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Taxes (Details 5) - ARS ($)
12 Months Ended
Jun. 30, 2021
Jun. 30, 2020
Statement [Line Items]    
Assets (Liabilities), net at beginning of period $ (65,193,000,000) $ (78,134,000,000)
Cumulative translation adjustment 1,681,000,000 2,367,000,000
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income (20,438,000,000) (9,970,000,000)
Revaluation surplus reserve (83,000,000) (137,000,000)
Charged / (Credited) to the revaluation surplus reserve   539,000,000
Taxes, deconsolidation 15,693,000,000 21,444,000,000
Incorporation by business combination 38,000,000 (1,302,000,000)
Assets (Liabilities), net at ending of period (68,302,000,000) (65,193,000,000)
Investments [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period (107,000,000) (197,000,000)
Cumulative translation adjustment 0 0
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income 104,000,000 90,000,000
Revaluation surplus reserve 0 0
Charged / (Credited) to the revaluation surplus reserve   0
Taxes, deconsolidation 0 0
Incorporation by business combination 0 0
Assets (Liabilities), net at ending of period (3,000,000) (107,000,000)
Intangible Assets [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period (3,595,000,000) (3,402,000,000)
Cumulative translation adjustment (1,179,000,000) (768,000,000)
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income 168,000,000 575,000,000
Revaluation surplus reserve 0 0
Charged / (Credited) to the revaluation surplus reserve   0
Taxes, deconsolidation 4,531,000,000 0
Incorporation by business combination 0 0
Assets (Liabilities), net at ending of period (75,000,000) (3,595,000,000)
Subtotal Liabilities [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period (89,128,000,000) (99,282,000,000)
Cumulative translation adjustment (3,671,000,000) (2,256,000,000)
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income (17,976,000,000) (8,906,000,000)
Revaluation surplus reserve (83,000,000) (137,000,000)
Charged / (Credited) to the revaluation surplus reserve   539,000,000
Taxes, deconsolidation 36,536,000,000 22,216,000,000
Incorporation by business combination 0 (1,302,000,000)
Assets (Liabilities), net at ending of period (74,322,000,000) (89,128,000,000)
Borrowings Excluding Finance Lease [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period (1,433,000,000) (1,589,000,000)
Cumulative translation adjustment (475,000,000) (424,000,000)
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income 94,000,000 580,000,000
Revaluation surplus reserve 0 0
Charged / (Credited) to the revaluation surplus reserve   0
Taxes, deconsolidation 1,816,000,000 0
Incorporation by business combination 0 0
Assets (Liabilities), net at ending of period 2,000,000 (1,433,000,000)
Others PPE 1 [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period 1,478,000,000 (802,000,000)
Cumulative translation adjustment (525,000,000) (804,000,000)
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income (2,718,000,000) 3,722,000,000
Revaluation surplus reserve 0 0
Charged / (Credited) to the revaluation surplus reserve   0
Taxes, deconsolidation 1,626,000,000 (273,000,000)
Incorporation by business combination 0 (365,000,000)
Assets (Liabilities), net at ending of period (139,000,000) 1,478,000,000
Other PPE [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period 2,338,000,000 1,805,000,000
Cumulative translation adjustment 522,000,000 250,000,000
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income (267,000,000) 613,000,000
Revaluation surplus reserve 0 0
Charged / (Credited) to the revaluation surplus reserve   0
Taxes, deconsolidation (2,119,000,000) 0
Incorporation by business combination 38,000,000 0
Assets (Liabilities), net at ending of period 512,000,000 2,668,000,000
Property, Plant and Equipment [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period 445,000,000 255,000,000
Cumulative translation adjustment 74,000,000 1,524,000,000
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income 56,000,000 (1,334,000,000)
Revaluation surplus reserve 0 0
Charged / (Credited) to the revaluation surplus reserve   0
Taxes, deconsolidation (64,000,000) 0
Incorporation by business combination 0 0
