US Stock MarketDetailed Quotes

SUPV Grupo Supervielle

Watchlist
  • 16.670
  • +1.560+10.32%
Close Jan 2 16:00 ET
  • 16.900
  • +0.230+1.38%
Post 19:23 ET
1.46BMarket Cap18.20P/E (TTM)

Grupo Supervielle Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q3)Sep 30, 2024
(Q2)Jun 30, 2024
(Q1)Mar 31, 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
Assets
Cash cash equivalents and federal funds sold
182.88%792.83B
107.42%465.17B
1,188.22%1.07T
351.90%984.81B
351.90%984.81B
532.80%280.27B
373.41%224.27B
130.58%82.68B
48.33%217.93B
48.33%217.93B
-Cash and cash equivalents
669.76%772.51B
301.34%248.54B
301.33%231.31B
52.00%229.1B
52.00%229.1B
189.05%100.36B
53.83%61.93B
95.83%57.64B
137.53%150.72B
137.53%150.72B
-Money market investments
-88.71%20.32B
33.44%216.64B
3,229.09%833.82B
1,024.46%755.71B
1,024.46%755.71B
1,779.76%179.91B
2,180.98%162.35B
289.73%25.05B
-19.48%67.21B
-19.48%67.21B
Receivables
35.18%336.49B
110.08%321.01B
15.58%150.76B
-37.03%90.77B
-37.03%90.77B
142.24%248.92B
61.41%152.81B
134.12%130.44B
31.25%144.14B
31.25%144.14B
-Accounts receivable
-75.91%19.92B
-6.18%43.87B
-83.18%6.85B
----
----
209.30%82.68B
86.13%46.76B
659.84%40.75B
----
----
-Notes receivable
76.32%254.02B
169.96%242.56B
53.35%115.5B
-34.35%70.78B
-34.35%70.78B
121.44%144.07B
49.87%89.85B
78.60%75.32B
45.75%107.81B
45.75%107.81B
-Other receivables
182.19%62.56B
113.54%34.59B
97.66%28.4B
-44.97%19.99B
-44.97%19.99B
102.19%22.17B
68.74%16.2B
75.69%14.37B
118.32%36.33B
118.32%36.33B
Prepaid assets
254.46%12.64B
416.85%13.33B
383.67%11.7B
43.28%5.95B
43.28%5.95B
151.88%3.56B
85.60%2.58B
103.23%2.42B
169.66%4.15B
169.66%4.15B
Net loan
687.86%1.29T
571.34%965.45B
375.75%624.31B
-33.26%393.82B
-33.26%393.82B
52.03%163.65B
38.31%143.81B
16.36%131.23B
171.77%590.05B
171.77%590.05B
-Gross loan
653.72%1.33T
540.59%995.86B
348.66%647.26B
-34.52%411.27B
-34.52%411.27B
48.11%176.19B
38.86%155.46B
27.92%144.26B
165.37%628.11B
165.37%628.11B
-Allowance for loans and lease losses
208.35%38.68B
160.99%30.41B
76.00%22.94B
-54.15%17.45B
-54.15%17.45B
10.87%12.55B
45.92%11.65B
--13.04B
94.46%38.06B
94.46%38.06B
Securities and investments
137.31%1.03T
1,964.71%1.19T
29.00%395.09B
-63.22%344.46B
-63.22%344.46B
88.08%432.04B
-75.34%57.86B
62.66%306.26B
373.10%936.49B
373.10%936.49B
-Available for sale securities
137.31%1.03T
1,964.71%1.19T
29.00%395.09B
-63.22%344.46B
-63.22%344.46B
88.08%432.04B
-75.34%57.86B
62.66%306.26B
373.10%936.49B
373.10%936.49B
Long term equity investment
----
----
----
----
----
----
--448.93M
----
----
----
Derivative assets
-36.80%1.76B
229.96%4.23B
695.77%4.98B
312.34%3.8B
312.34%3.8B
1,047.30%2.78B
294.71%1.28B
299.58%625.77M
112.97%920.38M
