Banco de Chile

CHILE · Santiago · CLP

$189.50Change from previous close: −4.24%Absolute change: −$8.40

Close · October 2, 2026

At a glance

Revenue growth
−0.54%
2025 vs 2024
Net income growth
−1.25%
2025 vs 2024
Net margin
45.1%
2024: 45.4%

Financial data

Amounts in millions of CLP; per-share values in CLP; shares in millions.

Cash flow · Quarterly
ItemQ2 2026Q1 2026Q4 2025Q3 2025Q2 2025Q1 2025Q4 2024Q3 2024Q2 2024Q1 2024Q4 2023Q2 2023
Operating cash flow163,004-1,844,2171,721,294-1,411,4591,264,945-326,416499,266663,752-188,785-577,592-1,370,335-44,069
Depreciation and amortization—23,84824,08723,66823,70823,647——————
Capital expenditure-6,879-5,602-6,382-5,629-2,195-4,496-4,253-4,424-3,941-4,608-5,210-8,087
Investing cash flow-15,127-12,885-24,710-13,668-10,407-15,601-8,259-16,249-13,955-19,879-21,114-16,916
Financing cash flow-557,453675,914-1,482,2971,025,106-639,380823,263132,574-1,063,768-341,158-285,251369,58419,696
Dividends paid—-1,009,9250.00.00.0-995,380———-815,932——
Debt issued373,252373,604410,8611,225,092733,104373,284220,035269,382208,349314,872287,727454,968
Debt repaid-548,881-354,223-901,066-418,240-571,397-183,599-640,969-287,315-325,523-275,211-677,431-472,471
Effect of exchange rates-11,17161,085-56,96644,929-28,208-37,865124,887-72,826-73,128185,810-24,01818,104
Net change in cash-420,747-1,120,103157,321-355,092586,950443,381748,468-489,091-617,026-696,912-1,045,883-23,185
Free cash flow156,125-1,849,8191,714,912-1,417,0881,262,750-330,912495,013659,328-192,726-582,200-1,375,545-52,156