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Pensions - History of defined benefit schemes (Details) - GBP (£)
£ in Millions
12 Months Ended
Dec. 31, 2024
Dec. 31, 2023
Dec. 31, 2022
Dec. 31, 2021
Dec. 31, 2020
Pensions          
Fair value of plan assets £ 32,757 £ 37,111 £ 37,598 £ 57,787 £ 57,249
Present value of plan obligations (27,287) (29,592) (27,601) (46,808) (48,864)
Net surplus 5,470 7,519 9,997 10,979 8,385
Actual return on plan assets £ (3,123) £ 659 £ (19,285) £ 1,667 £ 7,064
Actual return on plan assets - % (8.40%) 1.80% (33.40%) 2.90% 13.60%
Plan liabilities          
Pensions          
Experience (losses)/gains £ (3) £ (1,599) £ (2,137) £ 237 £ 455
Plan assets          
Pensions          
Experience (losses)/gains (4,860) (1,182) (20,326) 872 6,027
Main Pension Scheme          
Pensions          
Fair value of plan assets 29,546 33,638 34,016 52,021 51,323
Present value of plan obligations (24,461) (26,534) (24,733) (42,020) (43,870)
Net surplus 5,085 7,104 9,283 10,001 7,453
Actual return on plan assets £ (3,023) £ 634 £ (17,248) £ 1,554 £ 6,422
Actual return on plan assets - % (9.00%) 1.90% (33.20%) 3.00% 13.80%
Main Pension Scheme | Plan liabilities          
Pensions          
Experience (losses)/gains £ 13 £ (1,531) £ (2,053) £ 241 £ 427
Main Pension Scheme | Plan assets          
Pensions          
Experience (losses)/gains £ (4,612) £ (1,042) £ (18,180) £ 841 £ 5,486