112.97%920.38M
Net PPE
193.85%100.42B
243.99%90.33B
244.68%76.43B
-10.60%51.15B
-10.60%51.15B
99.35%34.17B
83.17%26.26B
79.84%22.18B
166.19%57.22B
166.19%57.22B
-Gross PPE
193.85%100.42B
243.99%90.33B
244.68%76.43B
-5.74%119.09B
-5.74%119.09B
99.35%34.17B
-10.62%26.26B
-10.87%22.18B
199.06%126.34B
199.06%126.34B
-Accumulated depreciation
----
----
----
1.71%-67.94B
1.71%-67.94B
----
----
----
-233.11%-69.12B
-233.11%-69.12B
Goodwill and other intangible assets
217.13%142.99B
265.48%121.93B
279.78%100.76B
-2.50%67.63B
-2.50%67.63B
134.92%45.09B
116.34%33.36B
104.14%26.53B
211.78%69.37B
211.78%69.37B
-Goodwill
169.16%54.48B
223.63%48.59B
237.87%40.98B
-12.89%27.03B
-12.89%27.03B
121.83%20.24B
100.70%15.01B
90.19%12.13B
189.91%31.03B
189.91%31.03B
-Other intangible assets
256.20%88.51B
299.73%73.34B
315.08%59.78B
5.91%40.61B
5.91%40.61B
146.77%24.85B
131.08%18.35B
117.57%14.4B
232.04%38.34B
232.04%38.34B
Defined pension benefit
----
----
----
41.26%547.97M
41.26%547.97M
--432.09M
--182.08M
--143.44M
185.84%387.91M
185.84%387.91M
Other assets
353.09%294.22B
-56.77%161.87B
222.40%141.72B
-4.86%102.11B
-4.86%102.11B
95.29%64.94B
1,409.89%374.43B
93.47%43.96B
193.95%107.33B
193.95%107.33B
Total assets
209.49%4T
223.23%3.34T
237.94%2.57T
-4.99%2.06T
-4.99%2.06T
129.51%1.29T
90.27%1.03T
70.56%761.08B
184.82%2.17T
184.82%2.17T
Liabilities
Total deposits
186.29%2.73T
160.83%2.07T
203.87%1.73T
-8.95%1.53T
-8.95%1.53T
125.52%954.2B
88.45%793.28B
66.87%569.51B
198.80%1.68T
198.80%1.68T
Federal funds purchased and securities sold under agreement to repurchase
15,650.54%115.44B
----
----
--940.33M
--940.33M
-68.42%732.93M
--877.62M
----
----
----
Payables
85.70%118.57B
894.62%393.26B
304.47%108.65B
-6.26%73.99B
-6.26%73.99B
166.23%63.85B
66.96%39.54B
95.08%26.86B
82.33%78.93B
82.33%78.93B
-Accounts payable
29.05%42.42B
1,885.78%332.37B
639.14%52.38B
7.02%34.74B
7.02%34.74B
256.50%32.87B
53.94%16.74B
115.99%7.09B
29.65%32.46B
29.65%32.46B
-Total tax payable
146.81%33.55B
158.21%26.16B
197.55%27.35B
-7.47%20.42B
-7.47%20.42B
131.98%13.6B
96.56%10.13B
116.86%9.19B
227.41%22.07B
227.41%22.07B
-Other payable
145.04%42.6B
174.10%34.73B
173.28%28.93B
-22.83%18.83B
-22.83%18.83B
95.28%17.38B
65.52%12.67B
69.33%10.59B
111.96%24.4B
111.96%24.4B
Current accrued expenses
168.31%58.62B
202.20%48.86B
36.94%38.96B
-8.50%32.26B
-8.50%32.26B
128.30%21.85B
121.42%16.17B
374.49%28.45B
189.10%35.26B
189.10%35.26B
Current debt and capital lease obligation
----
----
----
-38.34%1.84B
-38.34%1.84B
----
----
----
86.48%2.99B
86.48%2.99B
-Current capital lease obligation
----
----
----
-38.34%1.84B
-38.34%1.84B
----
----
----
86.48%2.99B
86.48%2.99B
Trading liabilities
30,597.39%364.99M
