v3.25.4
FINANCIAL INSTRUMENTS - Categories of financial assets and financial liabilities (Details) - ARS ($)
$ in Millions
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
FINANCIAL INSTRUMENTS      
Assets $ 1,646,905 $ 879,011  
Liabilities 6,976,974 4,695,856  
Net gain/(loss)      
Financial assets at amortized cost 78,533 (47,721) $ 181,035
Financial liabilities at amortized cost (937,612) 2,146,991 (2,171,671)
Financial assets at fair value through profit or loss 89,514 (59,735) 254,296
Financial liabilities at amortized cost through profit or loss   (535)  
Financial liabilities at fair value through profit or loss (199)   (89,194)
Total (769,764) 2,039,000 (1,825,534)
Of which interest      
Financial assets at amortized cost (1,059) 52,608 71,109
Financial liabilities at amortized cost (385,877) (175,670) (63,429)
Financial assets at fair value through profit or loss     184,263
Total (386,936) (123,062) $ 191,943
Financial liabilities at amortized cost, category      
FINANCIAL INSTRUMENTS      
Liabilities 6,976,187 4,694,219  
Financial liabilities at fair value through profit or loss, category      
FINANCIAL INSTRUMENTS      
Liabilities 787 1,637  
Financial assets at amortized cost, category      
FINANCIAL INSTRUMENTS      
Assets 1,183,448 736,886  
Financial assets at fair value through profit or loss, category      
FINANCIAL INSTRUMENTS      
Assets 436,275 142,125  
Financial assets at fair value through other comprehensive income, category      
FINANCIAL INSTRUMENTS      
Assets 27,182    
Trade payables      
FINANCIAL INSTRUMENTS      
Liabilities 1,129,134 606,654  
Trade payables | Financial liabilities at amortized cost, category      
FINANCIAL INSTRUMENTS      
Liabilities 1,129,134 606,654  
Borrowings      
FINANCIAL INSTRUMENTS      
Liabilities 5,436,615 3,785,980  
Borrowings | Financial liabilities at amortized cost, category      
FINANCIAL INSTRUMENTS      
Liabilities 5,436,615 3,785,980  
Leases liabilities      
FINANCIAL INSTRUMENTS      
Liabilities 388,296 280,168  
Leases liabilities | Financial liabilities at amortized cost, category      
FINANCIAL INSTRUMENTS      
Liabilities 388,296 280,168  
Dividends payables      
FINANCIAL INSTRUMENTS      
Liabilities 87    
Dividends payables | Financial liabilities at amortized cost, category      
FINANCIAL INSTRUMENTS      
Liabilities 87    
Other Liabilities      
FINANCIAL INSTRUMENTS      
Liabilities 22,842 23,054  
Other Liabilities | Financial liabilities at amortized cost, category      
FINANCIAL INSTRUMENTS      
Liabilities 22,055 21,417  
Other Liabilities | Financial liabilities at fair value through profit or loss, category      
FINANCIAL INSTRUMENTS      
Liabilities 787 1,637  
Cash and cash equivalent      
FINANCIAL INSTRUMENTS      
Assets 469,050 418,745  
Cash and cash equivalent | Financial assets at amortized cost, category      
FINANCIAL INSTRUMENTS      
Assets 339,054 298,257  
Cash and cash equivalent | Financial assets at fair value through profit or loss, category      
FINANCIAL INSTRUMENTS      
Assets 129,996 120,488  
Investments      
FINANCIAL INSTRUMENTS      
Assets 323,064 44,179  
Investments | Financial assets at amortized cost, category      
FINANCIAL INSTRUMENTS      
Assets 25 27,141  
Investments | Financial assets at fair value through profit or loss, category      
FINANCIAL INSTRUMENTS      
Assets 296,025 17,038  
Investments | Financial assets at fair value through other comprehensive income, category      
FINANCIAL INSTRUMENTS      
Assets 27,014    
Trade receivables      
FINANCIAL INSTRUMENTS      
Assets 800,128 389,943  
Trade receivables | Financial assets at amortized cost, category      
FINANCIAL INSTRUMENTS      
Assets 800,128 389,943  
Other receivables      
FINANCIAL INSTRUMENTS      
Assets 54,663 26,144  
Other receivables | Financial assets at amortized cost, category      
FINANCIAL INSTRUMENTS      
Assets 44,241 21,545  
Other receivables | Financial assets at fair value through profit or loss, category      
FINANCIAL INSTRUMENTS      
Assets 10,254 $ 4,599  
Other receivables | Financial assets at fair value through other comprehensive income, category      
FINANCIAL INSTRUMENTS      
Assets $ 168