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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, 2021
CLP ($)
Dec. 31, 2020
CLP ($)
Dec. 31, 2021
USD ($)
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Cash and due from banks $ 3,713,734 $ 2,560,216 $ 4,355,622
Transactions in the course of collection 326,446 163,252 382,870
Investment under resale agreements 64,365 76,407 75,490
Customer loans 33,592,377 30,101,583 39,398,540
Financial Assets at Fair Value through OCI 3,061,174 1,068,153 3,590,272
Assets as of December 31, 2021      
Current accounts and demand deposits 18,542,791 15,167,229 21,747,758
Transactions in the course of payment 210,479 882,944 246,859
Obligations under repurchase agreements 95,009 288,917 111,431
Savings accounts and interest-bearing deposits 9,140,006 8,899,541 10,719,780
Other liabilities 583,027 554,343 683,798
Total liabilities 274,618 191,713 $ 322,084
Total [Member]      
Assets as of December 31, 2021      
Current accounts and demand deposits 18,611,880 15,245,137  
Transactions in the course of payment 83,420 816,294  
Obligations under repurchase agreements 351 13,255  
Savings accounts and interest-bearing deposits 9,187,290 8,916,944  
Derivative hedging instruments 2,041,338 1,761,608  
Inter-banking borrowings 4,857,101 3,664,648  
Debt instruments issued (*) [1] 10,773,177 9,760,178  
Other liabilities 273,810 189,840  
Total liabilities 45,828,367 40,367,904  
Market Risk [Member] | Total [Member]      
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Cash and due from banks 3,579,634 2,496,891  
Transactions in the course of collection 196,592 96,444  
Investment under resale agreements 10,007  
Derivative instruments under hedge-accounting treatment 2,440,543 1,712,768  
Inter-banking loans 1,529,342 2,940,367  
Customer loans 38,204,904 35,474,434  
Financial Assets at Fair Value through OCI 3,060,665 1,059,418  
Financial instruments at amortized cost 938,707  
Total assets 49,950,387 43,790,329  
Up to 1 month [Member]      
Assets as of December 31, 2021      
Current accounts and demand deposits 18,611,880 15,245,137  
Transactions in the course of payment 83,420 816,294  
Obligations under repurchase agreements 351 13,255  
Savings accounts and interest-bearing deposits 7,103,640 6,243,204  
Derivative hedging instruments 538 160  
Inter-banking borrowings 63,611 72,935  
Debt instruments issued (*) [1] 17,154 53,438  
Other liabilities 273,394 189,003  
Total liabilities 26,153,988 22,633,426  
Up to 1 month [Member] | Market Risk [Member]      
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Cash and due from banks 3,579,634 2,496,891  
Transactions in the course of collection 196,592 96,444  
Investment under resale agreements 10,007  
Derivative instruments under hedge-accounting treatment 64 260  
Inter-banking loans 1,366,378 2,743,250  
Customer loans 2,529,601 3,180,598  
Financial Assets at Fair Value through OCI 95,585 94,086  
Financial instruments at amortized cost  
Total assets 7,767,854 8,621,536  
Between 1 and 3 months [Member]      
Assets as of December 31, 2021      
Current accounts and demand deposits  
Transactions in the course of payment  
Obligations under repurchase agreements  
Savings accounts and interest-bearing deposits 1,774,627 1,964,350  
Derivative hedging instruments 979 291  
Inter-banking borrowings 1,259,167 140,455  
Debt instruments issued (*) [1] 369,988 90,285  
Other liabilities 50 80  
Total liabilities 3,404,811 2,195,461  
Between 1 and 3 months [Member] | Market Risk [Member]      
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Cash and due from banks  
Transactions in the course of collection  
Investment under resale agreements  
Derivative instruments under hedge-accounting treatment 2,163 1,800  
Inter-banking loans 81,164 71,543  
Customer loans 2,676,130 2,339,929  
Financial Assets at Fair Value through OCI 488,919 145,272  
Financial instruments at amortized cost 8,334  
Total assets 3,256,710 2,558,544  
Between 3 and 12 months [Member]      
Assets as of December 31, 2021      