-65.87%230.49M
22.92%2.55B
-90.87%607.9M
-90.87%607.9M
-99.70%1.19M
-70.80%675.27M
-48.25%2.07B
66.56%6.66B
66.56%6.66B
Long term provisions
1,172.01%50.02B
2,024.88%46.08B
1,689.82%39.07B
182.80%14.9B
182.80%14.9B
187.89%3.93B
105.93%2.17B
115.97%2.18B
195.99%5.27B
195.99%5.27B
Long term debt and capital lease obligation
1,262.73%28.14B
137.10%4.81B
16,744.08%3.81B
-72.18%1.01B
-72.18%1.01B
8.11%2.07B
3.51%2.03B
-98.59%22.61M
17.27%3.64B
17.27%3.64B
-Long term debt
--22.36B
----
----
----
----
----
----
----
-15.27%1.75B
-15.27%1.75B
-Long term capital lease obligation
180.10%5.78B
137.10%4.81B
16,744.08%3.81B
-46.48%1.01B
-46.48%1.01B
52.66%2.07B
43.48%2.03B
-97.87%22.61M
81.73%1.89B
81.73%1.89B
Non current deferred liabilities
869.59%17.06B
2,570.43%18.24B
945.12%6.01B
58.99%2.52B
58.99%2.52B
370.99%1.76B
153.77%683.11M
71.22%575.01M
231.86%1.59B
231.86%1.59B
Derivative product liabilities
--55.25M
--28M
----
----
----
----
----
--625K
----
----
Other liabilities
283.50%139.8B
251.60%110.11B
349.86%81.72B
-8.47%59.62B
-8.47%59.62B
94.90%36.45B
90.64%31.32B
8.56%18.16B
105.39%65.13B
105.39%65.13B
Total liabilities
200.49%3.26T
203.44%2.69T
210.46%2.01T
-8.63%1.72T
-8.63%1.72T
125.19%1.08T
87.09%886.74B
68.38%647.84B
184.59%1.88T
184.59%1.88T
Shareholders'equity
Share capital
-1.12%437.73M
-1.03%438.12M
0.00%442.67M
-0.39%442.67M
-0.39%442.67M
-2.16%442.67M
-3.08%442.67M
-3.08%442.67M
-2.70%444.41M
-2.70%444.41M
-common stock
-1.12%437.73M
-1.03%438.12M
0.00%442.67M
-0.39%442.67M
-0.39%442.67M
-2.16%442.67M
-3.08%442.67M
-3.08%442.67M
-2.70%444.41M
-2.70%444.41M
Paid-in capital
209.00%513.1B
3,340.27%457.59B
273.64%385.94B
-3.67%254.54B
-3.67%254.54B
129.54%166.05B
-77.57%13.3B
104.30%103.29B
211.41%264.23B
211.41%264.23B
Retained earnings
375.89%89.69B
937.05%72.07B
1,467.07%124.33B
241.17%44.67B
241.17%44.67B
409.86%18.85B
385.59%6.95B
-413.22%-9.09B
-324.49%-31.64B
-324.49%-31.64B
Less: Treasury stock
481.37%19.59B
572.78%16.82B
287.87%7.83B
28.61%2.22B
28.61%2.22B
702.85%3.37B
--2.5B
--2.02B
--1.73B
--1.73B
Gains losses not affecting retained earnings
1,822.12%90.49B
2,066.26%79.49B
17.39%10.25B
-42.24%15.99B
-42.24%15.99B
-28.59%4.71B
-28.71%3.67B
31.18%8.73B
115.12%27.69B
115.12%27.69B
Other equity interest
213.77%62.76B
-55.11%55.92B
299.01%47.1B
-1.29%27.96B
-1.29%27.96B
146.05%20B
1,792.58%124.58B
112.89%11.8B
194.61%28.33B
194.61%28.33B
Total stockholders'equity
256.53%736.89B
342.96%648.69B
395.10%560.22B
18.82%341.38B
18.82%341.38B
155.12%206.68B
112.06%146.44B
84.15%113.15B
186.35%287.32B
186.35%287.32B
Non controlling interests
450.89%904.26M
375.90%550.55M
411.78%458.21M
20.11%273.27M
20.11%273.27M
155.91%164.15M
