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Risk Management (Details) - Schedule of Market Risk Exposure - CLP ($)
$ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Market risk – trading protfolio    
Exposure to rate risk $ 371,203 $ 441,688
Exposure to currency risk 9,130 1,535
Interest rate option risk
Currency option risk 3,167 1,145
Total exposure of trading portfolio 383,500 444,368
10% of RWA 479,374 555,460
Subtotal 862,874 999,828
Limit = Regulatory capital 6,978,733 6,759,047
Available margin 6,115,859 5,759,219
Market risk – short-term financial management portfolio    
Short Term Exposure to Interest Rate Risk 97,410 193,895
Exposure to Infaltion Risk 161,222 112,523
Short-term exposure of financial management portfolio 258,632 306,418
Limit = 35% net (net income from interest and readjustments + interest rates sensitive commissions) 575,483 530,199
Available margin 316,851 223,781
Market risk – long-term financial management portfolio    
Long Term Exposure to Interest Rate Risk 1,057,637 1,194,181
Limit = 35% Regulatory capital 2,442,556 2,365,666
Available margin $ 1,384,919 $ 1,171,485