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Fair values of financial assets and liabilities - Schedule of Movements in Level 3 Financial Liabilities Portfolio (Details) - Level 3 - GBP (£)
£ in Millions
6 Months Ended
Jun. 30, 2024
Jun. 30, 2023
Reconciliation of changes in fair value measurement, liabilities [abstract]    
Balance at beginning of period £ 486 £ 653
Exchange and other adjustments 0 (8)
Losses (gains) recognised in the income statement within other income (41) (56)
Additions 5 31
Redemptions (35) (37)
Transfers into the level 3 portfolio 0 2
Transfers out of the level 3 portfolio (19) (1)
Balance at end of period 396 584
Financial liabilities at fair value through profit or loss    
Reconciliation of changes in fair value measurement, liabilities [abstract]    
Balance at beginning of period 42 45
Exchange and other adjustments 0 0
Losses (gains) recognised in the income statement within other income 2 1
Additions 0 0
Redemptions (2) (1)
Transfers into the level 3 portfolio 0 2
Transfers out of the level 3 portfolio (19) (1)
Balance at end of period 23 46
Gains (losses) recognised in other comprehensive income excluding exchange differences, fair value measurement, liabilities 2 1
Derivative liabilities    
Reconciliation of changes in fair value measurement, liabilities [abstract]    
Balance at beginning of period 444 608
Exchange and other adjustments 0 (8)
Losses (gains) recognised in the income statement within other income (43) (57)
Additions 5 31
Redemptions (33) (36)
Transfers into the level 3 portfolio 0 0
Transfers out of the level 3 portfolio 0 0
Balance at end of period 373 538
Gains (losses) recognised in other comprehensive income excluding exchange differences, fair value measurement, liabilities (31) (58)
Financial liabilities carried at fair value    
Reconciliation of changes in fair value measurement, liabilities [abstract]    
Gains (losses) recognised in other comprehensive income excluding exchange differences, fair value measurement, liabilities £ (29) £ (57)