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Fair Value of Financial Assets and Liabilities (Details) - Schedule of financial instruments subject to compensation - CLP ($)
$ in Millions
Dec. 31, 2021
Dec. 31, 2020
Fair Value of Financial Assets and Liabilities (Details) - Schedule of financial instruments subject to compensation [Line Items]    
Gross amounts $ 8,976,617 $ 8,840,436
Compensated in balance
Net amount presented in balance 8,976,617 8,840,436
Remaining financial instruments not subject to netting agreements 36,624,618 33,494,749
Amount in Statements of Financial Position 45,601,235 42,605,185
Liabilities    
Gross amounts 8,816,700 9,891,887
Compensated in balance
Net amount presented in balance 8,816,700 9,891,887
Remaining financial instruments not subject to netting agreements 38,999,751 31,567,864
Amount in Statements of Financial Position 47,816,451 41,459,751
Financial derivative contracts [Member]    
Liabilities    
Gross amounts [1] 8,730,066 8,922,079
Compensated in balance [1]
Net amount presented in balance [1] 8,730,066 8,922,079
Remaining financial instruments not subject to netting agreements [1] 2,141,175 96,581
Amount in Statements of Financial Position [1] 10,871,241 9,018,660
Investments under resale agreements [Member]    
Liabilities    
Gross amounts 86,634 969,808
Compensated in balance
Net amount presented in balance 86,634 969,808
Remaining financial instruments not subject to netting agreements
Amount in Statements of Financial Position 86,634 969,808
Deposits and interbank borrowings [Member]    
Liabilities    
Gross amounts
Compensated in balance
Net amount presented in balance
Remaining financial instruments not subject to netting agreements 36,858,576 31,471,283
Amount in Statements of Financial Position 36,858,576 31,471,283
Financial derivative contracts [Member]    
Fair Value of Financial Assets and Liabilities (Details) - Schedule of financial instruments subject to compensation [Line Items]    
Gross amounts [1] 8,976,617 8,840,436
Compensated in balance [1]
Net amount presented in balance [1] 8,976,617 8,840,436
Remaining financial instruments not subject to netting agreements [1] 1,146,990 191,649
Amount in Statements of Financial Position [1] 10,123,607 9,032,085
Investments under resale agreements [Member]    
Fair Value of Financial Assets and Liabilities (Details) - Schedule of financial instruments subject to compensation [Line Items]    
Gross amounts
Compensated in balance
Net amount presented in balance
Remaining financial instruments not subject to netting agreements
Amount in Statements of Financial Position
Loans and accounts receivable at amortized cost, net [Member]    
Fair Value of Financial Assets and Liabilities (Details) - Schedule of financial instruments subject to compensation [Line Items]    
Gross amounts
Compensated in balance
Net amount presented in balance
Remaining financial instruments not subject to netting agreements 35,477,628 33,303,100
Amount in Statements of Financial Position $ 35,477,628 $ 33,303,100
[1] Derivatives contract have guarantees associated for Ch$882,398 million and Ch$999,425, respectively.