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 |
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|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| 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 | ||||||||
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