110.18%115.69M
82.25%89.53M
185.48%227.51M
185.48%227.51M
Total equity
256.69%737.79B
342.99%649.24B
395.11%560.68B
18.82%341.65B
18.82%341.65B
155.12%206.85B
112.06%146.56B
84.15%113.24B
186.35%287.54B
186.35%287.54B
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
--
--
--
--
--
--
(Q3)Sep 30, 2024(Q2)Jun 30, 2024(Q1)Mar 31, 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
Assets
Cash cash equivalents and federal funds sold 182.88%792.83B107.42%465.17B1,188.22%1.07T351.90%984.81B351.90%984.81B532.80%280.27B373.41%224.27B130.58%82.68B48.33%217.93B48.33%217.93B
-Cash and cash equivalents 669.76%772.51B301.34%248.54B301.33%231.31B52.00%229.1B52.00%229.1B189.05%100.36B53.83%61.93B95.83%57.64B137.53%150.72B137.53%150.72B
-Money market investments -88.71%20.32B33.44%216.64B3,229.09%833.82B1,024.46%755.71B1,024.46%755.71B1,779.76%179.91B2,180.98%162.35B289.73%25.05B-19.48%67.21B-19.48%67.21B
Receivables 35.18%336.49B110.08%321.01B15.58%150.76B-37.03%90.77B-37.03%90.77B142.24%248.92B61.41%152.81B134.12%130.44B31.25%144.14B31.25%144.14B
-Accounts receivable -75.91%19.92B-6.18%43.87B-83.18%6.85B--------209.30%82.68B86.13%46.76B659.84%40.75B--------
-Notes receivable 76.32%254.02B169.96%242.56B53.35%115.5B-34.35%70.78B-34.35%70.78B121.44%144.07B49.87%89.85B78.60%75.32B45.75%107.81B45.75%107.81B
-Other receivables 182.19%62.56B113.54%34.59B97.66%28.4B-44.97%19.99B-44.97%19.99B102.19%22.17B68.74%16.2B75.69%14.37B118.32%36.33B118.32%36.33B
Prepaid assets 254.46%12.64B416.85%13.33B383.67%11.7B43.28%5.95B43.28%5.95B151.88%3.56B85.60%2.58B103.23%2.42B169.66%4.15B169.66%4.15B
Net loan 687.86%1.29T571.34%965.45B375.75%624.31B-33.26%393.82B-33.26%393.82B52.03%163.65B38.31%143.81B16.36%131.23B171.77%590.05B171.77%590.05B
-Gross loan 653.72%1.33T540.59%995.86B348.66%647.26B-34.52%411.27B-34.52%411.27B48.11%176.19B38.86%155.46B27.92%144.26B165.37%628.11B165.37%628.11B
-Allowance for loans and lease losses 208.35%38.68B160.99%30.41B76.00%22.94B-54.15%17.45B-54.15%17.45B10.87%12.55B45.92%11.65B--13.04B94.46%38.06B94.46%38.06B
Securities and investments 137.31%1.03T1,964.71%1.19T29.00%395.09B-63.22%344.46B-63.22%344.46B88.08%432.04B-75.34%57.86B62.66%306.26B373.10%936.49B373.10%936.49B
-Available for sale securities 137.31%1.03T1,964.71%1.19T29.00%395.09B-63.22%344.46B-63.22%344.46B88.08%432.04B-75.34%57.86B62.66%306.26B373.10%936.49B373.10%936.49B
Long term equity investment --------------------------448.93M------------
Derivative assets -36.80%1.76B229.96%4.23B695.77%4.98B312.34%3.8B312.34%3.8B1,047.30%2.78B294.71%1.28B299.58%625.77M112.97%920.38M112.97%920.38M
Net PPE 193.85%100.42B243.99%90.33B244.68%76.43B-10.60%51.15B-10.60%51.15B99.35%34.17B83.17%26.26B79.84%22.18B166.19%57.22B166.19%57.22B
