v3.25.3
Cash flow information (Details) - ARS ($)
$ in Millions
12 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2023
Cash flow information      
Comprehensive loss for the year $ 196,118 $ (47,127) $ 315,903
Adjustments for:      
Income tax 45,180 (64,601) (334,192)
Amortization and depreciation 10,510 9,130 9,838
Loss from disposal of property, plant and equipment (12) 3 3,545
Net gain from fair value adjustment of investment properties 2,500 488,794 254,567
Impairment of others assets 0 0 176
Gain from lease modification (1,982) 0 0
Impairment of trading properties 19,125 0 0
Loss from disposal of associates and joint ventures (2,766) 1,903 0
Realization of currency translation adjustment 0 0 (2,215)
Loss / (gain) on sale of trading properties and others 3,048 (5,307) (15,492)
Financial results, net 21,508 (142,405) (99,985)
Provisions and allowances 22,925 28,887 86,045
Share of (profit) /loss of associates and joint ventures (27,924) (47,454) (13,580)
Changes in operating assets and liabilities:      
Decrease / (increase) in inventories 285 169 (321)
(Increase) / decrease in trading properties 4,105 (913) 476
Decrease / (increase) in trade and other receivables (10,146) 6,645 (3,649)
(Decrease) / increase in trade and other payables (18,054) (68,950) (1,508)
(Decrease) / increase in salaries and social security liabilities 2,208 (2,810) 4,764
Decrease in provisions (505) (857) (347)
Net cash generated by operating activities before income tax paid $ 266,123 $ 155,107 $ 204,025