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Cash flow information (Details) - ARS ($)
$ in Millions
12 Months Ended
Jun. 30, 2019
Jun. 30, 2018
Jun. 30, 2017
Cash Flow Information [Abstract]      
(Loss) / profit for the year $ (26,847) $ 23,237 $ 3,048
Profit for the year from discontinued operations (480) (20,377) (8,835)
Adjustments for:      
Income tax (1,690) (6,280) 1,491
Amortization and depreciation 7,503 6,763 7,613
Gain from disposal of property, plant and equipment 3 79
Net loss / (gain) from fair value adjustment of investment properties 23,710 (16,981) 4,389
Share-based compensation 44 46 163
(Recovery) / impairment charge of property plant and equipment and intangible assets (24)
Gain from disposal of intangible assets (9)
Derecognition of intangible assets from TGLT agreement 62
Impairment of trading property 32 (28)
Impairment of goodwill 129
Disposal of investment property (6)
Gain from disposal of subsidiary and associates (688) (601)
Gain from disposal of trading properties (447) (6)
Impairment of other assets 222
Other financial results, net 10,893 18,589 491
Reversal of cumulative translation adjustment (85)
Provisions and allowances 1,073 605 232
Share of loss of associates and joint ventures 4,889 2,481 757
Increase in restricted assets (142)
Decrease in inventories 267 184 181
Decrease in trading properties 942 891 1,136
Decrease / (increase) in trade and other receivables 1,287 104 (2,314)
(Decrease) / increase in trade and other payables (1,028) 902 350
(Decrease) / increase in salaries and social security liabilities (91) 95 111
Decrease in provisions (277) (359) (159)
Net cash generated by continuing operating activities before income tax paid 19,292 9,296 8,652
Net cash generated by discontinued operating activities before income tax paid 611 6,719 6,705
Net cash generated by operating activities before income tax paid $ 19,903 $ 16,015 $ 15,357