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BONDS AND NOTES ISSUED - Additional information (Details)
S/ in Thousands, ¥ in Millions, $ in Millions
1 Months Ended 12 Months Ended 60 Months Ended
Dec. 11, 2024
Aug. 17, 2024
Apr. 24, 2022
Sep. 16, 2021
Sep. 30, 2019
USD ($)
Sep. 30, 2019
PEN (S/)
Dec. 31, 2019
JPY (¥)
Apr. 24, 2022
Sep. 15, 2021
Dec. 31, 2019
USD ($)
Dec. 31, 2019
PEN (S/)
Sep. 30, 2019
PEN (S/)
Dec. 31, 2018
USD ($)
Dec. 31, 2018
PEN (S/)
Mar. 31, 2018
USD ($)
Mar. 31, 2018
PEN (S/)
Disclosure of bonds and notes issued [Line Items]                                
Notional amount                     S/ 69,720,506     S/ 56,935,229    
Derivatives [member]                                
Disclosure of bonds and notes issued [Line Items]                                
Financial instruments designated as hedging instruments, at fair value                   $ 8.7 28,800   $ 16.5 55,700 $ 22.0 S/ 71,700
Consolidated income [Member]                                
Disclosure of bonds and notes issued [Line Items]                                
Financial instruments designated as hedging instruments, at fair value                   7.8 26,000   5.5 16,100    
Subordinated bonds - BCP One [Member] | Subsequent Events [Member]                                
Disclosure of bonds and notes issued [Line Items]                                
Borrowings, interest rate basis     Libor plus 70.3 basis points         América's rate plus 50 basis points America´s rate plus 50 basis point              
Subordinated bonds - BCP Two [Member] | Floating interest rate [member]                                
Disclosure of bonds and notes issued [Line Items]                                
Borrowings, interest rate basis       Libor plus 770.8 basis points                        
Senior Notes One [Member]                                
Disclosure of bonds and notes issued [Line Items]                                
Borrowings, interest rate basis         Treasury of the United States of America's rate plus 40 basis points Treasury of the United States of America's rate plus 40 basis points                    
Repurchase of debt | $         $ 220.3                      
Notional value payable | $         374.6                      
Borrowings exchanged | $         $ 205.0                      
Senior Notes Two [Member]                                
Disclosure of bonds and notes issued [Line Items]                                
Borrowings, interest rate basis             Treasury of the United States of America's rate plus 50 basis point                  
Senior Notes Three [Member]                                
Disclosure of bonds and notes issued [Line Items]                                
Repurchase of debt           S/ 291,200                    
Notional value payable                       S/ 400,000        
Borrowings exchanged           S/ 1,308,800                    
Senior Notes Six [Member]                                
Disclosure of bonds and notes issued [Line Items]                                
Borrowings, interest rate basis             Treasury of the United States of America plus 20 basis points                  
New Senior Notes under Senior Notes One                                
Disclosure of bonds and notes issued [Line Items]                                
Borrowings, interest rate basis         Treasury of the United States of America's rate plus 20 basis points Treasury of the United States of America's rate plus 20 basis points                    
Senior notes issued | $         $ 700.0                      
Redemption price, as a percentage of principal amount         100.00% 100.00%                    
New Senior Notes under Senior Notes One | Forecast [Member]                                
Disclosure of bonds and notes issued [Line Items]                                
Redemption price, as a percentage of principal amount 100.00%                              
New Senior Notes under Senior Notes Three                                
Disclosure of bonds and notes issued [Line Items]                                
Senior notes issued           S/ 2,500,000                    
Redemption price, as a percentage of principal amount         100.00% 100.00%                    
Redemption price, interest rate basis         25.00% 25.00%                    
New Senior Notes under Senior Notes Three | Forecast [Member]                                
Disclosure of bonds and notes issued [Line Items]                                
Redemption price, as a percentage of principal amount   100.00%                            
Interest Rate Swap | Senior Notes Four [Member] | Cash flow hedges                                
Disclosure of bonds and notes issued [Line Items]                                
Notional amount                   70.0 232,000          
Cross Currency Swap | Senior Notes One [Member] | Cash flow hedges                                
Disclosure of bonds and notes issued [Line Items]                                
Notional amount                   $ 50.0 165,700          
Cross Currency Swap | Senior Notes Five [Member] | Cash flow hedges                                
Disclosure of bonds and notes issued [Line Items]                                
Notional amount             ¥ 5,000.0       S/ 152,500          
Cross Currency Swap | Senior Notes Six [Member] | Cash flow hedges                                
Disclosure of bonds and notes issued [Line Items]                                
Notional amount                         $ 300.0 S/ 1,011,900