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Cash and Cash Equivalents (Tables)
12 Months Ended
Dec. 31, 2020
Disclosure of cash and cash equivalents [text block] [Abstract]  
Schedule of reconciliation of cash and cash equivalents to statement of cash flows
   2019   2020 
   MCh$   MCh$ 
Cash and due from banks:          
Cash (*)   889,911    615,842 
Current account with the Central Bank (*)   178,429    641,890 
Deposits in other domestic banks   75,651    14,506 
Deposits abroad   1,248,175    1,287,978 
Subtotal - Cash and due from banks   2,392,166    2,560,216 
           
Transactions in the course of collection   232,551    (719,692)
Highly liquid financial instruments (**)   371,063    400,014 
Repurchase agreements   114,466    34,872 
Total cash and cash equivalents   3,110,246    2,275,410 
Schedule of highly liquid financial instruments
  2019   2020 
  MCh$   MCh$ 
Highly liquid financial instruments:        
Financial Assets Held-for-trading   371,063    400,014 
Total   371,063    400,014 
Schedule of transactions in the course of collection
   2019   2020 
   MCh$   MCh$ 
Assets        
Documents drawn on other banks (clearing)   222,261    123,267 
Funds receivable   109,159    39,985 
Subtotal transactions in the course of collection   331,420    163,252 
           
Liabilities          
Funds payable   (98,869)   (882,944)
Subtotal transactions in the course of payment   (98,869)   (882,944)
Total transactions in the course of collection   232,551    (719,692)