US Stock MarketDetailed Quotes

GGAL Grupo Financiero Galicia

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  • 54.940
  • +3.150+6.08%
Close Nov 6 16:00 ET
  • 54.940
  • 0.0000.00%
Post 20:01 ET
6.54BMarket Cap7.96P/E (TTM)

Grupo Financiero Galicia Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(FY)Dec 31, 2023
(FY)Dec 31, 2022
(FY)Dec 31, 2021
(FY)Dec 31, 2020
(FY)Dec 31, 2019
(Q1)Mar 31, 2019
(FY)Dec 31, 2018
(Q4)Dec 31, 2018
(Q3)Sep 30, 2018
(Q2)Jun 30, 2018
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities
-7.08%1.67T
4.59%1.79T
217.53%1.72T
1,469.09%540.28B
-120.96%-39.46B
170.14%15.19B
1,463.10%188.24B
3,036.54%177.97B
372.11%17.76B
174.82%14.17B
Net income from continuing operations
166.05%543.01B
-29.17%204.1B
111.67%288.14B
64.97%136.13B
1,067.60%82.51B
180.52%12.56B
-69.21%7.07B
-159.01%-7.78B
62.20%6.3B
30.15%4.07B
Operating gains losses
----
----
----
----
----
-536.14%-15.68B
----
----
-240.84%-5.26B
13.49%-1.2B
Depreciation and amortization
-3.55%83.73B
-1.29%86.81B
261.04%87.94B
134.04%24.36B
200.82%10.41B
120.85%568.64M
56.24%3.46B
82.79%2.63B
7.64%295.43M
4.15%279.91M
Other non cashItems
57.52%2.22T
15.69%1.41T
486.19%1.22T
66.01%208.15B
470.33%125.39B
15.86%-4.17B
18.33%21.98B
15.86%38.54B
28.75%-3.99B
-44.70%-7.6B
Change in working capital
-5,472.95%-1.24T
-69.22%23.13B
-51.07%75.12B
154.39%153.52B
-305.85%-282.29B
176.39%15.08B
333.96%137.13B
362.71%119.16B
211.73%18.75B
217.72%18.97B
-Change in loans
12.12%546.94B
200.21%487.83B
176.30%162.5B
-309.07%-212.97B
589.89%101.87B
509.35%9.05B
72.47%-20.79B
75.22%-17.01B
417.76%6.85B
-26.59%-8.42B
-Change in other current assets
-216.53%-34.28B
-324.09%-10.83B
83.55%4.83B
276.32%2.63B
-107.82%-1.49B
-112.49%-536.2M
853.80%19.11B
1,184.42%19.18B
89.68%-48.94M
-74.53%225.32M
-Change in other current liabilities
618.59%75.61B
673.11%10.52B
628.02%1.36B
111.30%186.94M
91.91%-1.65B
-151.29%-550.76M
-600.07%-20.45B
-562.02%-21.39B
188.67%827.12M
-433.48%-961.93M
-Change in other working capital
-294.24%-1.83T
-396.31%-464.4B
-125.73%-93.57B
195.45%363.68B
-339.22%-381.01B
138.78%7.12B
936.57%159.27B
577.61%138.37B
82.38%11.12B
364.52%28.13B
Cash from discontinued operating activities
403.18%1.95B
Operating cash flow
-7.08%1.67T
4.59%1.79T
217.53%1.72T
1,469.09%540.28B
-120.96%-39.46B
180.60%17.14B
1,463.10%188.24B
3,035.99%177.97B
372.24%17.76B
172.78%13.78B
Investing cash flow
Cash flow from continuing investing activities
-40.57%-81.86B
-14.04%-58.23B
-156.05%-51.06B
-83.89%-19.94B
-44.39%-10.84B
206.84%1.51B
-26.13%-7.51B
-2.97%-5.04B
-360.87%-833.2M
8.70%-223.22M
Net investment purchase and sale
----
----
----
----
----
----
--0
--924.14M
--0
----
Net PPE purchase and sale
-23.99%-69.2B
0.99%-55.81B
-179.51%-56.37B
-85.98%-20.17B
-44.39%-10.84B
-62.44%-841.63M
-102.68%-7.51B
-128.09%-4.97B
-185.11%-1.61B
-24.02%-408.04M
Net business purchase and sale
-464.69%-13.67B
-143.43%-2.42B
-230.67%-994.5M
---300.76M
--0
--0
----
----
----
----
Net other investing changes
----
----
----
----
----
7,343.68%2.35B
----
----
-156.98%-218.88M
--185.07M
Cash from discontinued investing activities
Investing cash flow
-40.57%-81.86B
-14.04%-58.23B
-156.05%-51.06B
-83.89%-19.94B
-44.39%-10.84B
401.07%1.51B
-26.13%-7.51B
-12.18%-5.5B
-407.09%-1.3B
8.03%-206.59M
Financing cash flow
