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Grupo Aval Acciones y Valores S.A
(NYSE:AVAL) 

AVAL stock logo

Grupo Aval Acciones y Valores S.A. provides a range of financial services and products to public and private sector customers in Colombia and Central America. The company offers deposit products and services, such as checking and savings accounts, and time deposits, as well as other deposits, includ...

Full Time Employees: 111,192
Sector: Financial Services
Industry: Banks-Regional

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Quarterly
Annual
    Unit: USD2025-11-14 2025-02-20 2024-08-15 2024-05-15 2024-03-05 2023-11-15 2023-08-15 2023-05-15 2023-03-06 2022-11-17 2022-08-11 2022-05-20 2022-03-22 2021-11-19 2021-08-12 2021-05-20 2021-03-12 2021-03-06 2020-08-31 2020-05-20 2020-03-18 2020-01-17 2019-11-21 2019-08-22 2019-05-23 2019-03-18 2018-11-16 2018-05-18 2018-03-22 2017-11-29 2017-09-01 2017-06-01 2017-03-28 2016-12-31 2016-11-30 2016-09-06 2016-06-07 2016-04-22 2015-12-31 2015-12-04 2015-06-05 2015-04-10 2015-01-27 2014-12-31 2014-12-19 2014-11-24 2014-10-21 2014-09-19 2014-09-03 2014-08-14 2014-08-01 2014-06-24 2014-06-20 2014-06-06 2014-05-29 2014-05-27 2014-05-05 2014-04-03 2014-03-10 2013-12-19 2013-12-04 2013-11-26 2013-10-17 2013-10-01 2013-09-18 2013-08-22 2013-07-24 2013-05-21 2013-04-24 2012-09-21 
                                                                          
      continuing operations
                                                                          
      interest income
                         1,421,200,000                                                 
      interest expense
         -5,702,244,000,000 -5,579,086,000,000 -5,459,500,000,000              -607,600,000                    -4,328,400,000,000    -3,160,000,000,000   -2,047,400,000,000                    -3,894,700,000,000  
      net interest income
         1,632,371,000,000 1,575,487,000,000 1,548,824,000,000          11,960,526,000,000    813,600,000       10,514,100,000,000 7,852,400,000,000 5,176,200,000,000  9,154,600,000,000  6,839,900,000,000 4,515,500,000,000  8,594,400,000,000  6,218.8  7,558,100,000,000    5,605,400,000,000   3,723,600,000,000                   1,876,200,000,000 6,310,300,000,000 1,712,800,000 
      net impairment loss on financial assets
         -1,172,295,000,000 -988,285,000,000 -786,489,000,000          -6,013,893,000,000    -313,100,000                                                 
      net interest income, after impairment losses
         460,076,000,000 587,202,000,000 762,335,000,000              500,500,000                                                 
      income from commissions and fees
         1,095,447,000,000 1,108,866,000,000 1,084,530,000,000          5,835,899,000,000    436,900,000                                                 
      expenses from commissions and fees
         -236,018,000,000 -224,977,000,000 -242,227,000,000          -742,476,000,000    -47,200,000                                                 
      net income from commissions and fees
         859,429,000,000 883,889,000,000 842,303,000,000          5,093,423,000,000    389,700,000       4,579,000,000,000 3,413,200,000,000 2,264,500,000,000  4,270,700,000,000  3,148,900,000,000 2,093,300,000,000                                   
      income from sales of goods and services
         2,542,426,000,000 2,675,797,000,000 2,927,482,000,000          9,144,789,000,000    684,700,000                                                 
      costs and expenses of sales goods and services
         -1,904,594,000,000 -2,056,571,000,000 -1,763,843,000,000          -6,321,488,000,000    -494,500,000                                                 
      gross profit from sales of goods and services
         637,832,000,000 619,226,000,000           2,823,301,000,000                                                     
      net trading loss
         -253,897,000,000 -783,145,000,000 -81,280,000,000                                                               
      net income from other financial instruments mandatorily at fair value through profit or loss
         76,579,000,000 76,579,000,000 93,949,000,000          252,355,000,000                                                     
      other income
         700,171,000,000 1,516,570,000,000 875,870,000,000          1,716,899,000,000    30,100,000                746,700,000,000  569.5  547,100,000,000    346,000,000,000   239,700,000,000                   104,700,000,000 618,500,000,000  
      other expenses
         -2,003,292,000,000 -2,089,168,000,000 -2,077,011,000,000          -10,652,751,000,000    -755,200,000                                                 
      net income before tax expense
         476,898,000,000 811,153,000,000 1,579,805,000,000          6,475,284,000,000    509,700,000                                                 
      income tax expense
         -176,223,000,000 -350,561,000,000 -532,551,000,000          -1,843,668,000,000    -128,400,000       1,752,800,000,000 1,312,600,000,000 841,800,000,000  2,056,900,000,000  1,580,300,000,000 1,043,200,000,000  1,879,000,000,000  1,435.4  -1,449,000,000,000    -1,095,600,000,000   -773,000,000,000                    -1,371,700,000,000 -381,100,000 
      net income from continuing operations
                                                                          
      discontinued operations
                                                                          
      net income from discontinued operations, net of tax
                                                                          
      net income
                         381,300,000                                                 
      yoy
                                                                          
      qoq
                                                                          
      net income attributable to owners of the parent
                                                                          
      net income for the period from continuing operations
         64,803,000,000 166,211,000,000 425,090,000,000                                                               
      net income for the period from discontinued operations, net of tax
                                                                          
      owners of the parent
                     2,349,521,000,000    213,700,000                                                 
      net income attributable to non-controlling interests
                                                                          
      non-controlling interests
                     2,282,095,000,000                                                     
      net income per share
                     105.45                                                     
      net income from sales of goods and services
           1,163,639,000,000                                                               
      net income from discontinued operations
                                                                          
      net income for the period from discontinued operations
                                                                          
      interest income:
                                                                          
      deposits in banks
                                                                          
      investments at amortized cost
                                                                          
      loans
                                                                          
      total interest income
                     20,222,790,000,000           18,741,800,000,000 14,119,100,000,000 9,457,400,000,000  17,547,000,000,000  12,926,900,000,000 8,420,200,000,000.001  14,345,900,000,000  10,361.2  11,886,500,000,000    8,765,400,000,000   5,771,000,000,000                   2,858,500,000,000 10,205,000,000,000 2,744,100,000 
      interest expense:
                                                                          
      deposits from customers
                                                                          
      financial obligations
                                                                          
      other financial obligations
                                                                          
      securities sold under repurchase agreements
                                                                          
      lease liabilities
                                                                          
      total interest expense
                                8,227,700,000,000.001 6,266,700,000,000 4,281,200,000,000  8,392,400,000,000  6,086,900,000,000 3,904,700,000,000  5,751,500,000,000  4,142.4                              -1,031,300,000 
      benefit from loan and interest losses
                                                                          
      credit risk of investments and interest bearing deposits
                                                                          
      benefit from account receivable losses
                                                                          
      interest income, net after provisions
                                                                          
      gains in financial instruments
                                                                          
      service charges
                                                                          
      commissions and other fees
                                                                          
      gain on foreign currency exchange
                                                                          
      impairment of assets held for sale
                                                                          
      total other income
                                1,908,800,000,000 1,312,800,000,000 835,900,000,000  2,599,500,000,000  2,024,800,000,000 1,450,800,000,000  2,660,400,000,000  1,916.1                               
      general and administrative expenses:
                                                                          
      salaries and employee benefits
                                         2,946,900,000,000  2,161.9  2,380,800,000,000    1,754,000,000,000   1,152,800,000,000                    -1,927,500,000,000  
      depreciation and amortization
                                521,400,000,000  255,400,000,000  480,800,000,000  333,500,000,000 212,200,000,000  488,300,000,000  355.8                               
      administrative
                                                                          
      occupancy and related expenses
                                                                          
      other operating expenses
                                121,400,000,000 66,700,000,000 49,600,000,000  100,000,000,000  123,900,000,000 77,300,000,000  136,200,000,000  439.7                               
      total general and administrative expenses
                                                                          
      income before income tax
                                                                          
      income tax
                                                                          
      net income continued operations
                                                                          
      gains from discontinued activities, net of income tax
                                                                          
      earnings per share data:
                                                                          
      earnings per share from continuing operations
                                                                          
      shares outstanding
                                                                          
      interest income calculated using the effective interest method
                                                                          
      loan portfolio
                     18,947,029,000,000                                                     
      investments in debt securities
                     1,275,761,000,000                                                     
      deposits
                                                                          
      checking accounts
                     -328,134,000,000           309,300,000,000  164,600,000,000  258,900,000,000  200,600,000,000 135,800,000,000  183,200,000,000  136.6  -169,200,000,000    -124,900,000,000   -80,200,000,000                    -159,200,000,000  
      savings accounts
                     -1,467,635,000,000                                                     
      time deposits
                     -3,663,358,000,000           3,560,500,000,000  1,848,400,000,000  3,413,500,000,000  2,475,000,000,000 1,548,900,000,000  2,222,800,000,000  1,616.6  -1,633,000,000,000    -1,167,000,000,000   -759,500,000,000                    -1,396,100,000,000  
      deposits - sum
                     -5,459,127,000,000                                                     
      interbank borrowings and overnight funds
                     -283,966,000,000           287,400,000,000  163,500,000,000  570,200,000,000  494,100,000,000 316,700,000,000                                   
      borrowings from banks and others
                     -860,468,000,000           770,000,000,000  372,500,000,000  575,700,000,000  369,100,000,000 255,700,000,000  672,400,000,000  377.6  -398,800,000,000    -292,700,000,000   -197,800,000,000                    -228,300,000,000  
      bonds issued
                     -1,531,565,000,000                                                     
      borrowing from development entities
                     -127,138,000,000                                                     
      financial obligations - sum
                     -2,803,137,000,000                                                     
      impairment (losses) recoveries on financial assets
                                                                          
