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Cash and Cash Equivalents
12 Months Ended
Dec. 31, 2021
CASH AND CASH EQUIVALENTS  
Cash and Cash Equivalents

5.    CASH AND CASH EQUIVALENTS

a)The details of cash and cash equivalents as of December 31, 2021 and 2020 are as follows:

As of December 31, 

2021

2020

Cash and Cash Equivalents

ThCh$

ThCh$

Cash balances

37,852

42,660

Bank balances

282,625,181

330,471,774

Time deposits

28,923

591,570

Other fixed-income instruments

27,283,184

930,009

Total

309,975,140

332,036,013

Time deposits have a maturity of three months or less from their date of acquisition and accrue the market interest for this type of short-term investment. Other fixed-income investments are mainly comprised of resale agreements maturing in 90 days or less from the date of investment. There are no restrictions for significant amounts of cash availability.

b)The detail, by type of currency, of the above balance is as follows:

As of December 31, 

2021

2020

Currency

ThCh$

ThCh$

Chilean peso

245,516,611

300,357,149

Argentine peso

195,683

3,977,675

Euro

196,498

83,819

U.S. dollar

64,066,348

27,617,370

Total

309,975,140

332,036,013

More details of the Statement of Cash Flows see below:

c)The following table records the components of “Other payments for operating activities” line item in the Statement of Cash Flows for the years ended December 31, 2021, 2020 and 2019:

2021

2020

2019

Other payments from operating activities

ThCh$

ThCh$

ThCh$

VAT tax debit

(80,921,378)

(135,096,018)

(123,065,058)

Tax on emissions

(16,465,950)

(23,800,541)

(15,563,495)

Other

(11,018,067)

(11,394,034)

(15,871,496)

Total

(108,405,395)

(170,290,593)

(154,500,049)

d)Reconciliation of liabilities arising from financing activities for the years ended December 31, 2021, 2020 and 2019:

Financing Cash Flows

Liabilities arising from financing activities

Balance as of
12-31-2021

From

Used

Interest paid

Total

Movements in fair
value

Foreign exchange
differences

Financial costs 
(1)

New
leases

Other movements

Balance as of
12-31-2021

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

Short-term loans

157,573,676

417,253,000

(33,736,628)

(142,046,785)

241,469,587

(1,923,185)

114,041,146

138,755,531

231,743,010

881,659,765

Long-term loans

2,648,032,219

293,819,500

(6,238,340)

287,581,160

16,329,103

513,617,504

7,763,806

(232,072,987)

3,241,250,805

Lease liabilities (Note 20)

51,865,519

(6,060,565)

(844,515)

(6,905,080)

15,193,796

1,960,901

97,937,192

(390,251)

159,662,077

Assets held to cover liabilities arising from financing activities

(16,490,690)

2,154,453

2,154,453

(3,632,092)

(18,126,146)

(36,094,475)

Total

2,840,980,724

713,226,953

(46,035,533)

(142,891,300)

524,300,120

10,773,826

624,726,300

148,480,238

97,937,192

(720,228)

4,246,478,172

Financing Cash Flows

Liabilities arising from financing activities

Balance as of
12-31-2020

From

Used

Interest paid

Total

Movements in fair
value

Foreign exchange
differences

Financial costs 
(1)

New
leases

Other movements

Balance as of
12-31-2020

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

Short-term loans

158,284,616

199,395

(150,878,247)

(137,759,315)

(288,438,167)

(1,893,193)

3,280,020

133,794,543

152,545,857

157,573,676

Long-term loans

2,470,532,068

484,520,001

(4,791,827)

479,728,174

12,628,182

(165,703,734)

2,646,905

(151,799,376)

2,648,032,219

Lease liabilities (Note 20)

53,407,689

(4,940,582)

(1,492,089)

(6,432,671)

48,124

2,137,451

2,704,926

51,865,519

Assets held to cover liabilities arising from financing activities

(4,862,949)

708,062

708,062

(4,578,826)

(7,756,977)

(16,490,690)

Total

2,677,361,424

485,427,458

(160,610,656)

(139,251,404)

185,565,398

6,156,163

(170,132,567)

138,578,899

2,704,926

746,481

2,840,980,724

Financing Cash Flows

Liabilities arising from financing activities

Balance as of
12-31-2019

From

Used

Interest paid

Total

Movements in fair
value

Foreign exchange
differences

Financial costs 
(1)

New
leases

Other movements

Balance as of
12-31-2019

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

ThCh$

Short-term loans

408,415,562

(350,652,302)

(133,788,145)

(484,440,447)

9,096,964

134,487,859

90,724,678

158,284,616

Long-term loans

2,140,557,500

283,799,437

283,799,437

7,924,704

137,637,204

(99,386,777)

2,470,532,068

Lease liabilities (Note 20)

14,476,449

(4,498,202)

(641,609)

(5,139,811)

4,437,228

1,815,169

37,818,654

53,407,689

Assets held to cover liabilities arising from financing activities

(43,213,556)

1,823,783

1,823,783

38,471,730

(2,231,057)

286,151

(4,862,949)

Total

2,520,235,955

285,623,220

(355,150,504)

(134,429,754)

(203,957,038)

46,396,434

148,940,339

136,303,028

37,818,654

(8,375,948)

2,677,361,424

(1)It relates to accrual of interest