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Net income/(expense) from financial instruments measured at fair value through profit and loss (Tables)
12 Months Ended
Dec. 31, 2024
Analysis of income and expense [abstract]  
Disclosure of net income from financial instruments measured at fair value through profit and loss
2024
2023
2022
$m
$m
$m
Net income/(expense) arising on:
Net trading activities
23,186
20,391
2,372
Other instruments managed on a fair value basis
(2,070)
(3,730)
7,906
Net income from financial instruments held for trading or managed on a fair value basis
21,116
16,661
10,278
Financial assets held to meet liabilities under insurance and investment contracts
6,210
8,086
(14,392)
Liabilities to customers under investment contracts
(309)
(199)
561
Net income/(expense) from assets and liabilities of insurance businesses, including related
derivatives, measured at fair value through profit or loss
5,901
7,887
(13,831)
2024
2023
2022
$m
$m
$m
Net income/(expense) arising on:
Net trading activities
984
(546)
2,094
Other instruments managed on a fair value basis
1,915
1,609
35
Net income from financial instruments held for trading or managed on a fair value basis
2,899
1,063
2,129
Derivatives managed in conjunction with HSBC Holdings-issued debt securities
93
426
(1,529)
Other changes in fair value
(218)
(1,894)
3,673
Changes in fair value of designated debt and related derivatives
(125)
(1,468)
2,144
Changes in fair value of other financial instruments mandatorily measured at fair value through profit
or loss
2,086
3,692
(2,409)
Year ended 31 Dec
4,860
3,287
1,864