Company: CRESW
Filing Date: 2025-11-25
Form Type: 6-K
Source: 0001034957-25-000027
Chunk: 19

Company: CRESUD INC
Filing Date: 2025-11-25
Form: 6-K
Chunk 19
---
,011 |      4,560 |
| Depreciation                                       
 and amortization                                   |     11,268 |     14,392 |
| Fees                                               
 and payments for services                          |        530 |         88 |
| Maintenance,                                       
 security, cleaning, repairs and others             |        767 |        542 |
| Taxes,                                             
 rates and contributions                            |        158 |        110 |
| Leases                                             
 and service charges                                |        102 |         59 |
| Freights                                           |      1,213 |        823 |
| Travelling,                                        
 library expenses and stationery                    |        516 |        565 |
| Other                                              
 expenses                                           |      4,322 |      2,853 |
|                                                    |     80,026 |     72,787 |

#### 14.

#### Inventories
Breakdown of Group’s inventories as of September 30, 2025 and June 30, 2025 are as follows:

|               | 09.30.2025 | 06.30.2025 |
| Crops         |    109,340 |    104,547 |
| Materials and 
 supplies      |    106,841 |     81,473 |
| Sugarcane     |      1,393 |      1,358 |
| Agricultural  
 inventories   |    217,574 |    187,378 |
| Supplies for  
 hotels        |        668 |        619 |
| Total         
 inventories   |    218,242 |    187,997 |

Véase nuestro informe de fecha 11/11/22

PRICE WATERHOUSE & Co. S.R.L.

C.P.C.E.C.A.B.A. T° 1 F° 17

<div align='center'>19</div>

#### Cresud Sociedad Anónima,
<div align='center'>**Comercial, Inmobiliaria, Financiera y Agropecuaria**</div>

#### 15.

#### Financial instruments by category

#### Determining fair values
In accordance with IFRS 7, the present note shows the financial assets and financial liabilities by category of financial instrument and a reconciliation to the corresponding line in the Consolidated Statements of Financial Position, as appropriate. Financial assets and liabilities measured at fair value are assigned based on their different levels in the fair value hierarchy. For further information related to