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Financial risk management and fair value estimates (Details Narrative) - ARS ($)
12 Months Ended
Jun. 30, 2021
Jun. 30, 2020
Jun. 30, 2019
Statement [Line Items]      
Future exchanges contract pending $ 0 $ (143,000,000)  
Percentage increase in foreign currency 10.00% 10.00%  
Profit / (loss) before income tax $ (6,995,000,000) $ 50,663,000,000 $ (62,014,000,000)
Currency Risk [Member] | Operations Center in Israel [Member]      
Statement [Line Items]      
Percentage increase in foreign currency 1.00% 1.00%  
Profit / (loss) before income tax $ 2,700,000 $ 46,400,000  
Other Price Risk [Member] | Derivatives [Member]      
Statement [Line Items]      
Financial investment $ 976,000,000 $ 29,116,000,000  
Credit Risk [Member] | Operations Center in Argentina [Member]      
Statement [Line Items]      
Percentage of trade receivable by group 96.40% 94.20%  
Credit Risk [Member] | Operations Center in Argentina [Member] | Sale Of Trading Properties [Member]      
Statement [Line Items]      
Percentage of trade receivable by group 3.60% 5.80%  
Fixed Interest Rate [Member] | Currency Risk [Member]      
Statement [Line Items]      
Percentage of long term borrowing 96.30% 95.20%  
10% Decrease In Quoted Proces Of Equity Securities And In Derivative Financial Instruments Portfolio [Member] | Other Price Risk [Member] | Operations Center in Israel [Member]      
Statement [Line Items]      
Profit / (loss) before income tax $ 98,000,000 $ 2,911,000,000  
Argentina country [Member]      
Statement [Line Items]      
Profit / (loss) before income tax $ 4,341,000,000 $ 5,744,000,000