(Q1)Sep 30, 2024 | (FY)Jun 30, 2024 | (Q4)Jun 30, 2024 | (Q3)Mar 31, 2024 | (Q2)Dec 31, 2023 | (Q1)Sep 30, 2023 | (FY)Jun 30, 2023 | (Q4)Jun 30, 2023 | (Q3)Mar 31, 2023 | (Q2)Dec 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | 44.98%47.81B | -23.66%103.51B | -50.44%28.17B | -8.38%41.79B | -97.51%568M | 219.61%32.98B | 33.54%135.59B | -34.72%56.84B | 756.38%45.61B | 273.13%22.82B |
Net income from continuing operations | -143.52%-109.04B | -114.92%-33.8B | -24.61%77.93B | -443.76%-258.32B | -331.08%-103.95B | 8,010.65%250.54B | -18.92%226.59B | -59.62%103.37B | 386.69%75.15B | -12.77%44.98B |
Operating gains losses | 167.20%215.9B | 93.07%314.11B | -204.24%-41.16B | 1,139.19%514.24B | 134.29%162.31B | -2,683.92%-321.29B | 252.78%162.69B | 130.25%39.48B | -38.53%41.5B | 224.45%69.28B |
Depreciation and amortization | 11.60%1.98B | -7.20%6.55B | -0.61%2.45B | -5.43%2.3B | -98.48%25M | 241.54%1.78B | -5.33%7.06B | -60.70%2.47B | 376.27%2.43B | 314.65%1.64B |
Deferred tax | -141.72%-55.37B | 80.67%-46.34B | 117.30%17.69B | -102.62%-118.98B | 5.59%-77.76B | 3,566.16%132.72B | -1,180.57%-239.7B | -396.52%-102.24B | -160.53%-58.72B | -658.17%-82.36B |
Other non cash items | -123.81%-18.65B | -42.42%-102.14B | -12.32%-28.42B | -379.66%-84.75B | 198.18%19.36B | 7.80%-8.33B | 37.37%-71.72B | 72.12%-25.3B | -10.32%-17.67B | -311.31%-19.71B |
Change In working capital | 150.41%4.92B | -11,402.88%-47.85B | -313.33%-18.1B | -149.85%-12.35B | -57.28%-7.65B | -1,176.30%-9.76B | -108.53%-416M | 94.90%8.48B | -431.17%-4.94B | -1,140.82%-4.86B |
-Change in receivables | 17.24%11.11B | 282.19%4.77B | -77.72%-6.98B | 322.19%15.14B | -158.23%-12.87B | 249.72%9.47B | -950.60%-2.62B | -5,136.00%-3.93B | 416.12%3.59B | -451.44%-4.99B |
-Change in inventory | 163.80%215M | -576.79%-534M | -1,002.17%-415M | 38.89%-99M | 58.50%317M | -1,303.57%-337M | -82.95%112M | -94.68%46M | 18.18%-162M | 1,276.47%200M |
-Change in payables and accrued expense | 65.97%-6.33B | -2,302.35%-51.47B | -183.52%-10.42B | -228.38%-27.27B | 19,424.00%4.83B | -930.73%-18.62B | -55.45%2.34B | 197.24%12.47B | -984.35%-8.3B | -104.01%-25M |
-Change in other working capital | 76.41%-67M | -146.99%-615M | -161.47%-285M | -95.16%-121M | 238.89%75M | -1,083.33%-284M | 67.91%-249M | 82.81%-109M | -63.16%-62M | -107.69%-54M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | 44.98%47.81B | -23.66%103.51B | -50.44%28.17B | -8.38%41.79B | -97.51%568M | 219.61%32.98B | 33.54%135.59B | -34.72%56.84B | 756.38%45.61B | 273.13%22.82B |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | -196.69%-20.64B | -15.26%83.25B | -127.80%-3.71B | -52.52%35.33B | 415.88%30.27B | 361.10%21.35B | 9.56%98.24B | -80.88%13.33B | 883.92%74.41B | -54.19%5.87B |
Net PPE purchase and sale | -64.73%-1.25B | -154.64%-3.32B | 14.07%-873M | -120.42%-1.59B | 79.14%-97M | -220.76%-757M | 329.18%6.07B | 57.04%-1.02B | 31,252.00%7.79B | -474.07%-465M |
Net intangibles purchase and sale | -210.68%-960M | -37.29%-729M | -3.09%-267M | -108.16%-306M | 266.30%153M | -836.36%-309M | -2.12%-531M | 65.60%-259M | 39.26%-147M | -118.78%-92M |
