v3.26.1
COMPOSITION OF THE MAIN ITEMS OF THE CONSOLIDATED STATEMENT OF FINANCIAL POSITION AND CONSOLIDATED INCOME STATEMENT
12 Months Ended
Dec. 31, 2025
COMPOSITION OF THE MAIN ITEMS OF THE CONSOLIDATED STATEMENT OF FINANCIAL POSITION AND CONSOLIDATED INCOME STATEMENT  
COMPOSITION OF THE MAIN ITEMS OF THE CONSOLIDATED STATEMENT OF FINANCIAL POSITION AND CONSOLIDATED INCOME STATEMENT

15.    COMPOSITION OF THE MAIN ITEMS OF THE CONSOLIDATED STATEMENT OF FINANCIAL POSITION AND CONSOLIDATED INCOME STATEMENT

15.1    Debt securities at fair value through profit or loss

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

Government securities

 

222,903,760

 

319,348,310

Corporate securities

26,602,638

 

25,704,220

Securities issued by the Central Bank

 

103

 

1,357,718

249,506,501

 

346,410,248

15. 2   Derivatives

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

Debtor balances related to forward operations in foreign currency to be settled in pesos

 

9,910,637

 

5,914,665

Debtor balances related to forward operations in foreign currency

173,162

9,910,637

 

6,087,827

Credit balances related to forward operations in foreign currency to be settled in pesos

 

 

2,281,117

 

2,281,117

15.3  Other financial assets

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

Participation Certificates in Financial Trusts

 

367,581

 

1,587,174

Investments in Asset Management and Other Services

 

5,498,807

 

5,039,415

Other investments

 

8,296,522

 

3,390,840

Receivable from spot sales pending settlement

 

12,899,276

 

11,962,221

Several debtors

 

32,838,619

 

16,470,374

Miscellaneous debtors for credit card operations

 

607,764

 

1,708,501

Allowances for loan losses

(2,975,440)

(2,491,954)

57,533,129

 

37,666,571

15.4    Other debt securities

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

Negotiable obligations

72,183,919

99,542,066

Debt securities from Financial trusts

 

23,485,091

 

23,269,431

Government securities

711,136,695

834,569,164

Securities issued by BCRA

 

1,443,732

 

0

Liquidity Tax Bills (LEFI)

118,641,674

Others

3,888,981

5,038,362

Allowances for loan losses

(7,230,590)

(11,706,423)

804,907,828

 

1,069,354,274

15.5   Financial assets pledged as collateral

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

Guarantee securities for repo operations

 

405,235,612

 

11,170,041

Special guarantees accounts in the Argentine Central Bank

77,367,345

71,397,982

Deposits in guarantee

 

198,560,115

 

148,105,315

681,163,072

 

230,673,338

15.6   Other non-financial assets

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

Other Miscellaneous assets

 

19,969,674

 

22,469,172

Loans to employees

 

4,203,931

 

4,643,058

Payments in advance

 

13,544,989

 

12,661,660

Other non-financial assets

2,782,181

1,058,628

Retirement Plan

 

146,852

 

1,011,801

Works of art and collector's pieces

718,614

 

722,168

Insurance Contract assets (Note 18)

2,456,210

 

3,964,525

Asset from insurance broker operations (Note 18)

207,018

 

224,325

44,029,469

46,755,337

15.7  Deposits

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

Non-financial sector

 

131,280,895

 

190,358,730

Financial sector

 

744,014

 

243,730

Current accounts

 

602,437,789

 

507,855,711

Special checking accounts

1,756,294,844

 

1,283,546,247

Savings accounts

 

1,011,081,613

 

936,408,041

Time deposits and investments accounts

 

1,407,375,180

 

959,243,184

Investment accounts

133,049,381

 

222,602,406

Others

51,942,615

 

45,863,264

Interest and Adjustments

 

24,680,148

 

28,527,618

5,118,886,479

 

4,174,648,931

15.8   Liabilities at fair value through profit or loss

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

Liabilities for transactions in local currency

 

693,909

 

693,909

 

