v3.26.1
EQUITY - Consolidated statements of comprehensive income (Details) - CLP ($)
$ in Thousands
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Dec. 31, 2023
Cash flow for hedge      
Gross Balance $ (20,463,976) $ 19,166,716 $ 52,472,352
Tax 6,522,863 (6,978,956) (14,183,004)
Net Balance (13,941,113) 12,187,760 38,289,348
Exchange rate translation differences      
Gross Balance (70,045,566) (71,165,622) (98,844,581)
Tax 31,233,446 29,114,514 37,650,601
Net Balance (38,812,120) (42,051,108) (61,193,980)
Benefit relate to defined benefit plans      
Gross Balance (198,547) (2,865,423) 2,381,650
Tax 53,608 773,664 (643,045)
Net Balance (144,939) (2,091,759) 1,738,605
Total Comprehensive income      
Gross Balance (90,708,089) (54,864,329) (43,990,579)
Tax 37,809,917 22,909,222 22,824,552
Other comprehensive income, total $ (52,898,172) $ (31,955,107) $ (21,166,027)