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Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds - CLP ($)
$ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Amount $ 938,126 $ 1,140,567
BOND PEN [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   PEN
Amount   $ 51,670
Terms Years   20 years
Annual issue rate %   8.65%
Issue date   03/09/2022
Maturity date   03/09/2042
UF [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Amount $ 870,325 $ 1,088,897
UF [Member] | Series BCHIGI0322 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 143,510  
Terms Years 12 years  
Annual issue rate % 2.61%  
Issue date 01/06/2023  
Maturity date 09/01/2035  
UF [Member] | Series BCHIDG1116 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency CLP  
Amount $ 9,179  
Terms Years 4 years  
Annual issue rate % 6.55%  
Issue date 03/16/2023  
Maturity date 05/01/2027  
UF [Member] | Series BCHIDG1116 One [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency CLP  
Amount $ 10,604  
Terms Years 4 years  
Annual issue rate % 6.55%  
Issue date 03/23/2023  
Maturity date 05/01/2027  
UF [Member] | Series BCHIGG1121 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 23,889  
Terms Years 12 years  
Annual issue rate % 2.50%  
Issue date 04/11/2023  
Maturity date 05/01/2035  
UF [Member] | Series BCHICG0815 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 18,716  
Terms Years 9 years  
Annual issue rate % 2.65%  
Issue date 04/28/2023  
Maturity date 08/01/2032  
UF [Member] | Series BCHIGB0322 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 16,521  
Terms Years 11 years  
Annual issue rate % 2.78%  
Issue date 05/18/2023  
Maturity date 09/01/2034  
UF [Member] | Series BCHICH1215 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 10,939  
Terms Years 9 years  
Annual issue rate % 2.96%  
Issue date 06/02/2023  
Maturity date 12/01/2032  
UF [Member] | Series BCHIGB0322 One [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 7,747  
Terms Years 11 years  
Annual issue rate % 2.78%  
Issue date 06/06/2023  
Maturity date 09/01/2034  
UF [Member] | Series BCHIBU0815 One [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 10,346  
Terms Years 6 years  
Annual issue rate % 3.39%  
Issue date 06/08/2023  
Maturity date 08/01/2029  
UF [Member] | Series BCHIBU0815 Two [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 18,200  
Terms Years 6 years  
Annual issue rate % 3.39%  
Issue date 06/09/2023  
Maturity date 08/01/2029  
UF [Member] | Series BCHICE1215 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 27,024  
Terms Years 8 years  
Annual issue rate % 2.94%  
Issue date 06/09/2023  
Maturity date 12/01/2031  
UF [Member] | Series BCHIFW1121 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 142,385  
Terms Years 10 years  
Annual issue rate % 2.89%  
Issue date 06/12/2023  
Maturity date 05/01/2033  
UF [Member] | Series BCHIBU0815 Three[Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 23,372  
Terms Years 6 years  
Annual issue rate % 3.26%  
Issue date 06/15/2023  
Maturity date 08/01/2029  
UF [Member] | Series BCHIGB0322 Two [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 7,217  
Terms Years 11 years  
Annual issue rate % 2.78%  
Issue date 06/16/2023  
Maturity date 09/01/2034  
UF [Member] | Series BCHICI0815 Four [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 5,658  
Terms Years 10 years  
Annual issue rate % 3.04%  
Issue date 08/01/2023  
Maturity date 02/01/2033  
UF [Member] | Series BCHICI0815 Five [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 18,388  
Terms Years 10 years  
Annual issue rate % 3.35%  
Issue date 08/18/2023  
Maturity date 02/01/2033  
UF [Member] | Series BCHICH1215 Two [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 8,919  
Terms Years 9 years  
Annual issue rate % 3.34%  
Issue date 08/24/2023  
Maturity date 12/01/2032  
UF [Member] | Series BCHIBO0815 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 22,243  
Terms Years 4 years  
Annual issue rate % 3.61%  
Issue date 08/25/2023  
Maturity date 02/01/2028  
UF [Member] | Series BCHIBO0815 One [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 48,392  
Terms Years 4 years  
Annual issue rate % 3.61%  
Issue date 08/29/2023  
Maturity date 02/01/2028  
UF [Member] | Series BCHICE1215 One [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 9,349  
Terms Years 8 years  
Annual issue rate % 3.27%  
Issue date 08/29/2023  
Maturity date 12/01/2031  
UF [Member] | Series BCHIFB1021 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 6,996  
Terms Years 6 years  
Annual issue rate % 4.16%  
Issue date 11/03/2023  
Maturity date 04/01/2029  
UF [Member] | Series BCHIFB1021 One [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 14,667  
Terms Years 6 years  
Annual issue rate % 4.16%  
Issue date 11/07/2023  
Maturity date 04/01/2029  
UF [Member] | Series BCHIEY1021 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 29,979  
Terms Years 5 years  
Annual issue rate % 4.26%  
Issue date 11/08/2023  
Maturity date 04/01/2028  
UF [Member] | Series BCHIFB1021 Two [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 3,335  
Terms Years 6 years  
Annual issue rate % 4.16%  
Issue date 11/09/2023  
Maturity date 04/01/2029  
UF [Member] | Series BCHICI0815 Six [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 23,720  
Terms Years 9 years  
Annual issue rate % 3.90%  
Issue date 11/14/2023  
Maturity date 02/01/2033  
UF [Member] | Series BCHICH1215 Three [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 6,964  
Terms Years 9 years  
Annual issue rate % 3.90%  
Issue date 11/14/2023  
Maturity date 12/01/2032  
UF [Member] | BCHIFB1021 Three [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 22,046  
Terms Years 6 years  
Annual issue rate % 4.16%  
Issue date 11/15/2023  
Maturity date 04/01/2029  