-Gross PPE 193.85%100.42B243.99%90.33B244.68%76.43B-5.74%119.09B-5.74%119.09B99.35%34.17B-10.62%26.26B-10.87%22.18B199.06%126.34B199.06%126.34B
-Accumulated depreciation ------------1.71%-67.94B1.71%-67.94B-------------233.11%-69.12B-233.11%-69.12B
Goodwill and other intangible assets 217.13%142.99B265.48%121.93B279.78%100.76B-2.50%67.63B-2.50%67.63B134.92%45.09B116.34%33.36B104.14%26.53B211.78%69.37B211.78%69.37B
-Goodwill 169.16%54.48B223.63%48.59B237.87%40.98B-12.89%27.03B-12.89%27.03B121.83%20.24B100.70%15.01B90.19%12.13B189.91%31.03B189.91%31.03B
-Other intangible assets 256.20%88.51B299.73%73.34B315.08%59.78B5.91%40.61B5.91%40.61B146.77%24.85B131.08%18.35B117.57%14.4B232.04%38.34B232.04%38.34B
Defined pension benefit ------------41.26%547.97M41.26%547.97M--432.09M--182.08M--143.44M185.84%387.91M185.84%387.91M
Other assets 353.09%294.22B-56.77%161.87B222.40%141.72B-4.86%102.11B-4.86%102.11B95.29%64.94B1,409.89%374.43B93.47%43.96B193.95%107.33B193.95%107.33B
Total assets 209.49%4T223.23%3.34T237.94%2.57T-4.99%2.06T-4.99%2.06T129.51%1.29T90.27%1.03T70.56%761.08B184.82%2.17T184.82%2.17T
Liabilities
Total deposits 186.29%2.73T160.83%2.07T203.87%1.73T-8.95%1.53T-8.95%1.53T125.52%954.2B88.45%793.28B66.87%569.51B198.80%1.68T198.80%1.68T
Federal funds purchased and securities sold under agreement to repurchase 15,650.54%115.44B----------940.33M--940.33M-68.42%732.93M--877.62M------------
Payables 85.70%118.57B894.62%393.26B304.47%108.65B-6.26%73.99B-6.26%73.99B166.23%63.85B66.96%39.54B95.08%26.86B82.33%78.93B82.33%78.93B
-Accounts payable 29.05%42.42B1,885.78%332.37B639.14%52.38B7.02%34.74B7.02%34.74B256.50%32.87B53.94%16.74B115.99%7.09B29.65%32.46B29.65%32.46B
-Total tax payable 146.81%33.55B158.21%26.16B197.55%27.35B-7.47%20.42B-7.47%20.42B131.98%13.6B96.56%10.13B116.86%9.19B227.41%22.07B227.41%22.07B
-Other payable 145.04%42.6B174.10%34.73B173.28%28.93B-22.83%18.83B-22.83%18.83B95.28%17.38B65.52%12.67B69.33%10.59B111.96%24.4B111.96%24.4B
Current accrued expenses 168.31%58.62B202.20%48.86B36.94%38.96B-8.50%32.26B-8.50%32.26B128.30%21.85B121.42%16.17B374.49%28.45B189.10%35.26B189.10%35.26B
Current debt and capital lease obligation -------------38.34%1.84B-38.34%1.84B------------86.48%2.99B86.48%2.99B
-Current capital lease obligation -------------38.34%1.84B-38.34%1.84B------------86.48%2.99B86.48%2.99B
Trading liabilities 30,597.39%364.99M-65.87%230.49M22.92%2.55B-90.87%607.9M-90.87%607.9M-99.70%1.19M-70.80%675.27M-48.25%2.07B66.56%6.66B66.56%6.66B
Long term provisions 1,172.01%50.02B2,024.88%46.08B1,689.82%39.07B182.80%14.9B182.80%14.9B187.89%3.93B105.93%2.17B115.97%2.18B195.99%5.27B195.99%5.27B
