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Derivatives - Notional contract amounts and fair value of derivatives by product contract type held by HSBC (Details)
number in Millions, $ in Millions
Jun. 30, 2020
USD ($)
Dec. 31, 2019
USD ($)
Disclosure of detailed information about hedging instruments [line items]    
Notional contract amount of trading instruments $ 26,086,676 $ 27,619,214
Notional contract amount of hedging instruments 201,995 208,905
Fair value of trading assets $ 392,003 $ 283,071
Fair value of hedging assets 2,888 1,663
Gross total fair values of derivative assets 394,891 284,734
Fair value of derivative assets 313,781 242,995
Fair value of trading liabilities 379,890 278,465
Fair value of hedging liabilities 4,279 2,771
Gross total fair values of derivative liabilities 384,169 281,236
Fair value of derivative liabilities 303,059 239,497
Derivatives    
Disclosure of detailed information about hedging instruments [line items]    
Amounts offset on derivative liabilities (81,110) (41,739)
Derivatives    
Disclosure of detailed information about hedging instruments [line items]    
Amounts offset on derivative assets (81,110) (41,739)
Foreign exchange    
Disclosure of detailed information about hedging instruments [line items]    
Notional contract amount of trading instruments $ 7,383,599 $ 8,207,629
Notional contract amount of hedging instruments 36,888 31,899
Fair value of trading assets $ 83,704 $ 84,083
Fair value of hedging assets 366 455
Gross total fair values of derivative assets 84,070 84,538
Fair value of trading liabilities 84,600 84,498
Fair value of hedging liabilities 729 740
Gross total fair values of derivative liabilities 85,329 85,238
Interest rate    
Disclosure of detailed information about hedging instruments [line items]    
Notional contract amount of trading instruments $ 17,590,866 $ 17,895,349
Notional contract amount of hedging instruments 165,107 177,006
Fair value of trading assets $ 291,177 $ 183,668
Fair value of hedging assets 2,522 1,208
Gross total fair values of derivative assets 293,699 184,876
Fair value of trading liabilities 274,938 175,095
Fair value of hedging liabilities 3,550 2,031
Gross total fair values of derivative liabilities 278,488 177,126
Equities    
Disclosure of detailed information about hedging instruments [line items]    
Notional contract amount of trading instruments $ 648,250 $ 1,077,347
Notional contract amount of hedging instruments 0 0
Fair value of trading assets $ 10,697 $ 9,053
Fair value of hedging assets 0 0
Gross total fair values of derivative assets 10,697 9,053
Fair value of trading liabilities 11,836 11,237
Fair value of hedging liabilities 0 0
Gross total fair values of derivative liabilities 11,836 11,237
Credit    
Disclosure of detailed information about hedging instruments [line items]    
Notional contract amount of trading instruments $ 329,551 $ 345,644
Notional contract amount of hedging instruments 0 0
Fair value of trading assets $ 3,661 $ 4,744
Fair value of hedging assets 0 0
Gross total fair values of derivative assets 3,661 4,744
Fair value of trading liabilities 5,000 5,597
Fair value of hedging liabilities 0 0
Gross total fair values of derivative liabilities 5,000 5,597
Commodity and other    
Disclosure of detailed information about hedging instruments [line items]    
Notional contract amount of trading instruments $ 134,410 $ 93,245
Notional contract amount of hedging instruments 0 0
Fair value of trading assets $ 2,764 $ 1,523
Fair value of hedging assets 0 0
Gross total fair values of derivative assets 2,764 1,523
Fair value of trading liabilities 3,516 2,038
Fair value of hedging liabilities 0 0
Gross total fair values of derivative liabilities $ 3,516 $ 2,038