v3.25.1
Risk Management and Report - Schedule of Potential Profit and Loss Impact on Trading Book (Details) - CLF [Member]
$ in Millions
12 Months Ended
Dec. 31, 2024
CLP ($)
Risk Management and Report - Schedule of Potential Profit and Loss Impact on Trading Book (Details) [Line Items]  
CLP Interest Rate $ (12,529)
Derivatives (602)
Debt instruments (11,927)
CLF Interest Rate (3,051)
Derivatives 105
Debt instruments (3,156)
Interest rate USD offshore 33
Domestic/offshore interest rate spread USD (123)
Total Interest rates (15,670)
Banking spread (58)
Total FX and FX Options (80)
Total $ (15,808)