15.9    Other financial liabilities

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

Amounts payable for spot transactions pending settlement

 

69,448,363

 

8,427,535

Collections and other operations on behalf of third parties

 

192,155,577

 

193,067,475

Unpaid fees

 

10,731

 

200

Financial guarantee contracts

 

198,334

 

193,373

Lease liability

 

12,296,088

 

8,068,276

Others

6,163,192

 

8,857,654

280,272,285

218,614,513

15.10   Financing received from the Argentine Central Bank and other financial institutions

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

Financing received from local financial institutions

 

104,171,482

 

20,540,967

Financing received from international institutions

 

376,622,260

 

31,154,891

480,793,742

 

51,695,858

15.11   Provisions

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

Eventual commitments

353,073

276,150

Unused Balances of Credit Cards

3,903,686

4,271,775

Provision for agreed revocable current account advances

1,022,473

390,005

Other contingencies

 

8,611,596

 

48,474,615

13,890,828

 

53,412,545

15.12   Other non-financial liabilities

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

Payroll and social securities

 

162,620,058

 

152,612,469

Sundry creditors

 

61,020,615

 

44,949,437

Revenue from contracts with customers

 

 

608,279

Tax payable

 

81,206,916

 

44,577,953

Social security payment orders pending settlement

 

4,205,131

 

8,163,334

Reinsurance contract liabilities

470,001

23,477

Liabilities from insurance broker operations 

71,431

205,761

Obligations under a stock option plan

9,653,158

 

Other

 

988,039

 

1,753,728

320,235,349

 

252,894,438

15.13   Interest Income

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

  ​ ​ ​

12/31/2023

Interest on overdrafts

 

108,911,966

 

109,482,955

127,221,538

Interest on promissory notes

 

145,066,738

 

122,386,763

193,280,154

Interest on personal loans

 

297,636,833

 

154,073,612

190,367,868

Interest on corporate unsecured loans

 

181,774,226

 

199,442,193

275,371,868

Interest on credit card loans

 

100,237,249

 

64,934,866

120,330,556

Interest on mortgage loans

 

118,950,801

 

191,952,162

178,638,568

Interest on automobile and other secured loan

 

147,429,426

 

74,860,118

36,022,380

Interest on foreign trade loans

 

40,276,677

 

12,616,962

9,109,775

Interest on financial leases

 

48,669,939

 

36,070,280

51,186,807

Interest on public and private securities measured at amortized cost

539,333,668

 

647,667,529

1,626,818,997

Other

 

38,094,307

 

571,922,709

508,053,015

Total

 

1,766,381,830

 

2,185,410,149

3,316,401,526

15.14   Interest Expenses

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

  ​ ​ ​

12/31/2023

Interest on current accounts deposits

 

309,784,773

 

512,059,715

1,073,754,083

Interest on time deposits

 

419,616,634

 

620,752,662

1,257,621,838

Interest on other financial liabilities

 

142,428,823

 

16,118,852

10,373,933

Interest from financing sector

 

2,593,067

 

2,824,358

7,942,839

Other

 

72,703,282

 

16,415,311

15,061,855

Total

 

947,126,579

 

1,168,170,898

2,364,754,548

15.15   Net income from financial instruments measure at fair value through profit or loss

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

  ​ ​ ​

12/31/2023

Income from corporate and government securities

 

80,670,250

 

175,906,617

366,099,043

Income from securities issued by the Argentine Central Bank

 

1,026,554

 

Derivatives

 

(5,913,490)

 

9,661,717

29,455,313

Total

 

75,783,314

 

185,568,334

395,554,356

15.16   Service fee income

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

  ​ ​ ​

12/31/2023

Commissions from deposits accounts

 

96,736,753

 

83,922,297

107,114,804

Commissions from credit and debit cards

 

54,206,298

 

55,654,295

58,995,336

Commissions from loans operations

 

837,966

 

589,796

1,056,751

Other Commissions

115,747,490

 

117,279,383

99,604,691

Total

 

267,528,507

 

257,445,771

266,771,582

15.17   Service fee expenses

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

  ​ ​ ​

12/31/2023

Commissions paid

 

