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FINANCIAL RISK MANAGEMENT (Details 4) - USD ($)
$ in Thousands
12 Months Ended
Dec. 31, 2018
Dec. 31, 2017
Jan. 04, 2018
Disclosure of risk management strategy related to hedge accounting [line items]      
Hedging derivatives   $ 14,817 $ 26,261
NATIXIS [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E    
Creditor country France    
Currency US$    
CITIBANK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E    
Creditor country U.S.A.    
Currency US$    
SANTANDER [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E    
Creditor country U.S.A.    
Currency US$    
BNP PARIBAS [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
PEFCO [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
CITIBANK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
ING [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
INVESTEC [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country England U.S.A  
Currency US$ US$  
PK AirFinance [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
NATIXIS [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country France France  
Currency US$ US$  
US BANK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
WILMINGTON TRUST [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
BNP PARIBAS [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Credit Agricole [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country France France  
Currency US$ US$  
ESTADO [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.030.000-7 97.030.000-7  
Creditor country Chile Chile  
Currency UF UF  
BANK OF NEWYORK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
SANTANDER [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.036.000-K 97.036.000-K  
Creditor country Chile Chile  
Currency US$ US$  
BLADEX [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
CORP BANCA [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.023.000-9 97.023.000-9  
Creditor country Chile Chile  
Currency UF UF  
HSBC [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.951.000-4 97.951.000-4  
Creditor country Chile Chile  
Currency US$ US$  
BANCO DO BRASIL [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.003.000-K 97,003,000-K  
Creditor country Chile Chile  
Currency US$ US$  
SANTANDER [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.036.000-K 97.036.000-K  
Creditor country Chile Chile  
Currency US$ US$  
BBVA [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.032.000-8 97.032.000-8  
Creditor country Chile Chile  
Currency US$ US$  
BBVA [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.032.000-8 97.032.000-8  
Creditor country Chile Chile  
Currency UF UF  
CREDIT AGRICOLE [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E    
Creditor country France    
Currency US$    
CITIBANK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
CREDIT AGRICOLE [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country France France  
Currency US$ US$  
DVB BANK SE [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E    
Creditor country Germany    
Currency US$    
APPLE BANK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
BTMU [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
KFW IPEX-BANK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country Germany Germany  
Currency US$ US$  
DEUTSCHE BANK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No.   0-E  
Creditor country   U.S.A.  
Currency   US$  
WELLS FARGO [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No.   0-E  
Creditor country   U.S.A.  
Currency   US$  
ESTADO [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.030.000-7 97.030.000-7  
Creditor country Chile Chile  
Currency US$ US$  
AIRBUS FINANCIAL [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No.   0-E  
Creditor country   U.S.A.  
Currency   US$  
TAM S.A. and Subsidiaries [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. [1] Foreign    
TAM S.A. and Subsidiaries [Member] | SOCIETEGENERALE MILAN BRANCH [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country Italy Italy  
Currency US$ US$  
TAM S.A. and Subsidiaries [Member] | Wacapou Leasing S.A [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country Luxemburg Luxemburg  
Currency US$ US$  
TAM S.A. and Subsidiaries [Member] | NATIXIS [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country France France  
Currency US$ US$  
TAM S.A. and Subsidiaries [Member] | NEDERLANDSCHE NCM [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country Holland Holland  
Currency US$ US$  
TAM S.A. and Subsidiaries [Member] | SOCIETE GENERALE [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No.   0-E  
Creditor country   France  
Currency   BRL  
TAM S.A. and Subsidiaries [Member] | BANCO IBMS .A [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No.   0-E  
Creditor country   Brazil  
Currency   BRL  
Liquidity Risk [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Nominal value $ 6,989,299 $ 7,633,613  
Total trade and other payables 1,280,358 1,349,961  
Total consolidated 8,597,949 9,341,682  
Liquidity Risk [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Nominal value 534,959 535,352  
Total trade and other payables 1,263,383 1,338,746  
Total consolidated 1,815,767 1,891,289  
Liquidity Risk [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Nominal value 1,039,060 960,284  
Total trade and other payables 16,975 11,215  
Total consolidated 1,100,967 1,014,552  
Liquidity Risk [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Nominal value 2,866,810 3,010,385  
Total trade and other payables  
Total consolidated 3,087,917 3,246,203  
Liquidity Risk [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Nominal value 1,555,906 1,630,990  
Total trade and other payables  
Total consolidated 1,602,508 1,706,312  
Liquidity Risk [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Nominal value 2,098,861 2,780,822  
Total trade and other payables  
Total consolidated 2,110,179 2,780,822  
Liquidity Risk [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Nominal value 8,095,596 8,917,833  
Total trade and other payables 1,280,358 1,349,961  
Total consolidated 9,717,338 $ 10,639,178  
Liquidity Risk [Member] | TAM Aviacao Executivae Taxi Aereo S.A. [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Nominal value $ 2    
Effective rate % 0.00%    
Nominal rate % 0.00%    
Liquidity Risk [Member] | TAM Aviacao Executivae Taxi Aereo S.A. [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents $ 2    
Liquidity Risk [Member] | TAM Aviacao Executivae Taxi Aereo S.A. [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents    
Liquidity Risk [Member] | TAM Aviacao Executivae Taxi Aereo S.A. [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents    