Assets (Liabilities), net at ending of period 511,000,000 445,000,000
Trade and other receivables 1 [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period (1,385,000,000) (1,335,000,000)
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income (1,904,000,000) (50,000,000)
Revaluation surplus reserve 0 0
Charged / (Credited) to the revaluation surplus reserve   0
Incorporation by business combination 0 0
Assets (Liabilities), net at ending of period (3,289,000,000) (1,385,000,000)
Investments 1 [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period   9,000,000
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income   (9,000,000)
Revaluation surplus reserve   0
Charged / (Credited) to the revaluation surplus reserve   0
Incorporation by business combination   0
Trade And Other Payable [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period 99,000,000  
Cumulative translation adjustment 2,436  
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income 2,837,000,000  
Revaluation surplus reserve 0  
Taxes, deconsolidation 9,621  
Incorporation by business combination 0  
Assets (Liabilities), net at ending of period 2,936,000,000  
Tax Loss Carry-Forwards [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period 12,836,000,000 10,479,000,000
Cumulative translation adjustment 2,320,000,000 1,560,000,000
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income (5,884,000,000) 922,000,000
Revaluation surplus reserve 0 0
Charged / (Credited) to the revaluation surplus reserve   0
Taxes, deconsolidation (9,039,000,000) (125,000,000)
Incorporation by business combination 0 0
Assets (Liabilities), net at ending of period 233,000,000 12,836,000,000
Subtotal Assets [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period 23,935,000,000 21,148,000,000
Cumulative translation adjustment 5,352,000,000 4,623,000,000
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income (2,462,000,000) (1,064,000,000)
Revaluation surplus reserve 0 0
Charged / (Credited) to the revaluation surplus reserve   0
Taxes, deconsolidation (20,843,000,000) (772,000,000)
Incorporation by business combination 38,000,000 0
Assets (Liabilities), net at ending of period 6,020,000,000 23,935,000,000
Investment Property and Property Plant and Equipment [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period (77,595,000,000) (87,425,000,000)
Cumulative translation adjustment (1,492,000,000) (260,000,000)
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income (7,211,000,000) (11,864,000,000)
Revaluation surplus reserve (83,000,000) (137,000,000)
Charged / (Credited) to the revaluation surplus reserve   539,000,000
Taxes, deconsolidation 28,563,000,000 22,489,000,000
Incorporation by business combination 0 (937,000,000)
Assets (Liabilities), net at ending of period (57,818,000,000) (77,595,000,000)
Tax inflation adjustment [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period (6,491,000,000) (4,532,000,000)
Cumulative translation adjustment 0 0
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income (6,509,000,000) (1,959,000,000)
Revaluation surplus reserve 0 0
Charged / (Credited) to the revaluation surplus reserve   0
Taxes, deconsolidation 0 0
Incorporation by business combination 0 0
Assets (Liabilities), net at ending of period (13,000,000,000) (6,491,000,000)
Trade And Other Receivables [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period 7,986,000,000 8,600,000,000
Cumulative translation adjustment 2,436,000,000 1,289,000,000
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income (49,000,000) (1,256,000,000)
Revaluation surplus reserve 0 0
Charged / (Credited) to the revaluation surplus reserve   0
Taxes, deconsolidation (9,621,000,000) (647,000,000)
Incorporation by business combination 0 0
Assets (Liabilities), net at ending of period 752,000,000 $ 7,986,000,000
Borrowings [Member]    
Statement [Line Items]    
Assets (Liabilities), net at beginning of period 231,000,000  
Cumulative translation adjustment 0  
Charged / (Credited) to the Consolidated Statements of Income and Other Comprehensive Income 845,000,000  
Revaluation surplus reserve 0  
Taxes, deconsolidation 0  
Incorporation by business combination 0  
Assets (Liabilities), net at ending of period $ 1,076,000,000