      loans and other accounts receivable
                     -6,267,224,000,000                                                     
      other financial assets
                     -74,765,000,000                                                     
      recovery of charged-off financial assets
                     328,096,000,000                                                     
      net interest income, after loss allowance
                     5,946,633,000,000                                                     
      net trading income
                     1,295,424,000,000    138,400,000       561,400,000,000  315,600,000,000  724,700,000,000  487,000,000,000 333,800,000,000                                   
      net income for the year
                     4,631,616,000,000                                                     
      net income for the year attributable to:
                                                                          
      gross profit from sale of goods and services
                         190,200,000                                                 
      net income from other financial instruments mandatory at fair value through profit or loss
                         15,900,000                                                 
      net income attributable to:
                                                                          
      non-controlling interest
                         167,600,000       1,200,000,000,000 932,200,000,000 624,800,000,000  1,377,100,000,000  992,900,000,000 642,300,000,000                                  -257,700,000 
      loan portfolio interest
                                17,900,000,000,000 13,460,400,000,000 8,990,000,000,000  16,665,500,000,000  12,241,600,000,000 7,951,300,000,000                                   
      interests on investments in debt securities
                                841,900,000,000 658,600,000,000 467,500,000,000  881,500,000,000  685,300,000,000 468,900,000,000                                   
      savings deposits
                                1,979,000,000,000  1,073,600,000,000  2,139,800,000,000  1,522,800,000,000 980,600,000,000                                   
      total interest expenses on deposits
                                5,848,800,000,000  3,086,600,000,000  5,812,300,000,000  4,198,400,000,000 2,665,300,000,000  3,832,200,000,000  2,766.6                               
      borrowings
                                2,219,600,000,000  1,111,600,000,000  2,424,100,000,000  1,729,700,000,000 1,135,300,000,000  1,783,600,000,000  1,012.9                               
      bonds
                                1,162,200,000,000  575,600,000,000  1,278,300,000,000  866,400,000,000 562,900,000,000  770,600,000,000  415.1  -658,200,000,000    -479,600,000,000   -313,000,000,000                    -543,700,000,000  
      borrowings from development entities
                                159,300,000,000 121,600,000,000 83,000,000,000  156,000,000,000  158,900,000,000 104,100,000,000                                   
      impairment loss
                                4,024,000,000,000 2,823,900,000,000                                         
      impairment loss on loans and accounts receivable
                                4,119,300,000,000  1,902,000,000,000  3,004,200,000,000  2,142,300,000,000 1,446,600,000,000                                   
      recovery of charged-off assets
                                -264,600,000,000  -121,100,000,000  -290,400,000,000  -181,600,000,000 -110,600,000,000  218,700,000,000  164.1  189,200,000,000    137,600,000,000   85,500,000,000                   29,700,000,000 142,700,000,000  
      impairment loss on other assets
                                169,200,000,000 16,800,000,000                                         
      net interest income, after impairment loss
                                6,490,200,000,000 5,028,500,000,000                                         
      banking fees
                                3,793,700,000,000  1,869,600,000,000  3,593,300,000,000  2,681,500,000,000 1,802,700,000,000  3,078,800,000,000                                 
      trust activities
                                311,800,000,000  152,700,000,000  275,700,000,000  145,500,000,000 75,000,000,000                                   
      pension and severance fund management
                                926,800,000,000  468,300,000,000  824,100,000,000  630,900,000,000 419,900,000,000                                   
      bonded warehouse services
                                169,800,000,000 128,500,000,000 88,200,000,000  186,100,000,000  137,300,000,000 89,400,000,000                                   
      total income from commissions and fees
                                5,202,100,000,000 3,889,600,000,000 2,578,800,000,000  4,879,200,000,000  3,595,100,000,000 2,387,100,000,000                                   
      expenses for commissions and fees
                                623,100,000,000 476,400,000,000 314,300,000,000  608,500,000,000  446,300,000,000 293,800,000,000                                   
      net income from financial instruments designated at fair value
                                209,900,000,000  102,200,000,000  181,000,000,000  130,500,000,000 87,000,000,000                                   
      foreign exchange gains
                                424,500,000,000  194,800,000,000  517,900,000,000  533,600,000,000 397,200,000,000      1,283,900,000,000    276,900,000,000   -65,100,000,000                   116,400,000,000 -35,000,000,000  
      net gain on sale of investments
                                51,700,000,000    210,400,000,000  205,100,000,000 186,600,000,000                                   
      gain on the sale of non-current assets held for sale
                                13,600,000,000  7,000,000,000  28,400,000,000  24,100,000,000 19,500,000,000                                   
      income from non-consolidated investments
                                222,400,000,000  137,000,000,000  168,800,000,000  234,200,000,000 167,800,000,000  264,000,000,000                                 
      net gains on asset valuations
                                39,000,000,000  11,700,000,000  53,600,000,000                                      
      income from non-financial sector
                                757,000,000,000  300,000,000,000  923,400,000,000  649,300,000,000 425,900,000,000      329,500,000,000    220,700,000,000   133,700,000,000                   109,600,000,000 98,900,000,000  
      other operating income
                                400,600,000,000 264,500,000,000 170,600,000,000  697,000,000,000  378,500,000,000 253,800,000,000      1,125,400,000,000    818,600,000,000   490,300,000,000                   412,000,000,000 885,700,000,000 911,600,000 
      other incomes
                                                                          
      loss on the sale of non-current assets held for sale
                                7,000,000,000  5,400,000,000  7,700,000,000  6,200,000,000 3,700,000,000                                   
      personnel expenses
                                3,671,100,000,000  1,820,200,000,000  3,531,100,000,000  2,603,700,000,000 1,740,800,000,000                                   
      general and administrative expenses
                                4,513,100,000,000  2,243,000,000,000  4,409,200,000,000  3,262,800,000,000 2,278,900,000,000                                   
      total other incomes
                                8,834,000,000,000 6,544,000,000,000 4,373,600,000,000.001  8,528,799,999,999.999  6,330,100,000,000 4,313,000,000,000  7,721,600,000,000  5,731.8                               
      income before income tax expense
                                4,915,200,000,000 3,740,500,000,000 2,524,400,000,000  5,573,900,000,000  4,254,800,000,000 2,753,100,000,000                                   
      income from continued operations
                                3,162,400,000,000 2,427,900,000,000 1,682,600,000,000  3,517,000,000,000  2,674,500,000,000 1,709,800,000,000  3,345,700,000,000  2,193.6                               
      income from discontinued operations
                                    100,000,000  100,000,000                                    
      net income before non-controlling interest
                                3,162,400,000,000 2,427,900,000,000 1,682,600,000,000  3,516,900,000,000  2,674,400,000,000 1,709,800,000,000  3,345,700,000,000  2,193.6                               
      net income attributable to the owners of the parent company
                                1,962,400,000,000 1,495,700,000,000 1,057,800,000,000  2,139,900,000,000  1,681,500,000,000 1,067,500,000,000  2,041,400,000,000  1,348                               
      impairment loss on financial assets
                                  1,796,500,000,000  2,827,700,000,000  2,046,200,000,000 1,414,300,000,000                                   
      impairment loss on other financial assets
                                  15,600,000,000  113,900,000,000  85,500,000,000 78,300,000,000                                   
      net interest income, after impairment loss on financial assets
                                  3,379,700,000,000  6,326,900,000,000  4,793,800,000,000 3,101,200,000,000                                   
      income from commissions and fees1
                                                                          
      net gain on sale of investments2
                                  14,700,000,000                                        
      interest on loans and leases
                                         13,014,500,000,000  9,431.7                               
      changes in fair value of financial assets
                                         497,000,000,000  312.8                               
      interests on fixed income investments at amortized cost
                                         834,400,000,000  616.7                               
      saving deposits
                                         1,426,200,000,000  1,013.5  -1,284,300,000,000    -957,200,000,000   -609,400,000,000                    -1,094,000,000,000  
      deposits from financial institutions
                                                                          
      interbank and overnight funds
                                         340,600,000,000  220.1  196,300,000,000    139,000,000,000   89,100,000,000                   54,000,000,000 206,800,000,000  
      borrowings from rediscount banks
                                         135,700,000,000  362.9                               
      provisions for losses on loans and other impairments
                                                                          
