Overview
Smart money at a glance
Filings to Sep 30, 2026No insider open-market trades in 90 days (SEC Form 4). Congress: no trades disclosed in 180 days.
- Company insidersSEC Form 4, last 90 days
- $0No open-market trades
- CongressSTOCK Act, last 180 days
- NoneNo trades disclosed
- Big fundsSEC 13F, quarter ended Mar 31, 2026
- 0 added, 1 cutMore cutting
Key stats
Fundamentals Sep 29- Open
- $41.42
- 52-wk high
- $44.09
- High
- $42.14
- 52-wk low
- $28.01
- Low
- $41.41
- Prev close
- $42.04
- Mkt cap
- $20.94B
- P/E
- 16.4x
- Volume
- 190.5K
- Fwd P/E
- 15.2x
- Beta
- 0.07
- P/S
- 6.6x
- P/B
- 3.6x
- Profit margin
- +45.4%
- Op margin
- +0.0%
- ROE
- +21.6%
What do analysts expect?
Analyst target and ratings are on paid plans
See the 12-month consensus target and the buy/hold/sell rating split.
Unlock the full resultsQuestions about BCH filings
Are insiders buying or selling Banco De Chile (BCH) stock?
Neither. Banco De Chile (BCH) insiders filed no open-market purchases or sales in the 90 days to Sep 30, 2026, according to SEC Form 4 filings.
Which members of Congress have traded BCH recently?
None. No member of Congress disclosed a BCH trade with a trade date in the last 180 days, according to House and Senate STOCK Act filings.
How current is this BCH smart-money data?
This summary uses filings available on Sep 30, 2026. Insiders must report trades to the SEC within 2 business days, members of Congress have up to 45 days to disclose a trade, and funds file 13F holdings up to 45 days after each quarter ends, so the latest moves may not be public yet.
Smart money
8 funds hold a position.
What funds are doing
Sells/Trims (1)
- BG

Baillie Gifford
$17.7M
trimmed
How top traders are positioned
Earnings
Earnings came in 32.3% above what analysts expected.
Earnings per share
$0.65 expected
Reports Oct 29, 2026, in 29 days
Estimates as of Sep 30, 2026
EPS expected
$0.69 to $0.74
Revenue expected
3 analysts
Last 30 days
Analysts cutting estimates
Estimate drift
Change in 30 days
Financials
Is the business strong?
Fairly priced and profitable.
- Net margin
- 45.4%
- P/E
- 16.45
- Forward P/E
- 15.17
- Market cap
- $20.9B
Valuation
- P/S6.60
- P/B3.59
Quality
- Operating margin0.0%
- ROE21.6%
- ROA2.2%
Growth
- Beta0.07
Technicals
Price structure
This stock is under pressure.
Trend
Under pressure
25 / 100
RSI 14
20D volatility
52-week range
20D support
20D resistance
Returns
Price vs moving averages
Volume pace