| Line |
Label |
Object Class |
Period Type |
Balance |
Report ElementName |
| 1 |
000 - Document - Document And Entity Information |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DocumentAndEntityInformation |
| 2 |
Implied Table |
Table |
* |
* |
implied:Table |
| 3 |
Document and Entity Information [Abstract] |
Abstract |
|
|
lyg:DocumentAndEntityInformationAbstract |
| 4 |
Entity Registrant Name |
Concept (Text/String) |
For Period |
|
dei:EntityRegistrantName |
| 5 |
Trading Symbol |
Concept (Text/String) |
For Period |
|
dei:TradingSymbol |
| 6 |
Document Type |
Concept (Submission Type) |
For Period |
|
dei:DocumentType |
| 7 |
Current Fiscal Year End Date |
Concept (Month/Day) |
For Period |
|
dei:CurrentFiscalYearEndDate |
| 8 |
Entity Common Stock, Shares Outstanding |
Concept (Shares) |
As Of |
|
dei:EntityCommonStockSharesOutstanding |
| 9 |
Entity Public Float |
Concept (Monetary) |
As Of |
Credit |
dei:EntityPublicFloat |
| 10 |
Amendment Flag |
Concept (Yes/No) |
For Period |
|
dei:AmendmentFlag |
| 11 |
Amendment Description |
Concept (Text/String) |
For Period |
|
dei:AmendmentDescription |
| 12 |
Entity Central Index Key |
Concept (CIK Number) |
For Period |
|
dei:EntityCentralIndexKey |
| 13 |
Entity Current Reporting Status |
Concept (Yes/No) |
For Period |
|
dei:EntityCurrentReportingStatus |
| 14 |
Entity Voluntary Filers |
Concept (Yes/No) |
For Period |
|
dei:EntityVoluntaryFilers |
| 15 |
Entity Filer Category |
Concept (Filer Category) |
For Period |
|
dei:EntityFilerCategory |
| 16 |
Entity Well-known Seasoned Issuer |
Concept (Yes/No) |
For Period |
|
dei:EntityWellKnownSeasonedIssuer |
| 17 |
Document Period End Date |
Concept (Date) |
For Period |
|
dei:DocumentPeriodEndDate |
| 18 |
Document Fiscal Year Focus |
Concept (Year) |
For Period |
|
dei:DocumentFiscalYearFocus |
| 19 |
Document Fiscal Period Focus |
Concept (Fiscal Period) |
For Period |
|
dei:DocumentFiscalPeriodFocus |
| 20 |
Entity Small Business |
Concept (Yes/No) |
For Period |
|
dei:EntitySmallBusiness |
| 21 |
Entity Emerging Growth Company |
Concept (Yes/No) |
For Period |
|
dei:EntityEmergingGrowthCompany |
| 22 |
Entity Shell Company |
Concept (Yes/No) |
For Period |
|
dei:EntityShellCompany |
| 23 |
Entity Ex Transition Period |
Concept (Yes/No) |
For Period |
|
dei:EntityExTransitionPeriod |
| 24 |
001 - Statement - CONSOLIDATED INCOME STATEMENT |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ConsolidatedIncomeStatement |
| 25 |
Statement [Table] |
Table |
* |
* |
us-gaap:StatementTable |
| 26 |
Segments [axis] |
Axis |
|
|
ifrs-full:SegmentsAxis |
| 27 |
Segments [member] |
Member |
|
|
ifrs-full:SegmentsMember |
| 28 |
Statement [Line Items] |
LineItems |
|
|
us-gaap:StatementLineItems |
| 29 |
Interest and similar income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RevenueFromInterest |
| 30 |
Interest and similar expense |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:InterestExpense |
| 31 |
Net interest income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestRevenueExpense |
| 32 |
Fee and commission income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:FeeAndCommissionIncome |
| 33 |
Fee and commission expense |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:FeeAndCommissionExpense |
| 34 |
Net fee and commission income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:FeeAndCommissionIncomeExpense |
| 35 |
Net trading income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:TradingIncomeExpense |
| 36 |
Insurance premium income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:NetEarnedPremium |
| 37 |
Other operating income |
Concept (Monetary) |
For Period |
Credit |
lyg:OperatingIncomeOther |
| 38 |
Other income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherRevenue |
| 39 |
Total income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:Revenue |
| 40 |
Insurance claims |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ClaimsAndBenefitsPaidNetOfReinsuranceRecoveries |
| 41 |
Total income, net of insurance claims |
Concept (Monetary) |
For Period |
Credit |
lyg:RevenueNetOfInsuranceClaims |
| 42 |
Regulatory provisions |
Concept (Monetary) |
For Period |
Debit |
lyg:RegulatoryProvisions |
| 43 |
Other operating expenses |
Concept (Monetary) |
For Period |
Debit |
lyg:OperatingExpenseOther |
| 44 |
Total operating expenses |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:OperatingExpense |
| 45 |
Trading surplus |
Concept (Monetary) |
For Period |
Credit |
lyg:TradingSurplus |
| 46 |
Impairment |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLoss |
| 47 |
Profit before tax |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossBeforeTax |
| 48 |
Taxation |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxExpenseContinuingOperations |
| 49 |
Profit for the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLoss |
| 50 |
Profit attributable to ordinary shareholders |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossAttributableToOrdinaryEquityHoldersOfParentEntity |
| 51 |
Profit attributable to other equity holders |
Concept (Monetary) |
For Period |
Credit |
lyg:ProfitLossAttributableToOtherEquityHolders |
| 52 |
Profit attributable to equity holders |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossAttributableToOwnersOfParent |
| 53 |
Profit attributable to non-controlling interests |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossAttributableToNoncontrollingInterests |
| 54 |
Basic earnings per share (in Pounds per share) |
Concept (Share) |
For Period |
|
ifrs-full:BasicEarningsLossPerShare |
| 55 |
Diluted earnings per share (in Pounds per share) |
Concept (Share) |
For Period |
|
ifrs-full:DilutedEarningsLossPerShare |
| 56 |
002 - Statement - CONSOLIDATED INCOME STATEMENT (Parentheticals) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ConsolidatedIncomeStatement_Parentheticals |
| 57 |
Statement [Table] |
Table |
* |
* |
us-gaap:StatementTable |
| 58 |
Segments [axis] |
Axis |
|
|
ifrs-full:SegmentsAxis |
| 59 |
Segments [member] |
Member |
|
|
ifrs-full:SegmentsMember |
| 60 |
Statement [Line Items] |
LineItems |
|
|
us-gaap:StatementLineItems |
| 61 |
Tax credit attributable to ordinary shareholders |
Concept (Monetary) |
For Period |
Credit |
lyg:TaxCreditAttributableToOrdinaryShareholders |
| 62 |
003 - Statement - CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ConsolidatedComprehensiveIncome |
| 63 |
Statement [Table] |
Table |
* |
* |
us-gaap:StatementTable |
| 64 |
Segments [axis] |
Axis |
|
|
ifrs-full:SegmentsAxis |
| 65 |
Segments [member] |
Member |
|
|
ifrs-full:SegmentsMember |
| 66 |
Statement [Line Items] |
LineItems |
|
|
us-gaap:StatementLineItems |
| 67 |
Profit for the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLoss |
| 68 |
Other comprehensive income |
Abstract |
|
|
ifrs-full:OtherComprehensiveIncomeAbstract |
| 69 |
Post-retirement defined benefit scheme remeasurements: |
Abstract |
|
|
lyg:PostRetirementDefinedBenefitSchemeRemeasurementsAbstract |
| 70 |
Remeasurements before tax |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeBeforeTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans |
| 71 |
Tax |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxRelatingToRemeasurementsOfDefinedBenefitPlansOfOtherComprehensiveIncome |
| 72 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans |
| 73 |
Movements in revaluation reserve in respect of equity shares held at fair value through other comprehensive income: |
Abstract |
|
|
lyg:MovementsInRevaluationReserveInRespectOfEquitySharesHeldAtFairValueThroughOtherComprehensiveIncomeAbstract |
| 74 |
Change in fair value |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeNetOfTax |
| 75 |
Tax |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxRelatingToInvestmentsInEquityInstrumentsOfOtherComprehensiveIncome |
| 76 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxGainsLossesFromInvestmentsInEquityInstruments |
| 77 |
Gains and losses attributable to own credit risk: |
Abstract |
|
|
lyg:GainsAndLossesAttributableToOwnCreditRiskAbstract |
| 78 |
Gains (losses) before tax |
Concept (Monetary) |
For Period |
Credit |
lyg:GainsLossesAttributableToOwnCreditRiskBeforeTax |
| 79 |
Tax |
Concept (Monetary) |
For Period |
Debit |
lyg:TaxOnGainsLossesAttributableToOwnCreditRisk |
| 80 |
|
Concept (Monetary) |
For Period |
Credit |
lyg:GainsLossesAttributableToOwnCreditRiskAfterTax |
| 81 |
Share of other comprehensive income of associates and joint ventures |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ShareOfOtherComprehensiveIncomeOfAssociatesAndJointVenturesAccountedForUsingEquityMethod |
| 82 |
Movements in revaluation reserve in respect of debt securities held at fair value through other comprehensive income: |
Abstract |
|
|
lyg:MovementsInRevaluationReserveInRespectOfDebtSecuritiesHeldAtFairValueThroughOtherComprehensiveIncomeAbstract |
| 83 |
Change in fair value |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeBeforeTax |
| 84 |
Income statement transfers in respect of disposals |
Concept (Monetary) |
For Period |
Debit |
lyg:ReclassificationAdjustmentsOnDisposalOfFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeBeforeTax |
| 85 |
Tax |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxRelatingToFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome |
| 86 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome |
| 87 |
Movements in revaluation reserve in respect of available for sale financial assets: |
Abstract |
|
|
lyg:MovementsInRevaluationReserveInRespectOfAvailableForSaleFinancialAssetsAbstract |
| 88 |
Adjustment on transfer from held-to-maturity portfolio |
Concept (Monetary) |
For Period |
Credit |
lyg:IncreaseInRevaluationReserveForAssetsTransferredIntoAvailableForSaleAssets |
| 89 |
Change in fair value |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnRemeasuringAvailableforsaleFinancialAssetsBeforeTax |
| 90 |
Income statement transfers in respect of disposals |
Concept (Monetary) |
For Period |
Debit |
lyg:IncomeStatementTransfersInRespectOfDisposals |
| 91 |
Income statement transfers in respect of impairment |
Concept (Monetary) |
For Period |
Debit |
lyg:IncomeStatementTransfersInRespectOfImpairment |
| 92 |
Tax |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxRelatingToAvailableforsaleFinancialAssetsOfOtherComprehensiveIncome |
| 93 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxAvailableforsaleFinancialAssets |
| 94 |
Movement in cash flow hedging reserve: |
Abstract |
|
|
lyg:MovementInCashFlowHedgingReserveAbstract |
| 95 |
Effective portion of changes in fair value taken to other comprehensive income |
Concept (Monetary) |
For Period |
Credit |
lyg:EffectivePortionOfChangesInFairValueTakenToOtherComprehensiveIncome |
| 96 |
Net income statement transfers |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ReclassificationAdjustmentsOnCashFlowHedgesBeforeTax |
| 97 |
Tax |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxRelatingToCashFlowHedgesOfOtherComprehensiveIncome |
| 98 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxCashFlowHedges |
| 99 |
Currency translation differences (tax: nil) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxExchangeDifferencesOnTranslation |
| 100 |
Other comprehensive income for the year, net of tax |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncome |
| 101 |
Total comprehensive income for the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ComprehensiveIncome |
| 102 |
Total comprehensive income attributable to ordinary shareholders |
Concept (Monetary) |
For Period |
Credit |
lyg:TotalComprehensiveIncomeAttributableToOrdinaryShareholders |
| 103 |
Total comprehensive income attributable to other equity holders |
Concept (Monetary) |
For Period |
Credit |
lyg:TotalComprehensiveIncomeAttributableToOtherEquityHolders |
| 104 |
Total comprehensive income attributable to equity holders |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ComprehensiveIncomeAttributableToOwnersOfParent |
| 105 |
Total comprehensive income attributable to non-controlling interests |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ComprehensiveIncomeAttributableToNoncontrollingInterests |
| 106 |
004 - Statement - CONSOLIDATED STATEMENT OF COMPREHENSIVE INCOME (Parentheticals) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ConsolidatedComprehensiveIncome_Parentheticals |
| 107 |
Statement [Table] |
Table |
* |
* |
us-gaap:StatementTable |
| 108 |
Segments [axis] |
Axis |
|
|
ifrs-full:SegmentsAxis |
| 109 |
Segments [member] |
Member |
|
|
ifrs-full:SegmentsMember |
| 110 |
Statement [Line Items] |
LineItems |
|
|
us-gaap:StatementLineItems |
| 111 |
Currency translation differences tax |
Concept (Monetary) |
For Period |
Debit |
lyg:CurrencyTranslationDifferencesTaxes |
| 112 |
005 - Statement - CONSOLIDATED BALANCE SHEET |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ConsolidatedBalanceSheet |
| 113 |
Statement [Table] |
Table |
* |
* |
us-gaap:StatementTable |
| 114 |
Financial Statement [Axis] |
Axis |
|
|
lyg:FinancialStatementAxis |
| 115 |
FinancialStatement [Domain] |
Member |
|
|
lyg:FinancialStatementDomain |
| 116 |
Balance sheet [Member] |
Member |
|
|
lyg:BalanceSheetMember |
| 117 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 118 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 119 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 120 |
Statement [Line Items] |
LineItems |
|
|
us-gaap:StatementLineItems |
| 121 |
Assets |
Abstract |
|
|
ifrs-full:AssetsAbstract |
| 122 |
Cash and balances at central banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndBankBalancesAtCentralBanks |
| 123 |
Items in the course of collection from banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:ItemsInCourseOfCollectionFromOtherBanks |
| 124 |
Financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 125 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 126 |
Loans and advances to banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 127 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 128 |
Debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 129 |
Financial assets at amortised cost |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtAmortisedCost |
| 130 |
Financial assets at fair value through other comprehensive income |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
| 131 |
Available-for-sale financial assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAvailableforsale |
| 132 |
Goodwill |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:Goodwill |
| 133 |
Value of in-force business |
Concept (Monetary) |
As Of |
Debit |
lyg:ValueOfInforceBusiness |
| 134 |
Other intangible assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherIntangibleAssets |
| 135 |
Property, plant and equipment |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:PropertyPlantAndEquipment |
| 136 |
Current tax recoverable |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CurrentTaxAssets |
| 137 |
Deferred tax assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DeferredTaxAssets |
| 138 |
Retirement benefit assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:RecognisedAssetsDefinedBenefitPlan |
| 139 |
Other assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherAssets |
| 140 |
Total assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:Assets |
| 141 |
Liabilities |
Abstract |
|
|
ifrs-full:LiabilitiesAbstract |
| 142 |
Deposits from banks |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromBanks |
| 143 |
Customer deposits |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromCustomers |
| 144 |
Items in course of transmission to banks |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ItemsInCourseOfTransmissionToOtherBanks |
| 145 |
Financial liabilities at fair value through profit or loss |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLoss |
| 146 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DerivativeFinancialLiabilities |
| 147 |
Notes in circulation |
Concept (Monetary) |
As Of |
Credit |
lyg:NotesInCirculation |
| 148 |
Debt securities in issue |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DebtSecurities |
| 149 |
Liabilities arising from insurance contracts and participating investment contracts |
Concept (Monetary) |
As Of |
Credit |
lyg:LiabilitiesArisingFromInsuranceContractsAndParticipatingInvestmentContracts |
| 150 |
Liabilities arising from non-participating investment contracts |
Concept (Monetary) |
As Of |
Credit |
lyg:NonParticipatingInvestmentContractLiability |
| 151 |
Other liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherLiabilities |
| 152 |
Retirement benefit obligations |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:RecognisedLiabilitiesDefinedBenefitPlan |
| 153 |
Current tax liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:CurrentTaxLiabilitiesCurrent |
| 154 |
Deferred tax liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DeferredTaxLiabilities |
| 155 |
Other provisions |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherProvisions |
| 156 |
Subordinated liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:SubordinatedLiabilities |
| 157 |
Total liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Liabilities |
| 158 |
Equity |
Abstract |
|
|
ifrs-full:EquityAbstract |
| 159 |
Share capital |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:IssuedCapital |
| 160 |
Share premium account |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:SharePremium |
| 161 |
Other reserves |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherReserves |
| 162 |
Retained profits |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:RetainedEarnings |
| 163 |
Shareholders’ equity |
Concept (Monetary) |
As Of |
Credit |
lyg:EquityAttributableToOwnersOfParentExcludingOtherEquityInstruments |
| 164 |
Other equity instruments |
Concept (Monetary) |
As Of |
Credit |
lyg:OtherEquityInstruments |
| 165 |
Total equity excluding non-controlling interests |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:EquityAttributableToOwnersOfParent |
| 166 |
Non-controlling interests |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:NoncontrollingInterests |
| 167 |
Total equity |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Equity |
| 168 |
Total equity and liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:EquityAndLiabilities |
| 169 |
006 - Statement - CONSOLIDATED STATEMENT OF CHANGES IN EQUITY |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ShareholdersEquityType2or3 |
| 170 |
Statement of changes in equity [table] |
Table |
* |
* |
ifrs-full:StatementOfChangesInEquityTable |
| 171 |
Components of equity [axis] |
Axis |
|
|
ifrs-full:ComponentsOfEquityAxis |
| 172 |
Equity [member] |
Member |
|
|
ifrs-full:EquityMember |
| 173 |
Share premium [member] |
Member |
|
|
ifrs-full:SharePremiumMember |
| 174 |
Other reserves [member] |
Member |
|
|
ifrs-full:OtherReservesMember |
| 175 |
Retained earnings [member] |
Member |
|
|
ifrs-full:RetainedEarningsMember |
| 176 |
Equity attributable to owners of parent [member] |
Member |
|
|
ifrs-full:EquityAttributableToOwnersOfParentMember |
| 177 |
Other equity interest [member] |
Member |
|
|
ifrs-full:OtherEquityInterestMember |
| 178 |
Non-controlling interests [member] |
Member |
|
|
ifrs-full:NoncontrollingInterestsMember |
| 179 |
Classes of assets [axis] |
Axis |
|
|
ifrs-full:ClassesOfAssetsAxis |
| 180 |
Assets [member] |
Member |
|
|
ifrs-full:ClassesOfAssetsMember |
| 181 |
Debt securities [member] |
Member |
|
|
ifrs-full:DebtSecuritiesMember |
| 182 |
Equity shares [Member] |
Member |
|
|
lyg:EquitySharesMember |
| 183 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 184 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 185 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 186 |
Increase (decrease) due to changes in accounting policy required by IFRSs [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToChangesInAccountingPolicyRequiredByIFRSsMember |
| 187 |
Statement of changes in equity [line items] |
LineItems |
|
|
ifrs-full:StatementOfChangesInEquityLineItems |
| 188 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Equity |
| 189 |
Comprehensive income |
Abstract |
|
|
ifrs-full:ComprehensiveIncomeAbstract |
| 190 |
Profit for the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLoss |
| 191 |
Post-retirement defined benefit scheme remeasurements, net of tax |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans |
| 192 |
Movements in revaluation reserve in respect of available-for-sale financial assets, net of tax |
Concept (Monetary) |
For Period |
Credit |
lyg:IncreaseInRevaluationReserveForAssetsTransferredIntoAvailableForSaleAssets |
| 193 |
Share of other comprehensive income of associates and joint ventures |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ShareOfOtherComprehensiveIncomeOfAssociatesAndJointVenturesAccountedForUsingEquityMethod |
| 194 |
Movements in revaluation reserve in respect of available-for-sale financial assets, net of tax |
Concept (Monetary) |
For Period |
Credit |
lyg:MovementsInRevaluationReserveInRespectOfFinancialAssetsHeldAtFairValueThroughOtherComprehensiveIncomeNetOfTax |
| 195 |
Gains and losses attributable to own credit risk, net of tax |
Concept (Monetary) |
For Period |
Credit |
lyg:GainsLossesAttributableToOwnCreditRiskAfterTax |
| 196 |
Movements in cash flow hedging reserve, net of tax |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxCashFlowHedges |
| 197 |
Currency translation differences (tax: Łnil) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxExchangeDifferencesOnTranslation |
| 198 |
Total other comprehensive income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncome |
| 199 |
Total comprehensive income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ComprehensiveIncome |
| 200 |
Transactions with owners |
Abstract |
|
|
lyg:TransactionsWithOwnersAbstract |
| 201 |
Dividends |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DividendsPaid |
| 202 |
Distributions on other equity instruments, net of tax |
Concept (Monetary) |
For Period |
Debit |
lyg:CouponPaidToOtherEquityHoldersNetOfTax |
| 203 |
Redemption of preference shares |
Concept (Monetary) |
For Period |
|
lyg:RedemptionOfPreferenceShares |
| 204 |
Issue of ordinary shares |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IssueOfEquity |
| 205 |
Share buy-back |
Concept (Monetary) |
For Period |
Credit |
lyg:ShareBuyback |
| 206 |
Issue of other equity instruments (note 43) |
Concept (Monetary) |
For Period |
Credit |
lyg:IssueOfOtherEquityInstruments |
| 207 |
Movement in treasury shares |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughTreasuryShareTransactions |
| 208 |
Value of employee services: |
Abstract |
|
|
lyg:ValueOfEmployeeServicesAbstract |
| 209 |
Share option schemes |
Concept (Monetary) |
For Period |
Credit |
lyg:AdjustmentsForShareOptionAwards |
| 210 |
Other employee award schemes |
Concept (Monetary) |
For Period |
Credit |
lyg:AdjustmentsForShareBasedAwardsExcludingOptions |
| 211 |
Changes in non-controlling interests |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughChangesInOwnershipInterestsInSubsidiariesThatDoNotResultInLossOfControlEquityAttributableToOwnersOfParent |
| 212 |
Total transactions with owners |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughTransactionsWithOwners |
| 213 |
Realised gains and losses on equity shares held at fair value through other comprehensive income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeNetOfTax |
| 214 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Equity |
| 215 |
007 - Statement - CONSOLIDATED STATEMENT OF CHANGES IN EQUITY (Parentheticals) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ShareholdersEquityType2or3_Parentheticals |
| 216 |
Statement of changes in equity [table] |
Table |
* |
* |
ifrs-full:StatementOfChangesInEquityTable |
| 217 |
Components of equity [axis] |
Axis |
|
|
ifrs-full:ComponentsOfEquityAxis |
| 218 |
Equity [member] |
Member |
|
|
ifrs-full:EquityMember |
| 219 |
Equity attributable to owners of parent [member] |
Member |
|
|
ifrs-full:EquityAttributableToOwnersOfParentMember |
| 220 |
Statement of changes in equity [line items] |
LineItems |
|
|
ifrs-full:StatementOfChangesInEquityLineItems |
| 221 |
Currency translation differences tax |
Concept (Monetary) |
For Period |
Debit |
lyg:CurrencyTranslationDifferencesTaxes |
| 222 |
008 - Statement - CONSOLIDATED CASH FLOW STATEMENT |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ConsolidatedCashFlow |
| 223 |
Statement [Table] |
Table |
* |
* |
us-gaap:StatementTable |
| 224 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 225 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 226 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 227 |
Increase (decrease) due to changes in accounting policy required by IFRSs [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToChangesInAccountingPolicyRequiredByIFRSsMember |
| 228 |
Statement [Line Items] |
LineItems |
|
|
us-gaap:StatementLineItems |
| 229 |
Profit before tax |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossBeforeTax |
| 230 |
Adjustments for: |
Abstract |
|
|
lyg:AdjustmentsForAbstract |
| 231 |
Change in operating assets |
Concept (Monetary) |
For Period |
Debit |
lyg:AdjustmentsForDecreaseIncreaseInOperatingAssets |
| 232 |
Change in operating liabilities |
Concept (Monetary) |
For Period |
Debit |
lyg:AdjustmentsForDecreaseIncreaseInOperatingLiabilities |
| 233 |
Non-cash and other items |
Concept (Monetary) |
For Period |
Debit |
lyg:AdjustmentsForNoncashAndOtherItems |
| 234 |
Tax paid |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncomeTaxesPaidRefundClassifiedAsOperatingActivities |
| 235 |
Net cash (used in) provided by operating activities |
Concept (Monetary) |
For Period |
|
ifrs-full:CashFlowsFromUsedInOperatingActivities |
| 236 |
Cash flows from investing activities |
Abstract |
|
|
lyg:CashFlowsFromInvestingActivitiesAbstract |
| 237 |
Purchase of financial assets |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:PurchaseOfFinancialInstrumentsClassifiedAsInvestingActivities |
| 238 |
Proceeds from sale and maturity of financial assets |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProceedsFromSalesOrMaturityOfFinancialInstrumentsClassifiedAsInvestingActivities |
| 239 |
Purchase of fixed assets |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:PurchaseOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities |
| 240 |
Proceeds from sale of fixed assets |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProceedsFromSalesOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities |
| 241 |
Acquisition of businesses, net of cash acquired |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:CashFlowsUsedInObtainingControlOfSubsidiariesOrOtherBusinessesClassifiedAsInvestingActivities |
| 242 |
Disposal of businesses, net of cash disposed |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CashFlowsFromLosingControlOfSubsidiariesOrOtherBusinessesClassifiedAsInvestingActivities |
| 243 |
Net cash provided by (used in) investing activities |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CashFlowsFromUsedInInvestingActivities |
| 244 |
Cash flows from financing activities |
Abstract |
|
|
lyg:CashFlowsFromFinancingActivitiesAbstract |
| 245 |
Dividends paid to ordinary shareholders |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:DividendsPaidToEquityHoldersOfParentClassifiedAsFinancingActivities |
| 246 |
Distributions on other equity instruments |
Concept (Monetary) |
For Period |
Credit |
lyg:DistributionsOnOtherEquityInstruments |
| 247 |
Dividends paid to non-controlling interests |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:DividendsPaidToNoncontrollingInterestsClassifiedAsFinancingActivities |
| 248 |
Interest paid on subordinated liabilities |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestPaidClassifiedAsFinancingActivities |
| 249 |
Proceeds from issue of subordinated liabilities |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProceedsFromIssueOfSubordinatedLiabilities |
| 250 |
Proceeds from issue of other equity instruments |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProceedsFromIssuingOtherEquityInstruments |
| 251 |
Proceeds from issue of ordinary shares |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProceedsFromIssueOfOrdinaryShares |
| 252 |
Share buyback |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:CancellationOfTreasuryShares |
| 253 |
Repayment of subordinated liabilities |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RepaymentsOfSubordinatedLiabilities |
| 254 |
Changes in non-controlling interests |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProceedsFromContributionsOfNoncontrollingInterests |
| 255 |
Net cash used in financing activities |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CashFlowsFromUsedInFinancingActivities |
| 256 |
Effects of exchange rate changes on cash and cash equivalents |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:EffectOfExchangeRateChangesOnCashAndCashEquivalents |
| 257 |
Change in cash and cash equivalents |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseInCashAndCashEquivalents |
| 258 |
Cash and cash equivalents at beginning of year |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndCashEquivalents |
| 259 |
Cash and cash equivalents at end of year |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndCashEquivalents |
| 260 |
009 - Disclosure - BASIS OF PREPARATION |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/BASISOFPREPARATION |
| 261 |
Implied Table |
Table |
* |
* |
implied:Table |
| 262 |
Disclosure of basis of preparation of financial statements [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfBasisOfPreparationOfFinancialStatementsTextBlockAbstract |
| 263 |
Disclosure of basis of preparation of financial statements [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfBasisOfPreparationOfFinancialStatementsExplanatory |
| 264 |
010 - Disclosure - ACCOUNTING POLICIES |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ACCOUNTINGPOLICIES |
| 265 |
Implied Table |
Table |
* |
* |
implied:Table |
| 266 |
Disclosure of significant accounting policies [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfSignificantAccountingPoliciesTextBlockAbstract |
| 267 |
Disclosure of significant accounting policies [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfSummaryOfSignificantAccountingPoliciesExplanatory |
| 268 |
011 - Disclosure - CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CRITICALACCOUNTINGJUDGEMENTSANDESTIMATES |
| 269 |
Implied Table |
Table |
* |
* |
implied:Table |
| 270 |
Disclosure of accounting judgements and estimates [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfAccountingJudgementsAndEstimatesTextBlockAbstract |
| 271 |
Disclosure of accounting judgements and estimates [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfAccountingJudgementsAndEstimatesExplanatory |
| 272 |
012 - Disclosure - SEGMENTAL ANALYSIS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SEGMENTALANALYSIS |
| 273 |
Implied Table |
Table |
* |
* |
implied:Table |
| 274 |
Disclosure of entity's operating segments [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfEntitysOperatingSegmentsTextBlockAbstract |
| 275 |
Disclosure of entity's operating segments [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfEntitysReportableSegmentsExplanatory |
| 276 |
013 - Disclosure - NET INTEREST INCOME |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/NETINTERESTINCOME |
| 277 |
Implied Table |
Table |
* |
* |
implied:Table |
| 278 |
Disclosure of interest income (expense) [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfInterestIncomeExpenseTextBlockAbstract |
| 279 |
Disclosure of interest income (expense) [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfInterestIncomeExpenseExplanatory |
| 280 |
014 - Disclosure - NET FEE AND COMMISSION INCOME |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/NETFEEANDCOMMISSIONINCOME |
| 281 |
Implied Table |
Table |
* |
* |
implied:Table |
| 282 |
Disclosure of fee and commission income (expense) [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfFeeAndCommissionIncomeExpenseTextBlockAbstract |
| 283 |
Disclosure of fee and commission income (expense) [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfFeeAndCommissionIncomeExpenseExplanatory |
| 284 |
015 - Disclosure - NET TRADING INCOME |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/NETTRADINGINCOME |
| 285 |
Implied Table |
Table |
* |
* |
implied:Table |
| 286 |
Disclosure of trading income (expense) [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfTradingIncomeExpenseTextBlockAbstract |
| 287 |
Disclosure of trading income (expense) [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfTradingIncomeExpenseExplanatory |
| 288 |
016 - Disclosure - INSURANCE PREMIUM INCOME |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/INSURANCEPREMIUMINCOME |
| 289 |
Implied Table |
Table |
* |
* |
implied:Table |
| 290 |
Disclosure of insurance premium revenue [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfInsurancePremiumRevenueTextBlockAbstract |
| 291 |
Disclosure of insurance premium revenue [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfInsurancePremiumRevenueExplanatory |
| 292 |
017 - Disclosure - OTHER OPERATING INCOME |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHEROPERATINGINCOME |
| 293 |
Implied Table |
Table |
* |
* |
implied:Table |
| 294 |
Disclosure of other operating income (expense) [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfOtherOperatingIncomeExpenseTextBlockAbstract |
| 295 |
Disclosure of other operating income (expense) [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfOtherOperatingIncomeExpenseExplanatory |
| 296 |
018 - Disclosure - INSURANCE CLAIMS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/INSURANCECLAIMS |
| 297 |
Implied Table |
Table |
* |
* |
implied:Table |
| 298 |
Disclosure of claims and benefits paid [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfClaimsAndBenefitsPaidTextBlockAbstract |
| 299 |
Disclosure of claims and benefits paid [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfClaimsAndBenefitsPaidExplanatory |
| 300 |
019 - Disclosure - OPERATING EXPENSES |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OPERATINGEXPENSES |
| 301 |
Implied Table |
Table |
* |
* |
implied:Table |
| 302 |
Disclosure of expenses [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfExpensesTextBlockAbstract |
| 303 |
Disclosure of expenses [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfExpensesExplanatory |
| 304 |
020 - Disclosure - AUDITORS' REMUNERATION |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/AUDITORSREMUNERATION |
| 305 |
Implied Table |
Table |
* |
* |
implied:Table |
| 306 |
Disclosure of auditors' remuneration [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfAuditorsRemunerationTextBlockAbstract |
| 307 |
Disclosure of auditors' remuneration [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfAuditorsRemunerationExplanatory |
| 308 |
021 - Disclosure - IMPAIRMENT |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/IMPAIRMENT |
| 309 |
Implied Table |
Table |
* |
* |
implied:Table |
| 310 |
Disclosure of impairment loss and reversal of impairment loss [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfImpairmentLossAndReversalOfImpairmentLossTextBlockAbstract |
| 311 |
Disclosure of impairment loss and reversal of impairment loss [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfImpairmentLossAndReversalOfImpairmentLossExplanatory |
| 312 |
022 - Disclosure - TAXATION |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/TAXATION |
| 313 |
Implied Table |
Table |
* |
* |
implied:Table |
| 314 |
Disclosure of income tax [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfIncomeTaxTextBlockAbstract |
| 315 |
Disclosure of income tax [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfIncomeTaxExplanatory |
| 316 |
023 - Disclosure - EARNINGS PER SHARE |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/EARNINGSPERSHARE |
| 317 |
Implied Table |
Table |
* |
* |
implied:Table |
| 318 |
Disclosure of earnings per share [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfEarningsPerShareTextBlockAbstract |
| 319 |
Disclosure of earnings per share [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfEarningsPerShareExplanatory |
| 320 |
024 - Disclosure - FINANCIAL ASSETS AT FAIR VALUE THROUGH PROFIT OR LOSS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALASSETSATFAIRVALUETHROUGHPROFITORLOSS |
| 321 |
FINANCIAL ASSETS AT FAIR VALUE THROUGH PROFIT OR LOSS [Table] |
Table |
* |
* |
lyg:FINANCIALASSETSATFAIRVALUETHROUGHPROFITORLOSSTable |
| 322 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 323 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 324 |
Financial assets at fair value through profit or loss, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossCategoryMember |
| 325 |
FINANCIAL ASSETS AT FAIR VALUE THROUGH PROFIT OR LOSS [Line Items] |
LineItems |
|
|
lyg:FINANCIALASSETSATFAIRVALUETHROUGHPROFITORLOSSLineItems |
| 326 |
Disclosure Of Trading And Other Financial Assets At Fair Value Through Profit Or Loss [Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfTradingAndOtherFinancialAssetsAtFairValueThroughProfitOrLoss |
| 327 |
025 - Disclosure - DERIVATIVE FINANCIAL INSTRUMENTS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DERIVATIVEFINANCIALINSTRUMENTS |
| 328 |
Implied Table |
Table |
* |
* |
implied:Table |
| 329 |
Disclosure of derivative financial instruments [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfDerivativeFinancialInstrumentsTextBlockAbstract |
| 330 |
Disclosure of derivative financial instruments [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfDerivativeFinancialInstrumentsExplanatory |
| 331 |
026 - Disclosure - FINANCIAL ASSETS AT AMORTISED COST |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALASSETSATAMORTISEDCOST |
| 332 |
Implied Table |
Table |
* |
* |
implied:Table |
| 333 |
Disclosure Of Financial Assets At Amortised Cost Explanatory [Abstract] |
Abstract |
|
|
lyg:DisclosureOfFinancialAssetsAtAmortisedCostExplanatoryAbstract |
| 334 |
Disclosure of Financial Assets at Amortised Cost Explanatory [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfFinancialAssetsAtAmortisedCostExplanatory |
| 335 |
027 - Disclosure - FINANCE LEASE RECEIVABLES |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCELEASERECEIVABLES |
| 336 |
Implied Table |
Table |
* |
* |
implied:Table |
| 337 |
Disclosure of maturity analysis of finance lease payments receivable [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfMaturityAnalysisOfFinanceLeasePaymentsReceivableTextBlockAbstract |
| 338 |
Disclosure of maturity analysis of finance lease payments receivable [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfMaturityAnalysisOfFinanceLeasePaymentsReceivableExplanatory |
| 339 |
028 - Disclosure - ALLOWANCE FOR IMPAIRMENT LOSSES |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ALLOWANCEFORIMPAIRMENTLOSSES |
| 340 |
Implied Table |
Table |
* |
* |
implied:Table |
| 341 |
Disclosure of allowance for credit losses [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfAllowanceForCreditLossesTextBlockAbstract |
| 342 |
Disclosure of allowance for credit losses [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfAllowanceForCreditLossesExplanatory |
| 343 |
029 - Disclosure - FINANCIAL ASSETS AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALASSETSATFAIRVALUETHROUGHOTHERCOMPREHENSIVEINCOME |
| 344 |
Implied Table |
Table |
* |
* |
implied:Table |
| 345 |
Disclosure Of Fair Value Of Each Investment Designated As Measured At Fair Value Through Other Comprehensive Income Explantory [Abstract] |
Abstract |
|
|
lyg:DisclosureOfFairValueOfEachInvestmentDesignatedAsMeasuredAtFairValueThroughOtherComprehensiveIncomeExplantoryAbstract |
| 346 |
Disclosure of fair value of each investment designated as measured at fair value through other comprehensive income [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfFairValueOfEachInvestmentDesignatedAsMeasuredAtFairValueThroughOtherComprehensiveIncomeExplantory |
| 347 |
030 - Disclosure - AVAILABLE-FOR-SALE FINANCIAL ASSETS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/AVAILABLEFORSALEFINANCIALASSETS |
| 348 |
Implied Table |
Table |
* |
* |
implied:Table |
| 349 |
Disclosure of available-for-sale financial assets [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfAvailableForSaleFinancialAssetsTextBlockAbstract |
| 350 |
Disclosure of available-for-sale financial assets [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfAvailableforsaleAssetsExplanatory |
| 351 |
031 - Disclosure - GOODWILL |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/GOODWILL |
| 352 |
Implied Table |
Table |
* |
* |
implied:Table |
| 353 |
Disclosure of goodwill [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfGoodwillTextBlockAbstract |
| 354 |
Disclosure of goodwill [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfGoodwillExplanatory |
| 355 |
032 - Disclosure - VALUE OF IN-FORCE BUSINESS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/VALUEOFINFORCEBUSINESS |
| 356 |
Implied Table |
Table |
* |
* |
implied:Table |
| 357 |
Disclosure of value of in-force business [Abstract] |
Abstract |
|
|
lyg:DisclosureOfValueOfInForceBusinessAbstract |
| 358 |
Disclosure of value of in-force business [Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfValueOfInForceBusinessTextBlock |
| 359 |
033 - Disclosure - OTHER INTANGIBLE ASSETS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHERINTANGIBLEASSETS |
| 360 |
Implied Table |
Table |
* |
* |
implied:Table |
| 361 |
Disclosure of intangible assets [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfIntangibleAssetsTextBlockAbstract |
| 362 |
Disclosure of intangible assets [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfIntangibleAssetsExplanatory |
| 363 |
034 - Disclosure - PROPERTY, PLANT AND EQUIPMENT |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/PROPERTYPLANTANDEQUIPMENT |
| 364 |
Implied Table |
Table |
* |
* |
implied:Table |
| 365 |
Disclosure of property, plant and equipment [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfPropertyPlantAndEquipmentTextBlockAbstract |
| 366 |
Disclosure of property, plant and equipment [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfPropertyPlantAndEquipmentExplanatory |
| 367 |
035 - Disclosure - OTHER ASSETS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHERASSETS |
| 368 |
Implied Table |
Table |
* |
* |
implied:Table |
| 369 |
Disclosure of other assets [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfOtherAssetsTextBlockAbstract |
| 370 |
Disclosure of other assets [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfOtherAssetsExplanatory |
| 371 |
036 - Disclosure - FINANCIAL LIABILITIES AT FAIR VALUE THROUGH PROFIT OR LOSS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALLIABILITIESATFAIRVALUETHROUGHPROFITORLOSS |
| 372 |
Implied Table |
Table |
* |
* |
implied:Table |
| 373 |
Disclosure Of Trading And Other Financial Liabilities At Fair Value Through Profit Or Loss [Abstract] |
Abstract |
|
|
lyg:DisclosureOfTradingAndOtherFinancialLiabilitiesAtFairValueThroughProfitOrLossAbstract |
| 374 |
Disclosure Of Trading And Other Financial Liabilities At Fair Value Through Profit Or Loss [Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfTradingAndOtherFinancialLiabilitiesAtFairValueThroughProfitOrLoss |
| 375 |
037 - Disclosure - DEBT SECURITIES IN ISSUE |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DEBTSECURITIESINISSUE |
| 376 |
Implied Table |
Table |
* |
* |
implied:Table |
| 377 |
Disclosure of debt instruments [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfDebtInstrumentsTextBlockAbstract |
| 378 |
Disclosure of debt instruments [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfDebtSecuritiesExplanatory |
| 379 |
038 - Disclosure - SECURITISATIONS AND COVERED BONDS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SECURITISATIONSANDCOVEREDBONDS |
| 380 |
Implied Table |
Table |
* |
* |
implied:Table |
| 381 |
Disclosure Of Securitisations Programmes And Transactions [Abstract] |
Abstract |
|
|
lyg:DisclosureOfSecuritisationsProgrammesAndTransactionsAbstract |
| 382 |
Disclosure Of Securitisations Programmes And Transactions [Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfSecuritisationsProgrammesAndTransactionsTextBlock |
| 383 |
039 - Disclosure - LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTS |
| 384 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS [Table] |
Table |
* |
* |
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSTable |
| 385 |
Types of financial liabilities [axis] |
Axis |
|
|
ifrs-full:TypesOfFinancialLiabilitiesAxis |
| 386 |
Financial liabilities, type [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesTypeMember |
| 387 |
Participating investment contracts [Member] |
Member |
|
|
lyg:ParticipatingInvestmentContractsMember |
| 388 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS [Line Items] |
LineItems |
|
|
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSLineItems |
| 389 |
Disclosure of amounts arising from insurance contracts [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfAmountsArisingFromInsuranceContractsExplanatory |
| 390 |
040 - Disclosure - LIFE INSURANCE SENSITIVITY ANALYSIS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/LIFEINSURANCESENSITIVITYANALYSIS |
| 391 |
Implied Table |
Table |
* |
* |
implied:Table |
| 392 |
Disclosure of information about defined benefit plans [abstract] |
Abstract |
|
|
ifrs-full:DisclosureOfInformationAboutDefinedBenefitPlansAbstract |
| 393 |
Disclosure of sensitivity analysis for actuarial assumptions [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfSensitivityAnalysisForActuarialAssumptionsExplanatory |
| 394 |
041 - Disclosure - LIABILITIES ARISING FROM NON-PARTICIPATING INVESTMENT CONTRACTS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/LIABILITIESARISINGFROMNONPARTICIPATINGINVESTMENTCONTRACTS |
| 395 |
LIABILITIES ARISING FROM NON-PARTICIPATING INVESTMENT CONTRACTS [Table] |
Table |
* |
* |
lyg:LIABILITIESARISINGFROMNONPARTICIPATINGINVESTMENTCONTRACTSTable |
| 396 |
Types of financial liabilities [axis] |
Axis |
|
|
ifrs-full:TypesOfFinancialLiabilitiesAxis |
| 397 |
Financial liabilities, type [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesTypeMember |
| 398 |
Non-participating investment contracts [Member] |
Member |
|
|
lyg:NonparticipatingInvestmentContractsMember |
| 399 |
LIABILITIES ARISING FROM NON-PARTICIPATING INVESTMENT CONTRACTS [Line Items] |
LineItems |
|
|
lyg:LIABILITIESARISINGFROMNONPARTICIPATINGINVESTMENTCONTRACTSLineItems |
| 400 |
Disclosure of investment contracts liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfInvestmentContractsLiabilitiesExplanatory |
