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Risk Management (Details) - Schedule of Breakdown by Maturity - CLP ($)
$ in Millions
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Up to 7 days    
Schedule of Breakdown by Maturity [Line Items]    
Cash flow receivable (assets) and income $ 2,933,007 $ 2,471,457
Cash flow payable (liabilities) and expenses 2,595,355 2,127,447
Mismatch 337,652 344,010
Up to 15 days    
Schedule of Breakdown by Maturity [Line Items]    
Cash flow receivable (assets) and income 1,478,146 1,642,561
Cash flow payable (liabilities) and expenses 1,585,737 2,481,618
Mismatch (107,591) (839,057)
Up to 30 days    
Schedule of Breakdown by Maturity [Line Items]    
Cash flow receivable (assets) and income 1,323,245 1,834,873
Cash flow payable (liabilities) and expenses 1,997,139 2,058,265
Mismatch (673,894) (223,392)
Mismatch affected by limits (443,833) (718,439)
Limits:    
1 time capital 4,719,697 4,292,440
Margin available $ 4,275,864 $ 3,574,001
% used 9.00% 17.00%
Up to 7 days    
Schedule of Breakdown by Maturity [Line Items]    
Cash flow receivable (assets) and income $ 2,931,749 $ 2,468,737
Cash flow payable (liabilities) and expenses 2,577,161 2,111,033
Mismatch 354,588 357,704
Up to 15 days    
Schedule of Breakdown by Maturity [Line Items]    
Cash flow receivable (assets) and income 1,478,146 1,642,561
Cash flow payable (liabilities) and expenses 1,585,737 2,481,618
Mismatch (107,591) (839,057)
Up to 30 days    
Schedule of Breakdown by Maturity [Line Items]    
Cash flow receivable (assets) and income 1,323,245 1,834,873
Cash flow payable (liabilities) and expenses 1,997,139 2,058,265
Mismatch (673,894) (223,392)
Mismatch affected by limits (426,897) (704,745)
Limits:    
1 time capital 4,839,639 4,396,833
Margin available $ 4,412,742 $ 3,692,088
% used 9.00% 16.00%