Liquidity Risk [Member] | TAM Aviacao Executivae Taxi Aereo S.A. [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents    
Liquidity Risk [Member] | TAM Aviacao Executivae Taxi Aereo S.A. [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents    
Liquidity Risk [Member] | TAM Aviacao Executivae Taxi Aereo S.A. [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents $ 2    
Liquidity Risk [Member] | Bethia S.A. y Filiales [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 78.591.370-1 78.591.370-1  
Creditor country Chile Chile  
Currency CLP CLP  
Nominal value $ 365 $ 12  
Effective rate % 0.00%  
Nominal rate % 0.00%  
Liquidity Risk [Member] | Bethia S.A. y Filiales [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents $ 365 $ 12  
Liquidity Risk [Member] | Bethia S.A. y Filiales [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents  
Liquidity Risk [Member] | Bethia S.A. y Filiales [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents  
Liquidity Risk [Member] | Bethia S.A. y Filiales [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents  
Liquidity Risk [Member] | Bethia S.A. y Filiales [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents  
Liquidity Risk [Member] | Bethia S.A. y Filiales [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents $ 365 $ 12  
Liquidity Risk [Member] | Inversora Aeronautica Argentina S.A. [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country Argentina Argentina  
Currency ARS ThUS$  
Nominal value $ 15 $ 4  
Effective rate % 0.00%  
Nominal rate % 0.00%  
Liquidity Risk [Member] | Inversora Aeronautica Argentina S.A. [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents $ 15 $ 4  
Liquidity Risk [Member] | Inversora Aeronautica Argentina S.A. [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents  
Liquidity Risk [Member] | Inversora Aeronautica Argentina S.A. [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents  
Liquidity Risk [Member] | Inversora Aeronautica Argentina S.A. [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents  
Liquidity Risk [Member] | Inversora Aeronautica Argentina S.A. [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents  
Liquidity Risk [Member] | Inversora Aeronautica Argentina S.A. [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents $ 15 $ 4  
Liquidity Risk [Member] | OTHERS [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Creditor country OTHERS OTHERS  
Currency Other currencies Others currencies  
Nominal value $ 522,366 $ 301,459  
Effective rate % 0.00%  
Nominal rate % 0.00%  
Liquidity Risk [Member] | OTHERS [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables $ 518,448 $ 290,244  
Liquidity Risk [Member] | OTHERS [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables 3,918 11,215  
Liquidity Risk [Member] | OTHERS [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables  
Liquidity Risk [Member] | OTHERS [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables  
Liquidity Risk [Member] | OTHERS [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables  
Liquidity Risk [Member] | OTHERS [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables $ 522,366 $ 301,459  
Liquidity Risk [Member] | OTHERS [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Creditor country OTHERS OTHERS  
Currency BRL BRL  
Nominal value $ 251,840 $ 315,605  
Effective rate % 0.00%  
Nominal rate % 0.00%  
Liquidity Risk [Member] | OTHERS [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables $ 250,915 $ 315,605  
Liquidity Risk [Member] | OTHERS [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables 925  
Liquidity Risk [Member] | OTHERS [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables  
Liquidity Risk [Member] | OTHERS [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables  
Liquidity Risk [Member] | OTHERS [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables  
Liquidity Risk [Member] | OTHERS [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables $ 251,840 $ 315,605  
Liquidity Risk [Member] | OTHERS [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Creditor country OTHERS OTHERS  
Currency CLP CLP  
Nominal value $ 137,655 $ 165,299  
Effective rate % 0.00%  
Nominal rate % 0.00%  
Liquidity Risk [Member] | OTHERS [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables $ 137,296 $ 165,299  
Liquidity Risk [Member] | OTHERS [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables 359  
Liquidity Risk [Member] | OTHERS [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables  
Liquidity Risk [Member] | OTHERS [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables  
Liquidity Risk [Member] | OTHERS [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables  
Liquidity Risk [Member] | OTHERS [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables $ 137,655 $ 165,299  
Liquidity Risk [Member] | Others [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Creditor country OTHERS OTHERS  
Currency US$ ThUS$  
Nominal value $ 368,115 $ 566,838  
Effective rate % 0.00%  
Nominal rate % 0.00%  
Liquidity Risk [Member] | Others [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables $ 356,342 $ 566,838  
Liquidity Risk [Member] | Others [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables 11,773  
Liquidity Risk [Member] | Others [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables  
Liquidity Risk [Member] | Others [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables  
Liquidity Risk [Member] | Others [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables  
Liquidity Risk [Member] | Others [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Trade and other accounts payables $ 368,115 $ 566,838  
Liquidity Risk [Member] | NATIXIS [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0 -E    
Creditor country France    
Currency US$    
Amortization Quarterly    
Nominal value $ 23,161    
Effective rate % 4.28%    
Nominal rate % 4.12%    
Liquidity Risk [Member] | NATIXIS [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations $ 4,242    
Liquidity Risk [Member] | NATIXIS [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations 9,870    
Liquidity Risk [Member] | NATIXIS [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations 9,815    
Liquidity Risk [Member] | NATIXIS [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations    
Liquidity Risk [Member] | NATIXIS [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations 563    
Liquidity Risk [Member] | NATIXIS [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations $ 24,490    
Liquidity Risk [Member] | Others [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Currency US$ US$  
Nominal value $ 4,021 $ 17,407  
Effective rate % 0.00% 0.00%  
Nominal rate % 0.00% 0.00%  
