(Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
---|---|---|---|---|---|---|---|---|---|---|
Assets | ||||||||||
Cash cash equivalents and federal funds sold | -57.72%2.93T | -17.83%4.86T | -12.27%5.69T | 9.19%5.79T | 9.19%5.79T | 6.45%6.94T | 74.08%5.91T | 14.26%6.48T | 0.48%5.3T | 0.48%5.3T |
-Cash and cash equivalents | -38.49%2.77T | -14.70%2.73T | -49.79%3.24T | 9.60%5.78T | 9.60%5.78T | -30.94%4.5T | -5.71%3.2T | 13.60%6.45T | 0.17%5.27T | 0.17%5.27T |
-Money market investments | 3,858.10%164.46B | --67.37B | ---- | ---- | ---- | --4.16B | ---- | ---- | ---- | ---- |
-Restricted cash and investments | ---- | -24.01%2.06T | 6,454.77%2.45T | -57.57%13.45B | -57.57%13.45B | 121,610,000.00%2.43T | --2.71T | --37.4B | 109.12%31.71B | 109.12%31.71B |
Receivables | -26.56%1.1T | -5.66%1.42T | 364.89%1.52T | -24.91%382.23B | -24.91%382.23B | 388.30%1.49T | 17,987.56%1.5T | 79.43%327.99B | 50.39%509.03B | 50.39%509.03B |
-Accounts receivable | ---- | 604.78%197.66B | 17.10%215.58B | 7.98%199.75B | 7.98%199.75B | --41.4B | --28.05B | --184.11B | 100.99%184.99B | 100.99%184.99B |
-Other receivables | -24.46%1.1T | -17.27%1.22T | 809.91%1.31T | -43.69%182.48B | -43.69%182.48B | 374.75%1.45T | 17,649.82%1.47T | -21.29%143.89B | 31.49%324.04B | 31.49%324.04B |
Prepaid assets | ---- | -37.70%136.57B | -32.32%160.91B | -31.04%169.6B | -31.04%169.6B | -27.50%198.29B | --219.2B | -23.49%237.75B | -23.83%245.94B | -23.83%245.94B |
Net loan | 0.96%38.03T | 3.48%38.17T | 2.60%38.84T | 5.55%39.66T | 5.55%39.66T | -0.44%37.67T | -0.68%36.89T | 5.74%37.86T | 5.62%37.58T | 5.62%37.58T |
-Gross loan | -0.28%38.03T | 5.43%39.36T | 5.74%40.03T | 5.38%40.81T | 5.38%40.81T | 0.80%38.14T | 0.52%37.33T | 5.74%37.86T | 5.73%38.73T | 5.73%38.73T |
-Allowance for loans and lease losses | ---- | 166.73%1.19T | --1.19T | -0.28%1.15T | -0.28%1.15T | --467.76B | --445.94B | ---- | 9.69%1.15T | 9.69%1.15T |
Securities and investments | -28.42%8.65T | -13.04%10.34T | 12.80%12.9T | 16.95%12.92T | 16.95%12.92T | 11.98%12.08T | 11.23%11.89T | 29.29%11.44T | 4.53%11.04T | 4.53%11.04T |
-Available for sale securities | 4.52%5.25T | 54.96%7.61T | 70.85%8.72T | 67.99%8.18T | 67.99%8.18T | 4.21%5.02T | 7.18%4.91T | 7.83%5.1T | 3.75%4.87T | 3.75%4.87T |
-Short term investments | -51.87%3.4T | -60.91%2.73T | -33.96%4.18T | -23.27%4.74T | -23.27%4.74T | 18.25%7.06T | 14.28%6.98T | 53.97%6.34T | 5.15%6.18T | 5.15%6.18T |
Long term equity investment | 11.79%57.47B | 28.78%57.53B | 18.16%56.66B | 18.67%55.28B | 18.67%55.28B | 20.52%51.41B | 8.26%44.67B | 23.07%47.95B | 23.59%46.59B | 23.59%46.59B |
Derivative assets | -11.50%11.45T | 9.33%12.18T | 19.97%14.44T | -11.58%10.89T | -11.58%10.89T | -28.98%12.94T | -27.61%11.14T | 29.06%12.04T | 19.05%12.31T | 19.05%12.31T |
Net PPE | -6.69%323.54B | -5.88%334.32B | -4.31%345.59B | -5.28%352.27B | -5.28%352.27B | -1.60%346.74B | 0.34%355.21B | -0.30%361.15B | -0.78%371.89B | -0.78%371.89B |
