v3.25.3
Borrowings (Details 3)
12 Months Ended
Jun. 30, 2025
Class XXI [Member]  
Statement [Line Items]  
Maturity date 6/10/2025
Principal payment At expiration
Interest payment Quarterly
Interest rate 4.50%
Amount in original currency ARS 17,012.71
Issuance / expansion date jun-24
Class XXII [Member]  
Statement [Line Items]  
Maturity date 10/23/2027
Principal payment At expiration
Interest payment Semi-annually
Interest rate 5.75%
Amount in original currency USD 15.80
Issuance / expansion date oct-24
Class XXIII [Member]  
Statement [Line Items]  
Maturity date 10/23/2029
Principal payment At expiration
Interest payment Semi-annually
Interest rate 7.25%
Amount in original currency USD 51.47
Issuance / expansion date oct-24
Class XXIV [Member]  
Statement [Line Items]  
Maturity date 3/31/2035
Principal payment 33% march-33 - 33% march-34 y 34% march-35
Interest payment Semi-annually
Interest rate 8.00%
Amount in original currency USD 300.45
Issuance / expansion date mar-25
Class XVIII [Member]  
Statement [Line Items]  
Maturity date 2/28/2027
Principal payment At expiration
Interest payment Semi-annually
Interest rate 7.00%
Amount in original currency USD 21.41
Issuance / expansion date feb-24
Class XIX [Member]  
Statement [Line Items]  
Maturity date 2/28/2025
Principal payment At expiration
Interest payment Quarterly
Interest rate 0.99%
Amount in original currency ARS 26,203.85
Issuance / expansion date feb-24
Class XX [Member]  
Statement [Line Items]  
Maturity date 6/10/2026
Principal payment At expiration
Interest payment Semi-annually
Interest rate 6.00%
Amount in original currency USD 23.02
Issuance / expansion date jun-24