      expenses for allowance for loan & lease losses and accrued interest
                                         2,127,800,000,000  1,512.2                               
      expenses for allowance for investments
                                         6,200,000,000  0.5                               
      impairment of foreclosed assets
                                         29,500,000,000  23.1                               
      total net provisions for losses on loans and other impairments
                                         1,944,800,000,000  1,371.7                               
      net interest income after provisions
                                         6,649,600,000,000  4,847.1  6,019,900,000,000    4,554,000,000,000   3,063,800,000,000                   1,552,700,000,000 5,393,000,000,000 1,482,600,000 
      fees and other services income
                                         3,636,300,000,000  2,597.6  3,162,800,000,000    2,312,700,000,000   1,544,200,000,000                   619,900,000,000 2,382,000,000,000  
      warehouse services
                                         167,300,000,000  123.6  194,400,000,000    143,000,000,000   93,200,000,000                   41,900,000,000 174,700,000,000  
      fiduciary activities
                                         235,600,000,000  176.1  217,100,000,000    163,500,000,000   109,100,000,000                   53,400,000,000 178,400,000,000  
      pension fees
                                         786,000,000,000                                 
      total fees and other services income
                                         4,267,700,000,000  3,085.5  3,737,400,000,000    2,726,200,000,000   1,811,400,000,000                   740,200,000,000 2,844,200,000,000  
      fees and other services expenses
                                         631,500,000,000  487.9  -574,700,000,000    -413,500,000,000   -267,200,000,000                    -462,100,000,000  
      hedging activities and foreign exchange gains
                                         517,900,000,000  298.9                               
      net gains on sales of investments
                                         4,500,000,000  4.4                               
      income from sales of non-current assets available for sale
                                         31,600,000,000  27                               
      income from the non-financial sector
                                         1,095,700,000,000  803.7                               
      payroll expenses
                                         3,112,300,000,000  2,276.5                               
      termination expenses
                                         51,900,000,000  29.2                               
      bonus plan payments
                                         113,500,000,000  85.4  113,100,000,000    84,700,000,000   63,200,000,000                    -95,100,000,000  
      administrative expenses
                                         3,681,600,000,000  2,656.6                               
      equity tax
                                         303,200,000,000                                 
      income before tax expense
                                         5,224,700,000,000  3,629                               
      non controlling interest
                                         -1,304,300,000,000  -845.6                               
      commissions from banking services
                                           1,511.1  1,794,000,000,000    1,302,800,000,000   864,700,000,000                   354,300,000,000 1,377,600,000,000  
      branch network services
                                           25.8  31,000,000,000    22,400,000,000   14,500,000,000                   7,000,000,000 27,400,000,000  
      credit and debit card fees
                                           591.2                               
      checking fees
                                           53.2  66,100,000,000    49,700,000,000   33,200,000,000                   15,800,000,000 71,900,000,000  
      pension plan management
                                           594.6  754,100,000,000    562,000,000,000   375,000,000,000                   135,800,000,000 486,500,000,000  
      other
                                           9.9  220,900,000,000    155,100,000,000   102,100,000,000                   46,800,000,000 171,600,000,000  
      equity method
                                           152.8                               
      dividends
                                           45.6                               
      gains on valuation of biological assets
                                           14.1                               
      losses from sales of non-current assets available for sale
                                           3.2                               
      interest on loans
                                             9,674,800,000,000    7,088,200,000,000   4,674,300,000,000                   2,125,700,000,000 8,046,000,000,000  
      interest on investment securities
                                             1,328,900,000,000    1,028,300,000,000   669,500,000,000                   500,400,000,000 1,299,000,000,000 361,800,000 
      financial leases
                                             686,400,000,000    509,900,000,000   338,100,000,000                   178,400,000,000 653,200,000,000  
      total interest expense on deposits
                                             -3,086,500,000,000    -2,249,100,000,000   -1,449,100,000,000                    -2,649,300,000,000  
      provisions for loan and financial lease losses, accrued interest and other receivables
                                             -1,675,000,000,000    -1,151,800,000,000   -721,400,000,000                    -1,041,800,000,000  
      benefit from investment securities, foreclosed assets and other assets
                                             -83,400,000,000    -60,100,000,000   -38,600,000,000                    -57,300,000,000  
      recovery of provisions for investments securities, foreclosed assets and other assets
                                             31,000,000,000    22,900,000,000   14,700,000,000                    39,100,000,000  
      total provisions
                                             -1,538,200,000,000    -1,051,400,000,000   -659,800,000,000                    -917,300,000,000  
      fees and other services income:
                                                                          
      credit card merchant fees
                                             459,800,000,000    327,700,000,000   219,600,000,000                   85,200,000,000 355,900,000,000  
      other operating income:
                                                                          
      gains on derivative operations
                                             -1,002,200,000,000    -74,800,000,000   174,700,000,000                    214,900,000,000  
      gains on sales of investments in equity securities
                                             33,200,000,000    13,000,000,000   11,300,000,000                   700,000,000 10,700,000,000  
      dividend income
                                             298,500,000,000    237,300,000,000   134,600,000,000                   180,700,000,000 210,100,000,000  
      total operating income
                                             10,308,000,000,000    7,685,200,000,000   5,098,300,000,000                   2,584,600,000,000 8,660,600,000,000  
      operating expenses:
                                                                          
      termination payments
                                             29,400,000,000    22,700,000,000   13,900,000,000                    -21,500,000,000  
      administrative and other incomes
                                             3,277,700,000,000    2,355,700,000,000   1,573,700,000,000                    -2,667,600,000,000  
      insurance on deposit
                                             225,500,000,000    167,400,000,000   111,200,000,000                    -185,300,000,000  
      charitable and other donation expenses
                                             11,300,000,000    8,900,000,000   3,400,000,000                    -12,700,000,000  
      depreciation
                                             373,800,000,000    274,900,000,000   181,000,000,000                    -296,600,000,000  
      goodwill amortization
                                             166,700,000,000    121,600,000,000   79,900,000,000                    -93,100,000,000  
      operating expenses
                                             6,578,200,000,000    4,789,800,000,000   3,179,000,000,000                    -5,299,500,000,000 -1,419,100,000 
      net operating income
                                             3,729,800,000,000    2,895,400,000,000   1,919,300,000,000                   1,212,300,000,000 3,361,100,000,000  
      non-operating income:
                                                                          
      non-operating income/(expense)
                                             263,100,000,000    171,300,000,000   105,100,000,000                   62,400,000,000 448,100,000,000  
      income before income tax expense and non- controlling interest
                                             3,992,900,000,000    3,066,600,000,000   2,024,400,000,000                    3,809,200,000,000  
      net income before minority interest
                                             2,543,900,000,000    1,971,000,000,000   1,251,400,000,000                   862,800,000,000 2,437,400,000,000  
      income attributable to minority interest
                                             875,200,000,000    716,100,000,000   432,100,000,000                   357,500,000,000 911,100,000,000  
      net income attributable to grupo aval shareholders
                                             1,668,700,000,000    1,255,000,000,000   819,300,000,000                   505,300,000,000 1,526,400,000,000  
      provisions for loan and financial lease losses, accrued
                                                                          
      interest and other receivables
                                                                          
      benefit from investment securities, foreclosed assets and
                                                                          
      other assets
                                                                          
      recovery of provisions for investments securities,
                                                                          
      foreclosed assets and other assets
                                                                       3,500,000,000   
      income before income tax expense and minority interest
                                                                       1,274,700,000,000   
      interest on loans and financial leases
                                                                          
      interest on interbank and overnight funds
                                                                         55,200,000 
      interest on deposits
                                                                         -694,800,000 
      interest on borrowings, bonds and others
                                                                         -336,500,000 
      provision for loans and other assets
                                                                         -230,200,000 
      non-operating income
                                                                         68,000,000 
      income before income tax expense and non-controlling interest
                                                                         1,043,100,000 
      income before non-controlling interest
                                                                         662,000,000 
      net income attributable to grupo aval shareholders´
                                                                          
      earnings per share
                                                                          
      weighted-average number of common and preferred fully paid shares outstanding
                                                                          
    Balance Sheets:
    Quarterly
    Annual
      Unit: USD2025-11-14 2025-08-14 2025-02-20 2024-11-14 2024-08-15 2024-03-05 2023-11-15 2023-08-15 2023-05-15 2023-03-06 2022-11-17 2022-08-11 2022-03-17 2022-01-31 2021-12-03 2021-11-19 2021-08-12 2021-05-20 2021-03-12 2021-03-06 2021-01-31 2020-11-20 2020-08-31 2020-03-06 2020-01-17 2019-11-21 2019-08-22 2019-03-18 2018-11-16 2018-09-30 2018-08-20 2018-05-18 2018-03-22 2017-12-31 2017-11-29 2017-09-01 2016-12-31 2016-11-30 2016-03-28 2015-12-31 2014-11-24 2014-09-03 2014-05-29 2014-04-10 2013-11-26 2013-10-01 2013-05-05 2013-04-24 2012-09-30 2012-09-21 2012-06-30 2012-05-21 2012-04-24 
                                                           
