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 prices | Observable inputs | Significant unobservable inputs | | | (Level 1) | (Level 2) | (Level 3) | Total | As at 30.06.25 | £m | £m | £m | £m | Trading portfolio assets | 86,649 | 89,715 | 9,879 | 186,243 | Financial assets at fair value through the income statement | 7,634 | 202,612 | 6,387 | 216,633 | Derivative financial instruments | 108 | 277,580 | 1,983 | 279,671 | Financial assets at fair value through other comprehensive income | 16,589 | 26,403 | 3,144 | 46,136 | Investment property | — | — | 42 | 42 | Total assets | 110,980 | 596,310 | 21,435 | 728,725 | 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 assets | 77,581 | 78,548 | 10,115 | 166,244 | Financial assets at fair value through the income statement | 3,463 | 182,391 | 5,991 | 191,845 | Derivative financial instruments | 101 | 290,182 | 2,073 | 292,356 | Financial assets at fair value through other comprehensive income | 19,021 | 28,315 | 3,674 | 51,010 | Investment property | — | — | 9 | 9 | Total assets | 100,166 | 579,436 | 21,862 | 701,464 | 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 | Loans | Corporate debt | Asset backed securities | Government debt | Private equity investments | Issued debt | Reverse repurchase and repurchase agreements | Interest rate derivatives | Equity derivatives | Other products1 | Total | | £m | £m | £m | £m | £m | £m | £m | £m | £m | £m | £m | Trading portfolio assets | 5,468 | | 1,843 | | 883 | | 1,199 | | — | | — | | — | | — | | — | | 486 | | 9,879 | | Financial assets at fair value through the income statement | 4,661 | | 835 | | 178 | | 32 | | 206 | | — | | 402 | | — | | — | | 73 | | 6,387 | | Derivative financial instruments | — | | — | | — | | — | | — | | — | | — | | 915 | | 611 | | 457 | | 1,983 | | Financial assets at fair value through other comprehensive income | 2,350 | | 37 | | 757 | | — | | — | | — | | — | | — | | — | | — | | 3,144 | | Investment property | — | | — | | — | | — | | — | | — | | — | | — | | — | | 42 | | 42 | | Total assets | 12,479 | | 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 | Loans | Corporate debt | Asset backed securities | Government debt | Private equity investments | Issued debt | Reverse repurchase and repurchase agreements | Interest rate derivatives | Equity derivatives | Other products1 | Total | | £m | £m | £m | £m | £m | £m | £m | £m | £m | £m | £m | Trading portfolio assets | 6,146 | | 1,590 | | 991 | | 1,018 | | — | | — | | — | | — | | — | | 370 | | 10,115 | | Financial assets at fair value through the income statement | 3,991 | | 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 income | 2,858 | | 47 | | 757 | | 12 | | — | | — | | — | | — | | — | | — | | 3,674 | | Investment property | — | | — | | — | | — | | — | | — | | — | | — | | — | | 9 | | 9 | | Total assets | 12,995 | | 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 statement | Total gains and (losses) in the period recognised in OCI | Transfers | As at 30.06.25 | | Purchases | Sales | Issues | Settlements | Trading income2 | Other income | In | Out | | £m | £m | £m | £m | £m | £m | £m | £m | £m | £m | £m | Trading portfolio assets | 10,115 | | 4,125 | | (3,524) | | — | | (1,147) | | 136 | | — | | — | | 439 | | (265) | | 9,879 | | Financial assets at fair value through the income statement | 5,991 | | 2,388 | | (1,170) | | — | | (469) | | (117) | | (19) | | — | | 63 | | (280) | | 6,387 | | Financial assets at fair value through other comprehensive income | 3,674 | | 566 | | (1,399) | | — | | (6) | | 3 | | 29 | | — | | 277 | | — | | 3,144 | | Investment property | 9 | | 33 | | — | | — | | — | | — | | — | | — | | — | | — | | 42 | | Trading portfolio liabilities | (395) | | (46) | | 28 | | — | | — | | 37 | | — | | — | | (57) | | 9 | | (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 | | — | | 2 | | 166 | | 1 | | — | | (34) | | (135) | | (878) | | Total | 15,045 | | 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 statement | Total gains and (losses) in the period recognised in OCI | Transfers | As at 30.06.24 | | Purchases | Sales | Issues | Settlements | Trading income2 | Other income | In | Out | | £m | £m | £m | £m | £m | £m | £m | £m | £m | £m | £m | Trading portfolio assets | 6,509 | | 3,113 | | (1,007) | | — | | (714) | | (7) | | — | | — | | 1,046 | | (214) | | 8,726 | | Financial assets at fair value through the income statement | 5,368 | | 2,732 | | (1,006) | | — | | (282) | | (6) | | 34 | | — | | 290 | | (106) | | 7,024 | | Financial assets at fair value through other comprehensive income | 776 | | 1,854 | | (42) | | — | | — | | 1 | | 11 | | — | | — | | (200) | | 2,400 | | Investment property | 2 | | — | | (1) | | — | | — | | — | | — | | — | | — | | — | | 1 | | Trading portfolio liabilities | (368) | | (28) | | 17 | | — | | — | | 18 | | — | | — | | (30) | | 6 | | (385) | | Financial liabilities designated at fair value | (1,212) | | 1 | | 9 | | (628) | | 16 | | (27) | | — | | — | | (881) | | 248 | | (2,474) | | Net derivative financial instruments1 | (1,113) | | (181) | | 33 | | (19) | | (171) | | (193) | | — | | — | | 21 | | 109 | | (1,514) | | Total | 9,962 | | 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.
|
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 30.06.25 | As at 31.12.24 | | Carrying amount | Fair value | Carrying amount | Fair value | Financial assets | £m | £m | £m | £m | Debt securities at amortised cost | 54,605 | 54,126 | 50,227 | 49,400 | Loans and advances at amortised cost | 142,103 | 143,378 | 144,827 | 146,369 | Reverse repurchase agreements and other similar secured lending | 7,007 | 7,007 | 3,393 | 3,393 | | | | | | 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) |
|