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CONSOLIDATED STATEMENT OF CHANGES IN EQUITY - GBP (£)
£ in Millions
Share premium [member]
Other reserves [member]
Debt securities [member]
Other reserves [member]
Equity shares [Member]
Other reserves [member]
Retained earnings [member]
Equity attributable to owners of parent [member]
Debt securities [member]
Equity attributable to owners of parent [member]
Equity shares [Member]
Equity attributable to owners of parent [member]
Other equity interest [member]
Non-controlling interests [member]
Debt securities [member]
Equity shares [Member]
Total
Beginning Balance at Dec. 31, 2016 £ 24,768     £ 14,652 £ 3,250     £ 42,670 £ 5,355 £ 440     £ 48,465
Comprehensive income                          
Profit for the year | Previously stated [member] [1]                         3,999
Profit for the year [1]     3,909     3,909 90     3,999
Post-retirement defined benefit scheme remeasurements, net of tax | Previously stated [member] [1]         482               482
Post-retirement defined benefit scheme remeasurements, net of tax         482     482         482
Movements in revaluation reserve in respect of available-for-sale financial assets, net of tax       (74)       (74)         (74)
Share of other comprehensive income of associates and joint ventures | Previously stated [member] [1]                        
Gains and losses attributable to own credit risk, net of tax | Previously stated [member] [1]                         (40)
Gains and losses attributable to own credit risk, net of tax         (40)     (40)         (40)
Movements in cash flow hedging reserve, net of tax | Previously stated [member] [1]                         (731)
Movements in cash flow hedging reserve, net of tax       (731)       (731)         (731)
Currency translation differences (tax: £nil) | Previously stated [member] [1]                         (32)
Currency translation differences (tax: £nil)       (32)       (32)         (32)
Total other comprehensive income | Previously stated [member] [1]                         (395)
Total other comprehensive income       (837) 442     (395)         (395)
Total comprehensive income | Previously stated [member] [1]                         3,604
Total comprehensive income       (837) 4,351     3,514   90     3,604
Transactions with owners                          
Dividends | Previously stated [member] [1],[2]         (2,284)                
Dividends         (2,284)     (2,284)   (51)     (2,335)
Distributions on other equity instruments, net of tax [1]     (415)     (415)     (415)
Issue of ordinary shares 63             63         63
Movement in treasury shares | Previously stated [member] [1]         (411)                
Movement in treasury shares         (411)     (411)         (411)
Value of employee services:                          
Share option schemes | Previously stated [member] [1]         82                
Share option schemes         82     82         82
Other employee award schemes | Previously stated [member] [1]         332                
Other employee award schemes         332     332         332
Changes in non-controlling interests                   (242)     (242)
Total transactions with owners 63       (2,696)     (2,633)   (293)     (2,926)
Ending Balance (Previously stated [member]) at Dec. 31, 2017 24,831     13,815 4,905     43,551 5,355 237     49,143
Ending Balance (Increase (decrease) due to changes in accounting policy required by IFRSs [member]) at Dec. 31, 2017 [1]     (262) (929)     (1,191)     (1,191)
Ending Balance at Dec. 31, 2017 24,831     13,553 3,976     42,360 5,355 237     47,952
Comprehensive income                          
Profit for the year | Previously stated [member] [1]                         4,506
Profit for the year [1]     4,408     4,408 98     4,506
Post-retirement defined benefit scheme remeasurements, net of tax | Previously stated [member] [1]                         120
Post-retirement defined benefit scheme remeasurements, net of tax         120 [1]     120         120
Share of other comprehensive income of associates and joint ventures | Previously stated [member] [1]                         8
Share of other comprehensive income of associates and joint ventures         8     8         8
Movements in revaluation reserve in respect of available-for-sale financial assets, net of tax   £ (193) £ (75)     £ (193) £ (75)       £ (193) £ (75)  
Gains and losses attributable to own credit risk, net of tax | Previously stated [member] [1]                         389
Gains and losses attributable to own credit risk, net of tax         389     389         389
Movements in cash flow hedging reserve, net of tax | Previously stated [member] [1]                         (354)
Movements in cash flow hedging reserve, net of tax       (354)       (354)         (354)
Currency translation differences (tax: £nil) | Previously stated [member] [1]                         (8)
Currency translation differences (tax: £nil)       (8)       (8)         (8)
Total other comprehensive income | Previously stated [member] [1]                         (113)
Total other comprehensive income       (630) 517     (113)         (113)
Total comprehensive income | Previously stated [member] [1]                         4,393
Total comprehensive income       (630) 4,925     4,295   98     4,393
Transactions with owners                          
Dividends         (2,240) [1],[2]     (2,240)   (61)     (2,301)
Distributions on other equity instruments, net of tax [1]     (433)     (433)     (433)
Issue of ordinary shares 162             162         162
Share buy-back (158)     158 (1,005)     (1,005)         (1,005)
Issue of other equity instruments (note 44)         (5)     (5) 1,136       1,131
Movement in treasury shares         40 [1]     40         40
Value of employee services:                          
Share option schemes         53 [1]     53         53
Other employee award schemes         207 [1]     207         207
Total transactions with owners 4     158 (3,383)     (3,221) 1,136 (61)     (2,146)
Realised gains and losses on equity shares held at fair value through other comprehensive income | Previously stated [member] [1]                         (97)
Realised gains and losses on equity shares held at fair value through other comprehensive income       129 (129)                
Ending Balance at Dec. 31, 2018 24,835     13,210 5,389     43,434 6,491 274     50,199
Comprehensive income                          
Profit for the year         2,925     2,925   81     3,006
Post-retirement defined benefit scheme remeasurements, net of tax         (1,117)     (1,117)         (1,117)
Movements in revaluation reserve in respect of available-for-sale financial assets, net of tax   £ (156) £ 12     £ (156) £ 12       £ (156) £ 12  
Gains and losses attributable to own credit risk, net of tax         (306)     (306)         (306)
Movements in cash flow hedging reserve, net of tax       453       453         453
Currency translation differences (tax: £nil)       (12)       (12)         (12)
Total other comprehensive income       297 (1,423)     (1,126)         (1,126)
Total comprehensive income       297 1,502     1,799   81     1,880
Transactions with owners                          
Dividends         (2,312) [2]     (2,312)   (138)     (2,450)
Distributions on other equity instruments, net of tax         (466)     (466)         (466)
Issue of ordinary shares 107             107         107
Share buy-back (189)     189 (1,095)     (1,095)         (1,095)
Redemption of preference shares 3     (3)                 3
Issue of other equity instruments (note 44)         (3)     (3) 896       893
Redemptions of other equity instruments (note 44)                 (1,481)       (1,481)
Movement in treasury shares         (3)     (3)         (3)
Value of employee services:                          
Share option schemes         71     71         71
Other employee award schemes         165     165         165
Changes in non-controlling interests                   (14)     (14)
Total transactions with owners (79)     186 (3,643)     (3,536) (585) (152)     (4,273)
Realised gains and losses on equity shares held at fair value through other comprehensive income       2 (2)                
Ending Balance at Dec. 31, 2019 £ 24,756     £ 13,695 £ 3,246     £ 41,697 £ 5,906 £ 203     £ 47,806
[1] Restated, see note 1.
[2] Net of a credit in respect of unclaimed dividends written-back in accordance with the Company's Articles of Association in 2017.