Current accounts and demand deposits  
Transactions in the course of payment  
Obligations under repurchase agreements  
Savings accounts and interest-bearing deposits 240,912 648,974  
Derivative hedging instruments 62,220 192,625  
Inter-banking borrowings 18,344 340,532  
Debt instruments issued (*) [1] 1,083,540 1,082,282  
Other liabilities 183 334  
Total liabilities 1,405,199 2,264,747  
Between 3 and 12 months [Member] | Market Risk [Member]      
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Cash and due from banks  
Transactions in the course of collection  
Investment under resale agreements  
Derivative instruments under hedge-accounting treatment 69,192 182,709  
Inter-banking loans 81,800 125,574  
Customer loans 7,226,224 6,504,393  
Financial Assets at Fair Value through OCI 1,479,321 456,613  
Financial instruments at amortized cost 10,740  
Total assets 8,867,277 7,269,289  
Between 1 and 3 years [Member]      
Assets as of December 31, 2021      
Current accounts and demand deposits  
Transactions in the course of payment  
Obligations under repurchase agreements  
Savings accounts and interest-bearing deposits 66,492 59,038  
Derivative hedging instruments 407,960 230,742  
Inter-banking borrowings 3,515,979 1,020,126  
Debt instruments issued (*) [1] 2,358,966 2,194,406  
Other liabilities 183 386  
Total liabilities 6,349,580 3,504,698  
Between 1 and 3 years [Member] | Market Risk [Member]      
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Cash and due from banks  
Transactions in the course of collection  
Investment under resale agreements  
Derivative instruments under hedge-accounting treatment 500,218 250,612  
Inter-banking loans  
Customer loans 9,018,799 8,134,601  
Financial Assets at Fair Value through OCI 619,044 185,995  
Financial instruments at amortized cost 38,148  
Total assets 10,176,209 8,571,208  
Between 3 and 5 years [Member]      
Assets as of December 31, 2021      
Current accounts and demand deposits  
Transactions in the course of payment  
Obligations under repurchase agreements  
Savings accounts and interest-bearing deposits 1,619 1,222  
Derivative hedging instruments 167,805 280,421  
Inter-banking borrowings 2,090,600  
Debt instruments issued (*) [1] 2,104,219 1,886,936  
Other liabilities 37  
Total liabilities 2,273,643 4,259,216  
Between 3 and 5 years [Member] | Market Risk [Member]      
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Cash and due from banks  
Transactions in the course of collection  
Investment under resale agreements  
Derivative instruments under hedge-accounting treatment 198,926 282,219  
Inter-banking loans  
Customer loans 4,798,188 4,437,666  
Financial Assets at Fair Value through OCI 169,289 31,465  
Financial instruments at amortized cost 431,285  
Total assets 5,597,688 4,751,350  
More than 5 years [Member]      
Assets as of December 31, 2021      
Current accounts and demand deposits  
Transactions in the course of payment  
Obligations under repurchase agreements  
Savings accounts and interest-bearing deposits 156  
Derivative hedging instruments 1,401,836 1,057,369  
Inter-banking borrowings  
Debt instruments issued (*) [1] 4,839,310 4,452,831  
Other liabilities  
Total liabilities 6,241,146 5,510,356  
More than 5 years [Member] | Market Risk [Member]      
Risk Management (Details) - Schedule of banking book interest rate exposure by contractual maturity [Line Items]      
Cash and due from banks  
Transactions in the course of collection  
Investment under resale agreements  
Derivative instruments under hedge-accounting treatment 1,669,980 995,168  
Inter-banking loans  
Customer loans 11,955,962 10,877,247  
Financial Assets at Fair Value through OCI 208,507 145,987  
Financial instruments at amortized cost 450,200  
Total assets $ 14,284,649 $ 12,018,402  
[1] Amounts shown here are different from those reported in the liabilities report which is part of the liquidity analysis, due to differences in the treatment of mortgage bonds issued by the Bank in both reports.