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MarketScreener Homepage  >  Equities  >  Buenos Aires Stock Exchange  >  Grupo Supervielle S.A.    SUPV   ARGRSU300079

GRUPO SUPERVIELLE S.A.

(SUPV)
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Grupo Supervielle S A : 3Q20 Financial Statements as of September 30, 2020

12/09/2020 | 04:19pm EDT

Condensed Interim Financial Statements

For the nine-month period ended on

September 30, 2020, presented on comparative basis in homogeneous currency

Contents

CONSOLIDATED CONDENSED INTERIM STATEMENT OF FINANCIAL POSITION............................................

2

CONSOLIDATED CONDENSED INTERIM STATEMENT OF COMPREHENSIVE INCOME .................................

4

CONSOLIDATED CONDENSED INTERIM STATEMENT OF CHANGES IN SHAREHOLDERS´ EQUITY..........

7

CONSOLIDATED CONDENSED INTERIM STATEMENT OF CASH FLOWS ............................................................

9

1. BASIS OF PREPARATION AND SIGNIFICANT ACCOUNTING POLICIES OF THE UNAUDITED

CONSOLIDATED CONDENSED INTERIM FINANCIAL STATEMENTS ..................................................................

11

2.

SEGMENT REPORTING .......................................................................................................................................

28

3.

FAIR VALUES .........................................................................................................................................................

31

4.

RELATED PARTY TRANSACTIONS..................................................................................................................

33

5.

COMPOSITION OF THE MAIN ITEMS OF THE CONSOLIDATED COMPREHENSIVE INCOME.......

34

6.

DIVIDENDS..............................................................................................................................................................

38

7.

INSURANCE ............................................................................................................................................................

38

8.

MUTUAL FUNDS ....................................................................................................................................................

38

9.

ADDITIONAL INFORMATION REQUIRED BY THE BCRA .........................................................................

39

10.

CONTRACT AS A FINANCIAL AGENT BY THE PROVINCE OF SAN LUIS .............................................

43

11.

FINANCIAL RISK FACTORS ...............................................................................................................................

43

12.

INTERNATIONAL FINANCING PROGRAMS ..................................................................................................

43

13.

IMPACT OF COVID-19 ON SOCIETY OPERATIONS .....................................................................................

43

SCHEDULE A - DEBT SECURITIES AT FAIR VALUE THROUGH PROFIT OR LOSS, OTHER DEBT

SECURITIES, EQUITY INSTRUMENTS...........................................................................................................................

46

SCHEDULE B - CLASSIFICATION OF LOANS AND OTHER FINANCING CREDIT ACCORDING TO STATUS

AND COLLATERAL RECEIVED .......................................................................................................................................

49

SCHEDULE C - CONCENTRATION OF LOANS AND OTHER FINANCING ............................................................

51

SCHEDULE D - BREAKDOWN OF TOTAL LOANS AND OTHER FINANCING ....................................................

52

SCHEDULE F - PROPERTY, PLANT AND EQUIPMENT..............................................................................................

53

SCHEDULE G - INTANGIBLE ASSETS ............................................................................................................................

54

SCHEDULE H - CONCENTRATION OF DEPOSITS ......................................................................................................

55

SCHEDULE I - BREAKDOWN OF FINANCIAL LIABILITIES FROM REMAINING TERMS ...............................

56

SCHEDULE L - ASSETS AND LIABILITIES IN FOREIGN CURRENCY....................................................................

57

SCHEDULE R - LOAN LOSS RISK PROVISIONS ..........................................................................................................

58

SEPARATE CONDENSED INTERIM STATEMENT OF FINANCIAL POSITION.....................................................

60

SEPARATE CONDENSED INTERIM STATEMENT OF COMPREHENSIVE INCOME ..........................................

61

EARNING PER SHARE ........................................................................................................................................................

62

SEPARATE CONDENSED INTERIM STATEMENT OF COMPREHENSIVE INCOME ..........................................

63

SEPARATE CONDENSED INTERIM STATEMENT OF CHANGES IN SHAREHOLDERS´ EQUITY...................

64

SEPARATE CONDENSED INTERIM STATEMENT OF CHANGES IN SHAREHOLDERS´ EQUITY...................

65

SEPARATE CONDENSED INTERIM STATEMENT OF CASH FLOW .......................................................................

66

1. BASIS OF PREPARATION OF THE UNAUDITED SEPARATE CONDENSED INTERIM FINANCIAL

STATEMENTS .......................................................................................................................................................................

