XML 151 R138.htm IDEA: XBRL DOCUMENT v3.22.1
FINANCIAL INSTRUMENTS - Categories of financial assets and financial liabilities (Details) - ARS ($)
$ in Millions
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
FINANCIAL INSTRUMENTS    
Assets $ 56,134 $ 68,958
Liabilities 336,289 381,555
Net gain/(loss)    
Financial assets at amortized cost 6,331 14,038
Financial liabilities at amortized cost 26,277 (45,461)
Financial assets at fair value through profit or loss 707 530
Financial liabilities at amortized cost through profit or loss (2,823)  
Financial liabilities at fair value through profit or loss   (2,243)
Total 30,492 (33,136)
Of which interest    
Financial assets at amortized cost 1,323 1,971
Financial liabilities at amortized cost (22,134) (27,556)
Financial assets at fair value through profit or loss 94 586
Total (20,717) (24,999)
Amortized costs    
FINANCIAL INSTRUMENTS    
Liabilities 336,104 380,759
Fair value accounted through profit or loss    
FINANCIAL INSTRUMENTS    
Liabilities 88 257
Fair value accounted through other comprehensive income    
FINANCIAL INSTRUMENTS    
Liabilities 97 539
Amortized cost    
FINANCIAL INSTRUMENTS    
Assets 40,327 43,549
Fair value accounted through profits or loss    
FINANCIAL INSTRUMENTS    
Assets 15,807 25,409
Trade payables    
FINANCIAL INSTRUMENTS    
Liabilities 50,327 63,103
Trade payables | Amortized costs    
FINANCIAL INSTRUMENTS    
Liabilities 50,327 63,103
Financial debt    
FINANCIAL INSTRUMENTS    
Liabilities 266,921 302,185
Financial debt | Amortized costs    
FINANCIAL INSTRUMENTS    
Liabilities 266,736 301,389
Financial debt | Fair value accounted through profit or loss    
FINANCIAL INSTRUMENTS    
Liabilities 88 257
Financial debt | Fair value accounted through other comprehensive income    
FINANCIAL INSTRUMENTS    
Liabilities 97 539
Leases liabilities    
FINANCIAL INSTRUMENTS    
Liabilities 18,916 15,550
Leases liabilities | Amortized costs    
FINANCIAL INSTRUMENTS    
Liabilities 18,916 15,550
Other liabilities    
FINANCIAL INSTRUMENTS    
Liabilities 125 717
Other liabilities | Amortized costs    
FINANCIAL INSTRUMENTS    
Liabilities 125 717
Cash and cash equivalent    
FINANCIAL INSTRUMENTS    
Assets 19,849 27,965
Cash and cash equivalent | Amortized cost    
FINANCIAL INSTRUMENTS    
Assets 16,743 12,364
Cash and cash equivalent | Fair value accounted through profits or loss    
FINANCIAL INSTRUMENTS    
Assets 3,106 15,601
Investments    
FINANCIAL INSTRUMENTS    
Assets 10,786 7,992
Investments | Amortized cost    
FINANCIAL INSTRUMENTS    
Assets   258
Investments | Fair value accounted through profits or loss    
FINANCIAL INSTRUMENTS    
Assets 10,786 7,734
Trade receivables    
FINANCIAL INSTRUMENTS    
Assets 22,626 28,701
Trade receivables | Amortized cost    
FINANCIAL INSTRUMENTS    
Assets 22,626 28,701
Other receivables    
FINANCIAL INSTRUMENTS    
Assets 2,873 4,300
Other receivables | Amortized cost    
FINANCIAL INSTRUMENTS    
Assets 958 2,226
Other receivables | Fair value accounted through profits or loss    
FINANCIAL INSTRUMENTS    
Assets $ 1,915 $ 2,074