| 401 |
042 - Disclosure - OTHER LIABILITIES |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHERLIABILITIES |
| 402 |
Implied Table |
Table |
* |
* |
implied:Table |
| 403 |
Disclosure of other liabilities [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfOtherLiabilitiesTextBlockAbstract |
| 404 |
Disclosure of other liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfOtherLiabilitiesExplanatory |
| 405 |
043 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/RETIREMENTBENEFITOBLIGATIONS |
| 406 |
Implied Table |
Table |
* |
* |
implied:Table |
| 407 |
Disclosure of employee benefits [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfEmployeeBenefitsTextBlockAbstract |
| 408 |
Disclosure of employee benefits [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfEmployeeBenefitsExplanatory |
| 409 |
044 - Disclosure - DEFERRED TAX |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DEFERREDTAX |
| 410 |
Implied Table |
Table |
* |
* |
implied:Table |
| 411 |
Disclosure of deferred taxes [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfDeferredTaxesTextBlockAbstract |
| 412 |
Disclosure of deferred taxes [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfDeferredTaxesExplanatory |
| 413 |
045 - Disclosure - OTHER PROVISIONS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHERPROVISIONS |
| 414 |
Implied Table |
Table |
* |
* |
implied:Table |
| 415 |
Disclosure of other provisions [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfOtherProvisionsTextBlockAbstract |
| 416 |
Disclosure of other provisions [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfOtherProvisionsExplanatory |
| 417 |
046 - Disclosure - SUBORDINATED LIABILITIES |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SUBORDINATEDLIABILITIES |
| 418 |
Implied Table |
Table |
* |
* |
implied:Table |
| 419 |
Disclosure of subordinated liabilities [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfSubordinatedLiabilitiesTextBlockAbstract |
| 420 |
Disclosure of subordinated liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfSubordinatedLiabilitiesExplanatory |
| 421 |
047 - Disclosure - SHARE CAPITAL |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SHARECAPITAL |
| 422 |
Implied Table |
Table |
* |
* |
implied:Table |
| 423 |
Disclosure of issued capital [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfIssuedCapitalTextBlockAbstract |
| 424 |
Disclosure of issued capital [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfIssuedCapitalExplanatory |
| 425 |
048 - Disclosure - SHARE PREMIUM ACCOUNT |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SHAREPREMIUMACCOUNT |
| 426 |
Implied Table |
Table |
* |
* |
implied:Table |
| 427 |
Disclosure For Share Premium Account Explanatory [Abstract] |
Abstract |
|
|
lyg:DisclosureForSharePremiumAccountExplanatoryAbstract |
| 428 |
Disclosure for share premium account [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureForSharePremiumAccountExplanatoryTextBlock |
| 429 |
049 - Disclosure - OTHER RESERVES |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHERRESERVES |
| 430 |
Implied Table |
Table |
* |
* |
implied:Table |
| 431 |
Disclosure of reserves within equity [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfReservesWithinEquityTextBlockAbstract |
| 432 |
Disclosure of reserves within equity [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfReservesAndOtherEquityInterestExplanatory |
| 433 |
050 - Disclosure - RETAINED PROFITS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/RETAINEDPROFITS |
| 434 |
Implied Table |
Table |
* |
* |
implied:Table |
| 435 |
Disclosure of Retained Profits [Abstract] |
Abstract |
|
|
lyg:DisclosureOfRetainedProfitsAbstract |
| 436 |
Disclosure of Retained Profits [Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfRetainedProfitsTextBlock |
| 437 |
051 - Disclosure - OTHER EQUITY INSTRUMENTS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHEREQUITYINSTRUMENTS |
| 438 |
Implied Table |
Table |
* |
* |
implied:Table |
| 439 |
Disclosure Of Other Equity Instruments Explanatory [Abstract] |
Abstract |
|
|
lyg:DisclosureOfOtherEquityInstrumentsExplanatoryAbstract |
| 440 |
Disclosure of Other Equity Instruments [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfOtherEquityInstrumentsExplanatory |
| 441 |
052 - Disclosure - DIVIDENDS ON ORDINARY SHARES |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DIVIDENDSONORDINARYSHARES |
| 442 |
Implied Table |
Table |
* |
* |
implied:Table |
| 443 |
Disclosure of dividends [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfDividendsTextBlockAbstract |
| 444 |
Disclosure of dividends [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfDividendsExplanatory |
| 445 |
053 - Disclosure - SHARE-BASED PAYMENTS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SHAREBASEDPAYMENTS |
| 446 |
Implied Table |
Table |
* |
* |
implied:Table |
| 447 |
Disclosure of share-based payment arrangements [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfShareBasedPaymentArrangementsTextBlockAbstract |
| 448 |
Disclosure of share-based payment arrangements [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfSharebasedPaymentArrangementsExplanatory |
| 449 |
054 - Disclosure - RELATED PARTY TRANSACTIONS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/RELATEDPARTYTRANSACTIONS |
| 450 |
Implied Table |
Table |
* |
* |
implied:Table |
| 451 |
Disclosure of related party [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfRelatedPartyTextBlockAbstract |
| 452 |
Disclosure of related party [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfRelatedPartyExplanatory |
| 453 |
055 - Disclosure - CONTINGENT LIABILITIES AND COMMITMENTS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CONTINGENTLIABILITIESANDCOMMITMENTS |
| 454 |
Implied Table |
Table |
* |
* |
implied:Table |
| 455 |
Disclosure of commitments and contingent liabilities [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfCommitmentsAndContingentLiabilitiesTextBlockAbstract |
| 456 |
Disclosure of commitments and contingent liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfCommitmentsAndContingentLiabilitiesExplanatory |
| 457 |
056 - Disclosure - STRUCTURED ENTITIES |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/STRUCTUREDENTITIES |
| 458 |
Implied Table |
Table |
* |
* |
implied:Table |
| 459 |
Disclosure of unconsolidated structured entities [line items] |
LineItems |
|
|
ifrs-full:DisclosureOfUnconsolidatedStructuredEntitiesLineItems |
| 460 |
Disclosure of information about interests in structured entity [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfInformationAboutInterestsInStructuredEntityExplanatory |
| 461 |
057 - Disclosure - FINANCIAL INSTRUMENTS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALINSTRUMENTS |
| 462 |
Implied Table |
Table |
* |
* |
implied:Table |
| 463 |
Disclosure of financial instruments [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfFinancialInstrumentsTextBlockAbstract |
| 464 |
Disclosure of financial instruments [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfFinancialInstrumentsExplanatory |
| 465 |
058 - Disclosure - TRANSFERS OF FINANCIAL ASSETS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/TRANSFERSOFFINANCIALASSETS |
| 466 |
Implied Table |
Table |
* |
* |
implied:Table |
| 467 |
Disclosure of transferred financial assets that are not derecognised in their entirety [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfTransferredFinancialAssetsThatAreNotDerecognisedInTheirEntiretyTextBlockAbstract |
| 468 |
Disclosure of transferred financial assets that are not derecognised in their entirety [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfFinancialAssetsTransferredDuringPeriodWhichDoNotQualifyForDerecognitionExplanatory |
| 469 |
059 - Disclosure - OFFSETTING OF FINANCIAL ASSETS AND LIABILITIES |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OFFSETTINGOFFINANCIALASSETSANDLIABILITIES |
| 470 |
Implied Table |
Table |
* |
* |
implied:Table |
| 471 |
Disclosure of offsetting of financial assets and financial liabilities [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfOffsettingOfFinancialAssetsAndFinancialLiabilitiesTextBlockAbstract |
| 472 |
Disclosure of offsetting of financial assets and financial liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfOffsettingOfFinancialAssetsAndFinancialLiabilitiesExplanatory |
| 473 |
060 - Disclosure - FINANCIAL RISK MANAGEMENT |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALRISKMANAGEMENT |
| 474 |
Implied Table |
Table |
* |
* |
implied:Table |
| 475 |
Disclosure of financial risk management [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfFinancialRiskManagementTextBlockAbstract |
| 476 |
Disclosure of financial risk management [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfFinancialRiskManagementExplanatory |
| 477 |
061 - Disclosure - CONSOLIDATED CASH FLOW STATEMENT |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CONSOLIDATEDCASHFLOWSTATEMENT |
| 478 |
Implied Table |
Table |
* |
* |
implied:Table |
| 479 |
Disclosure of cash flow statement [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfCashFlowStatementTextBlockAbstract |
| 480 |
Disclosure of cash flow statement [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfCashFlowStatementExplanatory |
| 481 |
062 - Disclosure - ADOPTION OF IFRS 9 AND IFRS 15 |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ADOPTIONOFIFRS9ANDIFRS15 |
| 482 |
Implied Table |
Table |
* |
* |
implied:Table |
| 483 |
Disclosure of initial application of standards or interpretations [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfInitialApplicationOfStandardsOrInterpretationsTextBlockAbstract |
| 484 |
Disclosure of initial application of standards or interpretations [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfInitialApplicationOfStandardsOrInterpretations |
| 485 |
063 - Disclosure - FUTURE ACCOUNTING DEVELOPMENTS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FUTUREACCOUNTINGDEVELOPMENTS |
| 486 |
Implied Table |
Table |
* |
* |
implied:Table |
| 487 |
Disclosure of expected impact of initial application of new standards or interpretations [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfExpectedImpactOfInitialApplicationOfNewStandardsOrInterpretationsTextBlockAbstract |
| 488 |
Disclosure of expected impact of initial application of new standards or interpretations [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfExpectedImpactOfInitialApplicationOfNewStandardsOrInterpretations |
| 489 |
064 - Disclosure - PARENT COMPANY DISCLOSURES |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/PARENTCOMPANYDISCLOSURES |
| 490 |
Implied Table |
Table |
* |
* |
implied:Table |
| 491 |
Disclosure Of Parent Company Financial Statements Explanatory [Abstract] |
Abstract |
|
|
lyg:DisclosureOfParentCompanyFinancialStatementsExplanatoryAbstract |
| 492 |
Disclosure of parent company financial statements [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfParentCompanyFinancialStatementsExplanatory |
| 493 |
065 - Disclosure - CONDENSED CONSOLIDATING FINANCIAL INFORMATION |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CONDENSEDCONSOLIDATINGFINANCIALINFORMATION |
| 494 |
Implied Table |
Table |
* |
* |
implied:Table |
| 495 |
Disclosure of Condensed Consolidating Financial Information [Abstract] |
Abstract |
|
|
lyg:DisclosureOfCondensedConsolidatingFinancialInformationAbstract |
| 496 |
Disclosure of Condensed Consolidating Financial Information [Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfCondensedConsolidatingFinancialInformationTextBlock |
| 497 |
066 - Disclosure - Accounting Policies, by Policy (Policies) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/AccountingPoliciesByPolicy |
| 498 |
Implied Table |
Table |
* |
* |
implied:Table |
| 499 |
Accounting Policies [Abstract] |
Abstract |
|
|
us-gaap:AccountingPoliciesAbstract |
| 500 |
Description of accounting policy for consolidation [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DescriptionOfAccountingPolicyForConsolidationExplanatory |
| 501 |
Description of accounting policy for goodwill [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyForGoodwillExplanatory |
| 502 |
Description of accounting policy for intangible assets other than goodwill [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyForIntangibleAssetsOtherThanGoodwillExplanatory |
| 503 |
Description of accounting policy for recognition of revenue [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyForRecognitionOfRevenue |
| 504 |
Description of accounting policy for financial assets and liabilities policy [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DescriptionOfAccountingPolicyForFinancialAssetsAndLiabilitiesPolicyTextBlock |
| 505 |
Description of accounting policy for derivative financial instruments and hedging [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyForDerivativeFinancialInstrumentsAndHedgingExplanatory |
| 506 |
Description of accounting policy for offsetting of financial instruments [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyForOffsettingOfFinancialInstrumentsExplanatory |
| 507 |
Description of accounting policy for impairment of financial assets [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyForImpairmentOfFinancialAssetsExplanatory |
| 508 |
Description of accounting policy for property, plant and equipment [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyForPropertyPlantAndEquipmentExplanatory |
| 509 |
Description of accounting policy for leases [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyForLeasesExplanatory |
| 510 |
Description of accounting policy for employee benefits [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyForEmployeeBenefitsExplanatory |
| 511 |
Description of accounting policy for income tax [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyForIncomeTaxExplanatory |
| 512 |
Description of accounting policy for insurance contracts and related assets, liabilities, income and expense [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyForInsuranceContracts |
| 513 |
Description of accounting policy for foreign currency translation [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyForForeignCurrencyTranslationExplanatory |
| 514 |
Description of accounting policy for provisions [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyForProvisionsExplanatory |
| 515 |
Description of accounting policy for issued capital [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyForIssuedCapitalExplanatory |
| 516 |
Description of accounting policy for determining components of cash and cash equivalents [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfAccountingPolicyToDetermineComponentsOfCashAndCashEquivalents |
| 517 |
067 - Disclosure - CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESTables |
| 518 |
CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Tables) [Table] |
Table |
* |
* |
lyg:CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESTablesTable |
| 519 |
Method of assessment of expected credit losses [axis] |
Axis |
|
|
ifrs-full:MethodOfAssessmentOfExpectedCreditLossesAxis |
| 520 |
Method of assessment of expected credit losses [member] |
Member |
|
|
ifrs-full:MethodOfAssessmentOfExpectedCreditLossesMember |
| 521 |
Economic Assumptions [Member] |
Member |
|
|
lyg:EconomicAssumptionsMember |
| 522 |
Economic Scenarios [Member] |
Member |
|
|
lyg:EconomicScenariosMember |
| 523 |
Increase (Decrease) in House Price Index [Member] |
Member |
|
|
lyg:IncreaseDecreaseInHousePriceIndexMember |
| 524 |
Increase (Decrease) in Unemployment [Member] |
Member |
|
|
lyg:IncreaseDecreaseInUnemploymentMember |
| 525 |
CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Tables) [Line Items] |
LineItems |
|
|
lyg:CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESTablesLineItems |
| 526 |
Explanation of credit risk management practices and how they relate to recognition and measurement of expected credit losses [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:ExplanationOfCreditRiskManagementPracticesAndHowTheyRelateToRecognitionAndMeasurementOfExpectedCreditLossesExplanatory |
| 527 |
068 - Disclosure - SEGMENTAL ANALYSIS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SEGMENTALANALYSISTables |
| 528 |
Implied Table |
Table |
* |
* |
implied:Table |
| 529 |
Disclosure of entity's operating segments [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfEntitysOperatingSegmentsTextBlockAbstract |
| 530 |
Disclosure of Operating Segments [Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfOperatingSegmentsTextBlock |
| 531 |
Disclosure of reconciliation of underlying basis to statutory results [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfReconciliationOfUnderlyingBasisToStatutoryResultstextBlock |
| 532 |
069 - Disclosure - NET INTEREST INCOME (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/NETINTERESTINCOMETables |
| 533 |
Implied Table |
Table |
* |
* |
implied:Table |
| 534 |
Disclosure of interest income (expense) [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfInterestIncomeExpenseTextBlockAbstract |
| 535 |
Disclosure of interest income [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfInterestIncomeExplanatory |
| 536 |
070 - Disclosure - NET FEE AND COMMISSION INCOME (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/NETFEEANDCOMMISSIONINCOMETables |
| 537 |
Implied Table |
Table |
* |
* |
implied:Table |
| 538 |
Disclosure of fee and commission income (expense) [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfFeeAndCommissionIncomeExpenseTextBlockAbstract |
| 539 |
Disclosure of fee and commission income (expense) [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfFeeAndCommissionIncomeExpenseExplanatory1 |
| 540 |
071 - Disclosure - NET TRADING INCOME (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/NETTRADINGINCOMETables |
| 541 |
NET TRADING INCOME (Tables) [Table] |
Table |
* |
* |
lyg:NETTRADINGINCOMETablesTable |
| 542 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 543 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 544 |
Financial assets at fair value through profit or loss, classified as held for trading, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossClassifiedAsHeldForTradingCategoryMember |
| 545 |
Classes of financial instruments [axis] |
Axis |
|
|
ifrs-full:ClassesOfFinancialInstrumentsAxis |
| 546 |
Financial instruments, class [member] |
Member |
|
|
ifrs-full:ClassesOfFinancialInstrumentsMember |
| 547 |
Securities and other gains [member] |
Member |
|
|
lyg:SecuritiesAndOtherGainsMember |
| 548 |
NET TRADING INCOME (Tables) [Line Items] |
LineItems |
|
|
lyg:NETTRADINGINCOMETablesLineItems |
| 549 |
Disclosure of trading income (expense) [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfTradingIncomeExpenseExplanatory |
| 550 |
072 - Disclosure - INSURANCE PREMIUM INCOME (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/INSURANCEPREMIUMINCOMETables |
| 551 |
INSURANCE PREMIUM INCOME (Tables) [Table] |
Table |
* |
* |
lyg:INSURANCEPREMIUMINCOMETablesTable |
| 552 |
Types of insurance contracts [axis] |
Axis |
|
|
ifrs-full:TypesOfInsuranceContractsAxis |
| 553 |
Types of insurance contracts [member] |
Member |
|
|
ifrs-full:InsuranceContractsMember |
| 554 |
Insurance premium income [Member] |
Member |
|
|
lyg:InsurancePremiumIncomeMember |
| 555 |
INSURANCE PREMIUM INCOME (Tables) [Line Items] |
LineItems |
|
|
lyg:INSURANCEPREMIUMINCOMETablesLineItems |
| 556 |
Disclosure of insurance premium revenue [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfInsurancePremiumRevenueTextBlock1 |
| 557 |
073 - Disclosure - OTHER OPERATING INCOME (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHEROPERATINGINCOMETables |
| 558 |
OTHER OPERATING INCOME (Tables) [Table] |
Table |
* |
* |
lyg:OTHEROPERATINGINCOMETablesTable |
| 559 |
Type of income [Axis] |
Axis |
|
|
lyg:TypeOfIncomeAxis |
| 560 |
TypeOfIncome [Domain] |
Member |
|
|
lyg:TypeOfIncomeDomain |
| 561 |
Other operating income [Member] |
Member |
|
|
lyg:OtherOperatingIncomeMember |
| 562 |
OTHER OPERATING INCOME (Tables) [Line Items] |
LineItems |
|
|
lyg:OTHEROPERATINGINCOMETablesLineItems |
| 563 |
Disclosure of other operating income [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfOtherOperatingIncomeExplanatory |
| 564 |
074 - Disclosure - INSURANCE CLAIMS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/INSURANCECLAIMSTables |
| 565 |
Implied Table |
Table |
* |
* |
implied:Table |
| 566 |
Disclosure of claims and benefits paid [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfClaimsAndBenefitsPaidTextBlockAbstract |
| 567 |
Disclosure of Insurance Claims [Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfInsuranceClaimsTextBlock |
| 568 |
075 - Disclosure - OPERATING EXPENSES (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OPERATINGEXPENSESTables |
| 569 |
Implied Table |
Table |
* |
* |
implied:Table |
| 570 |
Disclosure of expenses [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfExpensesTextBlockAbstract |
| 571 |
Disclosure of other operating expense [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfOtherOperatingExpenseExplanatory |
| 572 |
Disclosure of performance-based compensation costs [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfPerformancebasedCompensationCoststextBlock |
| 573 |
Disclosure of information about employees [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfInformationAboutEmployeesExplanatory |
| 574 |
076 - Disclosure - AUDITORS' REMUNERATION (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/AUDITORSREMUNERATIONTables |
| 575 |
AUDITORS' REMUNERATION (Tables) [Table] |
Table |
* |
* |
lyg:AUDITORSREMUNERATIONTablesTable |
| 576 |
Related Party [Axis] |
Axis |
|
|
us-gaap:RelatedPartyTransactionsByRelatedPartyAxis |
| 577 |
Related Party [Domain] |
Member |
|
|
us-gaap:RelatedPartyDomain |
| 578 |
Group [Member] |
Member |
|
|
lyg:GroupMember |
| 579 |
Entities Outside of Lloyds [Member] |
Member |
|
|
lyg:EntitiesOutsideOfLloydsMember |
| 580 |
AUDITORS' REMUNERATION (Tables) [Line Items] |
LineItems |
|
|
lyg:AUDITORSREMUNERATIONTablesLineItems |
| 581 |
Disclosure of fees payable to auditors [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfFeesPayableToAuditorstextBlock |
| 582 |
077 - Disclosure - IMPAIRMENT (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/IMPAIRMENTTables |
| 583 |
Implied Table |
Table |
* |
* |
implied:Table |
| 584 |
Disclosure of impairment loss and reversal of impairment loss [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfImpairmentLossAndReversalOfImpairmentLossTextBlockAbstract |
| 585 |
Disclosure of impairment [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfImpairmenttextBlock |
| 586 |
Disclosure of Impairment Loss and Reversal of Impairment Loss [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfImpairmentLossAndReversalOfImpairmentLossTextBlock |
| 587 |
078 - Disclosure - TAXATION (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/TAXATIONTables |
| 588 |
Implied Table |
Table |
* |
* |
implied:Table |
| 589 |
Disclosure of income tax [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfIncomeTaxTextBlockAbstract |
| 590 |
Disclosure of tax receivables and payables [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfTaxReceivablesAndPayablesExplanatory |
| 591 |
Disclosure of Income Tax Charges [Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfIncomeTaxChargesTextBlock |
| 592 |
Disclosure of reconciliation of charge resulting from applying UK corporation tax rate |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfReconciliationOfChargeResultingFromApplyingUKCorporationTaxRate |
| 593 |
079 - Disclosure - EARNINGS PER SHARE (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/EARNINGSPERSHARETables |
| 594 |
EARNINGS PER SHARE (Tables) [Table] |
Table |
* |
* |
lyg:EARNINGSPERSHARETablesTable |
| 595 |
Components of equity [axis] |
Axis |
|
|
ifrs-full:ComponentsOfEquityAxis |
| 596 |
Equity [member] |
Member |
|
|
ifrs-full:EquityMember |
| 597 |
Retained earnings [member] |
Member |
|
|
ifrs-full:RetainedEarningsMember |
| 598 |
EARNINGS PER SHARE (Tables) [Line Items] |
LineItems |
|
|
lyg:EARNINGSPERSHARETablesLineItems |
| 599 |
Disclosure of earnings per share [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfEarningsPerShareExplanatory |
| 600 |
080 - Disclosure - FINANCIAL ASSETS AT FAIR VALUE THROUGH PROFIT OR LOSS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALASSETSATFAIRVALUETHROUGHPROFITORLOSSTables |
| 601 |
Implied Table |
Table |
* |
* |
implied:Table |
| 602 |
Disclosure Of Trading And Other Financial Assets At Fair Value Through Profit Or Loss [Abstract] |
Abstract |
|
|
lyg:DisclosureOfTradingAndOtherFinancialAssetsAtFairValueThroughProfitOrLossAbstract |
| 603 |
Disclosure Of Trading And Other Financial Assets At Fair Value Through Profit Or Loss [Table Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfTradingAndOtherFinancialAssetsAtFairValueThroughProfitOrLossTableTextBlock |
| 604 |
081 - Disclosure - DERIVATIVE FINANCIAL INSTRUMENTS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DERIVATIVEFINANCIALINSTRUMENTSTables |
| 605 |
DERIVATIVE FINANCIAL INSTRUMENTS (Tables) [Table] |
Table |
* |
* |
lyg:DERIVATIVEFINANCIALINSTRUMENTSTablesTable |
| 606 |
Measurement [axis] |
Axis |
|
|
ifrs-full:MeasurementAxis |
| 607 |
Aggregated measurement [member] |
Member |
|
|
ifrs-full:AggregatedMeasurementMember |
| 608 |
At fair value [member] |
Member |
|
|
ifrs-full:AtFairValueMember |
| 609 |
Types of hedges [axis] |
Axis |
|
|
ifrs-full:TypesOfHedgesAxis |
| 610 |
Hedges [member] |
Member |
|
|
ifrs-full:TypesOfHedgesMember |
| 611 |
Swaps [Member] |
Member |
|
|
lyg:SwapsMember |
| 612 |
DebSecurities[Member] |
Member |
|
|
lyg:DebSecuritiesMember |
| 613 |
Change in fair value of hedged item for ineffectiveness assessment |
Member |
|
|
lyg:ChangeInFairValueOfHedgedItemForIneffectivenessAssessmentMember |
| 614 |
DERIVATIVE FINANCIAL INSTRUMENTS (Tables) [Line Items] |
LineItems |
|
|
lyg:DERIVATIVEFINANCIALINSTRUMENTSTablesLineItems |
| 615 |
Schedule of Derivative Instruments in Statement of Financial Position, Fair Value [Table Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
us-gaap:ScheduleOfDerivativeInstrumentsInStatementOfFinancialPositionFairValueTextBlock |
| 616 |
Disclosure of information about terms and conditions of hedging instruments and how they affect future cash flows [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfInformationAboutTermsAndConditionsOfHedgingInstrumentsAndHowTheyAffectFutureCashFlowsExplanatory |
| 617 |
Disclosure of hedge accounting [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfHedgeAccountingExplanatory |
| 618 |
Disclosure of separate financial statements [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfConsolidatedAndSeparateFinancialStatementsExplanatory |
| 619 |
082 - Disclosure - FINANCIAL ASSETS AT AMORTISED COST (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALASSETSATAMORTISEDCOSTTables |
| 620 |
FINANCIAL ASSETS AT AMORTISED COST (Tables) [Table] |
Table |
* |
* |
lyg:FINANCIALASSETSATAMORTISEDCOSTTablesTable |
| 621 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 622 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 623 |
Financial assets at amortised cost, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtAmortisedCostCategoryMember |
| 624 |
FINANCIAL ASSETS AT AMORTISED COST (Tables) [Line Items] |
LineItems |
|
|
lyg:FINANCIALASSETSATAMORTISEDCOSTTablesLineItems |
| 625 |
Disclosure of loans and advances to customers [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfLoansAndAdvancesToCustomersExplanatory |
| 626 |
Disclosure of loans and advances to banks [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfLoansAndAdvancesToBanksExplanatory |
| 627 |
Disclosure of debt instruments [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfDebtSecuritiesExplanatory |
| 628 |
083 - Disclosure - FINANCE LEASE RECEIVABLES (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCELEASERECEIVABLESTables |
| 629 |
FINANCE LEASE RECEIVABLES (Tables) [Table] |
Table |
* |
* |
lyg:FINANCELEASERECEIVABLESTablesTable |
| 630 |
Lease Arrangement, Type [Axis] |
Axis |
|
|
us-gaap:LeaseArrangementTypeAxis |
| 631 |
Lease Arrangement, Type [Domain] |
Member |
|
|
us-gaap:LeaseArrangementTypeDomain |
| 632 |
Gross [Member] |
Member |
|
|
lyg:GrossMember |
| 633 |
Net [Member] |
Member |
|
|
lyg:NetMember |
| 634 |
FINANCE LEASE RECEIVABLES (Tables) [Line Items] |
LineItems |
|
|
lyg:FINANCELEASERECEIVABLESTablesLineItems |
| 635 |
Disclosure of maturity analysis of finance lease payments receivable [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfMaturityAnalysisOfFinanceLeasePaymentsReceivableExplanatory |
| 636 |
084 - Disclosure - ALLOWANCE FOR IMPAIRMENT LOSSES (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ALLOWANCEFORIMPAIRMENTLOSSESTables |
| 637 |
ALLOWANCE FOR IMPAIRMENT LOSSES (Tables) [Table] |
Table |
* |
* |
lyg:ALLOWANCEFORIMPAIRMENTLOSSESTablesTable |
| 638 |
Impairment of financial assets [axis] |
Axis |
|
|
ifrs-full:ImpairmentOfFinancialAssetsAxis |
| 639 |
Entity's total for impairment of financial assets [member] |
Member |
|
|
ifrs-full:EntitysTotalForImpairmentOfFinancialAssetsMember |
| 640 |
Impairment charged to the income statement |
Member |
|
|
lyg:ImpairmentChargedToTheIncomeStatementMember |
| 641 |
ALLOWANCE FOR IMPAIRMENT LOSSES (Tables) [Line Items] |
LineItems |
|
|
lyg:ALLOWANCEFORIMPAIRMENTLOSSESTablesLineItems |
| 642 |
Disclosure of movement in the allowance for impairment losses |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfMovementInTheAllowanceForImpairmentLosses |
| 643 |
Disclosure of impairment [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfImpairmenttextBlock |
| 644 |
Disclosure of allowance for Credit Losses Explanatory [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfAllowanceForCreditLossesExplanatory1 |
| 645 |
085 - Disclosure - FINANCIAL ASSETS AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALASSETSATFAIRVALUETHROUGHOTHERCOMPREHENSIVEINCOMETables |
| 646 |
FINANCIAL ASSETS AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME (Tables) [Table] |
Table |
* |
* |
lyg:FINANCIALASSETSATFAIRVALUETHROUGHOTHERCOMPREHENSIVEINCOMETablesTable |
| 647 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 648 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 649 |
Financial assets at fair value through profit or loss, classified as held for trading, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossClassifiedAsHeldForTradingCategoryMember |
| 650 |
FINANCIAL ASSETS AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME (Tables) [Line Items] |
LineItems |
|
|
lyg:FINANCIALASSETSATFAIRVALUETHROUGHOTHERCOMPREHENSIVEINCOMETablesLineItems |
| 651 |
Disclosure of fair value of investments in equity instruments designated at fair value through other comprehensive income [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfFairValueOfEachInvestmentInEquityInstrumentsDesignatedAsMeasuredAtFairValueThroughOtherComprehensiveIncomeExplanatory |
| 652 |
086 - Disclosure - AVAILABLE-FOR-SALE FINANCIAL ASSETS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/AVAILABLEFORSALEFINANCIALASSETSTables |
| 653 |
AVAILABLE-FOR-SALE FINANCIAL ASSETS (Tables) [Table] |
Table |
* |
* |
lyg:AVAILABLEFORSALEFINANCIALASSETSTablesTable |
| 654 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 655 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 656 |
Financial assets available-for-sale, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAvailableforsaleCategoryMember |
| 657 |
AVAILABLE-FOR-SALE FINANCIAL ASSETS (Tables) [Line Items] |
LineItems |
|
|
lyg:AVAILABLEFORSALEFINANCIALASSETSTablesLineItems |
| 658 |
Disclosure of Available-For-Sale Financial Assets [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfAvailableForSaleFinancialAssetstextBlock |
| 659 |
087 - Disclosure - GOODWILL (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/GOODWILLTables |
| 660 |
Implied Table |
Table |
* |
* |
implied:Table |
| 661 |
Disclosure of goodwill [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfGoodwillTextBlockAbstract |
| 662 |
Disclosure of reconciliation of changes in goodwill [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfReconciliationOfChangesInGoodwillExplanatory |
| 663 |
088 - Disclosure - VALUE OF IN-FORCE BUSINESS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/VALUEOFINFORCEBUSINESSTables |
| 664 |
VALUE OF IN-FORCE BUSINESS (Tables) [Table] |
Table |
* |
* |
lyg:VALUEOFINFORCEBUSINESSTablesTable |
| 665 |
Amounts arising from insurance contracts [axis] |
Axis |
|
|
ifrs-full:AmountsArisingFromInsuranceContractsAxis |
| 666 |
Net amount arising from insurance contracts [member] |
Member |
|
|
ifrs-full:NetAmountArisingFromInsuranceContractsMember |
| 667 |
Nonparticipating Life Insurance Contract [Member] |
Member |
|
|
us-gaap:NonparticipatingLifeInsurancePolicyMember |
| 668 |
Participating Life Insurance Contract [Member] |
Member |
|
|
us-gaap:ParticipatingLifeInsurancePolicyMember |
| 669 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 670 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 671 |
In-Force [Member] |
Member |
|
|
lyg:InForceMember |
| 672 |
VALUE OF IN-FORCE BUSINESS (Tables) [Line Items] |
LineItems |
|
|
lyg:VALUEOFINFORCEBUSINESSTablesLineItems |
| 673 |
Disclosure of range of yields and other key assumptions |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfRangeOfYieldsAndOtherKeyAssumptions |
| 674 |
Disclosure Of Gross Value Of In-Force Business Asset Explanatory [Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfGrossValueOfInForceBusinessAssetExplanatoryTextBlock |
| 675 |
Disclosure Of Movement Of Value In Force Explanatory [Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfMovementOfValueInForceExplanatoryTextBlock |
| 676 |
089 - Disclosure - OTHER INTANGIBLE ASSETS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHERINTANGIBLEASSETSTables |
| 677 |
Implied Table |
Table |
* |
* |
implied:Table |
| 678 |
Disclosure of intangible assets [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfIntangibleAssetsTextBlockAbstract |
| 679 |
Disclosure of detailed information about intangible assets [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfDetailedInformationAboutIntangibleAssetsExplanatory |
| 680 |
090 - Disclosure - PROPERTY, PLANT AND EQUIPMENT (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/PROPERTYPLANTANDEQUIPMENTTables |
| 681 |
Implied Table |
Table |
* |
* |
implied:Table |
| 682 |
Disclosure of property, plant and equipment [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfPropertyPlantAndEquipmentTextBlockAbstract |
| 683 |
Disclosure of detailed information about property, plant and equipment [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfDetailedInformationAboutPropertyPlantAndEquipmentExplanatory |
| 684 |
Disclosure of detailed information about investment property [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfDetailedInformationAboutInvestmentPropertyExplanatory |
| 685 |
Disclosure Of Minimum Lease Payments Receivable Under Noncancellable Operating Lease Explanatory |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfMinimumLeasePaymentsReceivableUnderNoncancellableOperatingLeaseExplanatory |
| 686 |
091 - Disclosure - OTHER ASSETS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHERASSETSTables |
| 687 |
Implied Table |
Table |
* |
* |
implied:Table |
| 688 |
Disclosure of other assets [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfOtherAssetsTextBlockAbstract |
| 689 |
Disclosure of prepayments and other assets [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfPrepaymentsAndOtherAssetsExplanatory |
| 690 |
092 - Disclosure - FINANCIAL LIABILITIES AT FAIR VALUE THROUGH PROFIT OR LOSS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALLIABILITIESATFAIRVALUETHROUGHPROFITORLOSSTables |
| 691 |
FINANCIAL LIABILITIES AT FAIR VALUE THROUGH PROFIT OR LOSS (Tables) [Table] |
Table |
* |
* |
lyg:FINANCIALLIABILITIESATFAIRVALUETHROUGHPROFITORLOSSTablesTable |
| 692 |
Categories of financial liabilities [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialLiabilitiesAxis |
| 693 |
Financial liabilities, category [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesCategoryMember |
| 694 |
Financial liabilities at fair value through profit or loss, category [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLossCategoryMember |
| 695 |
FINANCIAL LIABILITIES AT FAIR VALUE THROUGH PROFIT OR LOSS (Tables) [Line Items] |
LineItems |
|
|
lyg:FINANCIALLIABILITIESATFAIRVALUETHROUGHPROFITORLOSSTablesLineItems |
| 696 |
Disclosure of financial instruments designated at fair value through profit or loss [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfFinancialInstrumentsDesignatedAtFairValueThroughProfitOrLossExplanatory |
| 697 |
093 - Disclosure - DEBT SECURITIES IN ISSUE (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DEBTSECURITIESINISSUETables |
| 698 |
Implied Table |
Table |
* |
* |
implied:Table |
| 699 |
Disclosure of debt instruments [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfDebtInstrumentsTextBlockAbstract |
| 700 |
Disclosure of Debt Securities in Issue [Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfDebtSecuritiesInIssueTextBlock |
| 701 |
094 - Disclosure - SECURITISATIONS AND COVERED BONDS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SECURITISATIONSANDCOVEREDBONDSTables |
| 702 |
Implied Table |
Table |
* |
* |
implied:Table |
| 703 |
Disclosure Of Securitisations Programmes And Transactions [Abstract] |
Abstract |
|
|
lyg:DisclosureOfSecuritisationsProgrammesAndTransactionsAbstract |
| 704 |
Information about Securitisation programmes and transactions |
Concept (Text Block (HTML)) |
For Period |
|
lyg:InformationAboutSecuritisationProgrammesAndTransactions |
| 705 |
095 - Disclosure - LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSTables |
| 706 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Tables) [Table] |
Table |
* |
* |
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSTablesTable |
| 707 |
Amounts arising from insurance contracts [axis] |
Axis |
|
|
ifrs-full:AmountsArisingFromInsuranceContractsAxis |
| 708 |
Net amount arising from insurance contracts [member] |
Member |
|
|
ifrs-full:NetAmountArisingFromInsuranceContractsMember |
| 709 |
Participating Life Insurance Contract [Member] |
Member |
|
|
us-gaap:ParticipatingLifeInsurancePolicyMember |
| 710 |
Nonparticipating Life Insurance Contract [Member] |
Member |
|
|
us-gaap:NonparticipatingLifeInsurancePolicyMember |
| 711 |
Claims outstanding [Member] |
Member |
|
|
lyg:ClaimsOutstandingMember |
| 712 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Tables) [Line Items] |
LineItems |
|
|
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSTablesLineItems |
| 713 |
Disclosure of types of insurance contracts [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfTypesOfInsuranceContractsExplanatory |
| 714 |
Disclosure of Life Insurance and Participating Contract Liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfLifeInsuranceAndParticipatingContractLiabilitiestextBlock |
| 715 |
Disclosure of Liabilities for Insurance Contracts and Participating Investment Contracts [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfLiabilitiesForInsuranceContractsAndParticipatingInvestmentContractstextBlock |
| 716 |
Disclosure of provisions for unearned premiums [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfProvisionsForUnearnedPremiumstextBlock |
| 717 |
Disclosure of Insurance Claims Outstanding [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfInsuranceClaimsOutstandingtextBlock |
| 718 |
096 - Disclosure - LIFE INSURANCE SENSITIVITY ANALYSIS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/LIFEINSURANCESENSITIVITYANALYSISTables |
| 719 |
LIFE INSURANCE SENSITIVITY ANALYSIS (Tables) [Table] |
Table |
* |
* |
lyg:LIFEINSURANCESENSITIVITYANALYSISTablesTable |
| 720 |
Segments [axis] |
Axis |
|
|
ifrs-full:SegmentsAxis |
| 721 |
Segments [member] |
Member |
|
|
ifrs-full:SegmentsMember |
| 722 |
6311 Life Insurance [Member] |
Member |
|
|
sic:Z6311 |
| 723 |
LIFE INSURANCE SENSITIVITY ANALYSIS (Tables) [Line Items] |
LineItems |
|
|
lyg:LIFEINSURANCESENSITIVITYANALYSISTablesLineItems |
| 724 |
Disclosure of accounting judgements and estimates [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfAccountingJudgementsAndEstimatesExplanatory |
| 725 |
097 - Disclosure - LIABILITIES ARISING FROM NON-PARTICIPATING INVESTMENT CONTRACTS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/LIABILITIESARISINGFROMNONPARTICIPATINGINVESTMENTCONTRACTSTables |
| 726 |
Implied Table |
Table |
* |
* |
implied:Table |
| 727 |
Disclosure of investment contracts liabilities [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfInvestmentContractsLiabilitiesTextBlockAbstract |
| 728 |
Disclosure of investment contract liabilities explanatory |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfInvestmentContractLiabilitiesExplanatory |
| 729 |
098 - Disclosure - OTHER LIABILITIES (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHERLIABILITIESTables |
| 730 |
Implied Table |
Table |
* |
* |
implied:Table |
| 731 |
Disclosure of other liabilities [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfOtherLiabilitiesTextBlockAbstract |
| 732 |
Disclosure Of Other Liabilities |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfOtherLiabilities |
| 733 |
099 - Disclosure - DEFERRED TAX (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DEFERREDTAXTables |
| 734 |
Implied Table |
Table |
* |
* |
implied:Table |
| 735 |
Disclosure of deferred taxes [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfDeferredTaxesTextBlockAbstract |
| 736 |
Disclosure Of Deferred Taxes |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfDeferredTaxes |
| 737 |
Schedule of Deferred Tax Assets and Liabilities [Table Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
us-gaap:ScheduleOfDeferredTaxAssetsAndLiabilitiesTableTextBlock |
| 738 |
100 - Disclosure - OTHER PROVISIONS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHERPROVISIONSTables |
| 739 |
Implied Table |
Table |
* |
* |
implied:Table |
| 740 |
Disclosure of other provisions [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfOtherProvisionsTextBlockAbstract |
| 741 |
Disclosure of other provisions [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfOtherProvisionsExplanatory1 |
| 742 |
101 - Disclosure - SUBORDINATED LIABILITIES (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SUBORDINATEDLIABILITIESTables |
| 743 |
SUBORDINATED LIABILITIES (Tables) [Table] |
Table |
* |
* |
lyg:SUBORDINATEDLIABILITIESTablesTable |
| 744 |
Classes of liabilities [axis] |
Axis |
|
|
ifrs-full:ClassesOfLiabilitiesAxis |
| 745 |
Liabilities [member] |
Member |
|
|
ifrs-full:LiabilitiesMember |
| 746 |
Dated subordinated liabilities [Member] |
Member |
|
|
lyg:DatedSubordinatedLiabilitiesMember |
| 747 |
SUBORDINATED LIABILITIES (Tables) [Line Items] |
LineItems |
|
|
lyg:SUBORDINATEDLIABILITIESTablesLineItems |
| 748 |
Disclosure of movement in subordinated liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfMovementInSubordinatedLiabilitiestextBlock |
| 749 |
Disclosure of repurchase and reverse repurchase agreements [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfRepurchaseAndReverseRepurchaseAgreementsExplanatory |
| 750 |
102 - Disclosure - SHARE CAPITAL (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SHARECAPITALTables |
| 751 |
Implied Table |
Table |
* |
* |
implied:Table |
| 752 |
Disclosure of issued capital [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfIssuedCapitalTextBlockAbstract |
| 753 |
Disclosure of classes of share capital [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfClassesOfShareCapitalExplanatory |
| 754 |
103 - Disclosure - SHARE PREMIUM ACCOUNT (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SHAREPREMIUMACCOUNTTables |
| 755 |
Implied Table |
Table |
* |
* |
implied:Table |
| 756 |
Disclosure For Share Premium Account Explanatory [Abstract] |
Abstract |
|
|
lyg:DisclosureForSharePremiumAccountExplanatoryAbstract |
| 757 |
Disclosure of share premium accounts |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfSharePremiumAccounts |
| 758 |
104 - Disclosure - OTHER RESERVES (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHERRESERVESTables |
| 759 |
OTHER RESERVES (Tables) [Table] |
Table |
* |
* |
lyg:OTHERRESERVESTablesTable |
| 760 |
Components of equity [axis] |
Axis |
|
|
ifrs-full:ComponentsOfEquityAxis |
| 761 |
Equity [member] |
Member |
|
|
ifrs-full:EquityMember |
| 762 |
Other reserves [member] |
Member |
|
|
ifrs-full:OtherReservesMember |
| 763 |
Reserve of gains and losses on financial assets measured at fair value through other comprehensive income [member] |
Member |
|
|
ifrs-full:ReserveOfGainsAndLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeMember |
| 764 |
Foreign currency translation reserve [member] |
Member |
|
|
lyg:ForeignCurrencyTranslationReserveMember |
| 765 |
Reserves within equity [axis] |
Axis |
|
|
ifrs-full:ReservesWithinEquityAxis |
| 766 |
Other reserves [member] |
Member |
|
|
ifrs-full:OtherReservesMember |
| 767 |
Reserve of gains and losses on financial assets measured at fair value through other comprehensive income [member] |
Member |
|
|
ifrs-full:ReserveOfGainsAndLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeMember |
| 768 |
Foreign currency translation reserve [member] |
Member |
|
|
lyg:ForeignCurrencyTranslationReserveMember |
| 769 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 770 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 771 |
Financial assets available-for-sale, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAvailableforsaleCategoryMember |
| 772 |
Reserve of cash flow hedges [member] |
Member |
|
|
ifrs-full:ReserveOfCashFlowHedgesMember |
| 773 |
OTHER RESERVES (Tables) [Line Items] |
LineItems |
|
|
lyg:OTHERRESERVESTablesLineItems |
| 774 |
Disclosure of other reserves [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfOtherReservestextBlock |
| 775 |
Disclosure of Merger Reserve [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfMergerReservetextBlock |
| 776 |
Disclosure of capital redemption reserve text block |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfCapitalRedemptionReserveTextBlock |
| 777 |
Revaluation reserve in respect of debt securities text block |
Concept (Text Block (HTML)) |
For Period |
|
lyg:RevaluationReserveInRespectOfDebtSecuritiesTextBlock |
| 778 |
Revaluation reserve in respect of equity shares text block |
Concept (Text Block (HTML)) |
For Period |
|
lyg:RevaluationReserveInRespectOfEquitySharesTextBlock |
| 779 |
Disclosure of Movement in Other Reserves [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfMovementInOtherReservestextBlock |
