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Other Operating Income (Tables)
12 Months Ended
Dec. 31, 2020
Disclosure of other operating income [text block] [Abstract]  
Schedule of other operating income
   2018   2019   2020 
   MCh$   MCh$   MCh$ 
Income for assets received in lieu of payment               
Income from sale of assets received in lieu of payment   3,650    2,560    3 
Other income   56    40    87 
Subtotal   3,706    2,600    90 
                
Release of provisions for contingencies               
Other provisions for contingencies   7,526         
Subtotal   7,526         
                
Other income               
Release of provisions and expense recovery   4,218    9,002    6,497 
Rental investment properties   9,013    8,387    5,748 
Reimbursements for insurance policies   6,346    349    4,414 
Recovery from correspondent banks   2,591    2,816    2,841 
Income from sale leased assets   2,586    1,166    1,956 
Revaluation of prepaid monthly payments   1,224    1,731    1,569 
Credit card income   2,504    4,037    459 
Others   5,581    2,227    3,097 
Subtotal   34,063    29,715    26,581 
                
Total   45,295    32,315    26,671