US Stock MarketDetailed Quotes

GGAL Grupo Financiero Galicia

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  • 34.680
  • +1.565+4.73%
Close Aug 23 16:00 ET
  • 34.680
  • 0.0000.00%
Post 20:02 ET
4.13BMarket Cap14.34P/E (TTM)

Grupo Financiero Galicia Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q3)Sep 30, 2023
(Q2)Jun 30, 2023
(Q1)Mar 31, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
Assets
Cash cash equivalents and federal funds sold
373.17%2.59T
80.56%3.17T
80.56%3.17T
--740.24B
--548.27B
--495.24B
104.29%1.75T
104.29%1.75T
140.52%858.32B
140.52%858.32B
-Cash and cash equivalents
373.17%2.59T
43.21%2T
43.21%2T
--740.24B
--548.27B
--495.24B
201.34%1.39T
201.34%1.39T
74.67%462.49B
74.67%462.49B
-Money market investments
----
225.27%1.17T
225.27%1.17T
----
----
----
-9.12%359.75B
-9.12%359.75B
329.93%395.83B
329.93%395.83B
Receivables
----
-22.01%1.02T
-22.01%1.02T
----
----
----
174.55%1.31T
174.55%1.31T
77.19%477.36B
77.19%477.36B
-Accounts receivable
----
0.36%167.6B
0.36%167.6B
----
----
----
192.05%166.99B
192.05%166.99B
60.18%57.18B
60.18%57.18B
-Notes receivable
----
-27.54%703.86B
-27.54%703.86B
----
----
----
156.42%971.36B
156.42%971.36B
74.56%378.82B
74.56%378.82B
-Other receivables
----
-12.50%150.71B
-12.50%150.71B
----
----
----
316.44%172.24B
316.44%172.24B
147.59%41.36B
147.59%41.36B
Prepaid assets
----
-1.20%32.64B
-1.20%32.64B
----
----
----
230.27%33.04B
230.27%33.04B
133.92%10B
133.92%10B
Net loan
248.25%6.43T
-19.09%2.2T
-19.09%2.2T
--2.28T
--1.85T
--1.46T
169.03%2.72T
169.03%2.72T
87.69%1.01T
87.69%1.01T
-Gross loan
248.25%6.43T
-20.49%2.35T
-20.49%2.35T
--2.28T
--1.85T
--1.46T
166.47%2.95T
166.47%2.95T
85.21%1.11T
85.21%1.11T
-Allowance for loans and lease losses
----
-38.16%133.18B
-38.16%133.18B
----
----
----
133.66%215.37B
133.66%215.37B
64.16%92.17B
64.16%92.17B
-Unearned income
----
22.05%-13.05B
22.05%-13.05B
----
----
----
-258.31%-16.74B
-258.31%-16.74B
-38.60%-4.67B
-38.60%-4.67B
Securities and investments
230.87%7.22T
-29.07%2.59T
-29.07%2.59T
--2.87T
--2.18T
--1.61T
457.30%3.65T
457.30%3.65T
131.49%655B
131.49%655B
-Available for sale securities
230.87%7.22T
-29.07%2.59T
-29.07%2.59T
--2.87T
--2.18T
--1.61T
457.30%3.65T
457.30%3.65T
131.49%655B
131.49%655B
Long term equity investment
108.95%2.5B
27.64%2.65B
27.64%2.65B
--1.29B
--1.2B
--1.07B
529.44%2.08B
529.44%2.08B
145.17%329.88M
145.17%329.88M
Derivative assets
----
240.54%35.29B
240.54%35.29B
----
----
----
326.60%10.36B
326.60%10.36B
-25.66%2.43B
-25.66%2.43B
Net PPE
274.46%654.74B
-1.50%355.26B
-1.50%355.26B
--234.53B
--174.85B
--139.79B
197.70%360.68B
197.70%360.68B
83.54%121.15B
83.54%121.15B
-Gross PPE
----
1.65%678.22B
1.65%678.22B
----
----
----
222.75%667.22B
222.75%667.22B
103.12%206.73B
103.12%206.73B
-Accumulated depreciation
----
-5.35%-322.96B
-5.35%-322.96B
----
----
----
-258.21%-306.54B
-258.21%-306.54B
-139.26%-85.58B
-139.26%-85.58B
Assets held for sale
750.00%17M
1,823.00%74.92M
1,823.00%74.92M
--29M
--2M
--2M
204.38%3.9M
204.38%3.9M
-97.11%1.28M
-97.11%1.28M
Goodwill and other intangible assets
277.58%221.38B
3.07%123.61B
3.07%123.61B
--76.65B
--58.63B
--46.35B
189.99%119.93B
189.99%119.93B
89.37%41.36B
89.37%41.36B
-Other intangible assets
----
3.07%123.61B
3.07%123.61B
----
----
----
189.99%119.93B
189.99%119.93B
89.37%41.36B
89.37%41.36B
Other assets
576.02%327.75B
-1.18%496.64B
