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The Groups business and general information (Details) - ARS ($)
$ / shares in Units, $ in Millions
12 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2023
Jul. 01, 2023
Statement [Line Items]        
Trade and other payables $ 330,518 $ 348,615   $ 393,501
Total Current liabilities 1,001,779 919,000   1,010,353
TOTAL LIABILITIES 2,875,030 2,663,976   3,037,296
Shareholders' equity 970,586 968,539   1,085,897
TOTAL SHAREHOLDERS' EQUITY 2,213,792 2,178,241   $ 2,501,817
Management fees (9,081) (12,945) $ (24,823)  
Loss from operations 220,945 (191,917) (105,786)  
Inflation adjustment 11,435 (39,527) 59,590  
Financial results, net 47,576 208,552 127,395  
Profit for the year $ 224,366 $ 148,839 $ 406,477  
Basic $ 160.81 $ 214.71 $ 380.00  
Diluted $ 145.22 $ 181.25 $ 333.96  
Net cash generated from operating activities before income tax paid $ 159,712 $ 127,253 $ 217,984  
Net cash generated from operating activities 151,319 115,446 188,028  
Exercise of warrants 11,794 3,113 1,000  
Net cash generated from / (used in) financing activities $ 86,184 (310,520) (471,725)  
Restatement Current        
Statement [Line Items]        
Trade and other payables   346,451 393,316  
Total Current liabilities   916,836 1,010,168  
TOTAL LIABILITIES   2,661,812 3,037,111  
Shareholders' equity   970,703 1,086,082  
TOTAL SHAREHOLDERS' EQUITY   2,180,405 2,502,002  
Management fees   (10,967) (24,654)  
Loss from operations   (189,939) (105,617)  
Inflation adjustment   (59,316) 57,902  
Financial results, net   188,763 125,707  
Profit for the year   $ 131,028 $ 404,958  
Basic   $ 184.64 $ 377.47  
Diluted   $ 155.87 $ 331.73  
Net cash generated from operating activities before income tax paid   $ 107,464 $ 216,296  
Net cash generated from operating activities   95,657 186,340  
Exercise of warrants   22,902 2,688  
Net cash generated from / (used in) financing activities   (290,731) (470,037)  
As previously reported        
Statement [Line Items]        
Trade and other payables   248,494 282,108  
Total Current liabilities   657,605 724,553  
TOTAL LIABILITIES   1,909,201 2,178,387  
Shareholders' equity   696,243 778,999  
TOTAL SHAREHOLDERS' EQUITY   1,563,910 1,794,577  
Management fees   (7,866) (17,683)  
Loss from operations   (136,236) (75,750)  
Inflation adjustment   (42,545) 41,526  
Financial results, net   135,391 90,159  
Profit for the year   $ 93,980 $ 290,458  
Basic   $ 132.44 $ 270.75  
Diluted   $ 111.80 $ 237.94  
Net cash generated from operating activities before income tax paid   $ 77,079 $ 155,140  
Net cash generated from operating activities   68,610 133,654  
Exercise of warrants   16,428 1,928  
Net cash generated from / (used in) financing activities   (208,529) (337,137)  
RECPAM (Inflationary effect)        
Statement [Line Items]        
Trade and other payables   97,957 111,208  
Total Current liabilities   259,231 285,615  
TOTAL LIABILITIES   752,611 858,724  
Shareholders' equity   274,460 307,083  
TOTAL SHAREHOLDERS' EQUITY   616,495 707,425  
Management fees   (3,101) (6,971)  
Loss from operations   (53,703) (29,867)  
Inflation adjustment   (16,771) 16,376  
Financial results, net   53,372 35,548  
Profit for the year   $ 37,048 $ 114,500  
Basic   $ 52.20 $ 106.72  
Diluted   $ 44.07 $ 93.79  
Net cash generated from operating activities before income tax paid   $ 30,385 $ 61,156  
Net cash generated from operating activities   27,047 52,686  
Exercise of warrants   6,474 760  
Net cash generated from / (used in) financing activities   (82,202) (132,900)  
Error correction        
Statement [Line Items]        
Trade and other payables   2,164 185  
Total Current liabilities   2,164 185  
TOTAL LIABILITIES   2,164 185  
Shareholders' equity   (2,164) (185)  
TOTAL SHAREHOLDERS' EQUITY   (2,164) (185)  
Management fees   (1,978) (169)  
Loss from operations   (1,978) (169)  
Inflation adjustment   19,789 1,688  
Financial results, net   19,789 1,688  
Profit for the year   $ 17,811 $ 1,519  
Basic   $ 30.07 $ 2.53  
Diluted   $ 25.38 $ 2.23  
Net cash generated from operating activities before income tax paid   $ 19,789 $ 1,688  
Net cash generated from operating activities   19,789 1,688  
Exercise of warrants   (19,789) (1,688)  
Net cash generated from / (used in) financing activities   (19,789) (1,688)  
Restated        
Statement [Line Items]        
Trade and other payables   348,615 393,501  
Total Current liabilities   919,000 1,010,353  
TOTAL LIABILITIES   2,663,976 3,037,296  
Shareholders' equity   968,539 1,085,897  
TOTAL SHAREHOLDERS' EQUITY   2,178,241 2,501,817  
Management fees   (12,945) (24,823)  
Loss from operations   (191,917) (105,786)  
Inflation adjustment   (39,527) 59,590  
Financial results, net   208,552 127,395  
Profit for the year   $ 148,839 $ 406,477  
Basic   $ 214.71 $ 380.00  
Diluted   $ 181.25 $ 333.96  
Net cash generated from operating activities before income tax paid   $ 127,253 $ 217,984  
Net cash generated from operating activities   115,446 188,028  
Exercise of warrants   3,113 1,000  
Net cash generated from / (used in) financing activities   $ (310,520) $ (471,725)