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Borrowings (Details Narrative) - ARS ($)
$ in Millions
12 Months Ended
Jun. 30, 2024
Dec. 28, 2023
Jun. 30, 2023
Statement [Line Items]      
Total Borrowings from collateralized liabilities $ 3,793.0   $ 6,071.0
Series XX Notes [Member]      
Statement [Line Items]      
Description of semi annual payments Series XX: Denominated in dollars for USD 23.0 million at a fixed rate of 6.0%, with semi-annual payments. The principal will be paid at maturity on June 10, 2026. The price of issuance was 100.0% of the nominal value    
Series XVIII Notes [Member]      
Statement [Line Items]      
Description of semi annual payments Series XVIII: Denominated in dollars for USD 21.4 million at a fixed rate of 7.0%, with semi-annual payments. The principal will be paid at maturity on February 28, 2027. The price of issuance was 100.0% of the nominal value    
Series XIX Notes [Member]      
Statement [Line Items]      
Description of semi annual payments Series XIX: Denominated and payable in Argentina pesos for ARS 26,204 million at a variable interest rate BADLAR plus 0.99% spread, with quarterly payments. The principal will be paid at maturity on February 28, 2025. The price of issuance was 100.0% of the nominal value    
Leaving outstanding amount $ 26,204.0    
Series XII Notes [Member]      
Statement [Line Items]      
Aggregate principal amount   $ 25,314.0  
Description of interest payable The redemption price was 100% of the face value of the Series XII Notes, plus accrued and unpaid interest, as of the date set for redemption    
Series XXI Notes [Member]      
Statement [Line Items]      
Description of semi annual payments Series XXI: Denominated and payable in Argentina pesos for ARS 17,012.7 million at a variable interest rate BADLAR plus 4.50% spread, with quarterly payments. The principal will be paid at maturity on June 10, 2025. The price of issuance was 100.0% of the nominal value    
Leaving outstanding amount $ 17,012.7