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Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity
$ in Thousands, $ in Millions
12 Months Ended
Dec. 31, 2020
CLP ($)
Dec. 31, 2019
CLP ($)
Dec. 31, 2020
USD ($)
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Cash and due from banks $ 2,560,216 $ 2,392,166 $ 3,596,314
Transactions in the course of collection 163,252 331,420 229,319
Investment under resale agreements 76,407 142,329 107,328
Customer loans 30,101,583 29,384,039 42,283,443
Financial Assets at Fair Value through OCI 1,068,153 1,366,343 1,500,426
Assets as of December 31, 2020      
Current accounts and demand deposits 15,167,229 11,326,133 21,305,280
Transactions in the course of payment 882,944 98,869 1,240,264
Obligations under repurchase agreements 288,917 308,734 405,839
Savings accounts and interest-bearing deposits 8,899,541 10,856,618 12,501,111
Other liabilities 554,343 631,667 778,681
Total liabilities 191,713 156,229 $ 269,298
Total [Member]      
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Cash and due from banks 2,496,891 2,310,055  
Transactions in the course of collection 96,444 230,605  
Investment under resale agreements 10,007 45,056  
Derivative instruments under hedge-accounting treatment 1,712,768 1,742,158  
Inter-banking loans 2,940,367 1,142,468  
Customer loans 35,474,434 33,881,275  
Financial Assets at Fair Value through OCI 1,059,418 1,356,379  
Total assets 43,790,329 40,707,996  
Assets as of December 31, 2020      
Current accounts and demand deposits 15,245,137 11,382,462  
Transactions in the course of payment 816,294 3,423  
Obligations under repurchase agreements 13,255 9,068  
Savings accounts and interest-bearing deposits 8,916,944 10,942,193  
Derivative instruments under hedge-accounting treatment 1,761,608 1,744,185  
Inter-banking borrowings 3,664,648 1,549,514  
Long-term debt (*) 9,760,178 10,135,540  
Other liabilities 189,840 160,725  
Total liabilities 40,367,904 35,927,110  
Up to 1 month      
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Cash and due from banks 2,496,891 2,310,055  
Transactions in the course of collection 96,444 230,605  
Investment under resale agreements 10,007 45,056  
Derivative instruments under hedge-accounting treatment 260 774  
Inter-banking loans 2,743,250 876,508  
Customer loans 3,180,598 3,179,665  
Financial Assets at Fair Value through OCI 94,086 26,180  
Total assets 8,621,536 6,668,843  
Assets as of December 31, 2020      
Current accounts and demand deposits 15,245,137 11,382,462  
Transactions in the course of payment 816,294 3,423  
Obligations under repurchase agreements 13,255 9,068  
Savings accounts and interest-bearing deposits 6,243,204 6,421,107  
Derivative instruments under hedge-accounting treatment 160 156  
Inter-banking borrowings 72,935 60,331  
Long-term debt (*) 53,438 178,310  
Other liabilities 189,003 142,010  
Total liabilities 22,633,426 18,196,867  
Over 1 month and up to 3 months [Member]      
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Derivative instruments under hedge-accounting treatment 1,800 36,304  
Inter-banking loans 71,543 98,673  
Customer loans 2,339,929 2,524,282  
Financial Assets at Fair Value through OCI 145,272 241,326  
Total assets 2,558,544 2,900,585  
Assets as of December 31, 2020      
Obligations under repurchase agreements 43 8,583  
Savings accounts and interest-bearing deposits 1,964,350 1,985,948  
Derivative instruments under hedge-accounting treatment 291 33,740  
Inter-banking borrowings 140,455 348,228  
Long-term debt (*) 90,285 190,329  
Other liabilities 80 292  
Total liabilities 2,195,461 2,558,537  
Over 3 months and up to 12 months [member]      
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Derivative instruments under hedge-accounting treatment 182,709 28,302  
Inter-banking loans 125,574 167,287  
Customer loans 6,504,393 6,473,441  
Financial Assets at Fair Value through OCI 456,613 805,844  
Total assets 7,269,289 7,474,874  
Assets as of December 31, 2020      
Obligations under repurchase agreements   1,440  
Savings accounts and interest-bearing deposits 648,974 2,250,153  
Derivative instruments under hedge-accounting treatment 192,625 23,300  
Inter-banking borrowings 340,532 934,144  
Long-term debt (*) 1,082,282 576,309  
Other liabilities 334 17,529  
Total liabilities 2,264,747 3,801,435  
Over 1 year and up to 3 years [Member]      
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Derivative instruments under hedge-accounting treatment 250,612 257,909  
Customer loans 8,134,601 6,979,231  
Financial Assets at Fair Value through OCI 185,995 115,805  
Total assets 8,571,208 7,352,945  
Assets as of December 31, 2020      
Obligations under repurchase agreements    
Savings accounts and interest-bearing deposits 59,038 284,073  
Derivative instruments under hedge-accounting treatment 230,742 251,136  
Inter-banking borrowings 1,020,126 206,811  
Long-term debt (*) 2,194,406 2,091,841  
Other liabilities 386 727  
Total liabilities 3,504,698 2,834,588  
Over 3 years and up to 5 years [Member]      
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Derivative instruments under hedge-accounting treatment 282,219 348,950  
Customer loans 4,437,666 3,980,097  
Financial Assets at Fair Value through OCI 31,465 25,219  
Total assets 4,751,350 4,354,266  
Assets as of December 31, 2020      
Obligations under repurchase agreements  
Savings accounts and interest-bearing deposits 1,222 491  
Derivative instruments under hedge-accounting treatment 280,421 317,886  
Inter-banking borrowings 2,090,600    
Long-term debt (*) 1,886,936 2,081,579  
Other liabilities 37 167  
Total liabilities 4,259,216 2,400,123  
Over 5 years [Member]      
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Derivative instruments under hedge-accounting treatment 995,168 1,069,919  
Customer loans 10,877,247 10,744,559  
Financial Assets at Fair Value through OCI 145,987 142,005  
Total assets 12,018,402 11,956,483  
Assets as of December 31, 2020      
Obligations under repurchase agreements  
Savings accounts and interest-bearing deposits 156 421  
Derivative instruments under hedge-accounting treatment 1,057,369 1,117,967  
Long-term debt (*) 4,452,831 5,017,172  
Total liabilities $ 5,510,356 $ 6,135,560