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Information about the main subsidiaries (Details) - ARS ($)
12 Months Ended
Jun. 30, 2021
Jun. 30, 2020
Jun. 30, 2019
Statement [Line Items]      
Current Assets $ 13,923,000,000 $ 308,987,000,000  
Non-current Assets 208,859,000,000 633,067,000,000  
Current Liabilities 22,138,000,000 215,362,000,000  
Non-current Liabilities 117,920,000,000 542,464,000,000  
Net assets 222,782,000,000 942,054,000,000  
Revenues 12,978,000,000 21,263,000,000 $ 28,004,000,000
Net income / (loss) (37,591,000,000) 35,651,000,000 (57,634,000,000)
Total profit / (loss) and other comprehensive income for the year (49,023,000,000) 56,951,000,000 (60,676,000,000)
Cash of Operating activities 1,456,000,000 46,731,000,000 40,616,000,000
Cash of investing activities 67,880,000,000 61,049,000,000 16,807,000,000
Cash of financial activities (48,840,000,000) (114,343,000,000) (41,686,000,000)
Net (decrease) / increase in cash and cash equivalents 20,496,000,000 (6,563,000,000) 15,737,000,000
Dividends distribution to non-controlling shareholders $ (2,587,000,000) $ (333,000,000) $ 0
Mehadrin [Member]      
Statement [Line Items]      
Direct interest of non-controlling interest %   56.25%  
Current Assets   $ 19,583,000,000  
Non-current Assets   26,794,000,000  
Current Liabilities   20,959,000,000  
Non-current Liabilities   5,011,000,000  
Net assets   20,407,000,000  
Book value of non-controlling interests   12,220,000,000  
Revenues   2,932,000,000  
Net income / (loss)   159,000,000  
Total profit / (loss) and other comprehensive income for the year   185,000,000  
Total comprehensive profit / (loss) attributable to non-controlling interest   377,000,000  
Cash of Operating activities   369,000,000  
Cash of investing activities   (105,000,000)  
Cash of financial activities   (369,000,000)  
Net (decrease) / increase in cash and cash equivalents   (105,000,000)  
Dividends distribution to non-controlling shareholders   $ 26,000,000  
Elron Electronic Industries Ltd. [Member]      
Statement [Line Items]      
Direct interest of non-controlling interest %   38.94%  
Current Assets   $ 5,072,000,000  
Non-current Assets   5,957,000,000  
Current Liabilities   765,000,000  
Non-current Liabilities   213,000,000  
Net assets   10,051,000,000  
Book value of non-controlling interests   6,232,000,000  
Revenues   0  
Net income / (loss)   (2,665,000,000)  
Total profit / (loss) and other comprehensive income for the year   (2,800,000,000)  
Total comprehensive profit / (loss) attributable to non-controlling interest   8,321,000,000  
Cash of Operating activities   (1,166,000,000)  
Cash of investing activities   526,000,000  
Cash of financial activities   1,313,000,000  
Net (decrease) / increase in cash and cash equivalents   673,000,000  
Dividends distribution to non-controlling shareholders   $ 0  
Property And Building Corporation Ltd. [Member]      
Statement [Line Items]      
Direct interest of non-controlling interest %   27.60%  
Current Assets   $ 119,149,000,000  
Non-current Assets   168,831,000,000  
Current Liabilities   39,259,000,000  
Non-current Liabilities   178,421,000,000  
Net assets   70,300,000,000  
Book value of non-controlling interests   28,933,000,000  
Revenues   18,490,000,000  
Net income / (loss)   18,997,000,000  
Total profit / (loss) and other comprehensive income for the year   18,272,000,000  
Total comprehensive profit / (loss) attributable to non-controlling interest   29,418,000,000  
Cash of Operating activities   9,505,000,000  
Cash of investing activities   35,856,000,000  
Cash of financial activities   (30,405,000,000)  
Net (decrease) / increase in cash and cash equivalents   14,956,000,000  
Dividends distribution to non-controlling shareholders   $ 2,529,000,000  
Cellcom Israel Ltd. [Member]      
Statement [Line Items]      
Direct interest of non-controlling interest %   53.80%  
Current Assets   $ 82,275,000,000  
Non-current Assets   119,854,000,000  
Current Liabilities   47,142,000,000  
Non-current Liabilities   112,186,000,000  
Net assets   42,801,000,000  
Book value of non-controlling interests   26,916,000,000  
Revenues   84,226,000,000  
Net income / (loss)   (3,106,000,000)  
Total profit / (loss) and other comprehensive income for the year   (3,154,000,000)  
Total comprehensive profit / (loss) attributable to non-controlling interest   802,000,000  
Cash of Operating activities   22,401,000,000  
Cash of investing activities   (11,152,000,000)  
Cash of financial activities   (9,497,000,000)  
Net (decrease) / increase in cash and cash equivalents   1,752,000,000  
Dividends distribution to non-controlling shareholders   $ 0  
IRSA Propiedades Comerciales S.A. [Member]      
Statement [Line Items]      
Direct interest of non-controlling interest % 20.08% 19.35%  
Current Assets $ 22,652,000,000 $ 22,417,000,000  
Non-current Assets 154,752,000,000 194,626,000,000  
Current Liabilities 13,122,000,000 24,667,000,000  
Non-current Liabilities 86,269,000,000 78,866,000,000  
Net assets 78,013,000,000 113,510,000,000  
Book value of non-controlling interests 5,549,000,000 6,142,000,000  
Revenues 8,092,000,000 12,862,000,000  
Net income / (loss) (22,537,000,000) 27,266,000,000  
Total profit / (loss) and other comprehensive income for the year (22,406,000,000) 27,644,000,000  
Total comprehensive profit / (loss) attributable to non-controlling interest (604,000,000) 1,598,000,000  
Cash of Operating activities 1,282,000,000 7,345,000,000  
Cash of investing activities 9,754,000,000 (4,324,000,000)  
Cash of financial activities (17,242,000,000) (5,349,000,000)  
Net (decrease) / increase in cash and cash equivalents (6,206,000,000) (2,328,000,000)  
Dividends distribution to non-controlling shareholders $ 438,000,000 $ 996,000,000