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Subordinated liabilities - Redemption (Details)
€ in Millions, £ in Millions, $ in Millions
1 Months Ended 12 Months Ended
Aug. 31, 2021
USD ($)
Dec. 31, 2021
GBP (£)
Dec. 31, 2020
GBP (£)
Dec. 31, 2021
USD ($)
Dec. 31, 2021
EUR (€)
NatWest Group plc, 1,000 million 3.622% dated notes 2030          
Subordinated liabilities          
Notional amount of financial assets   £ 1,000      
Interest rate   3.622%   3.622% 3.622%
Issue of subordinated liabilities     £ 996    
NatWest Group plc, US$850 million 3.032% dated notes 2035          
Subordinated liabilities          
Notional amount of financial assets | $       $ 850.0  
Interest rate   3.032%   3.032% 3.032%
Issue of subordinated liabilities     634    
NatWest Group plc, 1000 million 2.105% dated notes 2031          
Subordinated liabilities          
Notional amount of financial assets | €         € 1,000.0
Interest rate   2.105%   2.105% 2.105%
Issue of subordinated liabilities   £ 996      
NatWest Group plc, 750 million 1.043% dated notes 2032          
Subordinated liabilities          
Notional amount of financial assets | €         € 750.0
Interest rate   1.043%   1.043% 1.043%
Issue of subordinated liabilities   £ 638      
NatWest Group plc          
Subordinated liabilities          
Redemption of subordinated liabilities   3,484 2,882    
Issue of subordinated liabilities $ 2,650.0 £ 1,634 1,630    
NatWest Group plc, US$2,250 million 6.13% dated notes 2022 (partial redemption)          
Subordinated liabilities          
Notional amount of financial assets | $       $ 2,250.0  
Interest rate   6.13%   6.13% 6.13%
Redemption of subordinated liabilities   £ 226 499    
NatWest Group plc, US$1,000 million 6.10% dated notes 2023 (partial redemption)          
Subordinated liabilities          
Notional amount of financial assets | $       $ 1,000.0  
Interest rate   6.10%   6.10% 6.10%
Redemption of subordinated liabilities   £ 57 358    
NatWest Group plc, US$2,000 million 7.5% dated notes 2020          
Subordinated liabilities          
Notional amount of financial assets | $       $ 2,000.0  
Interest rate   7.50%   7.50% 7.50%
Redemption of subordinated liabilities     1,528    
NatWest Group plc, US$762 million 7.648% undated notes (partial redemption)          
Subordinated liabilities          
Notional amount of financial assets | $       $ 762.0  
Interest rate   7.648%   7.648% 7.648%
Redemption of subordinated liabilities   £ 45 497    
NatWest Group Plc, US$106 million floating rate undated notes (callable on any interest payment date)          
Subordinated liabilities          
Notional amount of financial assets | $       $ 106.0  
Redemption of subordinated liabilities   £ 77      
NatWest Group plc, US$2,650 million 8.625% dated notes 2021          
Subordinated liabilities          
Notional amount of financial assets | $       $ 2,650.0  
Interest rate   8.625%   8.625% 8.625%
Redemption of subordinated liabilities   £ 1,914      
NatWest Group plc, US$2,250 million 5.125% dated notes 2024          
Subordinated liabilities          
Notional amount of financial assets | $       $ 2,250.0  
Interest rate   5.125%   5.125% 5.125%
Redemption of subordinated liabilities   £ 729      
NatWest Group plc, US$2,000 million 6% dated notes 2023          
Subordinated liabilities          
Notional amount of financial assets | $       $ 2,000.0  
Interest rate   6.00%   6.00% 6.00%
Redemption of subordinated liabilities   £ 436      
NatWest Markets Plc US$125.6 million floating rate notes 2020          
Subordinated liabilities          
Notional amount of financial assets | $       $ 125.6  
Redemption of subordinated liabilities     97    
NatWest Markets Plc, 144.4 million floating rate dated notes 2023          
Subordinated liabilities          
Redemption of subordinated liabilities   20      
145.6 million floating rate dated notes 2023 (partial redemption)          
Subordinated liabilities          
Notional amount of financial assets | €         € 145.6
NatWest Markets Plc, 31 million 3.0883% notes (partial redemption)          
Subordinated liabilities          
Notional amount of financial assets   £ 31      
Interest rate   7.38%   7.38% 7.38%
Redemption of subordinated liabilities   £ 29      
NatWest Markets Plc, 19 million 5.63% notes (partial redemption)          
Subordinated liabilities          
Notional amount of financial assets   £ 19      
Interest rate   5.63%   5.63% 5.63%
Redemption of subordinated liabilities   £ 20      
NatWest Markets Plc          
Subordinated liabilities          
Redemption of subordinated liabilities   69 97    
National Westminister Bank Plc, US$285 million floating rate notes (callable semi-annually).          
Subordinated liabilities          
Notional amount of financial assets | $       $ 285.0  
Redemption of subordinated liabilities   300      
National Westminister Bank Plc, 10 million floating rate notes (callable quarterly).          
Subordinated liabilities          
Notional amount of financial assets | €         € 10.0
Redemption of subordinated liabilities   9      
National Westminister Bank Plc, 178 million floating rate notes (callable quarterly).          
Subordinated liabilities          
Notional amount of financial assets | €         € 178.0
Redemption of subordinated liabilities   152      
National Westminister Bank Plc, US$193 million floating rate notes (callable semi-annually).          
Subordinated liabilities          
Notional amount of financial assets | $       193.0  
Redemption of subordinated liabilities   138      
National Westminister Bank Plc, US$229 million floating rate notes (callable semi-annually).          
Subordinated liabilities          
Notional amount of financial assets | $       $ 229.0  
Redemption of subordinated liabilities   167      
National Westminister Bank Plc, 300 million 6.5% subordinated notes 2021          
Subordinated liabilities          
Notional amount of financial assets   £ 300      
Interest rate   6.50%   6.50% 6.50%
Redemption of subordinated liabilities   £ 201      
National Westminister Bank Plc, 35 million 11.5% notes          
Subordinated liabilities          
Notional amount of financial assets   £ 35      
Interest rate   11.50%   11.50% 11.50%
Redemption of subordinated liabilities   £ 3      
National Westminister Bank Plc, 140 million 9% cumulative preference shares of 1          
Subordinated liabilities          
Notional amount of financial assets   £ 140      
Interest rate   9.00%   9.00% 9.00%
Redemption of subordinated liabilities   £ 24      
National Westminister Bank Plc          
Subordinated liabilities          
Redemption of subordinated liabilities   £ 994      
NWM N.V. and subsidiaries, US$650 million 6.425% Undated notes 2043 (partial redemption)          
Subordinated liabilities          
Notional amount of financial assets | $       $ 650.0  
Interest rate   6.425%   6.425% 6.425%
Redemption of subordinated liabilities   £ 73 187    
NWM N.V. and subsidiaries, 15 million 6.00% notes 2020          
Subordinated liabilities          
Notional amount of financial assets | €         € 15.0
Interest rate   6.00%   6.00% 6.00%
Redemption of subordinated liabilities     11    
NWM S NV and subsidiaries          
Subordinated liabilities          
Redemption of subordinated liabilities   £ 73 £ 198