57,313,214

 

54,038,563

67,664,715

Export and foreign currency operations

 

1,688,961

 

1,975,535

1,591,369

Total

 

59,002,175

 

56,014,098

69,256,084

15.18   Income from insurance activities

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

  ​ ​ ​

12/31/2023

Insurance revenue

52,198,864

 

53,656,427

53,187,288

Insurance service expenses

(26,675,413)

 

(26,281,261)

(16,452,581)

Net expenses from reinsurance contracts held

802,684

 

(190,516)

(319,692)

Broker activity operations

10,158,176

 

5,695,618

4,925,697

Total

 

36,484,311

 

32,880,268

41,340,712

15.19   Other operating income

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

  ​ ​ ​

12/31/2023

Reversal of allowance for loan losses and assets written down

 

8,428,118

 

6,061,546

 

15,763,074

Rental from safety boxes

 

9,250,999

 

5,570,523

 

5,875,256

Commissions from trust services

 

166,606

 

648,264

 

510,667

Adjustment of various credits

6,265,417

5,795,206

7,082,990

Sale of fixed assets

 

377,118

 

13,083

Punitive interest

8,434,944

4,084,730

6,642,843

Others

 

32,369,169

 

29,020,879

 

31,972,140

Total

 

64,915,253

 

51,558,266

 

67,860,053

15.20   Personnel expenses

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

  ​ ​ ​

12/31/2023

Payroll and social securities

 

302,965,011

 

361,971,540

 

429,881,610

Others expenses

 

24,287,731

 

23,893,800

 

29,595,788

Total

 

327,252,742

 

385,865,340

 

459,477,398

15.21   Administrative expenses

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

  ​ ​ ​

12/31/2023

Directors´ and statutory auditors’fees

 

6,482,231

 

6,628,803

 

9,429,920

Professional fees

 

54,527,948

 

62,248,074

 

71,633,534

Advertising and publicity

 

23,617,637

 

22,238,624

 

13,570,471

Taxes

 

51,544,990

 

52,847,464

 

58,462,219

Maintenance, security and services

 

53,549,912

 

60,066,187

 

56,299,747

Rent

 

154,270

 

148,087

 

190,213

Others

 

31,930,467

 

25,147,924

 

32,301,499

Total

 

221,807,455

 

229,325,163

 

241,887,603

15.22  Depreciation and impairment of non-financial assets

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

  ​ ​ ​

12/31/2023

Depreciation of property, plant and equipment

 

10,857,312

 

12,601,634

 

13,257,891

Depreciation of other non-financial assets

 

7,874,222

 

8,200,228

 

8,117,928

Depreciation of intangible assets

 

42,833,000

 

35,160,600

 

40,072,873

Depreciation of right-of-use assets

11,840,611

 

12,779,533

 

18,564,734

Loss from sale or impairment of property, plant and equipment

7,139

 

431,766

 

11,458,607

Total

 

73,412,284

 

69,173,761

 

91,472,033

15.23  Other operating expenses

  ​ ​ ​

12/31/2025

  ​ ​ ​

12/31/2024

  ​ ​ ​

12/31/2023

Promotions related with credit cards

 

24,638,887

 

27,371,236

 

13,609,167

Turnover tax

 

122,247,570

 

108,403,482

 

157,466,847

Fair value on initial recognition of loans

 

16,081,964

 

1,305,700

 

593,962

Contributions made to deposit insurance system

 

7,984,540

 

5,658,584

 

6,734,127

Loan and credit card balance adjustments

4,000,056

 

2,152,207

 

3,556,648

Interest on liabilities for financial leases

3,599,457

 

2,526,891

 

96,511

Coverage services

180,544

 

179,734

 

78,938

Miscellaneous loss provision

1,866,894

 

904,848

 

1,910,339

Others allowances

7,054,184

 

71,504,234

 

29,479,135

Impairment of investment property

668,493

 

13,403,341

 

20,087,747

Others

 

14,396,629

 

22,429,034

 

36,493,936

Total

 

202,719,218

 

255,839,291

 

270,107,357