ACCOUNTING STANDARDS AND BASIS OF PREPARATION - Financing Activities (Details) - ARS ($) $ in Thousands |
12 Months Ended | ||
|---|---|---|---|
Dec. 31, 2025 |
Dec. 31, 2024 |
Dec. 31, 2023 |
|
| Reconciliation of financing activities | |||
| Beginning of year | $ 127,061,673 | $ 15,897,321 | $ 68,328,906 |
| Inflows | 9,786,093,565 | 463,878,863 | 394,852,347 |
| Outflows | (9,268,705,601) | (366,147,038) | (455,813,021) |
| Other non-cash movements | 23,506,591 | 13,432,527 | 8,529,089 |
| End of year | 667,956,228 | 127,061,673 | 15,897,321 |
| Unsubordinated debt securities | |||
| Reconciliation of financing activities | |||
| Beginning of year | 67,297,539 | 5,008,190 | |
| Inflows | 459,315,760 | 68,527,449 | 98,980 |
| Outflows | (355,803,167) | (3,081,005) | (5,107,170) |
| Other non-cash movements | 4,056,266 | 1,851,095 | |
| End of year | 174,866,398 | 67,297,539 | |
| Financing received from the Argentine Central Bank and other financial institutions | |||
| Reconciliation of financing activities | |||
| Beginning of year | 51,695,858 | 7,711,558 | 49,328,858 |
| Inflows | 9,326,777,805 | 395,351,414 | 394,753,367 |
| Outflows | (8,897,679,921) | (351,367,114) | (436,370,667) |
| End of year | 480,793,742 | 51,695,858 | 7,711,558 |
| Lease Liabilities | |||
| Reconciliation of financing activities | |||
| Beginning of year | 8,068,276 | 8,185,763 | 13,991,858 |
| Outflows | (15,222,513) | (11,698,919) | (14,335,184) |
| Other non-cash movements | 19,450,325 | 11,581,432 | 8,529,089 |
| End of year | $ 12,296,088 | $ 8,068,276 | $ 8,185,763 |