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Equity (Details) - Schedule of Other Comprehensive Income from Available for Sale Investments and Cash Flow Hedges - CLP ($)
$ in Millions
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Debt instruments at FVOCI      
As of beginning of period $ (89,748) $ (109,392) $ (112,223)
Gain (losses) on the re-measurement of debt instruments at FVOCI, before tax 67,968 145,257 23,004
Recycling from other comprehensive income to income for the year 0 0 0
Net realized gains (45,381) (125,613) (20,173)
Subtotals 22,587 19,644 2,831
As of end of period (67,161) (89,748) (109,392)
Cash flow hedges      
As of beginning of period 84,416 (118,838) (373,581)
Gains (losses) on the re-measurement of cash flow hedges, before tax (126,880) 243,366 298,029
Recycling adjustments on cash flow hedges, before tax (35,337) (40,112) (43,286)
Amounts removed from equity and included in carrying amount of non-financial asset (liability) which acquisition or incurrence was hedged as a highly probable transaction 0 0 0
Subtotals (162,217) 203,254 254,743
As of end of period (77,801) 84,416 (118,838)
Other comprehensive income, before taxes (144,962) (5,332) (228,230)
Income tax related to other comprehensive income components      
Income tax relating to debt instruments at FVOCI 18,133 24,231 29,536
Income tax relating to cash flow hedges 21,006 (22,792) 32,086
Total 39,139 1,439 61,622
Other comprehensive income, net of tax (105,823) (3,893) (166,608)
Shareholders of the Bank (107,174) (5,242) (167,147)
Non-controlling interest $ 1,351 $ 1,349 $ 539