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Grupo Financiero Galicia S.A.

GGAL.BA

BUE

7680

ARS
-200.00(-2.54%)

As of today

Grupo Financiero Galicia S.A. fundamentals

Key ratios

P/E Ratio
8.23
Price/Book
1.78
Debt/Equity
32.09%
Return on Equity
19.87%
Dividend Yield
2.44%
EBITDA
2.40T

Statements Highlights

Period EndingDec 31, 2020Dec 31, 2021Dec 31, 2022Dec 31, 2023Dec 31, 2024
Total Revenue865,713,907,0002,864,480,262,0008,519,811,393,00013,894,554,864,00010,626,574,019,000
Gross Profit497,464,313,0001,630,817,885,0004,329,213,813,0006,881,053,748,0006,663,681,134,000
Operating Income136,125,855,000288,143,700,000444,453,275,0001,182,478,507,0002,211,223,176,000
Net Income74,008,952,000188,618,946,000329,383,656,000734,238,287,0001,624,744,805,000
Total Assets1,592,855,622,0003,268,713,477,00010,488,176,207,00022,246,858,046,00032,517,979,372,000
Total Current Liabilities27,606,785,00054,409,827,000282,524,086,000302,049,592,00019,248,617,312,000
Total Equity275,217,519,000593,085,292,0001,895,881,871,0002,017,950,982,0006,063,744,080,000
Free Cash Flow519,334,758,0001,655,212,226,0001,736,582,187,00019,046,963,0003,288,078,633,000
Cash from Operations66,183,090,0001,715,528,175,000-142,300,949,00091,685,908,000244,272,053,000
Cash from Investing-19,941,720,000-17,570,545,000-137,675,329,000-178,257,946,000-11,512,958,762,000
Cash from Financing-103,220,484,00051,127,754,00083,959,606,000-500,342,687,0007,185,524,077,000
Net Change in Cash184,681,694,000425,610,410,000237,425,081,000-864,220,891,000291,338,488,000

Dividends

Analyst Recomendations