Hedge accounting (Tables)
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12 Months Ended |
Dec. 31, 2025 |
| Hedge Accounting [Abstract] |
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| Schedule of Each Strategy of Nominal Value and Fair Value Adjustments of Hedge Instruments and Book Value of Hedged Item |
| | | | | | | | | | | | | | | | | | | | | | | | | 12/31/2025 | | 12/31/2024 | | Hedge instruments | Hedged item | | Hedge instruments | Hedged item | | Notional amount | Fair value adjustment | Gross book value | | Notional amount | Fair value adjustment | Gross book value | | Cash flow hedge | 240,699 | | (112) | | 240,803 | | | 236,045 | | (91) | | 242,931 | | | Hedge of assets transactions | 2,609 | | - | | 2,590 | | | 1,966 | | (10) | | 2,420 | | | Hedge of asset-backed securities under repurchase agreements | 14,039 | | - | | 14,459 | | | 63,261 | | (123) | | 66,795 | | | Hedge of assets denominated in Chilean unit of account | 83,462 | | (126) | | 83,462 | | | 39,894 | | (159) | | 39,842 | | | Hedge of loan operations | 20,950 | | 78 | | 20,950 | | | 10,910 | | 54 | | 10,955 | | | Hedge of deposits and repurchase agreements | 85,676 | | - | | 85,403 | | | 107,677 | | 76 | | 110,405 | | | Hedge of funding | 32,753 | | (63) | | 32,753 | | | 10,900 | | 82 | | 10,908 | | Hedge of highly probable forecast transactions (1) | 1,210 | | (1) | | 1,186 | | | 1,437 | | (11) | | 1,606 | | | Hedge of net investment in foreign operations | 29,033 | | 41 | | 27,551 | | | 19,363 | | 4,572 | | 23,701 | | | Hedge of net investment in foreign operations | 29,033 | | 41 | | 27,551 | | | 19,363 | | 4,572 | | 23,701 | | | Fair value hedge | 144,699 | | (1,297) | | 144,448 | | | 101,443 | | 837 | | 101,020 | | | Hedge of securities at amortized cost | 55,573 | | (1,410) | | 55,761 | | | 2,186 | | (49) | | 2,186 | | | Hedge of securities at fair value through other comprehensive income | 15,422 | | 86 | | 15,070 | | | 36,557 | | 847 | | 36,341 | | | Hedge of loan operations | 34,599 | | 71 | | 34,599 | | | 37,116 | | 333 | | 37,116 | | | Hedge of funding | 39,075 | | (44) | | 38,990 | | | 25,287 | | (294) | | 25,287 | | Hedge of firm commitments (1) | 30 | | - | | 28 | | | 297 | | - | | 90 | | | Total | 414,431 | | (1,368) | | 412,802 | | | 356,851 | | 5,318 | | 367,652 | |
1) Refer to amounts designated to registered hedge items Off-balance sheet.
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| Schedule of Breakdown by Maturity of Hedging Strategies |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | 12/31/2025 | | 0-1 year | 1-2 years | 2-3 years | 3-4 years | 4-5 years | 5-10 years | Over 10 years | Total | | Cash flow hedge | 151,954 | | 40,224 | | 17,515 | | 11,116 | | 13,883 | | 6,007 | | - | | 240,699 | | | Hedge of assets transactions | - | | - | | 2,068 | | - | | 541 | | - | | - | | 2,609 | | | Hedge of asset-backed securities under repurchase agreements | - | | - | | 8,132 | | 5,907 | | - | | - | | - | | 14,039 | | | Hedge assets denominated in Chilean unit of account | 73,095 | | 10,367 | | - | | - | | - | | - | | - | | 83,462 | | | Hedge of loan operations | 11,276 | | 2,029 | | 804 | | 1,647 | | 5,194 | | - | | - | | 20,950 | | | Hedge of deposits and repurchase agreements | 51,197 | | 20,191 | | 3,579 | | 2,835 | | 2,032 | | 5,842 | | - | | 85,676 | | | Hedge of funding | 15,176 | | 7,637 | | 2,932 | | 727 | | 6,116 | | 165 | | - | | 32,753 | | Hedge of highly probable forecast transactions (1) | 1,210 | | - | | - | | - | | - | | - | | - | | 1,210 | | | Hedge of net investment in foreign operations | 29,033 | | - | | - | | - | | - | | - | | - | | 29,033 | | Hedge of net investment in foreign operations (2) | 29,033 | | - | | - | | - | | - | | - | | - | | 29,033 | | | Fair value hedge | 55,652 | | 24,255 | | 25,370 | | 12,385 | | 7,832 | | 15,579 | | 3,626 | | 144,699 | | | Hedge of securities at amortized cost | 8,937 | | 7,939 | | 14,342 | | 4,766 | | 3,906 | | 13,668 | | 2,015 | | 55,573 | | | Hedge of securities at fair value through other comprehensive income | 11,438 | | 130 | | 1,390 | | 98 | | 728 | | 688 | | 950 | | 15,422 | | | Hedge of loan operations | 13,600 | | 7,890 | | 5,988 | | 4,507 | | 1,411 | | 882 | | 321 | | 34,599 | | | Hedge of funding | 21,647 | | 8,296 | | 3,650 | | 3,014 | | 1,787 | | 341 | | 340 | | 39,075 | | Hedge of firm commitments (1) | 30 | | - | | - | | - | | - | | - | | - | | 30 | | | Total | 236,639 | | 64,479 | | 42,885 | | 23,501 | | 21,715 | | 21,586 | | 3,626 | | 414,431 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | 12/31/2024 | | 0-1 year | 1-2 years | 2-3 years | 3-4 years | 4-5 years | 5-10 years | Over 10 years | Total | | Cash flow hedge | 125,198 | | 68,069 | | 28,155 | | 8,754 | | 4,980 | | 889 | | - | | 236,045 | | | Hedge of assets transactions | - | | - | | 1,247 | | 719 | | - | | - | | - | | 1,966 | | | Hedge of asset-backed securities under repurchase agreements | 22,629 | | 15,489 | | 17,016 | | 5,170 | | 2,957 | | - | | - | | 63,261 | | | Hedge assets denominated in Chilean unit of account | 16,801 | | 23,093 | | - | | - | | - | | - | | - | | 39,894 | | | Hedge of loan operations | 7,310 | | 1,148 | | 746 | | 1,272 | | 434 | | - | | - | | 10,910 | | | Hedge of deposits and repurchase agreements | 67,617 | | 27,835 | | 9,146 | | 1,467 | | 1,174 | | 438 | | - | | 107,677 | | | Hedge of funding | 9,404 | | 504 | | - | | 126 | | 415 | | 451 | | - | | 10,900 | | Hedge of highly probable forecast transactions (1) | 1,437 | | - | | - | | - | | - | | - | | - | | 1,437 | | | Hedge of net investment in foreign operations | 19,363 | | - | | - | | - | | - | | - | | - | | 19,363 | | Hedge of net investment in foreign operations (2) | 19,363 | | - | | - | | - | | - | | - | | - | | 19,363 | | | Fair value hedge | 33,722 | | 24,659 | | 10,366 | | 10,274 | | 9,987 | | 10,226 | | 2,209 | | 101,443 | | | Hedge of securities at amortized cost | 1,091 | | 1,095 | | - | | - | | - | | - | | - | | 2,186 | | | Hedge of securities at fair value through other comprehensive income | 11,165 | | 7,544 | | 3,741 | | 4,384 | | 2,965 | | 5,251 | | 1,507 | | 36,557 | | | Hedge of loan operations | 8,227 | | 12,446 | | 6,090 | | 4,334 | | 4,092 | | 1,647 | | 280 | | 37,116 | | | Hedge of funding | 12,942 | | 3,574 | | 535 | | 1,556 | | 2,930 | | 3,328 | | 422 | | 25,287 | | Hedge of firm commitments (1) | 297 | | - | | - | | - | | - | | - | | - | | 297 | | | Total | 178,283 | | 92,728 | | 38,521 | | 19,028 | | 14,967 | | 11,115 | | 2,209 | | 356,851 | |
1) Refer to amounts designated to registered hedge items Off-Balance sheet. 2) Classified as current, since instruments are frequently renewed.
