v3.26.1
Debt issued designated at fair value (Table)
6 Months Ended
Jun. 30, 2026
Disclosure Of Financial Liabilities [Line Items]  
Debt issued designated at fair value
Debt Issued designated at Fair Value
USD m
30.6.26
31.12.25
Equity-linked
1
66,987
60,303
Rates-linked
27,374
26,324
Fixed-rate
11,624
11,627
Credit-linked
3,388
3,597
Commodity-linked
2,810
3,030
Other
8,992
8,913
of which: debt that contributes to total loss-absorbing capacity
6,898
6,366
Total debt issued designated at fair value
2
121,175
113,794
1 Includes investment fund unit-linked instruments issued.
2 As of 30 June 2026,
100
% of Total debt issued designated at fair value was unsecured (31 December 2025:
100
%).