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Cash flow information (Details) - ARS ($)
$ in Millions
12 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2022
Cash flow information      
Comprehensive loss for the year $ (33,803) $ 226,586 $ 279,471
Adjustments for:      
Income tax (46,336) (239,702) 22,183
Amortization and depreciation 6,548 7,056 7,453
Loss from disposal of property, plant and equipment 2 2,543 0
Net gain / (loss) from fair value adjustment of investment properties 350,591 182,590 (109,329)
Impairment of others assets 0 126 0
Loss from disposal of associates and joint ventures 1,365 0 0
Realization of currency translation adjustment 0 (1,588) 0
Gain on sale of trading properties (3,808) (11,112) 0
Financial results, net (102,139) (71,718) (114,516)
Provisions and allowances 20,719 61,713 12,497
Share of (profit) /loss of associates and joint ventures (34,037) (9,740) 2,840
Changes in operating assets and liabilities:      
Decrease / (increase) in inventories 121 (230) (56)
(Increase) / decrease in trading properties 655 (342) (713)
Decrease / (increase) in trade and other receivables 4,766 (2,616) (249)
(Decrease) / increase in trade and other payables (49,454) (1,081) 4,997
(Decrease) / increase in salaries and social security liabilities (2,015) 3,418 249
Decrease in provisions (615) (249) (776)
Net cash generated by operating activities before income tax paid $ 111,250 $ 146,338 $ 105,477