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Other operating Income and Expenses (Details) - Schedule of bank and its subsidiaries present other operating income - CLP ($)
$ in Millions
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Schedule Of Bank And Its Subsidiaries Present Other Operating Income Abstract      
Revaluation of prepaid monthly payments $ 17,044 $ 5,183 $ 1,569
Income from investment properties 6,765 6,069 5,808
Income from correspondent banks 3,116 2,800 2,841
Expense recovery 1,979 1,333 6,456
Fiduciary and trustee commissions 135 261 316
Tax management income 116 3,117 1,565
Foreign trade income 75 55 73
Expense recovery income 48 70 53
Others income 381 2,175 1,607
Total $ 29,659 $ 21,063 $ 20,288