-1.18%496.64B
--61.37B
--48.48B
--43.15B
509.43%502.59B
509.43%502.59B
135.55%82.47B
135.55%82.47B
Total assets
259.07%17.45T
-2.59%10.22T
-2.59%10.22T
--6.27T
--4.86T
--3.8T
220.87%10.49T
220.87%10.49T
105.21%3.27T
105.21%3.27T
Liabilities
Total deposits
191.43%8.74T
-14.81%5.56T
-14.81%5.56T
--3.83T
--3T
--2.29T
223.63%6.53T
223.63%6.53T
97.66%2.02T
97.66%2.02T
Federal funds purchased and securities sold under agreement to repurchase
----
--23.35B
--23.35B
----
----
----
----
----
--631.36M
--631.36M
Payables
----
30.53%750.55B
30.53%750.55B
----
----
----
260.96%575B
260.96%575B
163.72%159.3B
163.72%159.3B
-Accounts payable
----
3.28%144.45B
3.28%144.45B
----
----
----
--139.86B
--139.86B
----
----
-Total tax payable
----
118.39%410.54B
118.39%410.54B
----
----
----
219.03%187.99B
219.03%187.99B
49.54%58.92B
49.54%58.92B
-Other payable
----
-20.88%195.56B
-20.88%195.56B
----
----
----
146.23%247.16B
146.23%247.16B
377.92%100.38B
377.92%100.38B
Trading liabilities
----
20,214.74%49.49B
20,214.74%49.49B
----
----
----
65.25%243.59M
65.25%243.59M
--147.41M
--147.41M
Long term provisions
----
-36.16%20.39B
-36.16%20.39B
----
----
----
274.16%31.93B
274.16%31.93B
49.74%8.54B
49.74%8.54B
Long term debt and capital lease obligation
200.50%576.14B
-5.20%465.73B
-5.20%465.73B
--249.97B
--191.72B
--166B
206.45%491.26B
206.45%491.26B
86.64%160.31B
86.64%160.31B
-Long term debt
200.50%576.14B
-6.65%436.26B
-6.65%436.26B
--249.97B
--191.72B
--166B
207.93%467.36B
207.93%467.36B
91.38%151.77B
91.38%151.77B
-Long term capital lease obligation
----
23.26%29.46B
23.26%29.46B
----
----
----
180.05%23.9B
180.05%23.9B
29.59%8.54B
29.59%8.54B
Non current deferred liabilities
----
-26.37%20.98B
-26.37%20.98B
----
----
----
92.87%28.49B
92.87%28.49B
558.75%14.77B
558.75%14.77B
Employee benefits
----
-56.46%481.8M
-56.46%481.8M
----
----
----
376.01%1.11B
376.01%1.11B
70.03%232.49M
70.03%232.49M
Derivative product liabilities
----
131.99%12.24B
131.99%12.24B
----
----
----
280.31%5.28B
280.31%5.28B
1,499.68%1.39B
1,499.68%1.39B
Other liabilities
458.53%4.33T
39.17%1.29T
39.17%1.29T
--927.39B
--774.78B
--581.69B
197.20%928.56B
197.20%928.56B
119.58%312.44B
119.58%312.44B
Total liabilities
244.06%13.64T
-4.58%8.2T
-4.58%8.2T
--5.01T
--3.97T
--3.04T
221.13%8.59T
221.13%8.59T
103.06%2.68T
103.06%2.68T
Shareholders'equity
Share capital
----
0.00%1.47B
0.00%1.47B
----
----
----
0.00%1.47B
0.00%1.47B
0.00%1.47B
0.00%1.47B
-common stock
----
0.00%1.47B
0.00%1.47B
----
----
----
0.00%1.47B
0.00%1.47B
0.00%1.47B
0.00%1.47B
Paid-in capital
----
0.00%17.28B
0.00%17.28B
----
----
----
0.00%17.28B
0.00%17.28B
0.00%17.28B
0.00%17.28B
Retained earnings
----
45.02%-216.09B
45.02%-216.09B
----
----
----
-248.19%-393.01B
-248.19%-393.01B
2.99%-112.87B
2.99%-112.87B
Gains losses not affecting retained earnings
----
-3.58%1.5T
-3.58%1.5T
----
----
----
230.67%1.55T
230.67%1.55T
73.79%469.85B
73.79%469.85B
Other equity interest
----
0.00%716.52B
0.00%716.52B
----
----
----
229.65%716.52B
229.65%716.52B
112.15%217.36B
112.15%217.36B
Total stockholders'equity
325.70%3.8T
6.40%2.02T
6.40%2.02T
--1.26T
--893.62B
--759.93B
219.66%1.9T
219.66%1.9T
115.50%593.09B
115.50%593.09B
Non controlling interests
----
150,289.83%88.73M
150,289.83%88.73M
----
----
----
490.00%59K
490.00%59K
100.00%10K
100.00%10K
Total equity
325.70%3.8T
6.40%2.02T
6.40%2.02T
--1.26T
