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Risk Management and Report (Details) - Schedule of Potential Profit and Loss Impact on Trading Book - CLF [Member]
$ in Millions
12 Months Ended
Dec. 31, 2023
CLP ($)
Risk Management and Report (Details) - Schedule of Potential Profit and Loss Impact on Trading Book [Line Items]  
CLP Interest Rate $ (11,113)
Derivatives (1,467)
Debt instruments (9,645)
CLF Interest Rate (12,073)
Derivatives (1,619)
Debt instruments (10,454)
Interest rate USD offshore (34)
Domestic/offshore interest rate spread USD 92
Total Interest rates (23,128)
Banking spread (629)
Total FX and FX Options (168)
Total $ (23,925)