        net interest margin
      3.2  3.2    2,900,000,000 2,800,000,000  3,800,000,000 4.2 4,900,000,000   5,000,000,000 5,000,000,000 4,900,000,000 5,100,000,000   5.1 5,200,000,000   5.6 5,600,000,000 5,700,000,000 5,800,000,000  5,700,000,000 5,900,000,000   5,900,000,000 5,800,000,000  5,500,000,000 5,400,000,000               
        efficiency ratio
      51.2  54.2    51,500,000,000 50,000,000,000  45,800,000,000 42.2 39.6 47,600,000,000   45,700,000,000 45,100,000,000 44,700,000,000 46,000,000,000   47.3 49,100,000,000   46 45,100,000,000 43,100,000,000 43,700,000,000  46,800,000,000 45,900,000,000   46,500,000,000 46,400,000,000  45,700,000,000 47,300,000,000  50,300,000,000 50,700,000,000 50,500,000,000  49,200,000,000 48,300,000,000 50,400,000,000 51,300,000    50,100,000,000 51,300,000 
        90 days pdl / gross loans
      3.4     3,800,000,000 3,600,000,000  3,300,000,000 3.2 3.3 2,900,000,000   3,100,000,000 3,400,000,000 3,400,000,000 3,600,000,000   3.2 3,000,000,000                               
        provision expense / average gross loans
      1.9  2.2    2,100,000,000 1,900,000,000  1,500,000,000 1.5 1.6 1,900,000,000   1,900,000,000 2,100,000,000 2,200,000,000 3,000,000,000   2.8 2,700,000,000                               
        allowance / 90 days pdl
      1.31  1.25    1,390,000,000 1,430,000,000  1,550,000,000 1.59 1.61 1,700,000,000   1,640,000,000 1,540,000,000 1,550,000,000 1,520,000,000   1.48 1,530,000,000   1.53 1,530,000,000 1,580,000,000                          
        allowance / gross loans
      4.4     5,300,000,000 5,100,000,000  5,000,000,000 5.1 5.4 4,900,000,000   5,100,000,000 5,300,000,000 5,300,000,000 5,400,000,000   4.7 4,600,000,000                               
        charge-offs / average gross loans
       2.9    2,100,000,000 2,300,000,000  1,900,000,000 1.9 2,300,000,000   2,300,000,000 2,400,000,000 2,700,000,000 2,000,000,000   2.2 1,900,000,000                               
        total loans, net / total assets
      57  58    59,700,000,000 59,700,000,000  60,600,000,000 58.9 57.8 60,000,000,000   59,900,000,000 59,600,000,000 59,700,000,000 60,600,000,000   60.7 61,100,000,000                  59,900,000,000 60,600,000,000 60,500,000,000  61,000,000,000 59,700,000,000 60,600,000,000 60,700,000    59,900,000,000 60,700,000 
        deposits / total loans
      108.5  105.7    101,000,000,000 101,300,000,000  96,800,000,000 98.9 100.2 106,400,000,000   106,800,000,000 110,000,000,000 110,500,000,000 108,300,000,000   107.2 104,400,000,000                  107,500,000,000 108,100,000,000 107,800,000,000  104,300,000,000 108,200,000,000 108,300,000,000 105,100,000    106,700,000,000 105,100,000 
        equity / assets
      10.1  10.1    10,300,000,000 10,300,000,000  10,400,000,000 10.9 10.9 10,800,000,000   10,900,000,000 10,700,000,000 10,400,000,000 11,000,000,000   10.6 10,300,000,000   11.8 11,600,000,000 11,400,000,000 11,600,000,000  10,800,000,000 10,400,000,000   11,000,000,000 10,700,000,000  11,000,000,000 11,000,000,000               
        tangible equity ratio
      8.7  8.7    8,900,000,000 9,000,000,000  9,100,000,000 9.6 9.6 8,200,000,000   8,300,000,000 8,100,000,000 7,800,000,000 8,300,000,000   7.9 7,600,000,000   8.9 8,700,000,000 8,400,000,000 8,600,000,000  7,700,000,000 7,400,000,000   8,000,000,000 7,600,000,000  7,900,000,000 7,900,000,000  9,900,000,000 9,100,000,000 8,800,000,000  8,300,000,000 8,000,000,000 8,900,000,000 9,300,000    9,200,000,000 9,300,000 
        roaa
       0.7    800,000,000 1,000,000,000  1,600,000,000 2.4 2.9 1,600,000,000   1,700,000,000 1,900,000,000 1,800,000,000 1,500,000,000   1.4 1,300,000,000   2.1 2,100,000,000 2,200,000,000 2,000,000,000  1,800,000,000 1,600,000,000   1,400,000,000 1,500,000,000  1,700,000,000 1,600,000,000  1,600,000,000 1,600,000,000 1,500,000,000  2,100,000,000 2,200,000,000 1,900,000,000 2,100,000    2,400,000,000 2,100,000 
        roae
      10.4     5,300,000,000 7,200,000,000  14,000,000,000 20.7 25.9 15,300,000,000   15,900,000,000 16,700,000,000 15,400,000,000 11,700,000,000   11.4 10,400,000,000   17 17,700,000,000 17,800,000,000 17,200,000,000  16,300,000,000 15,300,000,000   12,900,000,000 13,800,000,000  15,200,000,000 14,300,000,000  13,500,000,000 13,600,000,000 11,700,000,000  18,000,000,000 18,100,000,000 17,000,000,000 17,800,000    21,500,000,000 17,800,000 
        shares outstanding
      23,743,475,754  23,743,475,754    23,743,475,754,000,000,000 23,743,475,754,000,000,000  23,743,475,754,000,000,000 23,743,475,754 23,743,475,754 22,281,017,159,000,000,000   22,281,017,159,000,000,000 22,281,017,159,000,000,000 22,281,017,159,000,000,000 22,281,017,159,000,000,000   22,281,017,159 22,281,017,159,000,000,000   22,281,017,159 22,281,017,159,000,000,000 22,281,017,159,000,000,000 22,281,017,159,000,000,000  22,281,017,159,000,000,000 22,281,017,159,000,000,000   22,281,017,159,000,000,000 22,281,017,159,000,000,000  22,281,017,159,000,000,000 22,281,017,159,000,000,000      18,551,766,453,000,000,000 18,551,766,453,000,000,000 20,178,287,315,000,000,000 18,551,766,453,000,000    18,551,766,453,000,000,000 18,551,766,453,000,000 
        common share price
      650  447    484,000,000,000 476,900,000,000  530,000,000,000 659 757 1,054,000,000,000   1,090,000,000,000 1,139,000,000,000 1,188,000,000,000 1,155,000,000,000   891 935,000,000,000   1,285 1,295,000,000,000 925,000,000,000 1,145,000,000,000  1,210,000,000,000 1,160,000,000,000   1,315,000,000,000 1,255,000,000,000  1,240,000,000,000 1,180,000,000,000      1,390,000,000,000 1,355,000,000,000 1,290,000,000,000 1,290,000,000    1,265,000,000,000 1,290,000,000 
        preferred share price
      655  446    514,500,000,000 486,000,000,000  570,000,000,000 580 750 1,059,000,000,000   1,119,000,000,000 1,083,000,000,000 1,144,000,000,000 1,194,000,000,000   898 830,000,000,000   1,300 1,285,000,000,000 999,000,000,000 1,165,000,000,000  1,230,000,000,000 1,165,000,000,000   1,330,000,000,000 1,255,000,000,000  1,260,000,000,000 1,215,000,000,000      1,390,000,000,000 1,375,000,000,000 1,275,000,000,000 1,300,000,000    1,310,000,000,000 1,300,000,000 
        bv/ eop shares in ps.
      775.4  735    689,900,000,000 693,500,000,000  693,500,000,000 706.2 691.6 1,032,900,000,000   1,002,600,000,000 963,000,000,000 914,500,000,000 927,100,000,000   934.1 894,900,000,000   866.9 821,800,000,000 798,400,000,000 758,300,000,000  710,500,000,000 670,700,000,000   713,500,000,000 696,700,000,000  680,000,000,000 700,200,000,000      493,400,000,000 482,600,000,000 581,200,000,000 489,600,000    439,300,000,000 489,600,000 
        eps
      58  42.8    27,600,000,000 24,900,000,000  107,300,000,000 122.6 106.8 148,000,000,000   113,100,000,000 78,100,000,000 35,500,000,000 105,400,000,000   76.9 45,900,000,000   104.1 70,700,000,000 130,700,000,000 92,500,000,000  57,400,000,000 26,800,000,000   67,100,000,000 47,500,000,000  75,500,000,000 96,000,000,000      66,700,000,000 45,000,000,000 86,000,000,000 82,300,000     82,300,000 
        p/e
      8.5  10.4    14,000,000,000 9,800,000,000  5,300,000,000 3.5 3.5 7,200,000,000   7,400,000,000 6,900,000,000 8,000,000,000 11,300,000,000   8.8 9,000,000,000   9.4 9,100,000,000 7,600,000,000 9,400,000,000  10,700,000,000 10,900,000,000   14,900,000,000 13,200,000,000  12,500,000,000 12,700,000,000      15,600,000,000 15,300,000,000 14,800,000,000 15,800,000     15,800,000 
        p/bv
      0.8  0.6    700,000,000 700,000,000  800,000,000 0.8 1.1 1,000,000,000   1,100,000,000 1,100,000,000 1,300,000,000 1,300,000,000   900,000,000   1.5 1,600,000,000 1,300,000,000 1,500,000,000  1,700,000,000 1,700,000,000   1,900,000,000 1,800,000,000  1,900,000,000 1,700,000,000      2,800,000,000 2,800,000,000 2,200,000,000 2,660,000    2,980,000,000 2,660,000 
        interest income
                                                           
        loan portfolio
       11,915,900,000,000  19,356,700,000,000 13,038,700,000,000 26,534,100,000,000                                                
        interests on investments in debt securities
       1,392,200,000,000  1,992,300,000,000 1,436,400,000,000 2,385,300,000,000                           841,900,000,000                     
        total interest income
       13,308,100,000,000  21,349,000,000,000 14,475,100,000,000 28,919,400,000,000                           18,741,800,000,000               10,205,000,000    2,415,500,000,000 10,205,000,000 
        interest expense
                                                     -3,894,700,000     -3,894,700,000 
        checking accounts
       117,300,000,000  200,600,000,000 137,200,000,000 253,000,000,000                           309,300,000,000    34,978,189,000,000                 
        time deposits
       4,375,800,000,000  7,287,100,000,000 4,949,500,000,000 10,007,800,000,000                           3,560,500,000,000    58,006,144,000,000                 
        savings deposits
       2,247,100,000,000  4,249,200,000,000 2,884,300,000,000 5,953,400,000,000                           1,979,000,000,000                     
        total interest expenses on deposits
       6,740,200,000,000  11,736,800,000,000 7,971,000,000,000 16,214,200,000,000                           5,848,800,000,000                     
        interbank borrowings and overnight funds
       766,900,000,000  1,294,600,000,000 827,600,000,000 1,856,300,000,000                   1,645,400,000,000     6,814,100,000,000   287,400,000,000 1,665,700,000   6,315,717,000,000   3,008,400,000,000          2,477,400,000,000 4,104,400,000,000   
        borrowings from banks and others
       821,700,000,000  1,312,300,000,000 899,700,000,000 1,810,700,000,000                   6,508,600,000,000     20,610,800,000,000   770,000,000,000 6,101,000,000   17,906,633,000,000   5,953,600,000,000          10,491,200,000,000 5,396,000,000,000   
        bonds issued
       838,800,000,000  1,340,400,000,000 891,100,000,000 2,159,900,000,000                   6,170,400,000,000     20,140,300,000,000    6,401,500,000                    
        borrowings from development entities
       189,100,000,000  395,400,000,000 284,000,000,000 591,300,000,000                   1,056,700,000,000     3,646,800,000,000   159,300,000,000 1,004,700,000   2,725,695,000,000   795,900,000,000              
        total interest expenses on financial obligations
       2,616,500,000,000  4,342,700,000,000 2,902,400,000,000 6,418,200,000,000                                                
        total interest expense
       9,356,600,000,000  16,079,500,000,000 10,873,400,000,000 22,632,400,000,000                           8,227,700,000,000.001                     
        net interest income
       3,951,400,000,000  5,269,600,000,000 3,601,700,000,000 6,287,000,000,000                           10,514,100,000,000               6,310,300,000    1,524,600,000,000 6,310,300,000 
        impairment losses (recoveries) on financial assets
                                                           