Liquidity Risk [Member] | Others [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Hedging derivatives $ 1,224 $ 5,656  
Liquidity Risk [Member] | Others [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Hedging derivatives 2,484 6,719  
Liquidity Risk [Member] | Others [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Hedging derivatives 681 6,228  
Liquidity Risk [Member] | Others [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Hedging derivatives  
Liquidity Risk [Member] | Others [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Hedging derivatives  
Liquidity Risk [Member] | Others [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Hedging derivatives $ 4,389 $ 18,603  
Liquidity Risk [Member] | CITIBANK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Amortization Quarterly [2] Quarterly  
Nominal value $ 196,211 $ 285,891  
Effective rate % 6.00% 6.00%  
Nominal rate % 6.00% 6.00%  
Liquidity Risk [Member] | CITIBANK [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other loans [2] $ 25,705 $ 25,783  
Liquidity Risk [Member] | CITIBANK [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other loans 77,703 77,810  
Liquidity Risk [Member] | CITIBANK [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other loans 103,341 206,749  
Liquidity Risk [Member] | CITIBANK [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other loans  
Liquidity Risk [Member] | CITIBANK [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other loans  
Liquidity Risk [Member] | CITIBANK [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other loans $ 206,749 $ 310,342  
Liquidity Risk [Member] | RRP F ENGINE [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country England England  
Currency US$ US$  
Amortization Monthly Monthly  
Nominal value $ 23,012 $ 25,983  
Effective rate % 4.01% 4.01%  
Nominal rate % 4.01% 4.01%  
Liquidity Risk [Member] | RRP F ENGINE [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 370  
Other guaranteed obligations $ 1,167    
Liquidity Risk [Member] | RRP F ENGINE [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   3,325  
Other guaranteed obligations 3,480    
Liquidity Risk [Member] | RRP F ENGINE [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   8,798  
Other guaranteed obligations 9,103    
Liquidity Risk [Member] | RRP F ENGINE [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   8,692  
Other guaranteed obligations 8,826    
Liquidity Risk [Member] | RRP F ENGINE [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   9,499  
Other guaranteed obligations 4,870    
Liquidity Risk [Member] | RRP F ENGINE [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 30,684  
Other guaranteed obligations $ 27,446    
Liquidity Risk [Member] | SANTANDER [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.036.000-K 97.036.000-K  
Creditor country Chile Chile  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 95,022 $ 117,023  
Effective rate % 3.68% 2.51%  
Nominal rate % 3.14% 1.96%  
Liquidity Risk [Member] | SANTANDER [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 6,049  
Other guaranteed obligations $ 6,340    
Liquidity Risk [Member] | SANTANDER [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   18,344  
Other guaranteed obligations 19,025    
Liquidity Risk [Member] | SANTANDER [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   48,829  
Other guaranteed obligations 49,945    
Liquidity Risk [Member] | SANTANDER [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   47,785  
Other guaranteed obligations 26,779    
Liquidity Risk [Member] | SANTANDER [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   3,156  
Other guaranteed obligations    
Liquidity Risk [Member] | SANTANDER [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 124,163  
Other guaranteed obligations $ 102,089    
Liquidity Risk [Member] | WELLS FARGO [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 719,338 $ 221,113  
Effective rate % 2.77% 3.17%  
Nominal rate % 2.09% 2.67%  
Liquidity Risk [Member] | WELLS FARGO [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 12,117  
Other guaranteed obligations $ 35,458    
Liquidity Risk [Member] | WELLS FARGO [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   38,076  
Other guaranteed obligations 106,397    
Liquidity Risk [Member] | WELLS FARGO [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   98,424  
Other guaranteed obligations 282,923    
Liquidity Risk [Member] | WELLS FARGO [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   66,849  
Other guaranteed obligations 239,168    
Liquidity Risk [Member] | WELLS FARGO [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   21,253  
Other guaranteed obligations 99,232    
Liquidity Risk [Member] | WELLS FARGO [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 236,719  
Other guaranteed obligations $ 763,178    
Liquidity Risk [Member] | BNP PARIBAS [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 511,698 $ 575,221  
Effective rate % 4.55% 3.41%  
Nominal rate % 4.55% 3.40%  
Liquidity Risk [Member] | BNP PARIBAS [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 14,741 $ 14,498  
Liquidity Risk [Member] | BNP PARIBAS [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 61,973 59,863  
Liquidity Risk [Member] | BNP PARIBAS [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 152,826 148,469  
Liquidity Risk [Member] | BNP PARIBAS [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 145,252 145,315  
Liquidity Risk [Member] | BNP PARIBAS [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 250,387 313,452  
Liquidity Risk [Member] | BNP PARIBAS [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 625,179 $ 681,597  
Liquidity Risk [Member] | PEFCO [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 22,407 $ 67,783  
Effective rate % 5.64% 5.46%  
Nominal rate % 5.02% 4.85%  
Liquidity Risk [Member] | PEFCO [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 13,354  
Other guaranteed obligations $ 5,771    
Liquidity Risk [Member] | PEFCO [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   34,430  
Other guaranteed obligations 13,541    
Liquidity Risk [Member] | PEFCO [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   23,211  
Other guaranteed obligations 3,899    
Liquidity Risk [Member] | PEFCO [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases    
Other guaranteed obligations    
Liquidity Risk [Member] | PEFCO [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases    
Other guaranteed obligations    
Liquidity Risk [Member] | PEFCO [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 70,995  
Other guaranteed obligations $ 23,211    
Liquidity Risk [Member] | CITIBANK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E [3] margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country U.S.A. [3] U.S.A.  
