Securities in Financial Trusts Accicom Préstamos Pers Series 11 Class A- Maturity: 12-20-2022 | Private securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 19,358  
Level 3 [member] | Debt Securities in Financial Trusts Confibono Series 059 Class A - Maturity: 03-21-2022 | Private securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 21,038  
Level 3 [member] | Debt Securities in Financial Trusts Secubono Series 208 Class A - Maturity: 04-28-2022 | Private securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance 26,117  
Level 3 [member] | Debt Securities in Financial Trusts Secubono Series 209 Class A - Maturity: 05-30-2022 | Private securities [member]    
Disclosure of other debt securities at fair value through profit or loss [line items]    
Debt Securities of Financial Trust provisional Best Consumer Finance $ 30,878