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Cash flow information (Details 1) - ARS ($)
Jun. 30, 2021
Jun. 30, 2020
Jun. 30, 2019
Investment properties $ 117,547,000,000 $ 233,714,000,000 $ (14,634,000,000)
Property, plant and equipment 47,989,000,000 (7,581,000,000) (96,187,000,000)
Trading properties 7,690,000,000 233,000,000 0
Intangible assets 36,546,000,000 4,842,000,000 (20,666,000,000)
Investments in associates and joint ventures 48,443,000,000 3,781,000,000 (1,220,000,000)
Deferred income tax assets 568,000,000 0 0
Restricted assets 8,400,000,000 321,000,000 (305,000,000)
Income tax and MPIT credit 426,000,000 66,000,000 0
Trade and other receivables 70,693,000,000 (13,598,000,000) (39,759,000,000)
Right-of-use assets 25,853,000,000 (5,973,000,000) 0
Investments in financial assets 31,643,000,000 20,343,000,000 (9,506,000,000)
Derivative financial instruments 368,000,000 (56,000,000) (77,000,000)
Inventories 4,712,000,000 (3,760,000,000) (19,691,000,000)
Group of assets held for sale 55,028,000,000 0 0
Borrowings (425,321,000,000) (132,296,000,000) 70,300,000,000
Lease liabilities (23,696,000,000) 0 0
Deferred income tax liabilities (16,261,000,000) (30,349,000,000) 9,338,000,000
Trade and other payables (30,751,000,000) 3,474,000,000 76,590,000,000
Lease liabilities 0 3,120,000,000 0
Provisions (7,095,000,000) 86,000,000 1,442,000,000
Employee benefits (624,000,000) 161,000,000 4,188,000,000
Derivative financial instruments 9,000,000 0 0
Salaries and social security liabilities (4,427,000,000) 207,000,000 7,979,000,000
Salaries and social security liabilities (28,805,000,000) 0 0
Income tax expense (596,000,000) (161,000,000) 24,000,000
Net value of incorporated assets that do not affect cash (82,294,000,000) 76,574,000,000 (32,184,000,000)
Cash and cash equivalents 145,330,000,000 9,017,000,000 18,550,000,000
Non-controlling interest (62,519,000,000) 76,219,000,000 24,477,000,000
Goodwill 0 (565,000,000) 246,000,000
Net value of assets incorporated / intended for sale (290,143,000,000) 143,211,000,000 (26,011,000,000)
Seller Financed Amount 0 0 (126,000,000)
Net (outflow) inflow of cash and cash equivalents / assets and liabilities held for sale $ (290,143,000,000) $ 143,211,000,000 $ (26,137,000,000)