Net business purchase and sale | -90.71%2.43B | 9,389.45%23.78B | 2,264.04%3.85B | 8,964.10%6.91B | ---13.16B | --26.18B | 82.42%-256M | 84.84%-178M | 65.18%-78M | --0 |
Net investment purchase and sale | 30.99%-10.82B | -77.16%6.46B | -419.92%-26.42B | 44.06%17.54B | 413.24%31.01B | -977.17%-15.68B | 128.35%28.27B | 108.40%8.26B | 930.63%12.18B | 1,671.85%6.04B |
Net other investing changes | 237.89%222M | 23,642.86%1.66B | --411M | --728M | --684M | ---161M | -99.81%7M | ---- | ---- | ---- |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | -196.69%-20.64B | -15.26%83.25B | -127.80%-3.71B | -52.52%35.33B | 415.88%30.27B | 361.10%21.35B | 9.56%98.24B | -80.88%13.33B | 883.92%74.41B | -54.19%5.87B |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | -15.53%-27.61B | 36.65%-190.94B | 81.57%-20.71B | 25.27%-79.95B | -74.17%-66.38B | 45.56%-23.9B | -175.42%-301.4B | -36.97%-112.41B | -590.19%-106.98B | -281.95%-38.11B |
Net issuance payments of debt | 71.04%-3.54B | 137.80%47.79B | 455.54%28.97B | 97.09%-2.33B | 323.38%33.37B | 66.45%-12.21B | -214.73%-126.43B | 119.60%5.21B | -814.47%-80.31B | -86.39%-14.94B |
Net common stock issuance | -191.34%-15.69B | -312.27%-26.71B | -263.59%-9.7B | -756.54%-11.14B | 43.43%-495M | -228.89%-5.38B | -148.81%-6.48B | -5.12%-2.67B | -1,840.30%-1.3B | ---875M |
Cash dividends paid | --0 | -27.07%-152.42B | 80.94%-18.99B | -555.65%-45.43B | -556.00%-88B | --0 | -8,177.78%-119.95B | -7,786.06%-99.6B | -3,625.27%-6.93B | ---13.42B |
Proceeds from stock option exercised by employees | 3,946.51%1.74B | 1,370.27%1.63B | 2,876.67%893M | 784.00%663M | 725.00%33M | 2,050.00%43M | 236.36%111M | 20.00%30M | 3,650.00%75M | 100.00%4M |
Net other financing activities | 21.13%86M | --96M | --24M | --41M | ---40M | --71M | ---- | ---- | ---- | ---- |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | -15.53%-27.61B | 36.65%-190.94B | 81.57%-20.71B | 25.27%-79.95B | -74.17%-66.38B | 45.56%-23.9B | -175.42%-301.4B | -36.97%-112.41B | -590.19%-106.98B | -281.95%-38.11B |
Net cash flow | ||||||||||
Beginning cash position | -12.81%31.73B | -68.29%32.45B | -63.90%20.98B | -9.30%16.04B | 726.59%66.75B | -2.00%36.39B | 303.45%102.33B | 400.31%58.13B | 24.93%17.68B | 104.95%8.08B |
Current changes in cash | -101.46%-443M | 93.81%-4.18B | 129.46%11.82B | -155.34%-6.43B | -311.86%-40B | 203.57%30.43B | -182.64%-67.58B | -153.69%-40.11B | 561.29%11.62B | -201.97%-9.71B |
Effect of exchange rate changes | -153.33%-976M | 409.78%10.9B | -54.74%1.29B | 469.30%2.06B | 1,312.50%5.72B | 473.67%1.83B | 232.88%2.14B | 366.17%2.85B | 2.96%-557M | -2,584.21%-472M |
End cash Position | -54.69%30.24B | -12.81%28.3B | -12.81%28.3B | -63.90%20.98B | -9.30%16.04B | 726.59%66.75B | -68.29%32.45B | -68.29%32.45B | 400.31%58.13B | 24.93%17.68B |
Free cash flow | 42.92%45.6B | -24.72%99.45B | -50.97%27.03B | -10.77%39.89B | -97.19%625M | 217.52%31.91B | 34.35%132.11B | -34.52%55.13B | 748.84%44.7B | 268.02%22.23B |
Currency Unit | ARS | ARS | ARS | ARS | ARS | ARS | ARS | ARS | ARS | ARS |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- | -- | -- |
No Data
No Data