v3.25.2
Fair value of financial instruments (Tables)
6 Months Ended
Jun. 30, 2025
Disclosure of fair value measurement of assets [abstract]  
Assets and liabilities held at fair value disaggregated by valuation technique (fair value hierarchy) and balance sheet classification and level 3 assets and liabilities held at fair value disaggregated by product type
The following table shows the Barclays Bank Group’s assets and liabilities that are held at fair value disaggregated by valuation technique (fair value hierarchy) and balance sheet classification:
Valuation technique using
Quoted market pricesObservable inputsSignificant unobservable inputs
(Level 1)(Level 2)(Level 3)Total
As at 30.06.25£m£m£m£m
Trading portfolio assets86,64989,7159,879186,243
Financial assets at fair value through the income statement7,634202,6126,387216,633
Derivative financial instruments108277,5801,983279,671
Financial assets at fair value through other comprehensive income16,58926,4033,14446,136
Investment property4242
Total assets110,980596,31021,435728,725
Trading portfolio liabilities(38,150)(29,228)(424)(67,802)
Financial liabilities designated at fair value(1,576)(311,355)(2,831)(315,762)
Derivative financial instruments(93)(262,335)(2,861)(265,289)
Total liabilities(39,819)(602,918)(6,116)(648,853)
As at 31.12.24
Trading portfolio assets77,58178,54810,115166,244
Financial assets at fair value through the income statement3,463182,3915,991191,845
Derivative financial instruments101290,1822,073292,356
Financial assets at fair value through other comprehensive income19,02128,3153,67451,010
Investment property99
Total assets100,166579,43621,862701,464
Trading portfolio liabilities(27,033)(28,754)(395)(56,182)
Financial liabilities designated at fair value(181)(276,355)(3,241)(279,777)
Derivative financial instruments(86)(276,064)(3,181)(279,331)
Total liabilities(27,300)(581,173)(6,817)(615,290)
The following table shows the Barclays Bank Group’s Level 3 assets and liabilities that are held at fair value disaggregated by product type:
As at 30.06.25
LoansCorporate debtAsset backed securitiesGovernment debtPrivate equity investmentsIssued debtReverse repurchase and repurchase agreementsInterest rate derivativesEquity derivatives
Other products1
Total
£m£m£m£m£m£m£m£m£m£m£m
Trading portfolio assets5,468 1,843 883 1,199 — — — — — 486 9,879 
Financial assets at fair value through the income statement4,661 835 178 32 206 — 402 — — 73 6,387 
Derivative financial instruments— — — — — — — 915 611 457 1,983 
Financial assets at fair value through other comprehensive income2,350 37 757 — — — — — — — 3,144 
Investment property— — — — — — — — — 42 42 
Total assets12,479 2,715 1,818 1,231 206  402 915 611 1,058 21,435 
Trading portfolio liabilities— (36)— (325)— — — — — (63)(424)
Financial liabilities designated at fair value— — — — — (1,575)(1,240)— — (16)(2,831)
Derivative financial instruments— — — — — — — (774)(1,349)(738)(2,861)
Total liabilities (36) (325) (1,575)(1,240)(774)(1,349)(817)(6,116)
As at 31.12.24
LoansCorporate debtAsset backed securitiesGovernment debtPrivate equity investmentsIssued debtReverse repurchase and repurchase agreementsInterest rate derivativesEquity derivatives
Other products1
Total
£m£m£m£m£m£m£m£m£m£m£m
Trading portfolio assets6,146 1,590 991 1,018 — — — — — 370 10,115 
Financial assets at fair value through the income statement3,991 913 139 35 219 — 539 — — 155 5,991 
Derivative financial instruments— — — — — — — 1,193 477 403 2,073 
Financial assets at fair value through other comprehensive income2,858 47 757 12 — — — — — — 3,674 
Investment property— — — — — — — — — 
Total assets12,995 2,550 1,887 1,065 219  539 1,193 477 937 21,862 
Trading portfolio liabilities— (374)(6)— — — — — — (15)(395)
Financial liabilities designated at fair value— — — — — (1,842)(1,379)— — (20)(3,241)
Derivative financial instruments— — — — — — — (1,013)(1,219)(949)(3,181)
Total liabilities (374)(6)  (1,842)(1,379)(1,013)(1,219)(984)(6,817)
1 Other products include funds and fund-linked products, equity cash products, investment property, credit derivatives and foreign exchange derivatives.
Analysis of movements in Level 3 assets and liabilities
The following table summarises the movements in the balances of Level 3 assets and liabilities during the six-month period. Transfers have been reflected as if they had taken place at the beginning of the period.
Asset and liability transfers between Level 2 and Level 3 are primarily due to i) an increase or decrease in observable market activity related to an input or ii) a change in the significance of the unobservable input, with assets and liabilities classified as Level 3 if an unobservable input is deemed significant.