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| Schedule of Hedge Accounting |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | Strategies | Heading | 12/31/2025 | | Hedged item | Hedge instrument | | Book value | Variation in value recognized in Other comprehensive income | Cash flow hedge reserve | | Notional Amount | Variation in fair value used to calculate hedge ineffectiveness | | Assets | Liabilities | | | Interest rate risk | | | | | | | | | | Hedge of assets transactions | Loan and lease operations and Securities | 2,590 | | - | | 9 | | (5) | | | 2,609 | | 9 | | | Hedge of asset-backed securities under repurchase agreements | Securities purchased under agreements to resell | 14,459 | | - | | (186) | | (875) | | | 14,039 | | (187) | | | Hedge of assets denominated in Chilean unit of account | Securities | 83,462 | | - | | 57 | | 56 | | | 83,462 | | 57 | | | Hedge of loan operations | Loan and lease operations | 20,950 | | - | | 54 | | 106 | | | 20,950 | | 55 | | | Hedge of deposits and repurchase agreements | Securities sold under agreements to resell and Deposits | - | | 85,403 | | (273) | | (8) | | | 85,676 | | (273) | | | Hedge of funding | Deposits | - | | 30,935 | | (41) | | (65) | | | 30,935 | | (41) | | | Foreign exchange risk | | | | | | | | | | Hedge of funding | Deposits | - | | 1,818 | | 28 | | 28 | | | 1,818 | | 28 | | Hedge of highly probable forecast transactions (1) | | 200 | | 986 | | 20 | | 205 | | | 1,210 | | 20 | | | Total | | 121,661 | | 119,142 | | (332) | | (558) | | | 240,699 | | (332) | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | Strategies | Heading | 12/31/2024 | | Hedged item | Hedge instrument | | Book Value | Variation in value recognized in Other comprehensive income | Cash flow hedge reserve | | Notional Amount | Variation in fair value used to calculate hedge ineffectiveness | | Assets | Liabilities | | | Interest rate risk | | | | | | | | | | Hedge of assets transactions | Loan and lease operations and Securities | 2,420 | | - | | (155) | | (155) | | | 1,966 | | (155) | | | Hedge of asset-backed securities under repurchase agreements | Securities purchased under agreements to resell | 66,795 | | - | | (3,428) | | (3,429) | | | 63,261 | | (3,428) | | | Hedge of assets denominated in Chilean unit of account | Securities | 39,842 | | - | | (54) | | (54) | | | 39,894 | | (54) | | | Hedge of loan operations | Loan and lease operations | 10,955 | | - | | 44 | | 59 | | | 10,910 | | 44 | | | Hedge of deposits and repurchase agreements | Securities sold under agreements to resell and Deposits | - | | 110,405 | | 2,672 | | 2,672 | | | 107,677 | | 2,728 | | | Hedge of funding | Deposits | - | | 9,732 | | 3 | | (61) | | | 9,735 | | 3 | | | Foreign exchange risk | | | | | | | | | | Hedge of funding | Deposits | - | | 1,176 | | (11) | | (11) | | | 1,165 | | (11) | | Hedge of highly probable forecast transactions (1) | | - | | 1,606 | | (193) | | (90) | | | 1,437 | | (193) | | | Total | | 120,012 | | 122,919 | | (1,122) | | (1,069) | | | 236,045 | | (1,066) | |
1) Refer to amounts designated to registered hedge items Off-Balance sheet.
