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Other operating income (Tables)
12 Months Ended
Dec. 31, 2025
Other income1 [Abstract]  
Summary of Other Operating Income
202520242023
Adjustments and interest on miscellaneous receivables47,907,049 60,684,923 78,865,374 
Rental of safe deposit boxes38,332,161 29,343,229 23,115,682 
Loans recovered33,031,118 15,584,214 19,725,329 
Debit and credit card commissions30,064,234 18,742,485 15,305,433 
Punitive interest27,479,487 9,609,897 7,392,962 
Reversal of impairment loss (Note 10.2)9,753,067 6,020,461 3,270,432 
Rent9,206,831 7,458,885 6,896,946 
Fees expenses recovered7,526,209 5,882,044 6,702,876 
Commission from syndicated transactions3,428,346 2,001,074 2,666,800 
Allowances reversed52,219 6,151,542 3,828,802 
Other operating income42,398,624 26,359,327 24,869,527 
                                                        TOTAL249,179,345 187,838,081 192,640,163