        loans and other accounts receivable
       2,272,600,000,000  3,707,800,000,000 2,611,400,000,000 4,751,000,000,000                                                
        other financial assets
       1,800,000,000  3,100,000,000 3,300,000,000 -12,900,000,000                                                
        recovery of charged-off financial assets
       -405,500,000,000  -426,100,000,000 -268,400,000,000 -555,800,000,000                                                
        net impairment loss on financial assets
       1,868,900,000,000  3,284,900,000,000 2,346,300,000,000 4,182,400,000,000                                                
        net interest income, after impairment losses
       2,082,600,000,000  1,984,700,000,000 1,255,300,000,000 2,104,600,000,000                                                
        income from commissions and fees
         3,426,300,000,000 2,279,700,000,000 4,356,300,000,000                                                
        banking fees
       1,409,900,000,000  2,059,400,000,000 1,378,800,000,000 2,726,400,000,000                           3,793,700,000,000                     
        trust activities and management services
       271,500,000,000                                                    
        pension and severance fund management
       609,600,000,000  863,400,000,000 571,500,000,000 978,500,000,000                           926,800,000,000                     
        bonded warehouse services
       98,900,000,000  135,500,000,000 90,000,000,000 188,200,000,000                           169,800,000,000                     
        total income from commissions and fees
       2,389,900,000,000                               5,202,100,000,000                     
        expenses from commissions and fees
       579,400,000,000  751,600,000,000 486,800,000,000 1,003,800,000,000                                                
        net income from commissions and fees
       1,810,400,000,000  2,674,700,000,000 1,792,900,000,000 3,352,500,000,000                           4,579,000,000,000                     
        income from sales of goods and services
       5,198,400,000,000  7,825,300,000,000 5,218,800,000,000 11,223,600,000,000                                                
        costs and expenses from sales of goods and services
       4,025,200,000,000  5,856,800,000,000 3,773,600,000,000 8,005,600,000,000                                                
        gross profit from sales of goods and services
       1,173,200,000,000  1,968,500,000,000 1,445,200,000,000 3,218,000,000,000                                                
        total trading investment income
       891,100,000,000  1,187,800,000,000 447,600,000,000 1,665,100,000,000                                                
        total derivatives income
       -93,100,000,000  -109,200,000,000 132,800,000,000 -2,581,100,000,000                                                
        net trading income
       797,900,000,000  1,078,600,000,000 580,400,000,000 -916,000,000,000                           561,400,000,000                     
        net income from other financial instruments mandatory at fvtpl
       186,000,000,000  268,800,000,000 186,600,000,000 323,700,000,000                                                
        other income
                                                           
        foreign exchange gains
       292,300,000,000  -213,300,000,000 -230,100,000,000 2,253,900,000,000                           424,500,000,000                     
        net gain on sale of investments and oci realization
       -62,100,000,000  161,900,000,000 46,700,000,000 108,800,000,000                                                
        gain on the sale of non-current assets held for sale
       7,800,000,000  20,000,000,000 9,200,000,000 48,600,000,000                           13,600,000,000                     
        income from non-consolidated investments
       322,400,000,000  424,200,000,000 321,900,000,000 497,700,000,000                           222,400,000,000                     
        net gains on asset valuations
       21,800,000,000  35,100,000,000 25,200,000,000 74,900,000,000                           39,000,000,000                     
        other income from operations
       379,100,000,000  405,100,000,000 239,000,000,000 767,500,000,000                                                
        total other income
       961,300,000,000  833,000,000,000 411,900,000,000 3,751,300,000,000                           1,908,800,000,000                     
        other expenses
                                                           
        loss on the sale of non-current assets held for sale
       500,000,000  1,000,000,000 600,000,000 600,000,000                           7,000,000,000                     
        personnel expenses
       1,673,200,000,000  2,374,500,000,000 1,559,600,000,000 3,055,200,000,000                           3,671,100,000,000                     
        general and administrative expenses
       2,332,600,000,000  3,211,100,000,000 2,210,600,000,000 4,367,000,000,000                           4,513,100,000,000                     
        depreciation and amortization
       390,100,000,000  525,200,000,000 349,200,000,000 670,500,000,000                           521,400,000,000                     
        impairment loss on other assets
       2,700,000,000  4,500,000,000 2,600,000,000 2,900,000,000                           169,200,000,000                     
        other operating expenses
       164,600,000,000  157,600,000,000 86,400,000,000 250,300,000,000                           121,400,000,000                     
        total other expenses
       4,563,700,000,000  6,273,900,000,000 4,209,100,000,000.001 8,346,500,000,000                           8,834,000,000,000                     
        net income before income tax expense
       2,447,800,000,000  2,534,300,000,000 1,463,300,000,000 3,487,600,000,000                                                
        income tax expense
       762,900,000,000  883,300,000,000 540,900,000,000 1,310,400,000,000                           1,752,800,000,000               -1,371,700,000     -1,371,700,000 
        net income for the period
       1,684,900,000,000  1,651,100,000,000 922,400,000,000 2,177,100,000,000                                                
        net income for the period attibutable to:
                                                           
        non-controlling interest
       828,500,000,000  917,300,000,000 604,300,000,000 1,438,100,000,000   14,051,349,000,000                3,752,300,000,000     11,764,600,000,000   1,200,000,000,000 3,211,900,000   9,057,669,000,000   2,647,600,000,000          4,475,500,000,000 2,956,600,000,000   
        net income attributable to owners of the parent
       856,400,000,000  733,700,000,000 318,100,000,000 739,000,000,000                                                
        trust activities
         367,900,000,000 239,400,000,000 463,200,000,000                           311,800,000,000                     
        net income for the period attributable to:
                                                           
        net income for the period of continued operations
           2,177,100,000,000                                                
        net income for the period of discontinued operations
                                                           
        net income from continued operations attributable to owners of the parent
           739,000,000,000                                                
        net income from discontinued operations attributable to owners of the parent
                                                           
        assets
                                                           
        cash and cash equivalents
                   172,833,000,000      130,353,000,000 172,833,000,000   130,353,000,000 7,860,000,000,000     28,401,300,000,000    7,485,500,000      7,075,800,000,000        13,398,900,000    12,438,200,000,000 13,398,900,000 
        trading assets
              13,585,464,000,000                2,673,900,000,000     7,204,300,000,000                        
        investment securities
              31,969,074,000,000                7,059,900,000,000     23,030,200,000,000                  23,295,800,000    20,189,100,000,000 23,295,800,000 
        hedging derivative assets
              35,108,000,000                8,000,000,000     30,100,000,000                        
        loans
              179,102,900,000,000                                             
        other accounts receivable
              24,384,493,000,000     184,000,000      2,094,000,000 184,000,000   2,094,000,000             3,524,594,000,000                 
        non-current assets held for sale
              100,133,000,000                28,400,000,000     186,700,000,000    34,000,000   259,527,000,000   63,300,000,000              
        investments in associates and joint ventures
              1,191,374,000,000                284,800,000,000     982,700,000,000       1,146,647,000,000                 
        tangible assets
              7,247,770,000,000                2,591,100,000,000     6,588,500,000,000    2,230,000,000      2,068,300,000,000              
        concessions arrangements rights
              13,536,212,000,000                                             
        goodwill
              2,232,238,000,000                2,207,500,000,000     7,318,600,000,000    2,312,700,000   6,824,935,000,000   2,240,400,000,000        2,842,500,000  3,031,400,000,000 1,624,700,000,000 2,930,300,000,000 2,842,500,000 
        other intangibles
              2,082,686,000,000                                             
        income tax assets
              3,475,495,000,000                320,000,000,000     935,200,000,000    350,800,000      471,600,000,000              
        other assets
              607,366,000,000                111,700,000,000     462,900,000,000    523,700,000   589,415,000,000   473,800,000,000        1,128,600,000  912,000,000,000 941,900,000,000 8,020,600,000,000 1,128,600,000 
        total assets
                   25,484,838,000,000 24,578,012,000,000     23,245,835,000,000 25,484,838,000,000   23,245,835,000,000 78,749,500,000,000     259,675,200,000,000    79,268,900,000      68,798,600,000,000.01        127,663,000,000  96,309,300,000,000 66,641,500,000,000 114,640,900,000,000 127,663,000,000 
        liabilities and equity
                                                           
        liabilities
                                                           
        trading liabilities
                              239,300,000,000     811,300,000,000                        
        hedging derivative liabilities
              5,557,000,000                                             
        customer deposits
              178,352,401,000,000                50,050,500,000,000     164,359,500,000,000    51,905,200,000      43,167,500,000,000              
        financial obligations
              70,038,493,000,000                                             
        provisions
              1,142,008,000,000                211,800,000,000     695,300,000,000    232,100,000      190,600,000,000              
        income tax liabilities
              5,564,170,000,000                839,100,000,000     2,574,400,000,000    679,500,000      600,800,000,000              
        employee benefits
              886,891,000,000     2,684,000,000      2,208,000,000 2,684,000,000   2,208,000,000 390,100,000,000     1,264,900,000,000    414,900,000   1,097,594,000,000   324,600,000,000              
        other liabilities
              11,144,041,000,000                2,298,000,000,000     9,008,000,000,000    2,089,600,000   5,957,192,000,000   1,753,800,000,000        6,315,700,000  1,291,900,000,000 807,300,000,000 6,103,100,000,000 6,315,700,000 
        total liabilities
                   2,194,993,000,000 2,689,613,000,000     2,125,109,000,000 2,194,993,000,000   2,125,109,000,000 69,443,000,000,000     230,120,800,000,000    70,598,800,000   199,414,499,000,000   61,525,600,000,000          91,754,700,000,000 61,855,100,000,000   
        equity
                                                           
