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Risk Management and Report (Details) - Schedule of Interest Rate Cash-Flows of the Banking Book - CLP ($)
$ in Millions
Dec. 31, 2023
Dec. 31, 2022
Schedule of Interest Rate Cash-Flows of the Banking Book [Line Items]    
Transactions in the course of collection $ 415,505 $ 772,196
Financial assets at fair value through other comprehensive income:    
Debt financial instruments 3,786,525 3,967,392
Rights by resale agreements and securities lending 10,488 7,369
Debt financial instruments 1,431,083 902,355
Loans and advances to Banks 2,518,590 2,173,151
Loans to customers, net 36,941,087 35,904,688
Transactions in the course of payment 356,871 681,792
Current accounts and other demand deposits 13,670,793 13,592,155
Saving accounts and time deposits 15,538,196 14,358,987
Obligations by repurchase agreements and securities lending 157,173 216,264
Other liabilities 696,971 644,259
Total liabilities 49,636,096 49,677,417
Total [Member]    
Financial assets at fair value through other comprehensive income:    
Transactions in the course of payment 317,056 650,640
Derivative Financial Instruments for hedging purposes 2,246,585 2,453,076
Current accounts and other demand deposits 13,352,234 13,454,288
Saving accounts and time deposits 15,532,962 14,279,065
Obligations by repurchase agreements and securities lending 10,450 7,344
Borrowings from financial institutions 5,346,563 5,385,906
Debt financial instruments issued 10,663,009 10,495,015
Financial instruments of regulatory capital issued (subordinated bonds) 1,377,792 1,365,991
Other liabilities 338,915 343,702
Total liabilities 49,185,566 48,435,027
Up to 1 month [Member]    
Financial assets at fair value through other comprehensive income:    
Transactions in the course of payment 317,056 650,640
Derivative Financial Instruments for hedging purposes 1,508 1,440
Current accounts and other demand deposits 13,352,234 13,454,288
Saving accounts and time deposits 10,432,630 9,774,591
Obligations by repurchase agreements and securities lending 10,450 7,344
Borrowings from financial institutions 44,475 158,173
Debt financial instruments issued 55,897 13,442
Financial instruments of regulatory capital issued (subordinated bonds) 3,006 2,869
Other liabilities 338,891 343,526
Total liabilities 24,556,147 24,406,313
1 to 3 months [Member]    
Financial assets at fair value through other comprehensive income:    
Transactions in the course of payment
Derivative Financial Instruments for hedging purposes 1,777 1,006
Current accounts and other demand deposits
Saving accounts and time deposits 3,515,344 3,013,166
Obligations by repurchase agreements and securities lending
Borrowings from financial institutions 65,210 83,612
Debt financial instruments issued 196,986 170,745
Financial instruments of regulatory capital issued (subordinated bonds)
Other liabilities 21
Total liabilities 3,779,317 3,268,550
3 to 12 months [Member]    
Financial assets at fair value through other comprehensive income:    
Transactions in the course of payment
Derivative Financial Instruments for hedging purposes 179,604 272,568
Current accounts and other demand deposits
Saving accounts and time deposits 1,517,789 1,362,905
Obligations by repurchase agreements and securities lending
Borrowings from financial institutions 5,079,495 795,721
Debt financial instruments issued 1,097,658 1,349,567
Financial instruments of regulatory capital issued (subordinated bonds) 46,575 48,017
Other liabilities 24 110
Total liabilities 7,921,145 3,828,888
1 to 3 years [Member]    
Financial assets at fair value through other comprehensive income:    
Transactions in the course of payment
Derivative Financial Instruments for hedging purposes 319,178 341,455
Current accounts and other demand deposits
Saving accounts and time deposits 66,062 121,808
Obligations by repurchase agreements and securities lending
Borrowings from financial institutions 157,383 4,348,400
Debt financial instruments issued 2,537,939 2,286,711
Financial instruments of regulatory capital issued (subordinated bonds) 95,774 94,649
Other liabilities 45
Total liabilities 3,176,336 7,193,068
3 to 5 years [Member]    
Financial assets at fair value through other comprehensive income:    
Transactions in the course of payment
Derivative Financial Instruments for hedging purposes 498,973 332,705
Current accounts and other demand deposits
Saving accounts and time deposits 595 5,940
Obligations by repurchase agreements and securities lending
Borrowings from financial institutions
Debt financial instruments issued 2,351,864 2,555,020
Financial instruments of regulatory capital issued (subordinated bonds) 85,615 84,952
Other liabilities
Total liabilities 2,937,047 2,978,617