| 780 |
105 - Disclosure - RETAINED PROFITS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/RETAINEDPROFITSTables |
| 781 |
RETAINED PROFITS (Tables) [Table] |
Table |
* |
* |
lyg:RETAINEDPROFITSTablesTable |
| 782 |
Components of equity [axis] |
Axis |
|
|
ifrs-full:ComponentsOfEquityAxis |
| 783 |
Equity [member] |
Member |
|
|
ifrs-full:EquityMember |
| 784 |
Retained earnings [member] |
Member |
|
|
ifrs-full:RetainedEarningsMember |
| 785 |
RETAINED PROFITS (Tables) [Line Items] |
LineItems |
|
|
lyg:RETAINEDPROFITSTablesLineItems |
| 786 |
Disclosure Of Retained Earnings [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfRetainedEarningstextBlock |
| 787 |
106 - Disclosure - OTHER EQUITY INSTRUMENTS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHEREQUITYINSTRUMENTSTables |
| 788 |
Implied Table |
Table |
* |
* |
implied:Table |
| 789 |
Disclosure Of Other Equity Instruments Explanatory [Abstract] |
Abstract |
|
|
lyg:DisclosureOfOtherEquityInstrumentsExplanatoryAbstract |
| 790 |
Disclosure Of Other Equity Instruments [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfOtherEquityInstruments |
| 791 |
107 - Disclosure - DIVIDENDS ON ORDINARY SHARES (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DIVIDENDSONORDINARYSHARESTables |
| 792 |
DIVIDENDS ON ORDINARY SHARES (Tables) [Table] |
Table |
* |
* |
lyg:DIVIDENDSONORDINARYSHARESTablesTable |
| 793 |
Type of dividend [Axis] |
Axis |
|
|
lyg:TypeOfDividendAxis |
| 794 |
TypeOfDividend [Domain] |
Member |
|
|
lyg:TypeOfDividendDomain |
| 795 |
Dividend award [Member] |
Member |
|
|
lyg:DividendAwardMember |
| 796 |
DIVIDENDS ON ORDINARY SHARES (Tables) [Line Items] |
LineItems |
|
|
lyg:DIVIDENDSONORDINARYSHARESTablesLineItems |
| 797 |
Disclosure of Dividends On Ordinary Shares [Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfDividendsOnOrdinarySharesTextBlock |
| 798 |
108 - Disclosure - SHARE-BASED PAYMENTS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SHAREBASEDPAYMENTSTables |
| 799 |
SHARE-BASED PAYMENTS (Tables) [Table] |
Table |
* |
* |
lyg:SHAREBASEDPAYMENTSTablesTable |
| 800 |
Types of share-based payment arrangements [axis] |
Axis |
|
|
ifrs-full:TypesOfSharebasedPaymentArrangementsAxis |
| 801 |
Share-based payment arrangements [member] |
Member |
|
|
ifrs-full:SharebasedPaymentArrangementsMember |
| 802 |
Save-as-you-earn [Member] |
Member |
|
|
lyg:SaveasyouearnMember |
| 803 |
Lloyds Banking Group Executive Share Plan 2003 [Member] |
Member |
|
|
lyg:LloydsBankingGroupExecutiveSharePlan2003Member |
| 804 |
SHARE-BASED PAYMENTS (Tables) [Line Items] |
LineItems |
|
|
lyg:SHAREBASEDPAYMENTSTablesLineItems |
| 805 |
Charges to Income Statement [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:ChargesToIncomeStatementtextBlock |
| 806 |
Disclosure Of Share Based Payments Movements [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfShareBasedPaymentsMovementstextBlock |
| 807 |
Disclosure Of Share Based Payments Assumptions [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfShareBasedPaymentsAssumptionstextBlock |
| 808 |
109 - Disclosure - RELATED PARTY TRANSACTIONS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/RELATEDPARTYTRANSACTIONSTables |
| 809 |
RELATED PARTY TRANSACTIONS (Tables) [Table] |
Table |
* |
* |
lyg:RELATEDPARTYTRANSACTIONSTablesTable |
| 810 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 811 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 812 |
Compensation [Member] |
Member |
|
|
lyg:CompensationMember |
| 813 |
Defined benefit plans [member] |
Member |
|
|
ifrs-full:DefinedBenefitPlansMember |
| 814 |
Loans and receivables, category [member] |
Member |
|
|
ifrs-full:LoansAndReceivablesCategoryMember |
| 815 |
Deposits Placed [Member] |
Member |
|
|
lyg:DepositsPlacedMember |
| 816 |
RELATED PARTY TRANSACTIONS (Tables) [Line Items] |
LineItems |
|
|
lyg:RELATEDPARTYTRANSACTIONSTablesLineItems |
| 817 |
Disclosure of information about key management personnel [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfInformationAboutKeyManagementPersonnelExplanatory |
| 818 |
110 - Disclosure - CONTINGENT LIABILITIES AND COMMITMENTS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CONTINGENTLIABILITIESANDCOMMITMENTSTables |
| 819 |
Implied Table |
Table |
* |
* |
implied:Table |
| 820 |
Disclosure of commitments and contingent liabilities [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfCommitmentsAndContingentLiabilitiesTextBlockAbstract |
| 821 |
Disclosure of contingent liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfContingentLiabilitiesExplanatory |
| 822 |
Disclosure of commitments [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfCommitmentsExplanatory |
| 823 |
Disclosure of maturity analysis of operating lease payments [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfMaturityAnalysisOfOperatingLeasePaymentsExplanatory |
| 824 |
111 - Disclosure - FINANCIAL INSTRUMENTS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALINSTRUMENTSTables |
| 825 |
FINANCIAL INSTRUMENTS (Tables) [Table] |
Table |
* |
* |
lyg:FINANCIALINSTRUMENTSTablesTable |
| 826 |
Measurement [axis] |
Axis |
|
|
ifrs-full:MeasurementAxis |
| 827 |
Aggregated measurement [member] |
Member |
|
|
ifrs-full:AggregatedMeasurementMember |
| 828 |
Recurring fair value measurement [member] |
Member |
|
|
ifrs-full:RecurringFairValueMeasurementMember |
| 829 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 830 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 831 |
Financial Assets, Excluding Derivatives [Member] |
Member |
|
|
lyg:FinancialAssetsExcludingDerivativesMember |
| 832 |
Levels of fair value hierarchy [axis] |
Axis |
|
|
ifrs-full:LevelsOfFairValueHierarchyAxis |
| 833 |
All levels of fair value hierarchy [member] |
Member |
|
|
ifrs-full:AllLevelsOfFairValueHierarchyMember |
| 834 |
Level 3 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level3OfFairValueHierarchyMember |
| 835 |
FINANCIAL INSTRUMENTS (Tables) [Line Items] |
LineItems |
|
|
lyg:FINANCIALINSTRUMENTSTablesLineItems |
| 836 |
Disclosure of measurement basis of financial assets and liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfMeasurementBasisOfFinancialAssetsAndLiabilitiesTextBlock |
| 837 |
Disclosure of financial assets excluding derivatives [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfFinancialAssetsExcludingDerivativestextBlock |
| 838 |
Disclosure of movements in level 3 portfolio [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfMovementsInLevel3PortfoliotextBlock |
| 839 |
Disclosure of financial liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfFinancialLiabilitiesExplanatory |
| 840 |
Disclosure of Derivatives by recurring fair value measurement [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfDerivativesByRecurringFairValueMeasurementtextBlock |
| 841 |
Disclosure of assets and liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfAssetsAndLiabilitiesTextBlock |
| 842 |
Disclosure of significant adjustments to valuation obtained [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfSignificantAdjustmentsToValuationObtainedExplanatory |
| 843 |
Disclosure Of Significant Adjustment Categories To Valuation Obtained, Explanatory |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfSignificantAdjustmentCategoriesToValuationObtainedExplanatory |
| 844 |
Disclosure of Sensitivity of Level 3 Valuations [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfSensitivityOfLevel3ValuationstextBlock |
| 845 |
Disclosure of fair value measurement of assets [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfFairValueMeasurementOfAssetsExplanatory |
| 846 |
Disclosure of fair value measurement of liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfFairValueMeasurementOfLiabilitiesExplanatory |
| 847 |
112 - Disclosure - TRANSFERS OF FINANCIAL ASSETS (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/TRANSFERSOFFINANCIALASSETSTables |
| 848 |
Implied Table |
Table |
* |
* |
implied:Table |
| 849 |
Disclosure of transferred financial assets that are not derecognised in their entirety [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfTransferredFinancialAssetsThatAreNotDerecognisedInTheirEntiretyTextBlockAbstract |
| 850 |
Disclosure of Transfered Assets and Liabilities [Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfTransferedAssetsAndLiabilitiesTextBlock |
| 851 |
113 - Disclosure - OFFSETTING OF FINANCIAL ASSETS AND LIABILITIES (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OFFSETTINGOFFINANCIALASSETSANDLIABILITIESTables |
| 852 |
OFFSETTING OF FINANCIAL ASSETS AND LIABILITIES (Tables) [Table] |
Table |
* |
* |
lyg:OFFSETTINGOFFINANCIALASSETSANDLIABILITIESTablesTable |
| 853 |
Assets and liabilities [axis] |
Axis |
|
|
ifrs-full:AssetsAndLiabilitiesAxis |
| 854 |
Assets and liabilities [member] |
Member |
|
|
ifrs-full:AssetsAndLiabilitiesMember |
| 855 |
Offset [Member] |
Member |
|
|
lyg:OffsetMember |
| 856 |
OFFSETTING OF FINANCIAL ASSETS AND LIABILITIES (Tables) [Line Items] |
LineItems |
|
|
lyg:OFFSETTINGOFFINANCIALASSETSANDLIABILITIESTablesLineItems |
| 857 |
Disclosure of Offsetting of Financial Assets and Liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfOffsettingOfFinancialAssetsAndLiabilitiestextBlock |
| 858 |
114 - Disclosure - FINANCIAL RISK MANAGEMENT (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALRISKMANAGEMENTTables |
| 859 |
FINANCIAL RISK MANAGEMENT (Tables) [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTTablesTable |
| 860 |
Classes of financial instruments [axis] |
Axis |
|
|
ifrs-full:ClassesOfFinancialInstrumentsAxis |
| 861 |
Financial instruments, class [member] |
Member |
|
|
ifrs-full:ClassesOfFinancialInstrumentsMember |
| 862 |
Loans to corporate entities [member] |
Member |
|
|
ifrs-full:CorporateLoansMember |
| 863 |
Assets and liabilities [member] |
Member |
|
|
ifrs-full:AssetsAndLiabilitiesMember |
| 864 |
Financial liabilities, category [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesCategoryMember |
| 865 |
Off balance sheet [Member] |
Member |
|
|
lyg:OffBalanceSheetMember |
| 866 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 867 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 868 |
Securities lending [member] |
Member |
|
|
ifrs-full:SecuritiesLendingMember |
| 869 |
Classes of assets [axis] |
Axis |
|
|
ifrs-full:ClassesOfAssetsAxis |
| 870 |
Assets [member] |
Member |
|
|
ifrs-full:ClassesOfAssetsMember |
| 871 |
Available-for-Sale Financial Assets (Excluding Equity Shares) [Member] |
Member |
|
|
lyg:AvailableforSaleFinancialAssetsExcludingEquitySharesMember |
| 872 |
Derivative assets [Member] |
Member |
|
|
lyg:DerivativeAssetsMember |
| 873 |
Amounts arising from insurance contracts [axis] |
Axis |
|
|
ifrs-full:AmountsArisingFromInsuranceContractsAxis |
| 874 |
Net amount arising from insurance contracts [member] |
Member |
|
|
ifrs-full:NetAmountArisingFromInsuranceContractsMember |
| 875 |
Participating investment contracts [Member] |
Member |
|
|
lyg:ParticipatingInvestmentContractsMember |
| 876 |
Types of risks [axis] |
Axis |
|
|
ifrs-full:TypesOfRisksAxis |
| 877 |
Risks [member] |
Member |
|
|
ifrs-full:TypesOfRisksMember |
| 878 |
Concentrations of risk [member] |
Member |
|
|
ifrs-full:ConcentrationsOfRiskMember |
| 879 |
FINANCIAL RISK MANAGEMENT (Tables) [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTTablesLineItems |
| 880 |
Disclosure of structural foreign currency exposures [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfStructuralForeignCurrencyExposurestextBlock |
| 881 |
Disclosure of credit risk exposure [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfCreditRiskExposureExplanatory |
| 882 |
Disclosure of loans and advances to customers [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfLoansAndAdvancesToCustomersExplanatory |
| 883 |
Analysis of credit exposures using internal credit grading system [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:AnalysisOfCreditExposuresUsingInternalCreditGradingSystemExplanatory |
| 884 |
Information about credit quality of neither past due nor impaired financial assets [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:InformationAboutCreditQualityOfNeitherPastDueNorImpairedFinancialAssets |
| 885 |
Disclosure of Debt Securities Classified as Loans and Receivables [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfDebtSecuritiesClassifiedAsLoansAndReceivablestextBlock |
| 886 |
Disclosure of Available-for-Sale Financial Assets (Excluding Equity Shares) [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfAvailableforSaleFinancialAssetsExcludingEquitySharestextBlock |
| 887 |
Disclosure of fair value of financial instruments [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfFairValueOfFinancialInstrumentsExplanatory |
| 888 |
Disclosure of Derivative Assets [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfDerivativeAssetstextBlock |
| 889 |
Analysis of Loan-to-value ratio of Residential Mortgage Lending |
Concept (Text Block (HTML)) |
For Period |
|
lyg:AnalysisOfLoantovalueRatioOfResidentialMortgageLending |
| 890 |
Disclosure of transfers of financial assets [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfTransfersOfFinancialAssetsExplanatory |
| 891 |
Maturity analysis for total assets and total liabilities |
Concept (Text Block (HTML)) |
For Period |
|
lyg:MaturityAnalysisForTotalAssetsAndTotalLiabilities |
| 892 |
Disclosure of maturity analysis for non-derivative financial liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:MaturityAnalysisForNonderivativeFinancialLiabilities |
| 893 |
Disclosure of Liabilities Arising from Insurance and Participating Investment Contracts [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfLiabilitiesArisingFromInsuranceAndParticipatingInvestmentContractstextBlock |
| 894 |
Maturity Analysis For Commitments And Contingent Liabilities |
Concept (Text Block (HTML)) |
For Period |
|
lyg:MaturityAnalysisForCommitmentsAndContingentLiabilities |
| 895 |
115 - Disclosure - CONSOLIDATED CASH FLOW STATEMENT (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CONSOLIDATEDCASHFLOWSTATEMENTTables |
| 896 |
Implied Table |
Table |
* |
* |
implied:Table |
| 897 |
Disclosure of cash flow statement [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfCashFlowStatementTextBlockAbstract |
| 898 |
Disclosure of Change in Operating Assets [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfChangeInOperatingAssetstextBlock |
| 899 |
Disclosure of change in operating liabilities [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfChangeInOperatingLiabilitiestextBlock |
| 900 |
Disclosure of Non-cash and other items [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfNoncashAndOtherItemstextBlock |
| 901 |
Disclosure of cash and cash equivalents [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfCashAndCashEquivalentsExplanatory |
| 902 |
Disclosure of Acquisitions of Group Undertakings and Businesses [text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfAcquisitionsOfGroupUndertakingsAndBusinesses |
| 903 |
Disclosure of disposal of group undertakings and businesses |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfDisposalOfGroupUndertakingsAndBusinesses |
| 904 |
116 - Disclosure - ADOPTION OF IFRS 9 AND IFRS 15 (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ADOPTIONOFIFRS9ANDIFRS15Tables |
| 905 |
ADOPTION OF IFRS 9 AND IFRS 15 (Tables) [Table] |
Table |
* |
* |
lyg:ADOPTIONOFIFRS9ANDIFRS15TablesTable |
| 906 |
Initially applied IFRSs [axis] |
Axis |
|
|
ifrs-full:InitiallyAppliedIFRSsAxis |
| 907 |
Initially applied IFRSs [member] |
Member |
|
|
ifrs-full:InitiallyAppliedIFRSsMember |
| 908 |
IFRS 9 and IFRS 15 [member] |
Member |
|
|
lyg:IFRS9AndIFRS15Member |
| 909 |
IFRS 9 [Member] |
Member |
|
|
lyg:IFRS9Member |
| 910 |
ADOPTION OF IFRS 9 AND IFRS 15 (Tables) [Line Items] |
LineItems |
|
|
lyg:ADOPTIONOFIFRS9ANDIFRS15TablesLineItems |
| 911 |
Disclosure Of Initial Application Of Standards Or Interpretations [Table Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:DisclosureOfInitialApplicationOfStandardsOrInterpretationsTableTextBlock |
| 912 |
Explanation of initial application of impairment requirements for financial instruments [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:ExplanationOfInitialApplicationOfImpairmentRequirementsForFinancialInstrumentsExplanatory |
| 913 |
Disclosure of expected impact of initial application of new standards or interpretations [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DescriptionOfExpectedImpactOfInitialApplicationOfNewStandardsOrInterpretations |
| 914 |
Disclosure of reclassification of financial instruments [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfReclassificationOfFinancialInstrumentsExplanatory |
| 915 |
117 - Disclosure - PARENT COMPANY DISCLOSURES (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/PARENTCOMPANYDISCLOSURESTables |
| 916 |
PARENT COMPANY DISCLOSURES (Tables) [Table] |
Table |
* |
* |
lyg:PARENTCOMPANYDISCLOSURESTablesTable |
| 917 |
Consolidated and separate financial statements [axis] |
Axis |
|
|
ifrs-full:ConsolidatedAndSeparateFinancialStatementsAxis |
| 918 |
Consolidated [member] |
Member |
|
|
ifrs-full:ConsolidatedMember |
| 919 |
Statement of changes in equity [Member] |
Member |
|
|
lyg:StatementOfChangesInEquityMember |
| 920 |
Consolidated Entities [Axis] |
Axis |
|
|
srt:ConsolidatedEntitiesAxis |
| 921 |
Consolidated Entities [Domain] |
Member |
|
|
srt:ConsolidatedEntitiesDomain |
| 922 |
Parent Company [Member] |
Member |
|
|
srt:ParentCompanyMember |
| 923 |
PARENT COMPANY DISCLOSURES (Tables) [Line Items] |
LineItems |
|
|
lyg:PARENTCOMPANYDISCLOSURESTablesLineItems |
| 924 |
Condensed Income Statement [Table Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
srt:ScheduleOfCondensedIncomeStatementTableTextBlock |
| 925 |
Condensed Balance Sheet [Table Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
srt:ScheduleOfCondensedBalanceSheetTableTextBlock |
| 926 |
Statement of Changes In Equity [table text block] |
Concept (Text Block (HTML)) |
For Period |
|
lyg:StatementOfChangesInEquity |
| 927 |
Condensed Cash Flow Statement [Table Text Block] |
Concept (Text Block (HTML)) |
For Period |
|
srt:ScheduleOfCondensedCashFlowStatementTableTextBlock |
| 928 |
Disclosure of interests in subsidiaries [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfInterestsInSubsidiariesExplanatory |
| 929 |
118 - Disclosure - CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Tables) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CONDENSEDCONSOLIDATINGFINANCIALINFORMATIONTables |
| 930 |
CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Tables) [Table] |
Table |
* |
* |
lyg:CONDENSEDCONSOLIDATINGFINANCIALINFORMATIONTablesTable |
| 931 |
Consolidated and separate financial statements [axis] |
Axis |
|
|
ifrs-full:ConsolidatedAndSeparateFinancialStatementsAxis |
| 932 |
Consolidated [member] |
Member |
|
|
ifrs-full:ConsolidatedMember |
| 933 |
Condensed Consolidated Income Statement [Member] |
Member |
|
|
lyg:CondensedConsolidatedIncomeStatementMember |
| 934 |
Condensed Consolidated Statement of Comprehensive Income [Member] |
Member |
|
|
lyg:CondensedConsolidatedStatementOfComprehensiveIncomeMember |
| 935 |
Condensed Consolidated Balance Sheet [Member] |
Member |
|
|
lyg:CondensedConsolidatedBalanceSheetMember |
| 936 |
Condensed Consolidated Cash Flow Statement [Member] |
Member |
|
|
lyg:CondensedConsolidatedCashFlowStatementMember |
| 937 |
CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Tables) [Line Items] |
LineItems |
|
|
lyg:CONDENSEDCONSOLIDATINGFINANCIALINFORMATIONTablesLineItems |
| 938 |
Disclosure of separate financial statements [text block] |
Concept (Text Block (HTML)) |
For Period |
|
ifrs-full:DisclosureOfConsolidatedAndSeparateFinancialStatementsExplanatory |
| 939 |
119 - Disclosure - BASIS OF PREPARATION (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/BASISOFPREPARATIONDetails |
| 940 |
BASIS OF PREPARATION (Details) [Table] |
Table |
* |
* |
lyg:BASISOFPREPARATIONDetailsTable |
| 941 |
Events of reclassification of financial assets [axis] |
Axis |
|
|
ifrs-full:EventsOfReclassificationOfFinancialAssetsAxis |
| 942 |
Events of reclassification of financial assets [member] |
Member |
|
|
ifrs-full:EventsOfReclassificationOfFinancialAssetsMember |
| 943 |
Reclassified items [member] |
Member |
|
|
ifrs-full:ReclassifiedItemsMember |
| 944 |
BASIS OF PREPARATION (Details) [Line Items] |
LineItems |
|
|
lyg:BASISOFPREPARATIONDetailsLineItems |
| 945 |
Reclassification into financial assets at fair value through profit or loss |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ReclassificationIntoFinancialAssetsAtFairValueThroughProfitOrLoss |
| 946 |
120 - Disclosure - ACCOUNTING POLICIES (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ACCOUNTINGPOLICIESDetails |
| 947 |
ACCOUNTING POLICIES (Details) [Table] |
Table |
* |
* |
lyg:ACCOUNTINGPOLICIESDetailsTable |
| 948 |
Range [axis] |
Axis |
|
|
ifrs-full:RangeAxis |
| 949 |
Ranges [member] |
Member |
|
|
ifrs-full:RangesMember |
| 950 |
Bottom of range [member] |
Member |
|
|
ifrs-full:BottomOfRangeMember |
| 951 |
Top of range [member] |
Member |
|
|
ifrs-full:TopOfRangeMember |
| 952 |
Classes of intangible assets other than goodwill [axis] |
Axis |
|
|
ifrs-full:ClassesOfIntangibleAssetsOtherThanGoodwillAxis |
| 953 |
Intangible assets other than goodwill [member] |
Member |
|
|
ifrs-full:IntangibleAssetsOtherThanGoodwillMember |
| 954 |
Computer software [member] |
Member |
|
|
ifrs-full:ComputerSoftwareMember |
| 955 |
Brand names [member] |
Member |
|
|
ifrs-full:BrandNamesMember |
| 956 |
ACCOUNTING POLICIES (Details) [Line Items] |
LineItems |
|
|
lyg:ACCOUNTINGPOLICIESDetailsLineItems |
| 957 |
Proportion of voting rights held by non-controlling interests |
Concept (Percent) |
For Period |
|
ifrs-full:ProportionOfVotingRightsHeldByNoncontrollingInterests |
| 958 |
Useful lives or depreciation rates, property, plant and equipment |
Concept (Text/String) |
For Period |
|
ifrs-full:UsefulLivesOrDepreciationRatesPropertyPlantAndEquipment |
| 959 |
121 - Disclosure - CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESDetails |
| 960 |
CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) [Table] |
Table |
* |
* |
lyg:CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESDetailsTable |
| 961 |
ECL Allowance [Axis] |
Axis |
|
|
lyg:ECLAllowanceAxis |
| 962 |
ECLAllowance [Domain] |
Member |
|
|
lyg:ECLAllowanceDomain |
| 963 |
Drawn balance [member] |
Member |
|
|
lyg:DrawnBalanceMember |
| 964 |
Probability of default [axis] |
Axis |
|
|
ifrs-full:ProbabilityOfDefaultAxis |
| 965 |
Entity's total for probability of default [member] |
Member |
|
|
ifrs-full:EntitysTotalForProbabilityOfDefaultMember |
| 966 |
Stage 2 [member] |
Member |
|
|
lyg:Stage2Member |
| 967 |
Classes of other provisions [axis] |
Axis |
|
|
ifrs-full:ClassesOfProvisionsAxis |
| 968 |
Other provisions [member] |
Member |
|
|
ifrs-full:OtherProvisionsMember |
| 969 |
Historical Regulatory Breaches [Member] |
Member |
|
|
lyg:HistoricalRegulatoryBreachesMember |
| 970 |
Mis-selling of Payment Protection Insurance [Member] |
Member |
|
|
lyg:MissellingOfPaymentProtectionInsuranceMember |
| 971 |
Classes of assets [axis] |
Axis |
|
|
ifrs-full:ClassesOfAssetsAxis |
| 972 |
Assets [member] |
Member |
|
|
ifrs-full:ClassesOfAssetsMember |
| 973 |
In-Force [Member] |
Member |
|
|
lyg:InForceMember |
| 974 |
Acquired In-Force [Member] |
Member |
|
|
lyg:AcquiredInForceMember |
| 975 |
Classes of liabilities [axis] |
Axis |
|
|
ifrs-full:ClassesOfLiabilitiesAxis |
| 976 |
Liabilities [member] |
Member |
|
|
ifrs-full:LiabilitiesMember |
| 977 |
Insurance Contracts and Participating Investment Contracts [Member] |
Member |
|
|
lyg:InsuranceContractsAndParticipatingInvestmentContractsMember |
| 978 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 979 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 980 |
Trading Losses [Member] |
Member |
|
|
lyg:TradingLossesMember |
| 981 |
Not Recognized |
Member |
|
|
lyg:NotRecognizedMember |
| 982 |
Defined benefit plans [axis] |
Axis |
|
|
ifrs-full:DefinedBenefitPlansAxis |
| 983 |
Defined benefit plans [member] |
Member |
|
|
ifrs-full:DefinedBenefitPlansMember |
| 984 |
Defined benefit pension schemes [Member] |
Member |
|
|
lyg:DefinedBenefitPensionSchemesMember |
| 985 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 986 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 987 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 988 |
CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) [Line Items] |
LineItems |
|
|
lyg:CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESDetailsLineItems |
| 989 |
Allowance account for credit losses of financial assets |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:AllowanceAccountForCreditLossesOfFinancialAssets |
| 990 |
Impaired Financing Receivable, Related Allowance |
Concept (Monetary) |
As Of |
Credit |
us-gaap:ImpairedFinancingReceivableRelatedAllowance |
| 991 |
Information about entity's definitions of default |
Concept (Text/String) |
For Period |
|
ifrs-full:InformationAboutEntitysDefinitionsOfDefault |
| 992 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 993 |
Information on how entity determined whether credit risk of financial instruments has increased significantly since initial recognition |
Concept (Text/String) |
For Period |
|
ifrs-full:InformationOnHowEntityDeterminedWhetherCreditRiskOfFinancialInstrumentsHasIncreasedSignificantlySinceInitialRecognition |
| 994 |
Assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:Assets |
| 995 |
Liabilities Arising From Insurance Contracts and Participating Investment Contracts |
Concept (Monetary) |
As Of |
Credit |
lyg:LiabilitiesArisingFromInsuranceContractsAndParticipatingInvestmentContracts |
| 996 |
Assets (liabilities) |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:NetAssetsLiabilities |
| 997 |
Liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Liabilities |
| 998 |
Deferred tax assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DeferredTaxAssets |
| 999 |
Other provisions |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherProvisions |
| 1000 |
Financial assets, at fair value |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValue |
| 1001 |
Financial liabilities, at fair value |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValue |
| 1002 |
122 - Disclosure - CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Key Economic Assumptions |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofKeyEconomicAssumptionsTable |
| 1003 |
CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Key Economic Assumptions [Table] |
Table |
* |
* |
lyg:CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESDetailsScheduleofKeyEconomicAssumptionsTable |
| 1004 |
Actuarial assumptions [axis] |
Axis |
|
|
ifrs-full:ActuarialAssumptionsAxis |
| 1005 |
Actuarial assumptions [member] |
Member |
|
|
ifrs-full:ActuarialAssumptionsMember |
| 1006 |
Start To Peak [Member] |
Member |
|
|
lyg:StartToPeakMember |
| 1007 |
Start To Trough [Member] |
Member |
|
|
lyg:StartToTroughMember |
| 1008 |
Variable Rate [Axis] |
Axis |
|
|
us-gaap:VariableRateAxis |
| 1009 |
Variable Rate [Domain] |
Member |
|
|
us-gaap:VariableRateDomain |
| 1010 |
Base Case [Member] |
Member |
|
|
lyg:BaseCaseMember |
| 1011 |
Upside [Member] |
Member |
|
|
lyg:UpsideMember |
| 1012 |
Downside [Member] |
Member |
|
|
lyg:DownsideMember |
| 1013 |
Severe Downside [Member] |
Member |
|
|
lyg:SevereDownsideMember |
| 1014 |
CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Key Economic Assumptions [Line Items] |
LineItems |
|
|
lyg:CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESDetailsScheduleofKeyEconomicAssumptionsLineItems |
| 1015 |
Interest rate |
Concept (Percent) |
As Of |
|
lyg:EconomicAssumptionInterestRate |
| 1016 |
Unemployment rate |
Concept (Percent) |
As Of |
|
lyg:EconomicAssumptionUnemploymentRate |
| 1017 |
House price growth |
Concept (Percent) |
As Of |
|
lyg:EconomicAssumptionHousePriceGrowth |
| 1018 |
Commercial real estate price growth |
Concept (Percent) |
As Of |
|
lyg:EconomicAssumptionCommercialRealEstatePriceGrowth |
| 1019 |
123 - Disclosure - CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Multiple Economic Scenarios |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofMultipleEconomicScenariosTable |
| 1020 |
CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Multiple Economic Scenarios [Table] |
Table |
* |
* |
lyg:CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESDetailsScheduleofMultipleEconomicScenariosTable |
| 1021 |
Impact of Multiple Economic Scenarios [Axis] |
Axis |
|
|
lyg:ImpactOfMultipleEconomicScenariosAxis |
| 1022 |
ImpactOfMultipleEconomicScenarios [Domain] |
Member |
|
|
lyg:ImpactOfMultipleEconomicScenariosDomain |
| 1023 |
UK Mortgages [Member] |
Member |
|
|
lyg:UKMortgagesMember |
| 1024 |
Other Retail [Member] |
Member |
|
|
lyg:OtherRetailMember |
| 1025 |
Commercial Banking [Member] |
Member |
|
|
lyg:CommercialBankingMember |
| 1026 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 1027 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 1028 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 1029 |
Base Case [Member] |
Member |
|
|
lyg:BaseCaseMember |
| 1030 |
Probability Weighted [Member] |
Member |
|
|
lyg:ProbabilityWeightedMember |
| 1031 |
Difference [Member] |
Member |
|
|
lyg:DifferenceMember |
| 1032 |
CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Multiple Economic Scenarios [Line Items] |
LineItems |
|
|
lyg:CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESDetailsScheduleofMultipleEconomicScenariosLineItems |
| 1033 |
Impact of economic scenario |
Concept (Monetary) |
As Of |
Credit |
lyg:ImpactOfEconomicScenario |
| 1034 |
124 - Disclosure - CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Expected Credit Loss |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofExpectedCreditLossTable |
| 1035 |
CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Expected Credit Loss [Table] |
Table |
* |
* |
lyg:CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESDetailsScheduleofExpectedCreditLossTable |
| 1036 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 1037 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 1038 |
Upside [Member] |
Member |
|
|
lyg:UpsideMember |
| 1039 |
Downside [Member] |
Member |
|
|
lyg:DownsideMember |
| 1040 |
CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Expected Credit Loss [Line Items] |
LineItems |
|
|
lyg:CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESDetailsScheduleofExpectedCreditLossLineItems |
| 1041 |
ECL allowance |
Concept (Monetary) |
As Of |
Credit |
lyg:ExpectedCreditLoss |
| 1042 |
125 - Disclosure - CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Expected Credit Loss Relating to House Price Index |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofExpectedCreditLossRelatingtoHousePriceIndexTable |
| 1043 |
CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Expected Credit Loss Relating to House Price Index [Table] |
Table |
* |
* |
lyg:CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESDetailsScheduleofExpectedCreditLossRelatingtoHousePriceIndexTable |
| 1044 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 1045 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 1046 |
HPI 10pp Increase [Member] |
Member |
|
|
lyg:HPI10ppIncreaseMember |
| 1047 |
HPI 10pp Decrease [Member] |
Member |
|
|
lyg:HPI10ppDecreaseMember |
| 1048 |
CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Expected Credit Loss Relating to House Price Index [Line Items] |
LineItems |
|
|
lyg:CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESDetailsScheduleofExpectedCreditLossRelatingtoHousePriceIndexLineItems |
| 1049 |
ECL impact, Łm |
Concept (Monetary) |
As Of |
Credit |
lyg:ExpectedCreditLoss |
| 1050 |
126 - Disclosure - CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Expected Credit Loss Relating to Unemployment |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofExpectedCreditLossRelatingtoUnemploymentTable |
| 1051 |
CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Expected Credit Loss Relating to Unemployment [Table] |
Table |
* |
* |
lyg:CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESDetailsScheduleofExpectedCreditLossRelatingtoUnemploymentTable |
| 1052 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 1053 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 1054 |
Unemployment Increase 1pp [Member] |
Member |
|
|
lyg:UnemploymentIncrease1ppMember |
| 1055 |
Unemployment Decrease 1pp [Member] |
Member |
|
|
lyg:UnemploymentDecrease1ppMember |
| 1056 |
CRITICAL ACCOUNTING JUDGEMENTS AND ESTIMATES (Details) - Schedule of Expected Credit Loss Relating to Unemployment [Line Items] |
LineItems |
|
|
lyg:CRITICALACCOUNTINGJUDGEMENTSANDESTIMATESDetailsScheduleofExpectedCreditLossRelatingtoUnemploymentLineItems |
| 1057 |
ECL impact, Łm |
Concept (Monetary) |
As Of |
Credit |
lyg:ExpectedCreditLoss |
| 1058 |
127 - Disclosure - SEGMENTAL ANALYSIS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SEGMENTALANALYSISDetails |
| 1059 |
SEGMENTAL ANALYSIS (Details) [Table] |
Table |
* |
* |
lyg:SEGMENTALANALYSISDetailsTable |
| 1060 |
Segments [axis] |
Axis |
|
|
ifrs-full:SegmentsAxis |
| 1061 |
Segments [member] |
Member |
|
|
ifrs-full:SegmentsMember |
| 1062 |
Volatility And Other Items [Member] |
Member |
|
|
lyg:VolatilityAndOtherItemsMember |
| 1063 |
Write-Off of the ECN [Member] |
Member |
|
|
lyg:WriteOffOfTheECNMember |
| 1064 |
SEGMENTAL ANALYSIS (Details) [Line Items] |
LineItems |
|
|
lyg:SEGMENTALANALYSISDetailsLineItems |
| 1065 |
Description of types of products and services from which each reportable segment derives its revenues |
Concept (Text/String) |
For Period |
|
ifrs-full:DescriptionOfTypesOfProductsAndServicesFromWhichEachReportableSegmentDerivesItsRevenues |
| 1066 |
Profit (loss) on disposal of investments and changes in value of investments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitsLossesOnDisposalOfInvestmentsAndChangesInValueOfInvestments |
| 1067 |
Gains (losses) on available-for-sale financial assets |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnAvailableforsaleFinancialAssets |
| 1068 |
Loss on Volatile Items |
Concept (Monetary) |
For Period |
Credit |
lyg:LossOnVolatileItems |
| 1069 |
Amortisation, intangible assets other than goodwill |
Concept (Monetary) |
For Period |
|
ifrs-full:AmortisationIntangibleAssetsOtherThanGoodwill |
| 1070 |
Expense of restructuring activities |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ExpenseOfRestructuringActivities |
| 1071 |
Expense due to unwinding of discount on provisions |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ExpenseDueToUnwindingOfDiscountOnProvisions |
| 1072 |
Transfers of cumulative gain (loss) within equity when changes in liability's credit risk are presented in other comprehensive income |
Concept (Monetary) |
For Period |
|
ifrs-full:TransfersOfCumulativeGainLossWithinEquity |
| 1073 |
Gains (losses) on change in fair value of derivatives |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnChangeInFairValueOfDerivatives |
| 1074 |
128 - Disclosure - SEGMENTAL ANALYSIS (Details) - Schedule of Operating Segments |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofOperatingSegmentsTable |
| 1075 |
SEGMENTAL ANALYSIS (Details) - Schedule of Operating Segments [Table] |
Table |
* |
* |
lyg:SEGMENTALANALYSISDetailsScheduleofOperatingSegmentsTable |
| 1076 |
Segments [axis] |
Axis |
|
|
ifrs-full:SegmentsAxis |
| 1077 |
Segments [member] |
Member |
|
|
ifrs-full:SegmentsMember |
| 1078 |
5200 to 5999 Retail Trade [Member] |
Member |
|
|
sic:Z5200toZ5999 |
| 1079 |
522110 Commercial Banking [Member] |
Member |
|
|
naics:ZZ522110 |
| 1080 |
Insurance and wealth [Member] |
Member |
|
|
lyg:InsuranceAndWealthMember |
| 1081 |
Other Income [Member] |
Member |
|
|
us-gaap:OtherIncomeMember |
| 1082 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 1083 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 1084 |
Underlying Basis [Member] |
Member |
|
|
lyg:UnderlyingBasisMember |
| 1085 |
Subsegments [Axis] |
Axis |
|
|
us-gaap:SubsegmentsAxis |
| 1086 |
Subsegments [Domain] |
Member |
|
|
us-gaap:SubsegmentsDomain |
| 1087 |
Current Accounts [Member] |
Member |
|
|
lyg:CurrentAccountsMember |
| 1088 |
Credit and Debit Card [Member] |
Member |
|
|
us-gaap:CreditAndDebitCardMember |
| 1089 |
Corporate Banking and Treasury Fees |
Member |
|
|
lyg:CorporateBankingAndTreasuryFeesMember |
| 1090 |
Unit Trust and Insurance Broking [Member] |
Member |
|
|
lyg:UnitTrustAndInsuranceBrokingMember |
| 1091 |
Private Banking and Asset Management [Member] |
Member |
|
|
lyg:PrivateBankingAndAssetManagementMember |
| 1092 |
Factoring of receivables [member] |
Member |
|
|
ifrs-full:FactoringOfReceivablesMember |
| 1093 |
Other Fees and Commissions [Member] |
Member |
|
|
lyg:OtherFeesAndCommissionsMember |
| 1094 |
SEGMENTAL ANALYSIS (Details) - Schedule of Operating Segments [Line Items] |
LineItems |
|
|
lyg:SEGMENTALANALYSISDetailsScheduleofOperatingSegmentsLineItems |
| 1095 |
Net interest income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RevenueFromInterest |
| 1096 |
Other income, net of insurance claims |
Concept (Monetary) |
For Period |
Credit |
lyg:OtherIncomeNetOfInsuranceClaims |
| 1097 |
Total underlying income, net of insurance claims |
Concept (Monetary) |
For Period |
Credit |
lyg:RevenueNetOfInsuranceClaims |
| 1098 |
Operating lease depreciation |
Concept (Monetary) |
For Period |
Credit |
lyg:OperatingLeaseDepreciation |
| 1099 |
Net income |
Concept (Monetary) |
For Period |
Credit |
lyg:RevenueNetOfInsuranceClaimsAndLeaseDepreciationExpense |
| 1100 |
Operating costs |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:OperatingExpense |
| 1101 |
Remediation |
Concept (Monetary) |
For Period |
Debit |
lyg:RemediationNetOfInsuranceClaims |
| 1102 |
Total costs |
Concept (Monetary) |
For Period |
Debit |
lyg:TotalCostsNetOfInsuranceClaims |
| 1103 |
Impairment |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLossRecognisedInProfitOrLoss |
| 1104 |
Underlying profit (loss) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossBeforeTax |
| 1105 |
External income |
Concept (Monetary) |
For Period |
Credit |
lyg:ExternalIncome |
| 1106 |
Inter-segment income |
Concept (Monetary) |
For Period |
Credit |
lyg:IntersegmentIncome |
| 1107 |
Segment underlying income, net of insurance claims |
Concept (Monetary) |
For Period |
Credit |
lyg:RevenueNetOfInsuranceClaims |
| 1108 |
Operating lease depreciation |
Concept (Monetary) |
For Period |
Credit |
lyg:OperatingLeaseDepreciation |
| 1109 |
Net income |
Concept (Monetary) |
For Period |
Credit |
lyg:RevenueNetOfInsuranceClaimsAndLeaseDepreciationExpense |
| 1110 |
Operating costs |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:OperatingExpense |
| 1111 |
Remediation |
Concept (Monetary) |
For Period |
Debit |
lyg:RemediationNetOfInsuranceClaims |
| 1112 |
Total costs |
Concept (Monetary) |
For Period |
Debit |
lyg:TotalCostsNetOfInsuranceClaims |
| 1113 |
Impairment |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLossRecognisedInProfitOrLoss |
| 1114 |
Segment external assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:Assets |
| 1115 |
Segment customer deposits |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromCustomers |
| 1116 |
Segment external liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Liabilities |
| 1117 |
Underlying other income, net of insurance claims |
Concept (Monetary) |
For Period |
Credit |
lyg:SegmentRevenueNetOfInsuranceClaimsinPounds |
| 1118 |
Fees and commissions receivable |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherReceivables |
| 1119 |
Fees and commissions payable |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherPayables |
| 1120 |
Net fee and commission income |
Concept (Monetary) |
As Of |
Credit |
lyg:NetIncomeFromFeesAndCommissions |
| 1121 |
Operating lease rental income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RentalIncome |
| 1122 |
Rental income from investment properties |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RentalIncomeFromInvestmentProperty |
| 1123 |
Gains less losses on disposal of financial assets at fair value through other comprehensive income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnAvailableforsaleFinancialAssets |
| 1124 |
Lease termination income |
Concept (Monetary) |
For Period |
Credit |
us-gaap:GainLossOnTerminationOfLease |
| 1125 |
Net trading income, excluding insurance |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:TradingIncomeExpense |
| 1126 |
Insurance and other, net of insurance claims |
Concept (Monetary) |
For Period |
Credit |
us-gaap:InsuranceInvestmentIncome |
| 1127 |
Other external income, net of insurance claims |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:FinanceIncome |
| 1128 |
Inter-segment other income |
Concept (Monetary) |
For Period |
Credit |
lyg:InterSegmentIncomeOther |
| 1129 |
Segment other income, net of insurance claims |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForFairValueGainsLosses |
| 1130 |
income statement above: |
Abstract |
|
|
lyg:IncomeStatementAboveAbstract |
| 1131 |
Depreciation and amortisation |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DepreciationAndAmortisationExpense |
| 1132 |
Increase/Decrease in value of in-force business |
Concept (Monetary) |
For Period |
|
lyg:MovementInValueOfInforceBusiness |
| 1133 |
Defined benefit scheme charges |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:PostemploymentBenefitExpenseDefinedBenefitPlans |
| 1134 |
Other segment items: |
Abstract |
|
|
lyg:OtherSegmentItemsAbstract |
| 1135 |
Additions to fixed assets |
Concept (Monetary) |
As Of |
Debit |
lyg:AdditionsToFixedAssets |
| 1136 |
Investments in joint ventures and associates at end of year |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:InvestmentsInSubsidiariesJointVenturesAndAssociates |
| 1137 |
Other segment items reflected in income statement above: |
Abstract |
|
|
lyg:OtherSegmentItemsReflectedInIncomeStatementAboveAbstract0 |
| 1138 |
Other segment items: |
Abstract |
|
|
lyg:OtherSegmentItemsAbstract00 |
| 1139 |
Other segment items reflected in income statement above: |
Abstract |
|
|
lyg:OtherSegmentItemsReflectedInIncomeStatementAboveAbstract |
| 1140 |
Other segment items: |
Abstract |
|
|
lyg:OtherSegmentItemsAbstract0 |
| 1141 |
129 - Disclosure - SEGMENTAL ANALYSIS (Details) - Schedule of Reconciliation of Underlying Basis to Statutory Results |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofReconciliationofUnderlyingBasistoStatutoryResultsTable |
| 1142 |
SEGMENTAL ANALYSIS (Details) - Schedule of Reconciliation of Underlying Basis to Statutory Results [Table] |
Table |
* |
* |
lyg:SEGMENTALANALYSISDetailsScheduleofReconciliationofUnderlyingBasistoStatutoryResultsTable |
| 1143 |
Segments [axis] |
Axis |
|
|
ifrs-full:SegmentsAxis |
| 1144 |
Segments [member] |
Member |
|
|
ifrs-full:SegmentsMember |
| 1145 |
Volatility And Other Items [Member] |
Member |
|
|
lyg:VolatilityAndOtherItemsMember |
| 1146 |
Insurance Gross Up [Member] |
Member |
|
|
lyg:InsuranceGrossUpMember |
| 1147 |
Underlying Basis [Member] |
Member |
|
|
lyg:UnderlyingBasisMember |
| 1148 |
Payment Protection Insurance [Member] |
Member |
|
|
lyg:PaymentProtectionInsuranceMember |
| 1149 |
SEGMENTAL ANALYSIS (Details) - Schedule of Reconciliation of Underlying Basis to Statutory Results [Line Items] |
LineItems |
|
|
lyg:SEGMENTALANALYSISDetailsScheduleofReconciliationofUnderlyingBasistoStatutoryResultsLineItems |
| 1150 |
Net interest income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestRevenueExpense |
| 1151 |
Other income, net of insurance claims |
Concept (Monetary) |
For Period |
Credit |
lyg:OtherIncomeNetOfInsuranceClaims |
| 1152 |
Total income, net of insurance claims |
Concept (Monetary) |
For Period |
Credit |
lyg:RevenueNetOfInsuranceClaims |
| 1153 |
Operating lease depreciation |
Concept (Monetary) |
For Period |
Credit |
lyg:OperatingLeaseDepreciation |
| 1154 |
Net income |
Concept (Monetary) |
For Period |
Credit |
lyg:RevenueNetOfInsuranceClaimsAndLeaseDepreciationExpense |
| 1155 |
Operating expenses |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:OperatingExpense |
| 1156 |
Impairment |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLoss |
| 1157 |
Profit |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossBeforeTax |
| 1158 |
130 - Disclosure - NET INTEREST INCOME (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/NETINTERESTINCOMEDetails |
| 1159 |
NET INTEREST INCOME (Details) [Table] |
Table |
* |
* |
lyg:NETINTERESTINCOMEDetailsTable |
| 1160 |
Types of interest rates [axis] |
Axis |
|
|
ifrs-full:TypesOfInterestRatesAxis |
| 1161 |
Interest rate types [member] |
Member |
|
|
ifrs-full:InterestRateTypesMember |
| 1162 |
Negative interest rates [Member] |
Member |
|
|
lyg:NegativeInterestRatesMember |
| 1163 |
Reserves within equity [axis] |
Axis |
|
|
ifrs-full:ReservesWithinEquityAxis |
| 1164 |
Other reserves [member] |
Member |
|
|
ifrs-full:OtherReservesMember |
| 1165 |
Reserve of cash flow hedges [member] |
Member |
|
|
ifrs-full:ReserveOfCashFlowHedgesMember |
| 1166 |
NET INTEREST INCOME (Details) [Line Items] |
LineItems |
|
|
lyg:NETINTERESTINCOMEDetailsLineItems |
| 1167 |
Interest income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RevenueFromInterest |
| 1168 |
Borrowings, interest rate |
Concept (Percent) |
As Of |
|
ifrs-full:BorrowingsInterestRate |
| 1169 |
Interest expense |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:InterestExpense |
| 1170 |
Interest income on impaired financial assets accrued |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestIncomeOnImpairedFinancialAssetsAccrued |
| 1171 |
131 - Disclosure - NET INTEREST INCOME (Details) - Schedule of Net Interest Income |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofNetInterestIncomeTable |
| 1172 |
NET INTEREST INCOME (Details) - Schedule of Net Interest Income [Table] |
Table |
* |
* |
lyg:NETINTERESTINCOMEDetailsScheduleofNetInterestIncomeTable |
| 1173 |
Type of Account [Axis] |
Axis |
|
|
lyg:TypeOfAccountAxis |
| 1174 |
TypeOfAccount [Domain] |
Member |
|
|
lyg:TypeOfAccountDomain |
| 1175 |
Interest and similar income [Member] |
Member |
|
|
lyg:InterestAndSimilarIncomeMember |
| 1176 |
Interest and similar expense [Member] |
Member |
|
|
lyg:InterestAndSimilarExpenseMember |
| 1177 |
NET INTEREST INCOME (Details) - Schedule of Net Interest Income [Line Items] |
LineItems |
|
|
lyg:NETINTERESTINCOMEDetailsScheduleofNetInterestIncomeLineItems |
| 1178 |
Loans and advances to customers |
Concept (Percent) |
As Of |
|
lyg:LoansAndAdvancesToCustomersWeightedAverageEffectiveInterestRate |
| 1179 |
Loans and advances to customers |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestIncomeOnLoansAndAdvancesToCustomers |
