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Analysis of changes in financing activities during the year (Details) - ARS ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Cash flow      
Payment of lease liabilities $ (13,075,965) $ (13,561,406) $ (14,532,650)
Non-cash changes      
Additions - Rights of use - Real estate 14,028,401 20,795,120  
Financial liabilities      
Analysis of changes in financing during the year [Line Items]      
Opening balance 140,490,742 164,045,838  
Cash flow      
Debt securities issued - Capital 99,271,683 30,821,854  
Collections - Financing by local financial institutions 139,535,545 1,816,673  
Debt payments (10,729,920) (76,085,804)  
Payment of lease liabilities (13,075,965) (13,561,406)  
Non-cash changes      
Interests and adjustments accrued 7,151,318 52,978,534  
Net monetary inflation adjustment (27,443,877) (40,320,067)  
Closing balance $ 349,227,927 $ 140,490,742 $ 164,045,838