RISK MANAGEMENT POLICIES - Paragraphs (Details) $ in Thousands |
12 Months Ended | |
|---|---|---|
|
Dec. 31, 2025
ARS ($)
item
factor
|
Dec. 31, 2024
ARS ($)
|
|
| Disclosure of Risk Management [line items] | ||
| Broad liquidity ratio, availabilities, lefi and public bonds, capacity, percent | 10.00% | |
| Unrecoverable financial assets eliminated | $ | $ 54,941,730 | $ 18,524,763 |
| Interest rate risk | ||
| Disclosure of Risk Management [line items] | ||
| Number of proposed disturbance scenarios | item | 6 | |
| Provision utilization holding period | 90 days | |
| Percentage of interest rate confidence level | 99.00% | |
| Liquidity risk | ||
| Disclosure of Risk Management [line items] | ||
| Number of key factors | factor | 2 | |
| Liquidity stress level period | 30 days | |
| Individuals | Credit risk | ||
| Disclosure of Risk Management [line items] | ||
| Percentage of credit risk confidence level | 99.90% | |
| Company | Credit risk | ||
| Disclosure of Risk Management [line items] | ||
| Percentage of credit risk confidence level | 99.00% |