Over 5 years [Member]    
Financial assets at fair value through other comprehensive income:    
Transactions in the course of payment
Derivative Financial Instruments for hedging purposes 1,245,545 1,503,902
Current accounts and other demand deposits
Saving accounts and time deposits 542 655
Obligations by repurchase agreements and securities lending
Borrowings from financial institutions
Debt financial instruments issued 4,422,665 4,119,530
Financial instruments of regulatory capital issued (subordinated bonds) 1,146,822 1,135,504
Other liabilities
Total liabilities 6,815,574 6,759,591
Market risk [member] | Total [Member]    
Schedule of Interest Rate Cash-Flows of the Banking Book [Line Items]    
Cash and due from banks 2,441,580 2,624,888
Transactions in the course of collection 403,734 743,379
Financial assets at fair value through other comprehensive income:    
Debt financial instruments 3,784,934 3,979,129
Derivative financial instruments for hedging purposes 2,004,002 2,033,511
Rights by resale agreements and securities lending 74,796
Debt financial instruments 1,515,514 989,072
Loans and advances to Banks 2,524,830 2,176,984
Loans to customers, net 44,790,001 43,096,723
Total Assets 57,539,391 55,643,686
Market risk [member] | Up to 1 month [Member]    
Schedule of Interest Rate Cash-Flows of the Banking Book [Line Items]    
Cash and due from banks 2,441,580 2,624,888
Transactions in the course of collection 403,734 743,379
Financial assets at fair value through other comprehensive income:    
Debt financial instruments 282,697 82,025
Derivative financial instruments for hedging purposes 773 378
Rights by resale agreements and securities lending 74,796
Debt financial instruments
Loans and advances to Banks 2,216,985 1,904,368
Loans to customers, net 5,464,339 5,061,294
Total Assets 10,884,904 10,416,332
Market risk [member] | 1 to 3 months [Member]    
Schedule of Interest Rate Cash-Flows of the Banking Book [Line Items]    
Cash and due from banks
Transactions in the course of collection
Financial assets at fair value through other comprehensive income:    
Debt financial instruments 748,488 324,492
Derivative financial instruments for hedging purposes 5,738 4,040
Rights by resale agreements and securities lending
Debt financial instruments 9,012 8,816
Loans and advances to Banks 74,312 63,569
Loans to customers, net 2,859,489 3,188,902
Total Assets 3,697,039 3,589,819
Market risk [member] | 3 to 12 months [Member]    
Schedule of Interest Rate Cash-Flows of the Banking Book [Line Items]    
Cash and due from banks
Transactions in the course of collection
Financial assets at fair value through other comprehensive income:    
Debt financial instruments 1,864,717 2,487,874
Derivative financial instruments for hedging purposes 208,234 296,187
Rights by resale agreements and securities lending
Debt financial instruments 530,044 11,222
Loans and advances to Banks 233,533 209,047
Loans to customers, net 8,212,594 7,913,635
Total Assets 11,049,122 10,917,965
Market risk [member] | 1 to 3 years [Member]    
Schedule of Interest Rate Cash-Flows of the Banking Book [Line Items]    
Cash and due from banks
Transactions in the course of collection
Financial assets at fair value through other comprehensive income:    
Debt financial instruments 461,590 614,944
Derivative financial instruments for hedging purposes 328,274 347,208
Rights by resale agreements and securities lending
Debt financial instruments 503,956 56,159
Loans and advances to Banks
Loans to customers, net 9,064,150 9,165,338
Total Assets 10,357,970 10,183,649
Market risk [member] | 3 to 5 years [Member]    
Schedule of Interest Rate Cash-Flows of the Banking Book [Line Items]    
Cash and due from banks
Transactions in the course of collection
Financial assets at fair value through other comprehensive income:    
Debt financial instruments 270,129 220,962
Derivative financial instruments for hedging purposes 531,229 352,502
Rights by resale agreements and securities lending
Debt financial instruments 159,932 459,884
Loans and advances to Banks
Loans to customers, net 5,082,957 4,722,852
Total Assets 6,044,247 5,756,200
Market risk [member] | Over 5 years [Member]    
Schedule of Interest Rate Cash-Flows of the Banking Book [Line Items]    
Cash and due from banks
Transactions in the course of collection
Financial assets at fair value through other comprehensive income:    
Debt financial instruments 157,313 248,832
Derivative financial instruments for hedging purposes 929,754 1,033,196
Rights by resale agreements and securities lending
Debt financial instruments 312,570 452,991
Loans and advances to Banks
Loans to customers, net 14,106,472 13,044,702
Total Assets $ 15,506,109 $ 14,779,721