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Retirement Benefit and Other Post-retirement Obligations - Summary of Fair Value of Plan Assets (Detail)
12 Months Ended
Dec. 31, 2022
Dec. 31, 2021
Insurance [member]    
Disclosure of fair value of plan assets [line items]    
Fair value of plan assets 33.00% 35.00%
Insurance [member] | UK Group plan [member]    
Disclosure of fair value of plan assets [line items]    
Fair value of plan assets 33.00% 35.00%
Equities [member]    
Disclosure of fair value of plan assets [line items]    
Fair value of plan assets 16.00% 12.00%
Equities [member] | UK Group plan [member]    
Disclosure of fair value of plan assets [line items]    
Fair value of plan assets 15.00% 11.00%
Equities [member] | Other plans [member]    
Disclosure of fair value of plan assets [line items]    
Fair value of plan assets 1.00% 1.00%
Property [member]    
Disclosure of fair value of plan assets [line items]    
Fair value of plan assets 6.00% 5.00%
Property [member] | UK Group plan [member]    
Disclosure of fair value of plan assets [line items]    
Fair value of plan assets 6.00% 5.00%
Pooled asset investment funds (including LDI)    
Disclosure of fair value of plan assets [line items]    
Fair value of plan assets 22.00% 30.00%
Pooled asset investment funds (including LDI) | UK Group plan [member]    
Disclosure of fair value of plan assets [line items]    
Fair value of plan assets 22.00% 30.00%
Other [member]    
Disclosure of fair value of plan assets [line items]    
Fair value of plan assets 14.00% 9.00%
Other [member] | UK Group plan [member]    
Disclosure of fair value of plan assets [line items]    
Fair value of plan assets 14.00% 9.00%
Fixed Interest Securities [member]    
Disclosure of fair value of plan assets [line items]    
Fair value of plan assets 9.00% 9.00%
Fixed Interest Securities [member] | UK Group plan [member]    
Disclosure of fair value of plan assets [line items]    
Fair value of plan assets 7.00% 7.00%
Fixed Interest Securities [member] | Other plans [member]    
Disclosure of fair value of plan assets [line items]    
Fair value of plan assets 2.00% 2.00%