--893.62B
--759.93B
219.66%1.9T
219.66%1.9T
115.50%593.09B
115.50%593.09B
Currency Unit
ARS
ARS
ARS
ARS
ARS
ARS
ARS
ARS
ARS
ARS
Accounting Standards
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
US-GAAP
Audit Opinions
--
Unqualified Opinion
--
--
--
--
Unqualified Opinion
--
Unqualified Opinion
--
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q3)Sep 30, 2023(Q2)Jun 30, 2023(Q1)Mar 31, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021
Assets
Cash cash equivalents and federal funds sold 373.17%2.59T80.56%3.17T80.56%3.17T--740.24B--548.27B--495.24B104.29%1.75T104.29%1.75T140.52%858.32B140.52%858.32B
-Cash and cash equivalents 373.17%2.59T43.21%2T43.21%2T--740.24B--548.27B--495.24B201.34%1.39T201.34%1.39T74.67%462.49B74.67%462.49B
-Money market investments ----225.27%1.17T225.27%1.17T-------------9.12%359.75B-9.12%359.75B329.93%395.83B329.93%395.83B
Receivables -----22.01%1.02T-22.01%1.02T------------174.55%1.31T174.55%1.31T77.19%477.36B77.19%477.36B
-Accounts receivable ----0.36%167.6B0.36%167.6B------------192.05%166.99B192.05%166.99B60.18%57.18B60.18%57.18B
-Notes receivable -----27.54%703.86B-27.54%703.86B------------156.42%971.36B156.42%971.36B74.56%378.82B74.56%378.82B
-Other receivables -----12.50%150.71B-12.50%150.71B------------316.44%172.24B316.44%172.24B147.59%41.36B147.59%41.36B
Prepaid assets -----1.20%32.64B-1.20%32.64B------------230.27%33.04B230.27%33.04B133.92%10B133.92%10B
Net loan 248.25%6.43T-19.09%2.2T-19.09%2.2T--2.28T--1.85T--1.46T169.03%2.72T169.03%2.72T87.69%1.01T87.69%1.01T
-Gross loan 248.25%6.43T-20.49%2.35T-20.49%2.35T--2.28T--1.85T--1.46T166.47%2.95T166.47%2.95T85.21%1.11T85.21%1.11T
-Allowance for loans and lease losses -----38.16%133.18B-38.16%133.18B------------133.66%215.37B133.66%215.37B64.16%92.17B64.16%92.17B
-Unearned income ----22.05%-13.05B22.05%-13.05B-------------258.31%-16.74B-258.31%-16.74B-38.60%-4.67B-38.60%-4.67B
Securities and investments 230.87%7.22T-29.07%2.59T-29.07%2.59T--2.87T--2.18T--1.61T457.30%3.65T457.30%3.65T131.49%655B131.49%655B
-Available for sale securities 230.87%7.22T-29.07%2.59T-29.07%2.59T--2.87T--2.18T--1.61T457.30%3.65T457.30%3.65T131.49%655B131.49%655B
Long term equity investment 108.95%2.5B27.64%2.65B27.64%2.65B--1.29B--1.2B--1.07B529.44%2.08B529.44%2.08B145.17%329.88M145.17%329.88M
Derivative assets ----240.54%35.29B240.54%35.29B------------326.60%10.36B326.60%10.36B-25.66%2.43B-25.66%2.43B
Net PPE 274.46%654.74B-1.50%355.26B-1.50%355.26B--234.53B--174.85B--139.79B197.70%360.68B197.70%360.68B83.54%121.15B83.54%121.15B
-Gross PPE ----1.65%678.22B1.65%678.22B------------222.75%667.22B222.75%667.22B103.12%206.73B103.12%206.73B
-Accumulated depreciation -----5.35%-322.96B-5.35%-322.96B-------------258.21%-306.54B-258.21%-306.54B-139.26%-85.58B-139.26%-85.58B
Assets held for sale 750.00%17M1,823.00%74.92M1,823.00%74.92M--29M--2M--2M204.38%3.9M204.38%3.9M-97.11%1.28M-97.11%1.28M
Goodwill and other intangible assets 277.58%221.38B3.07%123.61B3.07%123.61B--76.65B--58.63B--46.35B189.99%119.93B189.99%119.93B89.37%41.36B89.37%41.36B
-Other intangible assets ----3.07%123.61B3.07%123.61B------------189.99%119.93B189.99%119.93B89.37%41.36B89.37%41.36B
Other assets 576.02%327.75B-1.18%496.64B-1.18%496.64B--61.37B--48.48B--43.15B509.43%502.59B509.43%502.59B135.55%82.47B135.55%82.47B
