v3.26.1
Condensed consolidated statement of changes in equity (unaudited) - GBP (£)
£ in Millions
Total
Called up share capital and share premium
Other equity instruments
[1]
Other reserves
[2]
Retained earnings
Beginning balance, equity at Dec. 31, 2024 £ 59,220 £ 2,348 £ 9,604 £ (1,302) £ 48,570
Profit after tax 3,062   387   2,675
Currency translation movements (1,652)     (1,652)  
Fair value through other comprehensive income reserve 365     365  
Cash flow hedges 1,115     1,115  
Retirement benefit remeasurements (194)       (194)
Own credit 517     517  
Total comprehensive income for the period 3,213   387 345 2,481
Issue and redemption of equity instruments 874   875   (1)
Other equity instruments coupons paid (387)   (387)    
Redemption of preference shares [3] (270) (2)   2 (270)
Employee settled Barclays PLC shares scheme 320       320
Vesting of Barclays PLC shares under share based payment schemes (508)       (508)
Dividends paid on ordinary shares (1,195)       (1,195)
Dividends paid on preference shares and other shareholders equity (18)       (18)
Other movements (1)     2 (3)
Ending balance, equity at Jun. 30, 2025 61,248 2,346 10,479 (953) 49,376
Profit after tax 1,596   396   1,200
Currency translation movements 496     496  
Fair value through other comprehensive income reserve 302     302  
Cash flow hedges 426     426  
Retirement benefit remeasurements 178       178
Own credit (454)     (454)  
Total comprehensive income for the period 2,544   396 770 1,378
Issue and redemption of equity instruments (37)   (33)   (4)
Other equity instruments coupons paid (396)   (396)    
Employee settled Barclays PLC shares scheme 347       347
Vesting of Barclays PLC shares under share based payment schemes (22)       (22)
Dividends paid on ordinary shares (1,375)       (1,375)
Dividends paid on preference shares and other shareholders equity (14)       (14)
Other movements 18     4 14
Ending balance, equity at Dec. 31, 2025 62,313 2,346 10,446 (179) 49,700
Profit after tax 3,404   390   3,014
Currency translation movements 214     214  
Fair value through other comprehensive income reserve 81     81  
Cash flow hedges (458)     (458)  
Retirement benefit remeasurements (33)       (33)
Own credit 334     334  
Total comprehensive income for the period 3,542   390 171 2,981
Issue and redemption of equity instruments 526   526    
Other equity instruments coupons paid (390)   (390)    
Employee settled Barclays PLC shares scheme 352       352
Vesting of Barclays PLC shares under share based payment schemes (800)       (800)
Dividends paid on ordinary shares (1,175)       (1,175)
Dividends paid on preference shares and other shareholders equity (14)       (14)
Other movements 4     3 1
Ending balance, equity at Jun. 30, 2026 £ 64,358 £ 2,346 £ 10,972 £ (5) £ 51,045
[1] Other equity instruments of £10,972m (December 2025: £10,446m) comprise AT1 securities issued to Barclays PLC. Barclays PLC uses funds
from market issuances to purchase AT1 securities issued by Barclays Bank PLC. During the six months ended 30 June 2026, there was one
issuance in the form of Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities for £526m (net of issuance cost of £5m)
and no redemptions. For the six months ended 31 December 2025, there were two issuances totalling £1,596m (including £16m of issuance
costs) and one redemption of £1,629m. For the six months ended 30 June 2025, there was one issuance of £1,174m (including £12m of issuance
costs) and one redemption of £299m, all relating to Fixed Rate Resetting Perpetual Subordinated Contingent Convertible Securities.
[2] Details are shown in Note 10 Other reserves on page 41.
[3] On 16 June 2025, Barclays Bank PLC redeemed and cancelled the outstanding 4.75% Non-Cumulative Callable Euro Preference Series 2 Shares.
The principal outstanding was EUR 319m.