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Segment information (Details) - ARS ($)
$ in Millions
12 Months Ended
Jun. 30, 2019
Jun. 30, 2018
Jun. 30, 2017
Disclosure of disaggregation of revenue from contracts with customers [line items]      
Revenues $ 69,767 $ 58,824 $ 59,669
Costs (42,000) (34,646) (35,370)
Gross profit 27,767 24,178 24,299
Net gain / (loss) from fair value adjustment of investment properties (23,710) 16,981 (4,389)
General and administrative expenses (7,714) (6,884) (7,068)
Selling expenses (8,717) (8,283) (8,806)
Other operating results, net 301 1,529 (651)
Profit / (loss) from operations (12,073) 27,521 3,385
Share of (loss) / profit of associates and joint ventures (4,889) (2,481) (757)
Segment profit / (loss) (16,962) 25,040 2,628
Expenses and Collective Promotion Funds [Member]      
Disclosure of disaggregation of revenue from contracts with customers [line items]      
Revenues 2,593 3,069 3,287
Costs (2,697) (3,110) (3,343)
Gross profit (104) (41) (56)
Net gain / (loss) from fair value adjustment of investment properties
General and administrative expenses
Selling expenses
Other operating results, net 104 41 56
Profit / (loss) from operations
Share of (loss) / profit of associates and joint ventures
Segment profit / (loss)
Reportable assets
Reportable liabilities
Net reportable assets
Joint Ventures [Member]      
Disclosure of disaggregation of revenue from contracts with customers [line items]      
Revenues [1] (65) (78) (94)
Costs 47 48 43
Gross profit [1] (18) (30) (51)
Net gain / (loss) from fair value adjustment of investment properties [1] 587 (739) (671)
General and administrative expenses [1] 11 26 10
Selling expenses [1] 5 11 10
Other operating results, net [1] 131 25 (20)
Profit / (loss) from operations [1] 716 (707) (722)
Share of (loss) / profit of associates and joint ventures [1] (712) 649 170
Segment profit / (loss) [1] 4 (58) (552)
Reportable assets [1] (426) 307 (180)
Reportable liabilities [1]
Net reportable assets [1] (426) 307 (180)
Operations Center in Argentina [Member]      
Disclosure of disaggregation of revenue from contracts with customers [line items]      
Revenues 10,534 9,707 9,728
Costs (2,223) (1,960) (2,105)
Gross profit 8,311 7,747 7,623
Net gain / (loss) from fair value adjustment of investment properties (27,713) 14,145 (4,497)
General and administrative expenses (1,870) (1,634) (1,510)
Selling expenses (759) (788) (769)
Other operating results, net (437) (29) (679)
Profit / (loss) from operations (22,468) 19,441 168
Share of (loss) / profit of associates and joint ventures (4,220) (2,957) (965)
Segment profit / (loss) (26,688) 16,484 (797)
Reportable assets 78,058 106,983 93,973
Reportable liabilities
Net reportable assets 78,058 106,983 93,973
Operations Center in Israel [Member]      
Disclosure of disaggregation of revenue from contracts with customers [line items]      
Revenues 56,722 46,138 46,762
Costs (37,127) (29,624) (29,965)
Gross profit 19,595 16,514 16,797
Net gain / (loss) from fair value adjustment of investment properties 3,416 3,575 779
General and administrative expenses (5,886) (5,299) (5,583)
Selling expenses (7,963) (7,506) (8,051)
Other operating results, net 519 1,494 (8)
Profit / (loss) from operations 9,681 8,778 3,934
Share of (loss) / profit of associates and joint ventures 43 (173) 38
Segment profit / (loss) 9,724 8,605 3,972
Reportable assets 374,723 394,376 361,249
Reportable liabilities (322,562) (335,186) (312,667)
Net reportable assets 52,161 59,190 48,582
Total      
Disclosure of disaggregation of revenue from contracts with customers [line items]      
Revenues 67,256 55,845 56,490
Costs (39,350) (31,584) (32,070)
Gross profit 27,906 24,261 24,420
Net gain / (loss) from fair value adjustment of investment properties (24,297) 17,720 (3,718)
General and administrative expenses (7,756) (6,933) (7,093)
Selling expenses (8,722) (8,294) (8,820)
Other operating results, net 82 1,465 (687)
Profit / (loss) from operations (12,787) 28,219 4,102
Share of (loss) / profit of associates and joint ventures (4,177) (3,130) (927)
Segment profit / (loss) (16,964) 25,089 3,175
Reportable assets 452,781 501,359 455,222
Reportable liabilities (322,562) (335,186) (312,667)
Net reportable assets 130,219 166,173 142,555
Elimination of Inter-Segment Transactions and Non-reportable Assets / Liabilities [Member]      
Disclosure of disaggregation of revenue from contracts with customers [line items]      
Revenues [2] (17) (12) (14)
Costs
Gross profit [2] (17) (12) (14)
Net gain / (loss) from fair value adjustment of investment properties [2]
General and administrative expenses [2] 31 23 15
Selling expenses [2] 4
Other operating results, net [2] (16) (2)
Profit / (loss) from operations [2] (2) 9 5
Share of (loss) / profit of associates and joint ventures [2]
Segment profit / (loss) [2] (2) 9 5
Reportable assets [2] 22,279 25,190 15,215
Reportable liabilities [2] (66,253) (72,155) (59,951)
Net reportable assets [2] (43,974) (46,965) (44,736)
Total as Per Statement of Income / Statement of Financial Position [Member]      
Disclosure of disaggregation of revenue from contracts with customers [line items]      
Revenues 69,767 58,824 59,669
Costs (42,000) (34,646) (35,370)
Gross profit 27,767 24,178 24,299
Net gain / (loss) from fair value adjustment of investment properties (23,710) 16,981 (4,389)
General and administrative expenses (7,714) (6,884) (7,068)
Selling expenses (8,717) (8,283) (8,806)
Other operating results, net 301 1,529 (651)
Profit / (loss) from operations (12,073) 27,521 3,385
Share of (loss) / profit of associates and joint ventures (4,889) (2,481) (757)
Segment profit / (loss) (16,962) 25,040 2,628
Reportable assets 474,634 526,856 470,257
Reportable liabilities (388,815) (407,341) (372,618)
Net reportable assets $ 85,819 $ 119,515 $ 97,639
[1] Represents the equity value of joint ventures that were proportionately consolidated for information by segment purposes.
[2] Includes deferred income tax assets, income tax and MPIT credits, trade and other receivables, investment in financial assets, cash and cash equivalents and intangible assets except for rights to receive future units under barter agreements, net of investments in associates with negative equity which are included in provisions in the amount of Ps. 6,058, Ps. 3,815 and Ps. 112, as of June 30, 2019, 2018 and 2017, respectively.