v3.25.3
Investments in associates and joint ventures (Details 3) - ARS ($)
12 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Jun. 30, 2023
Statement [Line Items]      
Current Assets $ 562,836,000,000 $ 317,494,000,000  
Non-current Assets 2,799,233,000,000 2,807,977,000,000  
Current Liabilities 338,831,000,000 383,285,000,000  
Non-current Liabilities 1,351,271,000,000 1,135,457,000,000  
Net assets 3,362,069,000,000 3,125,471,000,000  
Revenues 468,526,000,000 458,059,000,000 $ 462,486,000,000
Comprehensive loss for the year 196,118,000,000 (47,127,000,000) 315,903,000,000
Total comprehensive income / (loss) 195,316,000,000 (52,446,000,000) 309,244,000,000
Cash of operating activities 260,719,000,000 144,309,000,000 189,035,000,000
Net cash generated from / (used in) investing activities (82,271,000,000) 116,065,000,000 136,966,000,000
Cash of financing activities 35,515,000,000 (266,206,000,000) $ (420,214,000,000)
BHSA [Member]      
Statement [Line Items]      
Current Assets 1,766,165 2,277,728  
Non-current Assets 1,698,791 860,495  
Current Liabilities 2,989,440 2,588,620  
Non-current Liabilities 10,594 59,334  
Net assets $ 464,922 $ 490,269  
% ownership interest held 29.12% 29.89%  
Interest in associate and joint venture $ 135,385 $ 146,541  
Goodwill and others (1,545) (1,837)  
Book value 133,840 144,704  
Revenues 985,517 2,446,515  
Comprehensive loss for the year 46,554 136,357  
Total comprehensive income / (loss) 46,554 136,357  
Dividend distribution (71,360) 402,351  
Cash of operating activities 144,466 342,658  
Net cash generated from / (used in) investing activities (2,662) (3,352)  
Cash of financing activities 64,445 (65,939)  
Changes in cash and cash equivalents 206,249 273,367  
Nuevo Puerto Santa Fe [Member]      
Statement [Line Items]      
Current Assets 4,562 2,994  
Non-current Assets 20,101 14,966  
Current Liabilities 1,350 1,009  
Non-current Liabilities 6,883 5,121  
Net assets $ 16,430 $ 11,830  
% ownership interest held 50.00% 50.00%  
Interest in associate and joint venture $ 8,215 $ 5,915  
Goodwill and others 288 290  
Book value 8,503 6,205  
Revenues 6,295 5,694  
Comprehensive loss for the year 5,373 815  
Total comprehensive income / (loss) 5,373 815  
Dividend distribution (774) (1,232)  
Cash of operating activities 3,027 1,203  
Net cash generated from / (used in) investing activities (1,693) 191  
Cash of financing activities (799) (1,634)  
Changes in cash and cash equivalents $ 535 (240)  
GCDI [Member]      
Statement [Line Items]      
Current Assets   39,052  
Non-current Assets   124,995  
Current Liabilities   92,175  
Non-current Liabilities   65,197  
Net assets   $ 6,675  
% ownership interest held   27.39%  
Interest in associate and joint venture   $ 1,828  
Goodwill and others   (35)  
Book value   1,793  
Revenues   51,855  
Comprehensive loss for the year   (16,870)  
Total comprehensive income / (loss)   (11,010)  
Dividend distribution   0  
Cash of operating activities   (1,195)  
Net cash generated from / (used in) investing activities   1,351  
Cash of financing activities   (954)  
Changes in cash and cash equivalents   $ (798)