Currency US$ [3] US$  
Amortization Quarterly Quarterly  
Nominal value $ 172,158 $ 184,274  
Effective rate % 4.40% 3.78%  
Nominal rate % 3.80% 3.17%  
Liquidity Risk [Member] | CITIBANK [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 12,699  
Other guaranteed obligations $ 14,870    
Liquidity Risk [Member] | CITIBANK [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   38,248  
Other guaranteed obligations 44,570    
Liquidity Risk [Member] | CITIBANK [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   91,821  
Other guaranteed obligations 83,389    
Liquidity Risk [Member] | CITIBANK [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   51,222  
Other guaranteed obligations 42,178    
Liquidity Risk [Member] | CITIBANK [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   2,880  
Other guaranteed obligations    
Liquidity Risk [Member] | CITIBANK [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 196,870  
Other guaranteed obligations $ 185,007    
Liquidity Risk [Member] | ING [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 26,831 $ 42,957  
Effective rate % 5.70% 5.67%  
Nominal rate % 5.01% 5.00%  
Liquidity Risk [Member] | ING [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 5,890  
Other guaranteed obligations $ 4,025    
Liquidity Risk [Member] | ING [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   12,076  
Other guaranteed obligations 12,075    
Liquidity Risk [Member] | ING [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   28,234  
Other guaranteed obligations 12,134    
Liquidity Risk [Member] | ING [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases    
Other guaranteed obligations    
Liquidity Risk [Member] | ING [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases    
Other guaranteed obligations    
Liquidity Risk [Member] | ING [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 46,200  
Other guaranteed obligations $ 28,234    
Liquidity Risk [Member] | INVESTEC [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country England England  
Currency US$ US$  
Amortization Semiannual Semiannual  
Nominal value $ 54,014 $ 63,378  
Effective rate % 7.17% 6.04%  
Nominal rate % 7.17% 6.04%  
Liquidity Risk [Member] | INVESTEC [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 2,004 $ 1,930  
Liquidity Risk [Member] | INVESTEC [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 11,579 11,092  
Liquidity Risk [Member] | INVESTEC [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 26,874 26,103  
Liquidity Risk [Member] | INVESTEC [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 24,367 26,045  
Liquidity Risk [Member] | INVESTEC [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 11,055  
Liquidity Risk [Member] | INVESTEC [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 64,824 $ 76,225  
Liquidity Risk [Member] | PK AirFinance [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Amortization Monthly Monthly  
Nominal value $ 37,615 $ 46,500  
Effective rate % 4.15% 3.18%  
Nominal rate % 4.15% 3.18%  
Liquidity Risk [Member] | PK AirFinance [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 2,490 $ 2,375  
Liquidity Risk [Member] | PK AirFinance [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 7,663 7,308  
Liquidity Risk [Member] | PK AirFinance [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 25,610 20,812  
Liquidity Risk [Member] | PK AirFinance [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 3,153 18,104  
Liquidity Risk [Member] | PK AirFinance [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations  
Liquidity Risk [Member] | PK AirFinance [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 38,916 $ 48,599  
Liquidity Risk [Member] | NATIXIS [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country France France  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 324,524 $ 413,011  
Effective rate % 4.69% 3.42%  
Nominal rate % 4.69% 3.40%  
Liquidity Risk [Member] | NATIXIS [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 14,027 $ 18,192  
Liquidity Risk [Member] | NATIXIS [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 42,132 54,952  
Liquidity Risk [Member] | NATIXIS [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 111,528 129,026  
Liquidity Risk [Member] | NATIXIS [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 92,228 105,990  
Liquidity Risk [Member] | NATIXIS [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 124,910 166,011  
Liquidity Risk [Member] | NATIXIS [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 384,825 $ 474,171  
Liquidity Risk [Member] | US BANK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 411,684 $ 472,833  
Effective rate % 4.00% 4.00%  
Nominal rate % 2.82% 2.82%  
Liquidity Risk [Member] | US BANK [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 18,406 $ 18,485  
Liquidity Risk [Member] | US BANK [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 55,112 55,354  
Liquidity Risk [Member] | US BANK [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 146,045 146,709  
Liquidity Risk [Member] | US BANK [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 144,670 145,364  
Liquidity Risk [Member] | US BANK [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 86,076 158,236  
Liquidity Risk [Member] | US BANK [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 450,309 $ 524,148  
Liquidity Risk [Member] | WILMINGTON TRUST [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 952,758 $ 1,034,853  
Effective rate % 4.47% 4.48%  
Nominal rate % 4.47% 4.48%  
Liquidity Risk [Member] | WILMINGTON TRUST [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 31,336 $ 32,026  
Liquidity Risk [Member] | WILMINGTON TRUST [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 96,304 95,042  
Liquidity Risk [Member] | WILMINGTON TRUST [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 248,720 253,469  
Liquidity Risk [Member] | WILMINGTON TRUST [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 289,251 244,836  
Liquidity Risk [Member] | WILMINGTON TRUST [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 509,168 676,474  
Liquidity Risk [Member] | WILMINGTON TRUST [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 1,174,779 $ 1,301,847  
Liquidity Risk [Member] | BNP PARIBAS [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 59,567 $ 98,105  
Effective rate % 3.90% 3.66%  
Nominal rate % 3.58% 3.25%  
Liquidity Risk [Member] | BNP PARIBAS [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 13,955  
Other guaranteed obligations $ 8,467    
Liquidity Risk [Member] | BNP PARIBAS [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   35,567  
Other guaranteed obligations 25,214    
Liquidity Risk [Member] | BNP PARIBAS [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   50,433  
Other guaranteed obligations 26,933    
Liquidity Risk [Member] | BNP PARIBAS [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   2,312  
Other guaranteed obligations 1,641    
Liquidity Risk [Member] | BNP PARIBAS [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases    
Other guaranteed obligations    
Liquidity Risk [Member] | BNP PARIBAS [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 102,267  
Other guaranteed obligations $ 62,255    
Liquidity Risk [Member] | Credit Agricole [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country France France  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 10,080 $ 98,091  
Effective rate % 3.23% 2.66%  
Nominal rate % 3.23% 2.22%  
Liquidity Risk [Member] | Credit Agricole [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 743 $ 8,368  
Liquidity Risk [Member] | Credit Agricole [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 2,201 25,415  
Liquidity Risk [Member] | Credit Agricole [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 5,718 56,305  
Liquidity Risk [Member] | Credit Agricole [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 2,086 12,751  
Liquidity Risk [Member] | Credit Agricole [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations  
Liquidity Risk [Member] | Credit Agricole [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 10,748 $ 102,839  
Liquidity Risk [Member] | ESTADO [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.030.000-7 97.030.000-7  
Creditor country Chile Chile  
Currency UF UF  
Amortization At Expiration At Expiration  
