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) |