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Fair Value of Financial Assets and Liabilities (Details) - Schedule of Financial Instruments Subject to Compensation - CLP ($)
$ in Millions
Dec. 31, 2023
Dec. 31, 2022
Fair Value of Financial Assets and Liabilities (Details) - Schedule of Financial Instruments Subject to Compensation [Line Items]    
Gross amounts $ 10,575,817 $ 10,280,291
Compensated in balance
Net amount presented in balance 10,575,817 10,280,291
Remaining financial instruments not subject to neeting agreements 39,806,981 39,563,271
Amount in Statements of Financial Position 50,382,798 49,843,562
Liabilities    
Gross amounts 12,014,721 11,680,636
Compensated in balance
Net amount presented in balance 12,014,721 11,680,636
Remaining financial instruments not subject to neeting agreements 40,298,472 38,672,614
Amount in Statements of Financial Position 52,313,193 50,353,249
Financial derivative contracts [Member]    
Liabilities    
Gross amounts 11,732,137  
Compensated in balance  
Net amount presented in balance 11,732,137  
Remaining financial instruments not subject to neeting agreements 256,205  
Amount in Statements of Financial Position 11,988,342  
Investments under resale agreements [Member]    
Liabilities    
Gross amounts 282,584 315,355
Compensated in balance
Net amount presented in balance 282,584 315,355
Remaining financial instruments not subject to neeting agreements
Amount in Statements of Financial Position 282,584 315,355
Deposits and interbank borrowings [Member]    
Liabilities    
Gross amounts [1]
Compensated in balance [1]
Net amount presented in balance [1]
Remaining financial instruments not subject to neeting agreements 40,042,267 35,929,781 [1]
Amount in Statements of Financial Position 40,042,267 35,929,780 [1]
Financial derivative contracts and hedge accounting [Member]    
Liabilities    
Gross amounts   11,365,281
Compensated in balance  
Net amount presented in balance   11,365,281
Remaining financial instruments not subject to neeting agreements   2,742,833
Amount in Statements of Financial Position   14,108,114
Financial derivative contracts and hedge accounting [Member]    
Fair Value of Financial Assets and Liabilities (Details) - Schedule of Financial Instruments Subject to Compensation [Line Items]    
Gross amounts [2] 10,575,817 10,280,291
Compensated in balance [2]
Net amount presented in balance [2] 10,575,817 10,280,291
Remaining financial instruments not subject to neeting agreements [2] 149,198 1,870,431
Amount in Statements of Financial Position [2] 10,725,015 12,150,722
Loans and accounts receivable and interbank loans [Member]    
Fair Value of Financial Assets and Liabilities (Details) - Schedule of Financial Instruments Subject to Compensation [Line Items]    
Gross amounts [3]
Compensated in balance [3]
Net amount presented in balance [3]
Remaining financial instruments not subject to neeting agreements [3] 39,657,783 37,692,840
Amount in Statements of Financial Position [3] $ 39,657,783 $ 37,692,840
[1] Include Deposits and other demand liabilities, Time deposits and other time liabilities and Interbank borrowings
[2] Derivatives contract have guarantees associated for Ch$1,695,431 million and Ch$746,729, respectively.
[3] Loans and accounts receivable and interbank loans at amortised cost