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Fair Value of Financial Assets and Liabilities (Details) - Schedule of financial assets and liabilities - CLP ($)
$ in Millions
Dec. 31, 2021
Dec. 31, 2020
Financial derivative contracts [Member]    
Assets    
Financial Assets $ 10,123,607 $ 133,718
Financial Assets, Fair value 10,123,607 133,718
Liabilities    
Financial Liabilities 10,871,241 9,018,660
Financial Liabilities, Fair value 10,871,241 9,018,660
Financial assets held for trading [Member]    
Assets    
Financial Assets 73,347  
Financial Assets, Fair value 73,347 9,032,085
Loans and accounts receivable at amortized cost, net [Member]    
Assets    
Financial Assets 35,477,628 33,303,100
Financial Assets, Fair value 35,655,136 36,921,368
Loans and accounts receivable at FVOCI, net [Member]    
Assets    
Financial Assets 105,437 69,331
Financial Assets, Fair value 99,375 69,331
Debt instrument at FVOCI [Member]    
Assets    
Financial Assets 5,803,139 7,162,542
Financial Assets, Fair value 5,803,139 7,162,542
Debt instrument at amortized cost [Member]    
Assets    
Financial Assets 4,691,730
Financial Assets, Fair value 4,249,697
Guarantee deposits (margin accounts) [Member]    
Assets    
Financial Assets 1,988,410 608,359
Financial Assets, Fair value 1,988,410 608,359
Deposits and interbank borrowings [Member]    
Liabilities    
Financial Liabilities 36,858,576 31,471,283
Financial Liabilities, Fair value 36,421,937 32,047,227
Issued debt instruments and other financial liabilities [Member]    
Liabilities    
Financial Liabilities 8,579,967 8,388,495
Financial Liabilities, Fair value 8,732,109 9,590,678
Guarantees received (margin accounts) [Member]    
Liabilities    
Financial Liabilities 857,679 624,205
Financial Liabilities, Fair value $ 857,679 $ 624,205