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Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds - CLP ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Amount $ 215,249 $ 698,435
Wells Fargo Bank [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency USD USD
Amount $ 17,065 $ 72,240
Annual interest rate % 1.61% 0.23%
Issued date 05/18/2022 20/01/2021
Maturity date 08/16/2022 20/04/2021
Wells Fargo Bank [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency USD USD
Amount $ 41,944 $ 36,736
Annual interest rate % 1.61% 0.38%
Issued date 05/19/2022 09/02/2021
Maturity date 08/17/2022 04/02/2022
Citibank N.A. [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency USD USD
Amount $ 8,379 $ 36,736
Annual interest rate % 2.25% 0.28%
Issued date 05/20/2022 09/02/2021
Maturity date 11/21/2022 02/08/2021
Citibank N.A. [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency USD USD
Amount $ 5,028 $ 71,400
Annual interest rate % 1.60% 0.23%
Issued date 05/20/2022 25/02/2021
Maturity date 08/22/2022 01/06/2021
Wells Fargo Bank [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency USD USD
Amount $ 28,702 $ 35,700
Annual interest rate % 2.35% 0.26%
Issued date 06/06/2022 25/02/2021
Maturity date 12/06/2022 24/08/2021
Citibank N.A. [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency USD USD
Amount $ 1,652 $ 36,295
Annual interest rate % 2.25% 0.34%
Issued date 06/09/2022 04/03/2021
Maturity date 12/09/2022 03/09/2021
Wells Fargo Bank [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency USD USD
Amount $ 85,779 $ 35,700
Annual interest rate % 5.40% 0.26%
Issued date 12/13/2022 25/02/2021
Maturity date 06/12/2023 26/08/2021
Wells Fargo Bank [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency USD USD
Amount $ 26,700 $ 18,147
Annual interest rate % 5.00% 0.25%
Issued date 12/19/2022 04/03/2021
Maturity date 03/16/2023 01/06/2021
Citibank N.A. [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency   USD
Amount   $ 72,589
Annual interest rate %   0.34%
Issued date   04/03/2021
Maturity date   07/09/2021
Wells Fargo Bank [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency   USD
Amount   $ 78,814
Annual interest rate %   0.25%
Issued date   08/09/2021
Maturity date   01/06/2022
Citibank N.A. [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency   USD
Amount   $ 78,873
Annual interest rate %   0.23%
Issued date   10/09/2021
Maturity date   10/03/2022
Wells Fargo Bank [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency   USD
Amount   $ 39,436
Annual interest rate %   0.25%
Issued date   10/09/2021
Maturity date   08/06/2022
Citibank N.A. [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency   USD
Amount   $ 78,413
Annual interest rate %   0.23%
Issued date   13/09/2021
Maturity date   17/03/2022
Wells Fargo Bank [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency   USD
Amount   $ 4,283
Annual interest rate %   0.28%
Issued date   15/09/2021
Maturity date   14/09/2022
Citibank N.A. [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of short-term bonds [Line Items]    
Currency   USD
Amount   $ 3,073
Annual interest rate %   0.28%
Issued date   22/09/2021
Maturity date   16/09/2022