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Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due - CLP ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
C1 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 300,000 $ 300,000
Interest rate % 7.50% 7.50%
Registration date Dec. 06, 1999 Jun. 12, 1999
Maturity date Jan. 01, 2030 Jan. 01, 2030
Balance due $ 5,553 $ 5,377
C1 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 200,000 $ 200,000
Interest rate % 7.40% 7.40%
Registration date Dec. 06, 1999 Jun. 12, 1999
Maturity date Jan. 01, 2030 Jan. 01, 2030
Balance due $ 3,707 $ 3,591
C1 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 530,000 $ 530,000
Interest rate % 7.10% 7.10%
Registration date Dec. 06, 1999 Jun. 12, 1999
Maturity date Jan. 01, 2030 Jan. 01, 2030
Balance due $ 9,906 $ 9,605
C1 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 300,000 $ 300,000
Interest rate % 7.10% 7.10%
Registration date Dec. 06, 1999 Jun. 12, 1999
Maturity date Jan. 01, 2030 Jan. 01, 2030
Balance due $ 5,610 $ 5,441
C1 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 50,000 $ 50,000
Interest rate % 6.50% 6.50%
Registration date Dec. 06, 1999 Jun. 12, 1999
Maturity date Jan. 01, 2030 Jan. 01, 2030
Balance due $ 951 $ 924
C1 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 450,000 $ 450,000
Interest rate % 6.60% 6.60%
Registration date Dec. 06, 1999 Jun. 12, 1999
Maturity date Jan. 01, 2030 Jan. 01, 2030
Balance due $ 8,555 $ 8,313
D2 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF  
Issuance currency amount $ 1,600,000  
Interest rate % 4.30%  
Registration date Jun. 20, 2002  
Maturity date Apr. 01, 2023  
Balance due $ 2,820  
D2 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF  
Issuance currency amount $ 400,000  
Interest rate % 4.30%  
Registration date Jun. 20, 2002  
Maturity date Apr. 01, 2023  
Balance due $ 705  
D1 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF  
Issuance currency amount $ 2,000,000  
Interest rate % 3.60%  
Registration date Jun. 20, 2002  
Maturity date Apr. 01, 2026  
Balance due $ 21,279  
A7 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 1,000,000 $ 40,000
Interest rate % 5.00% 6.90%
Registration date Nov. 28, 2008 Jul. 16, 1999
Maturity date Nov. 01, 2033 Jan. 08, 2022
Balance due $ 33,930 $ 115
A7 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 1,500,000 $ 50,000
Interest rate % 5.00% 6.90%
Registration date Nov. 28, 2008 Jul. 16, 1999
Maturity date Nov. 01, 2033 Jan. 08, 2022
Balance due $ 50,895 $ 144
A7 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 759,000 $ 200,000
Interest rate % 4.50% 6.90%
Registration date Nov. 28, 2008 Jul. 16, 1999
Maturity date Nov. 01, 2033 Jan. 08, 2022
Balance due $ 26,835 $ 577
A7 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 241,000 $ 50,000
Interest rate % 4.50% 6.90%
Registration date Nov. 28, 2008 Jul. 16, 1999
Maturity date Nov. 01, 2033 Jan. 08, 2022
Balance due $ 8,521 $ 144
A7 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 4,130,000 $ 50,000
Interest rate % 4.20% 6.90%
Registration date Nov. 28, 2008 Jul. 16, 1999
Maturity date Nov. 01, 2033 Jan. 08, 2022
Balance due $ 149,084 $ 144
A7 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 1,000,000 $ 160,000
Interest rate % 4.30% 6.90%
Registration date Nov. 28, 2008 Jul. 16, 1999
Maturity date Nov. 01, 2033 Jan. 08, 2022
Balance due $ 36,098 $ 461
A7 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 70,000 $ 450,000
Interest rate % 4.20% 6.90%
Registration date Nov. 28, 2008 Jul. 16, 1999
Maturity date Nov. 01, 2033 Jan. 08, 2022
Balance due $ 2,535 $ 1,297
C2 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 4,000,000 $ 60,000
Interest rate % 3.90% 6.70%
Registration date Nov. 28, 2008 Jun. 12, 1999
Maturity date Nov. 01, 2033 Jan. 01, 2022
Balance due $ 149,314 $ 94
C2 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 2,300,000 $ 280,000
Interest rate % 3.80% 6.70%
Registration date Nov. 28, 2008 Jun. 12, 1999
Maturity date Nov. 01, 2033 Jan. 01, 2022
Balance due $ 86,214 $ 437
C2 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 600,000 $ 170,000
Interest rate % 4.00% 6.70%
Registration date Nov. 29, 2011 Jun. 12, 1999
Maturity date Nov. 01, 2036 Jan. 01, 2022
Balance due $ 20,686 $ 265
C2 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 50,000 $ 110,000
Interest rate % 4.00% 6.60%
Registration date Nov. 29, 2011 Jun. 12, 1999
Maturity date Nov. 01, 2036 Jan. 01, 2022
Balance due $ 1,724 $ 172
C2 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 80,000 $ 30,000
Interest rate % 3.90% 6.70%
Registration date Nov. 29, 2011 Jun. 12, 1999
Maturity date Nov. 01, 2036 Jan. 01, 2022
Balance due $ 2,778 $ 47
D2 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 450,000 $ 1,600,000
Interest rate % 3.90% 4.30%
Registration date Nov. 29, 2011 Jun. 20, 2002
Maturity date Nov. 01, 2036 Jan. 04, 2023
Balance due $ 15,645 $ 7,311
D2 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 160,000 $ 400,000
Interest rate % 3.90% 4.30%
Registration date Nov. 29, 2011 Jun. 20, 2002
