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GGALGrupo Financiero Galicia S.A.
$53.02$8.5B
Overview & Verdict
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HomeStocksGGALQuarterly Balance Sheet

Grupo Financiero Galicia S.A. (GGAL) Quarterly Balance Sheet

120+ quarters historyFree accessUpdated daily

Grupo Financiero Galicia S.A. (GGAL) quarterly balance sheet — complete assets, liabilities & equity history

GGAL Balance Sheet

Income StatementBalance SheetCash FlowRatios
AnnualQuarterly
MetricQ1'26Q4'25Q3'25Q2'25Q1'25Q4'24Q3'24Q2'24Q1'24Q4'23Q3'23Q2'23Q1'23Q4'22Q3'22Q2'22Q1'22Q4'21Q3'21Q2'21
Cash & Short Term Investments6.68T9.07T8.69T6.07T5.58T3.76T6.1T2.59T2.17T1.18T380.76B277.75B194.5B627.91B626.59B381.16B154.26B462.49B198.39B223.82B
Cash & Due from Banks6.68T9.07T8.69T6.07T5.58T3.76T6.1T2.59T2.17T2T740.24B548.27B495.24B1.39T626.59B381.16B154.26B462.49B198.39B223.82B
Short Term Investments0000000000-359.49B-270.52B-300.74B-765.78B000000
Total Investments35.77T19.14T30.86T29.31T21.37T17.07T12.55T13.65T10.06T2.59T2.88T2.18T1.61T3.65T13.89B13.44B11.99B655.33B1.15T1.03T
Investments Growth %67.36%12.1%145.83%114.71%112.39%558.77%336.53%525.24%523.48%-29.04%20608.74%16137.9%13360.43%457.34%-98.8%-98.7%-96.3%131.5%--
Long-Term Investments35.77T19.14T30.86T29.31T21.37T17.07T12.55T13.65T10.06T2.59T0003.65T000655.33B00
Accounts Receivables0000613.72B474.65B396.93B00389.7B000166.99B00057.18B00
Goodwill & Intangibles407.36B381.18B354.12B340.97B322.03B304.49B245.05B221.38B189.76B123.61B76.65B58.63B46.35B119.93B33.88B28.3B24.57B41.36B19.4B17.79B
Goodwill000000197.62M176.24M00559K525K369K000000-308K
Intangible Assets407.36B381.18B354.12B340.97B322.03B304.49B244.85B221.21B189.76B123.61B76.65B58.63B46.35B119.93B33.88B28.3B24.57B41.36B19.4B17.79B
PP&E (Net)1.31T1.1T1.17T1.13T1.02T1.08T736.74B654.74B543.31B355.26B234.52B174.85B139.79B360.68B99.81B81.34B70.74B121.15B57.24B53.25B
Other Assets1.23T7.8T916.04B845.11B562.82B857.82B1.5T327.75B384.31B6.04T5.57T4.35T3.42T5.78T1.91T1.73T1.58T2.37T1.2T1.05T
Total Current Assets6.68T17.36T8.69T6.07T5.58T12.79T7.94T2.59T2.17T1.18T380.76B277.75B194.5B627.91B626.59B381.16B154.26B462.49B198.39B223.82B
Total Non-Current Assets38.72T28.42T33.3T31.62T23.27T19.72T15.04T14.85T11.18T9.11T5.89T4.58T3.61T9.91T2.05T1.84T1.68T3.18T1.28T1.12T
Total Assets45.4T45.78T42T37.7T28.85T32.52T22.98T17.45T13.35T10.22T6.27T4.86T3.8T10.49T2.67T2.22T1.83T3.27T1.48T1.34T
Asset Growth %57.37%40.78%82.79%116.06%116.06%218.3%266.65%259.07%251.41%-2.59%134.55%118.96%107.68%220.62%80.99%65.21%55.98%105.37%55.6%50.42%
