v3.25.2
Group Statement of Comprehensive Income - GBP (£)
£ in Millions
6 Months Ended
Jun. 30, 2025
Jun. 30, 2024
Statement of comprehensive income [abstract]    
Profit for the period £ 4,565 £ 4,559
Other comprehensive income    
Items that may be reclassified subsequently to profit or loss: (4,255) (19)
Foreign currency translation and hedges of net investments in foreign operations    
– differences on exchange from translation of foreign operations (4,360) (123)
– net investment hedges - net fair value gains/(losses) on derivatives 221 (7)
– net investment hedges - differences on exchange on borrowings (13) 8
Cash flow hedges    
– net fair value (losses)/gains (45) 51
– reclassified and reported in profit for the period 23 17
– tax on net fair value (losses)/gains in respect of cash flow hedges 7 (23)
Associates    
– share of OCI, net of tax (135) 15
– differences on exchange reclassified to profit or loss 47 43
Items that will not be reclassified subsequently to profit or loss: (6) 50
Retirement benefit schemes    
– net actuarial (losses)/gains (37) 21
– movements in surplus restrictions (39) (24)
– tax on actuarial (losses)/gains and movements in surplus restrictions 5 1
Investments held at fair value    
– net fair value gains 70 0
Associates – share of OCI, net of tax (5) 52
Total other comprehensive (expense)/income for the period, net of tax (4,261) 31
Total comprehensive income for the period, net of tax 304 4,590
Attributable to:    
Owners of the parent 279 4,526
Non-controlling interests 25 64
Total comprehensive income for the period, net of tax £ 304 £ 4,590