v3.26.1
Fair values of financial assets and liabilities - Schedule of Movements in Level 3 Financial Liabilities Portfolio (Details) - Level 3 £m - GBP (£)
£ in Millions
6 Months Ended
Jun. 30, 2026
Jun. 30, 2025
Reconciliation of changes in fair value measurement, liabilities [abstract]    
Balance at beginning of period £ 135 £ 165
Losses (gains) recognised in the income statement within other income (2) (6)
Redemptions (9) (14)
Balance at end of period 124 145
Financial liabilities at fair value through profit or loss £m    
Reconciliation of changes in fair value measurement, liabilities [abstract]    
Balance at beginning of period 17 22
Losses (gains) recognised in the income statement within other income 1 (2)
Redemptions (1) (2)
Balance at end of period 17 18
Losses (gains) recognised in the income statement, within other income, relating to the change in fair value of those liabilities held 1 (2)
Derivative liabilities £m    
Reconciliation of changes in fair value measurement, liabilities [abstract]    
Balance at beginning of period 118 143
Losses (gains) recognised in the income statement within other income (3) (4)
Redemptions (8) (12)
Balance at end of period 107 127
Losses (gains) recognised in the income statement, within other income, relating to the change in fair value of those liabilities held (2) (3)
Total financial liabilities carried at fair value £m    
Reconciliation of changes in fair value measurement, liabilities [abstract]    
Losses (gains) recognised in the income statement, within other income, relating to the change in fair value of those liabilities held £ (1) £ (5)