Analysis of movements in Level 3 assets and liabilities
As at 01.01.25
Total gains and (losses) in the period recognised in the income statementTotal gains and (losses) in the period recognised in OCITransfers
As at 30.06.25
PurchasesSalesIssuesSettlements
Trading income2
Other incomeInOut
£m£m£m£m£m£m£m£m£m£m£m
Trading portfolio assets10,115 4,125 (3,524)— (1,147)136 — — 439 (265)9,879 
Financial assets at fair value through the income statement5,991 2,388 (1,170)— (469)(117)(19)— 63 (280)6,387 
Financial assets at fair value through other comprehensive income3,674 566 (1,399)— (6)29 — 277 — 3,144 
Investment property33 — — — — — — — — 42 
Trading portfolio liabilities(395)(46)28 — — 37 — — (57)(424)
Financial liabilities designated at fair value(3,241)— 91 (617)31 88 — — (179)996 (2,831)
Net derivative financial instruments1
(1,108)(19)249 — 166 — (34)(135)(878)
Total15,045 7,047 (5,725)(617)(1,589)313 11  509 325 15,319 

Analysis of movements in Level 3 assets and liabilities
As at 01.01.24
Total gains and (losses) in the period recognised in the income statementTotal gains and (losses) in the period recognised in OCITransfers
As at 30.06.24
PurchasesSalesIssuesSettlements
Trading income2
Other incomeInOut
£m£m£m£m£m£m£m£m£m£m£m
Trading portfolio assets6,509 3,113 (1,007)— (714)(7)— — 1,046 (214)8,726 
Financial assets at fair value through the income statement5,368 2,732 (1,006)— (282)(6)34 — 290 (106)7,024 
Financial assets at fair value through other comprehensive income776 1,854 (42)— — 11 — — (200)2,400 
Investment property— (1)— — — — — — — 
Trading portfolio liabilities(368)(28)17 — — 18 — — (30)(385)
Financial liabilities designated at fair value(1,212)(628)16 (27)— — (881)248 (2,474)
Net derivative financial instruments1
(1,113)(181)33 (19)(171)(193)— — 21 109 (1,514)
Total9,962 7,491 (1,997)(647)(1,151)(214)45  446 (157)13,778 
1Derivative financial instruments are presented on a net basis. On a gross basis, derivative financial assets were £1,983m (June 2024: £2,821m) and derivative financial liabilities were £(2,861)m (June 2024: £(4,335)m.
2Trading income represents gains and losses on Level 3 financial instruments which in the majority are offset by losses and gains on financial instruments disclosed in Level 2.
Unrealised gains and losses recognised during the period on Level 3 assets and liabilities held at period end
Unrealised gains and losses on Level 3 assets and liabilities
The following table discloses the unrealised gains and losses recognised in the six-month period arising on Level 3 assets and liabilities held at the period end:
Half year ended 30.06.25Half year ended 30.06.24
Income statement
Other comprehensive income
TotalIncome statement
Other comprehensive income
Total
Trading income1
Other incomeTrading incomeOther income
£m£m£m£m£m£m£m£m
Trading portfolio assets2121(2)(2)
Financial assets at fair value through the income statement(117)(20)(137)153045
Financial assets at fair value through other comprehensive income32831(2)119
Investment property
Trading portfolio liabilities34341717
Financial liabilities designated at fair value8686(29)(29)
Net derivative financial instruments1651166(191)(191)
Total1929201(192)41(151)
1Trading income represents gains and losses on Level 3 financial instruments which in the majority are offset by losses and gains on financial instruments disclosed in Level 2.
Sensitivity analysis of valuations using unobservable inputs
Sensitivity analysis of valuations using unobservable inputs (Relates to Level 3 Portfolios)
As at 30.06.25As at 31.12.24
Favourable changesUnfavourable changesFavourable changesUnfavourable changes
Income statementEquityIncome StatementEquityIncome statementEquityIncome StatementEquity
£m£m£m£m£m£m£m£m
  Loans26138(260)(38)57743(742)(43)
  Corporate debt771(49)(1)87(56)
  Asset backed securities838(57)(8)574(40)(4)
  Government debt54(62)47(56)
  Private equity investments27(27)28(28)
  Interest rate derivatives85(158)98(212)
  Equity derivatives221(261)199(269)
  Other Products1
81(96)91(104)
Total88947(970)(47)1,18447(1,507)(47)
1 Other products includes funds and fund linked products, equity cash products, credit derivatives and foreign exchange derivatives.
Fair value adjustments
Key balance sheet valuation adjustments are quantified below:
As at 30.06.25As at 31.12.24
£m£m
Exit price adjustments derived from market bid-offer spreads(523)(529)
Uncollateralised derivative funding2819
Derivative credit valuation adjustments(189)(184)
Derivative debit valuation adjustments117108
Comparison of carrying amounts and fair values for assets and liabilities not held at fair value
The following table summarises the fair value of financial assets and liabilities measured at amortised cost on the Barclays Bank Group’s balance sheet:
As at 30.06.25As at 31.12.24
Carrying amountFair valueCarrying amountFair value
Financial assets£m£m£m£m
Debt securities at amortised cost54,60554,12650,22749,400
Loans and advances at amortised cost142,103143,378144,827146,369
Reverse repurchase agreements and other similar secured lending7,0077,0073,3933,393
Financial liabilities
Deposits at amortised cost(326,065)(326,126)(319,376)(319,135)
Repurchase agreements and other similar secured borrowing(23,974)(23,974)(29,397)(29,397)
Debt securities in issue(45,925)(45,869)(35,803)(35,745)
Subordinated liabilities(43,221)(45,083)(41,875)(43,030)