Nominal value $ 345,182 $ 379,274  
Effective rate % 5.50% 5.50%  
Nominal rate % 5.50% 5.50%  
Liquidity Risk [Member] | ESTADO [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Obligations with the public  
Liquidity Risk [Member] | ESTADO [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Obligations with the public 18,985 20,860  
Liquidity Risk [Member] | ESTADO [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Obligations with the public 37,970 41,720  
Liquidity Risk [Member] | ESTADO [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Obligations with the public 196,970 226,379  
Liquidity Risk [Member] | ESTADO [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Obligations with the public 213,114 245,067  
Liquidity Risk [Member] | ESTADO [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Obligations with the public $ 467,039 $ 534,026  
Liquidity Risk [Member] | BANK OF NEWYORK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Amortization At Expiration At Expiration  
Nominal value $ 1,200,000 $ 1,200,000  
Effective rate % 7.44% 7.44%  
Nominal rate % 7.03% 7.03%  
Liquidity Risk [Member] | BANK OF NEWYORK [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Obligations with the public  
Liquidity Risk [Member] | BANK OF NEWYORK [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Obligations with the public 84,375 84,375  
Liquidity Risk [Member] | BANK OF NEWYORK [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Obligations with the public 614,375 650,625  
Liquidity Risk [Member] | BANK OF NEWYORK [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Obligations with the public 96,250 96,250  
Liquidity Risk [Member] | BANK OF NEWYORK [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Obligations with the public 724,063 772,188  
Liquidity Risk [Member] | BANK OF NEWYORK [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Obligations with the public $ 1,519,063 $ 1,603,438  
Liquidity Risk [Member] | BTG [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 76.362.099-9    
Creditor country Chile    
Currency UF    
Amortization At Expiration    
Nominal value $ 65,862    
Effective rate % 3.10%    
Nominal rate % 3.10%    
Liquidity Risk [Member] | BTG [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans $ 510    
Liquidity Risk [Member] | BTG [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans 1,531    
Liquidity Risk [Member] | BTG [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans 69,435    
Liquidity Risk [Member] | BTG [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans    
Liquidity Risk [Member] | BTG [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans    
Liquidity Risk [Member] | BTG [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans $ 71,476    
Liquidity Risk [Member] | SANTANDER [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.036.000-K 97.036.000-K  
Creditor country Chile Chile  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 102,521 $ 202,284  
Effective rate % 5.60% 4.41%  
Nominal rate % 5.60% 4.41%  
Liquidity Risk [Member] | SANTANDER [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans $ 1,347 $ 2,040  
Liquidity Risk [Member] | SANTANDER [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans 587 3,368  
Liquidity Risk [Member] | SANTANDER [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans 102,521 202,284  
Liquidity Risk [Member] | SANTANDER [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans  
Liquidity Risk [Member] | SANTANDER [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans  
Liquidity Risk [Member] | SANTANDER [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans $ 104,455 $ 207,692  
Liquidity Risk [Member] | BLADEX [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Amortization Semiannual Semiannual  
Nominal value $ 15,000 $ 30,000  
Effective rate % 6.74% 5.51%  
Nominal rate % 6.74% 5.51%  
Liquidity Risk [Member] | BLADEX [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans  
Liquidity Risk [Member] | BLADEX [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans 15,766 16,465  
Liquidity Risk [Member] | BLADEX [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans 15,628  
Liquidity Risk [Member] | BLADEX [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans  
Liquidity Risk [Member] | BLADEX [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans  
Liquidity Risk [Member] | BLADEX [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans $ 15,766 $ 32,093  
Liquidity Risk [Member] | CORP BANCA [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.023.000-9 97.023.000-9  
Creditor country Chile Chile  
Currency UF UF  
Amortization Quarterly Quarterly  
Nominal value $ 38,231 $ 84,664  
Effective rate % 3.35% 3.68%  
Nominal rate % 3.35% 3.68%  
Liquidity Risk [Member] | CORP BANCA [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans $ 5,778 $ 22,082  
Liquidity Risk [Member] | CORP BANCA [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans 17,086 22,782  
Liquidity Risk [Member] | CORP BANCA [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans 16,662 43,430  
Liquidity Risk [Member] | CORP BANCA [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans  
Liquidity Risk [Member] | CORP BANCA [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans  
Liquidity Risk [Member] | CORP BANCA [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans $ 39,526 $ 88,294  
Liquidity Risk [Member] | HSBC [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.951.000-4 97.951.000-4  
Creditor country Chile Chile  
Currency US$ US$  
Amortization At Expiration At Expiration  
Nominal value $ 12,000 $ 12,000  
Effective rate % 3.14% 2.03%  
Nominal rate % 3.14% 2.03%  
Liquidity Risk [Member] | HSBC [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters $ 12,094 $ 12,061  
Liquidity Risk [Member] | HSBC [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | HSBC [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | HSBC [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | HSBC [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | HSBC [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters $ 12,094 $ 12,061  
Liquidity Risk [Member] | BANCO DO BRASIL [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.003.000-K 97.003.000-K  
Creditor country Chile Chile  
Currency US$ US$  
Amortization At Expiration At Expiration  
Nominal value $ 200,000 $ 100,000  
Effective rate % 36.40% 2.40%  
Nominal rate % 36.40% 2.40%  
Liquidity Risk [Member] | BANCO DO BRASIL [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters $ 201,884 $ 100,935  
Liquidity Risk [Member] | BANCO DO BRASIL [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | BANCO DO BRASIL [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | BANCO DO BRASIL [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | BANCO DO BRASIL [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | BANCO DO BRASIL [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters $ 201,884 $ 100,935  
Liquidity Risk [Member] | SANTANDER [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.036.000-K 97.036.000-K  
Creditor country Chile Chile  
Currency US$ US$  
Amortization At Expiration At Expiration  
Nominal value $ 23,000 $ 30,000  
Effective rate % 3.90% 2.49%  
Nominal rate % 3.90% 2.49%  
Liquidity Risk [Member] | SANTANDER [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters $ 23,070 $ 30,131  
Liquidity Risk [Member] | SANTANDER [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | SANTANDER [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | SANTANDER [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | SANTANDER [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | SANTANDER [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters $ 23,070 $ 30,131  
Liquidity Risk [Member] | BBVA [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.032.000-8 97.032.000-8  
Creditor country Chile Chile  
Currency UF UF  
Amortization At Expiration At Expiration  
Nominal value $ 50,785 $ 55,801  
Effective rate % 3.31% 3.57%  
Nominal rate % 3.31% 2.77%  
Liquidity Risk [Member] | BBVA [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | BBVA [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters 52,490 57,363  
