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Risk Management and Report (Details) - Schedule of the LCR and the NSFR
Dec. 31, 2022
Maximum [member]  
Risk Management and Report (Details) - Schedule of the LCR and the NSFR [Line Items]  
Liquidity Coverage Ratio 4.10%
Net Stable Financing Ratio 1.35%
Minimum [member]  
Risk Management and Report (Details) - Schedule of the LCR and the NSFR [Line Items]  
Liquidity Coverage Ratio 2.31%
Net Stable Financing Ratio 1.29%
Average [member]  
Risk Management and Report (Details) - Schedule of the LCR and the NSFR [Line Items]  
Liquidity Coverage Ratio 3.28%
Net Stable Financing Ratio 1.32%
Regulatory Limit [member]  
Risk Management and Report (Details) - Schedule of the LCR and the NSFR [Line Items]  
Liquidity Coverage Ratio 1.00% [1]
Net Stable Financing Ratio 0.60% [2]
[1] Valid value from June 1, 2022.
[2] Effective value from June 1, 2022, which will gradually increase until reaching 1.0 in January 2026.