v3.25.1
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details)
$ in Millions
12 Months Ended
Dec. 31, 2024
CLP ($)
Contractual Basis [Member] | From 0 to 7 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income $ 7,290,736
Cash flow payable (liabilities) and expenses 18,893,992
Liquidity Gap 11,603,256
Contractual Basis [Member] | From 0 to 7 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 1,242,712
Cash flow payable (liabilities) and expenses 2,560,748
Liquidity Gap 1,318,036
Contractual Basis [Member] | From 0 to 15 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 9,752,494
Cash flow payable (liabilities) and expenses 21,207,713
Liquidity Gap 11,455,219
Contractual Basis [Member] | From 0 to 15 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 1,583,584
Cash flow payable (liabilities) and expenses 2,817,984
Liquidity Gap 1,234,400
Contractual Basis [Member] | From 0 to 30 days [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
One time capital 5,511,914
AVAILABLE MARGIN 3,711,088
Contractual Basis [Member] | From 0 to 30 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 10,718,420
Cash flow payable (liabilities) and expenses 24,766,475
Liquidity Gap 14,048,055
Contractual Basis [Member] | From 0 to 30 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 1,498,776
Cash flow payable (liabilities) and expenses 3,299,602
Liquidity Gap 1,800,826
Contractual Basis [Member] | From 0 to 90 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 14,322,153
Cash flow payable (liabilities) and expenses 28,547,005
Liquidity Gap 14,224,852
Contractual Basis [Member] | From 0 to 90 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 2,131,992
Cash flow payable (liabilities) and expenses 3,820,926
Liquidity Gap 1,688,934
Adjusted Basis [Member] | From 0 to 7 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 7,043,117
Cash flow payable (liabilities) and expenses 8,785,409
Liquidity Gap 1,742,292
Adjusted Basis [Member] | From 0 to 7 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 1,179,186
Cash flow payable (liabilities) and expenses 1,534,143
Liquidity Gap 354,957
Adjusted Basis [Member] | From 0 to 15 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 9,088,648
Cash flow payable (liabilities) and expenses 9,593,756
Liquidity Gap 505,108
Adjusted Basis [Member] | From 0 to 15 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 1,361,969
Cash flow payable (liabilities) and expenses 1,691,583
Liquidity Gap 329,614
Adjusted Basis [Member] | From 0 to 30 days [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
One time capital 5,511,914
AVAILABLE MARGIN 4,629,396
Adjusted Basis [Member] | From 0 to 30 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 9,541,175
Cash flow payable (liabilities) and expenses 10,977,748
Liquidity Gap 1,436,573
Adjusted Basis [Member] | From 0 to 30 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 1,131,049
Cash flow payable (liabilities) and expenses 2,013,567
Liquidity Gap 882,518
Adjusted Basis [Member] | From 0 to 90 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 11,898,750
Cash flow payable (liabilities) and expenses 13,128,996
Liquidity Gap 1,230,246
Adjusted Basis [Member] | From 0 to 90 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 1,314,079
Cash flow payable (liabilities) and expenses 2,441,066
Liquidity Gap 1,126,987
Contractual Basis [Member] | From 0 to 7 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 7,979,272
Cash flow payable (liabilities) and expenses 19,404,673
Liquidity Gap 11,425,401
Contractual Basis [Member] | From 0 to 7 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 1,242,777
Cash flow payable (liabilities) and expenses 2,560,748
Liquidity Gap 1,317,971
Contractual Basis [Member] | From 0 to 15 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 10,473,524
Cash flow payable (liabilities) and expenses 21,718,394
Liquidity Gap 11,244,870
Contractual Basis [Member] | From 0 to 15 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 1,583,650
Cash flow payable (liabilities) and expenses 2,817,984
Liquidity Gap 1,234,334
Contractual Basis [Member] | From 0 to 30 days [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
One time capital 5,511,914
AVAILABLE MARGIN 3,711,153
Contractual Basis [Member] | From 0 to 30 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 11,457,478
Cash flow payable (liabilities) and expenses 25,279,940
Liquidity Gap 13,822,462
Contractual Basis [Member] | From 0 to 30 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 1,498,841
Cash flow payable (liabilities) and expenses 3,299,602
Liquidity Gap 1,800,761
Contractual Basis [Member] | From 0 to 90 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 15,093,148
Cash flow payable (liabilities) and expenses 29,060,535
Liquidity Gap 13,967,387
Contractual Basis [Member] | From 0 to 90 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 2,132,057
Cash flow payable (liabilities) and expenses 3,820,992
Liquidity Gap 1,688,935
Adjusted Basis [Member] | From 0 to 7 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 7,731,653
Cash flow payable (liabilities) and expenses 9,296,090
Liquidity Gap 1,564,437
Adjusted Basis [Member] | From 0 to 7 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 1,179,252
Cash flow payable (liabilities) and expenses 1,534,143
Liquidity Gap 354,891
Adjusted Basis [Member] | From 0 to 15 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 9,809,678
Cash flow payable (liabilities) and expenses 10,104,437
Liquidity Gap 294,759
Adjusted Basis [Member] | From 0 to 15 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 1,362,035
Cash flow payable (liabilities) and expenses 1,691,583
Liquidity Gap 329,548
Adjusted Basis [Member] | From 0 to 30 days [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
One time capital 5,511,914
AVAILABLE MARGIN 4,629,461
Adjusted Basis [Member] | From 0 to 30 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 10,280,233
Cash flow payable (liabilities) and expenses 11,491,213
Liquidity Gap 1,210,980
Adjusted Basis [Member] | From 0 to 30 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 1,131,114
Cash flow payable (liabilities) and expenses 2,013,567
Liquidity Gap 882,453
Adjusted Basis [Member] | From 0 to 90 days [Member] | Consolidated Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 12,669,745
Cash flow payable (liabilities) and expenses 13,642,526
Liquidity Gap 972,781
Adjusted Basis [Member] | From 0 to 90 days [Member] | Foreign Currency [Member]  
Risk Management and Report - Schedules of Consolidated Term Liquidity (Details) [Line Items]  
Cash flow receivable (assets) and income 1,314,144
Cash flow payable (liabilities) and expenses 2,441,132
Liquidity Gap $ 1,126,988