Liquidity Risk [Member] | BBVA [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | BBVA [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | BBVA [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | BBVA [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters $ 52,490 $ 57,363  
Liquidity Risk [Member] | BBVA [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 97.032.000-8 97.032.000-8  
Creditor country Chile Chile  
Currency US$ US$  
Amortization At Expiration At Expiration  
Nominal value $ 113,000 $ 75,000  
Effective rate % 3.36% 2.30%  
Nominal rate % 3.36% 2.30%  
Liquidity Risk [Member] | BBVA [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters $ 38,625 $ 75,863  
Liquidity Risk [Member] | BBVA [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters 76,275  
Liquidity Risk [Member] | BBVA [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | BBVA [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | BBVA [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters  
Liquidity Risk [Member] | BBVA [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters $ 114,900 $ 75,863  
Liquidity Risk [Member] | CREDIT AGRICOLE [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country France France  
Currency US$ US$  
Amortization Quarterly At Expiration  
Nominal value $ 56,403 $ 241,287  
Effective rate % 3.66% 3.38%  
Nominal rate % 3.66% 3.38%  
Liquidity Risk [Member] | CREDIT AGRICOLE [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations $ 7,618 $ 1,757  
Liquidity Risk [Member] | CREDIT AGRICOLE [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations 21,994 5,843  
Liquidity Risk [Member] | CREDIT AGRICOLE [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations 27,811 246,926  
Liquidity Risk [Member] | CREDIT AGRICOLE [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations 1,684  
Liquidity Risk [Member] | CREDIT AGRICOLE [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations  
Liquidity Risk [Member] | CREDIT AGRICOLE [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations $ 59,107 $ 254,526  
Liquidity Risk [Member] | CITIBANK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0 -E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 269,365 $ 351,217  
Effective rate % 3.82% 3.31%  
Nominal rate % 3.82% 2.47%  
Liquidity Risk [Member] | CITIBANK [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 14,166 $ 14,166  
Liquidity Risk [Member] | CITIBANK [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 38,398 42,815  
Liquidity Risk [Member] | CITIBANK [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 102,062 114,612  
Liquidity Risk [Member] | CITIBANK [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 77,710 112,435  
Liquidity Risk [Member] | CITIBANK [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations 65,232 102,045  
Liquidity Risk [Member] | CITIBANK [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations $ 296,159 $ 386,073  
Liquidity Risk [Member] | CREDIT AGRICOLE [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0 -E    
Creditor country France    
Currency US$    
Amortization At Expiration    
Nominal value $ 253,692    
Effective rate % 4.11%    
Nominal rate % 4.11%    
Liquidity Risk [Member] | CREDIT AGRICOLE [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Otras obligaciones garantizadas $ 2,576    
Liquidity Risk [Member] | CREDIT AGRICOLE [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Otras obligaciones garantizadas 8,380    
Liquidity Risk [Member] | CREDIT AGRICOLE [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Otras obligaciones garantizadas 273,122    
Liquidity Risk [Member] | CREDIT AGRICOLE [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Otras obligaciones garantizadas    
Liquidity Risk [Member] | CREDIT AGRICOLE [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Otras obligaciones garantizadas    
Liquidity Risk [Member] | CREDIT AGRICOLE [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Otras obligaciones garantizadas $ 284,078    
Liquidity Risk [Member] | DVB BANK SE [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0 -E    
Creditor country Germany    
Currency US$    
Amortization Quarterly    
Nominal value $ 422,065    
Effective rate % 442.00%    
Nominal rate % 442.00%    
Liquidity Risk [Member] | DVB BANK SE [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Otras obligaciones garantizadas $ 28,087    
Liquidity Risk [Member] | DVB BANK SE [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Otras obligaciones garantizadas 83,260    
Liquidity Risk [Member] | DVB BANK SE [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Otras obligaciones garantizadas 213,177    
Liquidity Risk [Member] | DVB BANK SE [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Otras obligaciones garantizadas 20,274    
Liquidity Risk [Member] | DVB BANK SE [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Otras obligaciones garantizadas 122,674    
Liquidity Risk [Member] | DVB BANK SE [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Otras obligaciones garantizadas $ 467,472    
Liquidity Risk [Member] | APPLE BANK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0 -E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 31,544 $ 37,223  
Effective rate % 3.93% 2.78%  
Nominal rate % 3.33% 2.18%  
Liquidity Risk [Member] | APPLE BANK [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   $ 1,611  
Other guaranteed obligations $ 1,711    
Liquidity Risk [Member] | APPLE BANK [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   4,928  
Other guaranteed obligations 5,175    
Liquidity Risk [Member] | APPLE BANK [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   13,163  
Other guaranteed obligations 13,640    
Liquidity Risk [Member] | APPLE BANK [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   13,196  
Other guaranteed obligations 760    
Liquidity Risk [Member] | APPLE BANK [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   7,369  
Other guaranteed obligations 13,394    
Liquidity Risk [Member] | APPLE BANK [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   $ 40,267  
Other guaranteed obligations $ 34,680    
Liquidity Risk [Member] | BTMU [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country U.S.A. U.S.A.  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 63,189 $ 74,734  
Effective rate % 4.06% 2.87%  
Nominal rate % 3.46% 2.27%  
Liquidity Risk [Member] | BTMU [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   $ 3,292  
Other guaranteed obligations $ 3,489    
Liquidity Risk [Member] | BTMU [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   9,997  
Other guaranteed obligations 10,485    
Liquidity Risk [Member] | BTMU [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   26,677  
Other guaranteed obligations 27,605    
Liquidity Risk [Member] | BTMU [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   26,704  
Other guaranteed obligations 775    
Liquidity Risk [Member] | BTMU [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   14,133  
Other guaranteed obligations 27,062    
Liquidity Risk [Member] | BTMU [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   $ 80,803  
Other guaranteed obligations $ 69,416    
Liquidity Risk [Member] | KFW IPEX-BANK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country Germany Germany  
Currency US$ US$  
Amortization Monthly Quarterly  
Nominal value $ 12,215 $ 26,888  
Effective rate % 4.20% 3.31%  
Nominal rate % 4.19% 3.31%  
Liquidity Risk [Member] | KFW IPEX-BANK [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   $ 2,570  
Other guaranteed obligations $ 1,764    
Liquidity Risk [Member] | KFW IPEX-BANK [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   7,111  
Other guaranteed obligations 5,328    
Liquidity Risk [Member] | KFW IPEX-BANK [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   16,709  
Other guaranteed obligations 5,378    
Liquidity Risk [Member] | KFW IPEX-BANK [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   1,669  
Other guaranteed obligations    
Liquidity Risk [Member] | KFW IPEX-BANK [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations    
Other guaranteed obligations    
Liquidity Risk [Member] | KFW IPEX-BANK [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   $ 28,059  
Other guaranteed obligations $ 12,470    
Liquidity Risk [Member] | AIRBUS FINANCIAL [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E    
Creditor country U.S.A.    
