Subclassifications Of Assets, Liabilities And Equities [Abstract]
| Concept |
As at 2021-12-31 |
As at 2021-01-01 |
As at 2020-12-31 |
As at 2019-12-31 |
As at 2018-12-31 |
|---|---|---|---|---|---|
| Subclassifications of assets, liabilities and equities [abstract] | |||||
| Property, plant and equipment [abstract] | |||||
| Property, plant and equipment |
392,506,000
GEL
|
— |
372,956,000
GEL
|
334,728,000
GEL
|
— |
| Intangible assets and goodwill [abstract] | |||||
| Intangible assets other than goodwill [abstract] | |||||
| Intangible assets other than goodwill |
319,963,000
GEL
|
— |
239,523,000
GEL
|
167,597,000
GEL
|
— |
| Goodwill |
59,964,000
GEL
|
— |
59,964,000
GEL
|
61,558,000
GEL
|
— |
| Investment property [abstract] | |||||
| Investment property |
22,892,000
GEL
|
— |
68,689,000
GEL
|
72,667,000
GEL
|
— |
| Investments accounted for using equity method [abstract] | |||||
| Investments in associates accounted for using equity method |
4,589,000
GEL
|
— |
4,090,000
GEL
|
2,654,000
GEL
|
— |
| Categories of financial assets [abstract] | |||||
| Financial assets at fair value through other comprehensive income [abstract] | |||||
| Financial assets measured at fair value through other comprehensive income |
1,938,196,000
GEL
|
— |
1,527,268,000
GEL
|
985,293,000
GEL
|
— |
| Cash and cash equivalents [abstract] | |||||
| Cash and cash equivalents |
1,722,137,000
GEL
|
1,635,405,000
GEL
|
1,635,405,000
GEL
|
1,003,583,000
GEL
|
1,166,911,000
GEL
|
| Miscellaneous assets [abstract] | |||||
| Finance lease receivables |
262,046,000
GEL
|
— |
271,660,000
GEL
|
256,660,000
GEL
|
— |
| Loans and advances | — | — | — | — | — |
| Loans and advances to customers |
16,637,145,000
GEL
|
— |
14,594,274,000
GEL
|
12,349,399,000
GEL
|
— |
| Cash and bank balances at central banks | — | — | — | — | — |
| Mandatory reserve deposits at central banks |
2,087,141,000
GEL
|
— |
2,098,506,000
GEL
|
1,591,829,000
GEL
|
— |
| Other assets |
397,079,000
GEL
|
— |
266,960,000
GEL
|
255,712,000
GEL
|
— |
| Classes of other provisions [abstract] | |||||
| Other provisions [abstract] | |||||
| Other provisions |
25,358,000
GEL
|
— |
25,335,000
GEL
|
23,128,000
GEL
|
— |
| Miscellaneous liabilities [abstract] | |||||
| Deposit liabilities | — | — | — | — | — |
| Deposits from banks |
2,984,176,000
GEL
|
— |
4,486,373,000
GEL
|
3,593,901,000
GEL
|
— |
| Deposits from customers [abstract] | |||||
| Deposits from customers |
15,038,172,000
GEL
|
— |
12,572,728,000
GEL
|
10,049,324,000
GEL
|
— |
| Subordinated liabilities [abstract] | |||||
| Subordinated liabilities |
623,647,000
GEL
|
— |
672,740,000
GEL
|
591,035,000
GEL
|
— |
| Debt instruments issued |
1,710,288,000
GEL
|
— |
1,496,497,000
GEL
|
1,213,598,000
GEL
|
— |
| Other liabilities |
130,972,000
GEL
|
— |
87,842,000
GEL
|
95,162,000
GEL
|
— |
| Issued capital [abstract] | |||||
| Issued capital |
1,682,000
GEL
|
— |
1,682,000
GEL
|
1,682,000
GEL
|
— |
| Retained earnings [abstract] | |||||
| Retained earnings |
3,007,132,000
GEL
|
— |
2,281,428,000
GEL
|
1,961,231,000
GEL
|
— |
| Accumulated other comprehensive income [abstract] | |||||
| Reserve of exchange differences on translation |
9,450,000
GEL
|
— |
2,124,000
GEL
|
6,850,000
GEL
|
— |
| Reserve of gains and losses on financial assets measured at fair value through other comprehensive income |
10,862,000
GEL
|
— |
11,158,000
GEL
|
6,476,000
GEL
|
— |
| Miscellaneous equity [abstract] | |||||
| Reserve of share-based payments |
5,135,000
GEL
|
— |
20,568,000
GEL
|
17,803,000
GEL
|
— |
| Merger reserve |
402,862,000
GEL
|
— |
402,862,000
GEL
|
402,862,000
GEL
|
— |
| Net assets (liabilities) [abstract] | |||||
| Assets |
24,508,561,000
GEL
|
— |
22,577,805,000
GEL
|
18,359,266,000
GEL
|
— |
| Liabilities |
20,816,332,000
GEL
|
— |
19,641,871,000
GEL
|
15,760,176,000
GEL
|
— |
| Assets less current liabilities [abstract] |