| 1180 |
Loans and advances to banks |
Concept (Percent) |
As Of |
|
lyg:LoansAndAdvancesToBanksWeightedAverageEffectiveInterestRate |
| 1181 |
Loans and advances to banks |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestIncomeOnLoansAndAdvancesToBanks |
| 1182 |
Debt securities held at amortised cost |
Concept (Percent) |
As Of |
|
lyg:DebtSecuritiesHeldAsLoansAndReceivablesWeightedAverageEffectiveInterestRate |
| 1183 |
Debt securities held at amortised cost |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestIncomeOnDebtInstrumentsHeld |
| 1184 |
Held-to-maturity investments |
Concept (Percent) |
As Of |
|
lyg:HeldtomaturityInvestmentsWeightedAverageEffectiveInterestRate |
| 1185 |
Held-to-maturity investments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestIncomeOnHeldtomaturityInvestments |
| 1186 |
Interest receivable on financial assets held at amortised cost |
Concept (Percent) |
As Of |
|
lyg:InterestReceivableOnLoansAndReceivablesWeightedAverageEffectiveInterestRate |
| 1187 |
Interest receivable on financial assets held at amortised cost |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestIncomeOnLoansAndReceivables |
| 1188 |
Financial assets at fair value through other comprehensive income |
Concept (Percent) |
As Of |
|
lyg:FinancialAssetsAtFairValueThroughOtherComprehensiveIncomeWeightedAverageEffectiveInterestRate |
| 1189 |
Financial assets at fair value through other comprehensive income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestRevenueForFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome |
| 1190 |
Available-for-sale financial assets |
Concept (Percent) |
As Of |
|
lyg:AvailableforsaleFinancialAssetsWeightedAverageEffectiveInterestRate |
| 1191 |
Available-for-sale financial assets |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestIncomeOnAvailableforsaleFinancialAssets |
| 1192 |
Total interest and similar income |
Concept (Percent) |
As Of |
|
lyg:LoansInvestmentsAndReceivablesWeightedAverageEffectiveInterestRate |
| 1193 |
Total interest and similar income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RevenueFromInterest |
| 1194 |
Deposits from banks, excluding liabilities under sale and repurchase transactions |
Concept (Percent) |
As Of |
|
lyg:DepositsFromBanksExcludingLiabilitiesUnderSaleAndRepurchaseTransactionsWeightedAverageEffectiveInterestRate |
| 1195 |
Deposits from banks, excluding liabilities under sale and repurchase transactions |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:InterestExpenseOnDepositsFromBanks |
| 1196 |
Customer deposits, excluding liabilities under sale and repurchase transactions |
Concept (Percent) |
As Of |
|
lyg:CustomerDepositsExcludingLiabilitiesUnderSaleAndRepurchaseTransactionsWeightedAverageEffectiveInterestRate |
| 1197 |
Customer deposits, excluding liabilities under sale and repurchase transactions |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:InterestExpenseOnDepositsFromCustomers |
| 1198 |
Debt securities in issue |
Concept (Percent) |
As Of |
|
lyg:DebtSecuritiesInIssueWeightedAverageEffectiveInterestRate |
| 1199 |
Debt securities in issue |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:InterestExpenseOnDebtInstrumentsIssued |
| 1200 |
Subordinated liabilities |
Concept (Percent) |
As Of |
|
lyg:SubordinatedLiabilitiesWeightedAverageEffectiveInterestRate |
| 1201 |
Subordinated liabilities |
Concept (Monetary) |
For Period |
Debit |
lyg:InterestExpenseOnSubordinatedLiabilities |
| 1202 |
Liabilities under sale and repurchase agreements |
Concept (Percent) |
As Of |
|
lyg:LiabilitiesUnderSaleAndRepurchaseAgreementsWeightedAverageEffectiveInterestRate |
| 1203 |
Liabilities under sale and repurchase agreements |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:InterestExpenseOnRepurchaseAgreementsAndCashCollateralOnSecuritiesLent |
| 1204 |
Interest payable on liabilities held at amortised cost |
Concept (Percent) |
As Of |
|
lyg:InterestPayableOnLiabilitiesHeldAtAmortisedCostWeightedAverageEffectiveInterestRate |
| 1205 |
Interest payable on liabilities held at amortised cost |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestIncomeForFinancialAssetsMeasuredAtAmortisedCost |
| 1206 |
Amounts payable to unitholders in consolidated open-ended investment vehicles |
Concept (Percent) |
As Of |
|
lyg:AmountsPayableToUnitholdersInConsolidatedOpenendedInvestmentVehiclesWeightedAverageEffectiveInterestRate |
| 1207 |
Amounts payable to unitholders in consolidated open-ended investment vehicles |
Concept (Monetary) |
For Period |
Debit |
us-gaap:InterestExpenseRelatedParty |
| 1208 |
Total interest and similar expense |
Concept (Percent) |
As Of |
|
lyg:TotalInterestAndSimilarExpenseWeightedAverageEffectiveInterestRate |
| 1209 |
Total interest and similar expense |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:InterestExpense |
| 1210 |
Net interest income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestRevenueExpense |
| 1211 |
132 - Disclosure - NET FEE AND COMMISSION INCOME (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/NETFEEANDCOMMISSIONINCOMEDetails |
| 1212 |
NET FEE AND COMMISSION INCOME (Details) [Table] |
Table |
* |
* |
lyg:NETFEEANDCOMMISSIONINCOMEDetailsTable |
| 1213 |
Departure from requirement of IFRS [axis] |
Axis |
|
|
ifrs-full:DepartureFromRequirementOfIFRSAxis |
| 1214 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 1215 |
Increase (decrease) due to application of IFRS 15 [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToApplicationOfIFRS15Member |
| 1216 |
Type of Fee and Commission Income [Axis] |
Axis |
|
|
lyg:TypeOfFeeAndCommissionIncomeAxis |
| 1217 |
TypeOfFeeAndCommissionIncome [Domain] |
Member |
|
|
lyg:TypeOfFeeAndCommissionIncomeDomain |
| 1218 |
Services provided after balance sheet date |
Member |
|
|
lyg:ServicesProvidedAfterBalanceSheetDateMember |
| 1219 |
NET FEE AND COMMISSION INCOME (Details) [Line Items] |
LineItems |
|
|
lyg:NETFEEANDCOMMISSIONINCOMEDetailsLineItems |
| 1220 |
Receivables from contracts with customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:ReceivablesFromContractsWithCustomers |
| 1221 |
Transaction price allocated to remaining performance obligations |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:TransactionPriceAllocatedToRemainingPerformanceObligations |
| 1222 |
133 - Disclosure - NET FEE AND COMMISSION INCOME (Details) - Schedule of Fee and Commission Income |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofFeeandCommissionIncomeTable |
| 1223 |
NET FEE AND COMMISSION INCOME (Details) - Schedule of Fee and Commission Income [Table] |
Table |
* |
* |
lyg:NETFEEANDCOMMISSIONINCOMEDetailsScheduleofFeeandCommissionIncomeTable |
| 1224 |
Type of Fee and Commission Income [Axis] |
Axis |
|
|
lyg:TypeOfFeeAndCommissionIncomeAxis |
| 1225 |
TypeOfFeeAndCommissionIncome [Domain] |
Member |
|
|
lyg:TypeOfFeeAndCommissionIncomeDomain |
| 1226 |
Current Accounts [Member] |
Member |
|
|
lyg:CurrentAccountsMember |
| 1227 |
Credit and Debit Card Fees [Member] |
Member |
|
|
lyg:CreditAndDebitCardFeesMember |
| 1228 |
Commercial banking and treasury fees [Member] |
Member |
|
|
lyg:CommercialBankingAndTreasuryFeesMember |
| 1229 |
Unit Trust and Insurance Broking [Member] |
Member |
|
|
lyg:UnitTrustAndInsuranceBrokingMember |
| 1230 |
Private Banking and Asset Management [Member] |
Member |
|
|
lyg:PrivateBankingAndAssetManagementMember |
| 1231 |
Factoring [Member] |
Member |
|
|
lyg:FactoringMember |
| 1232 |
Other Fees and Commissions [Member] |
Member |
|
|
lyg:OtherFeesAndCommissionsMember |
| 1233 |
NET FEE AND COMMISSION INCOME (Details) - Schedule of Fee and Commission Income [Line Items] |
LineItems |
|
|
lyg:NETFEEANDCOMMISSIONINCOMEDetailsScheduleofFeeandCommissionIncomeLineItems |
| 1234 |
Fee and commission income: |
Abstract |
|
|
ifrs-full:FeeAndCommissionIncomeAbstract |
| 1235 |
Fee and commission income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:FeeAndCommissionIncome |
| 1236 |
Fee and commission expense |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:FeeAndCommissionExpense |
| 1237 |
Net fee and commission income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:FeeAndCommissionIncomeExpense |
| 1238 |
134 - Disclosure - NET TRADING INCOME (Details) - Schedule of Net Trading Income |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofNetTradingIncomeTable |
| 1239 |
Implied Table |
Table |
* |
* |
implied:Table |
| 1240 |
Schedule of Net Trading Income [Abstract] |
Abstract |
|
|
lyg:ScheduleOfNetTradingIncomeAbstract |
| 1241 |
Foreign exchange translation gains/(losses) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnExchangeDifferencesOnTranslationNetOfTax |
| 1242 |
Gains on foreign exchange trading transactions |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:TradingIncomeExpenseOnForeignExchangeContracts |
| 1243 |
Total foreign exchange |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:NetForeignExchangeGain |
| 1244 |
Investment property gains (losses) (note 26) |
Concept (Monetary) |
For Period |
|
ifrs-full:GainsLossesOnFairValueAdjustmentInvestmentProperty |
| 1245 |
Securities and other gains (see below) |
Concept (Monetary) |
For Period |
Credit |
lyg:NetGainLossOnAssetsAndLiabilitiesAtFairValueThroughProfitOrLossAndTrading |
| 1246 |
Net trading income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:TradingIncomeExpense |
| 1247 |
135 - Disclosure - NET TRADING INCOME (Details) - Schedule of Net Gains (Losses) Held For Trading |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofNetGainsLossesHeldForTradingTable |
| 1248 |
Implied Table |
Table |
* |
* |
implied:Table |
| 1249 |
Schedule of Net Gains (Losses) Held For Trading [Abstract] |
Abstract |
|
|
lyg:ScheduleOfNetGainsLossesHeldForTradingAbstract |
| 1250 |
Net income arising on assets and liabilities mandatorily held at fair value through profit or loss: |
Abstract |
|
|
lyg:NetIncomeArisingOnAssetsAndLiabilitiesMandatorilyHeldAtFairValueThroughProfitOrLossAbstract |
| 1251 |
Net gains (losses) on financial instruments held for trading |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnFinancialAssetsAtFairValueThroughProfitOrLossClassifiedAsHeldForTrading |
| 1252 |
Other financial instruments mandatorily held at fair value through profit or loss: |
Abstract |
|
|
lyg:OtherFinancialInstrumentsMandatorilyHeldAtFairValueThroughProfitOrLossAbstract |
| 1253 |
Debt securities, loans and advances |
Concept (Monetary) |
For Period |
Credit |
lyg:GainsLossesOnDebtSecuritiesLoansAndAdvancesAtFairValueThroughProfitorLoss |
| 1254 |
Equity shares |
Concept (Monetary) |
For Period |
Credit |
lyg:GainsLossesRecognisedInProfitOrLossFairValueMeasurementHeldEquityInstruments |
| 1255 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnFinancialAssetsAtFairValueThroughProfitOrLoss |
| 1256 |
Net (expense) income arising on assets and liabilities designated at fair value through profit or loss |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnFinancialLiabilitiesAtFairValueThroughProfitOrLoss |
| 1257 |
Securities and other gains |
Concept (Monetary) |
For Period |
Credit |
lyg:NetGainLossOnAssetsAndLiabilitiesAtFairValueThroughProfitOrLossAndForTrading |
| 1258 |
136 - Disclosure - INSURANCE PREMIUM INCOME (Details) - Schedule of Insurance Premium Income |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofInsurancePremiumIncomeTable |
| 1259 |
INSURANCE PREMIUM INCOME (Details) - Schedule of Insurance Premium Income [Table] |
Table |
* |
* |
lyg:INSURANCEPREMIUMINCOMEDetailsScheduleofInsurancePremiumIncomeTable |
| 1260 |
Class of gross premiums [Axis] |
Axis |
|
|
lyg:ClassOfGrossPremiumsAxis |
| 1261 |
ClassOfGrossPremiums [Domain] |
Member |
|
|
lyg:ClassOfGrossPremiumsDomain |
| 1262 |
Life and pensions [Member] |
Member |
|
|
lyg:LifeAndPensionsMember |
| 1263 |
Annuities [member] |
Member |
|
|
lyg:AnnuitiesMember |
| 1264 |
Ceded reinsurance premiums [Member] |
Member |
|
|
lyg:CededReinsurancePremiumsMember |
| 1265 |
Types of insurance contracts [axis] |
Axis |
|
|
ifrs-full:TypesOfInsuranceContractsAxis |
| 1266 |
Types of insurance contracts [member] |
Member |
|
|
ifrs-full:InsuranceContractsMember |
| 1267 |
Life insurance contracts [member] |
Member |
|
|
ifrs-full:LifeInsuranceContractsMember |
| 1268 |
Non-life insurance contracts [member] |
Member |
|
|
ifrs-full:NonlifeInsuranceContractsMember |
| 1269 |
INSURANCE PREMIUM INCOME (Details) - Schedule of Insurance Premium Income [Line Items] |
LineItems |
|
|
lyg:INSURANCEPREMIUMINCOMEDetailsScheduleofInsurancePremiumIncomeLineItems |
| 1270 |
Gross premiums: |
Abstract |
|
|
lyg:GrossPremiumsAbstract |
| 1271 |
Gross premiums |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncomeArisingFromInsuranceContracts |
| 1272 |
Net earned premiums |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:NetEarnedPremium |
| 1273 |
Non-life insurance |
Abstract |
|
|
lyg:NonLifeInsuranceAbstract |
| 1274 |
137 - Disclosure - OTHER OPERATING INCOME (Details) - Schedule of Other Operating Income |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofOtherOperatingIncomeTable |
| 1275 |
OTHER OPERATING INCOME (Details) - Schedule of Other Operating Income [Table] |
Table |
* |
* |
lyg:OTHEROPERATINGINCOMEDetailsScheduleofOtherOperatingIncomeTable |
| 1276 |
Other Comprehensive Income Location [Axis] |
Axis |
|
|
us-gaap:OtherComprehensiveIncomeLocationAxis |
| 1277 |
Other Comprehensive Income Location [Domain] |
Member |
|
|
us-gaap:OtherComprehensiveIncomeLocationDomain |
| 1278 |
Operating Income (Loss) [Member] |
Member |
|
|
us-gaap:OperatingIncomeLossMember |
| 1279 |
OTHER OPERATING INCOME (Details) - Schedule of Other Operating Income [Line Items] |
LineItems |
|
|
lyg:OTHEROPERATINGINCOMEDetailsScheduleofOtherOperatingIncomeLineItems |
| 1280 |
Operating lease rental income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OperatingLeaseIncome |
| 1281 |
Rental income from investment properties (note 26) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RentalIncomeFromInvestmentProperty |
| 1282 |
Gains less losses on disposal of financial assets at fair value through other comprehensive income (2017 and 2016: available-for-sale financial assets) (note 41) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeBeforeTax |
| 1283 |
Movement in value of in-force business (note 24) |
Concept (Monetary) |
For Period |
|
lyg:MovementInValueOfInforceBusiness |
| 1284 |
Liability management |
Concept (Monetary) |
For Period |
|
lyg:LiabilityManagement |
| 1285 |
Share of results of joint ventures and associates |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ShareOfProfitLossOfAssociatesAndJointVenturesAccountedForUsingEquityMethod |
| 1286 |
Other |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:MiscellaneousOtherOperatingIncome |
| 1287 |
Total other operating income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherOperatingIncomeExpense |
| 1288 |
138 - Disclosure - INSURANCE CLAIMS (Details) - Schedule of Insurance Claims |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofInsuranceClaimsTable |
| 1289 |
INSURANCE CLAIMS (Details) - Schedule of Insurance Claims [Table] |
Table |
* |
* |
lyg:INSURANCECLAIMSDetailsScheduleofInsuranceClaimsTable |
| 1290 |
Insurance contracts by components [axis] |
Axis |
|
|
ifrs-full:InsuranceContractsByComponentsAxis |
| 1291 |
Insurance contracts by components [member] |
Member |
|
|
ifrs-full:InsuranceContractsByComponentsMember |
| 1292 |
Life insurance and participating investment contracts [member] |
Member |
|
|
lyg:LifeInsuranceAndParticipatingInvestmentContractsMember |
| 1293 |
Non-life insurance, net of reinsurrance [Member] |
Member |
|
|
lyg:NonlifeInsuranceNetOfReinsurranceMember |
| 1294 |
Class of claims and surrenders [Axis] |
Axis |
|
|
lyg:ClassOfClaimsAndSurrendersAxis |
| 1295 |
ClassOfClaimsAndSurrenders [Domain] |
Member |
|
|
lyg:ClassOfClaimsAndSurrendersDomain |
| 1296 |
Deaths [Member] |
Member |
|
|
lyg:DeathsMember |
| 1297 |
Maturities [Member] |
Member |
|
|
lyg:MaturitiesMember |
| 1298 |
Surrenders [Member] |
Member |
|
|
lyg:SurrendersMember |
| 1299 |
Annuities [member] |
Member |
|
|
lyg:AnnuitiesMember |
| 1300 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 1301 |
Insurance contracts [axis] |
Axis |
|
|
ifrs-full:InsuranceContractsAxis |
| 1302 |
Insurance contracts [member] |
Member |
|
|
ifrs-full:InsuranceContractsMember2017 |
| 1303 |
Participating investment contracts [Member] |
Member |
|
|
lyg:ParticipatingInvestmentContractsMember |
| 1304 |
Non-participating investment contracts [Member] |
Member |
|
|
lyg:NonparticipatingInvestmentContractsMember |
| 1305 |
Loss Contingency Nature [Axis] |
Axis |
|
|
us-gaap:LossContingenciesByNatureOfContingencyAxis |
| 1306 |
Loss Contingency, Nature [Domain] |
Member |
|
|
us-gaap:LossContingencyNatureDomain |
| 1307 |
Insurance Claims [Member] |
Member |
|
|
us-gaap:InsuranceClaimsMember |
| 1308 |
INSURANCE CLAIMS (Details) - Schedule of Insurance Claims [Line Items] |
LineItems |
|
|
lyg:INSURANCECLAIMSDetailsScheduleofInsuranceClaimsLineItems |
| 1309 |
Life insurance and participating investment contracts |
Abstract |
|
|
lyg:LifeInsuranceAndParticipatingInvestmentContractsAbstract |
| 1310 |
Claims and surrenders |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ExpenseForPolicyholderClaimsAndBenefitsWithoutReductionForReinsuranceHeld |
| 1311 |
Change in insurance and participating investment contracts (note 31) |
Concept (Monetary) |
For Period |
Debit |
lyg:ExpenseIncomeFromChangeInInsuranceLiability |
| 1312 |
Change in non-participating investment contracts |
Concept (Monetary) |
For Period |
Debit |
lyg:ExpenseIncomeFromChangeInNonParticipatingInNonParticipatingInvestmentContractsLiability |
| 1313 |
|
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForIncreaseDecreaseInInsuranceReinsuranceAndInvestmentContractLiabilities |
| 1314 |
Reinsurers’ share |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncomeFromContractsWithReinsurers |
| 1315 |
|
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ReceiptsFromPremiumsAndClaimsAnnuitiesAndOtherPolicyBenefits |
| 1316 |
Change in unallocated surplus |
Concept (Monetary) |
For Period |
|
lyg:ChangeInUnallocatedSurplus |
| 1317 |
Insurance claims |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ClaimsAndBenefitsPaidNetOfReinsuranceRecoveries |
| 1318 |
139 - Disclosure - OPERATING EXPENSES (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OPERATINGEXPENSESDetails |
| 1319 |
Implied Table |
Table |
* |
* |
implied:Table |
| 1320 |
Disclosure of expenses [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfExpensesTextBlockAbstract |
| 1321 |
Regulatory provision charged to income |
Concept (Monetary) |
As Of |
Credit |
lyg:RegulatoryProvisionChargedToIncome |
| 1322 |
Performance-based Cash Awards |
Concept (Monetary) |
As Of |
Credit |
lyg:PerformancebasedCashAwards |
| 1323 |
140 - Disclosure - OPERATING EXPENSES (Details) - Schedule of Operating Expenses |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofOperatingExpensesTable |
| 1324 |
OPERATING EXPENSES (Details) - Schedule of Operating Expenses [Table] |
Table |
* |
* |
lyg:OPERATINGEXPENSESDetailsScheduleofOperatingExpensesTable |
| 1325 |
Nature of Expense [Axis] |
Axis |
|
|
us-gaap:NatureOfExpenseAxis |
| 1326 |
Interim Period, Costs Not Allocable [Domain] |
Member |
|
|
us-gaap:InterimPeriodCostsNotAllocableDomain |
| 1327 |
Operating Expense [Member] |
Member |
|
|
us-gaap:OperatingExpenseMember |
| 1328 |
Protection plan [Axis] |
Axis |
|
|
lyg:ProtectionPlanAxis |
| 1329 |
ProtectionPlan [Domain] |
Member |
|
|
lyg:ProtectionPlanDomain |
| 1330 |
Payment Protection Insurance [Member] |
Member |
|
|
lyg:PaymentProtectionInsuranceMember |
| 1331 |
Other regulatory provisions [Member] |
Member |
|
|
lyg:OtherRegulatoryProvisionsMember |
| 1332 |
OPERATING EXPENSES (Details) - Schedule of Operating Expenses [Line Items] |
LineItems |
|
|
lyg:OPERATINGEXPENSESDetailsScheduleofOperatingExpensesLineItems |
| 1333 |
Salaries |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:WagesAndSalaries |
| 1334 |
Performance-based compensation |
Concept (Monetary) |
For Period |
Debit |
lyg:PerformancebasedCompensation |
| 1335 |
Social security costs |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:SocialSecurityContributions |
| 1336 |
Pensions and other post-retirement benefit schemes (note 35) |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:OtherLongtermBenefits |
| 1337 |
Restructuring costs |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ExpenseOfRestructuringActivities |
| 1338 |
Other staff costs |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:OtherEmployeeExpense |
| 1339 |
|
Concept (Monetary) |
For Period |
Debit |
ifrs-full:EmployeeBenefitsExpense |
| 1340 |
Rent and rates |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:LeaseAndSubleasePaymentsRecognisedAsExpense |
| 1341 |
Repairs and maintenance |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:RepairsAndMaintenanceExpense |
| 1342 |
Other |
Concept (Monetary) |
For Period |
Debit |
lyg:OtherPremisesAndEquipmentCost |
| 1343 |
|
Concept (Monetary) |
For Period |
Debit |
lyg:PremisesAndEquipmentCost |
| 1344 |
Communications and data processing |
Concept (Monetary) |
For Period |
Debit |
lyg:CommunicationAndDataProcessingExpense |
| 1345 |
Advertising and promotion |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:SalesAndMarketingExpense |
| 1346 |
Professional fees |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProfessionalFeesExpense |
| 1347 |
UK bank levy |
Concept (Monetary) |
For Period |
Debit |
lyg:UKBankLevy |
| 1348 |
Other |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:MiscellaneousOtherOperatingExpense |
| 1349 |
|
Concept (Monetary) |
For Period |
Debit |
ifrs-full:OtherExpenseByNature |
| 1350 |
Depreciation of property, plant and equipment (note 26) |
Concept (Monetary) |
For Period |
|
ifrs-full:DepreciationPropertyPlantAndEquipment |
| 1351 |
Amortisation of acquired value of in-force non-participating investment contracts (note 24) |
Concept (Monetary) |
For Period |
Debit |
lyg:AmortisationOfAcquiredValueOfInForceBusiness |
| 1352 |
Amortisation of other intangible assets (note 25) |
Concept (Monetary) |
For Period |
|
ifrs-full:AmortisationIntangibleAssetsOtherThanGoodwill |
| 1353 |
|
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DepreciationAndAmortisationExpense |
| 1354 |
Goodwill impairment (note 23) |
Concept (Monetary) |
For Period |
|
ifrs-full:ImpairmentLossRecognisedInProfitOrLossGoodwill |
| 1355 |
Total operating expenses, excluding regulatory provisions |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdministrativeExpense |
| 1356 |
Total operating expenses |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:OperatingExpense |
| 1357 |
Regulatory provisions |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ChangesInOtherProvisions |
| 1358 |
141 - Disclosure - OPERATING EXPENSES (Details) - Schedule of Performance-Based Compensation Costs |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofPerformanceBasedCompensationCostsTable |
| 1359 |
OPERATING EXPENSES (Details) - Schedule of Performance-Based Compensation Costs [Table] |
Table |
* |
* |
lyg:OPERATINGEXPENSESDetailsScheduleofPerformanceBasedCompensationCostsTable |
| 1360 |
Award Date [Axis] |
Axis |
|
|
us-gaap:AwardDateAxis |
| 1361 |
Award Date [Domain] |
Member |
|
|
us-gaap:AwardDateDomain |
| 1362 |
Current year [Member] |
Member |
|
|
lyg:CurrentYearMember |
| 1363 |
Prior year [Member] |
Member |
|
|
lyg:PriorYearMember |
| 1364 |
Type of compensation [Axis] |
Axis |
|
|
lyg:TypeOfCompensationAxis |
| 1365 |
TypeOfCompensation [Domain] |
Member |
|
|
lyg:TypeOfCompensationDomain |
| 1366 |
Performance-based compensation expense comprises [Member] |
Member |
|
|
lyg:PerformancebasedCompensationExpenseComprisesMember |
| 1367 |
Performance-based compensation expense deferred until later years comprises [Member] |
Member |
|
|
lyg:PerformancebasedCompensationExpenseDeferredUntilLaterYearsComprisesMember |
| 1368 |
OPERATING EXPENSES (Details) - Schedule of Performance-Based Compensation Costs [Line Items] |
LineItems |
|
|
lyg:OPERATINGEXPENSESDetailsScheduleofPerformanceBasedCompensationCostsLineItems |
| 1369 |
Awards made |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:KeyManagementPersonnelCompensationOtherLongtermBenefits |
| 1370 |
142 - Disclosure - OPERATING EXPENSES (Details) - Schedule of Average Number of Persons Employed by the Group |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofAverageNumberofPersonsEmployedbytheGroupTable |
| 1371 |
OPERATING EXPENSES (Details) - Schedule of Average Number of Persons Employed by the Group [Table] |
Table |
* |
* |
lyg:OPERATINGEXPENSESDetailsScheduleofAverageNumberofPersonsEmployedbytheGroupTable |
| 1372 |
Geographical areas [axis] |
Axis |
|
|
ifrs-full:GeographicalAreasAxis |
| 1373 |
Geographical areas [member] |
Member |
|
|
ifrs-full:GeographicalAreasMember |
| 1374 |
Country of domicile [member] |
Member |
|
|
ifrs-full:CountryOfDomicileMember |
| 1375 |
Foreign countries [member] |
Member |
|
|
ifrs-full:ForeignCountriesMember |
| 1376 |
OPERATING EXPENSES (Details) - Schedule of Average Number of Persons Employed by the Group [Line Items] |
LineItems |
|
|
lyg:OPERATINGEXPENSESDetailsScheduleofAverageNumberofPersonsEmployedbytheGroupLineItems |
| 1377 |
Number of Employees |
Concept (Decimal) |
For Period |
|
ifrs-full:AverageNumberOfEmployees |
| 1378 |
143 - Disclosure - AUDITORS' REMUNERATION (Details) - Schedule of Fees Payable to Auditors by the Group |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofFeesPayabletoAuditorsbytheGroupTable |
| 1379 |
AUDITORS' REMUNERATION (Details) - Schedule of Fees Payable to Auditors by the Group [Table] |
Table |
* |
* |
lyg:AUDITORSREMUNERATIONDetailsScheduleofFeesPayabletoAuditorsbytheGroupTable |
| 1380 |
Type of auditor fee [Axis] |
Axis |
|
|
lyg:TypeOfAuditorFeeAxis |
| 1381 |
TypeOfAuditorFee [Domain] |
Member |
|
|
lyg:TypeOfAuditorFeeDomain |
| 1382 |
Audit of the company's current year annual report [Member] |
Member |
|
|
lyg:AuditOfTheCompanysCurrentYearAnnualReportMember |
| 1383 |
Audit of the company's subsidiaries pursuant to legislation [Member] |
Member |
|
|
lyg:AuditOfTheCompanysSubsidiariesPursuantToLegislationMember |
| 1384 |
Other services supplied pursuant to legislation [Member] |
Member |
|
|
lyg:OtherServicesSuppliedPursuantToLegislationMember |
| 1385 |
Total audit fees [Member] |
Member |
|
|
lyg:TotalAuditFeesMember |
| 1386 |
Other services – audit related fees [Member] |
Member |
|
|
lyg:OtherServicesAuditRelatedFeesMember |
| 1387 |
Taxation compliance services [Member] |
Member |
|
|
lyg:TaxationComplianceServicesMember |
| 1388 |
All other taxation advisory services [Member] |
Member |
|
|
lyg:AllOtherTaxationAdvisoryServicesMember |
| 1389 |
Services relating to corporate finanace transactions [Member] |
Member |
|
|
lyg:ServicesRelatingToCorporateFinanaceTransactionsMember |
| 1390 |
Other services [member] |
Member |
|
|
lyg:OtherServicesMember |
| 1391 |
AUDITORS' REMUNERATION (Details) - Schedule of Fees Payable to Auditors by the Group [Line Items] |
LineItems |
|
|
lyg:AUDITORSREMUNERATIONDetailsScheduleofFeesPayabletoAuditorsbytheGroupLineItems |
| 1392 |
Audit fees |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AuditorsRemunerationForAuditServices |
| 1393 |
Fees payable for other services: |
Abstract |
|
|
lyg:FeesPayableForOtherServicesAbstract |
| 1394 |
Services relating to taxation: |
Abstract |
|
|
lyg:ServicesRelatingToTaxationAbstract |
| 1395 |
Services relating to taxation |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AuditorsRemunerationForTaxServices |
| 1396 |
Other non-audit fees: |
Abstract |
|
|
lyg:OtherNonAuditFeesAbstract |
| 1397 |
Other non-audit fees |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AuditorsRemunerationForOtherServices |
| 1398 |
Total fees payable to the Company’s auditors by the Group |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AuditorsRemuneration |
| 1399 |
144 - Disclosure - AUDITORS' REMUNERATION (Details) - Schedule of Fees Payable to Auditors by Outside Entities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofFeesPayabletoAuditorsbyOutsideEntitiesTable |
| 1400 |
AUDITORS' REMUNERATION (Details) - Schedule of Fees Payable to Auditors by Outside Entities [Table] |
Table |
* |
* |
lyg:AUDITORSREMUNERATIONDetailsScheduleofFeesPayabletoAuditorsbyOutsideEntitiesTable |
| 1401 |
Type of auditor fee [Axis] |
Axis |
|
|
lyg:TypeOfAuditorFeeAxis |
| 1402 |
TypeOfAuditorFee [Domain] |
Member |
|
|
lyg:TypeOfAuditorFeeDomain |
| 1403 |
Audits of group pension schemes [Member] |
Member |
|
|
lyg:AuditsOfGroupPensionSchemesMember |
| 1404 |
Audits of the unconsolidated Open Ended Investment Companies managed by the Group [Member] |
Member |
|
|
lyg:AuditsOfTheUnconsolidatedOpenEndedInvestmentCompaniesManagedByTheGroupMember |
| 1405 |
Reviews of the financial position of corporate and other borrowers [Member] |
Member |
|
|
lyg:ReviewsOfTheFinancialPositionOfCorporateAndOtherBorrowersMember |
| 1406 |
Acquisition due diligence and other work performed in respect of potential venture capital investments [Member] |
Member |
|
|
lyg:AcquisitionDueDiligenceAndOtherWorkPerformedInRespectOfPotentialVentureCapitalInvestmentsMember |
| 1407 |
AUDITORS' REMUNERATION (Details) - Schedule of Fees Payable to Auditors by Outside Entities [Line Items] |
LineItems |
|
|
lyg:AUDITORSREMUNERATIONDetailsScheduleofFeesPayabletoAuditorsbyOutsideEntitiesLineItems |
| 1408 |
|
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AuditorsRemuneration |
| 1409 |
145 - Disclosure - IMPAIRMENT (Details) - Schedule of Impairment |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofImpairmentTable |
| 1410 |
IMPAIRMENT (Details) - Schedule of Impairment [Table] |
Table |
* |
* |
lyg:IMPAIRMENTDetailsScheduleofImpairmentTable |
| 1411 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 1412 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 1413 |
Loans and Advances to Banks [Member] |
Member |
|
|
lyg:LoansAndAdvancesToBanksMember |
| 1414 |
Loans and advances to customers [Member] |
Member |
|
|
lyg:LoansAndAdvancesToCustomersMember |
| 1415 |
Type of valuation [Axis] |
Axis |
|
|
lyg:TypeOfValuationAxis |
| 1416 |
TypeOfValuation [Domain] |
Member |
|
|
lyg:TypeOfValuationDomain |
| 1417 |
Stage 1 [member] |
Member |
|
|
lyg:Stage1Member |
| 1418 |
Stage 2 [member] |
Member |
|
|
lyg:Stage2Member |
| 1419 |
Stage 3 [member] |
Member |
|
|
lyg:Stage3Member |
| 1420 |
Purchased or originated credit-impaired [member] |
Member |
|
|
lyg:PurchasedOrOriginatedCreditimpairedMember |
| 1421 |
IMPAIRMENT (Details) - Schedule of Impairment [Line Items] |
LineItems |
|
|
lyg:IMPAIRMENTDetailsScheduleofImpairmentLineItems |
| 1422 |
Impact of transfers between stages |
Concept (Monetary) |
For Period |
Debit |
lyg:ImpactOfTransfersBetweenStages |
| 1423 |
Other changes in credit quality |
Concept (Monetary) |
For Period |
Debit |
lyg:OtherChangesInCreditQuality |
| 1424 |
Additions (repayments) |
Concept (Monetary) |
For Period |
Credit |
lyg:AdditionsRepaymentsLoansAndAdvancesToCustomers |
| 1425 |
Methodology changes |
Concept (Monetary) |
For Period |
Debit |
lyg:ImpairmentOfLoansAndReceivablesEstimatedIncreaseDecreaseDueToChangeInFactor |
| 1426 |
Other items |
Concept (Monetary) |
For Period |
Debit |
lyg:OtherItemsImpactingImpairment |
| 1427 |
Other items impacting the impairment charge |
Concept (Monetary) |
For Period |
Debit |
us-gaap:OtherAssetImpairmentCharges |
| 1428 |
Total impairment |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLoss |
| 1429 |
In respect of: |
Abstract |
|
|
lyg:InRespectOfAbstract |
| 1430 |
Loans and advances |
Concept (Monetary) |
For Period |
|
ifrs-full:ImpairmentLossRecognisedInProfitOrLossLoansAndAdvances |
| 1431 |
Financial assets at amortised cost |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLossOnFinancialAssets |
| 1432 |
Other assets |
Concept (Monetary) |
For Period |
Debit |
lyg:ImpairmentChargeOnOtherAssets |
| 1433 |
Impairment charge on drawn balances |
Concept (Monetary) |
As Of |
Debit |
lyg:ImpairmentChargeOnDrawnBalances |
| 1434 |
Loan commitments and financial guarantees |
Concept (Monetary) |
For Period |
Debit |
lyg:LoanCommitmentsAndFinancialGuarantees |
| 1435 |
Financial assets at fair value through other comprehensive income |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLossRecognisedInOtherComprehensiveIncome |
| 1436 |
146 - Disclosure - IMPAIRMENT (Details) - Schedule of Movement in Impairment Charges |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofMovementinImpairmentChargesTable |
| 1437 |
IMPAIRMENT (Details) - Schedule of Movement in Impairment Charges [Table] |
Table |
* |
* |
lyg:IMPAIRMENTDetailsScheduleofMovementinImpairmentChargesTable |
| 1438 |
Impairment of financial assets [axis] |
Axis |
|
|
ifrs-full:ImpairmentOfFinancialAssetsAxis |
| 1439 |
Entity's total for impairment of financial assets [member] |
Member |
|
|
ifrs-full:EntitysTotalForImpairmentOfFinancialAssetsMember |
| 1440 |
Impairment charged to the income statement |
Member |
|
|
lyg:ImpairmentChargedToTheIncomeStatementMember |
| 1441 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 1442 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 1443 |
Loans and advances to customers [Member] |
Member |
|
|
lyg:LoansAndAdvancesToCustomersMember |
| 1444 |
Debt securities classified as loans and receivables [Member] |
Member |
|
|
lyg:DebtSecuritiesClassifiedAsLoansAndReceivablesMember |
| 1445 |
IMPAIRMENT (Details) - Schedule of Movement in Impairment Charges [Line Items] |
LineItems |
|
|
lyg:IMPAIRMENTDetailsScheduleofMovementinImpairmentChargesLineItems |
| 1446 |
Impairment losses on loans and receivables |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLossReversalOfImpairmentLossRecognisedInProfitOrLossLoansAndAdvances |
| 1447 |
Total impairment losses on loans and receivables |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLossOnFinancialAssets |
| 1448 |
Impairment of available-for-sale financial assets |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLoss |
| 1449 |
Other credit risk provisions |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseInExposureToCreditRiskOnLoanCommitmentsAndFinancialGuaranteeContracts |
| 1450 |
Total impairment charged to the income statement |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLossRecognisedInProfitOrLoss |
| 1451 |
147 - Disclosure - TAXATION (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/TAXATIONDetails |
| 1452 |
Implied Table |
Table |
* |
* |
implied:Table |
| 1453 |
Disclosure of income tax [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfIncomeTaxTextBlockAbstract |
| 1454 |
Applicable tax rate |
Concept (Percent) |
For Period |
|
ifrs-full:ApplicableTaxRate |
| 1455 |
148 - Disclosure - TAXATION (Details) - Schedule of Tax Charges |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofTaxChargesTable |
| 1456 |
TAXATION (Details) - Schedule of Tax Charges [Table] |
Table |
* |
* |
lyg:TAXATIONDetailsScheduleofTaxChargesTable |
| 1457 |
Tax Authority [Axis] |
Axis |
|
|
lyg:TaxAuthorityAxis |
| 1458 |
TaxAuthority [Domain] |
Member |
|
|
lyg:TaxAuthorityDomain |
| 1459 |
UK Corporation Tax [Member] |
Member |
|
|
lyg:UKCorporationTaxMember |
| 1460 |
Foreign Tax [Member] |
Member |
|
|
lyg:ForeignTaxMember |
| 1461 |
DeferredTax[Member] |
Member |
|
|
lyg:DeferredTaxMember |
| 1462 |
TAXATION (Details) - Schedule of Tax Charges [Line Items] |
LineItems |
|
|
lyg:TAXATIONDetailsScheduleofTaxChargesLineItems |
| 1463 |
Current tax on profit for the year |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CurrentTaxExpenseIncome |
| 1464 |
Current year |
Concept (Monetary) |
For Period |
Debit |
lyg:DeferredTaxExpenseCurrentYear |
| 1465 |
Adjustments in respect of prior years |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForDeferredTaxOfPriorPeriods |
| 1466 |
Current tax expense |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CurrentTaxExpenseIncomeAndAdjustmentsForCurrentTaxOfPriorPeriods |
| 1467 |
Deferred tax expense |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DeferredTaxExpenseIncome |
| 1468 |
Tax expense |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CurrentAndDeferredTaxRelatingToItemsChargedOrCreditedDirectlyToEquity |
| 1469 |
149 - Disclosure - TAXATION (Details) - Schedule of Income Tax Charges |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofIncomeTaxChargesTable |
| 1470 |
Implied Table |
Table |
* |
* |
implied:Table |
| 1471 |
Schedule of Income Tax Charges [Abstract] |
Abstract |
|
|
lyg:ScheduleOfIncomeTaxChargesAbstract |
| 1472 |
Tax (expense) credit attributable to policyholders |
Concept (Monetary) |
For Period |
Debit |
lyg:IncomeTaxExpenseCreditAttributableToPolicyholders |
| 1473 |
Shareholder tax expense |
Concept (Monetary) |
For Period |
Debit |
lyg:IncomeTaxExpenseAttributableToShareholders |
| 1474 |
Tax expense |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxExpenseContinuingOperations |
| 1475 |
150 - Disclosure - TAXATION (Details) - Schedule of Reconciliation of the Charge Resulting from Applying the Standard UK Corporation Tax Rate |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofReconciliationoftheChargeResultingfromApplyingtheStandardUKCorporationTaxRateTable |
| 1476 |
Implied Table |
Table |
* |
* |
implied:Table |
| 1477 |
Schedule of Reconciliation of the Charge Resulting from Applying the Standard UK Corporation Tax Rate [Abstract] |
Abstract |
|
|
lyg:ScheduleOfReconciliationOfTheChargeResultingFromApplyingTheStandardUkCorporationTaxRateAbstract |
| 1478 |
Profit before tax |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossBeforeTax |
| 1479 |
UK corporation tax thereon |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:TaxExpenseIncomeAtApplicableTaxRate |
| 1480 |
Impact of surcharge on banking profits |
Concept (Monetary) |
For Period |
Debit |
lyg:ImpactOfBankSurcharge |
| 1481 |
Non-deductible costs: conduct charges |
Concept (Monetary) |
For Period |
Debit |
lyg:NondeductibleCostsConductCharges |
| 1482 |
Non-deductible costs: bank levy |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:BankAndSimilarCharges |
| 1483 |
Other non-deductible costs |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:TaxEffectOfExpenseNotDeductibleInDeterminingTaxableProfitTaxLoss |
| 1484 |
Non-taxable income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:TaxEffectOfRevenuesExemptFromTaxation2011 |
| 1485 |
Tax-exempt gains on disposals |
Concept (Monetary) |
For Period |
Debit |
lyg:TaxEffectOfGainsExemptedFromTaxation |
| 1486 |
(Derecognition) recognition of losses that arose in prior years |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:TaxEffectOfTaxLosses |
| 1487 |
Remeasurement of deferred tax due to rate changes |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseInAccumulatedDeferredTaxRecognisedInOtherComprehensiveIncomeDueToChangeInTaxRate |
| 1488 |
Differences in overseas tax rates |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:TaxEffectOfForeignTaxRates |
| 1489 |
Policyholder tax |
Concept (Monetary) |
For Period |
Debit |
lyg:PolicyholderTax |
| 1490 |
Policyholder deferred tax asset in respect of life assurance expenses |
Concept (Monetary) |
For Period |
Credit |
lyg:PolicyholderDeferredTaxAssetInRespectOfLifeAssuranceExpenses |
| 1491 |
Adjustments in respect of prior years |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForCurrentTaxOfPriorPeriod |
| 1492 |
Tax effect of share of results of joint ventures |
Concept (Monetary) |
For Period |
Debit |
lyg:TaxEffectOfResultsOfJointVenturesAndAssociates |
| 1493 |
Tax expense |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxExpenseContinuingOperations |
| 1494 |
151 - Disclosure - EARNINGS PER SHARE (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/EARNINGSPERSHAREDetails |
| 1495 |
Implied Table |
Table |
* |
* |
implied:Table |
| 1496 |
Disclosure of earnings per share [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfEarningsPerShareTextBlockAbstract |
| 1497 |
Number of shares reserved for issue under options and contracts for sale of shares |
Concept (Shares) |
As Of |
|
ifrs-full:SharesReservedForIssueUnderOptionsAndContractsForSaleOfShares |
| 1498 |
Antidilutive Securities Excluded From Computation Of Earnings Per Share Number Of Shares |
Concept (Monetary) |
As Of |
|
lyg:AntidilutiveSecuritiesExcludedFromComputationOfEarningsPerShareNumberOfShares |
| 1499 |
152 - Disclosure - EARNINGS PER SHARE (Details) - Schedule of Earnings Per Share |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofEarningsPerShareTable |
| 1500 |
Implied Table |
Table |
* |
* |
implied:Table |
| 1501 |
Schedule of Earnings Per Share [Abstract] |
Abstract |
|
|
lyg:ScheduleOfEarningsPerShareAbstract |
| 1502 |
Profit attributable to equity shareholders – basic and diluted |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossAttributableToOrdinaryEquityHoldersOfParentEntity |
| 1503 |
Tax credit on distributions to other equity holders |
Concept (Monetary) |
For Period |
Credit |
lyg:TaxCreditAttributableToOrdinaryShareholders |
| 1504 |
|
Concept (Monetary) |
For Period |
Credit |
lyg:ProfitLossAttributableToOrdinaryEquityHoldersOfParentEntityNetOfTaxCreditsOnDistributions |
| 1505 |
Weighted average number of ordinary shares in issue – basic |
Concept (Shares) |
For Period |
|
ifrs-full:WeightedAverageShares |
| 1506 |
Adjustment for share options and awards |
Concept (Shares) |
For Period |
|
ifrs-full:DilutiveEffectOfShareOptionsOnNumberOfOrdinaryShares |
| 1507 |
Weighted average number of ordinary shares in issue – diluted |
Concept (Shares) |
For Period |
|
ifrs-full:AdjustedWeightedAverageShares |
| 1508 |
Basic earnings per share |
Concept (Share) |
For Period |
|
ifrs-full:BasicEarningsLossPerShare |
| 1509 |
Diluted earnings per share |
Concept (Share) |
For Period |
|
ifrs-full:DilutedEarningsLossPerShare |
| 1510 |
153 - Disclosure - FINANCIAL ASSETS AT FAIR VALUE THROUGH PROFIT OR LOSS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALASSETSATFAIRVALUETHROUGHPROFITORLOSSDetails |
| 1511 |
FINANCIAL ASSETS AT FAIR VALUE THROUGH PROFIT OR LOSS (Details) [Table] |
Table |
* |
* |
lyg:FINANCIALASSETSATFAIRVALUETHROUGHPROFITORLOSSDetailsTable |
| 1512 |
Type of Account [Axis] |
Axis |
|
|
lyg:TypeOfAccountAxis |
| 1513 |
TypeOfAccount [Domain] |
Member |
|
|
lyg:TypeOfAccountDomain |
| 1514 |
Types of insurance contracts [member] |
Member |
|
|
ifrs-full:InsuranceContractsMember |
| 1515 |
Unconsolidated structured entities [member] |
Member |
|
|
ifrs-full:UnconsolidatedStructuredEntitiesMember |
| 1516 |
Type of Contract Liabilities [Axis] |
Axis |
|
|
lyg:TypeOfContractLiabilitiesAxis |
| 1517 |
TypeOfContractLiabilities [Domain] |
Member |
|
|
lyg:TypeOfContractLiabilitiesDomain |
| 1518 |
Types of insurance contracts [member] |
Member |
|
|
ifrs-full:InsuranceContractsMember |
| 1519 |
FINANCIAL ASSETS AT FAIR VALUE THROUGH PROFIT OR LOSS (Details) [Line Items] |
LineItems |
|
|
lyg:FINANCIALASSETSATFAIRVALUETHROUGHPROFITORLOSSDetailsLineItems |
| 1520 |
Financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 1521 |
154 - Disclosure - FINANCIAL ASSETS AT FAIR VALUE THROUGH PROFIT OR LOSS (Details) - Schedule of Trading and Other Financial Assets at Fair Value Through Profit or Loss |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofTradingandOtherFinancialAssetsatFairValueThroughProfitorLossTable |
| 1522 |
FINANCIAL ASSETS AT FAIR VALUE THROUGH PROFIT OR LOSS (Details) - Schedule of Trading and Other Financial Assets at Fair Value Through Profit or Loss [Table] |
Table |
* |
* |
lyg:FINANCIALASSETSATFAIRVALUETHROUGHPROFITORLOSSDetailsScheduleofTradingandOtherFinancialAssetsatFairValueThroughProfitorLossTable |
| 1523 |
Asset Class [Axis] |
Axis |
|
|
us-gaap:FairValueByAssetClassAxis |
| 1524 |
Asset Class [Domain] |
Member |
|
|
us-gaap:FairValueAssetsMeasuredOnRecurringBasisUnobservableInputReconciliationByAssetClassDomain |
| 1525 |
Trading Assets, Excluding Debt and Equity Securities [Member] |
Member |
|
|
us-gaap:TradingAssetsExcludingDebtAndEquitySecuritiesMember |
| 1526 |
Financial assets at fair value through profit or loss, mandatorily measured at fair value, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossMandatorilyMeasuredAtFairValueCategoryMember |
| 1527 |
Financial assets at fair value through profit or loss, classified as other, category [member] |
Member |
|
|
lyg:FinancialAssetsAtFairValueThroughProfitOrLossClassifiedAsOtherCategoryMember |
| 1528 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 1529 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 1530 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 1531 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 1532 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 1533 |
Financial assets at fair value through profit or loss, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossCategoryMember |
| 1534 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 1535 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 1536 |
Increase (decrease) due to application of IFRS 15 [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToApplicationOfIFRS15Member |
| 1537 |
FINANCIAL ASSETS AT FAIR VALUE THROUGH PROFIT OR LOSS (Details) - Schedule of Trading and Other Financial Assets at Fair Value Through Profit or Loss [Line Items] |
LineItems |
|
|
lyg:FINANCIALASSETSATFAIRVALUETHROUGHPROFITORLOSSDetailsScheduleofTradingandOtherFinancialAssetsatFairValueThroughProfitorLossLineItems |
| 1538 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 1539 |
Loans and advances to banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 1540 |
Government securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:GovernmentDebtInstrumentsHeld |
| 1541 |
Other public sector securities |
Concept (Monetary) |
As Of |
Debit |
lyg:OtherPublicSectorSecurities |
| 1542 |
Bank and building society certificates of deposit |
Concept (Monetary) |
As Of |
Debit |
lyg:BankAndBuildingSocietyCertificatesOfDeposit |
| 1543 |
Asset-backed securities: |
Abstract |
|
|
lyg:AssetBackedSecuritiesAbstract |
| 1544 |
Mortgage-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:BankDebtInstrumentsHeld |
| 1545 |
Other asset-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherDebtInstrumentsHeld |
| 1546 |
Corporate and other debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CorporateDebtInstrumentsHeld |
| 1547 |
Debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 1548 |
Equity shares |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:EquityInstrumentsHeld |
| 1549 |
Treasury and other bills |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:TreasuryShares |
| 1550 |
Total |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherFinancialAssets |
| 1551 |
155 - Disclosure - DERIVATIVE FINANCIAL INSTRUMENTS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DERIVATIVEFINANCIALINSTRUMENTSDetails |
| 1552 |
Implied Table |
Table |
* |
* |
implied:Table |
| 1553 |
Disclosure of derivative financial instruments [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfDerivativeFinancialInstrumentsTextBlockAbstract |
| 1554 |
Hedged Liability, Fair Value Hedge |
Concept (Monetary) |
As Of |
Credit |
us-gaap:HedgedLiabilityFairValueHedge |
| 1555 |
156 - Disclosure - DERIVATIVE FINANCIAL INSTRUMENTS (Details) - Schedule of Derivative Instruments |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofDerivativeInstrumentsTable |
| 1556 |
Fair Values Derivatives, Balance Sheet Location, by Derivative Contract Type [Table] |
Table |
* |
* |
us-gaap:FairValuesDerivativesBalanceSheetLocationByDerivativeContractTypeByHedgingDesignationTable |
| 1557 |
Classes of financial instruments [axis] |
Axis |
|
|
ifrs-full:ClassesOfFinancialInstrumentsAxis |
| 1558 |
Financial instruments, class [member] |
Member |
|
|
ifrs-full:ClassesOfFinancialInstrumentsMember |
| 1559 |
Spots, Forwards, and Futures [Member] |
Member |
|
|
lyg:SpotsForwardsAndFuturesMember |
| 1560 |
Currency swap contract [member] |
Member |
|
|
ifrs-full:CurrencySwapContractMember |
| 1561 |
Purchased call options [member] |
Member |
|
|
ifrs-full:PurchasedCallOptionsMember |
| 1562 |
Written put options [member] |
Member |
|
|
ifrs-full:WrittenPutOptionsMember |
| 1563 |
Interest rate swap contract [member] |
Member |
|
|
ifrs-full:InterestRateSwapContractMember |
| 1564 |
Forward Rate Agreements [Member] |
Member |
|
|
lyg:ForwardRateAgreementsMember |
| 1565 |
Futures contract [member] |
Member |
|
|
ifrs-full:FuturesContractMember |
| 1566 |
Interest Rate Swap [Member] |
Member |
|
|
us-gaap:InterestRateSwapMember |
| 1567 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 1568 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 1569 |
Trading and other exchange rate contracts [Member] |
Member |
|
|
lyg:TradingAndOtherExchangeRateContractsMember |
| 1570 |
Interest Rate Contract [Member] |
Member |
|
|
us-gaap:InterestRateContractMember |
| 1571 |
Credit Derivatives [Member] |
Member |
|
|
lyg:CreditDerivativesMember |
| 1572 |
Equity And Other Contracts [Member] |
Member |
|
|
lyg:EquityAndOtherContractsMember |
| 1573 |
Trading and Other [Member] |
Member |
|
|
lyg:TradingAndOtherMember |
| 1574 |
Hedging instruments [member] |
Member |
|
|
ifrs-full:HedgingInstrumentsMember |
| 1575 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 1576 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 1577 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 1578 |
Types of hedges [axis] |
Axis |
|
|
ifrs-full:TypesOfHedgesAxis |
| 1579 |
Hedges [member] |
Member |
|
|
ifrs-full:TypesOfHedgesMember |
| 1580 |
Fair value hedges [member] |
Member |
|
|
ifrs-full:FairValueHedgesMember |
| 1581 |
Cash flow hedges [member] |
Member |
|
|
ifrs-full:CashFlowHedgesMember |
| 1582 |
Derivatives, Fair Value [Line Items] |
LineItems |
|
|
us-gaap:DerivativesFairValueLineItems |
| 1583 |
Exchange rate contracts: |
Abstract |
|
|
lyg:ExchangeRateContractsAbstract |
| 1584 |
Contract/notional amount |
Concept (Monetary) |
As Of |
|
invest:DerivativeNotionalAmount |
| 1585 |
Fair value assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 1586 |
Fair value liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DerivativeFinancialLiabilities |
| 1587 |
157 - Disclosure - DERIVATIVE FINANCIAL INSTRUMENTS (Details) - Schedule of Amount, timing and uncertainty of future cash flows |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofAmounttiminganduncertaintyoffuturecashflowsTable |
| 1588 |
DERIVATIVE FINANCIAL INSTRUMENTS (Details) - Schedule of Amount, timing and uncertainty of future cash flows [Table] |
Table |
* |
* |
lyg:DERIVATIVEFINANCIALINSTRUMENTSDetailsScheduleofAmounttiminganduncertaintyoffuturecashflowsTable |
| 1589 |
Hedging instruments [axis] |
Axis |
|
|
ifrs-full:HedgingInstrumentsAxis |
| 1590 |
Hedging instruments [member] |
Member |
|
|
ifrs-full:HedgingInstrumentsMember |
| 1591 |
Swaps [Member] |
Member |
|
|
lyg:SwapsMember |
| 1592 |
InterestRateHedges[Member] |
Member |
|
|
lyg:InterestRateHedgesMember |
| 1593 |
Exchange rate |
Axis |
|
|
lyg:ExchangeRateAxis |
| 1594 |
ExchangeRate [Domain] |
Member |
|
|
lyg:ExchangeRateDomain |
| 1595 |
Euro to USD |
Member |
|
|
lyg:EuroToUSDMember |
| 1596 |
USD to Euro |
Member |
|
|
lyg:USDToEuroMember |
| 1597 |
NOK to GBP |
Member |
|
|
lyg:NOKToGBPMember |
| 1598 |
Maturity [axis] |
Axis |
|
|
ifrs-full:MaturityAxis |
| 1599 |
Aggregated time bands [member] |
Member |
|
|
ifrs-full:AggregatedTimeBandsMember |
| 1600 |
Later than one month and not later than three months [member] |
Member |
|
|
ifrs-full:LaterThanOneMonthAndNotLaterThanThreeMonthsMember |
| 1601 |
Later than one year and not later than five years [member] |
Member |
|
|
ifrs-full:LaterThanOneYearAndNotLaterThanFiveYearsMember |
| 1602 |
Later than five years [member] |
Member |
|
|
ifrs-full:LaterThanFiveYearsMember |
| 1603 |
Not later than one month [member] |
Member |
|
|
ifrs-full:NotLaterThanOneMonthMember |
| 1604 |
Later than three months and not later than one year [member] |
Member |
|
|
ifrs-full:LaterThanThreeMonthsAndNotLaterThanOneYearMember |
| 1605 |
Types of hedges [axis] |
Axis |
|
|
ifrs-full:TypesOfHedgesAxis |
| 1606 |
Hedges [member] |
Member |
|
|
ifrs-full:TypesOfHedgesMember |
| 1607 |
Fair value hedges [member] |
Member |
|
|
ifrs-full:FairValueHedgesMember |
| 1608 |
Cash flow hedges [member] |
Member |
|
|
ifrs-full:CashFlowHedgesMember |
| 1609 |
DERIVATIVE FINANCIAL INSTRUMENTS (Details) - Schedule of Amount, timing and uncertainty of future cash flows [Line Items] |
LineItems |
|
|
lyg:DERIVATIVEFINANCIALINSTRUMENTSDetailsScheduleofAmounttiminganduncertaintyoffuturecashflowsLineItems |
| 1610 |
Notional (in Pounds) |
Concept (Monetary) |
As Of |
|
invest:DerivativeNotionalAmount |
| 1611 |
Average fixed interest rate |
Concept (Percent) |
As Of |
|
us-gaap:DerivativeFixedInterestRate |
| 1612 |
Average exchange rate |
Concept (Pure) |
As Of |
|
us-gaap:DerivativeForwardExchangeRate1 |
| 1613 |
Interest rate |
Abstract |
|
|
lyg:InterestRateAbstract0 |
| 1614 |
Interest rate swap |
Abstract |
|
|
lyg:InterestRateSwapAbstract0 |
| 1615 |
158 - Disclosure - DERIVATIVE FINANCIAL INSTRUMENTS (Details) - Schedule of the effects of hedge accounting on swaps |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleoftheeffectsofhedgeaccountingonswapsTable |
| 1616 |
DERIVATIVE FINANCIAL INSTRUMENTS (Details) - Schedule of the effects of hedge accounting on swaps [Table] |
Table |
* |
* |
lyg:DERIVATIVEFINANCIALINSTRUMENTSDetailsScheduleoftheeffectsofhedgeaccountingonswapsTable |
| 1617 |
Investment Type [Axis] |
Axis |
|
|
us-gaap:InvestmentTypeAxis |
| 1618 |
Investments [Domain] |
Member |
|
|
us-gaap:InvestmentTypeCategorizationMember |
| 1619 |
Currency Swap [Member] |
Member |
|
|
us-gaap:CurrencySwapMember |
| 1620 |
Interest Rate Swap [Member] |
Member |
|
|
us-gaap:InterestRateSwapMember |
| 1621 |
Types of hedges [axis] |
Axis |
|
|
ifrs-full:TypesOfHedgesAxis |
| 1622 |
Hedges [member] |
Member |
|
|
ifrs-full:TypesOfHedgesMember |
| 1623 |
Fair value hedges [member] |
Member |
|
|
ifrs-full:FairValueHedgesMember |
| 1624 |
Cash flow hedges [member] |
Member |
|
|
ifrs-full:CashFlowHedgesMember |
| 1625 |
DERIVATIVE FINANCIAL INSTRUMENTS (Details) - Schedule of the effects of hedge accounting on swaps [Line Items] |
LineItems |
|
|
lyg:DERIVATIVEFINANCIALINSTRUMENTSDetailsScheduleoftheeffectsofhedgeaccountingonswapsLineItems |
| 1626 |
Interest rate |
Abstract |
|
|
lyg:InterestRateAbstract00 |
| 1627 |
Contract/notional amount |
Concept (Monetary) |
As Of |
|
invest:DerivativeNotionalAmount |
| 1628 |
Assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 1629 |
Liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DerivativeFinancialLiabilities |
| 1630 |
Changes in fair value used for calculating hedge ineffectiveness |
Concept (Monetary) |
For Period |
Credit |
us-gaap:GainLossOnInterestRateFairValueHedgeIneffectiveness |
| 1631 |
Foreign exchange |
Abstract |
|
|
lyg:ForeignExchangeAbstract0 |
| 1632 |
Interest rate |
Abstract |
|
|
lyg:InterestRateAbstract000 |
| 1633 |
159 - Disclosure - DERIVATIVE FINANCIAL INSTRUMENTS (Details) - Schedule of the effects of hedge accounting |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleoftheeffectsofhedgeaccountingTable |
| 1634 |
DERIVATIVE FINANCIAL INSTRUMENTS (Details) - Schedule of the effects of hedge accounting [Table] |
Table |
* |
* |
lyg:DERIVATIVEFINANCIALINSTRUMENTSDetailsScheduleoftheeffectsofhedgeaccountingTable |
| 1635 |
Types of interest rates [axis] |
Axis |
|
|
ifrs-full:TypesOfInterestRatesAxis |
| 1636 |
Interest rate types [member] |
Member |
|
|
ifrs-full:InterestRateTypesMember |
| 1637 |
FixedRateMorgages[Member] |
Member |
|
|
lyg:FixedRateMorgagesMember |
| 1638 |
Foreign Currency Issuance [Member] |
Member |
|
|
lyg:ForeignCurrencyIssuanceMember |
| 1639 |
Fixed Rate Bonds [Member] |
Member |
|
|
lyg:FixedRateBondsMember |
| 1640 |
Other Customer Deposits [Member] |
Member |
|
|
lyg:OtherCustomerDepositsMember |
| 1641 |
Customer Loans [Member] |
Member |
|
|
lyg:CustomerLoansMember |
| 1642 |
Central Bank Balances [Member] |
Member |
|
|
lyg:CentralBankBalancesMember |
| 1643 |
Deposits from Customers [Member] |
Member |
|
|
lyg:DepositsFromCustomersMember |
| 1644 |
Types of hedges [axis] |
Axis |
|
|
ifrs-full:TypesOfHedgesAxis |
| 1645 |
Hedges [member] |
Member |
|
|
ifrs-full:TypesOfHedgesMember |
| 1646 |
Fair value hedges [member] |
Member |
|
|
ifrs-full:FairValueHedgesMember |
| 1647 |
Cash flow hedges [member] |
Member |
|
|
ifrs-full:CashFlowHedgesMember |
| 1648 |
DERIVATIVE FINANCIAL INSTRUMENTS (Details) - Schedule of the effects of hedge accounting [Line Items] |
LineItems |
|
|
lyg:DERIVATIVEFINANCIALINSTRUMENTSDetailsScheduleoftheeffectsofhedgeaccountingLineItems |
| 1649 |
Carrying amount of the hedged item, Assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:HedgedItemAssets |
| 1650 |
Carrying amount of the hedged item, Liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:HedgedItemLiabilities |
| 1651 |
Accumulated amount of fair value adjustment on the hedged item, Assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:AccumulatedFairValueHedgeAdjustmentOnHedgedItemIncludedInCarryingAmountAssets |
| 1652 |
Accumulated amount of fair value adjustment on the hedged item, Liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:AccumulatedFairValueHedgeAdjustmentOnHedgedItemIncludedInCarryingAmountLiabilities |
| 1653 |
Change in fair value of hedged item for ineffectiveness assessment |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainLossOnHedgeIneffectivenessRecognisedInOtherComprehensiveIncome |
| 1654 |
Cash flow hedge/currency translation reserve, Continuing hedges |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfExchangeDifferencesOnTranslationContinuingHedges |
| 1655 |
Cash flow hedge/currency translation reserve, Discontinued hedges |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfExchangeDifferencesOnTranslationHedgingRelationshipsForWhichHedgeAccountingIsNoLongerApplied |
| 1656 |
160 - Disclosure - DERIVATIVE FINANCIAL INSTRUMENTS (Details) - Schedule of amounts reclassified from reserves to income statement |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofamountsreclassifiedfromreservestoincomestatementTable |
| 1657 |
DERIVATIVE FINANCIAL INSTRUMENTS (Details) - Schedule of amounts reclassified from reserves to income statement [Table] |
Table |
* |
* |
lyg:DERIVATIVEFINANCIALINSTRUMENTSDetailsScheduleofamountsreclassifiedfromreservestoincomestatementTable |
| 1658 |
Hedging instruments [axis] |
Axis |
|
|
ifrs-full:HedgingInstrumentsAxis |
| 1659 |
Hedging instruments [member] |
Member |
|
|
ifrs-full:HedgingInstrumentsMember |
| 1660 |
Interest Rate [Member] |
Member |
|
|
lyg:InterestRateMember |
| 1661 |
Foreign Exchange [Member] |
Member |
|
|
us-gaap:ForeignExchangeMember |
| 1662 |
Types of interest rates [axis] |
Axis |
|
|
ifrs-full:TypesOfInterestRatesAxis |
| 1663 |
Interest rate types [member] |
Member |
|
|
ifrs-full:InterestRateTypesMember |
| 1664 |
Fixed Rate Mortgages [Member] |
Member |
|
|
lyg:FixedRateMortgagesMember |
| 1665 |
Fixed Rate Issuance [Member] |
Member |
|
|
lyg:FixedRateIssuanceMember |
| 1666 |
Fixed Rate Bonds [Member] |
Member |
|
|
lyg:FixedRateBondsMember |
| 1667 |
Customer Loans [Member] |
Member |
|
|
lyg:CustomerLoansMember |
| 1668 |
Central Bank Balances [Member] |
Member |
|
|
lyg:CentralBankBalancesMember |
| 1669 |
Deposits from Customers [Member] |
Member |
|
|
lyg:DepositsFromCustomersMember |
| 1670 |
Foreign exchange [axis] |
Axis |
|
|
lyg:ForeignExchangeAxis |
| 1671 |
ForeignExchange [Domain] |
Member |
|
|
lyg:ForeignExchangeDomain |
| 1672 |
Foreign Currency Issuance [Member] |
Member |
|
|
lyg:ForeignCurrencyIssuanceMember |
| 1673 |
Deposits from Customers [Member] |
Member |
|
|
lyg:DepositsFromCustomersMember |
| 1674 |
Types of hedges [axis] |
Axis |
|
|
ifrs-full:TypesOfHedgesAxis |
| 1675 |
Hedges [member] |
Member |
|
|
ifrs-full:TypesOfHedgesMember |
| 1676 |
Fair value hedges [member] |
Member |
|
|
ifrs-full:FairValueHedgesMember |
| 1677 |
Cash flow hedges [member] |
Member |
|
|
ifrs-full:CashFlowHedgesMember |
| 1678 |
DERIVATIVE FINANCIAL INSTRUMENTS (Details) - Schedule of amounts reclassified from reserves to income statement [Line Items] |
LineItems |
|
|
lyg:DERIVATIVEFINANCIALINSTRUMENTSDetailsScheduleofamountsreclassifiedfromreservestoincomestatementLineItems |
| 1679 |
Fair value hedge |
Abstract |
|
|
lyg:FairValueHedgeAbstract |
| 1680 |
Gain (loss) recognised in other comprehensive income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainLossOnHedgeIneffectivenessRecognisedInOtherComprehensiveIncome |
| 1681 |
Hedge ineffectiveness recognised in the income statement |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainLossOnHedgeIneffectiveness |
| 1682 |
Hedged item affected income statement |
Concept (Monetary) |
For Period |
Credit |
lyg:HedgedItemAffectedIncomeStatement |
| 1683 |
161 - Disclosure - FINANCIAL ASSETS AT AMORTISED COST (Details) - Disclosure of Loans and advances to customers |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DisclosureofLoansandadvancestocustomersTable |
| 1684 |
FINANCIAL ASSETS AT AMORTISED COST (Details) - Disclosure of Loans and advances to customers [Table] |
Table |
* |
* |
lyg:FINANCIALASSETSATAMORTISEDCOSTDetailsDisclosureofLoansandadvancestocustomersTable |
| 1685 |
Reclassified items [axis] |
Axis |
|
|
ifrs-full:ReclassifiedItemsAxis |
| 1686 |
Reclassified items [member] |
Member |
|
|
ifrs-full:ReclassifiedItemsMember |
| 1687 |
Stage 1 [member] |
Member |
|
|
lyg:Stage1Member |
| 1688 |
Stage 2 [member] |
Member |
|
|
lyg:Stage2Member |
| 1689 |
Stage 3 [member] |
Member |
|
|
lyg:Stage3Member |
| 1690 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 1691 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 1692 |
Stage 1 [member] |
Member |
|
|
lyg:Stage1Member |
| 1693 |
Stage 2 [member] |
Member |
|
|
lyg:Stage2Member |
| 1694 |
Stage 3 [member] |
Member |
|
|
lyg:Stage3Member |
| 1695 |
Purchased or originated credit-impaired [member] |
Member |
|
|
lyg:PurchasedOrOriginatedCreditimpairedMember |
| 1696 |
Debt Instrument [Axis] |
Axis |
|
|
us-gaap:DebtInstrumentAxis |
| 1697 |
Debt Instrument, Name [Domain] |
Member |
|
|
us-gaap:DebtInstrumentNameDomain |
| 1698 |
Loans and advances to customers [Member] |
Member |
|
|
lyg:LoansAndAdvancesToCustomersMember |
| 1699 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 1700 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 1701 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 1702 |
Increase (decrease) due to changes in accounting policy required by IFRSs [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToChangesInAccountingPolicyRequiredByIFRSsMember |
| 1703 |
FINANCIAL ASSETS AT AMORTISED COST (Details) - Disclosure of Loans and advances to customers [Line Items] |
LineItems |
|
|
lyg:FINANCIALASSETSATAMORTISEDCOSTDetailsDisclosureofLoansandadvancestocustomersLineItems |
| 1704 |
Beginning Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 1705 |
Exchange and other movements |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseThroughForeignExchangeAndOtherMovementsFinancialAssets |
| 1706 |
Additions (repayments) |
Concept (Monetary) |
For Period |
Credit |
lyg:AdditionsRepaymentsLoansAndAdvancesToCustomers |
| 1707 |
Transfers to Stage 1 |
Concept (Monetary) |
For Period |
Debit |
lyg:TransfersToStage1 |
| 1708 |
Transfers to Stage 2 |
Concept (Monetary) |
For Period |
Debit |
lyg:TransfersToStage2 |
| 1709 |
Transfers to Stage 3 |
Concept (Monetary) |
For Period |
Debit |
lyg:TransfersToStage3 |
| 1710 |
Transfers |
Concept (Monetary) |
For Period |
Debit |
us-gaap:ImpairmentChargeOnReclassifiedAssets |
| 1711 |
Recoveries |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainOnRecoveryOfLoansAndAdvancesPreviouslyWrittenOff |
| 1712 |
Disposal of businesses |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughDisposalOfSubsidiary |
| 1713 |
Financial assets that have been written off during the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:DecreaseThroughWriteoffFinancialAssets |
| 1714 |
Ending Balance |
Concept (Monetary) |
As Of |
Debit |
lyg:GrossLoansAndAdvancesToCustomers |
| 1715 |
Allowance for impairment losses |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:AllowanceAccountForCreditLossesOfFinancialAssets |
| 1716 |
Total loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 1717 |
162 - Disclosure - FINANCIAL ASSETS AT AMORTISED COST (Details) - Disclosure of Loans and advances to banks |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DisclosureofLoansandadvancestobanksTable |
| 1718 |
FINANCIAL ASSETS AT AMORTISED COST (Details) - Disclosure of Loans and advances to banks [Table] |
Table |
* |
* |
lyg:FINANCIALASSETSATAMORTISEDCOSTDetailsDisclosureofLoansandadvancestobanksTable |
| 1719 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 1720 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 1721 |
Stage 1 [member] |
Member |
|
|
lyg:Stage1Member |
| 1722 |
Stage 2 [member] |
Member |
|
|
lyg:Stage2Member |
| 1723 |
Debt Instrument [Axis] |
Axis |
|
|
us-gaap:DebtInstrumentAxis |
| 1724 |
Debt Instrument, Name [Domain] |
Member |
|
|
us-gaap:DebtInstrumentNameDomain |
| 1725 |
Loans and Advances to Banks [Member] |
Member |
|
|
lyg:LoansAndAdvancesToBanksMember |
| 1726 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 1727 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 1728 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 1729 |
Increase (decrease) due to changes in accounting policy required by IFRSs [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToChangesInAccountingPolicyRequiredByIFRSsMember |
| 1730 |
FINANCIAL ASSETS AT AMORTISED COST (Details) - Disclosure of Loans and advances to banks [Line Items] |
LineItems |
|
|
lyg:FINANCIALASSETSATAMORTISEDCOSTDetailsDisclosureofLoansandadvancestobanksLineItems |
| 1731 |
Beginning Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 1732 |
Exchange and other movements |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseThroughForeignExchangeAndOtherMovementsFinancialAssets |
| 1733 |
Additions (repayments) |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseInFinancialAssets |
| 1734 |
Ending Balance |
Concept (Monetary) |
As Of |
Debit |
lyg:GrossLoansAndAdvancesToBanks |
| 1735 |
Allowance for impairment losses |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:AllowanceAccountForCreditLossesOfFinancialAssets |
| 1736 |
Total loans and advances to banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 1737 |
163 - Disclosure - FINANCIAL ASSETS AT AMORTISED COST (Details) - Disclosure of Debt securities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DisclosureofDebtsecuritiesTable |
| 1738 |
FINANCIAL ASSETS AT AMORTISED COST (Details) - Disclosure of Debt securities [Table] |
Table |
* |
* |
lyg:FINANCIALASSETSATAMORTISEDCOSTDetailsDisclosureofDebtsecuritiesTable |
| 1739 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 1740 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 1741 |
Stage 1 [member] |
Member |
|
|
lyg:Stage1Member |
| 1742 |
Stage 3 [member] |
Member |
|
|
lyg:Stage3Member |
| 1743 |
Stage 2 [member] |
Member |
|
|
lyg:Stage2Member |
| 1744 |
Purchased or originated credit-impaired [member] |
Member |
|
|
lyg:PurchasedOrOriginatedCreditimpairedMember |
| 1745 |
Classes of assets [axis] |
Axis |
|
|
ifrs-full:ClassesOfAssetsAxis |
| 1746 |
Assets [member] |
Member |
|
|
ifrs-full:ClassesOfAssetsMember |
| 1747 |
Debt securities [member] |
Member |
|
|
ifrs-full:DebtSecuritiesMember |
| 1748 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 1749 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 1750 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 1751 |
Increase (decrease) due to changes in accounting policy required by IFRSs [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToChangesInAccountingPolicyRequiredByIFRSsMember |
| 1752 |
FINANCIAL ASSETS AT AMORTISED COST (Details) - Disclosure of Debt securities [Line Items] |
LineItems |
|
|
lyg:FINANCIALASSETSATAMORTISEDCOSTDetailsDisclosureofDebtsecuritiesLineItems |
| 1753 |
Beginning Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 1754 |
Exchange and other movements |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseThroughForeignExchangeAndOtherMovementsFinancialAssets |
| 1755 |
Additions (repayments) |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseInFinancialAssets |
| 1756 |
Financial assets that have been written off during the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:DecreaseThroughWriteoffFinancialAssets |
| 1757 |
Ending Balance |
Concept (Monetary) |
As Of |
Debit |
lyg:GrossDebtInstrumentsHeld |
| 1758 |
Allowance for impairment losses |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:AllowanceAccountForCreditLossesOfFinancialAssets |
| 1759 |
Total debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 1760 |
Total financial assets at amortised cost |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtAmortisedCost |
| 1761 |
164 - Disclosure - FINANCE LEASE RECEIVABLES (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCELEASERECEIVABLESDetails |
| 1762 |
Implied Table |
Table |
* |
* |
implied:Table |
| 1763 |
Disclosure of maturity analysis of finance lease payments receivable [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfMaturityAnalysisOfFinanceLeasePaymentsReceivableTextBlockAbstract |
| 1764 |
Capital Leases, Net Investment in Direct Financing Leases, Allowance for Uncollectible Minimum Lease Payments |
Concept (Monetary) |
As Of |
Credit |
us-gaap:CapitalLeasesNetInvestmentInDirectFinancingLeasesAllowanceForUncollectibleMinimumLeasePayments |
| 1765 |
165 - Disclosure - FINANCE LEASE RECEIVABLES (Details) - Schedule of Lease Receivable Balances |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofLeaseReceivableBalancesTable |
| 1766 |
FINANCE LEASE RECEIVABLES (Details) - Schedule of Lease Receivable Balances [Table] |
Table |
* |
* |
lyg:FINANCELEASERECEIVABLESDetailsScheduleofLeaseReceivableBalancesTable |
| 1767 |
Maturity [axis] |
Axis |
|
|
ifrs-full:MaturityAxis |
| 1768 |
Aggregated time bands [member] |
Member |
|
|
ifrs-full:AggregatedTimeBandsMember |
| 1769 |
Not later than one year [member] |
Member |
|
|
ifrs-full:NotLaterThanOneYearMember |
| 1770 |
Later than one year and not later than five years [member] |
Member |
|
|
ifrs-full:LaterThanOneYearAndNotLaterThanFiveYearsMember |
| 1771 |
Later than five years [member] |
Member |
|
|
ifrs-full:LaterThanFiveYearsMember |
| 1772 |
FINANCE LEASE RECEIVABLES (Details) - Schedule of Lease Receivable Balances [Line Items] |
LineItems |
|
|
lyg:FINANCELEASERECEIVABLESDetailsScheduleofLeaseReceivableBalancesLineItems |
| 1773 |
Gross investment in finance leases, receivable: |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinanceLeaseReceivables |
| 1774 |
Unearned future finance income on finance leases |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:UnearnedFinanceIncomeRelatingToFinanceLeasePaymentsReceivable |
| 1775 |
Rentals received in advance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:CurrentAdvances |
| 1776 |
Net investment in finance leases |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:NetInvestmentInFinanceLease |
| 1777 |
166 - Disclosure - FINANCE LEASE RECEIVABLES (Details) - Schedule of Lease Receivable Net Investment |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofLeaseReceivableNetInvestmentTable |
| 1778 |
FINANCE LEASE RECEIVABLES (Details) - Schedule of Lease Receivable Net Investment [Table] |
Table |
* |
* |
lyg:FINANCELEASERECEIVABLESDetailsScheduleofLeaseReceivableNetInvestmentTable |
| 1779 |
Maturity [axis] |
Axis |
|
|
ifrs-full:MaturityAxis |
| 1780 |
Aggregated time bands [member] |
Member |
|
|
ifrs-full:AggregatedTimeBandsMember |
| 1781 |
Not later than one year [member] |
Member |
|
|
ifrs-full:NotLaterThanOneYearMember |
| 1782 |
Later than one year and not later than five years [member] |
Member |
|
|
ifrs-full:LaterThanOneYearAndNotLaterThanFiveYearsMember |
| 1783 |
Later than five years [member] |
Member |
|
|
ifrs-full:LaterThanFiveYearsMember |
| 1784 |
FINANCE LEASE RECEIVABLES (Details) - Schedule of Lease Receivable Net Investment [Line Items] |
LineItems |
|
|
lyg:FINANCELEASERECEIVABLESDetailsScheduleofLeaseReceivableNetInvestmentLineItems |
| 1785 |
Net investment in finance leases |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:NetInvestmentInFinanceLease |
| 1786 |
167 - Disclosure - ALLOWANCE FOR IMPAIRMENT LOSSES (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ALLOWANCEFORIMPAIRMENTLOSSESDetails |
| 1787 |
ALLOWANCE FOR IMPAIRMENT LOSSES (Details) [Table] |
Table |
* |
* |
lyg:ALLOWANCEFORIMPAIRMENTLOSSESDetailsTable |
| 1788 |
Impairment of financial assets [axis] |
Axis |
|
|
ifrs-full:ImpairmentOfFinancialAssetsAxis |
| 1789 |
Entity's total for impairment of financial assets [member] |
Member |
|
|
ifrs-full:EntitysTotalForImpairmentOfFinancialAssetsMember |
| 1790 |
Financial assets impaired [member] |
Member |
|
|
ifrs-full:FinancialAssetsImpairedMember |
| 1791 |
Credit impairment of financial instruments [axis] |
Axis |
|
|
ifrs-full:CreditImpairmentOfFinancialInstrumentsAxis |
| 1792 |
Credit impairment of financial instruments [member] |
Member |
|
|
ifrs-full:CreditImpairmentOfFinancialInstrumentsMember |
| 1793 |
Drawn balance [member] |
Member |
|
|
lyg:DrawnBalanceMember |
| 1794 |
Undrawn balances [member] |
Member |
|
|
lyg:UndrawnBalancesMember |
| 1795 |
Method of assessment of expected credit losses [axis] |
Axis |
|
|
ifrs-full:MethodOfAssessmentOfExpectedCreditLossesAxis |
| 1796 |
Method of assessment of expected credit losses [member] |
Member |
|
|
ifrs-full:MethodOfAssessmentOfExpectedCreditLossesMember |
| 1797 |
Expected credit losses collectively assessed [member] |
Member |
|
|
ifrs-full:ExpectedCreditLossesCollectivelyAssessedMember |
| 1798 |
ALLOWANCE FOR IMPAIRMENT LOSSES (Details) [Line Items] |
LineItems |
|
|
lyg:ALLOWANCEFORIMPAIRMENTLOSSESDetailsLineItems |
| 1799 |
Change in expected credit loss |
Concept (Monetary) |
For Period |
Debit |
lyg:ChangeInExpectedCreditLoss |
| 1800 |
Allowance account for credit losses of financial assets |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:AllowanceAccountForCreditLossesOfFinancialAssets |
| 1801 |
168 - Disclosure - ALLOWANCE FOR IMPAIRMENT LOSSES (Details) - Disclosure of movement in the allowance for impairment losses |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DisclosureofmovementintheallowanceforimpairmentlossesTable |
| 1802 |
ALLOWANCE FOR IMPAIRMENT LOSSES (Details) - Disclosure of movement in the allowance for impairment losses [Table] |
Table |
* |
* |
lyg:ALLOWANCEFORIMPAIRMENTLOSSESDetailsDisclosureofmovementintheallowanceforimpairmentlossesTable |
| 1803 |
Impairment of financial assets [axis] |
Axis |
|
|
ifrs-full:ImpairmentOfFinancialAssetsAxis |
| 1804 |
Entity's total for impairment of financial assets [member] |
Member |
|
|
ifrs-full:EntitysTotalForImpairmentOfFinancialAssetsMember |
| 1805 |
Loans and Advances to Banks [Member] |
Member |
|
|
lyg:LoansAndAdvancesToBanksMember |
| 1806 |
Loans and advances to customers [Member] |
Member |
|
|
lyg:LoansAndAdvancesToCustomersMember |
| 1807 |
Debt securities [member] |
Member |
|
|
ifrs-full:DebtSecuritiesMember |
| 1808 |
Financial assets at amortised cost, class [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtAmortisedCostMember |
| 1809 |
Other assets [member] |
Member |
|
|
ifrs-full:OtherAssetsMember |
| 1810 |
Loan commitments and financial guarantees [member] |
Member |
|
|
lyg:LoanCommitmentsAndFinancialGuaranteesMember |
| 1811 |
Loan Stage [Axis] |
Axis |
|
|
lyg:LoanStageAxis |
| 1812 |
LoanStage [Domain] |
Member |
|
|
lyg:LoanStageDomain |
| 1813 |
Stage 1 [member] |
Member |
|
|
lyg:Stage1Member |
| 1814 |
Stage 2 [member] |
Member |
|
|
lyg:Stage2Member |
| 1815 |
Stage 3 [member] |
Member |
|
|
lyg:Stage3Member |
| 1816 |
Purchased or originated credit-impaired [member] |
Member |
|
|
lyg:PurchasedOrOriginatedCreditimpairedMember |
| 1817 |
Credit impairment of financial instruments [axis] |
Axis |
|
|
ifrs-full:CreditImpairmentOfFinancialInstrumentsAxis |
| 1818 |
Credit impairment of financial instruments [member] |
Member |
|
|
ifrs-full:CreditImpairmentOfFinancialInstrumentsMember |
| 1819 |
Drawn balance [member] |
Member |
|
|
lyg:DrawnBalanceMember |
| 1820 |
Undrawn balances [member] |
Member |
|
|
lyg:UndrawnBalancesMember |
| 1821 |
Segments [axis] |
Axis |
|
|
ifrs-full:SegmentsAxis |
| 1822 |
Segments [member] |
Member |
|
|
ifrs-full:SegmentsMember |
| 1823 |
Stage 1 [member] |
Member |
|
|
lyg:Stage1Member |
| 1824 |
Stage 2 [member] |
Member |
|
|
lyg:Stage2Member |
| 1825 |
Stage 3 [member] |
Member |
|
|
lyg:Stage3Member |
| 1826 |
Impact of transfers between stages [Member] |
Member |
|
|
lyg:ImpactOfTransfersBetweenStagesMember |
| 1827 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 1828 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 1829 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 1830 |
Increase (decrease) due to changes in accounting policy required by IFRSs [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToChangesInAccountingPolicyRequiredByIFRSsMember |
| 1831 |
ALLOWANCE FOR IMPAIRMENT LOSSES (Details) - Disclosure of movement in the allowance for impairment losses [Line Items] |
LineItems |
|
|
lyg:ALLOWANCEFORIMPAIRMENTLOSSESDetailsDisclosureofmovementintheallowanceforimpairmentlossesLineItems |
| 1832 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:AllowanceAccountForCreditLossesOfFinancialAssets |
| 1833 |
Exchange and other adjustments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughNetExchangeDifferencesAllowanceAccountForCreditLossesOfFinancialAssets |
| 1834 |
Impact of transfers between stages |
Concept (Monetary) |
For Period |
Debit |
lyg:ImpactOfTransfersBetweenStages |
| 1835 |
Other items charged to the income statement |
Concept (Monetary) |
For Period |
Debit |
lyg:OtherItemsImpactingImpairment |
| 1836 |
Charge to the income statement (note 13) |
Concept (Monetary) |
For Period |
|
ifrs-full:AdditionalAllowanceRecognisedInProfitOrLossAllowanceAccountForCreditLossesOfFinancialAssets |
| 1837 |
Advances written off |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:UtilisationAllowanceAccountForCreditLossesOfFinancialAssets |
| 1838 |
Disposal of businesses |
Concept (Monetary) |
For Period |
Credit |
us-gaap:GainLossOnSaleOfBusiness |
| 1839 |
Recoveries of advances written off in previous years |
Concept (Monetary) |
For Period |
Debit |
lyg:RecoveriesOfAdvancesWrittenOffInPreviousYears |
| 1840 |
Discount unwind |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughAdjustmentsArisingFromPassageOfTimeAllowanceAccountForCreditLossesOfFinancialAssets |
| 1841 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:AllowanceAccountForCreditLossesOfFinancialAssets |
| 1842 |
Impairment loss recognised in profit or loss |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLossRecognisedInProfitOrLoss |
| 1843 |
In respect of: |
Abstract |
|
|
lyg:InRespectOfAbstract0 |
| 1844 |
Expected credit loss in respect of financial assets at fair value through other comprehensive income (memorandum item) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:FairValueGainsLossesOnFinancialAssetsReclassifiedOutOfAvailableforsaleFinancialAssetsRecognisedInOtherComprehensiveIncome |
| 1845 |
169 - Disclosure - ALLOWANCE FOR IMPAIRMENT LOSSES (Details) - Disclosure of Asset Impairment Charges |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DisclosureofAssetImpairmentChargesTable |
| 1846 |
ALLOWANCE FOR IMPAIRMENT LOSSES (Details) - Disclosure of Asset Impairment Charges [Table] |
Table |
* |
* |
lyg:ALLOWANCEFORIMPAIRMENTLOSSESDetailsDisclosureofAssetImpairmentChargesTable |
| 1847 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 1848 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 1849 |
Drawn balance [member] |
Member |
|
|
lyg:DrawnBalanceMember |
| 1850 |
Undrawn balances [member] |
Member |
|
|
lyg:UndrawnBalancesMember |
| 1851 |
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [axis] |
Axis |
|
|
ifrs-full:CarryingAmountAccumulatedDepreciationAmortisationAndImpairmentAndGrossCarryingAmountAxis |
| 1852 |
Carrying amount [member] |
Member |
|
|
ifrs-full:CarryingAmountMember |
| 1853 |
Accumulated impairment [member] |
Member |
|
|
ifrs-full:AccumulatedImpairmentMember |
| 1854 |
ALLOWANCE FOR IMPAIRMENT LOSSES (Details) - Disclosure of Asset Impairment Charges [Line Items] |
LineItems |
|
|
lyg:ALLOWANCEFORIMPAIRMENTLOSSESDetailsDisclosureofAssetImpairmentChargesLineItems |
| 1855 |
Balances |
Concept (Monetary) |
For Period |
|
ifrs-full:AdditionalAllowanceRecognisedInProfitOrLossAllowanceAccountForCreditLossesOfFinancialAssets |
| 1856 |
Financial assets at fair value through other comprehensive income |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
| 1857 |
170 - Disclosure - ALLOWANCE FOR IMPAIRMENT LOSSES (Details) - Schedule of Allowance for Impairment Losses on Loans and Receivables |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofAllowanceforImpairmentLossesonLoansandReceivablesTable |
| 1858 |
ALLOWANCE FOR IMPAIRMENT LOSSES (Details) - Schedule of Allowance for Impairment Losses on Loans and Receivables [Table] |
Table |
* |
* |
lyg:ALLOWANCEFORIMPAIRMENTLOSSESDetailsScheduleofAllowanceforImpairmentLossesonLoansandReceivablesTable |
| 1859 |
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [axis] |
Axis |
|
|
ifrs-full:CarryingAmountAccumulatedDepreciationAmortisationAndImpairmentAndGrossCarryingAmountAxis |
| 1860 |
Carrying amount [member] |
Member |
|
|
ifrs-full:CarryingAmountMember |
| 1861 |
Accumulated impairment [member] |
Member |
|
|
ifrs-full:AccumulatedImpairmentMember |
| 1862 |
Classes of assets [axis] |
Axis |
|
|
ifrs-full:ClassesOfAssetsAxis |
| 1863 |
Assets [member] |
Member |
|
|
ifrs-full:ClassesOfAssetsMember |
| 1864 |
Loans and advances to customers [Member] |
Member |
|
|
lyg:LoansAndAdvancesToCustomersMember |
| 1865 |
Debt securities [member] |
Member |
|
|
ifrs-full:DebtSecuritiesMember |
| 1866 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 1867 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 1868 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 1869 |
ALLOWANCE FOR IMPAIRMENT LOSSES (Details) - Schedule of Allowance for Impairment Losses on Loans and Receivables [Line Items] |
LineItems |
|
|
lyg:ALLOWANCEFORIMPAIRMENTLOSSESDetailsScheduleofAllowanceforImpairmentLossesonLoansandReceivablesLineItems |
| 1870 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:AllowanceAccountForCreditLossesOfFinancialAssets |
| 1871 |
Exchange and other adjustments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughNetExchangeDifferencesAllowanceAccountForCreditLossesOfFinancialAssets |
| 1872 |
Advances written off |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:UtilisationAllowanceAccountForCreditLossesOfFinancialAssets |
| 1873 |
Recoveries of advances written off in previous years |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainOnRecoveryOfLoansAndAdvancesPreviouslyWrittenOff |
| 1874 |
Unwinding of discount |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughAdjustmentsArisingFromPassageOfTimeAllowanceAccountForCreditLossesOfFinancialAssets |
| 1875 |
Charge (release) to the income statement (note 13) |
Concept (Monetary) |
For Period |
|
ifrs-full:AdditionalAllowanceRecognisedInProfitOrLossAllowanceAccountForCreditLossesOfFinancialAssets |
| 1876 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:AllowanceAccountForCreditLossesOfFinancialAssets |
| 1877 |
171 - Disclosure - FINANCIAL ASSETS AT FAIR VALUE THROUGH OTHER COMPREHENSIVE INCOME (Details) - Schedule of Financial Assets At Fair Value Through Other Comprehensive Income |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofFinancialAssetsAtFairValueThroughOtherComprehensiveIncomeTable |
| 1878 |
Implied Table |
Table |
* |
* |
implied:Table |
| 1879 |
Schedule of Financial Assets At Fair Value Through Other Comprehensive Income [Abstract] |
Abstract |
|
|
lyg:ScheduleOfFinancialAssetsAtFairValueThroughOtherComprehensiveIncomeAbstract |
| 1880 |
Debt securities: |
Abstract |
|
|
lyg:DebtSecuritiesAbstract0 |
| 1881 |
Government securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:GovernmentDebtInstrumentsHeld |
| 1882 |
Bank and building society certificates of deposit |
Concept (Monetary) |
As Of |
Debit |
lyg:BankAndBuildingSocietyCertificatesOfDeposit |
| 1883 |
Asset-backed securities: |
Abstract |
|
|
lyg:AssetBackedSecuritiesAbstract0 |
| 1884 |
Mortgage-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:BankDebtInstrumentsHeld |
| 1885 |
Other asset-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherDebtInstrumentsHeld |
| 1886 |
Corporate and other debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CorporateDebtInstrumentsHeld |
| 1887 |
|
Concept (Monetary) |
As Of |
Debit |
ifrs-full:AssetbackedDebtInstrumentsHeld |
| 1888 |
Treasury and other bills |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:TreasuryShares |
| 1889 |
Equity shares |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:EquityInstrumentsHeld |
| 1890 |
Total financial assets at fair value through other comprehensive income |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
| 1891 |
172 - Disclosure - AVAILABLE-FOR-SALE FINANCIAL ASSETS (Details) - Schedule of Available-For-Sale Financial Assets |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofAvailableForSaleFinancialAssetsTable |
| 1892 |
AVAILABLE-FOR-SALE FINANCIAL ASSETS (Details) - Schedule of Available-For-Sale Financial Assets [Table] |
Table |
* |
* |
lyg:AVAILABLEFORSALEFINANCIALASSETSDetailsScheduleofAvailableForSaleFinancialAssetsTable |
| 1893 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 1894 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 1895 |
Financial assets available-for-sale, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAvailableforsaleCategoryMember |
| 1896 |
AVAILABLE-FOR-SALE FINANCIAL ASSETS (Details) - Schedule of Available-For-Sale Financial Assets [Line Items] |
LineItems |
|
|
lyg:AVAILABLEFORSALEFINANCIALASSETSDetailsScheduleofAvailableForSaleFinancialAssetsLineItems |
| 1897 |
Debt securities: |
Abstract |
|
|
lyg:DebtSecuritiesAbstract00 |
| 1898 |
Government securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:GovernmentDebtInstrumentsHeld |
| 1899 |
Bank and building society certificates of deposit |
Concept (Monetary) |
As Of |
Debit |
lyg:BankAndBuildingSocietyCertificatesOfDeposit |
| 1900 |
Asset-backed securities: |
Abstract |
|
|
lyg:AssetBackedSecuritiesAbstract00 |
| 1901 |
Mortgage-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:BankDebtInstrumentsHeld |
| 1902 |
Other asset-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherDebtInstrumentsHeld |
| 1903 |
Corporate and other debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CorporateDebtInstrumentsHeld |
| 1904 |
|
Concept (Monetary) |
As Of |
Debit |
ifrs-full:AssetbackedDebtInstrumentsHeld |
| 1905 |
Equity shares |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:EquityInstrumentsHeld |
| 1906 |
Total available-for-sale financial assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAvailableforsale |
| 1907 |
173 - Disclosure - GOODWILL (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/GOODWILLDetails |
| 1908 |
GOODWILL (Details) [Table] |
Table |
* |
* |
lyg:GOODWILLDetailsTable |
| 1909 |
Classes of intangible assets and goodwill [axis] |
Axis |
|
|
ifrs-full:ClassesOfIntangibleAssetsAndGoodwillAxis |
| 1910 |
Intangible assets and goodwill [member] |
Member |
|
|
ifrs-full:IntangibleAssetsAndGoodwillMember |
| 1911 |
Scottish Widows [member] |
Member |
|
|
lyg:ScottishWidowsMember |
| 1912 |
MBNA Limited [Member] |
Member |
|
|
lyg:MBNALimitedMember |
| 1913 |
Motor Finance [member] |
Member |
|
|
lyg:MotorFinanceMember |
| 1914 |
GOODWILL (Details) [Line Items] |
LineItems |
|
|
lyg:GOODWILLDetailsLineItems |
| 1915 |
Goodwill |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:Goodwill |
| 1916 |
Percentage of entity goodwill |
Concept (Percent) |
For Period |
|
lyg:PercentageOfEntityGoodwill |
| 1917 |
174 - Disclosure - GOODWILL (Details) - Schedule of Goodwill |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofGoodwillTable |
| 1918 |
GOODWILL (Details) - Schedule of Goodwill [Table] |
Table |
* |
* |
lyg:GOODWILLDetailsScheduleofGoodwillTable |
| 1919 |
Classes of intangible assets and goodwill [axis] |
Axis |
|
|
ifrs-full:ClassesOfIntangibleAssetsAndGoodwillAxis |
| 1920 |
Intangible assets and goodwill [member] |
Member |
|
|
ifrs-full:IntangibleAssetsAndGoodwillMember |
| 1921 |
Cost [Member] |
Member |
|
|
lyg:CostMember |
| 1922 |
Accumulated impairment losses [Member] |
Member |
|
|
lyg:AccumulatedImpairmentLossesMember |
| 1923 |
GOODWILL (Details) - Schedule of Goodwill [Line Items] |
LineItems |
|
|
lyg:GOODWILLDetailsScheduleofGoodwillLineItems |
| 1924 |
Beginning Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:Goodwill |
| 1925 |
Acquisition of businesses |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AcquisitionsThroughBusinessCombinationsIntangibleAssetsAndGoodwill |
| 1926 |
Impairment charged to the income statement (note 11) |
Concept (Monetary) |
For Period |
|
ifrs-full:ImpairmentLossRecognisedInProfitOrLossGoodwill |
| 1927 |
Ending Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:Goodwill |
| 1928 |
175 - Disclosure - VALUE OF IN-FORCE BUSINESS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/VALUEOFINFORCEBUSINESSDetails |
| 1929 |
VALUE OF IN-FORCE BUSINESS (Details) [Table] |
Table |
* |
* |
lyg:VALUEOFINFORCEBUSINESSDetailsTable |
| 1930 |
Categories of related parties [axis] |
Axis |
|
|
ifrs-full:CategoriesOfRelatedPartiesAxis |
| 1931 |
Entity's total for related parties [member] |
Member |
|
|
ifrs-full:EntitysTotalForRelatedPartiesMember |
| 1932 |
OEIC [member] |
Member |
|
|
lyg:OEICMember |
| 1933 |
VALUE OF IN-FORCE BUSINESS (Details) [Line Items] |
LineItems |
|
|
lyg:VALUEOFINFORCEBUSINESSDetailsLineItems |
| 1934 |
Estimated Illiquidity Premium |
Concept (Percent) |
For Period |
|
lyg:EstimatedIlliquidityPremium |
| 1935 |
AcquiredValueOfNonParticipatingInvestmentContract |
Concept (Monetary) |
For Period |
Debit |
lyg:AcquiredValueOfNonParticipatingInvestmentContract |
| 1936 |
176 - Disclosure - VALUE OF IN-FORCE BUSINESS (Details) - Schedule of Range of Yields and Other Key Assumptions |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofRangeofYieldsandOtherKeyAssumptionsTable |
| 1937 |
VALUE OF IN-FORCE BUSINESS (Details) - Schedule of Range of Yields and Other Key Assumptions [Table] |
Table |
* |
* |
lyg:VALUEOFINFORCEBUSINESSDetailsScheduleofRangeofYieldsandOtherKeyAssumptionsTable |
| 1938 |
Types of inflation |
Axis |
|
|
lyg:TypesOfInflationAxis |
| 1939 |
TypesOfInflation [Domain] |
Member |
|
|
lyg:TypesOfInflationDomain |
| 1940 |
Retail Price [Member] |
Member |
|
|
lyg:RetailPriceMember |
| 1941 |
Expense [Member] |
Member |
|
|
lyg:ExpenseMember |
| 1942 |
Types of interest rates [axis] |
Axis |
|
|
ifrs-full:TypesOfInterestRatesAxis |
| 1943 |
Interest rate types [member] |
Member |
|
|
ifrs-full:InterestRateTypesMember |
| 1944 |
Value of In-Force Non-Annuity Business [Member] |
Member |
|
|
lyg:ValueOfInForceNonAnnuityBusinessMember |
| 1945 |
Value of In-Force Annuity Business [Member] |
Member |
|
|
lyg:ValueOfInForceAnnuityBusinessMember |
| 1946 |
Financial Options and Guarantees [Member] |
Member |
|
|
lyg:FinancialOptionsAndGuaranteesMember |
| 1947 |
Range [axis] |
Axis |
|
|
ifrs-full:RangeAxis |
| 1948 |
Ranges [member] |
Member |
|
|
ifrs-full:RangesMember |
| 1949 |
Bottom of range [member] |
Member |
|
|
ifrs-full:BottomOfRangeMember |
| 1950 |
Top of range [member] |
Member |
|
|
ifrs-full:TopOfRangeMember |
| 1951 |
VALUE OF IN-FORCE BUSINESS (Details) - Schedule of Range of Yields and Other Key Assumptions [Line Items] |
LineItems |
|
|
lyg:VALUEOFINFORCEBUSINESSDetailsScheduleofRangeofYieldsandOtherKeyAssumptionsLineItems |
| 1952 |
Risk-free rate |
Concept (Percent) |
For Period |
|
ifrs-full:DescriptionOfRiskFreeInterestRateShareOptionsGranted |
| 1953 |
Inflation |
Concept (Percent) |
As Of |
|
ifrs-full:ActuarialAssumptionOfExpectedRatesOfInflation |
| 1954 |
177 - Disclosure - VALUE OF IN-FORCE BUSINESS (Details) - Schedule of Value of In-Force Business |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofValueofInForceBusinessTable |
| 1955 |
VALUE OF IN-FORCE BUSINESS (Details) - Schedule of Value of In-Force Business [Table] |
Table |
* |
* |
lyg:VALUEOFINFORCEBUSINESSDetailsScheduleofValueofInForceBusinessTable |
| 1956 |
Type of Account [Axis] |
Axis |
|
|
lyg:TypeOfAccountAxis |
| 1957 |
TypeOfAccount [Domain] |
Member |
|
|
lyg:TypeOfAccountDomain |
| 1958 |
In-Force [Member] |
Member |
|
|
lyg:InForceMember |
| 1959 |
VALUE OF IN-FORCE BUSINESS (Details) - Schedule of Value of In-Force Business [Line Items] |
LineItems |
|
|
lyg:VALUEOFINFORCEBUSINESSDetailsScheduleofValueofInForceBusinessLineItems |
| 1960 |
Acquired value of in-force non-participating investment contracts |
Concept (Monetary) |
As Of |
Debit |
lyg:AcquiredValueOfInforceNonparticipatingInvestmentContracts |
| 1961 |
Value of in-force insurance and investment contracts |
Concept (Monetary) |
As Of |
Debit |
lyg:ValueOfInforceInsuranceAndParticipatingInvestmentContracts |
| 1962 |