Currency US$    
Amortization Quarterly    
Nominal value $ 15,417    
Effective rate % 4.19%    
Nominal rate % 4.19%    
Liquidity Risk [Member] | AIRBUS FINANCIAL [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations $ 2,074    
Liquidity Risk [Member] | AIRBUS FINANCIAL [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations 6,197    
Liquidity Risk [Member] | AIRBUS FINANCIAL [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations 7,840    
Liquidity Risk [Member] | AIRBUS FINANCIAL [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations    
Liquidity Risk [Member] | AIRBUS FINANCIAL [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations    
Liquidity Risk [Member] | AIRBUS FINANCIAL [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other guaranteed obligations $ 16,111    
Liquidity Risk [Member] | Boeing [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E    
Creditor country U.S.A.    
Currency US$    
Amortization At Expiration    
Nominal value $ 55,727    
Effective rate % 4.01%    
Nominal rate % 4.01%    
Liquidity Risk [Member] | Boeing [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other loans $ 559    
Liquidity Risk [Member] | Boeing [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other loans 1,425    
Liquidity Risk [Member] | Boeing [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other loans 55,728    
Liquidity Risk [Member] | Boeing [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other loans    
Liquidity Risk [Member] | Boeing [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other loans    
Liquidity Risk [Member] | Boeing [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Other loans 57,712    
Liquidity Risk [Member] | Viajes Falabella Ltda [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No.   78.997.060-2  
Creditor country   Chile  
Currency   CLP  
Nominal value   $ 534  
Effective rate %    
Nominal rate %    
Liquidity Risk [Member] | Viajes Falabella Ltda [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents   $ 534  
Liquidity Risk [Member] | Viajes Falabella Ltda [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents    
Liquidity Risk [Member] | Viajes Falabella Ltda [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents    
Liquidity Risk [Member] | Viajes Falabella Ltda [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents    
Liquidity Risk [Member] | Viajes Falabella Ltda [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents    
Liquidity Risk [Member] | Viajes Falabella Ltda [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents   $ 534  
Liquidity Risk [Member] | Consultoria Administrativa Profesional S.A. de C.V. [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No.   0-E  
Creditor country   Mexico  
Currency   MXN  
Nominal value   $ 210  
Effective rate %    
Nominal rate %    
Liquidity Risk [Member] | Consultoria Administrativa Profesional S.A. de C.V. [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents   $ 210  
Liquidity Risk [Member] | Consultoria Administrativa Profesional S.A. de C.V. [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents    
Liquidity Risk [Member] | Consultoria Administrativa Profesional S.A. de C.V. [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents    
Liquidity Risk [Member] | Consultoria Administrativa Profesional S.A. de C.V. [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents    
Liquidity Risk [Member] | Consultoria Administrativa Profesional S.A. de C.V. [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents    
Liquidity Risk [Member] | Consultoria Administrativa Profesional S.A. de C.V. [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Accounts payable to related parties currents   $ 210  
Liquidity Risk [Member] | DEUTSCHE BANK [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No.   margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country   U.S.A.  
Currency   US$  
Amortization   Quarterly  
Nominal value   $ 96,906  
Effective rate %   4.39%  
Nominal rate %   4.39%  
Liquidity Risk [Member] | DEUTSCHE BANK [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   $ 4,043  
Liquidity Risk [Member] | DEUTSCHE BANK [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   12,340  
Liquidity Risk [Member] | DEUTSCHE BANK [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   32,775  
Liquidity Risk [Member] | DEUTSCHE BANK [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   32,613  
Liquidity Risk [Member] | DEUTSCHE BANK [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   32,440  
Liquidity Risk [Member] | DEUTSCHE BANK [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   $ 114,211  
Liquidity Risk [Member] | WELLS FARGO [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No.   margin-top: 0; margin-bottom: 0; margin-left: 1em"><font style="font: 0 -E  
Creditor country   U.S.A.  
Currency   US$  
Amortization   Quarterly  
Nominal value   $ 808,987  
Effective rate %   2.46%  
Nominal rate %   1.75%  
Liquidity Risk [Member] | WELLS FARGO [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   $ 30,764  
Liquidity Risk [Member] | WELLS FARGO [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   92,309  
Liquidity Risk [Member] | WELLS FARGO [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   246,285  
Liquidity Risk [Member] | WELLS FARGO [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   246,479  
Liquidity Risk [Member] | WELLS FARGO [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   245,564  
Liquidity Risk [Member] | WELLS FARGO [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   $ 861,401  
Liquidity Risk [Member] | ESTADO [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No.   97.030.000-7  
Creditor country   Chile  
Currency   US$  
Amortization   At Expiration  
Nominal value   $ 40,000  
Effective rate %   2.57%  
Nominal rate %   2.57%  
Liquidity Risk [Member] | ESTADO [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters   $ 40,257  
Liquidity Risk [Member] | ESTADO [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters    
Liquidity Risk [Member] | ESTADO [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters    
Liquidity Risk [Member] | ESTADO [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters    
Liquidity Risk [Member] | ESTADO [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters    
Liquidity Risk [Member] | ESTADO [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Loans to exporters   $ 40,257  
Liquidity Risk [Member] | AIRBUS FINANCIAL [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No.   0-E  
Creditor country   U.S.A.  