-Gross PPE | -66.61%323.54B | 2.96%1T | 4.25%1T | 4.00%991.69B | 4.00%991.69B | 5.68%969.13B | 174.40%971.37B | 6.43%959.34B | 6.58%953.55B | 6.58%953.55B |
-Accumulated depreciation | ---- | -8.05%-665.75B | -9.41%-654.51B | -9.93%-639.42B | -9.93%-639.42B | -10.22%-622.38B | ---616.16B | -10.95%-598.2B | -11.89%-581.66B | -11.89%-581.66B |
Assets held for sale | 57.34%47.02B | 68.26%53.81B | 73.97%51.15B | 27.47%51.45B | 27.47%51.45B | -1.38%29.89B | 19.46%31.98B | 33.21%29.4B | 35.03%40.36B | 35.03%40.36B |
Goodwill and other intangible assets | -6.24%89.38B | -4.18%90.37B | -11.79%90.13B | -9.50%97.55B | -9.50%97.55B | -2.58%95.33B | 1.06%94.32B | 10.47%102.18B | 12.97%107.79B | 12.97%107.79B |
-Other intangible assets | -6.24%89.38B | -4.18%90.37B | -11.79%90.13B | -9.50%97.55B | -9.50%97.55B | -2.58%95.33B | --94.32B | 10.47%102.18B | 12.97%107.79B | 12.97%107.79B |
Defined pension benefit | ---- | -39.78%336M | --304M | -57.01%233M | -57.01%233M | 12.96%558M | --558M | --0 | 3.63%542M | 3.63%542M |
Other assets | 1,038.31%2.77T | -36.37%179.56B | -16.55%227.12B | -22.42%174.61B | -22.42%174.61B | -10.22%243.75B | -91.76%282.2B | -44.05%272.17B | 32.58%225.07B | 32.58%225.07B |
Total assets | -9.11%65.89T | -0.61%68.26T | 7.59%74.78T | 3.90%71.09T | 3.90%71.09T | -3.39%72.49T | -3.11%68.68T | 13.08%69.51T | 7.17%68.42T | 7.17%68.42T |
Liabilities | ||||||||||
Total deposits | 9.47%29.62T | 4.67%27.94T | 3.34%29.01T | 8.97%28T | 8.97%28T | -4.36%27.06T | -3.36%26.69T | 3.82%28.07T | -2.20%25.69T | -2.20%25.69T |
Federal funds purchased and securities sold under agreement to repurchase | 125.29%1.61T | 31.62%534.94B | -41.78%265.74B | -10.39%282.58B | -10.39%282.58B | 404.40%712.63B | -86.93%406.42B | 194.58%456.42B | 264.01%315.36B | 264.01%315.36B |
Payables | -89.25%34.11B | -38.64%460.58B | 0.01%690.68B | -21.15%831.3B | -21.15%831.3B | -34.92%317.21B | 37,527.02%750.66B | 43.59%690.63B | 52.41%1.05T | 52.41%1.05T |
-Accounts payable | ---- | -40.24%362.09B | 3.11%446.25B | -18.36%492.28B | -18.36%492.28B | -44.24%186.39B | --605.94B | 9.73%432.78B | -0.81%603.01B | -0.81%603.01B |
-Total tax payable | -73.93%34.11B | -41.74%55.29B | 44.21%202.63B | 62.91%302.2B | 62.91%302.2B | 75.38%130.81B | 4,656.89%94.9B | 279.65%140.52B | 418.26%185.49B | 418.26%185.49B |
-Other payable | ---- | -13.29%43.2B | -64.38%41.8B | -86.15%36.82B | -86.15%36.82B | ---- | --49.82B | 136.69%117.34B | 453.38%265.79B | 453.38%265.79B |
Current debt and capital lease obligation | ---- | -29.57%17.36B | --16.63B | -20.02%20.72B | -20.02%20.72B | --23.4B | --24.64B | ---- | 10.73%25.9B | 10.73%25.9B |
-Current capital lease obligation | ---- | -29.57%17.36B | --16.63B | -20.02%20.72B | -20.02%20.72B | --23.4B | --24.64B | ---- | 10.73%25.9B | 10.73%25.9B |
Trading liabilities | ---- | --0 | --0 | ---- | ---- | --0 | --0 | ---- | ---- | ---- |
Long term provisions | 53.69%868.82B | 20.74%632.11B | -17.42%820.14B | -38.40%283.97B | -38.40%283.97B | -21.42%565.3B | -14.94%523.51B | 34.73%993.14B | -0.63%461.02B | -0.63%461.02B |
