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Debt Issued (Details) - Schedule of debt securities issued - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2021
Dec. 31, 2020
BCHIEM0817 [Member]    
Debt Issued (Details) - Schedule of debt securities issued [Line Items]    
Currency   UF
Amount   $ 93,096
Terms Years   7 years
Annual issue rate %   0.80%
Issue date   06/01/2020
Maturity date   06/01/2027
BCHIEL0717 [Member]    
Debt Issued (Details) - Schedule of debt securities issued [Line Items]    
Currency   UF
Amount   $ 123,957
Terms Years   8 years
Annual issue rate %   0.72%
Issue date   04/02/2020
Maturity date   04/02/2028
Subtotal UF [Member]    
Debt Issued (Details) - Schedule of debt securities issued [Line Items]    
Amount   $ 217,053
BONO AUD [Member]    
Debt Issued (Details) - Schedule of debt securities issued [Line Items]    
Currency AUD AUD
Amount $ 31,203 $ 37,130
Terms Years 10 years 15 years
Annual issue rate %   2.65%
Issue date 12/08/2021 02/03/2020
Maturity date 12/08/2031 02/03/2035
Subtotal Others currency [Member]    
Debt Issued (Details) - Schedule of debt securities issued [Line Items]    
Amount $ 684,671 $ 37,130
Total as of December 31, 2021 [Member]    
Debt Issued (Details) - Schedule of debt securities issued [Line Items]    
Amount $ 962,581 $ 254,183
BCHIEB1117 [Member]    
Debt Issued (Details) - Schedule of debt securities issued [Line Items]    
Currency UF  
Amount $ 109,889  
Terms Years 6 years  
Annual issue rate % 3.68%  
Issue date 22/10/2021  
Maturity date 22/10/2027  
BCHICD0815 [Member]    
Debt Issued (Details) - Schedule of debt securities issued [Line Items]    
Currency UF  
Amount $ 58,658  
Terms Years 9 years  
Annual issue rate % 3.59%  
Issue date 25/10/2021  
Maturity date 25/10/2030  
BCHIEU0917 [Member]    
Debt Issued (Details) - Schedule of debt securities issued [Line Items]    
Currency UF  
Amount $ 109,363  
Terms Years 7 years  
Annual issue rate % 3.70%  
Issue date 25/10/2021  
Maturity date 25/10/2028  
Subtotal UF [Member]    
Debt Issued (Details) - Schedule of debt securities issued [Line Items]    
Amount $ 277,910  
BONO JPY [Member]    
Debt Issued (Details) - Schedule of debt securities issued [Line Items]    
Currency JPY  
Amount $ 36,097  
Terms Years 10 years  
Annual issue rate % 0.70%  
Issue date 17/08/2021  
Maturity date 17/08/2031  
BONO CHF [Member]    
Debt Issued (Details) - Schedule of debt securities issued [Line Items]    
Currency CHF  
Amount $ 115,483  
Terms Years 5 years  
Annual issue rate % 0.32%  
Issue date 14/10/2021  
Maturity date 14/10/2026  
BONO USD [Member]    
Debt Issued (Details) - Schedule of debt securities issued [Line Items]    
Currency USD  
Amount $ 82,543  
Terms Years 5 years  
Annual issue rate % 2.22%  
Issue date 17/11/2021  
Maturity date 17/11/2026  
BONO USD One [Member]    
Debt Issued (Details) - Schedule of debt securities issued [Line Items]    
Currency USD  
Amount $ 419,345  
Terms Years 10 years  
Annual issue rate % 2.99%  
Issue date 07/12/2021  
Maturity date 07/12/2031