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Other Operating Income
12 Months Ended
Dec. 31, 2019
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Other Operating Income
NOTE 34. OTHER OPERATING INCOME
 
The account breaks down as follows as of the indicated dates:
 
 
  
12.31.19
 
  
12.31.18
 
  
12.31.17
 
Fees for Product Package
  
 
4,175,578
 
  
 
4,200,971
 
  
 
4,312,840
 
Other Adjustments and Interest on sundry Credits
  
 
2,284,616
 
  
 
2,460,486
 
  
 
701,835
 
Rental of Safety Deposit Boxes
  
 
742,212
 
  
 
793,964
 
  
 
788,112
 
Other Financial Income
  
 
1,159,068
 
  
 
259,317
 
  
 
89,397
 
Other Income from Services
  
 
2,454,260
 
  
 
4,536,925
 
  
 
6,390,361
 
Income for sale of
non-currents
assets held for sale
(1)
  
 
7,107,613
 
  
 
754,383
 
  
 
—  
 
Others
  
 
3,208,802
 
  
 
3,053,074
 
  
 
3,061,037
 
 
  
 
 
 
  
 
 
 
  
 
 
 
Total
  
 
21,132,149
 
  
 
16,059,120
 
  
 
15,343,582
 
 
  
 
 
 
  
 
 
 
  
 
 
 
 
(1)
Includes the profit on sale of the interest in Prisma Medios de Pago S.A. See Note 22.