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| Schedule of Net Investment In Foreign Operations |
| | | | | | | | | | | | | | | | | | | | | | | | | Hedge instruments | 12/31/2025 | | Notional amount | Book Value (1) | Variations in fair value used to calculate hedge ineffectiveness | Variation in the value recognized in Other comprehensive income | Hedge ineffectiveness recognized in income | Amount reclassified from cash flow hedge reserve to income
| | Assets | Liabilities | | Interest rate risk | | | | | | | | | Futures | 102,324 | | - | | - | | (450) | | (450) | | - | | (152) | | | Forward | 72,802 | | - | | 110 | | 50 | | 50 | | - | | (29) | | | Swaps | 62,545 | | 141 | | 69 | | 21 | | 21 | | - | | 18 | | | Foreign exchange risk | | | | | | | | | Futures | 834 | | - | | - | | 23 | | 23 | | - | | (2) | | | Forward | 2,194 | | - | | 74 | | 24 | | 24 | | - | | - | | | Total | 240,699 | | 141 | | 253 | | (332) | | (332) | | - | | (165) | |
| | | | | | | | | | | | | | | | | | | | | | | | | Hedge instruments | 12/31/2024 | | Notional amount | Book Value (1) | Variations in fair value used to calculate hedge ineffectiveness | Variation in the value recognized in Other comprehensive income | Hedge ineffectiveness recognized in income | Amount reclassified from cash flow hedge reserve to income | | Assets | Liabilities | | Interest rate risk | | | | | | | | | Futures | 172,904 | | 76 | | 133 | | (855) | | (911) | | 56 | | (285) | | | Forward | 33,218 | | - | | 132 | | (45) | | (45) | | - | | - | | | Swaps | 27,321 | | 106 | | 31 | | 38 | | 38 | | - | | (59) | | | Foreign exchange risk | | | | | | | | | Futures | 1,186 | | 4 | | - | | (181) | | (181) | | - | | (3) | | | Forward | 1,416 | | 34 | | 15 | | (23) | | (23) | | - | | - | | | Total | 236,045 | | 220 | | 311 | | (1,066) | | (1,122) | | 56 | | (347) | |
1) Values in the heading derivatives. | | | | | | | | | | | | | | | | | | | | | | | | | Strategies | 12/31/2025 | | Hedged Item | | Hedge Instruments | | Book Value | | Variation in value recognized in other comprehensive income | Foreign currency conversion reserve | Notional amount | Variation in fair value used to calculate hedge ineffectiveness | | Assets | Liabilities | | | Foreign exchange risk | | | | | | | | Hedge of net investment in foreign operations (1) | 27,551 | | - | | | (15,392) | | (15,392) | | 29,033 | | (15,422) | | | Total | 27,551 | | - | | | (15,392) | | (15,392) | | 29,033 | | (15,422) | |
| | | | | | | | | | | | | | | | | | | | | | | Strategies | 12/31/2024 | | Hedged Item | | Hedge Instruments | | Book Value | | Variation in value recognized in other comprehensive income | Foreign currency conversion reserve | Notional amount | Variation in fair value used to calculate hedge ineffectiveness | | Assets | Liabilities | | | Foreign exchange risk | | | | | | | | Hedge of net investment in foreign operations (1) | 23,701 | | - | | | (17,404) | | (17,404) | | 19,363 | | (17,428) | | | Total | 23,701 | | - | | | (17,404) | | (17,404) | | 19,363 | | (17,428) | |
1) Hedge instruments consider the gross tax position.
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| Schedule of Hedge Instruments |
| | | | | | | | | | | | | | | | | | | | | | | | | Hedge instruments | 12/31/2025 | | Notional amount | Book value (1) | Variations in fair value used to calculate hedge ineffectiveness | Variation in the value recognized in Other comprehensive income | Hedge ineffectiveness recognized in income | Amount reclassified from foreign currency conversion reserve into income | | Assets | Liabilities | | Foreign exchange risk | | | | | | | | | Future | 12,285 | | - | | - | | (4,848) | | (4,808) | | (40) | | - | | | Future / NDF | 9,245 | | 84 | | - | | (7,484) | | (7,360) | | (124) | | - | | | Future / Financial Assets | 7,503 | | - | | 43 | (3,090) | | (3,224) | | 134 | | - | | | Total | 29,033 | | 84 | | 43 | | (15,422) | | (15,392) | | (30) | | - | |
| | | | | | | | | | | | | | | | | | | | | | | | | Hedge instruments | 12/31/2024 | | Notional amount | Book value (1) | Variations in fair value used to calculate hedge ineffectiveness | Variation in the value recognized in Other comprehensive income | Hedge ineffectiveness recognized in income | Amount reclassified from foreign currency conversion reserve into income | | Assets | Liabilities | | Foreign exchange risk | | | | | | | | | Future | 5,234 | | 21 | | - | | (6,093) | | (6,053) | | (40) | | - | | | Future / NDF | 7,933 | | 129 | | 107 | | (2,640) | | (2,610) | | (30) | | (1) | | | Future / Financial Assets | 6,196 | | 6,490 | | 1,961 | | (8,695) | | (8,741) | | 46 | | - | | | Total | 19,363 | | 6,640 | | 2,068 | | (17,428) | | (17,404) | | (24) | | (1) | |
1) Values recorded in the heading derivatives.