Cash flow from continuing financing activities
-373.66%-229.76B
64.22%83.96B
149.53%51.13B
-172.47%-103.22B
-330.86%-37.88B
-514.11%-5.69B
-20.36%16.41B
-74.31%3.16B
-151.45%-4.45B
1,028.94%16.33B
Net issuance payments of debt
-133.62%-50.49B
139.09%150.17B
164.60%62.81B
-197.47%-97.23B
-263.45%-32.69B
-537.07%-5.57B
529.01%20B
242.85%5.54B
-422.37%-4.01B
1,307.87%17.19B
Cash dividends paid
-170.75%-179.28B
-466.78%-66.21B
-95.12%-11.68B
-9.51%-5.99B
-52.35%-5.47B
----
-317.70%-3.59B
-351.00%-2.39B
--71.91M
----
Net other financing activities
----
----
----
----
--271.67M
-226.72%-128.91M
----
----
----
7,362.50%416.8M
Cash from discontinued financing activities
Financing cash flow
-373.66%-229.76B
64.22%83.96B
149.53%51.13B
-172.47%-103.22B
-330.86%-37.88B
-514.11%-5.69B
-20.36%16.41B
-74.31%3.16B
-151.45%-4.45B
1,028.94%16.33B
Net cash flow
Beginning cash position
6.10%4.13T
12.27%3.89T
273.31%3.47T
30.13%929.14B
158.36%714B
152.73%225.86B
25.07%276.36B
124.03%152.76B
108.31%114.85B
-2.34%71.71B
Current changes in cash
-25.51%1.36T
6.09%1.82T
311.30%1.72T
572.98%417.12B
-144.74%-88.19B
163.52%12.95B
23,364.86%197.14B
1,244.92%175.62B
-1.31%12B
242.96%29.91B
Effect of exchange rate changes
84.68%1.03T
107.90%559.89B
179.21%269.31B
-8.10%96.46B
11.47%104.96B
387.49%13.36B
758.31%94.16B
513.92%52.29B
2,814.65%25.9B
403.33%13.23B
End cash position
-20.92%3.27T
6.10%4.13T
249.62%3.89T
133.51%1.11T
0.84%476.99B
251.64%252.17B
133.03%473.03B
133.03%473.03B
124.03%152.76B
108.31%114.85B
Free cash flow
-8.25%1.59T
4.92%1.74T
218.72%1.66T
1,030.48%519.33B
-130.92%-55.81B
174.70%16.28B
1,058.94%180.52B
7,536.13%172.83B
415.67%16.11B
169.35%13.36B
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
--
--
--
Unqualified Opinion
--
--
--
(FY)Dec 31, 2023 (FY)Dec 31, 2022 (FY)Dec 31, 2021 (FY)Dec 31, 2020 (FY)Dec 31, 2019 (Q1)Mar 31, 2019 (FY)Dec 31, 2018 (Q4)Dec 31, 2018 (Q3)Sep 30, 2018 (Q2)Jun 30, 2018
Operating cash flow (Indirect Method)
Cash flow from continuing operating activities -7.08%1.67T 4.59%1.79T 217.53%1.72T 1,469.09%540.28B -120.96%-39.46B 170.14%15.19B 1,463.10%188.24B 3,036.54%177.97B 372.11%17.76B 174.82%14.17B
Net income from continuing operations 166.05%543.01B -29.17%204.1B 111.67%288.14B 64.97%136.13B 1,067.60%82.51B 180.52%12.56B -69.21%7.07B -159.01%-7.78B 62.20%6.3B 30.15%4.07B
Operating gains losses ---- ---- ---- ---- ---- -536.14%-15.68B ---- ---- -240.84%-5.26B 13.49%-1.2B
Depreciation and amortization -3.55%83.73B -1.29%86.81B 261.04%87.94B 134.04%24.36B 200.82%10.41B 120.85%568.64M 56.24%3.46B 82.79%2.63B 7.64%295.43M 4.15%279.91M
Other non cashItems 57.52%2.22T 15.69%1.41T 486.19%1.22T 66.01%208.15B 470.33%125.39B 15.86%-4.17B 18.33%21.98B 15.86%38.54B 28.75%-3.99B -44.70%-7.6B
Change in working capital -5,472.95%-1.24T -69.22%23.13B -51.07%75.12B 154.39%153.52B -305.85%-282.29B 176.39%15.08B 333.96%137.13B 362.71%119.16B 211.73%18.75B 217.72%18.97B
-Change in loans 12.12%546.94B 200.21%487.83B 176.30%162.5B -309.07%-212.97B 589.89%101.87B 509.35%9.05B 72.47%-20.79B 75.22%-17.01B 417.76%6.85B -26.59%-8.42B
-Change in other current assets -216.53%-34.28B -324.09%-10.83B 83.55%4.83B 276.32%2.63B -107.82%-1.49B -112.49%-536.2M 853.80%19.11B 1,184.42%19.18B 89.68%-48.94M -74.53%225.32M
