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Fair value measurement of financial assets and liabilities -Summary of analysis of movements in level 3 assets and liabilities (Details) - Level 3 - USD ($)
$ in Millions
12 Months Ended
Dec. 31, 2025
Dec. 31, 2024
Equity investments    
Changes in fair value measurement, assets [abstract]    
Financial assets at beginning balance $ 15 $ 26
Receivables originated to be sold 0 0
Gain/(loss) in statement of profit or loss (7) (11)
of which: unrealized gain/(loss) (7) (11)
of which: realized gain/(loss) 0 0
Receivables sold to third parties 0 0
Consumer receivables repaid 0  
Financial assets at ending balance 8 15
Consumer receivables at fair value through P&L    
Changes in fair value measurement, assets [abstract]    
Financial assets at beginning balance 2 0
Receivables originated to be sold 17,246 3,261
Gain/(loss) in statement of profit or loss (164) (30)
of which: unrealized gain/(loss) 0 0
of which: realized gain/(loss) (164) (30)
Receivables sold to third parties (16,684) (3,229)
Consumer receivables repaid 0  
Financial assets at ending balance 400 2
Consumer receivables at fair value through OCI    
Changes in fair value measurement, assets [abstract]    
Financial assets at beginning balance 0 0
Receivables originated to be sold 1,147 0
Gain/(loss) in statement of profit or loss 37 0
of which: unrealized gain/(loss) 12 0
of which: realized gain/(loss) 25 0
Receivables sold to third parties (465) 0
Consumer receivables repaid (333)  
Financial assets at ending balance $ 386 $ 0