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| Schedule of Management Strategy Guidelines |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | Strategies | 12/31/2025 | | Hedged item | | Hedge instrument | Book Value (1) | Fair value | Variation in fair value recognized in income | | Notional amount | Variation in fair value used to calculate hedge ineffectiveness | | Assets | Liabilities | Assets | Liabilities | | | Interest rate risk | | | | | | | | | | Hedge of securities at amortized cost | 55,761 | | - | | 55,929 | | - | | 168 | | | 55,573 | | (169) | | | Hedge of securities at fair value through other comprehensive income | 15,070 | | - | | 15,017 | | - | | (53) | | | 15,422 | | 49 | | | Hedge of loan operations | 34,599 | | - | | 34,858 | | - | | 259 | | | 34,599 | | (264) | | | Hedge of funding | - | | 38,990 | | - | | 39,191 | | (201) | | | 39,075 | | 203 | | | Foreign exchange risk | | | | | | | | | | Hedge of firm commitments | - | | 28 | | - | | 38 | | (10) | | | 30 | | 10 | | | Total | 105,430 | | 39,018 | | 105,804 | | 39,229 | | 163 | | | 144,699 | | (171) | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | Strategies | 12/31/2024 | | Hedged item | | Hedge instrument | Book Value (1) | Fair value | Variation in fair value recognized in income | | Notional amount | Variation in fair value used to calculate hedge ineffectiveness | | Assets | Liabilities | Assets | Liabilities | | | Interest rate risk | | | | | | | | | | Hedge of securities at amortized cost | 2,186 | | - | | 2,197 | | - | | 11 | | | 2,186 | | (10) | | | Hedge of securities at fair value through other comprehensive income | 36,341 | | - | | 36,116 | | - | | (225) | | | 36,557 | | 224 | | | Hedge of loan operations | 37,116 | | - | | 37,423 | | - | | 307 | | | 37,116 | | (304) | | | Hedge of funding | - | | 25,287 | | - | | 25,088 | | 199 | | | 25,287 | | (199) | | | Foreign exchange risk | | | | | | | | | | Hedge of firm commitments | - | | 90 | | - | | 112 | | (22) | | | 297 | | 22 | | | Total | 75,643 | | 25,377 | | 75,736 | | 25,200 | | 270 | | - | | 101,443 | | (267) | |
1) Values recorded in the heading deposits, securities, and loan and lease operations.
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| Schedule of the Effect of Hedge Accounting on the Financial Position and Performance |
| | | | | | | | | | | | | | | | | | | Hedge Instruments | 12/31/2025 | | Notional amount | Book Value (1) | Variation in fair value used to calculate hedge ineffectiveness | Hedge ineffectiveness recognized in income | | Assets | Liabilities | | Interest rate risk | | | | | | | Swaps | 102,677 | | 385 | | 1,682 | | (349) | | (11) | | | Futures | 41,992 | | - | | - | | 168 | | 3 | | | Foreign exchange risk | | | | | | | Futures | 30 | | - | | - | | 10 | | - | | | Total | 144,699 | | 385 | | 1,682 | | (171) | | (8) | |
| | | | | | | | | | | | | | | | | | | Hedge Instruments | 12/31/2024 | | Notional amount | Book Value (1) | Variation in fair value used to calculate hedge ineffectiveness | Hedge ineffectiveness recognized in income | | Assets | Liabilities | | Interest rate risk | | | | | | | Swaps | 90,201 | | 1,557 | | 737 | | (328) | | 8 | | | Futures | 10,945 | | 17 | | - | | 39 | | (5) | | | Foreign exchange risk | | | | | | | Futures | 297 | | - | | - | | 22 | | - | | | Total | 101,443 | | 1,574 | | 737 | | (267) | | 3 | |
1) Values recorded in the heading Derivatives.
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