Total assets 259.07%17.45T-2.59%10.22T-2.59%10.22T--6.27T--4.86T--3.8T220.87%10.49T220.87%10.49T105.21%3.27T105.21%3.27T
Liabilities
Total deposits 191.43%8.74T-14.81%5.56T-14.81%5.56T--3.83T--3T--2.29T223.63%6.53T223.63%6.53T97.66%2.02T97.66%2.02T
Federal funds purchased and securities sold under agreement to repurchase ------23.35B--23.35B----------------------631.36M--631.36M
Payables ----30.53%750.55B30.53%750.55B------------260.96%575B260.96%575B163.72%159.3B163.72%159.3B
-Accounts payable ----3.28%144.45B3.28%144.45B--------------139.86B--139.86B--------
-Total tax payable ----118.39%410.54B118.39%410.54B------------219.03%187.99B219.03%187.99B49.54%58.92B49.54%58.92B
-Other payable -----20.88%195.56B-20.88%195.56B------------146.23%247.16B146.23%247.16B377.92%100.38B377.92%100.38B
Trading liabilities ----20,214.74%49.49B20,214.74%49.49B------------65.25%243.59M65.25%243.59M--147.41M--147.41M
Long term provisions -----36.16%20.39B-36.16%20.39B------------274.16%31.93B274.16%31.93B49.74%8.54B49.74%8.54B
Long term debt and capital lease obligation 200.50%576.14B-5.20%465.73B-5.20%465.73B--249.97B--191.72B--166B206.45%491.26B206.45%491.26B86.64%160.31B86.64%160.31B
-Long term debt 200.50%576.14B-6.65%436.26B-6.65%436.26B--249.97B--191.72B--166B207.93%467.36B207.93%467.36B91.38%151.77B91.38%151.77B
-Long term capital lease obligation ----23.26%29.46B23.26%29.46B------------180.05%23.9B180.05%23.9B29.59%8.54B29.59%8.54B
Non current deferred liabilities -----26.37%20.98B-26.37%20.98B------------92.87%28.49B92.87%28.49B558.75%14.77B558.75%14.77B
Employee benefits -----56.46%481.8M-56.46%481.8M------------376.01%1.11B376.01%1.11B70.03%232.49M70.03%232.49M
Derivative product liabilities ----131.99%12.24B131.99%12.24B------------280.31%5.28B280.31%5.28B1,499.68%1.39B1,499.68%1.39B
Other liabilities 458.53%4.33T39.17%1.29T39.17%1.29T--927.39B--774.78B--581.69B197.20%928.56B197.20%928.56B119.58%312.44B119.58%312.44B
Total liabilities 244.06%13.64T-4.58%8.2T-4.58%8.2T--5.01T--3.97T--3.04T221.13%8.59T221.13%8.59T103.06%2.68T103.06%2.68T
Shareholders'equity
Share capital ----0.00%1.47B0.00%1.47B------------0.00%1.47B0.00%1.47B0.00%1.47B0.00%1.47B
-common stock ----0.00%1.47B0.00%1.47B------------0.00%1.47B0.00%1.47B0.00%1.47B0.00%1.47B
Paid-in capital ----0.00%17.28B0.00%17.28B------------0.00%17.28B0.00%17.28B0.00%17.28B0.00%17.28B
Retained earnings ----45.02%-216.09B45.02%-216.09B-------------248.19%-393.01B-248.19%-393.01B2.99%-112.87B2.99%-112.87B
Gains losses not affecting retained earnings -----3.58%1.5T-3.58%1.5T------------230.67%1.55T230.67%1.55T73.79%469.85B73.79%469.85B
Other equity interest ----0.00%716.52B0.00%716.52B------------229.65%716.52B229.65%716.52B112.15%217.36B112.15%217.36B
Total stockholders'equity 325.70%3.8T6.40%2.02T6.40%2.02T--1.26T--893.62B--759.93B219.66%1.9T219.66%1.9T115.50%593.09B115.50%593.09B
Non controlling interests ----150,289.83%88.73M150,289.83%88.73M------------490.00%59K490.00%59K100.00%10K100.00%10K
Total equity 325.70%3.8T6.40%2.02T6.40%2.02T--1.26T--893.62B--759.93B219.66%1.9T219.66%1.9T115.50%593.09B115.50%593.09B
Currency Unit ARSARSARSARSARSARSARSARSARSARS
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions --Unqualified Opinion--------Unqualified Opinion--Unqualified Opinion--

Analysis

Analyst Rating

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Price Target

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