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FINANCIAL INSTRUMENTS - Categories of financial assets and financial liabilities (Details) - ARS ($)
$ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
FINANCIAL INSTRUMENTS      
Assets $ 440,474 $ 282,512  
Liabilities 2,590,421 1,834,704  
Net gain/(loss)      
Financial assets at amortized cost 63,196 18,143 $ 38,403
Financial liabilities at amortized cost (758,092) 63,960 159,397
Financial assets at fair value through profit or loss 88,770 (29,848) 4,288
Financial liabilities at amortized cost through profit or loss (31,136)    
Financial liabilities at fair value through profit or loss   (17,233) (17,124)
Total (637,262) 35,022 184,964
Categories of financial assets and financial liabilities      
Financial assets at amortized cost 24,823 14,216 8,025
Financial liabilities at amortized cost (22,142) (51,759) (134,267)
Financial assets at fair value through profit or loss 64,323 (2,283) 570
Total 67,004 (39,826) $ (125,672)
Financial liabilities at amortized cost, category      
FINANCIAL INSTRUMENTS      
Liabilities 2,588,828 1,832,419  
Financial liabilities at fair value through profit or loss, category      
FINANCIAL INSTRUMENTS      
Liabilities 1,593 3,412  
Fair value accounted through other comprehensive income      
FINANCIAL INSTRUMENTS      
Liabilities   (1,127)  
Financial assets at amortized cost, category      
FINANCIAL INSTRUMENTS      
Assets 293,361 222,655  
Financial assets at fair value through profit or loss, category      
FINANCIAL INSTRUMENTS      
Assets 145,127 58,867  
Financial assets at fair value through other comprehensive income, category      
FINANCIAL INSTRUMENTS      
Assets 1,986 990  
Trade payables      
FINANCIAL INSTRUMENTS      
Liabilities 357,768 278,946  
Trade payables | Financial liabilities at amortized cost, category      
FINANCIAL INSTRUMENTS      
Liabilities 357,768 278,946  
Borrowings      
FINANCIAL INSTRUMENTS      
Liabilities 2,128,069 1,461,091  
Borrowings | Financial liabilities at amortized cost, category      
FINANCIAL INSTRUMENTS      
Liabilities 2,128,069 1,461,033  
Borrowings | Financial liabilities at fair value through profit or loss, category      
FINANCIAL INSTRUMENTS      
Liabilities   1,185  
Borrowings | Fair value accounted through other comprehensive income      
FINANCIAL INSTRUMENTS      
Liabilities   (1,127)  
Leases liabilities      
FINANCIAL INSTRUMENTS      
Liabilities 88,645 89,987  
Leases liabilities | Financial liabilities at amortized cost, category      
FINANCIAL INSTRUMENTS      
Liabilities 88,645 89,987  
Other Liabilities      
FINANCIAL INSTRUMENTS      
Liabilities 15,939 4,680  
Other Liabilities | Financial liabilities at amortized cost, category      
FINANCIAL INSTRUMENTS      
Liabilities 14,346 2,453  
Other Liabilities | Financial liabilities at fair value through profit or loss, category      
FINANCIAL INSTRUMENTS      
Liabilities 1,593 2,227  
Cash and cash equivalent      
FINANCIAL INSTRUMENTS      
Assets 159,774 124,725  
Cash and cash equivalent | Financial assets at amortized cost, category      
FINANCIAL INSTRUMENTS      
Assets 126,516 99,563  
Cash and cash equivalent | Financial assets at fair value through profit or loss, category      
FINANCIAL INSTRUMENTS      
Assets 33,258 25,162  
Investments      
FINANCIAL INSTRUMENTS      
Assets 123,969 26,074  
Investments | Financial assets at amortized cost, category      
FINANCIAL INSTRUMENTS      
Assets 12,110    
Investments | Financial assets at fair value through profit or loss, category      
FINANCIAL INSTRUMENTS      
Assets 111,859 26,074  
Trade receivables      
FINANCIAL INSTRUMENTS      
Assets 133,120 117,507  
Trade receivables | Financial assets at amortized cost, category      
FINANCIAL INSTRUMENTS      
Assets 133,120 117,507  
Other receivables      
FINANCIAL INSTRUMENTS      
Assets 23,611 14,206  
Other receivables | Financial assets at amortized cost, category      
FINANCIAL INSTRUMENTS      
Assets 21,615 5,585  
Other receivables | Financial assets at fair value through profit or loss, category      
FINANCIAL INSTRUMENTS      
Assets 10 7,631  
Other receivables | Financial assets at fair value through other comprehensive income, category      
FINANCIAL INSTRUMENTS      
Assets $ 1,986 $ 990