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Contingencies and Commitments (Tables)
12 Months Ended
Dec. 31, 2023
Contingencies and Commitments [Abstract]  
Schedule of Bank’s Contractual Obligations The following table shows the Bank’s contractual obligations to issue loans:
   As of December 31,
   2023  2022
   MCh$  MCh$
Personal guarantees   494,104    924,173 
Personal guarantees in local currency   193,144    483,807 
Personal guarantees in foreign currency   300,960    440,366 
Letter of credits of merchandise traffic operations   262,496    255,522 
Transactions related to contingent events   1,641,510    1,476,599 
Transactions related to contingent events in local currency   1,179,242    1,216,117 
Transactions related to contingent events in foreign currency   462,268    260,482 
Unrestricted prompt cancel credit lines   9,490,141    8,974,077 
Other credit commitments   314,318    314,962 
Credit for university studies   813    1,617 
Other irrevocable credit commitments   313,505    313,345 
Total   12,202,569    11,945,333 
Schedule of Bank Holds Securities The Bank holds securities in the normal course of its business as follows:
   As of December 31,
   2023  2022
   MCh$  MCh$
Third party operations      
Collections   80,597    104,972 
Transferred financial assets managed by the Bank   8,183    9,090 
Assets from third parties managed by the Bank and its affiliates   1,325,795    1,081,895 
Subtotal   1,414,575    1,195,957 
Custody of securities          
           
Securities held in custody   8,762,559    9,057,428 
Securities held in custody deposited in other entity   742,078    756,880 
 Issued securities held in custody   18,151,391    12,397,099 
Subtotal   27,656,028    22,211,407 
Total   29,070,603    23,407,364