Long term debt and capital lease obligation | 0.13%11.75T | 33.56%15.19T | -11.20%14.51T | 17.47%12.4T | 17.47%12.4T | -27.92%11.73T | -30.65%11.37T | 9.40%16.34T | 2.83%10.56T | 2.83%10.56T |
-Long term debt | 0.22%11.66T | 34.17%15.12T | -10.95%14.44T | 17.92%12.32T | 17.92%12.32T | -27.86%11.64T | -30.69%11.27T | 9.53%16.21T | 2.92%10.45T | 2.92%10.45T |
-Long term capital lease obligation | -11.38%82.41B | -33.01%69.28B | -41.24%78.11B | -24.63%83.8B | -24.63%83.8B | -34.05%92.98B | -26.22%103.43B | -5.25%132.94B | -4.48%111.19B | -4.48%111.19B |
Non current deferred liabilities | ---- | 231,000.00%2.31B | -17.34%5.04B | -42.41%220.62B | -42.41%220.62B | -98.38%98M | -99.95%1M | -28.14%6.1B | -11.79%383.08B | -11.79%383.08B |
Derivative product liabilities | -14.40%11.96T | 1.01%14.1T | 7.71%16.58T | -13.63%13.14T | -13.63%13.14T | -34.59%13.98T | -15.92%13.96T | 39.12%15.39T | 28.94%15.21T | 28.94%15.21T |
Liabilities of discontinued operations | ---- | --0 | --0 | ---- | ---- | --0 | --0 | ---- | ---- | ---- |
Other liabilities | -58.45%5.73T | -52.26%5.09T | 144.29%8.59T | 8.59%10.59T | 8.59%10.59T | 264.23%13.79T | 275.13%10.66T | 8.64%3.51T | 4.03%9.76T | 4.03%9.76T |
Securities loaned | ---- | ---- | --0 | ---- | ---- | ---- | ---- | ---- | ---- | ---- |
Total liabilities | -9.69%61.57T | -0.67%63.97T | 7.66%70.49T | 3.65%65.77T | 3.65%65.77T | -4.07%68.17T | -4.17%64.39T | 13.54%65.47T | 6.81%63.46T | 6.81%63.46T |
Shareholders'equity | ||||||||||
Share capital | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B |
-common stock | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B | 0.00%891.3B |
Retained earnings | 73.35%620.79B | -43.80%169.45B | -44.09%242.9B | -20.90%537.46B | -20.90%537.46B | -31.99%358.1B | -12.85%301.49B | -37.78%434.44B | 5.00%679.44B | 5.00%679.44B |
Gains losses not affecting retained earnings | -8.03%2.71T | 2.43%3.13T | 16.72%3.03T | 17.15%3.16T | 17.15%3.16T | 20.40%2.94T | 30.11%3.06T | 22.64%2.59T | 22.61%2.69T | 22.61%2.69T |
Other equity interest | ---- | ---- | ---- | 3.13%608.72B | 3.13%608.72B | ---- | ---83.47B | ---- | -1.32%590.25B | -1.32%590.25B |
Total stockholders'equity | 0.63%4.22T | 0.62%4.19T | 6.18%4.16T | 6.97%5.19T | 6.97%5.19T | 8.55%4.19T | 16.17%4.17T | 5.81%3.92T | 12.03%4.85T | 12.03%4.85T |
Non controlling interests | -15.70%105.27B | -14.47%102.1B | 12.25%127.53B | 13.85%124.74B | 13.85%124.74B | 17.18%124.88B | 16.69%119.37B | 15.58%113.62B | 16.11%109.56B | 16.11%109.56B |
Total equity | 0.15%4.32T | 0.20%4.3T | 6.35%4.29T | 7.12%5.32T | 7.12%5.32T | 8.78%4.32T | 16.18%4.29T | 6.06%4.03T | 12.11%4.96T | 12.11%4.96T |
Currency Unit | CLP | CLP | CLP | CLP | CLP | CLP | CLP | CLP | CLP | CLP |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | -- | -- | -- | Unqualified Opinion | -- | -- | -- | -- | Unqualified Opinion | -- |
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