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FINANCIAL RISK MANAGEMENT (Details 18) - PEN (S/)
S/ in Thousands
Dec. 31, 2018
Jan. 01, 2018
Dec. 31, 2017
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets S/ 32,863,118 [1] S/ 164,228,539 S/ 32,862,001 [1]
Financial liabilities 9,415,357 S/ 139,747,905 13,415,843
Not measured at fair value [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 161,989,593   154,363,008
Financial liabilities, at fair value 142,688,313   131,489,247
Financial assets 161,991,309   154,126,299
Financial liabilities 142,144,985   130,876,794
Deposits and obligations [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 104,551,310   97,170,411
Financial liabilities 104,551,310   97,170,411
Payables from repurchase agreements [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 9,415,357   13,415,843
Financial liabilities 9,415,357   13,415,843
Due to Banks and correspondents and other entities [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 8,520,401   8,034,990
Financial liabilities 8,448,140   7,996,889
Bank acceptances liabilities [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 967,968   532,034
Financial liabilities 967,968   532,034
Payable to reinsurers and coinsurers [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 308,602   235,185
Financial liabilities 308,602   235,185
Bond and notes issued [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 15,928,607   8,830,070
Financial liabilities 15,457,540   8,255,718
Other liabilitie [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 2,996,068   3,270,714
Financial liabilities 2,996,068   3,270,714
Cash and due from banks [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 22,168,516   23,221,987
Financial assets 22,168,516   23,221,987
Cash collateral reverse repurchase [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 4,082,942   7,480,420
Financial assets 4,082,942   7,480,420
Held-to-maturity investments [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   4,650,082
Financial assets 0   4,413,373
Loans, net [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 126,581,269   115,346,836
Financial assets 126,581,269   115,346,836
Premiums and other policies receivable [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 887,273   656,829
Financial assets 887,273   656,829
Accounts receivable from reinsurers and coinsurers [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 842,043   715,695
Financial assets 842,043   715,695
Other asset [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 2,306,460   1,759,125
Financial assets 2,306,460   1,759,125
Investments at Amortized Cost [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 4,153,122   0
Financial assets 4,154,838   0
Due from Customers on Acceptances [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 967,968   532,034
Financial assets 967,968   532,034
Level 1 of fair value hierarchy [member] | Not measured at fair value [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 3,815,301   4,088,520
Financial liabilities, at fair value 0   0
Level 1 of fair value hierarchy [member] | Deposits and obligations [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 0   0
Level 1 of fair value hierarchy [member] | Payables from repurchase agreements [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 0   0
Level 1 of fair value hierarchy [member] | Due to Banks and correspondents and other entities [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 0   0
Level 1 of fair value hierarchy [member] | Bank acceptances liabilities [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 0   0
Level 1 of fair value hierarchy [member] | Payable to reinsurers and coinsurers [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 0   0
Level 1 of fair value hierarchy [member] | Bond and notes issued [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 0   0
Level 1 of fair value hierarchy [member] | Other liabilitie [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 0   0
Level 1 of fair value hierarchy [member] | Cash and due from banks [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 1 of fair value hierarchy [member] | Cash collateral reverse repurchase [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 1 of fair value hierarchy [member] | Held-to-maturity investments [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   4,088,520
Level 1 of fair value hierarchy [member] | Loans, net [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 1 of fair value hierarchy [member] | Premiums and other policies receivable [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 1 of fair value hierarchy [member] | Accounts receivable from reinsurers and coinsurers [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 1 of fair value hierarchy [member] | Other asset [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 1 of fair value hierarchy [member] | Investments at Amortized Cost [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 3,815,301   0
Level 1 of fair value hierarchy [member] | Due from Customers on Acceptances [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 2 of fair value hierarchy [member] | Not measured at fair value [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 158,174,292   150,274,488
Financial liabilities, at fair value 142,688,313   131,489,247
Level 2 of fair value hierarchy [member] | Deposits and obligations [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 104,551,310   97,170,411
Level 2 of fair value hierarchy [member] | Payables from repurchase agreements [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 9,415,357   13,415,843
Level 2 of fair value hierarchy [member] | Due to Banks and correspondents and other entities [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 8,520,401   8,034,990
Level 2 of fair value hierarchy [member] | Bank acceptances liabilities [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 967,968   532,034
Level 2 of fair value hierarchy [member] | Payable to reinsurers and coinsurers [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 308,602   235,185
Level 2 of fair value hierarchy [member] | Bond and notes issued [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 15,928,607   8,830,070
Level 2 of fair value hierarchy [member] | Other liabilitie [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 2,996,068   3,270,714
Level 2 of fair value hierarchy [member] | Cash and due from banks [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 22,168,516   23,221,987
Level 2 of fair value hierarchy [member] | Cash collateral reverse repurchase [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 4,082,942   7,480,420
Level 2 of fair value hierarchy [member] | Held-to-maturity investments [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   561,562
Level 2 of fair value hierarchy [member] | Loans, net [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 126,581,269   115,346,836
Level 2 of fair value hierarchy [member] | Premiums and other policies receivable [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 887,273   656,829
Level 2 of fair value hierarchy [member] | Accounts receivable from reinsurers and coinsurers [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 842,043   715,695
Level 2 of fair value hierarchy [member] | Other asset [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 2,306,460   1,759,125
Level 2 of fair value hierarchy [member] | Investments at Amortized Cost [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 337,821   0
Level 2 of fair value hierarchy [member] | Due from Customers on Acceptances [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 967,968   532,034
Level 3 of fair value hierarchy [member] | Not measured at fair value [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Financial liabilities, at fair value 0   0
Level 3 of fair value hierarchy [member] | Deposits and obligations [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 0   0
Level 3 of fair value hierarchy [member] | Payables from repurchase agreements [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 0   0
Level 3 of fair value hierarchy [member] | Due to Banks and correspondents and other entities [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 0   0
Level 3 of fair value hierarchy [member] | Bank acceptances liabilities [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 0   0
Level 3 of fair value hierarchy [member] | Payable to reinsurers and coinsurers [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 0   0
Level 3 of fair value hierarchy [member] | Bond and notes issued [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 0   0
Level 3 of fair value hierarchy [member] | Other liabilitie [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial liabilities, at fair value 0   0
Level 3 of fair value hierarchy [member] | Cash and due from banks [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 3 of fair value hierarchy [member] | Cash collateral reverse repurchase [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 3 of fair value hierarchy [member] | Held-to-maturity investments [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 3 of fair value hierarchy [member] | Loans, net [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 3 of fair value hierarchy [member] | Premiums and other policies receivable [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 3 of fair value hierarchy [member] | Accounts receivable from reinsurers and coinsurers [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 3 of fair value hierarchy [member] | Other asset [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 3 of fair value hierarchy [member] | Investments at Amortized Cost [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value 0   0
Level 3 of fair value hierarchy [member] | Due from Customers on Acceptances [Member]      
Disclosure of detailed information about comparison between carrying amounts and fair value of financial instruments which are not measured at fair value [Line Items]      
Financial assets, at fair value S/ 0   S/ 0
[1] The balances of financial instruments at December 31, 2018 have been prepared in accordance with IFRS 9; the balances of the previous period have not been restated, see Note 3(a)(i).