Total value of in-force business |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:IntangibleAssetsMaterialToEntity |
| 1963 |
178 - Disclosure - VALUE OF IN-FORCE BUSINESS (Details) - Schedule of Acquired Value of In-Force Non-Participating Investment Contracts |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofAcquiredValueofInForceNonParticipatingInvestmentContractsTable |
| 1964 |
VALUE OF IN-FORCE BUSINESS (Details) - Schedule of Acquired Value of In-Force Non-Participating Investment Contracts [Table] |
Table |
* |
* |
lyg:VALUEOFINFORCEBUSINESSDetailsScheduleofAcquiredValueofInForceNonParticipatingInvestmentContractsTable |
| 1965 |
Segments [Axis] |
Axis |
|
|
us-gaap:StatementBusinessSegmentsAxis |
| 1966 |
Segments [Domain] |
Member |
|
|
us-gaap:SegmentDomain |
| 1967 |
Life and Annuity Insurance Product Line [Member] |
Member |
|
|
us-gaap:LifeAndAnnuityInsuranceProductLineMember |
| 1968 |
Type of Account [Axis] |
Axis |
|
|
lyg:TypeOfAccountAxis |
| 1969 |
TypeOfAccount [Domain] |
Member |
|
|
lyg:TypeOfAccountDomain |
| 1970 |
In-Force [Member] |
Member |
|
|
lyg:InForceMember |
| 1971 |
Subsegments [Axis] |
Axis |
|
|
us-gaap:SubsegmentsAxis |
| 1972 |
Subsegments [Domain] |
Member |
|
|
us-gaap:SubsegmentsDomain |
| 1973 |
Nonparticipating Life Insurance Contract [Member] |
Member |
|
|
us-gaap:NonparticipatingLifeInsurancePolicyMember |
| 1974 |
VALUE OF IN-FORCE BUSINESS (Details) - Schedule of Acquired Value of In-Force Non-Participating Investment Contracts [Line Items] |
LineItems |
|
|
lyg:VALUEOFINFORCEBUSINESSDetailsScheduleofAcquiredValueofInForceNonParticipatingInvestmentContractsLineItems |
| 1975 |
Beginning Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:IntangibleAssetsMaterialToEntity |
| 1976 |
Acquisition of business |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AcquisitionsThroughBusinessCombinationsIntangibleAssetsAndGoodwill |
| 1977 |
Amortisation taken to income statement (note 11) |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DepreciationAndAmortisationExpense |
| 1978 |
Ending Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:IntangibleAssetsMaterialToEntity |
| 1979 |
179 - Disclosure - VALUE OF IN-FORCE BUSINESS (Details) - Schedule of Value of In-Force Insurance and Participating Investment Contracts |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofValueofInForceInsuranceandParticipatingInvestmentContractsTable |
| 1980 |
VALUE OF IN-FORCE BUSINESS (Details) - Schedule of Value of In-Force Insurance and Participating Investment Contracts [Table] |
Table |
* |
* |
lyg:VALUEOFINFORCEBUSINESSDetailsScheduleofValueofInForceInsuranceandParticipatingInvestmentContractsTable |
| 1981 |
Segments [Axis] |
Axis |
|
|
us-gaap:StatementBusinessSegmentsAxis |
| 1982 |
Segments [Domain] |
Member |
|
|
us-gaap:SegmentDomain |
| 1983 |
Life and Annuity Insurance Product Line [Member] |
Member |
|
|
us-gaap:LifeAndAnnuityInsuranceProductLineMember |
| 1984 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 1985 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 1986 |
New business [Member] |
Member |
|
|
lyg:NewBusinessMember |
| 1987 |
Expected return [Member] |
Member |
|
|
lyg:ExpectedReturnMember |
| 1988 |
Experience variances [Member] |
Member |
|
|
lyg:ExperienceVariancesMember |
| 1989 |
Assumption changes [Member] |
Member |
|
|
lyg:AssumptionChangesMember |
| 1990 |
Economic variance [Member] |
Member |
|
|
lyg:EconomicVarianceMember |
| 1991 |
Subsegments [Axis] |
Axis |
|
|
us-gaap:SubsegmentsAxis |
| 1992 |
Subsegments [Domain] |
Member |
|
|
us-gaap:SubsegmentsDomain |
| 1993 |
Participating Life Insurance Contract [Member] |
Member |
|
|
us-gaap:ParticipatingLifeInsurancePolicyMember |
| 1994 |
VALUE OF IN-FORCE BUSINESS (Details) - Schedule of Value of In-Force Insurance and Participating Investment Contracts [Line Items] |
LineItems |
|
|
lyg:VALUEOFINFORCEBUSINESSDetailsScheduleofValueofInForceInsuranceandParticipatingInvestmentContractsLineItems |
| 1995 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:InvestmentContractsLiabilities |
| 1996 |
Exchange and other adjustments |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForUnrealisedForeignExchangeLossesGains |
| 1997 |
Movements in the year: |
Abstract |
|
|
lyg:MovementsInTheYearAbstract |
| 1998 |
Movements in the year |
Concept (Monetary) |
For Period |
Credit |
lyg:MovementInValueOfInForceBusinessTakenToTheIncomeStatement |
| 1999 |
Existing business: |
Abstract |
|
|
lyg:ExistingBusinessAbstract |
| 2000 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:InvestmentContractsLiabilities |
| 2001 |
180 - Disclosure - OTHER INTANGIBLE ASSETS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHERINTANGIBLEASSETSDetails |
| 2002 |
Implied Table |
Table |
* |
* |
implied:Table |
| 2003 |
Disclosure of intangible assets [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfIntangibleAssetsTextBlockAbstract |
| 2004 |
Brand names |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:BrandNames |
| 2005 |
Remaining amortisation period of intangible assets material to entity |
Concept (Decimal) |
As Of |
|
ifrs-full:RemainingAmortisationPeriodOfIntangibleAssetsMaterialToEntity |
| 2006 |
181 - Disclosure - OTHER INTANGIBLE ASSETS (Details) - Schedule of Other Intangible Assets |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofOtherIntangibleAssetsTable |
| 2007 |
OTHER INTANGIBLE ASSETS (Details) - Schedule of Other Intangible Assets [Table] |
Table |
* |
* |
lyg:OTHERINTANGIBLEASSETSDetailsScheduleofOtherIntangibleAssetsTable |
| 2008 |
Classes of intangible assets and goodwill [axis] |
Axis |
|
|
ifrs-full:ClassesOfIntangibleAssetsAndGoodwillAxis |
| 2009 |
Intangible assets and goodwill [member] |
Member |
|
|
ifrs-full:IntangibleAssetsAndGoodwillMember |
| 2010 |
Brand names [member] |
Member |
|
|
ifrs-full:BrandNamesMember |
| 2011 |
Core Deposit Intangible [Member] |
Member |
|
|
lyg:CoreDepositIntangibleMember |
| 2012 |
Purchased Credit Card Relationships [Member] |
Member |
|
|
lyg:PurchasedCreditCardRelationshipsMember |
| 2013 |
Customer-related intangible assets [member] |
Member |
|
|
ifrs-full:CustomerrelatedIntangibleAssetsMember |
| 2014 |
Computer software [member] |
Member |
|
|
ifrs-full:ComputerSoftwareMember |
| 2015 |
Intangible assets material to entity [axis] |
Axis |
|
|
ifrs-full:IntangibleAssetsMaterialToEntityAxis |
| 2016 |
Intangible assets material to entity [member] |
Member |
|
|
ifrs-full:IntangibleAssetsMaterialToEntityMember |
| 2017 |
Cost [Member] |
Member |
|
|
lyg:CostMember |
| 2018 |
Accumulated amortisation [Member] |
Member |
|
|
lyg:AccumulatedAmortisationMember |
| 2019 |
OTHER INTANGIBLE ASSETS (Details) - Schedule of Other Intangible Assets [Line Items] |
LineItems |
|
|
lyg:OTHERINTANGIBLEASSETSDetailsScheduleofOtherIntangibleAssetsLineItems |
| 2020 |
Beginning Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:IntangibleAssetsOtherThanGoodwill |
| 2021 |
Charge for the year |
Concept (Monetary) |
For Period |
Debit |
lyg:ChargeForTheYear |
| 2022 |
Acquisition of businesses |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AcquisitionsThroughBusinessCombinationsIntangibleAssetsOtherThanGoodwill |
| 2023 |
Additions |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdditionsOtherThanThroughBusinessCombinationsIntangibleAssetsOtherThanGoodwill |
| 2024 |
Disposals |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:DisposalsIntangibleAssetsOtherThanGoodwill |
| 2025 |
End Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:IntangibleAssetsOtherThanGoodwill |
| 2026 |
182 - Disclosure - PROPERTY, PLANT AND EQUIPMENT (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/PROPERTYPLANTANDEQUIPMENTDetails |
| 2027 |
Implied Table |
Table |
* |
* |
implied:Table |
| 2028 |
Disclosure of property, plant and equipment [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfPropertyPlantAndEquipmentTextBlockAbstract |
| 2029 |
Rental income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RentalIncome |
| 2030 |
Direct operating expense from investment property generating rental income |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DirectOperatingExpenseFromInvestmentPropertyGeneratingRentalIncome |
| 2031 |
Capital expenditure contracted for but not recognised |
Concept (Monetary) |
As Of |
Debit |
lyg:CapitalExpenditureContractedForButNotRecognised |
| 2032 |
Contingent rents recognised as income, classified as operating lease |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ContingentRentsRecognisedAsIncomeClassifiedAsOperatingLease |
| 2033 |
Expected future minimum sublease payments receivable under non-cancellable subleases, classified as operating lease |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:ExpectedFutureMinimumSubleasePaymentsReceivableUnderNoncancellableSubleasesClassifiedAsOperatingLease |
| 2034 |
183 - Disclosure - PROPERTY, PLANT AND EQUIPMENT (Details) - Schedule of Property, Plant and Equipment |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofPropertyPlantandEquipmentTable |
| 2035 |
PROPERTY, PLANT AND EQUIPMENT (Details) - Schedule of Property, Plant and Equipment [Table] |
Table |
* |
* |
lyg:PROPERTYPLANTANDEQUIPMENTDetailsScheduleofPropertyPlantandEquipmentTable |
| 2036 |
Classes of property, plant and equipment [axis] |
Axis |
|
|
ifrs-full:ClassesOfPropertyPlantAndEquipmentAxis |
| 2037 |
Property, plant and equipment [member] |
Member |
|
|
ifrs-full:PropertyPlantAndEquipmentMember |
| 2038 |
Investment property [member] |
Member |
|
|
ifrs-full:InvestmentPropertyMember |
| 2039 |
Buildings [member] |
Member |
|
|
ifrs-full:BuildingsMember |
| 2040 |
Other property, plant and equipment [member] |
Member |
|
|
ifrs-full:OtherPropertyPlantAndEquipmentMember |
| 2041 |
Property, plant and equipment under operating leases [member] |
Member |
|
|
ifrs-full:PropertyPlantAndEquipmentUnderOperatingLeasesMember |
| 2042 |
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [axis] |
Axis |
|
|
ifrs-full:CarryingAmountAccumulatedDepreciationAmortisationAndImpairmentAndGrossCarryingAmountAxis |
| 2043 |
Carrying amount [member] |
Member |
|
|
ifrs-full:CarryingAmountMember |
| 2044 |
Gross carrying amount [member] |
Member |
|
|
ifrs-full:GrossCarryingAmountMember |
| 2045 |
Accumulated depreciation, amortisation and impairment [member] |
Member |
|
|
ifrs-full:AccumulatedDepreciationAmortisationAndImpairmentMember |
| 2046 |
PROPERTY, PLANT AND EQUIPMENT (Details) - Schedule of Property, Plant and Equipment [Line Items] |
LineItems |
|
|
lyg:PROPERTYPLANTANDEQUIPMENTDetailsScheduleofPropertyPlantandEquipmentLineItems |
| 2047 |
Beginning Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:PropertyPlantAndEquipment |
| 2048 |
Exchange and other adjustments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:AdjustmentsForGainsLossesOnFairValueAdjustmentInvestmentProperty |
| 2049 |
Depreciation charge for the year |
Concept (Monetary) |
For Period |
|
ifrs-full:DepreciationPropertyPlantAndEquipment |
| 2050 |
Acquisition of businesses |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AcquisitionsThroughBusinessCombinationsPropertyPlantAndEquipment |
| 2051 |
Additions |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdditionsOtherThanThroughBusinessCombinationsPropertyPlantAndEquipment |
| 2052 |
Expenditure on investment properties (see below) |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdditionsFromSubsequentExpenditureRecognisedAsAssetInvestmentProperty |
| 2053 |
Change in fair value of investment properties (note 7) |
Concept (Monetary) |
For Period |
|
ifrs-full:GainsLossesOnFairValueAdjustmentInvestmentProperty |
| 2054 |
Disposals |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:DisposalsPropertyPlantAndEquipment |
| 2055 |
Ending Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:PropertyPlantAndEquipment |
| 2056 |
184 - Disclosure - PROPERTY, PLANT AND EQUIPMENT (Details) - Schedule of Expenditure on Investment Properties |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofExpenditureonInvestmentPropertiesTable |
| 2057 |
Implied Table |
Table |
* |
* |
implied:Table |
| 2058 |
Schedule of Expenditure on Investment Properties [Abstract] |
Abstract |
|
|
lyg:ScheduleOfExpenditureOnInvestmentPropertiesAbstract |
| 2059 |
Acquisitions of new properties |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdditionsFromAcquisitionsInvestmentProperty |
| 2060 |
Additional expenditure on existing properties |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DirectOperatingExpenseFromInvestmentProperty |
| 2061 |
Expenditure on investment properties |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdditionsFromSubsequentExpenditureRecognisedAsAssetInvestmentProperty |
| 2062 |
185 - Disclosure - PROPERTY, PLANT AND EQUIPMENT (Details) - Schedule of Future Minimum Rentals Receivable under Non-Cancellable Operating Leases |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofFutureMinimumRentalsReceivableunderNonCancellableOperatingLeasesTable |
| 2063 |
PROPERTY, PLANT AND EQUIPMENT (Details) - Schedule of Future Minimum Rentals Receivable under Non-Cancellable Operating Leases [Table] |
Table |
* |
* |
lyg:PROPERTYPLANTANDEQUIPMENTDetailsScheduleofFutureMinimumRentalsReceivableunderNonCancellableOperatingLeasesTable |
| 2064 |
Maturity [axis] |
Axis |
|
|
ifrs-full:MaturityAxis |
| 2065 |
Aggregated time bands [member] |
Member |
|
|
ifrs-full:AggregatedTimeBandsMember |
| 2066 |
Not later than one year [member] |
Member |
|
|
ifrs-full:NotLaterThanOneYearMember |
| 2067 |
Later than one year and not later than five years [member] |
Member |
|
|
ifrs-full:LaterThanOneYearAndNotLaterThanFiveYearsMember |
| 2068 |
Later than five years [member] |
Member |
|
|
ifrs-full:LaterThanFiveYearsMember |
| 2069 |
PROPERTY, PLANT AND EQUIPMENT (Details) - Schedule of Future Minimum Rentals Receivable under Non-Cancellable Operating Leases [Line Items] |
LineItems |
|
|
lyg:PROPERTYPLANTANDEQUIPMENTDetailsScheduleofFutureMinimumRentalsReceivableunderNonCancellableOperatingLeasesLineItems |
| 2070 |
Future minimum rentals receivable |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:MinimumLeasePaymentsReceivableUnderNoncancellableOperatingLease |
| 2071 |
186 - Disclosure - OTHER ASSETS (Details) - Schedule of Other Assets |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofOtherAssetsTable |
| 2072 |
OTHER ASSETS (Details) - Schedule of Other Assets [Table] |
Table |
* |
* |
lyg:OTHERASSETSDetailsScheduleofOtherAssetsTable |
| 2073 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 2074 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 2075 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 2076 |
OTHER ASSETS (Details) - Schedule of Other Assets [Line Items] |
LineItems |
|
|
lyg:OTHERASSETSDetailsScheduleofOtherAssetsLineItems |
| 2077 |
Assets arising from reinsurance contracts held (notes 31 and 33) |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:ReinsuranceAssets |
| 2078 |
Deferred acquisition and origination costs |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DeferredAcquisitionCostsArisingFromInsuranceContracts |
| 2079 |
Settlement balances |
Concept (Monetary) |
As Of |
|
lyg:SettlementBalances |
| 2080 |
Corporate pension asset |
Concept (Monetary) |
As Of |
|
lyg:CorporatePensionAsset |
| 2081 |
Investments in joint ventures and associates |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:InvestmentsInSubsidiariesJointVenturesAndAssociates |
| 2082 |
Other assets and prepayments |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CurrentPrepaymentsAndOtherCurrentAssets |
| 2083 |
Total other assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherAssets |
| 2084 |
187 - Disclosure - FINANCIAL LIABILITIES AT FAIR VALUE THROUGH PROFIT OR LOSS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALLIABILITIESATFAIRVALUETHROUGHPROFITORLOSSDetails |
| 2085 |
Implied Table |
Table |
* |
* |
implied:Table |
| 2086 |
Disclosure Of Trading And Other Financial Liabilities At Fair Value Through Profit Or Loss [Abstract] |
Abstract |
|
|
lyg:DisclosureOfTradingAndOtherFinancialLiabilitiesAtFairValueThroughProfitOrLossAbstract |
| 2087 |
Amount Contractually Payable On Debt Securities Held At Fair Value Through Profit Or Loss |
Concept (Monetary) |
As Of |
Debit |
lyg:AmountContractuallyPayableOnDebtSecuritiesHeldAtFairValueThroughProfitOrLoss |
| 2088 |
Difference Between The Balance Sheet Carrying Value And Amount Contractually Payable On Debt Securities Held At Fair Value Through Profit Or Loss |
Concept (Monetary) |
As Of |
Debit |
lyg:DifferenceBetweenTheBalanceSheetCarryingValueAndAmountContractuallyPayableOnDebtSecuritiesHeldAtFairValueThroughProfitOrLoss |
| 2089 |
Increase (decrease) in fair value measurement, liabilities |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseInFairValueMeasurementLiabilities |
| 2090 |
Increase (decrease) in fair value of financial liability, attributable to changes in credit risk of liability |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ChangesInFairValueOfFinancialLiabilityAttributableToChangesInCreditRiskOfLiability |
| 2091 |
188 - Disclosure - FINANCIAL LIABILITIES AT FAIR VALUE THROUGH PROFIT OR LOSS (Details) - Schedule of Trading and Other Financial Liabilities and Fair Value Through Profit or Loss |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofTradingandOtherFinancialLiabilitiesandFairValueThroughProfitorLossTable |
| 2092 |
FINANCIAL LIABILITIES AT FAIR VALUE THROUGH PROFIT OR LOSS (Details) - Schedule of Trading and Other Financial Liabilities and Fair Value Through Profit or Loss [Table] |
Table |
* |
* |
lyg:FINANCIALLIABILITIESATFAIRVALUETHROUGHPROFITORLOSSDetailsScheduleofTradingandOtherFinancialLiabilitiesandFairValueThroughProfitorLossTable |
| 2093 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 2094 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 2095 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 2096 |
FINANCIAL LIABILITIES AT FAIR VALUE THROUGH PROFIT OR LOSS (Details) - Schedule of Trading and Other Financial Liabilities and Fair Value Through Profit or Loss [Line Items] |
LineItems |
|
|
lyg:FINANCIALLIABILITIESATFAIRVALUETHROUGHPROFITORLOSSDetailsScheduleofTradingandOtherFinancialLiabilitiesandFairValueThroughProfitorLossLineItems |
| 2097 |
Debt securities in issue |
Concept (Monetary) |
As Of |
Credit |
lyg:DebtSecuritiesInIssueFairValueThroughProfitOrLoss |
| 2098 |
Other |
Concept (Monetary) |
As Of |
Credit |
lyg:OtherFinancialLiabilitiesAtFairValueThroughProfitOrLossDesignatedAsUponInitialRecognition |
| 2099 |
|
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLossDesignatedAsUponInitialRecognition |
| 2100 |
Trading liabilities: |
Abstract |
|
|
lyg:TradingLiabilitiesAbstract |
| 2101 |
Liabilities in respect of securities sold under repurchase agreements |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:RepurchaseAgreementsAndCashCollateralOnSecuritiesLent |
| 2102 |
Other deposits |
Concept (Monetary) |
As Of |
Debit |
lyg:OtherDeposits |
| 2103 |
Short positions in securities |
Concept (Monetary) |
As Of |
Credit |
lyg:ShortPositionsInSecurities |
| 2104 |
|
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLossClassifiedAsHeldForTrading |
| 2105 |
Financial liabilities at fair value through profit or loss |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLoss |
| 2106 |
189 - Disclosure - DEBT SECURITIES IN ISSUE (Details) - Schedule of Debt Securities in Issue |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofDebtSecuritiesinIssueTable |
| 2107 |
DEBT SECURITIES IN ISSUE (Details) - Schedule of Debt Securities in Issue [Table] |
Table |
* |
* |
lyg:DEBTSECURITIESINISSUEDetailsScheduleofDebtSecuritiesinIssueTable |
| 2108 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 2109 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 2110 |
Before IFRS 9 impairment adjustments [member] |
Member |
|
|
lyg:BeforeIFRS9ImpairmentAdjustmentsMember |
| 2111 |
DEBT SECURITIES IN ISSUE (Details) - Schedule of Debt Securities in Issue [Line Items] |
LineItems |
|
|
lyg:DEBTSECURITIESINISSUEDetailsScheduleofDebtSecuritiesinIssueLineItems |
| 2112 |
Medium-term notes issued |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:NotesAndDebenturesIssued |
| 2113 |
Covered bonds (note 30) |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:BondsIssued |
| 2114 |
Certificates of deposit issued |
Concept (Monetary) |
As Of |
Credit |
lyg:CertificatesOfDepositIssued |
| 2115 |
Securitisation notes (note 30) |
Concept (Monetary) |
As Of |
Credit |
lyg:SecuritisationNotes |
| 2116 |
Commercial paper |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:CommercialPapersIssued |
| 2117 |
Total debt securities in issue |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DebtSecurities |
| 2118 |
190 - Disclosure - SECURITISATIONS AND COVERED BONDS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SECURITISATIONSANDCOVEREDBONDSDetails |
| 2119 |
SECURITISATIONS AND COVERED BONDS (Details) [Table] |
Table |
* |
* |
lyg:SECURITISATIONSANDCOVEREDBONDSDetailsTable |
| 2120 |
Covered Bond Program [Axis] |
Axis |
|
|
lyg:CoveredBondProgramAxis |
| 2121 |
CoveredBondProgram [Domain] |
Member |
|
|
lyg:CoveredBondProgramDomain |
| 2122 |
Securitisation programme [Member] |
Member |
|
|
lyg:SecuritisationProgrammeMember |
| 2123 |
SECURITISATIONS AND COVERED BONDS (Details) [Line Items] |
LineItems |
|
|
lyg:SECURITISATIONSANDCOVEREDBONDSDetailsLineItems |
| 2124 |
Securitisation Notes At Fair Value Through Profit Or Loss |
Concept (Monetary) |
As Of |
Debit |
lyg:SecuritisationNotesAtFairValueThroughProfitOrLoss |
| 2125 |
Cash Deposits Held Restricted In Use To Securitisation And Covered Bonds |
Concept (Monetary) |
As Of |
Debit |
lyg:CashDepositsHeldRestrictedInUseToSecuritisationAndCoveredBonds |
| 2126 |
Maximum exposure to loss from interests in structured entities |
Concept (Monetary) |
As Of |
|
ifrs-full:MaximumExposureToLossFromInterestsInStructuredEntities |
| 2127 |
191 - Disclosure - SECURITISATIONS AND COVERED BONDS (Details) - Schedule of Securitisation and Covered Bond Programmes |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofSecuritisationandCoveredBondProgrammesTable |
| 2128 |
SECURITISATIONS AND COVERED BONDS (Details) - Schedule of Securitisation and Covered Bond Programmes [Table] |
Table |
* |
* |
lyg:SECURITISATIONSANDCOVEREDBONDSDetailsScheduleofSecuritisationandCoveredBondProgrammesTable |
| 2129 |
Securitisation Program [Axis] |
Axis |
|
|
lyg:SecuritisationProgramAxis |
| 2130 |
SecuritisationProgram [Domain] |
Member |
|
|
lyg:SecuritisationProgramDomain |
| 2131 |
UK residential mortgages [Member] |
Member |
|
|
lyg:UKResidentialMortgagesMember |
| 2132 |
Commercial loans [Member] |
Member |
|
|
lyg:CommercialLoansMember |
| 2133 |
Credit Card Receivable [Member] |
Member |
|
|
us-gaap:CreditCardReceivablesMember |
| 2134 |
Motor Vehicle Finance [Member] |
Member |
|
|
lyg:MotorVehicleFinanceMember |
| 2135 |
Less held by the group [Member] |
Member |
|
|
lyg:LessHeldByTheGroupMember |
| 2136 |
Net securitisation programmes [Member] |
Member |
|
|
lyg:NetSecuritisationProgrammesMember |
| 2137 |
Net covered bond programmes [Member] |
Member |
|
|
lyg:NetCoveredBondProgrammesMember |
| 2138 |
Type of program [Axis] |
Axis |
|
|
lyg:TypeOfProgramAxis |
| 2139 |
TypeOfProgram [Domain] |
Member |
|
|
lyg:TypeOfProgramDomain |
| 2140 |
Securitisation programme [Member] |
Member |
|
|
lyg:SecuritisationProgrammeMember |
| 2141 |
Covered bond programme [Member] |
Member |
|
|
lyg:CoveredBondProgrammeMember |
| 2142 |
Continuing involvement in derecognised financial assets by type of transfer [axis] |
Axis |
|
|
ifrs-full:ContinuingInvolvementInDerecognisedFinancialAssetsByTypeOfTransferAxis |
| 2143 |
Types of transfer [member] |
Member |
|
|
ifrs-full:TypesOfTransferMember |
| 2144 |
Securities lending [member] |
Member |
|
|
ifrs-full:SecuritiesLendingMember |
| 2145 |
Notes in issue [Member] |
Member |
|
|
lyg:NotesInIssueMember |
| 2146 |
Covered Bond Program [Axis] |
Axis |
|
|
lyg:CoveredBondProgramAxis |
| 2147 |
CoveredBondProgram [Domain] |
Member |
|
|
lyg:CoveredBondProgramDomain |
| 2148 |
Residential mortgage-backed [Member] |
Member |
|
|
lyg:ResidentialMortgagebackedMember |
| 2149 |
Social housing loan-backed [Member] |
Member |
|
|
lyg:SocialHousingLoanbackedMember |
| 2150 |
SECURITISATIONS AND COVERED BONDS (Details) - Schedule of Securitisation and Covered Bond Programmes [Line Items] |
LineItems |
|
|
lyg:SECURITISATIONSANDCOVEREDBONDSDetailsScheduleofSecuritisationandCoveredBondProgrammesLineItems |
| 2151 |
Securitisation and covered bond programmes |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:NotesAndDebenturesIssued |
| 2152 |
192 - Disclosure - LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSDetails |
| 2153 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) [Table] |
Table |
* |
* |
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSDetailsTable |
| 2154 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 2155 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 2156 |
Current year [Member] |
Member |
|
|
lyg:CurrentYearMember |
| 2157 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 2158 |
Actuarial assumptions [axis] |
Axis |
|
|
ifrs-full:ActuarialAssumptionsAxis |
| 2159 |
Actuarial assumptions [member] |
Member |
|
|
ifrs-full:ActuarialAssumptionsMember |
| 2160 |
Change in persistency assumptions [Member] |
Member |
|
|
lyg:ChangeInPersistencyAssumptionsMember |
| 2161 |
Change in current and future mortality and morbidity rates [Member] |
Member |
|
|
lyg:ChangeInCurrentAndFutureMortalityAndMorbidityRatesMember |
| 2162 |
Changes in expenses assumptions [Member] |
Member |
|
|
lyg:ChangesInExpensesAssumptionsMember |
| 2163 |
Type of Account [Axis] |
Axis |
|
|
lyg:TypeOfAccountAxis |
| 2164 |
TypeOfAccount [Domain] |
Member |
|
|
lyg:TypeOfAccountDomain |
| 2165 |
With-profit fund [Member] |
Member |
|
|
lyg:WithprofitFundMember |
| 2166 |
Non-profit fund [Member] |
Member |
|
|
lyg:NonprofitFundMember |
| 2167 |
Amounts arising from insurance contracts [axis] |
Axis |
|
|
ifrs-full:AmountsArisingFromInsuranceContractsAxis |
| 2168 |
Net amount arising from insurance contracts [member] |
Member |
|
|
ifrs-full:NetAmountArisingFromInsuranceContractsMember |
| 2169 |
Participating Life Insurance Contract [Member] |
Member |
|
|
us-gaap:ParticipatingLifeInsurancePolicyMember |
| 2170 |
Categories of related parties [axis] |
Axis |
|
|
ifrs-full:CategoriesOfRelatedPartiesAxis |
| 2171 |
Entity's total for related parties [member] |
Member |
|
|
ifrs-full:EntitysTotalForRelatedPartiesMember |
| 2172 |
Scottish Widows [member] |
Member |
|
|
lyg:ScottishWidowsMember |
| 2173 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) [Line Items] |
LineItems |
|
|
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSDetailsLineItems |
| 2174 |
Percent of distributed profits |
Concept (Percent) |
For Period |
|
lyg:PercentOfDistributedProfits |
| 2175 |
Additional Costs Of Providing Guaranteed Benefits |
Concept (Monetary) |
As Of |
Debit |
lyg:AdditionalCostsOfProvidingGuaranteedBenefits |
| 2176 |
Actuarial gains (losses) arising from changes in financial assumptions, net defined benefit liability (asset) |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ActuarialGainsLossesArisingFromChangesInFinancialAssumptionsNetDefinedBenefitLiabilityAsset |
| 2177 |
Provisions |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Provisions |
| 2178 |
Adjustments for increase (decrease) in other current liabilities |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForIncreaseDecreaseInOtherCurrentLiabilities |
| 2179 |
Adjustments for increase (decrease) in other liabilities |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForIncreaseDecreaseInOtherLiabilities |
| 2180 |
193 - Disclosure - LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Insurance Contracts |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofInsuranceContractsTable |
| 2181 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Insurance Contracts [Table] |
Table |
* |
* |
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSDetailsScheduleofInsuranceContractsTable |
| 2182 |
Types of contracts [axis] |
Axis |
|
|
ifrs-full:TypesOfContractsAxis |
| 2183 |
Types of contracts [member] |
Member |
|
|
ifrs-full:TypesOfContractsMember |
| 2184 |
Life insurance contracts [member] |
Member |
|
|
ifrs-full:LifeInsuranceContractsMember |
| 2185 |
Non-life insurance contracts [member] |
Member |
|
|
ifrs-full:NonlifeInsuranceContractsMember |
| 2186 |
Type of Contract Liabilities [Axis] |
Axis |
|
|
lyg:TypeOfContractLiabilitiesAxis |
| 2187 |
TypeOfContractLiabilities [Domain] |
Member |
|
|
lyg:TypeOfContractLiabilitiesDomain |
| 2188 |
Types of insurance contracts [member] |
Member |
|
|
ifrs-full:InsuranceContractsMember |
| 2189 |
Insurance Contracts and Participating Investment Contracts [Member] |
Member |
|
|
lyg:InsuranceContractsAndParticipatingInvestmentContractsMember |
| 2190 |
Participating investment contracts [Member] |
Member |
|
|
lyg:ParticipatingInvestmentContractsMember |
| 2191 |
Unearned premiums [Member] |
Member |
|
|
lyg:UnearnedPremiumsMember |
| 2192 |
Claims outstanding [Member] |
Member |
|
|
lyg:ClaimsOutstandingMember |
| 2193 |
Amounts arising from insurance contracts [axis] |
Axis |
|
|
ifrs-full:AmountsArisingFromInsuranceContractsAxis |
| 2194 |
Net amount arising from insurance contracts [member] |
Member |
|
|
ifrs-full:NetAmountArisingFromInsuranceContractsMember |
| 2195 |
Gross amount arising from insurance contracts [member] |
Member |
|
|
ifrs-full:GrossAmountArisingFromInsuranceContractsMember |
| 2196 |
Reinsurer's share of amount arising from insurance contracts [member] |
Member |
|
|
ifrs-full:ReinsurersShareOfAmountArisingFromInsuranceContractsMember |
| 2197 |
Types of insurance contracts [axis] |
Axis |
|
|
ifrs-full:TypesOfInsuranceContractsAxis |
| 2198 |
Types of insurance contracts [member] |
Member |
|
|
ifrs-full:InsuranceContractsMember |
| 2199 |
Insurance Contracts and Participating Investment Contracts [Member] |
Member |
|
|
lyg:InsuranceContractsAndParticipatingInvestmentContractsMember |
| 2200 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Insurance Contracts [Line Items] |
LineItems |
|
|
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSDetailsScheduleofInsuranceContractsLineItems |
| 2201 |
Insurance contract and participating investment contract liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilitiesArisingFromInsuranceContracts |
| 2202 |
194 - Disclosure - LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Life Insurance and Participating Contract Liabilities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofLifeInsuranceandParticipatingContractLiabilitiesTable |
| 2203 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Life Insurance and Participating Contract Liabilities [Table] |
Table |
* |
* |
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSDetailsScheduleofLifeInsuranceandParticipatingContractLiabilitiesTable |
| 2204 |
Type of Movement in Contract Liabilities [Axis] |
Axis |
|
|
lyg:TypeOfMovementInContractLiabilitiesAxis |
| 2205 |
TypeOfMovementInContractLiabilities [Domain] |
Member |
|
|
lyg:TypeOfMovementInContractLiabilitiesDomain |
| 2206 |
Types of insurance contracts [member] |
Member |
|
|
ifrs-full:InsuranceContractsMember |
| 2207 |
Participating investment contracts [Member] |
Member |
|
|
lyg:ParticipatingInvestmentContractsMember |
| 2208 |
Gross amount arising from insurance contracts [member] |
Member |
|
|
ifrs-full:GrossAmountArisingFromInsuranceContractsMember |
| 2209 |
Reinsurer's share of amount arising from insurance contracts [member] |
Member |
|
|
ifrs-full:ReinsurersShareOfAmountArisingFromInsuranceContractsMember |
| 2210 |
Net amount arising from insurance contracts [member] |
Member |
|
|
ifrs-full:NetAmountArisingFromInsuranceContractsMember |
| 2211 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Life Insurance and Participating Contract Liabilities [Line Items] |
LineItems |
|
|
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSDetailsScheduleofLifeInsuranceandParticipatingContractLiabilitiesLineItems |
| 2212 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilitiesArisingFromInsuranceContracts |
| 2213 |
New business |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:NewLiabilitiesContingentLiabilitiesRecognisedInBusinessCombination |
| 2214 |
Changes in existing business |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:AdditionsLiabilitiesUnderInsuranceContractsAndReinsuranceContractsIssued |
| 2215 |
Change in liabilities charged to the income statement (note 10) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ExpenseIncomeIncludedInProfitOrLossLiabilitiesUnderInsuranceContractsAndReinsuranceContractsIssued |
| 2216 |
Exchange and other adjustments |
Concept (Monetary) |
For Period |
Credit |
lyg:AdjustmentsForInvestmentContractsLiabilities |
| 2217 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilitiesArisingFromInsuranceContracts |
| 2218 |
195 - Disclosure - LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Liabilities for Insurance Contracts and Participating Investment Contracts |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofLiabilitiesforInsuranceContractsandParticipatingInvestmentContractsTable |
| 2219 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Liabilities for Insurance Contracts and Participating Investment Contracts [Table] |
Table |
* |
* |
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSDetailsScheduleofLiabilitiesforInsuranceContractsandParticipatingInvestmentContractsTable |
| 2220 |
Type of Contract Liabilities [Axis] |
Axis |
|
|
lyg:TypeOfContractLiabilitiesAxis |
| 2221 |
TypeOfContractLiabilities [Domain] |
Member |
|
|
lyg:TypeOfContractLiabilitiesDomain |
| 2222 |
With-profit fund [Member] |
Member |
|
|
lyg:WithprofitFundMember |
| 2223 |
Non-profit fund [Member] |
Member |
|
|
lyg:NonprofitFundMember |
| 2224 |
Type of valuation [Axis] |
Axis |
|
|
lyg:TypeOfValuationAxis |
| 2225 |
TypeOfValuation [Domain] |
Member |
|
|
lyg:TypeOfValuationDomain |
| 2226 |
Discounted cash flow [member] |
Member |
|
|
ifrs-full:DiscountedCashFlowMember |
| 2227 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Liabilities for Insurance Contracts and Participating Investment Contracts [Line Items] |
LineItems |
|
|
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSDetailsScheduleofLiabilitiesforInsuranceContractsandParticipatingInvestmentContractsLineItems |
| 2228 |
Insurance contracts |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilitiesArisingFromInsuranceContracts |
| 2229 |
Participating investment contracts |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:InvestmentContractsLiabilities |
| 2230 |
Total |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ContractLiabilities |
| 2231 |
196 - Disclosure - LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Provisions for Unearned Premiums |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofProvisionsforUnearnedPremiumsTable |
| 2232 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Provisions for Unearned Premiums [Table] |
Table |
* |
* |
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSDetailsScheduleofProvisionsforUnearnedPremiumsTable |
| 2233 |
Classes of other provisions [axis] |
Axis |
|
|
ifrs-full:ClassesOfProvisionsAxis |
| 2234 |
Other provisions [member] |
Member |
|
|
ifrs-full:OtherProvisionsMember |
| 2235 |
Increase [Member] |
Member |
|
|
lyg:IncreaseMember |
| 2236 |
Release [Member] |
Member |
|
|
lyg:ReleaseMember |
| 2237 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Provisions for Unearned Premiums [Line Items] |
LineItems |
|
|
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSDetailsScheduleofProvisionsforUnearnedPremiumsLineItems |
| 2238 |
Provisions for unearned premiums |
Abstract |
|
|
lyg:ProvisionsForUnearnedPremiumsAbstract |
| 2239 |
Gross provision at 1 January |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:CurrentProvisions |
| 2240 |
Change in the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ChangesInOtherProvisions |
| 2241 |
Change in provision for unearned premiums charged to income statement |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseInProvisionForUnearnedPremium |
| 2242 |
Gross provision at 31 December |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:CurrentProvisions |
| 2243 |
Reinsurers’ share |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ExpensesArisingFromReinsuranceHeld |
| 2244 |
Net provision at 31 December |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Provisions |
| 2245 |
197 - Disclosure - LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Insurance Claims Outstanding |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofInsuranceClaimsOutstandingTable |
| 2246 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Insurance Claims Outstanding [Table] |
Table |
* |
* |
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSDetailsScheduleofInsuranceClaimsOutstandingTable |
| 2247 |
Performance obligations [axis] |
Axis |
|
|
ifrs-full:PerformanceObligationsAxis |
| 2248 |
Performance obligations [member] |
Member |
|
|
ifrs-full:PerformanceObligationsMember |
| 2249 |
Not expired at year end [Member] |
Member |
|
|
lyg:NotExpiredAtYearEndMember |
| 2250 |
Amounts arising from insurance contracts [axis] |
Axis |
|
|
ifrs-full:AmountsArisingFromInsuranceContractsAxis |
| 2251 |
Net amount arising from insurance contracts [member] |
Member |
|
|
ifrs-full:NetAmountArisingFromInsuranceContractsMember |
| 2252 |
Participating Life Insurance Contract [Member] |
Member |
|
|
us-gaap:ParticipatingLifeInsurancePolicyMember |
| 2253 |
LIABILITIES ARISING FROM INSURANCE CONTRACTS AND PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Insurance Claims Outstanding [Line Items] |
LineItems |
|
|
lyg:LIABILITIESARISINGFROMINSURANCECONTRACTSANDPARTICIPATINGINVESTMENTCONTRACTSDetailsScheduleofInsuranceClaimsOutstandingLineItems |
| 2254 |
Claims outstanding |
Abstract |
|
|
lyg:ClaimsOutstandingAbstract |
| 2255 |
Gross claims outstanding at 1 January |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ClaimsReportedByPolicyholders |
| 2256 |
Cash paid for claims settled in the year |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CashPaidLiabilitiesUnderInsuranceContractsAndReinsuranceContractsIssued |
| 2257 |
Increase/(decrease) in liabilities charged to the income statement |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForIncreaseDecreaseInOtherLiabilities |
| 2258 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ExpenseIncomeIncludedInProfitOrLossLiabilitiesUnderInsuranceContractsAndReinsuranceContractsIssued |
| 2259 |
Gross claims outstanding at 31 December |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ClaimsReportedByPolicyholders |
| 2260 |
Net claims outstanding at 31 December |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilitiesArisingFromInsuranceContracts |
| 2261 |
Notified claims |
Concept (Monetary) |
For Period |
|
lyg:NotifiedClaims |
| 2262 |
Incurred but not reported |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ClaimsIncurredButNotReported |
| 2263 |
198 - Disclosure - LIFE INSURANCE SENSITIVITY ANALYSIS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/LIFEINSURANCESENSITIVITYANALYSISDetails |
| 2264 |
LIFE INSURANCE SENSITIVITY ANALYSIS (Details) [Table] |
Table |
* |
* |
lyg:LIFEINSURANCESENSITIVITYANALYSISDetailsTable |
| 2265 |
Insurance contracts [axis] |
Axis |
|
|
ifrs-full:InsuranceContractsAxis |
| 2266 |
Insurance contracts [member] |
Member |
|
|
ifrs-full:InsuranceContractsMember2017 |
| 2267 |
Value of In-Force Non-Annuity Business [Member] |
Member |
|
|
lyg:ValueOfInForceNonAnnuityBusinessMember |
| 2268 |
Value of In-Force Annuity Business [Member] |
Member |
|
|
lyg:ValueOfInForceAnnuityBusinessMember |
| 2269 |
LIFE INSURANCE SENSITIVITY ANALYSIS (Details) [Line Items] |
LineItems |
|
|
lyg:LIFEINSURANCESENSITIVITYANALYSISDetailsLineItems |
| 2270 |
Actuarial assumption of mortality rates |
Concept (Decimal) |
As Of |
|
ifrs-full:ActuarialAssumptionOfMortalityRates |
| 2271 |
Long-Duration Contracts, Assumptions by Product and Guarantee, Lapse Rate |
Concept (Percent) |
As Of |
|
us-gaap:LongDurationContractsAssumptionsByProductAndGuaranteeLapseRate |
| 2272 |
Maintenance and investment expenses expected rate |
Concept (Percent) |
As Of |
|
lyg:MaintenanceAndInvestmentExpensesExpectedRate |
| 2273 |
Adjustment To Risk-Free Rate |
Concept (Percent) |
As Of |
|
lyg:AdjustmentToRiskFreeRate |
| 2274 |
Guaranteed annuity option take up expected rate |
Concept (Percent) |
As Of |
|
lyg:GuaranteedAnnuityOptionTakeUpExpectedRate |
| 2275 |
Long-Duration Contracts, Assumptions by Product and Guarantee, Volatility Rate |
Concept (Percent) |
As Of |
|
us-gaap:LongDurationContractsAssumptionsByProductAndGuaranteeVolatilityRate |
| 2276 |
Credit default spreads |
Concept (Percent) |
As Of |
|
lyg:CreditDefaultSpreads |
| 2277 |
Allowance for illiquid premia |
Concept (Percent) |
As Of |
|
lyg:AllowanceForIlliquidPremia |
| 2278 |
199 - Disclosure - LIFE INSURANCE SENSITIVITY ANALYSIS (Details) - Schedule of Accounting Estimates and Judgements |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofAccountingEstimatesandJudgementsTable |
| 2279 |
LIFE INSURANCE SENSITIVITY ANALYSIS (Details) - Schedule of Accounting Estimates and Judgements [Table] |
Table |
* |
* |
lyg:LIFEINSURANCESENSITIVITYANALYSISDetailsScheduleofAccountingEstimatesandJudgementsTable |
| 2280 |
Type of accounting estimate [Axis] |
Axis |
|
|
lyg:TypeOfAccountingEstimateAxis |
| 2281 |
TypeOfAccountingEstimate [Domain] |
Member |
|
|
lyg:TypeOfAccountingEstimateDomain |
| 2282 |
Non-annuitant mortality and morbidity [Member] |
Member |
|
|
lyg:NonannuitantMortalityAndMorbidityMember |
| 2283 |
Annuitant mortality [Member] |
Member |
|
|
lyg:AnnuitantMortalityMember |
| 2284 |
Lapse rates [Member] |
Member |
|
|
lyg:LapseRatesMember |
| 2285 |
Future maintenance and investment expenses [Member] |
Member |
|
|
lyg:FutureMaintenanceAndInvestmentExpensesMember |
| 2286 |
Risk-free rate [Member] |
Member |
|
|
lyg:RiskfreeRateMember |
| 2287 |
Guaranteed annuity option take up [Member] |
Member |
|
|
lyg:GuaranteedAnnuityOptionTakeUpMember |
| 2288 |
Equity investment volatility [Member] |
Member |
|
|
lyg:EquityInvestmentVolatilityMember |
| 2289 |
Widening of credit default spreads on corporate bonds [Member] |
Member |
|
|
lyg:WideningOfCreditDefaultSpreadsOnCorporateBondsMember |
| 2290 |
Increase in illiquidity premia [Member] |
Member |
|
|
lyg:IncreaseInIlliquidityPremiaMember |
| 2291 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 2292 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 2293 |
Increase (reduction) in profit before tax [Member] |
Member |
|
|
lyg:IncreasereductionInProfitBeforeTaxMember |
| 2294 |
Increase (reduction) in equity [Member] |
Member |
|
|
lyg:IncreasereductionInEquityMember |
| 2295 |
LIFE INSURANCE SENSITIVITY ANALYSIS (Details) - Schedule of Accounting Estimates and Judgements [Line Items] |
LineItems |
|
|
lyg:LIFEINSURANCESENSITIVITYANALYSISDetailsScheduleofAccountingEstimatesandJudgementsLineItems |
| 2296 |
Change in variable |
Concept (Text/String) |
For Period |
|
lyg:AccountingEstimateChangeInVariable |
| 2297 |
Increase (decrease) in accounting estimate |
Concept (Monetary) |
For Period |
|
ifrs-full:IncreaseDecreaseInAccountingEstimate |
| 2298 |
200 - Disclosure - LIABILITIES ARISING FROM NON-PARTICIPATING INVESTMENT CONTRACTS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/LIABILITIESARISINGFROMNONPARTICIPATINGINVESTMENTCONTRACTSDetails |
| 2299 |
LIABILITIES ARISING FROM NON-PARTICIPATING INVESTMENT CONTRACTS (Details) [Table] |
Table |
* |
* |
lyg:LIABILITIESARISINGFROMNONPARTICIPATINGINVESTMENTCONTRACTSDetailsTable |
| 2300 |
Types of financial liabilities [axis] |
Axis |
|
|
ifrs-full:TypesOfFinancialLiabilitiesAxis |
| 2301 |
Financial liabilities, type [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesTypeMember |
| 2302 |
Nonparticipating Life Insurance Contract [Member] |
Member |
|
|
us-gaap:NonparticipatingLifeInsurancePolicyMember |
| 2303 |
LIABILITIES ARISING FROM NON-PARTICIPATING INVESTMENT CONTRACTS (Details) [Line Items] |
LineItems |
|
|
lyg:LIABILITIESARISINGFROMNONPARTICIPATINGINVESTMENTCONTRACTSDetailsLineItems |
| 2304 |
Reinsurance assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:ReinsuranceAssets |
| 2305 |
201 - Disclosure - LIABILITIES ARISING FROM NON-PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Liabilities Arising From Non-Participating Investment Contracts |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofLiabilitiesArisingFromNonParticipatingInvestmentContractsTable |
| 2306 |
LIABILITIES ARISING FROM NON-PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Liabilities Arising From Non-Participating Investment Contracts [Table] |
Table |
* |
* |
lyg:LIABILITIESARISINGFROMNONPARTICIPATINGINVESTMENTCONTRACTSDetailsScheduleofLiabilitiesArisingFromNonParticipatingInvestmentContractsTable |
| 2307 |
Amounts arising from insurance contracts [axis] |
Axis |
|
|
ifrs-full:AmountsArisingFromInsuranceContractsAxis |
| 2308 |
Net amount arising from insurance contracts [member] |
Member |
|
|
ifrs-full:NetAmountArisingFromInsuranceContractsMember |
| 2309 |
Nonparticipating Life Insurance Contract [Member] |
Member |
|
|
us-gaap:NonparticipatingLifeInsurancePolicyMember |
| 2310 |
LIABILITIES ARISING FROM NON-PARTICIPATING INVESTMENT CONTRACTS (Details) - Schedule of Liabilities Arising From Non-Participating Investment Contracts [Line Items] |
LineItems |
|
|
lyg:LIABILITIESARISINGFROMNONPARTICIPATINGINVESTMENTCONTRACTSDetailsScheduleofLiabilitiesArisingFromNonParticipatingInvestmentContractsLineItems |
| 2311 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:InvestmentContractsLiabilities |
| 2312 |
New business |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:NewLiabilitiesContingentLiabilitiesRecognisedInBusinessCombination |
| 2313 |
Changes in existing business |
Concept (Monetary) |
For Period |
Debit |
lyg:ChangesInExistingBusiness |
| 2314 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:InvestmentContractsLiabilities |
| 2315 |
202 - Disclosure - OTHER LIABILITIES (Details) - Schedule of Other Liabilities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofOtherLiabilitiesTable |
| 2316 |
OTHER LIABILITIES (Details) - Schedule of Other Liabilities [Table] |
Table |
* |
* |
lyg:OTHERLIABILITIESDetailsScheduleofOtherLiabilitiesTable |
| 2317 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 2318 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 2319 |
Before IFRS 9 impairment adjustments [member] |
Member |
|
|
lyg:BeforeIFRS9ImpairmentAdjustmentsMember |
| 2320 |
Types of financial liabilities [axis] |
Axis |
|
|
ifrs-full:TypesOfFinancialLiabilitiesAxis |
| 2321 |
