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Investments in associates and joint ventures (Details 3) - ARS ($)
$ in Millions
12 Months Ended
Jun. 30, 2022
Jun. 30, 2021
Jun. 30, 2020
Statement [Line Items]      
Current Assets $ 42,419 $ 22,833  
Non-current Assets 330,373 342,492  
Current Liabilities 86,429 36,304  
Non-current Liabilities 116,636 193,368  
Net assets $ 372,792 365,325  
% ownership interest held 85.00%    
Revenues $ 32,085 21,282 $ 34,868
Net income / (loss) 34,892 (61,641) 58,461
Total comprehensive income / (loss) 34,715 (80,389) 93,390
Cash of operating activities 12,677 2,389 76,630
Net cash generated from / (used in) investing activities 11,195 110,455 112,306
Cash of financing activities (13,663) (79,234) $ (199,697)
Quality Invest [Member]      
Statement [Line Items]      
Current Assets 61 8  
Non-current Assets 11,490 14,499  
Current Liabilities 70 164  
Non-current Liabilities 3,919 4,898  
Net assets $ 7,562 $ 9,445  
% ownership interest held 50.00% 50.00%  
Interest in associate and joint venture $ 3,781 $ 4,723  
Goodwill and others 77 77  
Book value 3,858 4,800  
Revenues 206 74  
Net income / (loss) (1,965) (849)  
Total comprehensive income / (loss) (1,965) (849)  
Dividend distribution 0 0  
Cash of operating activities (1) (97)  
Net cash generated from / (used in) investing activities 24 (7)  
Cash of financing activities (2) 104  
Changes in cash and cash equivalents 21 0  
BHSA [Member]      
Statement [Line Items]      
Current Assets 241,536 188,185  
Non-current Assets 79,939 116,578  
Current Liabilities 280,495 256,477  
Non-current Liabilities 8,961 19,122  
Net assets $ 32,019 $ 29,164  
% ownership interest held 29.91% 29.91%  
Interest in associate and joint venture $ 9,577 $ 8,723  
Goodwill and others 88 69  
Book value 9,665 8,792  
Revenues 54,043 47,976  
Net income / (loss) (2,920) (4,145)  
Total comprehensive income / (loss) 2,920 (4,145)  
Dividend distribution 0 0  
Cash of operating activities 33,208 7,081  
Net cash generated from / (used in) investing activities (240) (212)  
Cash of financing activities (24,583) (46,143)  
Changes in cash and cash equivalents 8,385 (39,274)  
TGLT [Member]      
Statement [Line Items]      
Current Assets 7,511 8,460  
Non-current Assets 12,371 19,366  
Current Liabilities 8,176 8,117  
Non-current Liabilities 7,677 12,635  
Net assets $ 4,029 $ 7,074  
% ownership interest held 27.82% 27.82%  
Interest in associate and joint venture $ 1,121 $ 1,968  
Goodwill and others (308) (431)  
Book value 813 1,537  
Revenues 4,198 4,196  
Net income / (loss) (2,129) (3,142)  
Total comprehensive income / (loss) (2,089) (3,155)  
Dividend distribution 0 0  
Cash of operating activities (1,322) 185  
Net cash generated from / (used in) investing activities 4,209 108  
Cash of financing activities (2,530) (746)  
Changes in cash and cash equivalents $ 357 $ (453)