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Cash flow information (Details) - ARS ($)
$ in Millions
12 Months Ended
Jun. 30, 2020
Jun. 30, 2019
Jun. 30, 2018
Cash Flow Information [Abstract]      
(Loss) / Profit for the period $ 20,003 $ (40,729) $ 27,420
Profit from discontinued operations (18,085) (7,140) (36,441)
Adjustments for:      
Income tax 8,107 780 (9,964)
Amortization and depreciation 16,425 10,822 9,741
(Gain) / Loss from disposal of property, plant and equipment (3) 4
Net (gain)/ loss from fair value adjustment of investment properties (30,992) 37,746 (18,971)
Share-based compensation 211 63 89
Net gain / (loss) from fair value adjustment of financial assets 1,026 (419) (1,199)
Loss from disposal of property, plant and equipment (3)
Gain from disposal of intangible assets (13)
Disposal of intangible assets by TGLT agreement (3)
Gain/ (loss) from disposal of subsidiary and associates 247 (983) (860)
Loss from disposal of trading properties (639)
Impairment of other assets 2,470 317
Financial results, net 41,973 13,239 37,705
Provisions and allowances 1,271 1,491 2,365
Share of loss / (profit) of associates and joint ventures (8,662) 7,328 3,452
Loss from revaluation of receivables arising from the sale of farmland (200)
(Gain)/Loss from repurchase of Non-convertible Notes 1 3
Changes in net realizable value of agricultural products after harvest (657) 43 (745)
Unrealized initial recognition and changes in fair value of biological assets and agricultural products at the point of harvest (3,333) (2,294) (1,869)
Unrealized gain from derivative financial instruments 36 293 267
Other operating results 262 157
Gain from disposal of farmlands (838) (665) (1,656)
Impairment of assocaites and joint ventures 184
Result from the revaluation of the participation held before the business combination (3,501) (93)
Granting Plan of actions 3
Changes in operating assets and liabilities:      
Decrease in inventories 722 (730) (1,025)
Decrease in trading properties 930 1,392 1,265
Increase in restricted assets (1,165) (203)
Increase in right-of -use assets (1,053)
Increase in lease liabilities 59
Decrease/ (increase) in trade and other receivables 10,826 2,473 82
Decrease in trade and other payables (6,161) (3,562) 1,212
Decrease in salaries and social security liabilities (280) (16) 296
Decrease in provisions (1,603) (427) (525)
Decrease in biological assets 5,188 1,263 1,572
Net variation in derivative financial instruments 109 157 (209)
Net cash generated by continuing operating activities before income tax paid 33,536 19,922 11,716
Net cash generated by discontinued operating activities before income tax paid 2,848 6,354 14,120
Net cash generated by operating activities before income tax paid $ 36,384 $ 26,276 $ 25,836