Maturity date Nov. 01, 2036 Jan. 04, 2023
Balance due $ 5,563 $ 1,828
D1 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 1,000,000 $ 2,000,000
Interest rate % 2.70% 3.60%
Registration date Nov. 29, 2011 Jun. 20, 2002
Maturity date Nov. 01, 2036 Jan. 04, 2026
Balance due $ 39,616 $ 23,734
F [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 300,000 $ 1,000,000
Interest rate % 2.70% 5.00%
Registration date Nov. 29, 2011 Nov. 28, 2008
Maturity date Nov. 01, 2036 Jan. 11, 2033
Balance due $ 11,885 $ 29,865
F [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 1,360,000 $ 1,500,000
Interest rate % 2.60% 5.00%
Registration date Nov. 29, 2011 Nov. 28, 2008
Maturity date Nov. 01, 2036 Jan. 11, 2033
Balance due $ 54,050 $ 44,797
F [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 1,400,000 $ 759,000
Interest rate % 1.00% 4.50%
Registration date Nov. 29, 2011 Nov. 28, 2008
Maturity date Nov. 01, 2042 Jan. 11, 2033
Balance due $ 73,326 $ 23,686
F [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 1,500,000 $ 241,000
Interest rate % 1.00% 4.50%
Registration date Nov. 29, 2011 Nov. 28, 2008
Maturity date Nov. 01, 2042 Jan. 11, 2033
Balance due $ 78,679 $ 7,521
F [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 1,100,000 $ 4,130,000
Interest rate % 1.00% 4.20%
Registration date Nov. 29, 2011 Nov. 28, 2008
Maturity date Nov. 01, 2042 Jan. 11, 2033
Balance due $ 58,137 $ 131,800
F [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency UF UF
Issuance currency amount $ 900,000 $ 1,000,000
Interest rate % 1.00% 4.30%
Registration date Nov. 29, 2011 Nov. 28, 2008
Maturity date Nov. 01, 2040 Jan. 11, 2033
Balance due $ 46,304 $ 31,910
Total subordinated bonds due [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Registration date
Balance due $ 1,010,905 $ 917,510
C2 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 250,000
Interest rate %   7.50%
Registration date   Jun. 12, 1999
Maturity date   Jan. 01, 2022
Balance due   $ 390
C2 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 350,000
Interest rate %   6.60%
Registration date   Jun. 12, 1999
Maturity date   Jan. 01, 2022
Balance due   $ 546
C2 [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 1,000,000
Interest rate %   6.50%
Registration date   Jun. 12, 1999
Maturity date   Jan. 01, 2022
Balance due   $ 1,561
F [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 70,000
Interest rate %   4.20%
Registration date   Nov. 28, 2008
Maturity date   Jan. 11, 2033
Balance due   $ 2,242
F [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 4,000,000
Interest rate %   3.90%
Registration date   Nov. 28, 2008
Maturity date   Jan. 11, 2033
Balance due   $ 132,309
F [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 2,300,000
Interest rate %   3.80%
Registration date   Nov. 28, 2008
Maturity date   Jan. 11, 2033
Balance due   $ 76,415
G [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 600,000
Interest rate %   4.00%
Registration date   Nov. 29, 2011
Maturity date   Jan. 11, 2036
Balance due   $ 18,235
G [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 50,000
Interest rate %   4.00%
Registration date   Nov. 29, 2011
Maturity date   Jan. 11, 2036
Balance due   $ 1,520
G [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 80,000
Interest rate %   3.90%
Registration date   Nov. 29, 2011
Maturity date   Jan. 11, 2036
Balance due   $ 2,450
G [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 450,000
Interest rate %   3.90%
Registration date   Nov. 29, 2011
Maturity date   Jan. 11, 2036
Balance due   $ 13,797
G [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 160,000
Interest rate %   3.90%
Registration date   Nov. 29, 2011
Maturity date   Jan. 11, 2036
Balance due   $ 4,905
G [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 1,000,000
Interest rate %   2.70%
Registration date   Nov. 29, 2011
Maturity date   Jan. 11, 2036
Balance due   $ 35,193
G [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 300,000
Interest rate %   2.70%
Registration date   Nov. 29, 2011
Maturity date   Jan. 11, 2036
Balance due   $ 10,558
G [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 1,360,000
Interest rate %   2.60%
Registration date   Nov. 29, 2011
Maturity date   Jan. 11, 2036
Balance due   $ 48,023
J [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 1,400,000
Interest rate %   1.00%
Registration date   Nov. 29, 2011
Maturity date   Jan. 11, 2042
Balance due   $ 65,675
J [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 1,500,000
Interest rate %   1.00%
Registration date   Nov. 29, 2011
Maturity date   Jan. 11, 2042
Balance due   $ 70,473
J [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 1,100,000
Interest rate %   1.00%
Registration date   Nov. 29, 2011
Maturity date   Jan. 11, 2042
Balance due   $ 52,089
I [Member]    
Regulatory Capital Financial Instruments (Details) - Schedule of subordinated bonds due [Line Items]    
Currency   UF
Issuance currency amount   $ 900,000
Interest rate %   1.00%
Registration date   Nov. 29, 2011
Maturity date   Jan. 11, 2040
Balance due   $ 41,529