XML 220 R67.htm IDEA: XBRL DOCUMENT v3.26.1
Other Reserves (Tables)
12 Months Ended
Dec. 31, 2025
Disclosure of reserves within equity [abstract]  
Summary of Other Reserves
Other reserves comprise the following:
Capital
redemption
reserve
£m
Equity
reserve
£m
Hedging reserve
£m
Translation
reserve
£m
Total
other
reserves
£m
Balance at 1 January 2023
22 (263) 526 285 
Foreign exchange differences on translation of foreign operations
— — — (404)(404)
Gain on net investment hedges— — — 108 108 
Cash flow hedges:
     Fair value loss arising on hedging instruments— — (43)— (43)
     Amounts reclassified to profit or loss
— — 44 — 44 
Share of other comprehensive income of associate undertakings
— — — (1)(1)
Net movement of liabilities in respect of put options
— 198 — — 198 
Balance at 31 December 2023
22 (65)1 229 187 
Foreign exchange differences on translation of foreign operations
— — — (70)(70)
Loss on net investment hedges— — — (3)(3)
Cash flow hedges:
     Fair value loss arising on hedging instruments— — (35)— (35)
     Amounts reclassified to profit or loss
— — 58 — 58 
Loss on cost of hedging
— — (8)— (8)
Share cancellations— — — 
Net movement in own shares held by ESOP trusts
— — — (8)(8)
Net movement of liabilities in respect of put options
— 25 — — 25 
Balance at 31 December 2024
27 (40)16 148 151 
Foreign exchange differences on translation of foreign operations— — — (201)(201)
Gain on net investment hedges
— — — 68 68 
Cash flow hedges:
     Fair value gain arising on hedging instruments
— — 25 — 25 
     Amounts reclassified to profit or loss
— — (58)— (58)
Gain on cost of hedging
— — — 
Net movement of liabilities in respect of put options
— (2)— — (2)
Balance at 31 December 2025
27 (42)(12)15 (12)
Summary of Translation Reserve Comprises
The translation reserve comprises:
2025
£m
2024
£m
2023
£m
Balance relating to continuing net investment hedges(18)(86)(53)
Balance relating to discontinued net investment hedges(38)(38)(68)
Balance relating to foreign exchange differences on translation of foreign operations
71 272 350 
15 148 229