Financial liabilities, type [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesTypeMember |
| 2322 |
Settlement balances [Member] |
Member |
|
|
lyg:SettlementBalancesMember |
| 2323 |
Unitholders interest in Open Ended Investment Companies [Member] |
Member |
|
|
lyg:UnitholdersInterestInOpenEndedInvestmentCompaniesMember |
| 2324 |
Unallocated surplus within insurance businesses [Member] |
Member |
|
|
lyg:UnallocatedSurplusWithinInsuranceBusinessesMember |
| 2325 |
Other creditors and accruals [Member] |
Member |
|
|
lyg:OtherCreditorsAndAccrualsMember |
| 2326 |
OTHER LIABILITIES (Details) - Schedule of Other Liabilities [Line Items] |
LineItems |
|
|
lyg:OTHERLIABILITIESDetailsScheduleofOtherLiabilitiesLineItems |
| 2327 |
Settlement balances |
Concept (Monetary) |
As Of |
Credit |
us-gaap:SettlementLiabilitiesCurrent |
| 2328 |
Unitholders’ interest in Open Ended Investment Companies |
Concept (Monetary) |
As Of |
Credit |
lyg:UnitholdersInterestInOpenEndedInvestmentCompanies |
| 2329 |
Unallocated surplus within insurance businesses |
Concept (Monetary) |
As Of |
Credit |
lyg:UnallocatedSurplusWithinInsuranceBusinesses |
| 2330 |
Other creditors and accruals |
Concept (Monetary) |
For Period |
|
lyg:OtherCreditorsAndAccruals |
| 2331 |
Total other liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherLiabilities |
| 2332 |
203 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/RETIREMENTBENEFITOBLIGATIONSDetails |
| 2333 |
RETIREMENT BENEFIT OBLIGATIONS (Details) [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsTable |
| 2334 |
Types of interest rates [axis] |
Axis |
|
|
ifrs-full:TypesOfInterestRatesAxis |
| 2335 |
Interest rate types [member] |
Member |
|
|
ifrs-full:InterestRateTypesMember |
| 2336 |
Healthcare premiums [Member] |
Member |
|
|
lyg:HealthcarePremiumsMember |
| 2337 |
Gender [Axis] |
Axis |
|
|
lyg:GenderAxis |
| 2338 |
Gender [Domain] |
Member |
|
|
lyg:GenderDomain |
| 2339 |
Men [Member] |
Member |
|
|
lyg:MenMember |
| 2340 |
Women [Member] |
Member |
|
|
lyg:WomenMember |
| 2341 |
Price index [Axis] |
Axis |
|
|
lyg:PriceIndexAxis |
| 2342 |
PriceIndex [Domain] |
Member |
|
|
lyg:PriceIndexDomain |
| 2343 |
RPI [Member] |
Member |
|
|
lyg:RPIMember |
| 2344 |
CPI [Member] |
Member |
|
|
lyg:CPIMember |
| 2345 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 2346 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 2347 |
Contractual Right to Retire Earlier [Member] |
Member |
|
|
lyg:ContractualRightToRetireEarlierMember |
| 2348 |
Defined benefit plans [axis] |
Axis |
|
|
ifrs-full:DefinedBenefitPlansAxis |
| 2349 |
Defined benefit plans [member] |
Member |
|
|
ifrs-full:DefinedBenefitPlansMember |
| 2350 |
The group's three main schemes [member] |
Member |
|
|
lyg:TheGroupsThreeMainSchemesMember |
| 2351 |
Aggregated measurement [member] |
Member |
|
|
ifrs-full:AggregatedMeasurementMember |
| 2352 |
Defined benefit pension schemes [Member] |
Member |
|
|
lyg:DefinedBenefitPensionSchemesMember |
| 2353 |
Guaranteed Minimum Pension Benefits [Member] |
Member |
|
|
lyg:GuaranteedMinimumPensionBenefitsMember |
| 2354 |
Credit Rating Source [Axis] |
Axis |
|
|
invest:CreditRatingSourceAxis |
| 2355 |
Credit Rating Source [Domain] |
Member |
|
|
invest:CreditRatingSourceDomain |
| 2356 |
Investment Grade [Member] |
Member |
|
|
lyg:InvestmentGradeMember |
| 2357 |
Range [axis] |
Axis |
|
|
ifrs-full:RangeAxis |
| 2358 |
Ranges [member] |
Member |
|
|
ifrs-full:RangesMember |
| 2359 |
Minimum [Member] |
Member |
|
|
srt:MinimumMember |
| 2360 |
Categories of related parties [axis] |
Axis |
|
|
ifrs-full:CategoriesOfRelatedPartiesAxis |
| 2361 |
Entity's total for related parties [member] |
Member |
|
|
ifrs-full:EntitysTotalForRelatedPartiesMember |
| 2362 |
Limited liability partnerships [Member] |
Member |
|
|
lyg:LimitedLiabilityPartnershipsMember |
| 2363 |
Related Party [Axis] |
Axis |
|
|
us-gaap:RelatedPartyTransactionsByRelatedPartyAxis |
| 2364 |
Related Party [Domain] |
Member |
|
|
us-gaap:RelatedPartyDomain |
| 2365 |
LLoyds Bank Pension Scheme No 1 and No 2 [Member] |
Member |
|
|
lyg:LLoydsBankPensionSchemeNo1AndNo2Member |
| 2366 |
HBOs Final Salary Pension Scheme [Member] |
Member |
|
|
lyg:HBOsFinalSalaryPensionSchemeMember |
| 2367 |
RETIREMENT BENEFIT OBLIGATIONS (Details) [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsLineItems |
| 2368 |
Percentage of gross defined benefit pension assets |
Concept (Percent) |
For Period |
|
lyg:PercentageOfGrossDefinedBenefitPensionAssets |
| 2369 |
Actuarial assumption of retirement age |
Concept (Decimal) |
As Of |
|
ifrs-full:ActuarialAssumptionOfRetirementAge |
| 2370 |
Triennial Funding Valuation, Aggregate Funding Deficit |
Concept (Monetary) |
As Of |
Credit |
lyg:TriennialFundingValuationAggregateFundingDeficit |
| 2371 |
Defined benefit plan funding level |
Concept (Percent) |
As Of |
|
lyg:DefinedBenefitPlanFundingLevel |
| 2372 |
Surplus (deficit) in plan |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:SurplusDeficitInPlan |
| 2373 |
Contributions to plan, net defined benefit liability (asset) |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ContributionsToPlanNetDefinedBenefitLiabilityAsset |
| 2374 |
Net defined benefit liability (asset) |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilityAssetOfDefinedBenefitPlans |
| 2375 |
Past service cost and gains (losses) arising from settlements, net defined benefit liability (asset) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:PastServiceCostAndGainsLossesArisingFromSettlementsNetDefinedBenefitLiabilityAsset |
| 2376 |
Defined benefit scheme fair value of scheme assets debt instruments with investment grade |
Concept (Monetary) |
As Of |
Debit |
lyg:DefinedBenefitSchemeFairValueOfSchemeAssetsDebtInstrumentsWithInvestmentGrade |
| 2377 |
Actuarial assumption of life expectancy after retirement |
Concept (Decimal) |
As Of |
|
ifrs-full:ActuarialAssumptionOfLifeExpectancyAfterRetirement |
| 2378 |
Actuarial assumption of expected rates of inflation |
Concept (Percent) |
As Of |
|
ifrs-full:ActuarialAssumptionOfExpectedRatesOfInflation |
| 2379 |
Actuarial assumption of discount rates |
Concept (Percent) |
As Of |
|
ifrs-full:ActuarialAssumptionOfDiscountRates |
| 2380 |
Description of asset-liability matching strategies used by plan or entity to manage risk |
Concept (Text/String) |
For Period |
|
ifrs-full:DescriptionOfAssetliabilityMatchingStrategiesUsedByPlanOrEntityToManageRisk |
| 2381 |
Employer contributions |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:EmployerContributions |
| 2382 |
Percentage of reasonably possible increase in actuarial assumption |
Concept (Percent) |
As Of |
|
ifrs-full:PercentageOfReasonablyPossibleIncreaseInActuarialAssumption |
| 2383 |
204 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Retirement Benefit Charges to Income Statement |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofRetirementBenefitChargestoIncomeStatementTable |
| 2384 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Retirement Benefit Charges to Income Statement [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofRetirementBenefitChargestoIncomeStatementTable |
| 2385 |
Defined benefit plans [axis] |
Axis |
|
|
ifrs-full:DefinedBenefitPlansAxis |
| 2386 |
Defined benefit plans [member] |
Member |
|
|
ifrs-full:DefinedBenefitPlansMember |
| 2387 |
Defined benefit pension schemes [Member] |
Member |
|
|
lyg:DefinedBenefitPensionSchemesMember |
| 2388 |
Other post-retirement benefit schemes [Member] |
Member |
|
|
lyg:OtherPostretirementBenefitSchemesMember |
| 2389 |
Defined Benefit Schemes [Member] |
Member |
|
|
lyg:DefinedBenefitSchemesMember |
| 2390 |
Defined contribution pension schemes [Member] |
Member |
|
|
lyg:DefinedContributionPensionSchemesMember |
| 2391 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Retirement Benefit Charges to Income Statement [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofRetirementBenefitChargestoIncomeStatementLineItems |
| 2392 |
Charge to the income statement |
Abstract |
|
|
lyg:ChargeToTheIncomeStatementAbstract |
| 2393 |
Defined benefit plans |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:PostemploymentBenefitExpenseDefinedBenefitPlans |
| 2394 |
Defined contribution pension schemes |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:PostemploymentBenefitExpenseDefinedContributionPlans |
| 2395 |
Total charge to the income statement (note 11) |
Concept (Monetary) |
For Period |
Debit |
lyg:PostemploymentBenefitExpenseDefinedBenefitAndContributionPlans |
| 2396 |
205 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Retirement Benefits Recognised in Balance Sheet |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofRetirementBenefitsRecognisedinBalanceSheetTable |
| 2397 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Retirement Benefits Recognised in Balance Sheet [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofRetirementBenefitsRecognisedinBalanceSheetTable |
| 2398 |
Defined benefit plans [axis] |
Axis |
|
|
ifrs-full:DefinedBenefitPlansAxis |
| 2399 |
Defined benefit plans [member] |
Member |
|
|
ifrs-full:DefinedBenefitPlansMember |
| 2400 |
Amount Recognized [Member] |
Member |
|
|
lyg:AmountRecognizedMember |
| 2401 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Retirement Benefits Recognised in Balance Sheet [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofRetirementBenefitsRecognisedinBalanceSheetLineItems |
| 2402 |
Retirement benefit assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:RecognisedAssetsDefinedBenefitPlan |
| 2403 |
Retirement benefit obligations |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:RecognisedLiabilitiesDefinedBenefitPlan |
| 2404 |
Total amounts recognised in the balance sheet |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilityAssetOfDefinedBenefitPlans |
| 2405 |
206 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Retirement Benefit Total Amounts Recognized in Balance Sheet |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofRetirementBenefitTotalAmountsRecognizedinBalanceSheetTable |
| 2406 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Retirement Benefit Total Amounts Recognized in Balance Sheet [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofRetirementBenefitTotalAmountsRecognizedinBalanceSheetTable |
| 2407 |
Defined Benefit Plan, Plan Assets, Category [Axis] |
Axis |
|
|
us-gaap:DefinedBenefitPlanByPlanAssetCategoriesAxis |
| 2408 |
Defined Benefit Plan, Plan Assets, Category [Domain] |
Member |
|
|
us-gaap:PlanAssetCategoriesDomain |
| 2409 |
Defined benefit pension schemes [Member] |
Member |
|
|
lyg:DefinedBenefitPensionSchemesMember |
| 2410 |
Other post-retirement benefit schemes [Member] |
Member |
|
|
lyg:OtherPostretirementBenefitSchemesMember |
| 2411 |
Defined benefit plans [axis] |
Axis |
|
|
ifrs-full:DefinedBenefitPlansAxis |
| 2412 |
Defined benefit plans [member] |
Member |
|
|
ifrs-full:DefinedBenefitPlansMember |
| 2413 |
Amount Recognized [Member] |
Member |
|
|
lyg:AmountRecognizedMember |
| 2414 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Retirement Benefit Total Amounts Recognized in Balance Sheet [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofRetirementBenefitTotalAmountsRecognizedinBalanceSheetLineItems |
| 2415 |
Defined benefit schemes |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilityAssetOfDefinedBenefitPlans |
| 2416 |
207 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Retirement Benefits Amounts Recognized in Balance Sheet |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofRetirementBenefitsAmountsRecognizedinBalanceSheetTable |
| 2417 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Retirement Benefits Amounts Recognized in Balance Sheet [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofRetirementBenefitsAmountsRecognizedinBalanceSheetTable |
| 2418 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 2419 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 2420 |
Net amounts presented in the balance sheet [Member] |
Member |
|
|
lyg:NetAmountsPresentedInTheBalanceSheetMember |
| 2421 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Retirement Benefits Amounts Recognized in Balance Sheet [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofRetirementBenefitsAmountsRecognizedinBalanceSheetLineItems |
| 2422 |
Present value of funded obligations |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DefinedBenefitObligationAtPresentValue |
| 2423 |
Fair value of scheme assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:PlanAssetsAtFairValue |
| 2424 |
Net amount recognised in the balance sheet |
Concept (Monetary) |
As Of |
Credit |
lyg:CurrentLiabilityAssetOfDefinedBenefitPlans |
| 2425 |
208 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Retirement Benefit Net Amounts Recognized in Balance Sheet |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofRetirementBenefitNetAmountsRecognizedinBalanceSheetTable |
| 2426 |
Implied Table |
Table |
* |
* |
implied:Table |
| 2427 |
Schedule of Retirement Benefit Net Amounts Recognized in Balance Sheet [Abstract] |
Abstract |
|
|
lyg:ScheduleOfRetirementBenefitNetAmountsRecognizedInBalanceSheetAbstract |
| 2428 |
Net amount recognised in the balance sheet |
Abstract |
|
|
lyg:NetAmountRecognisedInTheBalanceSheetAbstract |
| 2429 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilityAssetOfDefinedBenefitPlans |
| 2430 |
Net defined benefit pension charge |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:PostemploymentBenefitExpenseDefinedBenefitPlans |
| 2431 |
Actuarial gains (losses) on defined benefit obligation |
Concept (Monetary) |
For Period |
Credit |
us-gaap:DefinedBenefitPlanActuarialGainLoss |
| 2432 |
Return on plan assets |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ReturnOnPlanAssetsNetDefinedBenefitLiabilityAsset |
| 2433 |
Employer contributions |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ContributionsToPlanByEmployerNetDefinedBenefitLiabilityAsset |
| 2434 |
Exchange and other adjustments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughChangesInForeignExchangeRatesNetDefinedBenefitLiabilityAsset |
| 2435 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilityAssetOfDefinedBenefitPlans |
| 2436 |
209 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Movements in Defined Benefit Obligation |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofMovementsinDefinedBenefitObligationTable |
| 2437 |
Implied Table |
Table |
* |
* |
implied:Table |
| 2438 |
Schedule of Movements in Defined Benefit Obligation [Abstract] |
Abstract |
|
|
lyg:ScheduleOfMovementsInDefinedBenefitObligationAbstract |
| 2439 |
Movements in the defined benefit obligation |
Abstract |
|
|
lyg:MovementsInTheDefinedBenefitObligationAbstract |
| 2440 |
At 1 January |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DefinedBenefitObligationAtPresentValue |
| 2441 |
Current service cost |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:CurrentServiceCostNetDefinedBenefitLiabilityAsset |
| 2442 |
Interest expense |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestExpenseIncomeNetDefinedBenefitLiabilityAsset |
| 2443 |
Remeasurements: |
Abstract |
|
|
lyg:RemeasurementsAbstract |
| 2444 |
Actuarial losses – experience |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ActuarialGainsLossesArisingFromExperienceAdjustmentsNetDefinedBenefitLiabilityAsset |
| 2445 |
Actuarial (losses) gains – demographic assumptions |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ActuarialGainsLossesArisingFromChangesInDemographicAssumptionsNetDefinedBenefitLiabilityAsset |
| 2446 |
Actuarial gains (losses) – financial assumptions |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ActuarialGainsLossesArisingFromChangesInFinancialAssumptionsNetDefinedBenefitLiabilityAsset |
| 2447 |
Benefits paid |
Concept (Monetary) |
For Period |
Credit |
us-gaap:DefinedBenefitPlanBenefitObligationBenefitsPaid |
| 2448 |
Past service cost |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:PastServiceCostNetDefinedBenefitLiabilityAsset |
| 2449 |
Curtailments |
Concept (Monetary) |
For Period |
Debit |
us-gaap:DefinedBenefitPlanCurtailments |
| 2450 |
Settlements |
Concept (Monetary) |
For Period |
Debit |
us-gaap:DefinedBenefitPlanSettlementsBenefitObligation |
| 2451 |
At 31 December |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DefinedBenefitObligationAtPresentValue |
| 2452 |
210 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Analysis of Defined Benefit Obligations |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofAnalysisofDefinedBenefitObligationsTable |
| 2453 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Analysis of Defined Benefit Obligations [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofAnalysisofDefinedBenefitObligationsTable |
| 2454 |
Type of benefit recipient [Axis] |
Axis |
|
|
lyg:TypeOfBenefitRecipientAxis |
| 2455 |
TypeOfBenefitRecipient [Domain] |
Member |
|
|
lyg:TypeOfBenefitRecipientDomain |
| 2456 |
Active members [Member] |
Member |
|
|
lyg:ActiveMembersMember |
| 2457 |
Deferred members [Member] |
Member |
|
|
lyg:DeferredMembersMember |
| 2458 |
Pensioners [Member] |
Member |
|
|
lyg:PensionersMember |
| 2459 |
Dependants [Member] |
Member |
|
|
lyg:DependantsMember |
| 2460 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Analysis of Defined Benefit Obligations [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofAnalysisofDefinedBenefitObligationsLineItems |
| 2461 |
Analysis of the defined benefit obligation: |
Abstract |
|
|
lyg:AnalysisOfTheDefinedBenefitObligationAbstract |
| 2462 |
Defined benefit obligation |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DefinedBenefitObligationAtPresentValue |
| 2463 |
211 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Change in Fair Value of Scheme Assets |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofChangeinFairValueofSchemeAssetsTable |
| 2464 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Change in Fair Value of Scheme Assets [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofChangeinFairValueofSchemeAssetsTable |
| 2465 |
Retirement Plan Type [Axis] |
Axis |
|
|
us-gaap:RetirementPlanTypeAxis |
| 2466 |
Retirement Plan Type [Domain] |
Member |
|
|
us-gaap:RetirementPlanTypeDomain |
| 2467 |
Postemployment Retirement Benefits [Member] |
Member |
|
|
us-gaap:PostemploymentRetirementBenefitsMember |
| 2468 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Change in Fair Value of Scheme Assets [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofChangeinFairValueofSchemeAssetsLineItems |
| 2469 |
Changes in the fair value of scheme assets |
Abstract |
|
|
lyg:ChangesInTheFairValueOfSchemeAssetsAbstract |
| 2470 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilityAssetOfDefinedBenefitPlans |
| 2471 |
Return on plan assets excluding amounts included in interest income |
Concept (Monetary) |
For Period |
Debit |
us-gaap:DefinedBenefitPlanActualReturnOnPlanAssets |
| 2472 |
Interest income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestExpenseIncomeNetDefinedBenefitLiabilityAsset |
| 2473 |
Employer contributions |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ContributionsToPlanByEmployerNetDefinedBenefitLiabilityAsset |
| 2474 |
Benefits paid |
Concept (Monetary) |
For Period |
Credit |
us-gaap:DefinedBenefitPlanPlanAssetsBenefitsPaid |
| 2475 |
Settlements |
Concept (Monetary) |
For Period |
Credit |
us-gaap:DefinedBenefitPlanSettlementsPlanAssets |
| 2476 |
Administrative costs paid |
Concept (Monetary) |
For Period |
Debit |
us-gaap:DefinedBenefitPlanAdministrationExpenses |
| 2477 |
Exchange and other adjustments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughChangesInForeignExchangeRatesNetDefinedBenefitLiabilityAsset |
| 2478 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilityAssetOfDefinedBenefitPlans |
| 2479 |
212 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Defined Benefit Pension Expense |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofDefinedBenefitPensionExpenseTable |
| 2480 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Defined Benefit Pension Expense [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofDefinedBenefitPensionExpenseTable |
| 2481 |
Defined benefit plans [axis] |
Axis |
|
|
ifrs-full:DefinedBenefitPlansAxis |
| 2482 |
Defined benefit plans [member] |
Member |
|
|
ifrs-full:DefinedBenefitPlansMember |
| 2483 |
Defined contribution pension schemes [Member] |
Member |
|
|
lyg:DefinedContributionPensionSchemesMember |
| 2484 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Defined Benefit Pension Expense [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofDefinedBenefitPensionExpenseLineItems |
| 2485 |
Current service cost |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:CurrentServiceCostNetDefinedBenefitLiabilityAsset |
| 2486 |
Net interest amount |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestExpenseIncomeNetDefinedBenefitLiabilityAsset |
| 2487 |
Past service credits and curtailments |
Concept (Monetary) |
For Period |
Debit |
us-gaap:DefinedBenefitPlanCurtailments |
| 2488 |
Settlements |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:PaymentsInRespectOfSettlementsNetDefinedBenefitLiabilityAsset |
| 2489 |
Past service cost – plan amendments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:PastServiceCostNetDefinedBenefitLiabilityAsset |
| 2490 |
Plan administration costs incurred during the year |
Concept (Monetary) |
For Period |
Debit |
us-gaap:DefinedBenefitPlanAdministrationExpenses |
| 2491 |
Total defined benefit pension expense |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:PostemploymentBenefitExpenseDefinedBenefitPlans |
| 2492 |
213 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Composition of Scheme Assets |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofCompositionofSchemeAssetsTable |
| 2493 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Composition of Scheme Assets [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofCompositionofSchemeAssetsTable |
| 2494 |
Financial quote [Axis] |
Axis |
|
|
lyg:FinancialQuoteAxis |
| 2495 |
FinancialQuote [Domain] |
Member |
|
|
lyg:FinancialQuoteDomain |
| 2496 |
Quoted [Member] |
Member |
|
|
lyg:QuotedMember |
| 2497 |
Unquoted [Member] |
Member |
|
|
lyg:UnquotedMember |
| 2498 |
Investment Identifier Scheme [Axis] |
Axis |
|
|
invest:InvestmentIdentifierSchemeAxis |
| 2499 |
Investment Identifier Scheme [Domain] |
Member |
|
|
invest:InvestmentIdentifierSchemeDomain |
| 2500 |
Retirement Scheme Assets [Member] |
Member |
|
|
lyg:RetirementSchemeAssetsMember |
| 2501 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Composition of Scheme Assets [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofCompositionofSchemeAssetsLineItems |
| 2502 |
Equity instruments |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:EquityInstrumentsHeld |
| 2503 |
Fixed interest government bonds |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:GovernmentDebtInstrumentsHeld |
| 2504 |
Index-linked government bonds |
Concept (Monetary) |
As Of |
Debit |
lyg:IndexLinkedGovernmentBonds |
| 2505 |
Corporate and other debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CorporateDebtInstrumentsHeld |
| 2506 |
Asset-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:AssetbackedDebtInstrumentsHeld |
| 2507 |
Debt instruments |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 2508 |
Property |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:PropertyPlantAndEquipment |
| 2509 |
Pooled investment vehicles |
Concept (Monetary) |
As Of |
Debit |
lyg:PooledInvestmentVehicles |
| 2510 |
Money market instruments, cash, derivatives and other assets and liabilities |
Concept (Monetary) |
As Of |
Debit |
lyg:MoneyMarketInstrumentsCashDerivativesAndOtherAssetsandLiabilities |
| 2511 |
At 31 December |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:EquityInstrumentsAmountContributedToFairValueOfPlanAssets |
| 2512 |
214 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Pension Scheme's Pooled Investment Vehicles |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofPensionSchemesPooledInvestmentVehiclesTable |
| 2513 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Pension Scheme's Pooled Investment Vehicles [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofPensionSchemesPooledInvestmentVehiclesTable |
| 2514 |
Type of pooled investment vehicle [Axis] |
Axis |
|
|
lyg:TypeOfPooledInvestmentVehicleAxis |
| 2515 |
TypeOfPooledInvestmentVehicle [Domain] |
Member |
|
|
lyg:TypeOfPooledInvestmentVehicleDomain |
| 2516 |
Equity Funds [Member] |
Member |
|
|
us-gaap:EquityFundsMember |
| 2517 |
Hedge and mutual funds [Member] |
Member |
|
|
lyg:HedgeAndMutualFundsMember |
| 2518 |
Liquidity funds [Member] |
Member |
|
|
lyg:LiquidityFundsMember |
| 2519 |
Bond and debt funds [Member] |
Member |
|
|
lyg:BondAndDebtFundsMember |
| 2520 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 2521 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Pension Scheme's Pooled Investment Vehicles [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofPensionSchemesPooledInvestmentVehiclesLineItems |
| 2522 |
Pooled investment vehicle |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:InvestmentFundsAmountContributedToFairValueOfPlanAssets |
| 2523 |
215 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Principal Actuarial and Financial Assumptions Used in Valuation of Defined Benefit Pension Schemes |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofPrincipalActuarialandFinancialAssumptionsUsedinValuationofDefinedBenefitPensionSchemesTable |
| 2524 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Principal Actuarial and Financial Assumptions Used in Valuation of Defined Benefit Pension Schemes [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofPrincipalActuarialandFinancialAssumptionsUsedinValuationofDefinedBenefitPensionSchemesTable |
| 2525 |
Price index [Axis] |
Axis |
|
|
lyg:PriceIndexAxis |
| 2526 |
PriceIndex [Domain] |
Member |
|
|
lyg:PriceIndexDomain |
| 2527 |
RPI [Member] |
Member |
|
|
lyg:RPIMember |
| 2528 |
CPI [Member] |
Member |
|
|
lyg:CPIMember |
| 2529 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Principal Actuarial and Financial Assumptions Used in Valuation of Defined Benefit Pension Schemes [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofPrincipalActuarialandFinancialAssumptionsUsedinValuationofDefinedBenefitPensionSchemesLineItems |
| 2530 |
Discount rate |
Concept (Percent) |
As Of |
|
ifrs-full:ActuarialAssumptionOfDiscountRates |
| 2531 |
Rate of inflation: |
Abstract |
|
|
lyg:RateOfInflationAbstract |
| 2532 |
Price Index |
Concept (Percent) |
As Of |
|
ifrs-full:ActuarialAssumptionOfExpectedRatesOfInflation |
| 2533 |
Rate of salary increases |
Concept (Percent) |
As Of |
|
ifrs-full:ActuarialAssumptionOfExpectedRatesOfSalaryIncreases |
| 2534 |
Weighted-average rate of increase for pensions in payment |
Concept (Percent) |
As Of |
|
ifrs-full:ActuarialAssumptionOfExpectedRatesOfPensionIncreases |
| 2535 |
216 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Benefit Plan Member Life Expectancy |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofBenefitPlanMemberLifeExpectancyTable |
| 2536 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Benefit Plan Member Life Expectancy [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofBenefitPlanMemberLifeExpectancyTable |
| 2537 |
Gender [Axis] |
Axis |
|
|
lyg:GenderAxis |
| 2538 |
Gender [Domain] |
Member |
|
|
lyg:GenderDomain |
| 2539 |
Men [Member] |
Member |
|
|
lyg:MenMember |
| 2540 |
Women [Member] |
Member |
|
|
lyg:WomenMember |
| 2541 |
Life expectancy [Axis] |
Axis |
|
|
lyg:LifeExpectancyAxis |
| 2542 |
LifeExpectancy [Domain] |
Member |
|
|
lyg:LifeExpectancyDomain |
| 2543 |
On Valuation Date [Member] |
Member |
|
|
lyg:OnValuationDateMember |
| 2544 |
15 Years After Valuation Date [Member] |
Member |
|
|
lyg:FifteenYearsAfterValuationDateMember |
| 2545 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Benefit Plan Member Life Expectancy [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofBenefitPlanMemberLifeExpectancyLineItems |
| 2546 |
Members |
Concept (Decimal) |
As Of |
|
ifrs-full:ActuarialAssumptionOfLifeExpectancyAfterRetirement |
| 2547 |
217 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Possible Alternative Assumptions Used in Valuations of Defined Benefit Pension Schemes |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofPossibleAlternativeAssumptionsUsedinValuationsofDefinedBenefitPensionSchemesTable |
| 2548 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Possible Alternative Assumptions Used in Valuations of Defined Benefit Pension Schemes [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofPossibleAlternativeAssumptionsUsedinValuationsofDefinedBenefitPensionSchemesTable |
| 2549 |
Amount change [Axis] |
Axis |
|
|
lyg:AmountChangeAxis |
| 2550 |
AmountChange [Domain] |
Member |
|
|
lyg:AmountChangeDomain |
| 2551 |
Increase of 0.1 percent [Member] |
Member |
|
|
lyg:IncreaseOf01PercentMember |
| 2552 |
Decrease of 0.1 percent [Member] |
Member |
|
|
lyg:DecreaseOf01PercentMember |
| 2553 |
Increase of one year [Member] |
Member |
|
|
lyg:IncreaseOfOneYearMember |
| 2554 |
Decrease of one year [Member] |
Member |
|
|
lyg:DecreaseOfOneYearMember |
| 2555 |
Actuarial assumptions [axis] |
Axis |
|
|
ifrs-full:ActuarialAssumptionsAxis |
| 2556 |
Actuarial assumptions [member] |
Member |
|
|
ifrs-full:ActuarialAssumptionsMember |
| 2557 |
Actuarial assumption of expected rates of inflation [member] |
Member |
|
|
ifrs-full:ActuarialAssumptionOfExpectedRatesOfInflationMember |
| 2558 |
Actuarial assumption of discount rates [member] |
Member |
|
|
ifrs-full:ActuarialAssumptionOfDiscountRatesMember |
| 2559 |
Actuarial assumption of expected life expectancy of members [Member] |
Member |
|
|
lyg:ActuarialAssumptionOfExpectedLifeExpectancyOfMembersMember |
| 2560 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Possible Alternative Assumptions Used in Valuations of Defined Benefit Pension Schemes [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofPossibleAlternativeAssumptionsUsedinValuationsofDefinedBenefitPensionSchemesLineItems |
| 2561 |
Increase (decrease) in the income statement charge |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseInFairValueMeasurementDueToChangeInOneOrMoreUnobservableInputsToReflectReasonablyPossibleAlternativeAssumptionsAssets |
| 2562 |
Increase (decrease) in the net defined benefit pension scheme liability |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:IncreaseDecreaseInDefinedBenefitObligationDueToReasonablyPossibleIncreaseInActuarialAssumption |
| 2563 |
Increase (decrease) in the income statement charge |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:DecreaseInFairValueMeasurementDueToChangeInOneOrMoreUnobservableInputsToReflectReasonablyPossibleAlternativeAssumptionsAssets |
| 2564 |
Increase (decrease) in the net defined benefit pension scheme liability |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:IncreaseDecreaseInDefinedBenefitObligationDueToReasonablyPossibleDecreaseInActuarialAssumption |
| 2565 |
218 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Weighted Average Duration of Defined Benefit Pension Obligations |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofWeightedAverageDurationofDefinedBenefitPensionObligationsTable |
| 2566 |
Implied Table |
Table |
* |
* |
implied:Table |
| 2567 |
Schedule of Weighted Average Duration of Defined Benefit Pension Obligations [Abstract] |
Abstract |
|
|
lyg:ScheduleOfWeightedAverageDurationOfDefinedBenefitPensionObligationsAbstract |
| 2568 |
Duration of the defined benefit obligation |
Concept (Decimal) |
For Period |
|
ifrs-full:WeightedAverageDurationOfDefinedBenefitObligation |
| 2569 |
219 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Maturity Analysis of Benefits Expected To Be Paid |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofMaturityAnalysisofBenefitsExpectedToBePaidTable |
| 2570 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Maturity Analysis of Benefits Expected To Be Paid [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofMaturityAnalysisofBenefitsExpectedToBePaidTable |
| 2571 |
Defined benefit plans [axis] |
Axis |
|
|
ifrs-full:DefinedBenefitPlansAxis |
| 2572 |
Defined benefit plans [member] |
Member |
|
|
ifrs-full:DefinedBenefitPlansMember |
| 2573 |
Paid Within 12 Months [Member] |
Member |
|
|
lyg:PaidWithin12MonthsMember |
| 2574 |
Paid Between 1 and 2 Years [Member] |
Member |
|
|
lyg:PaidBetween1And2YearsMember |
| 2575 |
Paid Between 2 and 5 Years [Member] |
Member |
|
|
lyg:PaidBetween2And5YearsMember |
| 2576 |
Paid Between 5 and 10 Years [Member] |
Member |
|
|
lyg:PaidBetween5And10YearsMember |
| 2577 |
Paid Between 10 and 15 Years [Member] |
Member |
|
|
lyg:PaidBetween10And15YearsMember |
| 2578 |
Paid Between 15 and 25 Years [Member] |
Member |
|
|
lyg:PaidBetween15And25YearsMember |
| 2579 |
Paid Between 25 and 35 Years [Member] |
Member |
|
|
lyg:PaidBetween25And35YearsMember |
| 2580 |
Paid Between 35 and 45 Years [Member] |
Member |
|
|
lyg:PaidBetween35And45YearsMember |
| 2581 |
Paid In More Than 45 Years [Member] |
Member |
|
|
lyg:PaidInMoreThan45YearsMember |
| 2582 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Maturity Analysis of Benefits Expected To Be Paid [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofMaturityAnalysisofBenefitsExpectedToBePaidLineItems |
| 2583 |
Benefits expected to be paid |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:BenefitsPaidOrPayable |
| 2584 |
220 - Disclosure - RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Movements in Oher Post-Retirement Benefits Obligation |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofMovementsinOherPostRetirementBenefitsObligationTable |
| 2585 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Movements in Oher Post-Retirement Benefits Obligation [Table] |
Table |
* |
* |
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofMovementsinOherPostRetirementBenefitsObligationTable |
| 2586 |
Retirement Plan Type [Axis] |
Axis |
|
|
us-gaap:RetirementPlanTypeAxis |
| 2587 |
Retirement Plan Type [Domain] |
Member |
|
|
us-gaap:RetirementPlanTypeDomain |
| 2588 |
Other Postretirement Benefits Plan [Member] |
Member |
|
|
us-gaap:OtherPostretirementBenefitPlansDefinedBenefitMember |
| 2589 |
RETIREMENT BENEFIT OBLIGATIONS (Details) - Schedule of Movements in Oher Post-Retirement Benefits Obligation [Line Items] |
LineItems |
|
|
lyg:RETIREMENTBENEFITOBLIGATIONSDetailsScheduleofMovementsinOherPostRetirementBenefitsObligationLineItems |
| 2590 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilityAssetOfDefinedBenefitPlans |
| 2591 |
Actuarial gains |
Concept (Monetary) |
For Period |
Credit |
us-gaap:DefinedBenefitPlanActuarialGainLoss |
| 2592 |
Insurance premiums paid |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:PaymentsForPremiumsAndClaimsAnnuitiesAndOtherPolicyBenefits |
| 2593 |
Charge for the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:CurrentServiceCostNetDefinedBenefitLiabilityAsset |
| 2594 |
Exchange and other adjustments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughChangesInForeignExchangeRatesNetDefinedBenefitLiabilityAsset |
| 2595 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilityAssetOfDefinedBenefitPlans |
| 2596 |
221 - Disclosure - DEFERRED TAX (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DEFERREDTAXDetails |
| 2597 |
DEFERRED TAX (Details) [Table] |
Table |
* |
* |
lyg:DEFERREDTAXDetailsTable |
| 2598 |
Amount change [Axis] |
Axis |
|
|
lyg:AmountChangeAxis |
| 2599 |
AmountChange [Domain] |
Member |
|
|
lyg:AmountChangeDomain |
| 2600 |
Current year [Member] |
Member |
|
|
lyg:CurrentYearMember |
| 2601 |
1 April 2020 [Member] |
Member |
|
|
lyg:At1April2020Member |
| 2602 |
Deferred Tax Asset Duration [Axis] |
Axis |
|
|
lyg:DeferredTaxAssetDurationAxis |
| 2603 |
DeferredTaxAssetDuration [Domain] |
Member |
|
|
lyg:DeferredTaxAssetDurationDomain |
| 2604 |
20 Years [Member] |
Member |
|
|
lyg:Duration20YearsMember |
| 2605 |
Trading Losses [Member] |
Member |
|
|
lyg:TradingLossesMember |
| 2606 |
No Expiration [Member] |
Member |
|
|
lyg:NoExpirationMember |
| 2607 |
Valuation Allowance by Deferred Tax Asset [Axis] |
Axis |
|
|
us-gaap:ValuationAllowanceByDeferredTaxAssetAxis |
| 2608 |
Deferred Tax Asset [Domain] |
Member |
|
|
us-gaap:DeferredTaxAssetDomain |
| 2609 |
Life assurance [Member] |
Member |
|
|
lyg:LifeAssuranceMember |
| 2610 |
UK [Member] |
Member |
|
|
lyg:UKMember |
| 2611 |
Foreign Tax Authority [Member] |
Member |
|
|
us-gaap:ForeignCountryMember |
| 2612 |
Trading Losses [Member] |
Member |
|
|
lyg:TradingLossesMember |
| 2613 |
DEFERRED TAX (Details) [Line Items] |
LineItems |
|
|
lyg:DEFERREDTAXDetailsLineItems |
| 2614 |
Applicable tax rate |
Concept (Percent) |
For Period |
|
ifrs-full:ApplicableTaxRate |
| 2615 |
Income Statement, Effect of remeasurement of deferred tax utilisation |
Concept (Monetary) |
For Period |
Credit |
lyg:IncomeStatementEffectOfRemeasurementOfDeferredTaxUtilisation |
| 2616 |
Other Comphrensive Income, Effect of remeasurement of deferred tax utilisation |
Concept (Monetary) |
For Period |
Credit |
lyg:OtherComphrensiveIncomeEffectOfRemeasurementOfDeferredTaxUtilisation |
| 2617 |
Increase (decrease) in deferred tax expense (income) due to rate regulation |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseInDeferredTaxExpenseIncomeDueToRateRegulation |
| 2618 |
Deferred Tax Assets, Operating Loss Carryforwards, Not Subject to Expiration |
Concept (Monetary) |
As Of |
Debit |
us-gaap:DeferredTaxAssetsOperatingLossCarryforwardsNotSubjectToExpiration |
| 2619 |
Current tax expense (income) |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CurrentTaxExpenseIncome |
| 2620 |
Deferred Tax Assets, Operating Loss Carryforwards, Subject to Expiration |
Concept (Monetary) |
As Of |
Debit |
us-gaap:DeferredTaxAssetsOperatingLossCarryforwardsSubjectToExpiration |
| 2621 |
Deferred Tax Assets, Expiration Term |
Concept (xbrli:durationItemType) |
For Period |
|
lyg:DeferredTaxAssetsExpirationTerm |
| 2622 |
222 - Disclosure - DEFERRED TAX (Details) - Schedule of Statutory Position and Tax Disclosure |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofStatutoryPositionandTaxDisclosureTable |
| 2623 |
DEFERRED TAX (Details) - Schedule of Statutory Position and Tax Disclosure [Table] |
Table |
* |
* |
lyg:DEFERREDTAXDetailsScheduleofStatutoryPositionandTaxDisclosureTable |
| 2624 |
Type of disclosure [Axis] |
Axis |
|
|
lyg:TypeOfDisclosureAxis |
| 2625 |
TypeOfDisclosure [Domain] |
Member |
|
|
lyg:TypeOfDisclosureDomain |
| 2626 |
Statutory position [Member] |
Member |
|
|
lyg:StatutoryPositionMember |
| 2627 |
Tax disclosure [Member] |
Member |
|
|
lyg:TaxDisclosureMember |
| 2628 |
DEFERRED TAX (Details) - Schedule of Statutory Position and Tax Disclosure [Line Items] |
LineItems |
|
|
lyg:DEFERREDTAXDetailsScheduleofStatutoryPositionandTaxDisclosureLineItems |
| 2629 |
Deferred tax assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DeferredTaxAssets |
| 2630 |
Deferred tax liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DeferredTaxLiabilities |
| 2631 |
Asset at 31 December |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:NetDeferredTaxAssets |
| 2632 |
223 - Disclosure - DEFERRED TAX (Details) - Movements in deferred tax liabilities and assets |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/MovementsindeferredtaxliabilitiesandassetsTable |
| 2633 |
DEFERRED TAX (Details) - Movements in deferred tax liabilities and assets [Table] |
Table |
* |
* |
lyg:DEFERREDTAXDetailsMovementsindeferredtaxliabilitiesandassetsTable |
| 2634 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 2635 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 2636 |
Prior to offsetting of balances within same taxing jurisdiction [Member] |
Member |
|
|
lyg:PriorToOffsettingOfBalancesWithinSameTaxingJurisdictionMember |
| 2637 |
Classes of assets [axis] |
Axis |
|
|
ifrs-full:ClassesOfAssetsAxis |
| 2638 |
Assets [member] |
Member |
|
|
ifrs-full:ClassesOfAssetsMember |
| 2639 |
Tax Losses [Member] |
Member |
|
|
lyg:TaxLossesMember |
| 2640 |
Property, Plant and Equipment [Member] |
Member |
|
|
us-gaap:PropertyPlantAndEquipmentMember |
| 2641 |
Pension defined benefit plans [member] |
Member |
|
|
ifrs-full:PensionDefinedBenefitPlansMember |
| 2642 |
Other provisions [member] |
Member |
|
|
ifrs-full:OtherProvisionsMember |
| 2643 |
Share-based payment arrangements [member] |
Member |
|
|
ifrs-full:SharebasedPaymentArrangementsMember |
| 2644 |
Other temporary differences [member] |
Member |
|
|
ifrs-full:OtherTemporaryDifferencesMember |
| 2645 |
Long-term assurance business [Member] |
Member |
|
|
lyg:LongtermAssuranceBusinessMember |
| 2646 |
Acquisition Fair Value [Member] |
Member |
|
|
lyg:AcquisitionFairValueMember |
| 2647 |
Derivatives [member] |
Member |
|
|
ifrs-full:DerivativesMember |
| 2648 |
Revaluation of Assets [Member] |
Member |
|
|
us-gaap:RevaluationOfAssetsMember |
| 2649 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 2650 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 2651 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 2652 |
Increase (decrease) due to changes in accounting policy required by IFRSs [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToChangesInAccountingPolicyRequiredByIFRSsMember |
| 2653 |
DEFERRED TAX (Details) - Movements in deferred tax liabilities and assets [Line Items] |
LineItems |
|
|
lyg:DEFERREDTAXDetailsMovementsindeferredtaxliabilitiesandassetsLineItems |
| 2654 |
Deferred Tax Assets, Beginning Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DeferredTaxAssets |
| 2655 |
(Charge) credit to the income statement |
Concept (Monetary) |
For Period |
Debit |
lyg:DeferredTaxAssetsCreditedOrChargedDirectlyToIncomeStatement |
| 2656 |
(Charge) credit to other comprehensive income |
Concept (Monetary) |
For Period |
Debit |
lyg:DeferredTaxAssetsCreditedOrChargedToComprehensiveIncome |
| 2657 |
Other (charge) credit to equity |
Concept (Monetary) |
For Period |
|
ifrs-full:DeferredTaxRelatingToItemsChargedOrCreditedDirectlyToEquity |
| 2658 |
Impact of acquisitions and disposals on assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DeferredTaxAssetsRecognisedAsOfAcquisitionDate |
| 2659 |
Deferred Tax Assets, Ending Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DeferredTaxAssets |
| 2660 |
Deferred Tax Liabilities, Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DeferredTaxLiabilities |
| 2661 |
(Charge) credit to the income statement |
Concept (Monetary) |
For Period |
Credit |
lyg:DeferredTaxLiabilitiesCreditedOrChargedDirectlyToIncomeStatement |
| 2662 |
(Charge) credit to other comprehensive income |
Concept (Monetary) |
For Period |
Credit |
lyg:DeferredTaxLiabilitiesCreditedOrChargedToComprehensiveIncome |
| 2663 |
Exchange and other adjustments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughNetExchangeDifferencesDeferredTaxLiabilityAsset |
| 2664 |
Impact of acquisitions and disposals |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DeferredTaxLiabilitiesRecognisedAsOfAcquisitionDate |
| 2665 |
Deferred Tax Liabilities, Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DeferredTaxLiabilities |
| 2666 |
224 - Disclosure - OTHER PROVISIONS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHERPROVISIONSDetails |
| 2667 |
OTHER PROVISIONS (Details) [Table] |
Table |
* |
* |
lyg:OTHERPROVISIONSDetailsTable |
| 2668 |
Classes of other provisions [axis] |
Axis |
|
|
ifrs-full:ClassesOfProvisionsAxis |
| 2669 |
Other provisions [member] |
Member |
|
|
ifrs-full:OtherProvisionsMember |
| 2670 |
Other regulatory provisions [Member] |
Member |
|
|
lyg:OtherRegulatoryProvisionsMember |
| 2671 |
Arreas Handling |
Member |
|
|
lyg:ArreasHandlingMember |
| 2672 |
Mis-selling of packaged bank accounts [Member] |
Member |
|
|
lyg:MissellingOfPackagedBankAccountsMember |
| 2673 |
Customer claims in relation to insurance branch business in Germany |
Member |
|
|
lyg:CustomerClaimsInRelationToInsuranceBranchBusinessInGermanyMember |
| 2674 |
Relating to the Transitional Service Agreement [Member] |
Member |
|
|
lyg:RelatingToTheTransitionalServiceAgreementMember |
| 2675 |
Indemnities and other matters relating to legacy business disposals [member] |
Member |
|
|
lyg:IndemnitiesAndOtherMattersRelatingToLegacyBusinessDisposalsMember |
| 2676 |
Sale of Company [Axis] |
Axis |
|
|
lyg:SaleOfCompanyAxis |
| 2677 |
SaleOfCompany [Domain] |
Member |
|
|
lyg:SaleOfCompanyDomain |
| 2678 |
TSB Banking Group plc [Member] |
Member |
|
|
lyg:TSBBankingGroupPlcMember |
| 2679 |
Legal Entity of Counterparty, Type [Axis] |
Axis |
|
|
us-gaap:AccountsNotesLoansAndFinancingReceivablesByLegalEntityOfCounterpartyTypeAxis |
| 2680 |
Legal Entity Type of Counterparty [Domain] |
Member |
|
|
us-gaap:LegalEntityTypeOfCounterpartyDomain |
| 2681 |
HBOS [Member] |
Member |
|
|
lyg:HBOSMember |
| 2682 |
Complaints [Axis] |
Axis |
|
|
lyg:ComplaintsAxis |
| 2683 |
Complaints [Domain] |
Member |
|
|
lyg:ComplaintsDomain |
| 2684 |
In respect of complaints |
Member |
|
|
lyg:InRespectOfComplaintsMember |
| 2685 |
Type of Account [Axis] |
Axis |
|
|
lyg:TypeOfAccountAxis |
| 2686 |
TypeOfAccount [Domain] |
Member |
|
|
lyg:TypeOfAccountDomain |
| 2687 |
Payment Protection Insurance [Member] |
Member |
|
|
lyg:PaymentProtectionInsuranceMember |
| 2688 |
Nature of Expense [Axis] |
Axis |
|
|
us-gaap:NatureOfExpenseAxis |
| 2689 |
Interim Period, Costs Not Allocable [Domain] |
Member |
|
|
us-gaap:InterimPeriodCostsNotAllocableDomain |
| 2690 |
Management Fees and Activities [Member] |
Member |
|
|
lyg:ManagementFeesAndActivitiesMember |
| 2691 |
OTHER PROVISIONS (Details) [Line Items] |
LineItems |
|
|
lyg:OTHERPROVISIONSDetailsLineItems |
| 2692 |
Increase (decrease) in other provisions |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ChangesInOtherProvisions |
| 2693 |
Total Payment Protection Insurance To Date |
Concept (Monetary) |
For Period |
Credit |
lyg:TotalPaymentProtectionInsuranceToDate |
| 2694 |
Description of Average Number of Complaints Per Week PPI |
Concept (Text/String) |
For Period |
|
lyg:DescriptionOfAverageNumberOfComplaintsPerWeekPPI |
| 2695 |
Other provisions |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherProvisions |
| 2696 |
Provision used, other provisions |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProvisionUsedOtherProvisions |
| 2697 |
Number of Policies Sold |
Concept (Decimal) |
For Period |
|
lyg:NumberOfPoliciesSold |
| 2698 |
Estimated percentage of policies contacted settled or provided |
Concept (Percent) |
For Period |
|
lyg:EstimatedPercentageOfPoliciesContactedSettledOrProvided |
| 2699 |
Description of Reactive Complaint Sensitivities |
Concept (Text/String) |
For Period |
|
lyg:DescriptionOfReactiveComplaintSensitivities |
| 2700 |
