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Net Financial Income (Expense) (Details) - Schedule of net financial income (expense) - CLP ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Financial assets held for trading at fair value through profit or loss:      
Financial derivative contracts $ 5,182,978 $ 2,831,771 $ 4,188,594
Debt Financial Instruments 246,913 29,725 51,957
Other financial instruments 11,275 5,888 6,092
Financial liabilities held for trading at fair value through profit or loss      
Financial derivative contracts (5,177,460) (2,688,128) (4,284,932)
Other financial instruments (782) 985 (31)
Subtotal 262,924 180,241 (38,320)
Derecognition of financial assets and liabilities at amortized cost and financial assets at fair value through other comprehensive income:      
Financial assets at amortized cost 2,264 5,458 39
Financial assets at fair value through other comprehensive income (63,401) 1,242 27,091
Financial liabilities at amortized cost (1)
Financial instruments of regulatory capital issued
Subtotal (61,138) 6,700 27,127
Exchange, indexation and accounting hedging of foreign currency      
Gain (loss) from foreign currency exchange 145,917 (230,277) 176,469
Gain (loss) from indexation for exchange rate 491 15,107 (2,651)
Net gain (loss) from derivatives in accounting hedges of foreign currency risk (41,370) 199,208 (17,156)
Subtotal 105,038 (15,962) 156,662
Ineffective accounting hedges:      
Gain (loss) from ineffective cash flow accounting hedges (89)
Gain (loss) from ineffective accounting hedges of net investment abroad
Total $ 306,824 $ 170,979 $ 145,383