Estados Contables

Información actualizada a Agosto de 2025

(*) Al pie de este Balance se encuentra una tabla con el detalle de la nota del Informe del Auditor correspondiente al cierre del ejercicio trimestral o anual

Montos expresados en miles de pesos.

Dic-2023 Dic-2024 Jun-2025 Jul-2025 Ago-2025
A C T I V O 38.848.280.606 81.601.690.971 96.377.387.023 99.663.720.845 103.134.090.399
   EFECTIVO Y DEPOSITO EN BANCOS 4.740.552.657 8.434.262.593 9.892.274.290 11.827.286.054 12.873.334.347
   TÍTULOS PÚBLICOS Y PRIVADOS 11.749.050.285 31.347.558.612 34.968.679.593 36.560.062.761 35.936.894.758
   PRÉSTAMOS 7.746.867.932 26.702.064.366 37.000.706.875 38.765.992.589 40.205.214.786
      SECTOR PÚBLICO NO FINANCIERO 478.811.836 1.087.541.453 1.547.138.108 1.462.888.233 1.515.524.574
      SECTOR FINANCIERO 10.455.065 108.859.745 204.471.351 290.795.351 311.030.730
      SECTOR PRIVADO NO FINANCIERO Y RESIDENTES EN EL EXT. 8.021.344.197 26.105.829.679 36.358.761.205 38.252.346.395 39.785.324.856
         ADELANTOS 209.655.334 587.273.644 993.139.527 773.965.691 679.009.537
         DOC A SOLA FIRMA, DESCONT. Y COMPRADOS 1.955.678.599 8.136.533.340 9.748.165.601 10.393.943.092 10.791.785.382
         HIPOTECARIOS 535.401.921 1.152.380.179 2.094.374.410 2.421.312.250 2.718.917.855
         PRENDARIOS 224.872.977 848.904.348 1.273.853.680 1.345.894.145 1.387.124.324
         PERSONALES 725.203.254 3.856.249.136 6.346.752.865 6.707.069.785 7.036.353.467
         OTROS 2.577.593.693 6.623.051.244 9.984.434.826 10.575.556.857 10.930.260.738
         INTERESES Y DIF. COTIZ. DEVENG. A COBRAR 1.963.691.125 5.320.285.159 6.219.041.978 6.340.745.952 6.565.557.506
         COBROS NO APLICADOS -2.502.647 -4.630.418 -5.080.691 -5.557.674 -6.658.740
         INTERESES DOCUMENTADOS -92.093.256 -217.887.075 -187.598.650 -190.382.815 -206.748.826
         AJUSTES NIIF -76.156.803 -196.329.878 -108.322.341 -110.200.888 -110.276.387
      PREVISIONES -763.743.166 -600.166.511 -1.109.663.789 -1.240.037.390 -1.406.665.374
   OTROS CRED.POR INTERM.FINAN. 10.580.983.280 7.869.427.749 5.754.812.489 3.209.320.476 3.649.158.340
   CREDITO POR ARRENDAMIENTO FINANCIERO 28.039.383 70.105.269 90.898.527 98.049.337 105.939.183
   PART. EN OTRAS SOCIEDADES 661.257.680 1.399.418.617 1.640.556.941 1.727.151.179 1.720.828.125
         EN ENTIDADES FINANCIERAS 134.166.280 235.676.989 247.329.236 281.114.304 256.617.548
         OTRAS 527.440.442 1.164.484.626 1.394.006.571 1.446.815.741 1.464.989.443
         DETERIORO DE VALOR -349.042 -742.998 -778.866 -778.866 -778.866
   CRÉDITOS DIVERSOS 1.018.894.671 1.392.505.040 1.899.744.866 2.183.955.102 2.861.953.557
   PROPIEDAD, PLANTAS Y EQUIPO 1.537.421.051 3.108.572.649 3.576.453.510 3.644.103.653 3.702.517.264
   BIENES DIVERSOS 67.067.605 139.524.233 169.904.403 177.959.369 190.983.686
   ACTIVOS INTANGIBLES 66.082.684 189.829.835 208.806.358 210.085.931 211.334.122
   FILIALES EN EL EXTERIOR 646.729.433 872.313.949 1.053.522.950 1.196.079.326 1.180.935.499
   PARTIDAS PEND. DE IMPUTACIÓN 5.333.945 76.108.059 121.026.221 63.675.068 494.996.732
P A S I V O 30.013.494.967 58.832.337.977 69.835.376.675 72.607.728.737 76.357.827.400
   DEPÓSITOS 26.486.060.990 54.372.435.986 63.590.037.884 66.576.193.351 68.481.164.151
      SECTOR PÚBLICO NO FINANCIERO 8.234.482.339 19.324.126.473 24.495.875.731 25.497.239.979 26.341.293.148
      SECTOR FINANCIERO 164.752.393 202.685.361 235.273.844 254.741.560 264.203.963
      SECTOR PRIVADO NO FINANCIERO Y RESIDENTES EN EL EXT. 18.086.826.258 34.845.624.152 38.858.888.309 40.824.211.812 41.875.667.040
         CUENTAS CORRIENTES 1.274.772.363 3.138.242.609 3.430.590.733 3.514.090.301 3.267.563.942
         CAJA DE AHORROS 8.125.469.919 11.734.990.838 13.452.604.262 14.256.060.247 15.051.097.921
         PLAZO FIJO E INVERSIONES A PLAZO 7.635.339.892 18.147.641.747 20.219.551.470 21.267.511.413 21.643.436.766