UF [Member] | Series BCHICE1215 Two [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 3,572  
Terms Years 8 years  
Annual issue rate % 3.64%  
Issue date 11/22/2023  
Maturity date 12/01/2031  
UF [Member] | Series BCHICE1215 Three [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 10,748  
Terms Years 8 years  
Annual issue rate % 3.60%  
Issue date 11/23/2023  
Maturity date 12/01/2031  
UF [Member] | Series BCHIGH1221 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 133,306  
Terms Years 12 years  
Annual issue rate % 3.67%  
Issue date 12/01/2023  
Maturity date 06/01/2035  
UF [Member] | Series BCHICH1215 Five [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 14,144  
Terms Years 9 years  
Annual issue rate % 3.55%  
Issue date 12/05/2023  
Maturity date 12/01/2032  
UF [Member] | Series BCHICG0815 Two [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 9,137  
Terms Years 9 years  
Annual issue rate % 3.31%  
Issue date 12/18/2023  
Maturity date 08/01/2032  
UF [Member] | Series BCHICH1215 Six [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency UF  
Amount $ 9,113  
Terms Years 9 years  
Annual issue rate % 3.21%  
Issue date 12/20/2023  
Maturity date 12/01/2032  
UF [Member] | Series BCHIBS0815 Three [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 15,707
Terms Years   14 years
Annual issue rate %   3.00%
Issue date   01/05/2022
Maturity date   01/05/2036
UF [Member] | Series BCHIBS0815 Four [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 15,719
Terms Years   14 years
Annual issue rate %   3.06%
Issue date   01/20/2022
Maturity date   01/20/2036
UF [Member] | Series BCHICF0815 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 65,738
Terms Years   17 years
Annual issue rate %   2.65%
Issue date   03/01/2022
Maturity date   03/01/2039
UF [Member] | Series BCHICP0815 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 65,883
Terms Years   19 years
Annual issue rate %   2.80%
Issue date   03/01/2022
Maturity date   03/01/2041
UF [Member] | Series BCHIBS0815 Five [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 32,583
Terms Years   14 years
Annual issue rate %   2.60%
Issue date   03/17/2022
Maturity date   03/17/2036
UF [Member] | Series BCHICQ1015 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 69,443
Terms Years   19 years
Annual issue rate %   3.20%
Issue date   11/02/2022
Maturity date   11/02/2041
UF [Member] | Series BCHICN0815 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 69,802
Terms Years   19 years
Annual issue rate %   3.20%
Issue date   11/02/2022
Maturity date   11/02/2041
UF [Member] | Series BCHICO1215 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 70,178
Terms Years   19 years
Annual issue rate %   3.20%
Issue date   11/02/2022
Maturity date   11/02/2041
UF [Member] | Series BCHICK0815 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 73,568
Terms Years   18 years
Annual issue rate %   3.20%
Issue date   11/14/2022
Maturity date   11/14/2040
UF [Member] | Series BCHICM1215 Three [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 18,618
Terms Years   18 years
Annual issue rate %   3.20%
Issue date   11/18/2022
Maturity date   11/18/2040
UF [Member] | Series BCHIDV1116 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 9,305
Terms Years   11 years
Annual issue rate %   4.40%
Issue date   11/21/2022
Maturity date   11/21/2033
UF [Member] | Series BCHIDV1116 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 37,271
Terms Years   11 years
Annual issue rate %   4.40%
Issue date   11/22/2022
Maturity date   11/22/2033
UF [Member] | Series BCHIBU0815 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 20,003
Terms Years   14 years
Annual issue rate %   3.00%
Issue date   12/02/2022
Maturity date   12/02/2036
UF [Member] | Series BCHIDU0716 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 36,536
Terms Years   11 years
Annual issue rate %   4.40%
Issue date   12/02/2022
Maturity date   12/02/2033
UF [Member] | Series BCHICM1215 One [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 9,453
Terms Years   18 years
Annual issue rate %   3.20%
Issue date   12/05/2022
Maturity date   12/05/2040
UF [Member] | Series BCHICM1215 Two [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 46,318
Terms Years   18 years
Annual issue rate %   3.20%
Issue date   12/07/2022
Maturity date   12/07/2040
UF [Member] | Series BCHICL1015 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 74,421
Terms Years   18 years
Annual issue rate %   3.20%
Issue date   12/07/2022
Maturity date   12/07/2040
UF [Member] | Series BCHIGJ0522 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 141,320
Terms Years   13 years
Annual issue rate %   2.70%
Issue date   12/07/2022
Maturity date   12/07/2035
UF [Member] | Series BCHICJ1215 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 25,912
Terms Years   18 years
Annual issue rate %   3.20%
Issue date   12/12/2022
Maturity date   12/12/2040
UF [Member] | Series BCHICJ1215 One [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 48,099
Terms Years   18 years
Annual issue rate %   3.20%
Issue date   12/13/2022
Maturity date   12/13/2040
UF [Member] | Series BCHIGK1221 [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency   UF
Amount   $ 143,020
Terms Years   14 years
Annual issue rate %   2.70%
Issue date   12/22/2022
Maturity date   12/22/2036
BOND MXN [Member] | BONO USD One [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency MXN  
Amount $ 31,968  
Terms Years 4 years  
Annual issue rate % 0.85%  
Issue date 06/01/2023  
Maturity date 06/03/2027  
BOND JPY [Member] | BONO JPY [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Currency JPY  
Amount $ 35,833  
Terms Years 2 years  
Annual issue rate % 0.75%  
Issue date 06/08/2023  
Maturity date 06/16/2025  
Others Currency [Member]    
Financial Liabilities at Amortized Cost (Details) - Schedule of Long-Term Current Bonds [Line Items]    
Amount $ 67,801 $ 51,670