-Change in other current liabilities 618.59%75.61B 673.11%10.52B 628.02%1.36B 111.30%186.94M 91.91%-1.65B -151.29%-550.76M -600.07%-20.45B -562.02%-21.39B 188.67%827.12M -433.48%-961.93M
-Change in other working capital -294.24%-1.83T -396.31%-464.4B -125.73%-93.57B 195.45%363.68B -339.22%-381.01B 138.78%7.12B 936.57%159.27B 577.61%138.37B 82.38%11.12B 364.52%28.13B
Cash from discontinued operating activities 403.18%1.95B
Operating cash flow -7.08%1.67T 4.59%1.79T 217.53%1.72T 1,469.09%540.28B -120.96%-39.46B 180.60%17.14B 1,463.10%188.24B 3,035.99%177.97B 372.24%17.76B 172.78%13.78B
Investing cash flow
Cash flow from continuing investing activities -40.57%-81.86B -14.04%-58.23B -156.05%-51.06B -83.89%-19.94B -44.39%-10.84B 206.84%1.51B -26.13%-7.51B -2.97%-5.04B -360.87%-833.2M 8.70%-223.22M
Net investment purchase and sale ---- ---- ---- ---- ---- ---- --0 --924.14M --0 ----
Net PPE purchase and sale -23.99%-69.2B 0.99%-55.81B -179.51%-56.37B -85.98%-20.17B -44.39%-10.84B -62.44%-841.63M -102.68%-7.51B -128.09%-4.97B -185.11%-1.61B -24.02%-408.04M
Net business purchase and sale -464.69%-13.67B -143.43%-2.42B -230.67%-994.5M ---300.76M --0 --0 ---- ---- ---- ----
Net other investing changes ---- ---- ---- ---- ---- 7,343.68%2.35B ---- ---- -156.98%-218.88M --185.07M
Cash from discontinued investing activities
Investing cash flow -40.57%-81.86B -14.04%-58.23B -156.05%-51.06B -83.89%-19.94B -44.39%-10.84B 401.07%1.51B -26.13%-7.51B -12.18%-5.5B -407.09%-1.3B 8.03%-206.59M
Financing cash flow
Cash flow from continuing financing activities -373.66%-229.76B 64.22%83.96B 149.53%51.13B -172.47%-103.22B -330.86%-37.88B -514.11%-5.69B -20.36%16.41B -74.31%3.16B -151.45%-4.45B 1,028.94%16.33B
Net issuance payments of debt -133.62%-50.49B 139.09%150.17B 164.60%62.81B -197.47%-97.23B -263.45%-32.69B -537.07%-5.57B 529.01%20B 242.85%5.54B -422.37%-4.01B 1,307.87%17.19B
Cash dividends paid -170.75%-179.28B -466.78%-66.21B -95.12%-11.68B -9.51%-5.99B -52.35%-5.47B ---- -317.70%-3.59B -351.00%-2.39B --71.91M ----
Net other financing activities ---- ---- ---- ---- --271.67M -226.72%-128.91M ---- ---- ---- 7,362.50%416.8M
Cash from discontinued financing activities
Financing cash flow -373.66%-229.76B 64.22%83.96B 149.53%51.13B -172.47%-103.22B -330.86%-37.88B -514.11%-5.69B -20.36%16.41B -74.31%3.16B -151.45%-4.45B 1,028.94%16.33B
Net cash flow
Beginning cash position 6.10%4.13T 12.27%3.89T 273.31%3.47T 30.13%929.14B 158.36%714B 152.73%225.86B 25.07%276.36B 124.03%152.76B 108.31%114.85B -2.34%71.71B
Current changes in cash -25.51%1.36T 6.09%1.82T 311.30%1.72T 572.98%417.12B -144.74%-88.19B 163.52%12.95B 23,364.86%197.14B 1,244.92%175.62B -1.31%12B 242.96%29.91B
Effect of exchange rate changes 84.68%1.03T 107.90%559.89B 179.21%269.31B -8.10%96.46B 11.47%104.96B 387.49%13.36B 758.31%94.16B 513.92%52.29B 2,814.65%25.9B 403.33%13.23B
End cash position -20.92%3.27T 6.10%4.13T 249.62%3.89T 133.51%1.11T 0.84%476.99B 251.64%252.17B 133.03%473.03B 133.03%473.03B 124.03%152.76B 108.31%114.85B
Free cash flow -8.25%1.59T 4.92%1.74T 218.72%1.66T 1,030.48%519.33B -130.92%-55.81B 174.70%16.28B 1,058.94%180.52B 7,536.13%172.83B 415.67%16.11B 169.35%13.36B
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 -- -- -- Unqualified Opinion -- -- --

Analysis

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Price Target

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