        owners of the parent:
                                                           
        subscribed and paid-in capital
                              6,400,000,000     22,300,000,000    7,500,000   22,281,000,000                 
        additional paid-in capital
              9,571,374,000,000     8,612,936,000,000      8,612,936,000,000 8,612,936,000,000   8,612,936,000,000 2,428,700,000,000     8,472,299,999,999.999    2,782,700,000   8,307,527,000,000   2,637,800,000,000          647,400,000,000 2,057,400,000,000   
        retained earnings
              7,428,429,000,000     10,357,987,000,000      9,324,442,000,000 10,357,987,000,000   9,324,442,000,000 2,755,800,000,000     8,598,299,999,999.999    2,404,300,000   6,522,128,000,000                 
        other comprehensive income
              -847,847,000,000                363,300,000,000     696,800,000,000                        
        equity attributable to owners of the parent
              16,175,700,000,000                5,554,200,000,000     17,789,700,000,000    5,458,200,000                    
        total equity
              30,227,049,000,000                9,306,500,000,000     29,554,300,000,000    8,670,100,000   24,659,222,000,000   7,273,100,000,000              
        total liabilities and equity
                              78,749,500,000,000     259,675,200,000,000    79,268,900,000      68,798,600,000,000.01              
        key ratios
                                                           
        current assets
                                                           
        trading securities
                   47,000,000      7,000,000 47,000,000   7,000,000                              
        accounts receivable from related parties
                   377,437,000,000      343,448,000,000 377,437,000,000   343,448,000,000                              
        other non-financial assets
                   3,000,000      222,000,000 3,000,000   222,000,000                              
        total current assets
                   550,504,000,000 1,026,981,000,000     476,124,000,000 550,504,000,000   476,124,000,000                              
        non-current assets
                                                           
        investments in subsidiaries and associates
                   24,928,600,000,000      22,761,045,000,000 24,928,600,000,000   22,761,045,000,000                              
        property and equipment
                   5,606,000,000      6,817,000,000 5,606,000,000   6,817,000,000                              
        deferred tax net
                   128,000,000      1,849,000,000 128,000,000   1,849,000,000                              
        total non-current assets
                   24,934,334,000,000 23,551,031,000,000     22,769,711,000,000 24,934,334,000,000   22,769,711,000,000                              
        liabilities and shareholders' equity
                                                           
        current liabilities
                                                           
        borrowings at amortized cost
                   4,147,000,000      2,644,000,000 4,147,000,000   2,644,000,000                              
        outstanding bonds at amortized cost
                   9,248,000,000      5,579,000,000 9,248,000,000   5,579,000,000                              
        accounts payable
                   504,197,000,000      435,219,000,000 504,197,000,000   435,219,000,000                          2,243,500,000,000 1,632,100,000,000   
        tax liabilities
                   23,210,000,000      26,990,000,000 23,210,000,000   26,990,000,000                              
        other non-financial liabilities
                   1,214,000,000      1,214,000,000 1,214,000,000   1,214,000,000                              
        total current liabilities
                   544,700,000,000 1,138,752,000,000     473,854,000,000 544,700,000,000   473,854,000,000                              
        long-term liabilities borrowings at amortized cost
                   525,773,000,000       525,773,000,000                                 
        outstanding bonds
                   1,124,520,000,000      1,124,520,000,000 1,124,520,000,000   1,124,520,000,000                              
        total long-term liabilities
                   1,650,293,000,000 1,550,861,000,000     1,651,255,000,000 1,650,293,000,000   1,651,255,000,000                              
        shareholders' equity subscribed and paid capital
                   22,281,000,000       22,281,000,000                                 
        net income
                   3,131,688,000,000      2,399,001,000,000 3,131,688,000,000   2,399,001,000,000                              
        other equity accounts
                   1,164,953,000,000      762,066,000,000 1,164,953,000,000   762,066,000,000                              
        total shareholders' equity
                   23,289,845,000,000 21,888,399,000,000     21,120,726,000,000 23,289,845,000,000   21,120,726,000,000                              
        total liabilities and shareholders' equity
                   25,484,838,000,000 24,578,012,000,000     23,245,835,000,000 25,484,838,000,000   23,245,835,000,000                              
        long-term liabilities
                                                           
        shareholders' equity
                                                     9,083,100,000    8,149,000,000,000 9,083,100,000 
        subscribed and paid capital
                         22,281,000,000    22,281,000,000                              
        assets:
                                                           
        total loans
                              50,160,200,000,000     168,685,700,000,000                        
        other accounts receivables
                              3,113,600,000,000     9,300,600,000,000    1,420,700,000      1,016,700,000,000              
        concession arrangement rights
                              2,008,800,000,000     5,514,500,000,000       2,805,314,000,000                 
        other intangible assets
                              321,600,000,000     1,033,900,000,000    284,400,000   735,043,000,000   194,600,000,000              
        liabilities:
                                                           
        hedging derivatives liabilities
                              33,200,000,000     195,500,000,000                        
        attributable to the owners of the parent
                                                           
        90 days pdl / total loans and leases
                               3.3 3,200,000,000 3,100,000,000                          
        provision expense / average loans and leases
                               2.2 2,100,000,000 2,400,000,000 2,100,000,000  1,900,000,000 2,300,000,000   2,600,000,000 2,500,000,000  2,000,000,000 2,100,000,000               
        allowance / total loans and leases
                               4,900,000,000 4,800,000,000 4,600,000,000  4,300,000,000 4,400,000,000   3,400,000,000 3,100,000,000  2,800,000,000 2,800,000,000               
        charge-offs / average loans and leases
                               2.2 2,400,000,000 1,900,000,000 1,900,000,000  1,900,000,000 1,800,000,000   1,700,000,000 1,700,000,000  1,600,000,000 1,600,000,000               
        total loans and leases, net / total assets
                               63.7 62,900,000,000 65,000,000,000 65,500,000,000  67,500,000,000 67,200,000,000   68,000,000,000 68,100,000,000  66,200,000,000 67,300,000,000               
        deposits / total loans and leases
                               99.8 99,800,000,000 97,400,000,000 96,800,000,000  96,000,000,000 97,200,000,000   94,800,000,000 95,600,000,000  95,000,000,000 95,400,000,000               
        30 days pdl / total loans and leases
                                  4,500,000,000  4,200,000,000 4,300,000,000   4,000,000,000 3,800,000,000  2,700,000,000 3,000,000,000               
        allowance / 30 days pdl
                                  1,040,000,000  1,030,000,000 1,040,000,000   850,000,000 830,000,000  1,040,000,000 950,000,000             142,100,000,000  
        loan portfolio interest
                                      17,900,000,000,000                     
        borrowings
                                      2,219,600,000,000                     
        bonds
                                      1,162,200,000,000    18,568,236,000,000                 
        impairment loss
                                      4,024,000,000,000                     
        impairment loss on loans and accounts receivable
                                      4,119,300,000,000                     
        recovery of charged-off assets
                                      -264,600,000,000                     
        net interest income, after impairment loss
                                      6,490,200,000,000                     
        expenses for commissions and fees
                                      623,100,000,000                     
        net income from financial instruments designated at fair value
                                      209,900,000,000                     
        net gain on sale of investments
                                      51,700,000,000                     
        income from non-financial sector
                                      757,000,000,000                     
        other operating income
                                      400,600,000,000               885,700,000    240,400,000,000 885,700,000 
        income before income tax expense
                                      4,915,200,000,000                     
        income from continued operations
                                      3,162,400,000,000                     
        income from discontinued operations
                                                           
        net income before non-controlling interest
                                      3,162,400,000,000                     
        net income attributable to the owners of the parent company
                                      1,962,400,000,000                     
        financial assets held for trading through profit or losses
                                       1,718,500,000      1,780,700,000,000              
        available for sale financial assets
                                       6,238,000,000      6,250,200,000,000              
        held to maturity investments
                                       971,500,000                    
        other financial assets at fair value through profit or loss
                                       765,000,000   2,072,674,000,000                 
        loans and receivables
                                       53,872,100,000      45,032,200,000,000              
        hedging derivatives
                                       18,500,000   128,479,000,000   10,700,000,000              
        concession arrangements rights
                                       1,043,600,000      759,100,000,000              
        derivatives instruments held for trading
                                       100,100,000      363,000,000,000              
        controlling interest
                                             4,625,400,000,000              
        accumulated other comprehensive income
                                       263,700,000   749,617,000,000   170,900,000,000              
        debt securities
                                          2,343,902,000,000                 
        equity securities
                                          1,747,614,000,000                 
        derivative instruments
                                          502,209,000,000                 
        available for sale financial assets:
                                                           
        investments held to maturity
                                          2,570,486,000,000   760,500,000,000              
        loans and receivables:
                                                           
        commercial
                                          93,149,211,000,000                 
        consumer
                                          46,927,997,000,000                 
        mortgages
                                          14,683,537,000,000                 
        microcredit
                                          399,431,000,000                 
        allowance for impairment losses
                                          -4,261,444,000,000                 
        total loans and receivables
                                          154,423,326,000,000                 
        tangible assets:
                                                           
        own-use property, plant and equipment net,
                                          5,901,325,000,000                 
        investment properties
                                          610,188,000,000                 
        biological assets
                                          48,002,000,000                 
        income tax assets:
                                                           
