Grupo Financiero Galicia S.A. (GGAL)
NASDAQ: GGAL · IEX Real-Time Price · USD
29.49
+0.42 (1.44%)
At close: Apr 25, 2024, 4:00 PM
30.06
+0.57 (1.93%)
After-hours: Apr 25, 2024, 7:28 PM EDT

Grupo Financiero Galicia Balance Sheet

Millions ARS. Fiscal year is Jan - Dec.
Year 2023202220212020201920182017201620152014 2013 - 2000
Cash & Equivalents
1,175,270447,544237,427175,423130,819143,30956,65961,16630,83516,959
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Short-Term Investments
00-0.160.48-170.1011.260-0.340.4
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Cash & Cash Equivalents
1,175,270447,544237,427175,423130,649143,30956,67061,16630,83516,960
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Cash Growth
162.60%88.50%35.34%34.27%-8.83%152.88%-7.35%98.37%81.81%34.70%
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Receivables
054,65921,23110,3932,7484,82437,16820,1018,0618,548
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Inventory
0-723,586.49-509,491.19-268,794.41-179,283.4700000
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Other Current Assets
2,329,468723,586509,491268,794179,28300000
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Total Current Assets
3,504,738502,203258,658185,817133,397148,13393,83981,26838,89625,508
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Property, Plant & Equipment
355,220115,82162,19643,73114,08810,8854,8553,8864,9251,807
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Long-Term Investments
37,9361,172,706591,816272,72595,47699,63038,79913,75415,57710,062
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Goodwill
00-0.440.180005.6415.3224.99
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Intangible Assets
122,23538,51321,23114,4695,5063,7443,5772,5772,0111,776
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Other Long-Term Assets
6,263,826000000000
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Total Long-Term Assets
6,779,2181,327,040675,243330,925115,070114,25947,23120,22222,52813,669
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Total Assets
10,283,9563,371,6381,681,6971,057,950664,125565,246341,013242,251161,748107,314
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Accounts Payable
0000002,1121,5621,214879.92
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Current Debt
333,206133,95261,48030,64446,874000013.07
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Other Current Liabilities
284,010276,29611,21716,05715,64200000
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Total Current Liabilities
617,216410,24872,69746,70162,51602,1121,5621,214892.99
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Long-Term Debt
135,036157,72377,95852,56167,46459,19828,31523,1963,30111,914
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Other Long-Term Liabilities
7,513,9746,3661,301,173825,529499,245449,4500000
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Total Long-Term Liabilities
7,649,009164,0901,379,131878,090566,709508,64728,31523,1963,30111,914
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Total Liabilities
8,266,226164,0901,379,131878,090566,709508,647301,712221,898147,26397,068
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Total Debt
491,989157,72377,95852,56167,46459,19828,31523,1963,30111,927
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Debt Growth
211.93%102.32%48.32%-22.09%13.96%109.07%22.07%602.70%-72.32%620.10%
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Common Stock
1,4751,4751,4751,4751,4271,42701,3001,3001,300
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Retained Earnings
1,280,392-174,777.58-89,040.33-102,255.27-57,261.062,82806,0184,3383,338
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Comprehensive Income
1,282,457498,902241,203179,09340,42224,968-2,078.8812,5378,3485,111
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Shareholders' Equity
2,017,652608,878302,566179,86094,63554,87839,30020,35314,48510,246
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Total Liabilities and Equity
10,283,9563,371,6381,681,6971,057,950664,125565,246341,013242,251161,748107,314
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Net Cash / Debt
683,281289,821159,469122,86263,18584,11228,35537,97027,5345,033
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Net Cash / Debt Growth
135.76%81.74%29.79%94.45%-24.88%196.64%-25.32%37.90%447.11%-53.97%
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Net Cash Per Share
5.7310.3410.1010.247.4058.95212.78292.02211.7538.70
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Working Capital
2,887,52191,955185,961139,11670,881148,13391,72779,70637,68224,615
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Book Value Per Share
16.9221.7219.1614.9911.0838.50294.91156.53111.4078.80
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Sources: The data provider is Financial Modeling Prep and the numbers are sourced from SEC filings.