v3.26.1
Condensed consolidated statement of comprehensive income (unaudited) - GBP (£)
£ in Millions
6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Statement of comprehensive income [abstract]    
Profit after tax £ 4,697 £ 4,030
Currency translation reserve    
Currency translation differences 219 (1,568)
Tax 0 (3)
Fair value through other comprehensive income reserve    
Net (losses)/gains from changes in fair value (578) 1,268
Net losses transferred to net profit on disposal 57 68
Net release of impairment 0 (2)
Net gains/(losses) due to fair value hedging 662 (769)
Tax (39) (157)
Cash flow hedging reserve    
Net (losses)/gains from changes in fair value (1,837) 3,043
Net losses/(gains) transferred to net profit 618 (656)
Tax 337 (667)
Other comprehensive (loss)/income that may be recycled to profit or loss (561) 557
Other comprehensive income/(loss) not recycled to profit or loss:    
Retirement benefit remeasurements (37) (283)
Fair value through other comprehensive income reserve (1) 0
Own credit 457 710
Tax (110) (111)
Other comprehensive income not recycled to profit or loss 309 316
Other comprehensive (loss)/income for the period (252) 873
Total comprehensive income for the period 4,445 4,903
Attributable to:    
Equity holders of the parent 4,426 4,880
Non-controlling interests 19 23
Total comprehensive income for the period £ 4,445 £ 4,903