Disclaimer
Annual Report on Form 20-F menu
Notes to the accounts
1 Profit on redemption/repurchase of loan capital
2 Dealing profits
3 Other operating income
4 Administrative expenses – staff costs
5 Pensions, post-retirement benefits, profit sharing and other staff costs
6 Administrative expenses – other
7 Depreciation and amortisation
8 Provisions for contingent liabilities and commitments
9 Loss on sale or restructuring of BZW
10 Profit/(loss) on disposal of other Group undertakings
11 Tax
12 Minority and other interests – Barclays PLC
13 Dividends – Barclays PLC
14 Earnings per £1 ordinary share – Barclays PLC
15 Treasury bills and other eligible bills
16 Loans and advances to banks
17 Loans and advances to customers
18 Provisions for bad and doubtful debts
19 Debt securities
20 Equity shares
21 Interests in associated undertakings and joint ventures
22 Intangible fixed assets
23 Tangible fixed assets
24 Commitments for capital expenditure not provided in these accounts
25 Other assets
26 Long-term assurance funds
27 Prepayments and accrued income
28 Deposits by banks
29 Customer accounts
30 Debt securities in issue
31 Other liabilities
32 Accruals and deferred income
33 Deferred tax
34 Other provisions for liabilities and charges
35 Undated loan capital
36 Dated loan capital – non-convertible
37 Called up share capital
38 Shareholders’ funds
39 Investment in Barclays Bank PLC
40 Leasing activities
41 Assets and liabilities denominated in sterling and foreign currencies
42 Assets pledged to secure liabilities
43 Future rental commitments under operating leases
44 Principal subsidiary undertakings
45 Contingent liabilities and commitments
46 Derivatives and other financial instruments
47 Fair values of financial instruments
48 Legal proceedings
49 Post balance sheet events
50 Reconciliation of operating profit to net cash flow from operating activities
51 Sale of Group undertakings during the year
52 Changes in financing during the year
53 Analysis of cash balances
54 Analysis of the net outflow/(inflow) of cash in respect of the acquisition of subsidiary undertakings
55 Acquisitions
56 Related party transactions
57 Directors’ emoluments and other benefits
58 Directors’ and officers’ shareholding and options
59 Contracts with Directors and connected persons and with senior executives
60 Segmental analysis
61 Differences between UK GAAP and US GAAP accounting principles
62 Consolidated statement of cash flows – discussion of differences between FRS 1 (revised)
and SFAS No. 95 (as amended by SFAS No. 104)
63 Regulatory capital requirements
64 Significant Group concentration of credit risk
65 Ratio of earnings to fixed charges and preference share dividends