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Cash and Cash Equivalents - Summary of Reconciliation of Liabilities Arising from Financing Activities (Detail) - CLP ($)
$ in Thousands
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Disclosure Of Cash And Cash Equivalents [Line Items]      
Beginning balance $ 4,246,478,172 $ 2,840,980,724 $ 2,677,361,424
Financing Cash Flows, From 1,352,584,103 713,226,953 485,427,458
Financing Cash Flows, Used (1,754,668,990) (46,035,533) (160,610,656)
Financing Cash Flows, Interest paid (186,961,822) (142,891,300) (139,251,404)
Financing Cash Flows, Total (589,046,709) 524,300,120 185,565,398
Non-Cash Changes, Acquisition of subsidiaries (1,450,648)    
Non-Cash Changes, Changes in fair value (24,607,526) 10,773,826 6,156,163
Non-Cash Changes, Foreign exchange differences 98,319,122 624,726,300 (170,132,567)
Non-Cash Changes, Financial costs 203,799,948 148,480,238 138,578,899
Non-Cash Changes, New leases 61,996,854 97,937,192 2,704,926
Non-Cash Changes, Other changes (761,599) (720,228) 746,481
Ending Balance 3,994,727,614 4,246,478,172 2,840,980,724
Short-term borrowings [member]      
Disclosure Of Cash And Cash Equivalents [Line Items]      
Beginning balance 881,659,765 157,573,676 158,284,616
Financing Cash Flows, From 1,050,888,015 417,253,000 199,395
Financing Cash Flows, Used (1,711,034,741) (33,736,628) (150,878,247)
Financing Cash Flows, Interest paid (182,171,676) (142,046,785) (137,759,315)
Financing Cash Flows, Total (842,318,402) 241,469,587 (288,438,167)
Non-Cash Changes, Changes in fair value   (1,923,185) (1,893,193)
Non-Cash Changes, Foreign exchange differences 53,561,223 114,041,146 3,280,020
Non-Cash Changes, Financial costs 192,928,894 138,755,531 133,794,543
Non-Cash Changes, Other changes 199,101,144 231,743,010 152,545,857
Ending Balance 484,932,624 881,659,765 157,573,676
Long-term borrowings [member]      
Disclosure Of Cash And Cash Equivalents [Line Items]      
Beginning balance 3,241,250,805 2,648,032,219 2,470,532,068
Financing Cash Flows, From 263,892,100 293,819,500 484,520,001
Financing Cash Flows, Used (37,020,850) (6,238,340) (4,791,827)
Financing Cash Flows, Total 226,871,250 287,581,160 479,728,174
Non-Cash Changes, Changes in fair value (792,940) 16,329,103 12,628,182
Non-Cash Changes, Foreign exchange differences 58,670,485 513,617,504 (165,703,734)
Non-Cash Changes, Financial costs 4,081,277 7,763,806 2,646,905
Non-Cash Changes, Other changes (199,180,908) (232,072,987) (151,799,376)
Ending Balance 3,330,899,969 3,241,250,805 2,648,032,219
Lease liabilities [member]      
Disclosure Of Cash And Cash Equivalents [Line Items]      
Beginning balance 159,662,077 51,865,519 53,407,689
Financing Cash Flows, Used (6,613,399) (6,060,565) (4,940,582)
Financing Cash Flows, Interest paid (4,790,146) (844,515) (1,492,089)
Financing Cash Flows, Total (11,403,545) (6,905,080) (6,432,671)
Non-Cash Changes, Acquisition of subsidiaries (1,450,648)    
Non-Cash Changes, Foreign exchange differences 20,751,687 15,193,796 48,124
Non-Cash Changes, Financial costs 6,810,965 1,960,901 2,137,451
Non-Cash Changes, New leases 61,996,854 97,937,192 2,704,926
Non-Cash Changes, Other changes (681,835) (390,251)  
Ending Balance 235,685,555 159,662,077 51,865,519
Assets held to hedge liabilities arising from financing activities [member]      
Disclosure Of Cash And Cash Equivalents [Line Items]      
Beginning balance (36,094,475) (16,490,690) (4,862,949)
Financing Cash Flows, From 37,803,988 2,154,453 708,062
Financing Cash Flows, Total 37,803,988 2,154,453 708,062
Non-Cash Changes, Changes in fair value (23,814,586) (3,632,092) (4,578,826)
Non-Cash Changes, Foreign exchange differences (34,664,273) (18,126,146) (7,756,977)
Non-Cash Changes, Financial costs (21,188)    
Ending Balance $ (56,790,534) $ (36,094,475) $ (16,490,690)