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OTHER CURRENT AND NON-CURRENT FINANCIAL LIABILITIES - Bank obligations current (Details) - CLP ($)
$ in Thousands
Dec. 31, 2024
Dec. 31, 2023
Disclosure of detailed information about borrowings    
Other financial liabilities $ 110,330,460 $ 52,997,001
Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities [1] $ 56,401,282 1,500,909
Envases Central S.A. | Banco Estado 2.00% Effective Rate Semiannually Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 2.00%  
Other financial liabilities   34,460
Envases Central S.A. | Banco Estado 1.28% Effective Rate Semiannually Amortization obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 1.28%  
Other financial liabilities $ 4,051,952  
Re-Ciclar S.A. | Scotiabank Chile S.A. 9.49% Effective Rate Semiannually Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 9.49%  
Other financial liabilities $ 4,683,861 186,233
Re-Ciclar S.A. | Scotiabank Chile S.A. 3.32% Effective Rate Semiannually Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 3.32%  
Other financial liabilities $ 5,180,573 56,529
Re-Ciclar S.A. | Banco de Chile 6.00% Effective Rate At maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 6.00%  
Other financial liabilities $ 5,027,500  
Re-Ciclar S.A. | Banco Bice 6.40% Effective Rate At maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 6.40%  
Other financial liabilities $ 1,003,357  
Re-Ciclar S.A. | Banco Bice 6.60% Effective Rate At maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 6.60%  
Other financial liabilities $ 1,526,560  
Re-Ciclar S.A. | Banco de Chile 6.30% Effective Rate At maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 6.30%  
Other financial liabilities $ 1,505,250  
Embotelladora Andina S.A. | Itau Corpbanca 0.18% Effective Rate One At maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 0.18%  
Other financial liabilities   657,036
Embotelladora Andina S.A. | Itau Corpbanca 0.18% Effective Rate Two At maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 0.18%  
Other financial liabilities $ 34,877 535,951
Embotelladora Andina S.A. | Itau Corpbanca 0.18% Effective Rate Three At maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 0.18%  
Other financial liabilities $ 1,170,198 $ 30,700
Embotelladora del Atlantico S.A. | Banco Galicia S.A. 0.15 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 0.15%  
Other financial liabilities $ 160,432  
Embotelladora del Atlantico S.A. | Banco Galicia S.A. 0.16 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 0.16%  
Other financial liabilities $ 295,706  
Embotelladora del Atlantico S.A. | Banco Nacion S.A. 0.16 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 0.16%  
Other financial liabilities $ 27,472,719  
Embotelladora del Atlantico S.A. | Banco Nacion S.A.0.48 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 0.48%  
Other financial liabilities $ 721  
Embotelladora del Atlantico S.A. | Banco Coinag 0.43 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 0.43%  
Other financial liabilities $ 3,387  
Embotelladora del Atlantico S.A. | Banco Comafi S.A. 0.46 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 0.46%  
Other financial liabilities $ 3,965,838  
Embotelladora del Atlantico S.A. | Banco Macro 0.33 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 0.33%  
Other financial liabilities $ 1,637  
Andina Empaques Argentina S.A. | Banco Galicia S.A. 0.18 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 0.18%  
Other financial liabilities $ 160,568  
Andina Empaques Argentina S.A. | Banco Galicia S.A. 0.48 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Nominal interest rate 0.48%  
Other financial liabilities $ 156,146  
Up to 90 days | Embotelladora del Atlantico S.A. | Banco Galicia S.A. 0.15 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 160,432  
Up to 90 days | Embotelladora del Atlantico S.A. | Banco Galicia S.A. 0.16 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 295,706  
Up to 90 days | Embotelladora del Atlantico S.A. | Banco Nacion S.A. 0.16 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 27,472,719  
Up to 90 days | Embotelladora del Atlantico S.A. | Banco Nacion S.A.0.48 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 721  
Up to 90 days | Embotelladora del Atlantico S.A. | Banco Coinag 0.43 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 3,387  
Up to 90 days | Embotelladora del Atlantico S.A. | Banco Comafi S.A. 0.46 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 3,965,838  
Up to 90 days | Embotelladora del Atlantico S.A. | Banco Macro 0.33 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 1,637  
Up to 90 days | Andina Empaques Argentina S.A. | Banco Galicia S.A. 0.18 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 160,568  
Up to 90 days | Andina Empaques Argentina S.A. | Banco Galicia S.A. 0.48 Effective Rate At Maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 156,146  
90 days to 1 year | Envases Central S.A. | Banco Estado 1.28% Effective Rate Semiannually Amortization obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 4,051,952  
90 days to 1 year | Re-Ciclar S.A. | Scotiabank Chile S.A. 9.49% Effective Rate Semiannually Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 4,683,861  
90 days to 1 year | Re-Ciclar S.A. | Scotiabank Chile S.A. 3.32% Effective Rate Semiannually Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 5,180,573  
90 days to 1 year | Re-Ciclar S.A. | Banco de Chile 6.00% Effective Rate At maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 5,027,500  
90 days to 1 year | Re-Ciclar S.A. | Banco Bice 6.40% Effective Rate At maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 1,003,357  
90 days to 1 year | Re-Ciclar S.A. | Banco Bice 6.60% Effective Rate At maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 1,526,560  
90 days to 1 year | Re-Ciclar S.A. | Banco de Chile 6.30% Effective Rate At maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 1,505,250  
90 days to 1 year | Embotelladora Andina S.A. | Itau Corpbanca 0.18% Effective Rate Two At maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities 34,877  
90 days to 1 year | Embotelladora Andina S.A. | Itau Corpbanca 0.18% Effective Rate Three At maturity Amortization Obligation | Bank liabilities    
Disclosure of detailed information about borrowings    
Other financial liabilities $ 1,170,198  
[1] Financial instruments such as: Cash and Cash Equivalents, Trade debtors and Other Accounts Receivable, Accounts Receivable related companies, Bottle Guarantee Deposits Trade Accounts Payable, and Other Accounts Payable related companies present a fair value that approximates their carrying value, considering the nature and term of the obligation. The business model is to maintain the financial instrument in order to collect/pay contractual cash flows, in accordance with the terms of the contract, where cash flows are received/cancelled on specific dates that exclusively constitute payments of principal plus interest on that principal. These instruments are revalued at amortized cost.