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Acquisitions and disposals (Details 1)
Jun. 30, 2021
ARS ($)
Sep. 30, 2020
ARS ($)
Sep. 30, 2020
USD ($)
Jun. 30, 2020
ARS ($)
Jun. 30, 2019
ARS ($)
Statement [Line Items]          
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
Investments in associates and joint ventures 48,443,000,000     3,781,000,000 (1,220,000,000)
Deferred income tax assets 446,000,000     951,000,000  
Income tax credit 30,000,000     38,000,000  
Restricted assets 8,400,000,000     321,000,000 (305,000,000)
Investments in financial assets 31,643,000,000     20,343,000,000 (9,506,000,000)
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
Cash and cash equivalents 145,330,000,000     9,017,000,000 18,550,000,000
Trade and other payables 30,751,000,000     (3,474,000,000) (76,590,000,000)
Provisions (7,095,000,000)     86,000,000 1,442,000,000
Employee benefits (624,000,000)     161,000,000 4,188,000,000
Non-controlling interest $ 62,519,000,000     $ (76,219,000,000) $ (24,477,000,000)
PBC Distributed [Member]          
Statement [Line Items]          
Investment properties   $ 117,547,000,000      
Property, plant and equipment   47,989,000,000      
Trading properties     $ 7,690,000,000    
Intangible assets   36,546,000,000      
Right-of-use assets   25,853,000,000      
Investments in associates and joint ventures   48,443,000,000      
Deferred income tax assets   568,000,000      
Income tax credit   426,000,000      
Restricted assets   8,400,000,000      
Trade and other receivables   70,693,000,000      
Investments in financial assets     31,643,000,000    
Derivative financial instruments   368,000,000      
Inventories   4,712,000,000      
Group of assets held for sale     55,028    
Cash and cash equivalents   145,330,000,000      
TOTAL IDENTIFIABLE NET ASSETS   601,236,000,000      
Borrowings   (425,321,000,000)      
Lease liabilities   23,696,000,000      
Deferred income tax liabilities   (16,261,000,000)      
Trade and other payables   (30,751,000,000)      
Income tax liabilities   596,000,000      
Provisions   7,095,000,000      
Employee benefits   624,000,000      
Derivative financial instrumentss     624    
Salaries and social security liabilities   4,427,000,000      
Group of liabilities held for sale   28,805,000,000      
TOTAL CONSIDERATION   538,200,000,000      
TOTAL NET ASSETS     $ 63,036    
Non-controlling interest   62,519,000,000      
Result for loss of control   (517,000,000)      
Recycling of currency translation adjustment and other reserves   (3,505,000,000)      
Total result for loss of control   $ (4,022,000,000)