XML 88 R117.htm IDEA: XBRL DOCUMENT v3.19.3
Cash flow information (Details 2) - ARS ($)
$ in Millions
12 Months Ended
Jun. 30, 2019
Jun. 30, 2018
Jun. 30, 2017
Cash Flow Information [Abstract]      
Decrease in investments in associates and joint ventures through a decrease in borrowings $ 6 $ 310 $ 18
Dividends distribution to non-controlling shareholders not yet paid 238 2,378 129
Increase in investments in associates and joint ventures through a decrease in trade and other receivables 11 99
Increase in intangible assets through an increase in trade and other payables 231 8 224
Increase in investments in associates and joint ventures through a decrease in investments in financial assets 6 1,414
Increase in derivative financial instruments through a decrease in investments in financial assets 48
Payment of dividends through an increase in trade and other payables 12
Changes in non-controlling interest through a decrease in trade and other receivables 2,147
Increase in property, plant and equipment through an increase of trade and other payables 597 3,400
Increase in property, plant and equipment through an increase of borrowings 4 14
Increase in investment properties through an increase in trade and other payables 493 207
Increase in investment properties through a decrease of trade and other receivables 402 90
Increase in trade and other receivables through an increase in borrowings 170
Increase in trading properties through an increase in borrowings 12 3
Increase in investment properties through an increase in borrowings 163 42
Decrease in investment in associates and joint ventures through dividends receivables not yet paid 6
Decrease in investment in associates and joint ventures through an increase in assets held for sale 68
Increase in financial operations through a decrease in investments in associates and joint ventures 101
Increase in trading properties through a decrease in investment property 68
Increase in property plant and equipment through a decrease in investment property 14
Issuance of NCN through an early repayment of NCN 2,347
Distribution of dividends in kind $ 1,827