67

2.

FAIR VALUES .........................................................................................................................................................

70

3.

INVESTMENT IN SUBSIDIARIES AND ASSOCIATES ...................................................................................

72

4. COMPOSITION OF THE MAIN ITEMS OF THE SEPARATE STATEMENT OF COMPREHENSIVE

INCOME..................................................................................................................................................................................

73

5.

RESTRICTED ASSETS ..........................................................................................................................................

75

6.

COMPANIES UNDER SECT. 33 OF CORPORATE LAW AND OTHER RELATED COMPANIES ..........

75

7.

LOAN AND DEBT ESTIMATED TERMS ...........................................................................................................

79

8.

CAPITAL STOCK ...................................................................................................................................................

79

9.

CASH FLOW STATEMENT AND EQUIVALENTS...........................................................................................

80

10.

SUBSEQUENT EVENTS ........................................................................................................................................

80

SCHEDULE A - OTHER DEBT SECURITIES ..................................................................................................................

81

SCHEDULE F - PROPERTY, PLANT AND EQUIPMENT..............................................................................................

82

SCHEDULE G - INTANGIBLE ASSETS ............................................................................................................................

83

SCHEDULE L - ASSETS AND LIABILITIES IN FOREIGN CURRENCY ...................................................................

84

Additional Information pursuant to Art, 12, Chapter III, Title IV of standards issued by the National Securities

Commission .............................................................................................................................................................................

85

INFORMATIVE REVIEW AS OF SEPTEMBER 30, 2020 ........................................................................................................

87

Consolidated Condensed Interim Financial Statements

For the nine-month period ended on

September 30 2020, presented on comparative basis in homogeneous currency

Name: Financial year:

Legal Address: Core Business:

1

GRUPO SUPERVIELLE S.A.

Grupo Supervielle S.A.

N° 42 started on January 1, 2020

Bartolomé Mitre 434, piso 5 Ciudad Autónoma de Buenos Aires

Carry out, on its own account or third parties' or related to third parties, in the country or abroad, financing activities through cash or instrument contributions to already-existing or to-be-set-up corporations, whether controlling such corporations or not, as well as the purchase and sale of securities, shares, debentures and any kind of property values, granting of fines and/or guarantees, set up or transfer of loans as guarantee, including real, or without it not including operations set forth by the Financial Entities Law and any other requiring public bidding.

Registration Number at the IGP:

Date of Registration at IGP:

Amendment of by-laws (last):

Expiration date of the Company's By-Laws: Corporations Article 33 Companies general Law

212,617

October 15, 1980

April 24, 2018 (Registration in progress)

October 15, 2079

Note 6 to Separate Condensed Interim Financial Statements

Composition of Capital Stock as of September 30, 2020

Shares

Capital Stock

Votes per

Subscribed

Integrated

Quantity

Class

N.V. $

in thousands

in thousands

share

of $

of $

61,738,188

A: Non endorsable, common shares

1

5

61,738

61,738

of a nominal value

394,984,134

B: Non endorsable, common shares

1

1

394,984

394,984

of a nominal value

456,722,322

456,722

456,722

This is an excerpt of the original content. To continue reading it, access the original document here.

Disclaimer

Grupo Supervielle SA published this content on 20 November 2020 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 09 December 2020 21:18:05 UTC


© Publicnow 2020
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Financials
Sales 2021 52 558 M 567 M 567 M
Net income 2021 12 740 M 137 M 137 M
Net Debt 2021 - - -
P/E ratio 2021 5,40x
Yield 2021 1,11%
Capitalization 23 042 M 249 M 249 M
Capi. / Sales 2021 0,44x
Capi. / Sales 2022 0,37x
Nbr of Employees 4 943
Free-Float 86,5%
Chart GRUPO SUPERVIELLE S.A.
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Grupo Supervielle S.A. Technical Analysis Chart | MarketScreener
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Income Statement Evolution
Consensus
Sell
Buy
Mean consensus SELL
Number of Analysts 4
Average target price 55,17 ARS
Last Close Price 50,45 ARS
Spread / Highest target 43,7%
Spread / Average Target 9,35%
Spread / Lowest Target -8,82%
EPS Revisions
Managers and Directors
NameTitle
Julio Patricio Supervielle Chairman & Chief Executive Officer
Mariano Biglia Chief Financial Officer
Sergio Mazzitello Chief Technology Officer
Esteban Nicolás D´Agostino Chief of Operations & Central Services
Moira Almar Compliance Officer
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