Long term debt and capital lease obligation 1,262.73%28.14B137.10%4.81B16,744.08%3.81B-72.18%1.01B-72.18%1.01B8.11%2.07B3.51%2.03B-98.59%22.61M17.27%3.64B17.27%3.64B
-Long term debt --22.36B-----------------------------15.27%1.75B-15.27%1.75B
-Long term capital lease obligation 180.10%5.78B137.10%4.81B16,744.08%3.81B-46.48%1.01B-46.48%1.01B52.66%2.07B43.48%2.03B-97.87%22.61M81.73%1.89B81.73%1.89B
Non current deferred liabilities 869.59%17.06B2,570.43%18.24B945.12%6.01B58.99%2.52B58.99%2.52B370.99%1.76B153.77%683.11M71.22%575.01M231.86%1.59B231.86%1.59B
Derivative product liabilities --55.25M--28M----------------------625K--------
Other liabilities 283.50%139.8B251.60%110.11B349.86%81.72B-8.47%59.62B-8.47%59.62B94.90%36.45B90.64%31.32B8.56%18.16B105.39%65.13B105.39%65.13B
Total liabilities 200.49%3.26T203.44%2.69T210.46%2.01T-8.63%1.72T-8.63%1.72T125.19%1.08T87.09%886.74B68.38%647.84B184.59%1.88T184.59%1.88T
Shareholders'equity
Share capital -1.12%437.73M-1.03%438.12M0.00%442.67M-0.39%442.67M-0.39%442.67M-2.16%442.67M-3.08%442.67M-3.08%442.67M-2.70%444.41M-2.70%444.41M
-common stock -1.12%437.73M-1.03%438.12M0.00%442.67M-0.39%442.67M-0.39%442.67M-2.16%442.67M-3.08%442.67M-3.08%442.67M-2.70%444.41M-2.70%444.41M
Paid-in capital 209.00%513.1B3,340.27%457.59B273.64%385.94B-3.67%254.54B-3.67%254.54B129.54%166.05B-77.57%13.3B104.30%103.29B211.41%264.23B211.41%264.23B
Retained earnings 375.89%89.69B937.05%72.07B1,467.07%124.33B241.17%44.67B241.17%44.67B409.86%18.85B385.59%6.95B-413.22%-9.09B-324.49%-31.64B-324.49%-31.64B
Less: Treasury stock 481.37%19.59B572.78%16.82B287.87%7.83B28.61%2.22B28.61%2.22B702.85%3.37B--2.5B--2.02B--1.73B--1.73B
Gains losses not affecting retained earnings 1,822.12%90.49B2,066.26%79.49B17.39%10.25B-42.24%15.99B-42.24%15.99B-28.59%4.71B-28.71%3.67B31.18%8.73B115.12%27.69B115.12%27.69B
Other equity interest 213.77%62.76B-55.11%55.92B299.01%47.1B-1.29%27.96B-1.29%27.96B146.05%20B1,792.58%124.58B112.89%11.8B194.61%28.33B194.61%28.33B
Total stockholders'equity 256.53%736.89B342.96%648.69B395.10%560.22B18.82%341.38B18.82%341.38B155.12%206.68B112.06%146.44B84.15%113.15B186.35%287.32B186.35%287.32B
Non controlling interests 450.89%904.26M375.90%550.55M411.78%458.21M20.11%273.27M20.11%273.27M155.91%164.15M110.18%115.69M82.25%89.53M185.48%227.51M185.48%227.51M
Total equity 256.69%737.79B342.99%649.24B395.11%560.68B18.82%341.65B18.82%341.65B155.12%206.85B112.06%146.56B84.15%113.24B186.35%287.54B186.35%287.54B
Currency Unit ARSARSARSARSARSARSARSARSARSARS
Accounting Standards US-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAPUS-GAAP
Audit Opinions ------Unqualified Opinion------------
Heat List
US
Overall
Symbol
Price
% Chg

No Data