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Cash Flow Information (Tables)
12 Months Ended
Jun. 30, 2025
The Group’s Business Reorganization and General Information [Abstract]  
Schedule of Significant Non-Cash Transactions Related to Investing and Financing Activities

Significant non-cash transactions related to investing and financing activities are as follows:

 

   06/30/2025   06/30/2024   06/30/2023 
Investment activities            
Net assets acquisition by business combination (Note 6)   43,053,702    1,297,882    152,070,313 
Investment in-kind in other related parties (Note 17)   
-
    2,409,244    1,163,384 
Issuance of shares   457,504    267,600    759,236 
Own shares held   22,327    (437,154)   
-
 
Exchange of intangible assets (Note 8.6)   6,427,436    
-
    
-
 
Capitalization of interest on buildings in progress   336,416    124,098    74,710 
Right-of-use leased asset additions through an increase in lease liabilities (Note 16)   9,569,819    2,585,223    3,154,950 
Reclassification from Investment properties to property, plant and equipment   
-
    
-
    3,589,749 
Sale of equity investee (Note 13)   
-
    (900,000)   (133,079)
    59,867,204    5,346,893    160,679,263 
Financing activities            
Capitalization of convertible notes   
-
    
-
    12,211,638 
Assignment of receivables with shareholders and other related parties   (7,886,442)   
-
    
-
 
Compensation payment financed by acquisition of intangible assets   (1,781,507)   
-
    
-
 
Acquisition of interest in subsidiaries by financed debts   
-
    6,417,912    81,965,022 
    (9,667,949)   6,417,912    94,176,660 
Schedule of Changes in Liabilities Arising from Financing Activities

Disclosure of changes in liabilities arising from financing activities:

 

Financing activities  Borrowings   Consideration for acquisition   Convertible notes   Total 
As of June 30 2022   211,426,056    12,326,110    12,559,071    236,311,237 
Proceeds   200,185,822    
-
    55,000,000    255,185,822 
Payments   (35,308,664)   (3,148,617)   
-
    (38,457,281)
Conversion of Convertible Notes   
-
    
-
    (9,109,516)   (9,109,516)
Interest payment   (20,465,271)   
-
    (5,173,742)   (25,639,013)
Exchange differences, currency translation differences and other financial results   (23,391,636)   (4,617,570)   21,937,333    (6,071,873)
As of June 30 2023   332,446,307    4,559,923    75,213,146    412,219,376 
Proceeds   187,994,310    
-
    
-
    187,994,310 
Payments   (142,866,725)   (2,912,171)   
-
    (145,778,896)
Financing for assets acquisitions   743,279    1,119,975    
-
    1,863,254 
Interest payment   (32,631,369)   
-
    (4,172,328)   (36,803,697)
Exchange differences, currency translation differences and other financial results   16,073,254    3,809,240    9,768,868    29,651,362 
As of June 30 2024   361,759,056    6,576,967    80,809,686    449,145,709 
Proceeds   403,333,190    
-
    
-
    403,333,190 
Payments   (376,998,320)   (2,035,388)   (1,000,000)   (380,033,708)
Prepayment Premium Fee   
-
    
-
    4,870,021    4,870,021 
Non-cash activities   (7,886,442)   (1,781,507)   
-
    (9,667,949)
Interest payment   (21,772,862)   
-
    (6,315,826)   (28,088,688)
Exchange differences, currency translation differences and other financial results   26,645,537    138,825    23,906,564    50,690,926 
Acquisition from business combination   1,348,173    
-
    18,260,456    19,608,629 
Decrease because of loss of control   (157,926,152)   (2,898,897)   (102,270,445)   (263,095,494)
As of June 30 2025   228,502,180    
-
    18,260,456    246,762,636