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Subsequent Events (Details)
12 Months Ended
Apr. 17, 2024
USD ($)
Apr. 12, 2024
USD ($)
Apr. 04, 2024
CLF
Mar. 27, 2024
CLF
Mar. 26, 2024
CLF
Mar. 25, 2024
CLF
Mar. 22, 2024
CLF
Mar. 21, 2024
CLF
Mar. 15, 2024
CLF
Feb. 08, 2024
CLF
Feb. 02, 2024
HKD ($)
Jan. 31, 2024
CLF
Jan. 25, 2024
CLP ($)
$ / shares
shares
Jan. 16, 2024
CLF
Jan. 15, 2024
CLF
Dec. 31, 2023
Subsequent Events [Line Items]                                
Dividend percentage                               80.00%
Dividend distribution profit percentage                               65.60%
Non-adjusting events after reporting period [Member]                                
Subsequent Events [Line Items]                                
Special bond $ 400,000 $ 250,000                 $ 433,000,000          
Maturity term July 1, 2025 July 1, 2025                 February 9, 2034          
Average placement rate 3.02% 3.10%                 4.22%          
Inflation of paid capital and reserves | $                         $ 223,719,568,421      
Dividend price | $ / shares                         $ 8.0771628686      
Shares issued | shares                         101,017,081,114      
Non-adjusting events after reporting period [Member] | EZ Series Bond [Member]                                
Subsequent Events [Line Items]                                
Security registry number                           11/ 2022 11/ 2022  
Special bond                           CLF 900,000 CLF 3,100,000  
Maturity term                           May 1, 2028 May 1, 2028  
Average placement rate                           3.72% 3.72%  
Non-adjusting events after reporting period [Member] | CE Series Bond [Member]                                
Subsequent Events [Line Items]                                
Security registry number                       11/ 2015        
Special bond                       CLF 600,000        
Maturity term                       December 1, 2031        
Average placement rate                       3.20%        
Non-adjusting events after reporting period [Member] | CH Series Bond [Member]                                
Subsequent Events [Line Items]                                
Security registry number                   11/ 2015            
Special bond                   CLF 200,000            
Maturity term                   December 1, 2032            
Average placement rate                   3.15%            
Non-adjusting events after reporting period [Member] | FA Series Bond [Member]                                
Subsequent Events [Line Items]                                
Security registry number       11/2022   11/2022   11/2022 11/2022              
Special bond       CLF 100,000   CLF 350,000   CLF 550,000 CLF 910,000              
Maturity term       August 1, 2028   April 1, 2028   August 1, 2028 August 1, 2028              
Average placement rate       3.24%   3.29%   3.32% 3.25%              
Non-adjusting events after reporting period [Member] | EY Series Bond [Member]                                
Subsequent Events [Line Items]                                
Security registry number     11/2022       11/2022                  
Special bond     CLF 500,000       CLF 350,000                  
Maturity term     April 1, 2028       April 1, 2028                  
Average placement rate     3.28%       3.29%                  
Non-adjusting events after reporting period [Member] | GG Series Bond [Member]                                
Subsequent Events [Line Items]                                
Security registry number         11/2022                      
Special bond         CLF 350,000                      
Maturity term         May 1, 2035                      
Average placement rate         3.35%