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Investment Portfolio - Government and Corporate Securities (Debt Securities at Fair Value Through Profit or Loss) (Details) - ARS ($)
$ in Thousands
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
TOTAL DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS $ 91,797,177 $ 492,324,281
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 91,730,958 836,681
Subtotal Private Securities - In Pesos 0 1,086,002
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Treasury Bills | Treasury Bills adjusted by Cer. Maturity 01-18-2024 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 0 446,799
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Treasury Bonds | Treasury Bonds in pesos adjusted by Cer. Maturity 03-31-2026 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency $ 11,758,191 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Treasury Bonds | Treasury Bonds in pesos adjusted by Cer 0%. Maturity 10-31-2025 | Level 2 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Borrowings, interest rate 0.00%  
Subtotal Government Securities - In foreign currency $ 7,414,965 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Treasury Bonds | Treasury Bonds in pesos Capitalizable Maturity 02-13-2026 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency $ 6,671,200 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Treasury Bonds | Argentine Treasury Bond and Treasury Bonds Maturity 02-14-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Borrowings, interest rate 4.25%  
Subtotal Government Securities - In foreign currency $ 79,516 389,882
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Treasury Bonds | Treasury Bonds in pesos adjusted by Cer 0%. Maturity 12-15-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Borrowings, interest rate 0.00%  
Subtotal Government Securities - In foreign currency $ 1,022,133 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Argentine Treasury Bond | Argentine Treasury Bills Capitalizable in Pesos. Maturity 05-16-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 45,622,467 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Argentine Treasury Bond | Argentine Treasury Bills Capitalizable in Pesos. Maturity 02-28-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 3,932,947 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Argentine Treasury Bond | Argentine Treasury Bills Capitalizable in Pesos. Maturity 04-28-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 3,215,532 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Argentine Treasury Bond | Argentine Treasury Bills Capitalizable in Pesos. Maturity 08-15-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 2,191,160 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Argentine Treasury Bond | Argentine Treasury Bills Capitalizable in Pesos. Maturity 01-17-2025 | Level 2 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 2,046,341 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Argentine Treasury Bond | Argentine Treasury Bills Capitalizable in pesos. Maturity 05-30-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 2,021,394 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Argentine Treasury Bond | Argentine Treasury Bills Capitalizable in Pesos. Maturity 01-31-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 1,920,252 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Argentine Treasury Bond | Argentine Treasury Bond and Treasury Bonds Maturity 02-14-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 1,810,779 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Argentine Treasury Bond | Argentine Treasury Bills Capitalizable in Pesos. Maturity 04-16-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 1,196,536 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Argentine Treasury Bond | Argentine Treasury Bills Capitalizable in Pesos. Maturity 03-14-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 449,531 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Argentine Treasury Bond | Argentine Treasury Bills Capitalizable in Pesos. Maturity 06-30-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 142,001 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Argentine Treasury Bond | Argentine Treasury Bills Capitalizable in Pesos. Maturity 03-31-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 27,475 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Argentine Treasury Bond | Argentine Treasury Bills Capitalizable in Pesos. Maturity 08-29-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency $ 208,538 0
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Corporate Bond BADLAR | Corporate Bond BADLAR And Toyota Maturity 10-17-2024 | Level 3 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Borrowings, adjustment to interest rate basis 3.00%  
Subtotal Private Securities - In Pesos $ 0 574,423
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Corporate Bond Monetary | Corporate Bond BADLAR And Toyota Maturity 10-17-2024 | Level 3 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Private Securities - In Pesos 0 511,189
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In pesos | Corporate Bond Toyota | Corporate Bond Toyota Cia Financiera Series 32 in Pesos. Maturity 02-09-2025 | Level 3 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Private Securities - In Pesos 0 390
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In foreign currency    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 66,219 486,805,046
Subtotal Private Securities - In foreign currency 0 3,596,552
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In foreign currency | Argentine Bond in dual currency. Maturity 06-30-2024 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 0 470,852,827
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In foreign currency | Argentine Bond in dual currency. Maturity 02-28-2024 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 0 15,830,775
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In foreign currency | GD30 Bond | AL30 And GD30 Bond Maturity 07-09-2030 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 0 61,916
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In foreign currency | AL30 Bond | AL30 And GD30 Bond Maturity 07-09-2030 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 66,219 59,528
DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS | Government Securities - In foreign currency | Corporate Bond Central | Corporate Bond Central Puerto Series A in USD. Maturity 03-14-2026 | Level 2 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Private Securities - In foreign currency 0 3,596,552
DEBT SECURITIES AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 0 64,721
DEBT SECURITIES AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME | Government Securities - In pesos    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency 2,262,027,285 1,136,383,409
Subtotal BCRA Liquidity Bills - In pesos 0 131,713,790
Subtotal Private Securities - In Pesos 2,787,594 10,214,765
DEBT SECURITIES AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME | Government Securities - In pesos | Treasury Bonds | Treasury Bonds in pesos adjusted by Cer. Maturity 03-31-2026 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal Government Securities - In foreign currency $ 394,906,029 0
DEBT SECURITIES AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME | Government Securities - In pesos | Treasury Bonds | Argentine Treasury Bond and Treasury Bonds Maturity 02-14-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Borrowings, interest rate 4.25%  
Subtotal Government Securities - In foreign currency $ 18,681,070 122,109,199
DEBT SECURITIES AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME | Government Securities - In pesos | Treasury Bonds | Treasury Bonds in pesos adjusted by Cer 0%. Maturity 12-15-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Borrowings, interest rate 0.00%  
Subtotal Government Securities - In foreign currency $ 245,559,764 0
DEBT SECURITIES AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME | Government Securities - In pesos | Treasury Bonds | Argentine Treasury Bills Capitalizable in Pesos. Maturity 06-30-2025 | Level 1 Fair value    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Borrowings, interest rate 0.00%  
Subtotal Government Securities - In foreign currency $ 6,015,000 0
DEBT SECURITIES AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME | Government Securities - In foreign currency    
Disclosure Of Detailed Information About Investment Portfolio Of Government And Corporate Securities [Line Items]    
Subtotal BCRA Liquidity Bills - In pesos 0 151,937,663
Subtotal Private Securities - In Pesos $ 34,767,140 $ 9,295,013