         OTROS 497.285.975 1.097.852.025 1.381.332.452 1.407.212.103 1.438.725.358
         INTERESES Y DIF. COTIZ. DEVENG. A PAGAR 553.958.109 726.896.933 374.809.392 379.337.748 474.843.053
   OTRAS OBLIG.POR INTERMED. FINANC. 1.366.733.678 2.210.660.855 2.999.780.617 2.976.901.282 4.827.753.332
   OBLIGACIONES DIVERSAS 2.010.816.883 1.937.498.993 2.918.463.356 2.715.526.147 2.702.555.089
   PROVISIONES 138.871.826 244.365.571 251.728.261 275.007.811 279.005.538
   PARTIDAS PENDIENTES DE IMPUTACIÓN 11.011.590 67.376.572 75.366.557 64.100.146 67.349.290
P A T R I M O N I O N E T O 8.834.785.639 22.769.352.994 26.542.010.348 27.055.992.108 26.776.262.999
   CAPITAL, APORTES, RESERVAS Y ORI ACUMULADO 6.446.275.644 16.753.273.822 19.711.262.000 19.951.459.756 25.176.193.488
   RESULTADOS NO ASIGNADOS 2.388.509.995 6.016.079.172 6.830.748.348 7.104.532.352 1.600.069.511
R D O S. I N T E G R A L E S A C U M. D E L P E R I O D O 2.391.752.394 4.158.693.298 560.135.437 567.053.669 147.105.214
   INGRESOS FINANCIEROS 26.628.697.870 40.428.799.366 12.105.534.812 14.455.941.965 16.719.203.924
         POR INTERESES 13.684.031.865 16.695.972.427 7.090.448.211 8.627.364.246 10.334.992.021
         OTROS INGRESOS FINANCIEROS 12.944.666.005 23.732.826.939 5.015.086.601 5.828.577.719 6.384.211.903
   EGRESOS FINANCIEROS -15.765.453.136 -16.902.697.483 -5.424.345.908 -6.540.835.781 -7.773.292.041
         POR INTERESES -14.506.156.845 -14.362.872.867 -4.692.334.604 -5.685.271.855 -6.790.896.557
         OTROS EGRESOS FINANCIEROS -1.259.296.291 -2.539.824.616 -732.011.304 -855.563.926 -982.395.484
   CARGO POR INCOBRABILIDAD -472.274.528 -610.377.071 -709.115.584 -860.237.922 -1.070.336.532
   INGRESOS POR SERVICIOS 704.436.541 1.412.353.812 915.627.663 1.102.603.096 1.303.098.817
   EGRESOS POR SERVICIOS -666.112.782 -1.513.541.947 -747.187.240 -889.999.348 -1.046.435.111
   GASTOS DE ADMINISTRACIÓN -2.379.425.636 -4.933.925.241 -2.767.809.817 -3.273.691.440 -3.783.288.267
   CRÉDITOS RECUPERADOS Y PREVISIONES DESAFECTADAS 142.746.591 282.417.575 468.313.651 506.396.748 552.168.877
   RESULTADO MONETARIO -4.784.493.608 -10.452.599.828 -2.886.939.330 -3.347.771.154 -3.766.772.986
   OTROS 28.697.043 -168.442.760 -121.217.070 -88.986.741 -135.118.325
   IMPUESTO A LAS GANANCIAS -1.286.491.765 -2.038.670.640 -173.318.211 -247.671.779 -291.626.622
   OTRO RESULTADO INTEGRAL 241.425.804 -1.344.622.485 -99.407.529 -248.693.975 -560.496.520
PARTIDAS FUERA DE BALANCE          
   CRÉDITOS IRRECUPERABLES EN PARTIDAS FUERA DEL BALANCE 437.001.608 992.378.561 1.069.073.565 1.202.417.617 1.171.883.951
   CONTINGENTES ACREEDORAS 6.003.121.285 17.494.836.300 25.149.819.954 25.540.199.690 26.965.332.875
   DE CONTROL ACREEDORAS 452.549.288 190.693.820 238.911.417 136.930.398 138.140.855
   DE DERIVADOS ACREEDORAS 91.021.868 46.160.590 6.188.738 2.810.000  
   CONTINGENTES DEUDORAS 10.004.635.254 28.309.035.229 41.659.097.662 46.666.881.051 46.067.822.117
   DE CONTROL DEUDORAS 24.812.210.140 29.254.304.842 42.571.187.331 43.965.206.079 44.791.931.100
   DE DERIVADOS DEUDORAS 1.885.337.268 2.142.318.785 20.088.739 18.070.001 15.325.001
   DE ACTIVIDAD FIDUCIARIA DEUDORAS 6.815.630.278 9.658.362.618 11.188.328.948 12.172.779.005 12.094.996.841
INFORMES
TIPO CODIGO TIPO CODIGO
CIERRE DE EJERCICIO   CIERRE DE EJERCICIO  
FAVORABLE SIN SALVEDADES 1 OPINION ADVERSA 6
FAVORABLE CON SALVEDADES DETERMINADAS DE EXPOSICION 2 ABSTENCION DE OPINION 7
FAVORABLE CON SALVEDADES DETERMINADAS DE VALUACION 3 CIERRE TRIMESTRAL (ALCANCE LIMITADO)
FAVORABLE CON SALVEDADES INDETERMINADAS CON LIMITACIONES AL ALCANCE 4 SIN OBSERVACIONES 8
FAVORABLE CON SALVEDADES INDETER. CON INCERTIDUMBRE S/ HECHOS FUTUROS 5 CON OBSERVACIONES POR HECHOS DETERMINADOS 9
    CON OBSERVACIONES POR HECHOS INDETERMINADOS 10