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Cash flow information (Details) - ARS ($)
$ in Millions
12 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Jun. 30, 2020
Net income / (loss) $ 34,892 $ (61,641) $ 58,461
Profit for the period from discontinued operations 0 14,633 8,112
Adjustments for:      
Income tax 2,770 35,540 16,505
Amortization and depreciation 931 1,051 1,174
Net gain / (loss) from fair value adjustment of investment properties (13,650) 12,742 83,080
Gain from disposal of associates 0 (61) 0
Financial results, net (14,298) (10,840) 32,366
Provisions and allowances 1,560 1,846 2,035
Share of (profit) /loss of associates and joint ventures 355 7,182 (17,787)
Changes in operating assets and liabilities:      
Decrease in inventories (7) 43 10
Decrease in trading properties 89 (46) (971)
Increase in restricted assets 0 0 (2,870)
Decrease / (Increase) in trade and other receivables (31) 2,483 4,680
Decrease in trade and other payables 624 (5,553) (735)
Increase / (decrease) in salaries and social security liabilities 31 87 (476)
Decrease in provisions (97) (176) (1,309)
Net cash (used in) / generated by continuing operating activities before income tax paid 13,169 (2,710) 16,115
Net cash generated by discontinued operating activities before income tax paid 0 5,577 62,117
Net cash generated by operating activities before income tax paid $ 13,169 $ 2,867 $ 78,232