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Financial instruments - Level 3 (Detail) - Level 3
£ in Millions
6 Months Ended
Jun. 30, 2023
GBP (£)
Changes in fair value measurement, assets [abstract]  
Beginning balance £ 358.5
Gains/(losses) recognised in the income statement (24.7)
Gains recognised in other comprehensive income 0.1
Additions 1.8
Disposals (10.4)
Cancellations 0.0
Settlements 0.0
Exchange adjustments 0.0
Ending balance 325.3
Payments due to vendors (earnout agreements)  
Reconciliation of changes in fair value measurement, liabilities [abstract]  
Beginning balance (160.1)
Gains/(losses) recognised in the income statement 25.7
Gains recognised in other comprehensive income 0.0
Additions (66.7)
Disposals 0.0
Cancellations 0.0
Settlements 12.4
Exchange adjustments 0.8
Ending balance (187.9)
Liabilities in respect of put options  
Reconciliation of changes in fair value measurement, liabilities [abstract]  
Beginning balance (342.1)
Gains/(losses) recognised in the income statement 7.1
Gains recognised in other comprehensive income 0.0
Additions (2.4)
Disposals 0.0
Cancellations 2.8
Settlements 1.8
Exchange adjustments 12.0
Ending balance £ (320.8)