XML 291 R273.htm IDEA: XBRL DOCUMENT v3.23.1
Risk Management and Report (Details) - Schedule of contracts susceptible to offset - CLP ($)
$ in Millions
Dec. 31, 2022
Dec. 31, 2021
Fair Value [Member]    
Risk Management and Report (Details) - Schedule of contracts susceptible to offset [Line Items]    
Derivative financial assets $ 2,987,783 $ 2,983,298
Derivative financial liabilities 3,324,485 2,773,476
Negative Fair Value of contracts with right to offset [Member]    
Risk Management and Report (Details) - Schedule of contracts susceptible to offset [Line Items]    
Derivative financial assets (1,014,141) (1,259,233)
Derivative financial liabilities (1,014,141) (1,259,233)
Positive Fair Value of contracts with right to offset [Member]    
Risk Management and Report (Details) - Schedule of contracts susceptible to offset [Line Items]    
Derivative financial assets (1,508,710) (782,776)
Derivative financial liabilities (1,508,710) (782,776)
Financial Collateral [Member]    
Risk Management and Report (Details) - Schedule of contracts susceptible to offset [Line Items]    
Derivative financial assets (180,863) (327,840)
Derivative financial liabilities (302,571) (275,191)
Net Fair value [Member]    
Risk Management and Report (Details) - Schedule of contracts susceptible to offset [Line Items]    
Derivative financial assets 284,069 613,449
Derivative financial liabilities $ 499,063 $ 456,276