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Financial instruments by category (Details 4) - ARS ($)
$ in Millions
12 Months Ended
Jun. 30, 2019
Jun. 30, 2018
Disclosure of fair value measurement of assets [line items]    
Beginning Balance $ 3,225 $ 1,612
Additions and acquisitions 120 871
Transfer between levels 41 (156) [1]
Cumulative translation adjustment (53) 863
Write off (105)
Deconsolidation   (196)
Gain / (loss) for the year (434) 336 [2]
Ending Balance 2,899 3,225
Investments In Financial Assets [Member] | Public Companies Securities [Member]    
Disclosure of fair value measurement of assets [line items]    
Beginning Balance 210 128
Additions and acquisitions  
Transfer between levels (138) [1]
Cumulative translation adjustment (8)
Write off (150)
Transfer to current trade and other receivables  
Deconsolidation  
Gain / (loss) for the year [2] (36) 187
Ending Balance 28 210
Investments In Financial Assets [Member] | Private Companies Securities [Member]    
Disclosure of fair value measurement of assets [line items]    
Beginning Balance 1,817 1,500
Additions and acquisitions 120 53
Transfer between levels 107 (156) [1]
Cumulative translation adjustment (45) 761
Write off
Deconsolidation   (196)
Gain / (loss) for the year [2] (173) (145)
Ending Balance 1,826 1,817
Investments In Financial Assets [Member] | Others [Member]    
Disclosure of fair value measurement of assets [line items]    
Beginning Balance 1,234
Additions and acquisitions 818
Transfer between levels [1]  
Cumulative translation adjustment (13) 122
Write off
Deconsolidation  
Gain / (loss) for the year [2] (223) 294
Ending Balance 998 1,234
Derivative Financial Instruments [Member] | Forwards [Member]    
Disclosure of fair value measurement of assets [line items]    
Beginning Balance (36) (16)
Additions and acquisitions
Transfer between levels [1]
Cumulative translation adjustment (20)
Write off
Gain / (loss) for the year [2] (12)
Ending Balance (48) (36)
Derivative Financial Instruments [Member] | Warrant [Member]    
Disclosure of fair value measurement of assets [line items]    
Beginning Balance
Transfer between levels 72
Cumulative translation adjustment 13
Write off
Gain / (loss) for the year 10
Ending Balance $ 95
[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.