        current
                                          584,157,000,000                 
        deferred
                                          194,962,000,000                 
        financial liabilities held for trading
                                                           
        financial liabilities at amortized cost
                                                           
        customer deposits:
                                                           
        savings accounts
                                          50,573,924,000,000                 
        other
                                          328,798,000,000                 
        total financial liabilities at amortized cost
                                          189,403,336,000,000                 
        provisions:
                                                           
        for legal
                                          155,749,000,000                 
        equity of controlling interest
                                          15,601,553,000,000                 
        other financial assets at fair value through profit or losses
                                             600,600,000,000              
        total financial assets
                                             9,392,100,000,000              
        intangible assets
                                             953,700,000,000              
        long-term debt
                                             5,260,300,000,000          5,952,400,000,000 4,221,800,000,000   
        subscribed and paid-in capital:
                                                           
        common and preferred shares
                                             7,100,000,000              
        retained earnings:
                                                           
        appropriated
                                             2,722,600,000,000          1,930,300,000,000 1,476,600,000,000   
        unappropriated
                                             -1,514,800,000,000          483,300,000,000 404,300,000,000   
        first time ifrs adoption
                                             249,800,000,000              
        net income for the year
                                             352,100,000,000              
        nim
                                              5,800,000,000 5,800,000,000 5,900,000,000  6,300,000,000 6,600,000,000 6,200,000,000 6,500,000    6,600,000,000 6,500,000 
        30 days pdl / total loans
                                              2,700,000,000 2,600,000,000 2,700,000,000  2,500,000,000 2,400,000,000 2,400,000,000 2,300,000    2,300,000,000 2,300,000 
        provision expense / average loans
                                              1,400,000,000 1,300,000,000 1,300,000,000  1,600,000,000 1,700,000,000 1,500,000,000 1,300,000    1,200,000,000 1,300,000 
        allowance / pdl
                                              115,000,000,000 119,800,000,000 116,500,000,000  131,800,000,000 136,200,000,000 133,300,000,000 139,200,000     139,200,000 
        allowance / total loans
                                              3,100,000,000 3,100,000,000 3,200,000,000  3,300,000,000 3,300,000,000 3,200,000,000 3,200,000     3,200,000 
        charge offs / average loans
                                              1,200,000,000 1,200,000,000 900,000,000  1,100,000,000 1,100,000,000 1,100,000,000 1,000,000    1,000,000,000 1,000,000 
        equity + min. interest / assets
                                              12,600,000,000 11,900,000,000 11,700,000,000  10,800,000,000 10,500,000,000 11,800,000,000 11,400,000     11,400,000 
        grupo aval acciones y valores s.a. financial statements in colombian banking gaap quarterly consolidated balance sheet information in ps. billions
                                                           
        balance sheet
                                                           
        loans and financial leases
                                                           
        reappraisal of assets
                                                     2,317,800,000  2,062,500,000,000 1,378,400,000,000 2,347,000,000,000 2,317,800,000 
        total deposits
                                                     81,463,300,000    73,292,200,000,000 81,463,300,000 
        other funding
                                                     25,393,200,000    21,827,400,000,000 25,393,200,000 
        derivatives
                                                           
        total liabilites excl. minority interest
                                                     113,172,200,000    101,481,500,000,000 113,172,200,000 
        minority interest
                                                     5,407,700,000    5,010,500,000,000 5,407,700,000 
        total liabilities, shareholders' equity and minority interest
                                                     127,663,000,000    114,640,900,000,000 127,663,000,000 
        income statement
                                                           
        total provisions
                                                     -917,300,000     -917,300,000 
        fees and other services income
                                                     2,382,000,000    568,100,000,000 2,382,000,000 
        operating expenses
                                                     -5,299,500,000     -5,299,500,000 
        non-operating income/(expense)
                                                         114,400,000,000 448,100,000 
        income before income tax expense and non- controlling interest
                                                     3,809,200,000     3,809,200,000 
        net income before minority interest
                                                     2,437,400,000    654,500,000,000 2,437,400,000 
        income attributable to minority interest
                                                     911,100,000    274,400,000,000 911,100,000 
        net income attributable to grupo aval shareholders
                                                     1,526,400,000    380,100,000,000 1,526,400,000 
        loans and financial lease losses
                                                     77,483,800,000    68,715,700,000,000 77,483,800,000 
        bankers' acceptances, spot transactions and derivatives
                                                     410,000,000     410,000,000 
        non-operating income
                                                     448,100,000      
        p/tbv
                                                     3,380,000     3,380,000 
        current assets:
                                                           
        permanent investments
                                                           
        properties, plant & equipment - net
                                                           
        intangibles - net
                                                           
        deferred charges -net
                                                           
        revaluations
                                                           
        debtor memo accounts:
                                                           
        colombian banking gaap
                                                           
        total cash and cash equivalents
                                                       9,682,600,000,000 7,391,000,000,000   
        total investment securities
                                                       19,174,900,000,000 11,367,200,000,000   
        total loans and financial leases
                                                       56,439,700,000,000 40,142,800,000,000   
        total interest accrued on loans and financial leases
                                                       448,200,000,000 372,200,000,000   
        bankers’ acceptances, spot transactions and derivatives
                                                       306,900,000,000 193,500,000,000   
        accounts receivable
                                                       1,337,300,000,000 901,700,000,000   
        property, plant and equipment
                                                       1,643,700,000,000 1,018,500,000,000   
        operating leases
                                                       263,900,000,000 204,300,000,000   
        foreclosed assets
                                                       85,500,000,000 49,500,000,000   
        prepaid expenses and deferred charges
                                                       920,700,000,000 1,055,500,000,000   
        deposits
                                                       63,669,300,000,000 41,790,100,000,000   
        bankers’ acceptances
                                                       309,300,000,000 158,400,000,000   
        accrued interest payable
                                                       247,400,000,000 221,300,000,000   
        estimated liabilities
                                                       596,900,000,000 567,000,000,000   
        shareholders’ equity:
                                                           
        outstanding shares
                                                       13,900,000,000 10,400,000,000   
        equity surplus:
                                                           
        equity inflation adjustments
                                                       742,100,000,000 392,900,000,000   
        unrealized gains on investment securities available for sale
                                                       29,700,000,000 -102,400,000,000   
        total shareholders’ equity
                                                       4,554,600,000,000 4,786,300,000,000   
        total liabilities and shareholders’ equity
                                                       96,309,300,000,000 66,641,500,000,000   
        u.s. gaap
                                                           
        spot transactions and derivatives
                                                         258,800,000,000  
        income before income tax expense and minority interest
                                                         983,300,000,000  
        principal ratios
                                                           
        allowance / total gross loans
                                                         3,300,000,000  
        equity + minority interest / assets
                                                         11,500,000,000  
        eps quarter in ps.
                                                         20,500,000,000  
        p/e annualized
                                                         16,000,000,000  
      Cashflow Statements:
      Quarterly
      Annual
        Unit: USD2023-11-15 2023-08-15 2023-05-15 2022-01-31 2021-12-03 2021-03-06 2020-01-17 
               
          cash flows from operating activities:
               
          net income before income tax
              1,653,500,000 
          reconciliation of net income before taxes and net cash from operating activities:
               
          depreciation and amortization
        849,999,000,000 562,169,000,000 279,584,000,000    280,500,000 
          impairment losses of loans and receivables
        3,425,165,000,000 2,089,746,000,000 935,469,000,000    917,500,000 
          net income in concession agreements
        -2,927,644,000,000 -2,222,425,000,000 -1,260,858,000,000     
          net interest income
        -4,756,681,000,000 -3,124,310,000,000 -1,548,824,000,000    -2,412,700,000 
          sales of non-current assets held for sale
        -36,140,000,000 -21,193,000,000 -865,000,000     
          gain on sales of tangible assets
        -247,979,000,000 -101,106,000,000 -5,025,000,000     
          foreign exchange losses
        -2,002,449,000,000 -1,684,847,000,000 -488,545,000,000    163,300,000 
          share of profit of equity accounted investees, net of tax
        -287,405,000,000 -194,276,000,000 -94,738,000,000    -50,200,000 
          dividends caused
        -124,371,000,000 -122,046,000,000 -119,767,000,000     
          fair value adjustments on:
               
          derivatives
        2,074,653,000,000 1,847,476,000,000 672,258,000,000     
          investment property
        18,260,000,000 32,497,000,000 -47,000,000    -700,000 
          biological assets
        -11,155,000,000 -7,284,000,000 -3,156,000,000    -3,900,000 
          changes in operating assets and liabilities:
               
          trading assets
        -824,060,000,000 -1,306,429,000,000 -1,883,400,000,000    -283,000,000 
          accounts receivable
        -247,229,000,000 -1,038,184,000,000 -219,249,000,000    28,300,000 
          other assets
        -62,913,000,000 -72,588,000,000 -25,610,000,000    -2,200,000 
          other liabilities and provisions
        -900,440,000,000 -428,869,000,000 -654,362,000,000     
          employee benefit
        61,428,000,000 -139,822,000,000 -2,237,000,000     
          loan portfolio
        -7,316,096,000,000 -11,753,255,000,000 -1,598,740,000,000    -1,117,600,000 
          customer deposits
        11,187,079,000,000 10,328,635,000,000 5,553,614,000,000    1,289,000,000 
          interbank borrowings and overnight funds
        6,194,598,000,000 4,353,468,000,000 -270,635,000,000    -346,400,000 
          borrowings from development entities
        -231,881,000,000 -257,965,000,000 83,547,000,000    600,000 
          borrowings from banks
        -2,734,332,000,000 -3,433,623,000,000 -216,821,000,000    -366,100,000 
          interest received
        19,260,276,000,000 19,347,490,000,000 6,139,939,000,000    3,964,400,000 
          interest paid
        -15,825,184,000,000 -9,983,489,000,000 -4,755,112,000,000    -1,593,300,000 
          lease interest
        -128,779,000,000 -87,908,000,000 -45,541,000,000    -43,600,000 
          income tax payments
        -1,905,276,000,000 -1,335,382,000,000 -523,796,000,000    -409,800,000 
          net cash from operating activities
           1,177,232,000,000 669,770,000,000 1,410,599,000,000  
          capital expenditures
           -26,000,000 -186,000,000  
          free cash flows
           1,177,206,000,000 669,770,000,000 1,410,413,000,000  
          cash flows from investing activities:
               
