Grupo Financiero Galicia revenue and financials
$6,165.00Change from previous close: +0.49%Absolute change: +$30.00
In the fiscal year ended December 2025, Grupo Financiero Galicia reported revenue of $6.35T (−30.07% year over year). Net income was $196.05B, a net margin of 3.1%.
Fiscal year ending in December. Sources and method on the page Methodology and sources.
At a glance
- Revenue growth
- −30.07%
- 2025 vs 2024
- Net income growth
- −90.65%
- 2025 vs 2024
- Net margin
- 3.1%
- 2024: 23.1%
Financial data
Amounts in millions of ARS; per-share values in ARS; shares in millions.
| Item | Q2 2026 | Q1 2026 | Q4 2025 | Q3 2025 | Q2 2025 | Q1 2025 | Q4 2024 | Q3 2024 | Q2 2024 | Q1 2024 | Q4 2023 | Q3 2023 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Operating cash flow | -2,790,797 | -219,006 | -6,231,486 | -834,021 | -1,871,513 | -1,914,397 | -10,889,059 | -1,878,417 | -3,500,209 | 185,338 | 10,982,801 | -1,866,198 |
| Depreciation and amortization | — | — | — | — | — | 62,027 | — | — | — | — | — | — |
| Capital expenditure | -77,656 | -70,965 | -67,920 | -98,292 | -44,675 | -133,457 | -104,351 | -181,128 | 54,606 | -54,606 | -82,001 | -38,725 |
| Investing cash flow | -59,211 | -68,451 | -419,200 | -40,567 | -73,150 | -95,782 | 1,312,908 | -62,656 | -59,040 | -53,057 | -99,428 | -40,066 |
| Financing cash flow | 2,399,664 | -2,197,995 | 3,719,160 | 3,344,746 | 3,083,182 | 559,154 | 8,598,871 | 6,740,108 | 2,380,712 | 1,577,440 | -9,067,794 | 3,083,883 |
| Dividends paid | -204,579 | -122,219 | -128,608 | -111,102 | -119,425 | — | -58,927 | -247,031 | -502,993 | — | -61,038 | -144,369 |
| Debt issued | -504,987 | 1,732,206 | 1,480,316 | 1,076,558 | 1,294,566 | 715,333 | 1,673,581 | 409,997 | 326,068 | 348,158 | 413,846 | 348,072 |
| Debt repaid | -145,167 | -1,473,087 | -1,082,575 | -701,153 | -968,409 | -635,854 | -481,309 | -264,290 | -361,885 | -296,095 | -445,186 | -372,477 |
| Effect of exchange rates | 308,311 | — | 3,698,686 | -589,433 | 894,827 | 204,188 | 1,420,425 | -273,565 | 338,784 | 83,766 | 925,286 | 1,519,416 |
| Net change in cash | -331,738 | -3,755,721 | -57,543 | 1,317,812 | 1,226,808 | -1,856,743 | -381,840 | 3,671,570 | -2,045,721 | -1,118,498 | -489,558 | -859,242 |
| Free cash flow | -2,868,452 | -289,971 | -6,299,406 | -932,313 | -1,916,188 | -2,047,855 | -10,993,410 | -2,059,545 | -3,445,604 | 130,732 | 10,900,800 | -1,904,923 |
