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Fair Value of Financial Assets and Liabilities (Details) - Schedule of Financial Instruments Subject to Compensation - CLP ($)
$ in Millions
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Schedule of Financial Instruments Subject to Compensation [Line Items]    
Gross amounts $ 12,942,081 $ 10,575,817
Compensated in balance 0 0
Net amount presented in balance 12,942,081 10,575,817
Remaining financial instruments not linked, nor subject to netting agreements 40,331,150 39,806,981
Amount in Statements of Financial Position 53,273,231 50,382,798
Liabilities    
Gross amounts 13,015,302 12,014,721
Compensated in balance 0 0
Net amount presented in balance 13,015,302 12,014,721
Remaining financial instruments not linked, nor subject to netting agreements 36,018,388 40,298,472
Amount in Statements of Financial Position 49,033,690 52,313,193
Derivative Contract Guarantees    
Liabilities    
Derivatives contract guarantees for assets 1,840,673 2,225,820
Derivatives contract guarantees for liabilities 1,594,111 839,201
Financial derivative contracts and hedge accounting    
Liabilities    
Gross amounts 12,738,714 11,732,137
Compensated in balance 0 0
Net amount presented in balance 12,738,714 11,732,137
Remaining financial instruments not linked, nor subject to netting agreements 321,207 256,205
Amount in Statements of Financial Position 13,059,921 11,988,342
Investments under resale agreements    
Liabilities    
Gross amounts 276,588 282,584
Compensated in balance 0 0
Net amount presented in balance 276,588 282,584
Remaining financial instruments not linked, nor subject to netting agreements 0 0
Amount in Statements of Financial Position 276,588 282,584
Deposits and other demand liabilities    
Liabilities    
Gross amounts 0 0
Compensated in balance 0 0
Net amount presented in balance 0 0
Remaining financial instruments not linked, nor subject to netting agreements 35,697,181 40,042,267
Amount in Statements of Financial Position 35,697,181 40,042,267
Financial derivative contracts and hedge accounting    
Schedule of Financial Instruments Subject to Compensation [Line Items]    
Gross amounts 12,942,081 10,575,817
Compensated in balance 0 0
Net amount presented in balance 12,942,081 10,575,817
Remaining financial instruments not linked, nor subject to netting agreements 221,652 149,198
Amount in Statements of Financial Position 13,163,733 10,725,015
Loans and accounts receivable and interbank loans    
Schedule of Financial Instruments Subject to Compensation [Line Items]    
Gross amounts 0 0
Compensated in balance 0 0
Net amount presented in balance 0 0
Remaining financial instruments not linked, nor subject to netting agreements 40,109,498 39,657,783
Amount in Statements of Financial Position $ 40,109,498 $ 39,657,783