Grupo Supervielle revenue and financials
$2,412.00Change from previous close: +1.82%Absolute change: +$43.00
In the fiscal year ended December 2025, Grupo Supervielle reported revenue of $1.14T (−28.96% year over year). The net loss was $37.57B.
Fiscal year ending in December. Sources and method on the page Methodology and sources.
At a glance
- Revenue growth
- −28.96%
- 2025 vs 2024
- Net margin
- -3.3%
- 2024: 8.6%
Financial data
Amounts in millions of ARS; per-share values in ARS; shares in millions.
| Item | 2025 | 2024 | 2023 | 2022 | 2021 |
|---|---|---|---|---|---|
| Operating cash flow | 478,397 | 682,555 | 452,472 | 11,245 | — |
| Depreciation and amortization | 73,412 | 69,174 | 91,472 | 68,482 | — |
| Capital expenditure | -72,807 | -75,494 | -70,904 | -56,703 | — |
| Investing cash flow | -66,579 | -60,832 | -54,112 | -51,230 | — |
| Financing cash flow | 484,507 | 47,902 | -63,421 | -85,258 | — |
| Dividends paid | -32,881 | -36,784 | 0.0 | -3,335 | — |
| Share repurchases | 0.0 | -13,046 | -2,460 | -9,380 | — |
| Debt issued | 459,316 | 68,527 | 99.0 | 0.0 | — |
| Debt repaid | -371,026 | -14,780 | -19,442 | -27,447 | — |
| Effect of exchange rates | 254,256 | 348,842 | 621,513 | 21,138 | — |
| Net change in cash | 896,325 | 669,625 | 334,940 | -125,242 | — |
| Free cash flow | 405,589 | 607,061 | 381,568 | -45,458 | — |