Currency   US$  
Amortization   Monthly  
Nominal value   $ 22,925  
Effective rate %   3.19%  
Nominal rate %   3.19%  
Liquidity Risk [Member] | AIRBUS FINANCIAL [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   $ 2,033  
Liquidity Risk [Member] | AIRBUS FINANCIAL [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   6,107  
Liquidity Risk [Member] | AIRBUS FINANCIAL [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   15,931  
Liquidity Risk [Member] | AIRBUS FINANCIAL [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations    
Liquidity Risk [Member] | AIRBUS FINANCIAL [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations    
Liquidity Risk [Member] | AIRBUS FINANCIAL [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Guaranteed obligations   24,071  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Total consolidated 328,292    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Total consolidated 17,425 17,191  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Total consolidated 44,932 43,053  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Total consolidated 221,107 235,818  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Total consolidated 46,602 75,322  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Total consolidated 11,318  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Total consolidated $ 341,384 $ 371,384  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | TAM Aviacao Executivae Taxi Aereo S.A. [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E    
Creditor country France    
Currency BRL    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | GA Telesis LLC [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E    
Creditor country U.S.A.    
Currency US$    
Amortization Monthly    
Nominal value $ 13,202    
Effective rate % 15.62%    
Nominal rate % 15.62%    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | GA Telesis LLC [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases $ 680    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | GA Telesis LLC [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases 1,753    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | GA Telesis LLC [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases 4,675    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | GA Telesis LLC [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases 4,675    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | GA Telesis LLC [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases 11,318    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | GA Telesis LLC [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases $ 23,101    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | SOCIETEGENERALE MILAN BRANCH [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country Italy Italy  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 208,224 $ 244,513  
Effective rate % 5.88% 4.87%  
Nominal rate % 5.82% 4.81%  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | SOCIETEGENERALE MILAN BRANCH [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases $ 11,536 $ 11,735  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | SOCIETEGENERALE MILAN BRANCH [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases 32,312 32,230  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | SOCIETEGENERALE MILAN BRANCH [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases 161,778 204,836  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | SOCIETEGENERALE MILAN BRANCH [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | SOCIETEGENERALE MILAN BRANCH [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | SOCIETEGENERALE MILAN BRANCH [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases $ 205,626 $ 248,801  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | Wacapou Leasing S.A [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country Luxemburg Luxemburg  
Currency US$ US$  
Amortization Quarterly Quarterly  
Nominal value $ 9,226 $ 12,047  
Effective rate % 4.81% 3.69%  
Nominal rate % 4.81% 3.69%  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | Wacapou Leasing S.A [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases $ 839 $ 837  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | Wacapou Leasing S.A [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases 2,433 2,411  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | Wacapou Leasing S.A [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases 6,542 6,509  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | Wacapou Leasing S.A [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases 3,277  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | Wacapou Leasing S.A [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | Wacapou Leasing S.A [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases $ 9,814 $ 13,034  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | NATIXIS [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country France France  
Currency US$ US$  
Amortization Quarterly/Semiannual Quarterly/Semiannual  
Nominal value $ 95,789 $ 99,036  
Effective rate % 6.87% 5.59%  
Nominal rate % 6.87% 5.59%  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | NATIXIS [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases $ 4,195 $ 4,248  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | NATIXIS [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases 7,935 7,903  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | NATIXIS [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases 46,780 23,141  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | NATIXIS [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases 41,872 71,323  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | NATIXIS [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | NATIXIS [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases $ 100,782 $ 106,615  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | NEDERLANDSCHE NCM [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No. 0-E 0-E  
Creditor country Holland Holland  
Currency US$ US$  
Amortization Monthly Monthly  
Nominal value $ 1,851 $ 2,382  
Effective rate % 6.01% 6.01%  
Nominal rate % 6.01% 6.01%  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | NEDERLANDSCHE NCM [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans $ 175 $ 176  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | NEDERLANDSCHE NCM [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans 499 497  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | NEDERLANDSCHE NCM [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans 1,332 1,332  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | NEDERLANDSCHE NCM [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans 55 722  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | NEDERLANDSCHE NCM [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | NEDERLANDSCHE NCM [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Bank loans $ 2,061 $ 2,727  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | SOCIETE GENERALE [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No.   0-E  
Creditor country   France  
Currency   BRL  
Amortization   Monthly  
Nominal value   $ 109  
Effective rate %   6.89%  
Nominal rate %   6.89%  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | SOCIETE GENERALE [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 161  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | SOCIETE GENERALE [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   12  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | SOCIETE GENERALE [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | SOCIETE GENERALE [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | SOCIETE GENERALE [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | SOCIETE GENERALE [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 173  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | BANCO IBMS .A [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Tax No.   0-E  
Creditor country   Brazil  
Currency   BRL  
Amortization   Monthly  
Nominal value   $ 21  
Effective rate %   6.89%  
Nominal rate %   6.89%  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | BANCO IBMS .A [Member] | Up to 90 days [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 34  
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | BANCO IBMS .A [Member] | More than 90 days to one year [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | BANCO IBMS .A [Member] | More than one to three years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | BANCO IBMS .A [Member] | More than three to five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | BANCO IBMS .A [Member] | Over five years [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases    
Liquidity Risk [Member] | TAM S.A. and Subsidiaries [Member] | BANCO IBMS .A [Member] | Total [Member]      
Disclosure of risk management strategy related to hedge accounting [line items]      
Financial leases   $ 34  
[1] As of December 31, 2018, the indirect participation percentage over TAM S.A. and Subsidiaries comes from Holdco I S.A., a company over which LATAM Airlines Group S.A. it has a 99.9983% share on economic rights and 49% of political rights its percentage arise as a result of the provisional measure No. 714 of the Brazilian government implemented during 2016 that allows foreign capital to have up to 49% ownership. In this way, since April 2016, LATAM Airlines Group S.A. owns 901 shares with the right to vote of Holdco I S.A., which is equivalent to 49% of the total shares with voting rights of said company and TEP Chile S.A. owns 938 shares with the right to vote of Holdco I S.A., which is equivalent to 51% of the total shares with voting rights.
[2] Securitized bond with the future flows from the sales with credit card in United States and Canada.
[3] Bonus securitized with the future flows of credit card sales in the United States and Canada.