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Subordinated liabilities - Redemption (Details)
£ / shares in Units, € in Millions, £ in Millions, $ in Millions
Dec. 31, 2024
GBP (£)
£ / shares
Dec. 31, 2024
USD ($)
Dec. 31, 2024
EUR (€)
Dec. 31, 2023
GBP (£)
£ / shares
Subordinated liabilities        
Dated subordinated liabilities before value adjustment due to hedge accounting £ 6,091.0     £ 5,735.0
Dated loan capital 5,996.0     5,573.0
Undated loan capital 21.0     22.0
Preference shares 119.0     119.0
Impact on carrying value due to fair value hedging (95.0)     (162.0)
Subordinated liabilities £ 6,136.0     £ 5,714.0
Par value per share | £ / shares £ 1.0769     £ 1.0769
NatWest Group plc        
Subordinated liabilities        
Dated loan capital £ 5,840.0     £ 5,481.0
Natwest Group plc, $2,250 million 5.125% notes Maturity dated May-2024        
Subordinated liabilities        
Notional amount | $   $ 2,250    
Interest rate 5.125% 5.125% 5.125%  
Dated loan capital       418.0
Natwest Group plc, £1,000 million 3.622% notes Maturity dated Aug 2030        
Subordinated liabilities        
Notional amount £ 1,000.0      
Interest rate 3.622% 3.622% 3.622%  
Dated loan capital £ 1,006.0     985.0
Natwest Group plc, £1,000 million 2.105% notes Maturity dated Nov-2031        
Subordinated liabilities        
Notional amount £ 1,000.0      
Interest rate 2.105% 2.105% 2.105%  
Dated loan capital £ 1,001.0     1,000.0
Natwest Group plc, $1,000 million 6.475% notes Maturity dated Jun-2034        
Subordinated liabilities        
Notional amount | $   $ 1,000    
Interest rate 6.475% 6.475% 6.475%  
Dated loan capital £ 799.0      
Natwest Group plc, $850 million 3.032% notes Maturity dated Nov-2035        
Subordinated liabilities        
Notional amount | $   $ 850    
Interest rate 3.032% 3.032% 3.032%  
Dated loan capital £ 550.0     541.0
Natwest Group plc, €750 million 1.043% notes Maturity dated Sep-2032        
Subordinated liabilities        
Notional amount | €     € 750  
Interest rate 1.043% 1.043% 1.043%  
Dated loan capital £ 624.0     652.0
Natwest Group plc, $750 million 3.754% notes Maturity dated Nov-2029        
Subordinated liabilities        
Notional amount | $   $ 750    
Interest rate 3.754% 3.754% 3.754%  
Dated loan capital       592.0
Natwest Group plc, €700 million 5.763% notes Maturity dated Feb-2034        
Subordinated liabilities        
Notional amount | €     € 700  
Interest rate 5.763% 5.763% 5.763%  
Dated loan capital £ 608.0     636.0
Natwest Group plc, £650 million 7.416% notes Maturity dated Jun-2033        
Subordinated liabilities        
Notional amount £ 650.0      
Interest rate 7.416% 7.416% 7.416%  
Dated loan capital £ 644.0     657.0
Natwest Group plc, £600 million 5.642% notes Maturity dated Oct-2034        
Subordinated liabilities        
Notional amount £ 600.0      
Interest rate 5.642% 5.642% 5.642%  
Dated loan capital £ 608.0      
Other subsidiaries, €170 million Floating rate notes Maturity dated Feb-2041        
Subordinated liabilities        
Notional amount | €     € 170  
Dated loan capital £ 234.0     237.0
Other subsidiaries, $150 million 7.125% notes Maturity dated Oct-93        
Subordinated liabilities        
Notional amount | $   $ 150    
Interest rate 7.125% 7.125% 7.125%  
Dated loan capital £ 17.0     17.0
Other Subsidiaries £31 Million 7.38% Notes        
Subordinated liabilities        
Notional amount £ 31.0      
Interest rate 7.38% 7.38% 7.38%  
Undated loan capital £ 1.0     1.0
Other Subsidiaries £16 Million 5.63% Notes        
Subordinated liabilities        
Notional amount £ 16.0      
Interest rate 5.63% 5.63% 5.63%  
Undated loan capital £ 17.0     18.0
Other subsidiaries £4.9 Million 2.5% fixed notes        
Subordinated liabilities        
Notional amount £ 4.9      
Interest rate 2.50% 2.50% 2.50%  
Undated loan capital £ 3.0     3.0
Other subsidiaries, £140 million Non-cumulative preference shares of £1        
Subordinated liabilities        
Notional amount 140.0      
Preference shares £ 119.0     £ 119.0
Par value per share | £ / shares £ 1