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FINANCIAL RISK MANAGEMENT - Financial Instruments Not Measured At Fair Value (Details) - PEN (S/)
S/ in Thousands
Dec. 31, 2019
Dec. 31, 2018
Jan. 01, 2018
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/ 164,228,539
Financial liabilities     S/ 139,747,905
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 S/ 148,524,252 S/ 141,215,322  
Financial liabilities, at fair value 149,160,417 142,653,850  
Financial assets 148,104,567 141,217,038  
Financial liabilities 148,277,500 142,110,522  
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 112,005,385 104,551,310  
Financial liabilities 112,005,385 104,551,310  
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 7,678,016 9,415,357  
Financial liabilities 7,678,016 9,415,357  
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 9,032,177 8,520,401  
Financial liabilities 8,841,732 8,448,140  
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 535,222 967,968  
Financial liabilities 535,222 967,968  
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 216,734 291,693  
Financial liabilities 216,734 291,693  
Lease 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 847,504 0  
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 15,638,835 15,928,607  
Financial liabilities 14,946,363 15,457,540  
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 3,206,544 2,978,514  
Financial liabilities 3,206,544 2,978,514  
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 25,986,762 22,168,516  
Financial assets 25,986,762 22,168,516  
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 4,288,524 4,082,942  
Financial assets 4,288,524 4,082,942  
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 110,485,717 105,806,998  
Financial assets 110,485,717 105,806,998  
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 838,731 887,273  
Financial assets 838,731 887,273  
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 791,704 842,043  
Financial assets 791,704 842,043  
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 1,700,861 2,306,460  
Financial assets 1,700,861 2,306,460  
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 3,896,731 4,153,122  
Financial assets 3,477,046 4,154,838  
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 535,222 967,968  
Financial assets 535,222 967,968  
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 3,772,509 3,815,301  
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] | Lease 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] | 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] | 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 3,772,509 3,815,301  
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 144,751,743 137,400,021  
Financial liabilities, at fair value 149,160,417 142,653,850  
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 112,005,385 104,551,310  
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 7,678,016 9,415,357  
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 9,032,177 8,520,401  
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 535,222 967,968  
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 216,734 291,693  
Level 2 of fair value hierarchy [member] | Lease 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 847,504 0  
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 15,638,835 15,928,607  
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 3,206,544 2,978,514  
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 25,986,762 22,168,516  
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 4,288,524 4,082,942  
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 110,485,717 105,806,998  
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 838,731 887,273  
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 791,704 842,043  
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 1,700,861 2,306,460  
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 124,222 337,821  
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 535,222 967,968  
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] | Lease 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] | 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] | 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