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Investments in associates and joint ventures (Details 3) - ARS ($)
$ in Millions
12 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Jun. 30, 2022
Statement [Line Items]      
Current Assets $ 227,724 $ 260,910  
Non-current Assets 2,014,041 2,382,939  
Current Liabilities 274,913 264,792  
Non-current Liabilities 814,415 940,213  
Net assets 2,241,765 2,643,849  
Revenues 328,546 331,721 $ 256,980
Comprehensive loss for the year (33,803) 226,586 279,471
Total comprehensive income / (loss) (37,619) 221,810 278,066
Cash of operating activities 103,505 135,586 101,535
Net cash generated from / (used in) investing activities 83,250 98,240 89,665
Cash of financing activities (190,938) (301,401) $ (109,434)
Nuevo Puerto Santa Fe [Member]      
Statement [Line Items]      
Current Assets 2,148 2,166  
Non-current Assets 10,735 11,600  
Current Liabilities 724 1,152  
Non-current Liabilities 3,673 3,830  
Net assets $ 8,486 $ 8,784  
% ownership interest held 50.00% 50.00%  
Interest in associate and joint venture $ 4,243 $ 4,392  
Goodwill and others 207 208  
Book value 4,450 4,600  
Revenues 4,084 4,075  
Comprehensive loss for the year 585 846  
Total comprehensive income / (loss) 585 846  
Dividend distribution (884) (1,602)  
Cash of operating activities 785 2,668  
Net cash generated from / (used in) investing activities 215 (1,202)  
Cash of financing activities (1,172) (1,856)  
Changes in cash and cash equivalents (172) (390)  
BHSA [Member]      
Statement [Line Items]      
Current Assets 1,633,715 1,932,586  
Non-current Assets 617,196 517,340  
Current Liabilities 1,856,705 2,128,200  
Non-current Liabilities 42,558 24,495  
Net assets $ 351,648 $ 297,231  
% ownership interest held 29.89% 29.91%  
Interest in associate and joint venture $ 105,108 $ 88,902  
Goodwill and others (1,318) (40)  
Book value 103,790 88,862  
Revenues 1,427 626,247  
Comprehensive loss for the year 97,803 38,290  
Total comprehensive income / (loss) 97,803 38,290  
Dividend distribution (47,640) 0  
Cash of operating activities 216,033 30,008  
Net cash generated from / (used in) investing activities (2,319) (4,102)  
Cash of financing activities (17,640) 29,913  
Changes in cash and cash equivalents 196,074 55,819  
GCDI [Member]      
Statement [Line Items]      
Current Assets 28,010 55,350  
Non-current Assets 89,654 99,378  
Current Liabilities 66,113 66,768  
Non-current Liabilities 46,763 62,380  
Net assets $ 4,788 $ 25,580  
% ownership interest held 27.39% 27.82%  
Interest in associate and joint venture $ 1,312 $ 7,116  
Goodwill and others (26) 0  
Book value 1,286 7,116  
Revenues 37,193 49,859  
Comprehensive loss for the year (12,100) 988  
Total comprehensive income / (loss) (7,897) 1,861  
Dividend distribution 0 0  
Cash of operating activities (857) (2,092)  
Net cash generated from / (used in) investing activities 969 1,861  
Cash of financing activities (684) 238  
Changes in cash and cash equivalents $ (572) $ 7