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Financial instruments by category (Details 4) - ARS ($)
$ in Millions
12 Months Ended
Jun. 30, 2018
Jun. 30, 2017
Disclosure of fair value measurement of assets [line items]    
Beginning Balance $ 1,036 $ (9,036)
Additions and acquisitions 560 101
Cumulative translation adjustment 553 436
Transfer to level 1 [1] (100)  
Reclassification to liabilities held for sale   11,272
Write off (67) (782)
Transfer to current trade and other receivables  
Deconsolidation (126)  
Gain / (loss) for the year [2] 216 (955)
Ending Balance 2,072 1,036
Investments In Financial Assets [Member] | Public Companies Securities [Member]    
Disclosure of fair value measurement of assets [line items]    
Beginning Balance 82 499
Additions and acquisitions 65
Cumulative translation adjustment 21
Transfer to level 1 [1]  
Reclassification to liabilities held for sale  
Write off (67) (702)
Transfer to current trade and other receivables  
Deconsolidation  
Gain / (loss) for the year [2] 120 199
Ending Balance 135 82
Investments In Financial Assets [Member] | Private Companies Securities [Member]    
Disclosure of fair value measurement of assets [line items]    
Beginning Balance 964 1,324
Additions and acquisitions 34 44
Cumulative translation adjustment 489 169
Transfer to level 1 [1] (100)  
Reclassification to liabilities held for sale  
Write off
Transfer to current trade and other receivables  
Deconsolidation (126)  
Gain / (loss) for the year [2] (93) (573)
Ending Balance 1,168 964
Investments In Financial Assets [Member] | Others [Member]    
Disclosure of fair value measurement of assets [line items]    
Beginning Balance 140
Additions and acquisitions 526
Cumulative translation adjustment 78 6
Transfer to level 1 [1]  
Reclassification to liabilities held for sale  
Write off (146)
Transfer to current trade and other receivables  
Deconsolidation  
Gain / (loss) for the year [2] 189
Ending Balance 793
Derivative Financial Instruments [Member] | Forwards [Member]    
Disclosure of fair value measurement of assets [line items]    
Beginning Balance (10)  
Additions and acquisitions (8)
Cumulative translation adjustment (14) (2)
Transfer to level 1 [1]  
Reclassification to liabilities held for sale  
Write off 66
Transfer to current trade and other receivables  
Deconsolidation  
Gain / (loss) for the year [2] (66)
Ending Balance (24) (10)
Loans [Member] | Non Recourse Loan [Member]    
Disclosure of fair value measurement of assets [line items]    
Beginning Balance (10,999)
Additions and acquisitions
Cumulative translation adjustment 242
Transfer to level 1 [1]  
Reclassification to liabilities held for sale   11,272
Write off
Transfer to current trade and other receivables  
Deconsolidation  
Gain / (loss) for the year [2] (515)
Ending Balance
[1] The Group transferred a financial asset measured at fair value from level 3 to level 1, because it began trading in the stock exchange.
[2] Included within "Financial results, net" in the Statements of income.