Return on Assets (ROA)0.15%-0.15%-0.22%0.52%0.53%2.41%0.83%3.73%3.28%-1.97%2.98%4.97%0.98%0%1.09%0.55%0.42%0.45%0.67%0.77%
Accounts Payable0000221.91B235.52B191.3B00144.45B000139.86B000000
Total Debt3.66T3.65T2.72T2.22T2.02T2.16T787.37B576.14B540.1B465.73B249.97B191.72B166B491.26B271.82B239.26B206.44B160.31B171.34B129.33B
Net Debt-3.03T-5.43T-5.97T-3.85T-4.22T-203.15B-5.39T-2.02T-1.63T-1.53T-490.28B-356.55B-329.23B-902.43B-354.78B-141.89B52.17B-302.18B-27.05B-94.49B
Long-Term Debt3.25T2.88T2.72T2.22T3.96T3.55T2.44T1.9T540.1B436.26B249.97B191.72B166B1.22T271.82B239.26B206.44B331.97B171.34B129.33B
Short-Term Debt2.99T3.1T00111.7B389.7B43.57B0050.84B0000000000
Other Liabilities7.74T5.35T7.64T6.98T24.16T22.45T16.23T11.74T2.78T14.94T4.63T3.69T2.82T7.13T1.87T1.56T1.25T2.3T1.03T969.39B
Total Current Liabilities2.99T29.71T24.54T21.57T17.91T19.25T13.86T8.74T6.72T750.55B124.08B84.58B50.43B575B33.35B20.59B13.21B159.3B10.57B9.27B
Total Non-Current Liabilities10.99T8.31T10.36T9.2T28.12T26T18.67T13.64T540.1B15.4T4.88T3.88T2.99T8.36T2.14T1.8T1.46T2.63T1.2T1.1T
Total Liabilities36.76T38.01T34.9T30.77T23.36T26.45T18.67T13.64T10.04T8.2T5.01T3.97T3.04T8.59T2.17T1.82T1.47T2.68T1.21T1.11T
Total Equity8.64T7.77T7.09T6.93T5.49T6.06T4.45T3.8T3.31T2.02T1.26T893.62B759.93B1.9T500.24B401.04B356.47B593.09B266.41B235.22B
Equity Growth %57.37%28.09%59.34%82.09%65.55%200.6%253.55%325.71%336.2%6.4%151.67%122.82%113.18%219.66%87.77%70.5%73.53%115.5%67.91%62.88%
Equity / Assets (Capital Ratio)19.02%16.97%16.89%18.38%19.02%18.65%19.37%21.8%24.82%19.75%20.09%18.39%20%18.08%18.72%18.07%19.48%18.13%18.05%17.51%
Return on Equity (ROE)0.81%-0.86%-1.25%2.78%2.81%12.71%4.07%16.12%14.48%-9.9%15.4%26.05%5.29%0.03%5.92%2.91%2.24%2.48%3.75%4.41%
Book Value per Share53762.5748353.6944155.9743126.8034164.0238039.1030077.7625706.6722399.2313631.318507.296038.515135.1212811.223380.312709.982408.794021.761800.211589.44
Tangible BV per Share51226.4745980.6041951.3541004.0232159.1436128.9928421.8824210.7021116.9612795.997989.345642.314821.9412000.793151.372518.782242.733741.311669.131469.20
Common Stock1.61B1.61B1.61B1.61B1.61B1.59B1.47B1.47B3.31T1.47B1.47B001.47B1.47B1.47B1.47B1.47B00
Additional Paid-in Capital3.44T797.66B797.66B797.66B797.66B697.39B17.28B17.28B017.28B17.28B0017.28B17.28B17.28B17.28B17.28B00
Retained Earnings253.91B170B4.35T4.21T4.22T3.76T2.95T2.48T0-216.09B0537.26B0-393.01B299.02B235.97B215.8B-112.87B156.48B0
Accumulated OCI4.94T4.47T1.94T1.92T3.55T1.62T1.49T1.31T01.5T2.23B337.6B01.55T182.46B146.32B121.91B469.85B91.17B0
Treasury Stock00000000000000000000
Preferred Stock00000000000000000000