RISK MANAGEMENT POLICIES - Sensitivity analysis performed reasonably possible changes in foreign exchange rates (Details) - ARS ($) $ in Thousands |
12 Months Ended | |
|---|---|---|
Dec. 31, 2025 |
Dec. 31, 2024 |
|
| Foreign currency sensitivity analysis | ||
| Exchange rate variation | (20.10%) | (16.70%) |
| Decrease in profit loss | $ 51,051,294 | $ (3,847,690) |
| Decrease in equity | $ 51,051,294 | $ (3,847,690) |
| US Dollar | ||
| Foreign currency sensitivity analysis | ||
| Exchange rate variation | 20.10% | 16.70% |
| Exchange rate variation | (20.10%) | (16.70%) |
| Increase in profit loss | $ (51,801,234) | $ 3,550,594 |
| Decrease in profit loss | 51,801,234 | (3,550,594) |
| Increase in equity | (51,801,234) | 3,550,594 |
| Decrease in equity | $ 51,801,234 | $ (3,550,594) |
| Euro | ||
| Foreign currency sensitivity analysis | ||
| Exchange rate variation | 20.10% | 16.70% |
| Exchange rate variation | (20.10%) | (16.70%) |
| Increase in profit loss | $ (594,512) | $ (371,432) |
| Decrease in profit loss | 594,512 | 371,432 |
| Increase in equity | (594,512) | (371,432) |
| Decrease in equity | $ 594,512 | $ 371,432 |
| Other | ||
| Foreign currency sensitivity analysis | ||
| Exchange rate variation | 20.10% | 16.70% |
| Exchange rate variation | (20.10%) | (16.70%) |
| Increase in profit loss | $ 1,344,452 | $ 668,528 |
| Decrease in profit loss | (1,344,452) | (668,528) |
| Increase in equity | 1,344,452 | 668,528 |
| Decrease in equity | $ (1,344,452) | $ (668,528) |