          purchases of amortized cost financial assets
              -879,600,000 
          redemptions of amortized cost financial assets
        5,915,885,000,000 4,365,996,000,000 1,058,158,000,000    870,100,000 
          purchases of fvoci
        -14,989,912,000,000 -8,210,405,000,000 -5,144,385,000,000     
          proceeds from sales of fvoci
        16,009,190,000,000 9,956,352,000,000 7,578,151,000,000     
          acquisition of associates investment and joint ventures
               
          purchases tangible assets
        -384,056,000,000 -247,840,000,000 -89,791,000,000     
          proceeds from sales of property, plant and equipment
        102,372,000,000 66,574,000,000 45,349,000,000    27,100,000 
          proceeds from sales of non-current assets held for sale
        39,478,000,000 22,150,000,000 5,194,000,000    31,700,000 
          additions of concession arrangement rights
        956,122,000,000 1,074,882,000,000 130,757,000,000    -130,000,000 
          additions of other intangible assets
        -473,147,000,000 -215,357,000,000 -115,887,000,000    -63,000,000 
          dividends received
        365,769,000,000 283,857,000,000 111,611,000,000    71,000,000 
          disposal of subsidiaries
        -3,070,000,000       
          net cash provided (used) in by investing activities
               
          cash flows from financing activities:
               
          dividends paid to shareholders
              -268,500,000 
          dividends paid to non-controlling interest
        -621,713,000,000 -340,372,000,000 -67,965,000,000    -173,300,000 
          issuance of debt securities
        2,597,143,000,000 2,592,076,000,000 2,571,859,000,000    438,900,000 
          payment of outstanding debt securities
        -3,654,903,000,000 -3,323,937,000,000 -3,057,617,000,000    -324,400,000 
          leases
        -310,855,000,000 -203,338,000,000 -100,444,000,000    -78,800,000 
          issuance of shares
               
          net cash used by financing activities
               
          effect of foreign currency changes on cash and equivalents
        -1,243,736,000,000 -1,108,494,000,000 -383,667,000,000     
          decrease in cash and cash equivalents in joint operations
               
          increase in cash and cash equivalents
        1,349,420,000,000 2,162,810,000,000 2,294,990,000,000    -307,300,000 
          cash and cash equivalents at beginning of period
              8,167,300,000 
          cash and cash equivalents at end of period
              7,860,000,000 
          reconciliation of net income before taxes and net cash provided by operating activities:
               
          non-current assets held for sale
         -142,000,000 -142,000,000    1,600,000 
          acquisition of associates investment and join ventures
               
          (decrease) to deconsolidation of subsidiaries
               
          net cash provided (used) by operating activities
               
          cash flow from operating activity:
               
          net income
           3,131,688,000,000 1,740,757,000,000 2,399,001,000,000  
          adjustments to reconcile net profit with net cash
               
          used in operating activities
               
          income tax expense
           49,157,000,000 27,149,000,000 46,088,000,000  
          impairment of property and equipment
             -23,000,000  
          property and equipment depreciation
           1,653,000,000 909,000,000 1,743,000,000  
          equity method earnings
           -3,080,671,000,000 -1,707,593,000,000 -2,345,521,000,000  
          decrease in trading securities
           -40,000,000  205,000,000  
          decrease in receivables
           55,686,000,000 55,686,000,000 62,670,000,000  
          acquisition of investments
           -55,269,000,000  -63,837,000,000  
          decrease in other assets and liabilities, net: prepaid taxes,
               
          prepaid expenses; taxes, accounts payable,
               
          employee liabilities, estimated liabilities and provisions.
           -29,883,000,000    
          increase in interests payable
           5,178,000,000  -1,374,000,000  
          interest payment by lease agreements ifrs 16
           -206,000,000 -118,000,000 -424,000,000  
          dividends received by subsidiaries
           1,116,709,000,000 637,372,000,000 1,370,640,000,000  
          income tax paid
           -16,770,000,000 -16,770,000,000 -23,901,000,000  
          cash flow from investing activities:
               
          acquisition of property and equipment
           -26,000,000  -186,000,000  
          net cash from investing activities
           -26,000,000  -186,000,000  
          cash flow from financing activities:
               
          dividends paid
           -1,133,547,000,000 -630,518,000,000 -1,330,241,000,000  
          acquisition of loans
             100,000,000,000  
          payment liabilities by lease agreements
           -1,179,000,000 -635,000,000 -1,118,000,000  
          bonds payment
             -100,000,000,000  
          net cash from financing activities
           -1,134,726,000,000 -631,153,000,000 -1,331,359,000,000  
          effect of exchange rate difference on cash
               
          change in cash and cash equivalents
           42,480,000,000 38,617,000,000 79,054,000,000  
          cash and cash equivalents as of the beginning of the period
           130,353,000,000 130,353,000,000 51,299,000,000  
          cash and cash equivalents as of the end of the period
           172,833,000,000 168,970,000,000 130,353,000,000  
          additional information:
               
          payment of interest
           83,265,000,000 42,384,000,000 107,896,000,000  
          acquisition of permanent investments
            -55,269,000,000   
          decrease in other assets and liabilities, net: prepaid taxes, prepaid expenses; taxes, accounts payable, employee liabilities, estimated liabilities and provisions.
            -13,337,000,000 -34,668,000,000  
          decrease in interests payable
            984,000,000   
          the accompanying notes are an integral part of the separate financial statements.
               
          adjustments to reconcile net profit with net cash used in operating activities
               
          payment of other borrowings from banks
               
          bonds issuance
               
          adjustments to reconcile net profit with net cash from operating activities
               
          (gains) in concession agreements
              -846,200,000 
          (gains) on sales of non-current assets held for sale
              -4,200,000 
          losses on sales of property, plant and equipment
              -6,100,000 
          other adjustments for reconciliation of net income
              -111,100,000 
          derivative financial instruments
              -144,900,000 
          other liabilities, provisions and employee benefits
              -608,700,000 
          net cash (used) provided by operating activities
              -47,400,000 
          purchases financial assets of fvoci
              -5,831,000,000 
          proceeds from sales financial assets of fvoci
              5,807,500,000 
          purchases of tangible assets
              -123,000,000 
          proceeds from concessions
               
          effect of loss of control of subsidiaries
               
          net cash (used) in by investing activities
              -219,100,000 
          capitalization
               
          equity transactions
              -19,300,000 
          net cash (used) in financing activities
              -425,400,000 
          effect of foreign currency changes on cash and cash equivalents
              383,600,000 
          net income before taxes
               
          depreciation of tangible assets
               
          amortization of intangible assets
               
          allowance for impairment of loans and receivables
               
          gains in non-monetary transactions
               
          impairment of investments
               
          effect for change in accounting polices
               
          gains on sales of non-current assets held for sale
               
          gains on available for sale financial assets
               
          gains on sales of concession arrangement rights
               
          recovery of impairment loss on tangible
               
          foreign exchange gains
               
          equity method
               
          interest accrual of issued bonds outstanding
               
          fair value adjustments to:
               
          decrease in financial assets held for trading
               
          increase in other accounts receivable
               
          decrease in non-current assets held for sale
               
          increase in derivative financial instruments
               
          increase in other assets
               
          decrease in other liabilities and provisions
               
          increase in employee benefits
               
          increase in loans and receivables
               
          increase in customer deposits
               
          increase in interbank borrowings and overnight funds
               
          decrease in borrowings from development entities
               
          increase of borrowings from banks and others
               
          income tax, wealth tax and equity tax payments
               
          acquisition of own - use property plant and equipment
               
          acquisition of investment property
               
          additions on biological assets
               
          additions to investments in associates and joint ventures
               
          additions of concession arrangement right
               
          decrease in available for sale financial assets
               
          proceeds from sales of property and equipment
               
          proceeds from sales of investment properties
               
          proceeds from sales of biological assets
               
          proceeds from sale of investments in associates and joint ventures
               
          purchases of held to maturity financial assets
               
          redemption of held to maturity financial assets
               
          dividends received from investments
               
          acquisition of non-controlling interest
               
          dividends paid to parent shareholders
               
          issuance of common shares
               
          non-controlling interest transactions net
               
          cash and cash equivalents at beginning of year
               
          cash and cash equivalents at end of year
               
          reconciliation of net income before taxes and net cash from in operating activities:
               
          losses on sales of non-current assets held for sale
               
          recovery provision of impairment loss on tangible assets
               
          foreign exchange (gains) or losses
               
          interest accruals of financial assets available for sale and held to maturity
               
          fair value adjustment on:
               
          derivatives financial instruments
               
          financial asset at fair value from through profit or losses
               
          increase derivatives financial instruments
               
          increase in loan and receivables
               
          acquisition of borrowings from banks and others
               
          repayment of borrowings from banks and others
               
          capitalization costs on biological assets
               
          additions to invesments in associates and joint ventures
               
          capitalization of arrangements concession rights
               
          increase in available for sale financial assets
               
          proceeds from sale of investment properties
               
          proceeds from sale of invesments in associates and joint ventures
               
          redeption of held to maturity financial assets
               
          dividends received from invesment in associates
               
          dividends paid to parent sharedholders
               
          issuance of outstanding debt securities