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Investments in associates and joint ventures (Details 3) - ARS ($)
12 Months Ended
Jun. 30, 2023
Jun. 30, 2022
Jun. 30, 2021
Statement [Line Items]      
Current Assets $ 70,226,000,000 $ 91,446,000,000  
Non-current Assets 641,386,000,000 712,221,000,000  
Current Liabilities 71,272,000,000 186,322,000,000  
Non-current Liabilities 253,065,000,000 251,445,000,000  
Net assets 711,612,000,000 803,667,000,000  
Revenues 89,285,000,000 69,168,000,000 $ 45,880,000,000
Net income / (loss) 60,986,000,000 75,222,000,000 (132,885,000,000)
Total comprehensive income / (loss) 59,700,000,000 74,843,000,000 (173,302,000,000)
Cash of operating activities 36,494,000,000 27,329,000,000 5,150,000,000
Net cash generated from / (used in) investing activities 26,442,000,000 24,134,000,000 238,119,000,000
Cash of financing activities (81,124,000,000) (29,455,000,000) $ (170,813,000,000)
Quality Invest [Member]      
Statement [Line Items]      
Current Assets 50,000,000 131,000,000  
Non-current Assets 20,975,000,000 24,771,000,000  
Current Liabilities 146,000,000 152,000,000  
Non-current Liabilities 7,234,000,000 8,448,000,000  
Net assets $ 13,645,000,000 $ 16,302,000,000  
% ownership interest held 50.00% 50.00%  
Interest in associate and joint venture $ 6,823,000,000 $ 8,151,000,000  
Goodwill and others 164,000,000 165,000,000  
Book value 6,987,000,000 8,316,000,000  
Revenues 124,000,000 445,000,000  
Net income / (loss) (2,768,000,000) (4,236,000,000)  
Total comprehensive income / (loss) (2,768,000,000) (4,236,000,000)  
Dividend distribution 0    
Cash of operating activities (325,000,000) (90,000,000)  
Net cash generated from / (used in) investing activities 48,000,000 (71,000,000)  
Cash of financing activities 234,000,000 206,000,000  
Changes in cash and cash equivalents (43,000,000) 45,000,000  
BHSA [Member]      
Statement [Line Items]      
Current Assets 520,170,000,000 520,704,000,000  
Non-current Assets 139,246,000,000 172,333,000,000  
Current Liabilities 572,821,000,000 604,692,000,000  
Non-current Liabilities 6,593,000,000 19,318,000,000  
Net assets $ 80,002,000,000 $ 69,027,000,000  
% ownership interest held 29.91% 29.91%  
Interest in associate and joint venture $ 23,929,000,000 $ 20,646,000,000  
Goodwill and others (11,000,000) 190,000,000  
Book value 23,918,000,000 20,836,000,000  
Revenues 168,559,000,000 116,506,000,000  
Net income / (loss) 10,306,000,000 6,295,000,000  
Total comprehensive income / (loss) 10,306,000,000 6,295,000,000  
Dividend distribution 0 0  
Cash of operating activities 8,077,000,000 71,590,000,000  
Net cash generated from / (used in) investing activities (1,104,000,000) (517,000,000)  
Cash of financing activities 8,051,000,000 (52,997,000,000)  
Changes in cash and cash equivalents 15,024,000,000 18,076,000,000  
TGLT [Member]      
Statement [Line Items]      
Current Assets 14,898,000,000 16,192,000,000  
Non-current Assets 26,748,000,000 26,670,000,000  
Current Liabilities 17,971,000,000 17,626,000,000  
Non-current Liabilities 16,790,000,000 16,550,000,000  
Net assets $ 6,885,000,000 $ 8,686,000,000  
% ownership interest held 27.82% 27.82%  
Interest in associate and joint venture $ 1,915,000,000 $ 2,417,000,000  
Goodwill and others 0 (664,000,000)  
Book value 1,915,000,000 1,753,000,000  
Revenues 13,420,000,000 9,050,000,000  
Net income / (loss) 266,000,000 (4,590,000,000)  
Total comprehensive income / (loss) 501,000,000 (4,503,000,000)  
Dividend distribution 0 0  
Cash of operating activities (563,000,000) (2,850,000,000)  
Net cash generated from / (used in) investing activities 501,000,000 9,074,000,000  
Cash of financing activities 64,000,000 (5,454,000,000)  
Changes in cash and cash equivalents $ 2,000,000 $ 770,000,000