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Cash and Cash Equivalents (Details) - Schedule of reconciliation of cash and cash equivalents to statement of cash flows - CLP ($)
$ in Millions
Dec. 31, 2021
Dec. 31, 2020
Cash and due from banks:    
Cash [1] $ 1,073,601 $ 615,842
Current account with the Central Bank [1] 1,545,472 641,890
Deposits in other domestic banks 129,858 14,506
Deposits abroad 964,803 1,287,978
Subtotal - Cash and due from banks 3,713,734 2,560,216
Transactions in the course of collection 115,967 (719,692)
Highly liquid financial instruments [2] 125,054 400,014
Repurchase agreements 40,369 34,872
Total cash and cash equivalents $ 3,995,124 $ 2,275,410
[1] Amounts in cash and Central Bank deposits are mandatory reserve deposits for which the Bank must maintain a minimum specified monthly average balance.
[2] It corresponds to negotiation instruments and investment instruments, whose terms do not exceed three months from the date of acquisition.