Company: BCS
Filing Date: 2025-07-29
Form Type: 6-K
Source: 0001654954-25-008608
Chunk: 55

Company: BARCLAYS PLC
Filing Date: 2025-07-29
Form: 6-K
Chunk 55
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 agreements and other similar secured 
 lending                                                 |           7,917 |      7,917 |           4,734 |      4,734 |
| Financial liabilities                                   |                 |            |                 |            |
| Deposits at amortised cost                              |        -564,535 |   -564,669 |        -560,663 |   -560,393 |
| Repurchase agreements and other similar secured         
 borrowing                                               |         -35,469 |    -35,469 |         -39,415 |    -39,415 |
| Debt securities in issue                                |        -104,910 |   -106,837 |         -92,402 |    -94,463 |
| Subordinated liabilities                                |         -12,529 |    -12,978 |         -11,921 |    -12,434 |

#### 10.

#### Goodwill and intangible assets
The Group performed an impairment review to assess the recoverability of its goodwill and intangible asset balances as at 31 December 2024. The outcome of this review is disclosed on pages 493-494 of the Barclays PLC Annual Report 2024. No impairment was recognised as a result of the review as value in use exceeded carrying amount. A review of the Group's goodwill and intangible assets as at 30 June 2025 did not identify any factors indicating impairment.

#### 11.

#### Subordinated liabilities
|                                 | Half year ended 30.06.25 | Year ended 31.12.24 |
|:--------------------------------|-------------------------:|--------------------:|
|                                 |                       £m |                  £m |
| Opening balance as at 1 January |                   11,921 |              10,494 |
| Issuances                       |                    1,045 |               1,870 |
| Redemptions                     |                     -115 |                -476 |
| Other                           |                     -322 |                  33 |
| Closing balance                 |                   12,529 |              11,921 |

Issuance of £1,045m EUR 4.616% Fixed Rate Resetting Subordinated Callable Notes issued externally by Barclays PLC.

Redemption of £115m SGD 3.750% Fixed Rate Resetting Subordinated Callable Notes issued externally by Barclays PLC.

Other movements predominantly comprise foreign exchange movements and fair value hedge adjustments.

#### 12.

#### Provisions
|                                                | As at 30.06.25 | As at 31.