Grupo Financiero Galicia S.A. (GGAL)
NASDAQ: GGAL · Real-Time Price · USD
53.02
+2.65 (5.26%)
Jul 6, 2026, 2:46 PM EDT - Market open

Grupo Financiero Galicia Cash Flow Statement

Millions ARS. Fiscal year is Jan - Dec.
Fiscal Year
FY 2025FY 2024FY 2023FY 2019FY 2014
Period Ending
Dec '25 Dec '24 Dec '23 Dec '19 Dec '14
Net Income
303,8522,886,9601,555,54082,515-
Depreciation & Amortization
304,585247,400241,42910,407-
Provision for Credit Losses
---45,282-
Other Adjustments
5,189,9206,386,5506,914,490125,386-
Changes in Trading Assets
-529,765482,590-1,023,960-2,552-1,097
Changes in Accrued Interest and Accounts Receivable
1,566,760-1,763,80035,0674,133-
Changes in Trading Liabilities
50,844-154,878161,007-7,850-
Changes in Accounts Payable
-359,446547,571554,167-60,993-
Changes in Accrued Expenses
-370,2031,207,080183,514-591.55-
Changes in Other Operating Activities
-7,761,970-5,231,600-3,845,010-235,1988,612
Operating Cash Flow
-1,605,4204,607,8704,776,240-39,4637,515
Operating Cash Flow Growth
--3.52%--348.46%
Payments for Business Acquisitions
-2,7381,405,770-39,161--49.38
Capital Expenditures
-245,915-282,440-212,037-16,351-493.14
Sale of Property, Plant & Equipment
22,0958,85913,7955,507-
Other Investing Activities
3,6285,9412,908-47.58
Investing Cash Flow
-222,9291,138,130-234,496-10,845-494.94
Long-Term Debt Issued
4,061,8802,757,8001,285,660107,095-886.06
Long-Term Debt Repaid
-2,950,710-1,386,460-1,412,030-137,727-351.01
Net Long-Term Debt Issued (Repaid)
1,111,1701,371,350-126,375-30,631-1,237
Issuance of Common Stock
126,047--271.67-
Net Common Stock Issued (Repurchased)
126,047--271.67-
Common Dividends Paid
-329,134-808,951-513,563-5,468-38.6
Other Financing Activities
-34,285-18,408-18,256-2,056-28.45
Financing Cash Flow
873,798543,987-658,195-37,883-1,304
Effect of Exchange Rate Changes on Cash and Cash Equivalents
3,779,2901,619,7702,962,150-1,514
Net Cash Flow
2,824,7407,909,7506,845,69016,7677,230
Free Cash Flow
-1,851,3404,325,4304,564,200-55,8147,022
Free Cash Flow Growth
--5.23%--407.03%
FCF Margin
-29.02%42.08%47.45%-17.59%41.48%
Free Cash Flow Per Share
-11540800.0029165000.0030950200.00-391.197.07
SEC Filings: 10-K · 10-Q