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Parent company accounts - Statement of comprehensive income - GBP (£)
£ in Millions
12 Months Ended
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Condensed Statement of Income Captions [Line Items]      
Profit after tax £ 3,561 £ 4,382 £ 4,588
Currency translation reserve      
Currency translation differences (1,209) 2,411 (155)
Fair value through other comprehensive income reserve movement relating to debt securities      
Net gains/(losses) from changes in fair value 1,142 (6,376) (1,383)
Net (gains)/losses transferred to net profit on disposal (102) 68 (248)
Net (gains)/losses relating to (release of) impairment (2) 8 (6)
Net (losses)/gains due to fair value hedging (849) 4,627 1,105
Tax (54) 449 170
Cash flow hedging reserve      
Net gains/(losses) from changes in fair value 2,506 (7,290) (2,212)
Net losses/(gains) transferred to net profit 1,158 543 (327)
Tax (1,002) 1,808 740
Other comprehensive income/(loss) that may be recycled to profit or loss 1,588 (3,752) (2,316)
Other comprehensive income/(loss) not recycled to profit or loss:      
Retirement benefit remeasurements (1,182) (755) 1,299
Own credit (983) 2,092 (105)
Tax 609 (156) (563)
Other comprehensive (loss)/income not recycled to profit or loss (1,556) 1,181 631
Other comprehensive income/(loss) for the year 32 (2,571) (1,685)
Total comprehensive income/(loss) for the year 3,593 1,811 2,903
Attributable to:      
Equity holders of the parent 3,593 1,811 2,903
Total comprehensive income/(loss) for the year 3,593 1,811 2,903
Barclays Bank PLC      
Condensed Statement of Income Captions [Line Items]      
Profit after tax 2,866 2,784 3,436
Currency translation reserve      
Currency translation differences [1] (572) 1,149 128
Fair value through other comprehensive income reserve movement relating to debt securities      
Net gains/(losses) from changes in fair value 1,140 (6,383) (1,382)
Net (gains)/losses transferred to net profit on disposal (102) 68 (248)
Net (gains)/losses relating to (release of) impairment (2) 8 (6)
Net (losses)/gains due to fair value hedging (850) 4,626 1,103
Tax (54) 449 170
Cash flow hedging reserve      
Net gains/(losses) from changes in fair value 2,443 (6,733) (2,230)
Net losses/(gains) transferred to net profit 1,006 470 (333)
Tax (966) 1,707 748
Other comprehensive income/(loss) that may be recycled to profit or loss 2,043 (4,639) (2,050)
Other comprehensive income/(loss) not recycled to profit or loss:      
Retirement benefit remeasurements (1,175) (791) 1,261
Own credit (975) 1,973 (55)
Tax 608 (138) (563)
Other comprehensive (loss)/income not recycled to profit or loss (1,542) 1,044 643
Other comprehensive income/(loss) for the year 501 (3,595) (1,407)
Total comprehensive income/(loss) for the year 3,367 (811) 2,029
Attributable to:      
Equity holders of the parent 3,367 (811) 2,029
Total comprehensive income/(loss) for the year £ 3,367 £ (811) £ 2,029
[1] aThere are no CTR recycling events during 2023, 2022 & 2021.