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Other operating income (Tables)
12 Months Ended
Dec. 31, 2024
Other income1 [Abstract]  
Other Operating Income
202420232022
Adjustments and interest on miscellaneous receivables46,131,374 59,951,762 46,313,560 
Rental of safe deposit boxes22,306,092 17,572,045 19,836,171 
Debit and credit card commissions13,089,542 10,249,421 10,322,122 
Loans recovered11,846,785 14,994,770 22,798,028 
Punitive interest7,305,237 5,619,971 3,252,841 
Rent5,670,084 5,242,910 4,144,644 
Allowances reversed4,676,270 2,910,574 5,003,003 
Fees expenses recovered4,471,404 5,095,381 5,595,766 
Commission from syndicated transactions1,521,174 2,027,244 1,788,820 
Gain from the sale of non-current assets held for sale— — 3,092,539 
Income from asset sale in equity instruments— — 10,276,895 
Other operating income25,772,510 22,776,836 11,081,911 
                                                        TOTAL142,790,472 146,440,914 143,506,300