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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, 2023
Dec. 31, 2022
Dec. 31, 2021
Schedule of Bank and its Subsidiaries Present Other Operating Income [Abstract]      
Expense recovery $ 25,938 $ 1,938 $ 1,393
Release of provisions not related to credit risk 23,355
Revaluation of prepaid monthly payments 9,144 17,044 5,183
Revaluation of tax refunds from previous years 6,905 204 3,117
Income from investment properties 6,793 6,765 6,069
Income from correspondent banks 2,923 3,116 2,800
Fiduciary and trustee commissions 132 135 261
Foreign trade income 98 75 55
Expense recovery income 65 48 39
Others income 642 334 2,146
Total $ 75,995 $ 29,659 $ 21,063