irsa
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Debt

The following table contains a breakdown of our indebtedness as of 12-31-2024:

Description Currency Amount(1) Interest Rate Maturity
Bank overdrafts ARS 75.7 Variable < 360 days
Series XXI ARS 15.8 Variable Jun-25
Series XVI USD 28.3 7.0% Jul-25
Series XVII USD 25.0 5.0% Dec-25
Series XX USD 21.3 6.0% Jun-26
Series XVIII USD 21.4 7.0% Feb-27
Series XXII USD 15.8 5.75% Oct-27
Series XIV USD 85.7 8.75% Jun-28
Series XXIII USD 51.5 7.25% Oct-29
Series XXIV USD 293.3 8,00% Mar-35
IRSA’s Total Debt USD 633.8    
Cash & Cash Equivalents + Investments(2) USD 401.9    
IRSA’s Net Debt USD 231.9    

(1)     Principal amount in USD (million) at an exchange rate of ARS 1,074.75/USD, without considering accrued interest or eliminations of balances with subsidiaries.

(2)     Includes Cash and cash equivalents, Investments in Current Financial Assets and related companies notes holding.