Maximum exposure to credit risk |
Concept (Monetary) |
As Of |
|
ifrs-full:MaximumExposureToCreditRisk |
| 2701 |
Total Arrears Handling To Date |
Concept (Monetary) |
For Period |
Credit |
lyg:TotalArrearsHandlingToDate |
| 2702 |
Total Packaged Bank Accounts To Date |
Concept (Monetary) |
For Period |
Credit |
lyg:TotalPackagedBankAccountsToDate |
| 2703 |
Percent of accepted offers after compensation assessment |
Concept (Percent) |
As Of |
|
lyg:PercentOfAcceptedOffersAfterCompensationAssessment |
| 2704 |
Value of offers after compensation assessment |
Concept (Monetary) |
For Period |
Debit |
lyg:ValueOfOffersAfterCompensationAssessment |
| 2705 |
Value of accepted offers after compensation assessment |
Concept (Monetary) |
As Of |
Debit |
lyg:ValueOfAcceptedOffersAfterCompensationAssessment |
| 2706 |
ExGratiaPayments |
Concept (Monetary) |
As Of |
Debit |
lyg:ExGratiaPayments |
| 2707 |
Payments in respect of settlements, reimbursement rights |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:PaymentsInRespectOfSettlementsReimbursementRights |
| 2708 |
Total TSB Various Ongoing Commitments To Date Today |
Concept (Monetary) |
For Period |
Credit |
lyg:TotalTSBVariousOngoingCommitmentsToDateToday |
| 2709 |
Restructuring provision |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:RestructuringProvision |
| 2710 |
Provisions |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Provisions |
| 2711 |
225 - Disclosure - OTHER PROVISIONS (Details) - Schedule of Assumptions for Other Provisions |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofAssumptionsforOtherProvisionsTable |
| 2712 |
OTHER PROVISIONS (Details) - Schedule of Assumptions for Other Provisions [Table] |
Table |
* |
* |
lyg:OTHERPROVISIONSDetailsScheduleofAssumptionsforOtherProvisionsTable |
| 2713 |
Classes of other provisions [axis] |
Axis |
|
|
ifrs-full:ClassesOfProvisionsAxis |
| 2714 |
Other provisions [member] |
Member |
|
|
ifrs-full:OtherProvisionsMember |
| 2715 |
Provision for credit commitments [member] |
Member |
|
|
ifrs-full:ProvisionForCreditCommitmentsMember |
| 2716 |
Payment Protection Insurance [Member] |
Member |
|
|
lyg:PaymentProtectionInsuranceMember |
| 2717 |
Other regulatory provisions [Member] |
Member |
|
|
lyg:OtherRegulatoryProvisionsMember |
| 2718 |
Vacant leasehold property [Member] |
Member |
|
|
lyg:VacantLeaseholdPropertyMember |
| 2719 |
Miscellaneous other provisions [member] |
Member |
|
|
ifrs-full:MiscellaneousOtherProvisionsMember |
| 2720 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 2721 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 2722 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 2723 |
Increase (decrease) due to changes in accounting policy required by IFRSs [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToChangesInAccountingPolicyRequiredByIFRSsMember |
| 2724 |
OTHER PROVISIONS (Details) - Schedule of Assumptions for Other Provisions [Line Items] |
LineItems |
|
|
lyg:OTHERPROVISIONSDetailsScheduleofAssumptionsforOtherProvisionsLineItems |
| 2725 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherProvisions |
| 2726 |
Exchange and other adjustments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughNetExchangeDifferencesOtherProvisions |
| 2727 |
Provisions applied |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProvisionUsedOtherProvisions |
| 2728 |
Charge for the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ChangesInOtherProvisions |
| 2729 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherProvisions |
| 2730 |
226 - Disclosure - SUBORDINATED LIABILITIES (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SUBORDINATEDLIABILITIESDetails |
| 2731 |
Implied Table |
Table |
* |
* |
implied:Table |
| 2732 |
Disclosure of subordinated liabilities [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfSubordinatedLiabilitiesTextBlockAbstract |
| 2733 |
Expected cash outflow on redemption or repurchase of puttable financial instruments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ExpectedCashOutflowOnRedemptionOrRepurchaseOfPuttableFinancialInstruments |
| 2734 |
227 - Disclosure - SUBORDINATED LIABILITIES (Details) - Schedule of Movement in Subordinated Liabilities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofMovementinSubordinatedLiabilitiesTable |
| 2735 |
SUBORDINATED LIABILITIES (Details) - Schedule of Movement in Subordinated Liabilities [Table] |
Table |
* |
* |
lyg:SUBORDINATEDLIABILITIESDetailsScheduleofMovementinSubordinatedLiabilitiesTable |
| 2736 |
Classes of share capital [axis] |
Axis |
|
|
ifrs-full:ClassesOfShareCapitalAxis |
| 2737 |
Share capital [member] |
Member |
|
|
ifrs-full:ClassesOfShareCapitalMember |
| 2738 |
Preference shares [member] |
Member |
|
|
ifrs-full:PreferenceSharesMember |
| 2739 |
Preferred securities [Member] |
Member |
|
|
lyg:PreferredSecuritiesMember |
| 2740 |
Undated subordinated liabilities [Member] |
Member |
|
|
lyg:UndatedSubordinatedLiabilitiesMember |
| 2741 |
Dated subordinated liabilities [Member] |
Member |
|
|
lyg:DatedSubordinatedLiabilitiesMember |
| 2742 |
SUBORDINATED LIABILITIES (Details) - Schedule of Movement in Subordinated Liabilities [Line Items] |
LineItems |
|
|
lyg:SUBORDINATEDLIABILITIESDetailsScheduleofMovementinSubordinatedLiabilitiesLineItems |
| 2743 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:SubordinatedLiabilities |
| 2744 |
Repurchases and redemptions during the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ExpectedCashOutflowOnRedemptionOrRepurchaseOfPuttableFinancialInstruments |
| 2745 |
Foreign exchange movements |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughEffectOfChangesInForeignExchangeRatesLiabilitiesArisingFromFinancingActivities |
| 2746 |
Other movements (all non-cash) |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseThroughOtherMovementsFinancialAssets |
| 2747 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:SubordinatedLiabilities |
| 2748 |
Issued during the year |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProceedsFromIssueOfSubordinatedLiabilities |
| 2749 |
228 - Disclosure - SUBORDINATED LIABILITIES (Details) - Disclosure of dated subordinated liabilities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DisclosureofdatedsubordinatedliabilitiesTable |
| 2750 |
SUBORDINATED LIABILITIES (Details) - Disclosure of dated subordinated liabilities [Table] |
Table |
* |
* |
lyg:SUBORDINATEDLIABILITIESDetailsDisclosureofdatedsubordinatedliabilitiesTable |
| 2751 |
Liabilities arising from financing activities [axis] |
Axis |
|
|
ifrs-full:LiabilitiesArisingFromFinancingActivitiesAxis |
| 2752 |
Liabilities arising from financing activities [member] |
Member |
|
|
ifrs-full:LiabilitiesArisingFromFinancingActivitiesMember |
| 2753 |
1.75% Subordinated Fixed Rate Notes 2028 callable 2023 [Member] |
Member |
|
|
lyg:Percent175SubordinatedFixedRateNotes2028Callable2023Member |
| 2754 |
4.344% Subordinated Fixed Rate Notes callable 2048 [Member] |
Member |
|
|
lyg:Percent4344SubordinatedFixedRateNotesCallable2048Member |
| 2755 |
SUBORDINATED LIABILITIES (Details) - Disclosure of dated subordinated liabilities [Line Items] |
LineItems |
|
|
lyg:SUBORDINATEDLIABILITIESDetailsDisclosureofdatedsubordinatedliabilitiesLineItems |
| 2756 |
Dated subordinated liabilities, Issued during 2018 |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DatedSubordinatedLiabilities |
| 2757 |
229 - Disclosure - SUBORDINATED LIABILITIES (Details) - Disclosure of repurchases and redemptions during the year |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DisclosureofrepurchasesandredemptionsduringtheyearTable |
| 2758 |
SUBORDINATED LIABILITIES (Details) - Disclosure of repurchases and redemptions during the year [Table] |
Table |
* |
* |
lyg:SUBORDINATEDLIABILITIESDetailsDisclosureofrepurchasesandredemptionsduringtheyearTable |
| 2759 |
Investment Securities Class [Axis] |
Axis |
|
|
invest:InvestmentSecuritiesClassAxis |
| 2760 |
Investment Securities Class [Domain] |
Member |
|
|
invest:InvestmentSecuritiesClassDomain |
| 2761 |
Preferred securities [Member] |
Member |
|
|
lyg:PreferredSecuritiesMember |
| 2762 |
Liabilities arising from financing activities [axis] |
Axis |
|
|
ifrs-full:LiabilitiesArisingFromFinancingActivitiesAxis |
| 2763 |
Liabilities arising from financing activities [member] |
Member |
|
|
ifrs-full:LiabilitiesArisingFromFinancingActivitiesMember |
| 2764 |
6.461% Guaranteed Non-voting Non-cumulative Perpetual Preferred Securities [Member] |
Member |
|
|
lyg:Percent6461GuaranteedNonvotingNoncumulativePerpetualPreferredSecuritiesMember |
| 2765 |
Undated Perpetual Preferred Securities [member] |
Member |
|
|
lyg:UndatedPerpetualPreferredSecuritiesMember |
| 2766 |
10.5% Subordinated Bonds callable 2018 [member] |
Member |
|
|
lyg:Percent105SubordinatedBondsCallable2018Member |
| 2767 |
6.75% Subordinated Fixed Rate Notes callable 2018 [member] |
Member |
|
|
lyg:Percent675SubordinatedFixedRateNotesCallable2018Member |
| 2768 |
7.627% Fixed to Floating Rate Guaranteed Non-voting Non-cumulative Preferred Securities [Member] |
Member |
|
|
lyg:PreferredSecurities7627FixedToFloatingRateGuaranteedNonvotingNoncumulativePreferredSecuritiesMember |
| 2769 |
4.385% Step-up Perpetual Capital Securities callable 2017 [member] |
Member |
|
|
lyg:Percent4385StepupPerpetualCapitalSecuritiesCallable2017Member |
| 2770 |
Subordinated Callable Notes 2017 [Member] |
Member |
|
|
lyg:SubordinatedCallableNotes2017Member |
| 2771 |
Classes of liabilities [axis] |
Axis |
|
|
ifrs-full:ClassesOfLiabilitiesAxis |
| 2772 |
Liabilities [member] |
Member |
|
|
ifrs-full:LiabilitiesMember |
| 2773 |
Dated subordinated liabilities [Member] |
Member |
|
|
lyg:DatedSubordinatedLiabilitiesMember |
| 2774 |
SUBORDINATED LIABILITIES (Details) - Disclosure of repurchases and redemptions during the year [Line Items] |
LineItems |
|
|
lyg:SUBORDINATEDLIABILITIESDetailsDisclosureofrepurchasesandredemptionsduringtheyearLineItems |
| 2775 |
Repurchase and redemptions |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ExpectedCashOutflowOnRedemptionOrRepurchaseOfPuttableFinancialInstruments |
| 2776 |
230 - Disclosure - SHARE CAPITAL (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SHARECAPITALDetails |
| 2777 |
Implied Table |
Table |
* |
* |
implied:Table |
| 2778 |
Disclosure of issued capital [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfIssuedCapitalTextBlockAbstract |
| 2779 |
Number of shares issued and fully paid |
Concept (Shares) |
As Of |
|
ifrs-full:NumberOfSharesIssuedAndFullyPaid |
| 2780 |
Proportion of voting rights held by non-controlling interests |
Concept (Percent) |
For Period |
|
ifrs-full:ProportionOfVotingRightsHeldByNoncontrollingInterests |
| 2781 |
Number of shares redesignated as ordinary shares |
Concept (Shares) |
For Period |
|
lyg:NumberOfSharesRedesignatedAsOrdinaryShares |
| 2782 |
Par Value Of Redesignated Ordinary Shares (in Pounds per share) |
Concept (Share) |
For Period |
|
lyg:ParValueOfRedesignatedOrdinaryShares |
| 2783 |
231 - Disclosure - SHARE CAPITAL (Details) - Schedule of Issued and Fully Paid Share Capital |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofIssuedandFullyPaidShareCapitalTable |
| 2784 |
SHARE CAPITAL (Details) - Schedule of Issued and Fully Paid Share Capital [Table] |
Table |
* |
* |
lyg:SHARECAPITALDetailsScheduleofIssuedandFullyPaidShareCapitalTable |
| 2785 |
Classes of share capital [axis] |
Axis |
|
|
ifrs-full:ClassesOfShareCapitalAxis |
| 2786 |
Share capital [member] |
Member |
|
|
ifrs-full:ClassesOfShareCapitalMember |
| 2787 |
Ordinary shares [member] |
Member |
|
|
ifrs-full:OrdinarySharesMember |
| 2788 |
Limited voting [Member] |
Member |
|
|
lyg:LimitedVotingMember |
| 2789 |
SHARE CAPITAL (Details) - Schedule of Issued and Fully Paid Share Capital [Line Items] |
LineItems |
|
|
lyg:SHARECAPITALDetailsScheduleofIssuedandFullyPaidShareCapitalLineItems |
| 2790 |
Number of shares outstanding, Start of Period (in Shares) |
Concept (Shares) |
As Of |
|
ifrs-full:NumberOfSharesOutstanding |
| 2791 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:IssuedCapital |
| 2792 |
Number of shares, Redesignation to ordinary shares (in Shares) |
Concept (Shares) |
For Period |
|
lyg:NumberOfSharesRedesignatedAsOrdinaryShares |
| 2793 |
Value of shares, Redesignation to ordinary shares |
Concept (Monetary) |
For Period |
Credit |
lyg:ParValueOfSharesRedesignatedAsOrdinaryShares |
| 2794 |
Number of shares, Issued under employee share schemes (in Shares) |
Concept (Shares) |
For Period |
|
ifrs-full:IncreaseDecreaseInNumberOfOrdinarySharesIssued |
| 2795 |
Value of shares, Issued under employee share schemes |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughSharebasedPaymentTransactions |
| 2796 |
Number of shares, Share buy-back programme (in Shares) |
Concept (Shares) |
For Period |
|
lyg:ShareBuyBackNumberOfShares |
| 2797 |
Value of shares, Share buy-back programme |
Concept (Monetary) |
For Period |
Debit |
lyg:ShareBuyBackNumberOfValue |
| 2798 |
Number of shares, Redesignation of limited voting ordinary shares (in Shares) |
Concept (Shares) |
For Period |
|
lyg:NumberOfSharesRedesignatedAsLimitedVotingOrdinaryShares |
| 2799 |
Value of shares, Redesignation of limited voting ordinary shares |
Concept (Monetary) |
For Period |
Credit |
lyg:ValueOfSharesRedesignatedAsLimitedVotingOrdinaryShares |
| 2800 |
Number of shares outstanding, End of Period (in Shares) |
Concept (Shares) |
As Of |
|
ifrs-full:NumberOfSharesOutstanding |
| 2801 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:IssuedCapital |
| 2802 |
232 - Disclosure - SHARE PREMIUM ACCOUNT (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SHAREPREMIUMACCOUNTDetails |
| 2803 |
Implied Table |
Table |
* |
* |
implied:Table |
| 2804 |
Disclosure For Share Premium Account Explanatory [Abstract] |
Abstract |
|
|
lyg:DisclosureForSharePremiumAccountExplanatoryAbstract |
| 2805 |
Payments for Repurchase of Redeemable Preferred Stock |
Concept (Monetary) |
For Period |
Credit |
us-gaap:PaymentsForRepurchaseOfRedeemablePreferredStock |
| 2806 |
Redemption Of Preference Shares |
Concept (Monetary) |
For Period |
|
lyg:RedemptionOfPreferenceShares |
| 2807 |
233 - Disclosure - SHARE PREMIUM ACCOUNT (Details) - Schedule of Share Premium Account |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofSharePremiumAccountTable |
| 2808 |
Implied Table |
Table |
* |
* |
implied:Table |
| 2809 |
Schedule of Share Premium Account [Abstract] |
Abstract |
|
|
lyg:ScheduleOfSharePremiumAccountAbstract |
| 2810 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:SharePremium |
| 2811 |
Issued under employee share schemes |
Concept (Monetary) |
For Period |
Credit |
us-gaap:StockIssuedDuringPeriodValueEmployeeStockPurchasePlan |
| 2812 |
Redemption of preference shares |
Concept (Monetary) |
For Period |
Credit |
us-gaap:PaymentsForRepurchaseOfRedeemablePreferredStock |
| 2813 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:SharePremium |
| 2814 |
234 - Disclosure - OTHER RESERVES (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHERRESERVESDetails |
| 2815 |
OTHER RESERVES (Details) [Table] |
Table |
* |
* |
lyg:OTHERRESERVESDetailsTable |
| 2816 |
Reserves within equity [axis] |
Axis |
|
|
ifrs-full:ReservesWithinEquityAxis |
| 2817 |
Other reserves [member] |
Member |
|
|
ifrs-full:OtherReservesMember |
| 2818 |
Capital redemption reserve [member] |
Member |
|
|
ifrs-full:CapitalRedemptionReserveMember |
| 2819 |
Share Repurchase Program [Axis] |
Axis |
|
|
us-gaap:ShareRepurchaseProgramAxis |
| 2820 |
Share Repurchase Program [Domain] |
Member |
|
|
us-gaap:ShareRepurchaseProgramDomain |
| 2821 |
Share buy-back programme [member] |
Member |
|
|
lyg:ShareBuybackProgrammeMember |
| 2822 |
OTHER RESERVES (Details) [Line Items] |
LineItems |
|
|
lyg:OTHERRESERVESDetailsLineItems |
| 2823 |
Stock Repurchase Program, Authorized Amount |
Concept (Monetary) |
As Of |
Credit |
us-gaap:StockRepurchaseProgramAuthorizedAmount1 |
| 2824 |
Stock Repurchased and Retired During Period, Shares (in Shares) |
Concept (Shares) |
For Period |
|
us-gaap:StockRepurchasedAndRetiredDuringPeriodShares |
| 2825 |
Stock Repurchased During Period, Value |
Concept (Monetary) |
For Period |
Debit |
us-gaap:StockRepurchasedDuringPeriodValue |
| 2826 |
Credit derivative, nominal amount |
Concept (Monetary) |
As Of |
|
ifrs-full:CreditDerivativeNominalAmount |
| 2827 |
235 - Disclosure - OTHER RESERVES (Details) - Schedule of Other Reserves |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofOtherReservesTable |
| 2828 |
OTHER RESERVES (Details) - Schedule of Other Reserves [Table] |
Table |
* |
* |
lyg:OTHERRESERVESDetailsScheduleofOtherReservesTable |
| 2829 |
Asset Class [Axis] |
Axis |
|
|
us-gaap:FairValueByAssetClassAxis |
| 2830 |
Asset Class [Domain] |
Member |
|
|
us-gaap:FairValueAssetsMeasuredOnRecurringBasisUnobservableInputReconciliationByAssetClassDomain |
| 2831 |
Debt Securities [Member] |
Member |
|
|
us-gaap:DebtSecuritiesMember |
| 2832 |
Equity Securities [Member] |
Member |
|
|
us-gaap:EquitySecuritiesMember |
| 2833 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 2834 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 2835 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 2836 |
OTHER RESERVES (Details) - Schedule of Other Reserves [Line Items] |
LineItems |
|
|
lyg:OTHERRESERVESDetailsScheduleofOtherReservesLineItems |
| 2837 |
Other reserves comprise: |
Abstract |
|
|
lyg:OtherReservesCompriseAbstract |
| 2838 |
Merger reserve |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:MergerReserve |
| 2839 |
Capital redemption reserve |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:CapitalRedemptionReserve |
| 2840 |
Revaluation reserve held at fair value through other comprehensive income |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfGainsAndLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome |
| 2841 |
Revaluation reserve in respect of available-for-sale financial assets |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfGainsAndLossesOnRemeasuringAvailableforsaleFinancialAssets |
| 2842 |
Cash flow hedging reserve |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfCashFlowHedges |
| 2843 |
Foreign currency translation reserve |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfExchangeDifferencesOnTranslation |
| 2844 |
At 31 December |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherReserves |
| 2845 |
236 - Disclosure - OTHER RESERVES (Details) - Schedule of Merger Reserve |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofMergerReserveTable |
| 2846 |
OTHER RESERVES (Details) - Schedule of Merger Reserve [Table] |
Table |
* |
* |
lyg:OTHERRESERVESDetailsScheduleofMergerReserveTable |
| 2847 |
Types of hedges [axis] |
Axis |
|
|
ifrs-full:TypesOfHedgesAxis |
| 2848 |
Hedges [member] |
Member |
|
|
ifrs-full:TypesOfHedgesMember |
| 2849 |
Hedges of net investment in foreign operations [member] |
Member |
|
|
ifrs-full:HedgesOfNetInvestmentInForeignOperationsMember |
| 2850 |
OTHER RESERVES (Details) - Schedule of Merger Reserve [Line Items] |
LineItems |
|
|
lyg:OTHERRESERVESDetailsScheduleofMergerReserveLineItems |
| 2851 |
Merger reserve |
Abstract |
|
|
lyg:MergerReserveAbstract |
| 2852 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:MergerReserve |
| 2853 |
Redemption of preference shares (note 40) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherCashPaymentsToAcquireEquityOrDebtInstrumentsOfOtherEntitiesClassifiedAsInvestingActivities |
| 2854 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:MergerReserve |
| 2855 |
237 - Disclosure - OTHER RESERVES (Details) - Schedule of Capital Redemption Reserve |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofCapitalRedemptionReserveTable |
| 2856 |
OTHER RESERVES (Details) - Schedule of Capital Redemption Reserve [Table] |
Table |
* |
* |
lyg:OTHERRESERVESDetailsScheduleofCapitalRedemptionReserveTable |
| 2857 |
Reserves within equity [axis] |
Axis |
|
|
ifrs-full:ReservesWithinEquityAxis |
| 2858 |
Other reserves [member] |
Member |
|
|
ifrs-full:OtherReservesMember |
| 2859 |
Capital redemption reserve [member] |
Member |
|
|
ifrs-full:CapitalRedemptionReserveMember |
| 2860 |
OTHER RESERVES (Details) - Schedule of Capital Redemption Reserve [Line Items] |
LineItems |
|
|
lyg:OTHERRESERVESDetailsScheduleofCapitalRedemptionReserveLineItems |
| 2861 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:CapitalRedemptionReserve |
| 2862 |
Shares cancelled under share buy-back programme (see below) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:CancellationOfTreasuryShares |
| 2863 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:CapitalRedemptionReserve |
| 2864 |
238 - Disclosure - OTHER RESERVES (Details) - Schedule of revaluation reserve in respect of debt securities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofrevaluationreserveinrespectofdebtsecuritiesTable |
| 2865 |
OTHER RESERVES (Details) - Schedule of revaluation reserve in respect of debt securities [Table] |
Table |
* |
* |
lyg:OTHERRESERVESDetailsScheduleofrevaluationreserveinrespectofdebtsecuritiesTable |
| 2866 |
Asset Class [Axis] |
Axis |
|
|
us-gaap:FairValueByAssetClassAxis |
| 2867 |
Asset Class [Domain] |
Member |
|
|
us-gaap:FairValueAssetsMeasuredOnRecurringBasisUnobservableInputReconciliationByAssetClassDomain |
| 2868 |
Debt Securities [Member] |
Member |
|
|
us-gaap:DebtSecuritiesMember |
| 2869 |
Restatement [Axis] |
Axis |
|
|
srt:RestatementAxis |
| 2870 |
Restatement [Domain] |
Member |
|
|
srt:RestatementDomain |
| 2871 |
Income statement transfers [Member] |
Member |
|
|
lyg:IncomeStatementTransfersMember |
| 2872 |
Reserves within equity [axis] |
Axis |
|
|
ifrs-full:ReservesWithinEquityAxis |
| 2873 |
Other reserves [member] |
Member |
|
|
ifrs-full:OtherReservesMember |
| 2874 |
Reserve of gains and losses on financial assets measured at fair value through other comprehensive income [member] |
Member |
|
|
ifrs-full:ReserveOfGainsAndLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeMember |
| 2875 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 2876 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 2877 |
Increase (decrease) due to changes in accounting policy required by IFRSs [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToChangesInAccountingPolicyRequiredByIFRSsMember |
| 2878 |
OTHER RESERVES (Details) - Schedule of revaluation reserve in respect of debt securities [Line Items] |
LineItems |
|
|
lyg:OTHERRESERVESDetailsScheduleofrevaluationreserveinrespectofdebtsecuritiesLineItems |
| 2879 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfGainsAndLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome |
| 2880 |
Change in fair value |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeNetOfTax |
| 2881 |
Deferred tax |
Concept (Monetary) |
For Period |
Credit |
lyg:GainsLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeDeferredTax |
| 2882 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:FairValueGainsLossesOnFinancialAssetsReclassifiedOutOfAvailableforsaleFinancialAssetsRecognisedInOtherComprehensiveIncome |
| 2883 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfGainsAndLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome |
| 2884 |
Disposals (note 9) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsOnDisposalsOfNoncurrentAssets |
| 2885 |
Deferred tax |
Concept (Monetary) |
For Period |
Credit |
lyg:GainsOnDisposalsOfNoncurrentAssetsDeferredTax |
| 2886 |
Net Income statement transfers |
Concept (Monetary) |
For Period |
Debit |
lyg:NetIncomeStatementTransfers |
| 2887 |
239 - Disclosure - OTHER RESERVES (Details) - Schedule of revaluation reserve in respect of equity shares |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofrevaluationreserveinrespectofequitysharesTable |
| 2888 |
OTHER RESERVES (Details) - Schedule of revaluation reserve in respect of equity shares [Table] |
Table |
* |
* |
lyg:OTHERRESERVESDetailsScheduleofrevaluationreserveinrespectofequitysharesTable |
| 2889 |
Equity Components [Axis] |
Axis |
|
|
us-gaap:StatementEquityComponentsAxis |
| 2890 |
Equity Component [Domain] |
Member |
|
|
us-gaap:EquityComponentDomain |
| 2891 |
Retained Earnings [Member] |
Member |
|
|
us-gaap:RetainedEarningsMember |
| 2892 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 2893 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 2894 |
Equity shares [Member] |
Member |
|
|
lyg:EquitySharesMember |
| 2895 |
Reserves within equity [axis] |
Axis |
|
|
ifrs-full:ReservesWithinEquityAxis |
| 2896 |
Other reserves [member] |
Member |
|
|
ifrs-full:OtherReservesMember |
| 2897 |
Reserve of gains and losses on financial assets measured at fair value through other comprehensive income [member] |
Member |
|
|
ifrs-full:ReserveOfGainsAndLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeMember |
| 2898 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 2899 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 2900 |
Increase (decrease) due to changes in accounting policy required by IFRSs [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToChangesInAccountingPolicyRequiredByIFRSsMember |
| 2901 |
OTHER RESERVES (Details) - Schedule of revaluation reserve in respect of equity shares [Line Items] |
LineItems |
|
|
lyg:OTHERRESERVESDetailsScheduleofrevaluationreserveinrespectofequitysharesLineItems |
| 2902 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfGainsAndLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome |
| 2903 |
Change in fair value |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeNetOfTax |
| 2904 |
Deferred tax |
Concept (Monetary) |
For Period |
Credit |
lyg:GainsLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeDeferredTax |
| 2905 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeBeforeTaxGainsLossesOnRevaluation |
| 2906 |
Realised gains and losses transferred to retained profits |
Concept (Monetary) |
For Period |
Credit |
us-gaap:RealizedInvestmentGainsLosses |
| 2907 |
Deferred tax |
Concept (Monetary) |
For Period |
Credit |
lyg:RealizedInvestmentGainsLossesDeferredTax |
| 2908 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxGainsLossesOnRevaluation |
| 2909 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfGainsAndLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome |
| 2910 |
240 - Disclosure - OTHER RESERVES (Details) - Schedule of Movement in Other Reserves |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofMovementinOtherReservesTable |
| 2911 |
OTHER RESERVES (Details) - Schedule of Movement in Other Reserves [Table] |
Table |
* |
* |
lyg:OTHERRESERVESDetailsScheduleofMovementinOtherReservesTable |
| 2912 |
Tax Status [Axis] |
Axis |
|
|
lyg:TaxStatusAxis |
| 2913 |
TaxStatus [Domain] |
Member |
|
|
lyg:TaxStatusDomain |
| 2914 |
Pre-Tax [Member] |
Member |
|
|
lyg:PreTaxMember |
| 2915 |
Deferred Income Tax Charge [Member] |
Member |
|
|
us-gaap:DeferredIncomeTaxChargesMember |
| 2916 |
Current Tax [Member] |
Member |
|
|
lyg:CurrentTaxMember |
| 2917 |
Restatement [Axis] |
Axis |
|
|
srt:RestatementAxis |
| 2918 |
Restatement [Domain] |
Member |
|
|
srt:RestatementDomain |
| 2919 |
Income statement transfers [Member] |
Member |
|
|
lyg:IncomeStatementTransfersMember |
| 2920 |
Reserves within equity [axis] |
Axis |
|
|
ifrs-full:ReservesWithinEquityAxis |
| 2921 |
Other reserves [member] |
Member |
|
|
ifrs-full:OtherReservesMember |
| 2922 |
Reserve of gains and losses on remeasuring available-for-sale financial assets [member] |
Member |
|
|
ifrs-full:ReserveOfGainsAndLossesOnRemeasuringAvailableforsaleFinancialAssetsMember |
| 2923 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 2924 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 2925 |
Financial assets available-for-sale, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAvailableforsaleCategoryMember |
| 2926 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 2927 |
OTHER RESERVES (Details) - Schedule of Movement in Other Reserves [Line Items] |
LineItems |
|
|
lyg:OTHERRESERVESDetailsScheduleofMovementinOtherReservesLineItems |
| 2928 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfGainsAndLossesOnRemeasuringAvailableforsaleFinancialAssets |
| 2929 |
Adjustment on transfer from held-to-maturity portfolio |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ReclassificationOutOfHeldtomaturityInvestments |
| 2930 |
Change in fair value of available-for-sale financial assets |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:FairValueGainsLossesOnFinancialAssetsReclassifiedOutOfAvailableforsaleFinancialAssetsRecognisedInOtherComprehensiveIncome |
| 2931 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfGainsAndLossesOnRemeasuringAvailableforsaleFinancialAssets |
| 2932 |
Disposals |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsOnDisposalsOfNoncurrentAssets |
| 2933 |
Impairment |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLossRecognisedInOtherComprehensiveIncome |
| 2934 |
241 - Disclosure - OTHER RESERVES (Details) - Schedule of Cash Flow Hedging Reserve |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofCashFlowHedgingReserveTable |
| 2935 |
OTHER RESERVES (Details) - Schedule of Cash Flow Hedging Reserve [Table] |
Table |
* |
* |
lyg:OTHERRESERVESDetailsScheduleofCashFlowHedgingReserveTable |
| 2936 |
Reserves within equity [axis] |
Axis |
|
|
ifrs-full:ReservesWithinEquityAxis |
| 2937 |
Other reserves [member] |
Member |
|
|
ifrs-full:OtherReservesMember |
| 2938 |
Reserve of cash flow hedges [member] |
Member |
|
|
ifrs-full:ReserveOfCashFlowHedgesMember |
| 2939 |
Tax Status [Axis] |
Axis |
|
|
lyg:TaxStatusAxis |
| 2940 |
TaxStatus [Domain] |
Member |
|
|
lyg:TaxStatusDomain |
| 2941 |
Pre-Tax [Member] |
Member |
|
|
lyg:PreTaxMember |
| 2942 |
Deferred Income Tax Charge [Member] |
Member |
|
|
us-gaap:DeferredIncomeTaxChargesMember |
| 2943 |
OTHER RESERVES (Details) - Schedule of Cash Flow Hedging Reserve [Line Items] |
LineItems |
|
|
lyg:OTHERRESERVESDetailsScheduleofCashFlowHedgingReserveLineItems |
| 2944 |
Cash flow hedging reserve |
Abstract |
|
|
lyg:CashFlowHedgingReserveAbstract |
| 2945 |
Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfCashFlowHedges |
| 2946 |
Change in fair value of hedging derivatives |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnChangeInFairValueOfDerivatives |
| 2947 |
Income statement transfers |
Concept (Monetary) |
For Period |
Credit |
lyg:IncomeStatementTransfers |
| 2948 |
Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfCashFlowHedges |
| 2949 |
242 - Disclosure - OTHER RESERVES (Details) - Schedule of Foreign Currency Translation Reserve |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofForeignCurrencyTranslationReserveTable |
| 2950 |
OTHER RESERVES (Details) - Schedule of Foreign Currency Translation Reserve [Table] |
Table |
* |
* |
lyg:OTHERRESERVESDetailsScheduleofForeignCurrencyTranslationReserveTable |
| 2951 |
Reserves within equity [axis] |
Axis |
|
|
ifrs-full:ReservesWithinEquityAxis |
| 2952 |
Other reserves [member] |
Member |
|
|
ifrs-full:OtherReservesMember |
| 2953 |
Reserve of change in value of foreign currency basis spreads [member] |
Member |
|
|
ifrs-full:ReserveOfChangeInValueOfForeignCurrencyBasisSpreadsMember |
| 2954 |
OTHER RESERVES (Details) - Schedule of Foreign Currency Translation Reserve [Line Items] |
LineItems |
|
|
lyg:OTHERRESERVESDetailsScheduleofForeignCurrencyTranslationReserveLineItems |
| 2955 |
Foreign currency translation reserve |
Abstract |
|
|
lyg:ForeignCurrencyTranslationReserveAbstract |
| 2956 |
At 1 January |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfExchangeDifferencesOnTranslation |
| 2957 |
Currency translation differences arising in the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnExchangeDifferencesOnTranslationBeforeTax |
| 2958 |
Foreign currency gains on net investment hedges (tax: Łnil) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnHedgesOfNetInvestmentsInForeignOperationsNetOfTax |
| 2959 |
At 31 December |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ReserveOfExchangeDifferencesOnTranslation |
| 2960 |
243 - Disclosure - RETAINED PROFITS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/RETAINEDPROFITSDetails |
| 2961 |
RETAINED PROFITS (Details) [Table] |
Table |
* |
* |
lyg:RETAINEDPROFITSDetailsTable |
| 2962 |
Components of equity [axis] |
Axis |
|
|
ifrs-full:ComponentsOfEquityAxis |
| 2963 |
Equity [member] |
Member |
|
|
ifrs-full:EquityMember |
| 2964 |
Retained earnings [member] |
Member |
|
|
ifrs-full:RetainedEarningsMember |
| 2965 |
RETAINED PROFITS (Details) [Line Items] |
LineItems |
|
|
lyg:RETAINEDPROFITSDetailsLineItems |
| 2966 |
Income from continuing involvement in derecognised financial assets |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncomeFromContinuingInvolvementInDerecognisedFinancialAssets |
| 2967 |
Treasury shares |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:TreasuryShares |
| 2968 |
Treasury shares held |
Concept (Monetary) |
For Period |
Debit |
lyg:TreasurySharesHeld |
| 2969 |
244 - Disclosure - RETAINED PROFITS (Details) - Schedule of Retained Profits |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofRetainedProfitsTable |
| 2970 |
RETAINED PROFITS (Details) - Schedule of Retained Profits [Table] |
Table |
* |
* |
lyg:RETAINEDPROFITSDetailsScheduleofRetainedProfitsTable |
| 2971 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 2972 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 2973 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 2974 |
Increase (decrease) due to changes in accounting policy required by IFRSs [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToChangesInAccountingPolicyRequiredByIFRSsMember |
| 2975 |
Components of equity [axis] |
Axis |
|
|
ifrs-full:ComponentsOfEquityAxis |
| 2976 |
Equity [member] |
Member |
|
|
ifrs-full:EquityMember |
| 2977 |
Retained earnings [member] |
Member |
|
|
ifrs-full:RetainedEarningsMember |
| 2978 |
RETAINED PROFITS (Details) - Schedule of Retained Profits [Line Items] |
LineItems |
|
|
lyg:RETAINEDPROFITSDetailsScheduleofRetainedProfitsLineItems |
| 2979 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:RetainedEarnings |
| 2980 |
Profit for the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossAttributableToOwnersOfParent |
| 2981 |
Dividends paid |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DividendsPaid |
| 2982 |
Issue costs of other equity instruments (net of tax) (note 43) |
Concept (Monetary) |
For Period |
Credit |
lyg:IssueCostsOfOtherEquityInstruments |
| 2983 |
Distributions on other equity instruments (net of tax) |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseThroughOtherDistributionsToOwners |
| 2984 |
Share buy-back programme (note 41) |
Concept (Monetary) |
For Period |
Debit |
lyg:ShareBuyBackProgramme |
| 2985 |
Realised gains and losses on equity shares held at fair value through other comprehensive income |
Concept (Monetary) |
For Period |
|
ifrs-full:GainsLossesRecognisedInOtherComprehensiveIncomeFairValueMeasurementEntitysOwnEquityInstruments |
| 2986 |
Post-retirement defined benefit scheme remeasurements |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans |
| 2987 |
Share of other comprehensive income of associates and joint ventures |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ShareOfProfitLossOfAssociatesAndJointVenturesAccountedForUsingEquityMethod |
| 2988 |
Gains and losses attributable to own credit risk (net of tax) |
Concept (Monetary) |
For Period |
Credit |
lyg:GainsAndLossesAttributableToOwnCreditRisk |
| 2989 |
Movement in treasury shares |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughTreasuryShareTransactions |
| 2990 |
Value of employee services: |
Abstract |
|
|
lyg:ValueOfEmployeeServicesAbstract000 |
| 2991 |
Share option schemes |
Concept (Monetary) |
For Period |
Credit |
lyg:AdjustmentsForShareOptionAwards |
| 2992 |
Other employee award schemes |
Concept (Monetary) |
For Period |
Credit |
lyg:AdjustmentsForShareBasedAwardsExcludingOptions |
| 2993 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:RetainedEarnings |
| 2994 |
245 - Disclosure - OTHER EQUITY INSTRUMENTS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/OTHEREQUITYINSTRUMENTSDetails |
| 2995 |
OTHER EQUITY INSTRUMENTS (Details) [Table] |
Table |
* |
* |
lyg:OTHEREQUITYINSTRUMENTSDetailsTable |
| 2996 |
Debt Security Category [Axis] |
Axis |
|
|
us-gaap:InformationByCategoryOfDebtSecurityAxis |
| 2997 |
Other than Temporary Impairment, Credit Losses Recognized in Earnings, Categories of Investments [Domain] |
Member |
|
|
us-gaap:OtherThanTemporaryImpairmentCreditLossesRecognizedInEarningsCategoriesOfInvestmentsDomain |
| 2998 |
AT1 Securities [Member] |
Member |
|
|
lyg:AT1SecuritiesMember |
| 2999 |
OTHER EQUITY INSTRUMENTS (Details) [Line Items] |
LineItems |
|
|
lyg:OTHEREQUITYINSTRUMENTSDetailsLineItems |
| 3000 |
Issue of equity |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IssueOfEquity |
| 3001 |
Debt Issuance Costs, Net |
Concept (Monetary) |
As Of |
Debit |
us-gaap:DeferredFinanceCostsNet |
| 3002 |
Debt Instrument, Convertible, Terms of Conversion Feature |
Concept (Text/String) |
For Period |
|
us-gaap:DebtInstrumentConvertibleTermsOfConversionFeature |
| 3003 |
246 - Disclosure - OTHER EQUITY INSTRUMENTS (Details) - Schedule of Other Equity Instruments |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofOtherEquityInstrumentsTable |
| 3004 |
OTHER EQUITY INSTRUMENTS (Details) - Schedule of Other Equity Instruments [Table] |
Table |
* |
* |
lyg:OTHEREQUITYINSTRUMENTSDetailsScheduleofOtherEquityInstrumentsTable |
| 3005 |
Classes of entity's own equity instruments [axis] |
Axis |
|
|
ifrs-full:ClassesOfEntitysOwnEquityInstrumentsAxis |
| 3006 |
Entity's own equity instruments [member] |
Member |
|
|
ifrs-full:EntitysOwnEquityInstrumentsMember |
| 3007 |
US dollar notes, nominal |
Member |
|
|
lyg:USDollarNotesNominalMember |
| 3008 |
OTHER EQUITY INSTRUMENTS (Details) - Schedule of Other Equity Instruments [Line Items] |
LineItems |
|
|
lyg:OTHEREQUITYINSTRUMENTSDetailsScheduleofOtherEquityInstrumentsLineItems |
| 3009 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
lyg:OtherEquityInstruments |
| 3010 |
Issued in the year: |
Abstract |
|
|
lyg:IssuedInTheYearAbstract |
| 3011 |
US dollar notes ($1,500 million nominal) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IssueOfEquity |
| 3012 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
lyg:OtherEquityInstruments |
| 3013 |
247 - Disclosure - OTHER EQUITY INSTRUMENTS (Details) - Schedule of Other Equity Instruments (Parentheticals) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofOtherEquityInstrumentsTable_Parentheticals |
| 3014 |
Implied Table |
Table |
* |
* |
implied:Table |
| 3015 |
Schedule of Other Equity Instruments [Abstract] |
Abstract |
|
|
lyg:ScheduleOfOtherEquityInstrumentsAbstract |
| 3016 |
US dollar notes, nominal |
Concept (Monetary) |
As Of |
Credit |
lyg:USDollarNotesNominal |
| 3017 |
248 - Disclosure - DIVIDENDS ON ORDINARY SHARES (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/DIVIDENDSONORDINARYSHARESDetails |
| 3018 |
DIVIDENDS ON ORDINARY SHARES (Details) [Table] |
Table |
* |
* |
lyg:DIVIDENDSONORDINARYSHARESDetailsTable |
| 3019 |
Subsidiaries [axis] |
Axis |
|
|
ifrs-full:SignificantInvestmentsInSubsidiariesAxis |
| 3020 |
Entity's total for subsidiaries [member] |
Member |
|
|
ifrs-full:EntitysTotalForSubsidiariesMember |
| 3021 |
Lloyds Banking Group Share Incentive Plan [Member] |
Member |
|
|
lyg:LloydsBankingGroupShareIncentivePlanMember |
| 3022 |
HBOS Share Incentive Plan Trust [Member] |
Member |
|
|
lyg:HBOSShareIncentivePlanTrustMember |
| 3023 |
Lloyds Banking Group Employee Share Ownernship Trust [Member] |
Member |
|
|
lyg:LloydsBankingGroupEmployeeShareOwnernshipTrustMember |
| 3024 |
Lloyds Group Holdings (Jersey) Limited [Member] |
Member |
|
|
lyg:LloydsGroupHoldingsJerseyLimitedMember |
| 3025 |
Entitlement to dividends [Axis] |
Axis |
|
|
lyg:EntitlementToDividendsAxis |
| 3026 |
EntitlementToDividends [Domain] |
Member |
|
|
lyg:EntitlementToDividendsDomain |
| 3027 |
Waived [Member] |
Member |
|
|
lyg:WaivedMember |
| 3028 |
Waived rights to all but a nominal amount of one penny [Member] |
Member |
|
|
lyg:WaivedRightsToAllButANominalAmountOfOnePennyMember |
| 3029 |
Dividend Type [Axis] |
Axis |
|
|
lyg:DividendTypeAxis |
| 3030 |
DividendType [Domain] |
Member |
|
|
lyg:DividendTypeDomain |
| 3031 |
Final dividend [Member] |
Member |
|
|
lyg:FinalDividendMember |
| 3032 |
Special dividend [Member] |
Member |
|
|
lyg:SpecialDividendMember |
| 3033 |
Net of Credit for Unclaimed Dividends [Member] |
Member |
|
|
lyg:NetOfCreditForUnclaimedDividendsMember |
| 3034 |
DIVIDENDS ON ORDINARY SHARES (Details) [Line Items] |
LineItems |
|
|
lyg:DIVIDENDSONORDINARYSHARESDetailsLineItems |
| 3035 |
Dividends proposed or declared before financial statements authorised for issue but not recognised as distribution to owners per share (in Pounds per share) |
Concept (Share) |
For Period |
|
ifrs-full:DividendsProposedOrDeclaredBeforeFinancialStatementsAuthorisedForIssueButNotRecognisedAsDistributionToOwnersPerShare |
| 3036 |
Dividends proposed or declared before financial statements authorised for issue but not recognised as distribution to owners |
Concept (Monetary) |
For Period |
|
ifrs-full:DividendsProposedOrDeclaredBeforeFinancialStatementsAuthorisedForIssueButNotRecognisedAsDistributionToOwners |
| 3037 |
Dividends Payable, Date to be Paid |
Concept (Date) |
For Period |
|
us-gaap:DividendPayableDateToBePaidDayMonthAndYear |
| 3038 |
Dividends paid, ordinary shares |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DividendsPaidOrdinaryShares |
| 3039 |
Stock Repurchase Program, Authorized Amount |
Concept (Monetary) |
As Of |
Credit |
us-gaap:StockRepurchaseProgramAuthorizedAmount1 |
| 3040 |
Number of shares in entity held by entity or by its subsidiaries or associates (in Shares) |
Concept (Shares) |
As Of |
|
ifrs-full:SharesInEntityHeldByEntityOrByItsSubsidiariesOrAssociates |
| 3041 |
249 - Disclosure - DIVIDENDS ON ORDINARY SHARES (Details) - Schedule of Dividends On Ordinary Shares |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofDividendsOnOrdinarySharesTable |
| 3042 |
DIVIDENDS ON ORDINARY SHARES (Details) - Schedule of Dividends On Ordinary Shares [Table] |
Table |
* |
* |
lyg:DIVIDENDSONORDINARYSHARESDetailsScheduleofDividendsOnOrdinarySharesTable |
| 3043 |
Type of dividend [Axis] |
Axis |
|
|
lyg:TypeOfDividendAxis |
| 3044 |
TypeOfDividend [Domain] |
Member |
|
|
lyg:TypeOfDividendDomain |
| 3045 |
Final dividend [Member] |
Member |
|
|
lyg:FinalDividendMember |
| 3046 |
Special dividend [Member] |
Member |
|
|
lyg:SpecialDividendMember |
| 3047 |
Interim dividend [Member] |
Member |
|
|
lyg:InterimDividendMember |
| 3048 |
DIVIDENDS ON ORDINARY SHARES (Details) - Schedule of Dividends On Ordinary Shares [Line Items] |
LineItems |
|
|
lyg:DIVIDENDSONORDINARYSHARESDetailsScheduleofDividendsOnOrdinarySharesLineItems |
| 3049 |
Recommended by directors at previous year end: |
Abstract |
|
|
lyg:RecommendedByDirectorsAtPreviousYearEndAbstract |
| 3050 |
Dividend Per Share |
Concept (Share) |
For Period |
|
ifrs-full:DividendsPaidOrdinarySharesPerShare |
| 3051 |
Total Dividends Paid |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DividendsPaidOrdinaryShares |
| 3052 |
250 - Disclosure - SHARE-BASED PAYMENTS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/SHAREBASEDPAYMENTSDetails |
| 3053 |
SHARE-BASED PAYMENTS (Details) [Table] |
Table |
* |
* |
lyg:SHAREBASEDPAYMENTSDetailsTable |
| 3054 |
Performance Period for Grant [Axis] |
Axis |
|
|
lyg:PerformancePeriodForGrantAxis |
| 3055 |
PerformancePeriodForGrant [Domain] |
Member |
|
|
lyg:PerformancePeriodForGrantDomain |
| 3056 |
2015 [Member] |
Member |
|
|
lyg:Performance2015Member |
| 3057 |
2016 [Member] |
Member |
|
|
lyg:Performance2016Member |
| 3058 |
Defined benefit plans [axis] |
Axis |
|
|
ifrs-full:DefinedBenefitPlansAxis |
| 3059 |
Defined benefit plans [member] |
Member |
|
|
ifrs-full:DefinedBenefitPlansMember |
| 3060 |
Save-As-You-Earn [Member] |
Member |
|
|
lyg:SaveAsYouEarnMember |
| 3061 |
Lloyds Banking Group Executive Share Plan 2003 [Member] |
Member |
|
|
lyg:LloydsBankingGroupExecutiveSharePlan2003Member |
| 3062 |
Lloyds Banking Group Long-Term Incentive Plan [Member] |
Member |
|
|
lyg:LloydsBankingGroupLongTermIncentivePlanMember |
| 3063 |
Free Share Awards [Member] |
Member |
|
|
lyg:FreeShareAwardsMember |
| 3064 |
Matching Shares [Member] |
Member |
|
|
lyg:MatchingSharesMember |
| 3065 |
Range [axis] |
Axis |
|
|
ifrs-full:RangeAxis |
| 3066 |
Ranges [member] |
Member |
|
|
ifrs-full:RangesMember |
| 3067 |
Bottom of range [member] |
Member |
|
|
ifrs-full:BottomOfRangeMember |
| 3068 |
Top of range [member] |
Member |
|
|
ifrs-full:TopOfRangeMember |
| 3069 |
Types of share-based payment arrangements [axis] |
Axis |
|
|
ifrs-full:TypesOfSharebasedPaymentArrangementsAxis |
| 3070 |
Share-based payment arrangements [member] |
Member |
|
|
ifrs-full:SharebasedPaymentArrangementsMember |
| 3071 |
Fixed Share Awards [Member] |
Member |
|
|
lyg:FixedShareAwardsMember |
| 3072 |
SHARE-BASED PAYMENTS (Details) [Line Items] |
LineItems |
|
|
lyg:SHAREBASEDPAYMENTSDetailsLineItems |
| 3073 |
Maximum monthly scheme savings |
Concept (Monetary) |
For Period |
Credit |
lyg:MaximumMonthlySchemeSavings |
| 3074 |
Contract Term Under Share based Payment Arrangement |
Concept (xbrli:durationItemType) |
For Period |
|
lyg:ContractTermUnderShareBasedPaymentArrangement |
| 3075 |
Time period to use savings |
Concept (xbrli:durationItemType) |
For Period |
|
lyg:TimePeriodToUseSavings |
| 3076 |
Discounted market price of shares |
Concept (Percent) |
For Period |
|
lyg:DiscountedMarketPriceOfShares |
| 3077 |
Weighted average share price for share options in share-based payment arrangement exercised during period at date of exercise |
Concept (Monetary) |
For Period |
|
ifrs-full:WeightedAverageExercisePriceOfShareOptionsInSharebasedPaymentArrangementExercisedDuringPeriodAtDateOfExercise |
| 3078 |
Weighted average remaining contractual life of outstanding share options |
Concept (Decimal) |
As Of |
|
ifrs-full:WeightedAverageRemainingContractualLifeOfOutstandingShareOptions |
| 3079 |
Weighted average fair value at measurement date, share options granted |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:WeightedAverageFairValueAtMeasurementDateShareOptionsGranted |
| 3080 |
Awards Vesting Rate |
Concept (Percent) |
For Period |
|
lyg:AwardVestingRate |
| 3081 |
Maximum Employer Contribution To Free Shares Scheme |
Concept (Monetary) |
For Period |
Credit |
lyg:MaximumEmployerContributionToFreeSharesScheme |
| 3082 |
Employer Contribution To Free Shares Scheme |
Concept (Monetary) |
For Period |
|
lyg:EmployerContributionToFreeSharesScheme |
| 3083 |
Number of other equity instruments granted in share-based payment arrangement |
Concept (Decimal) |
For Period |
|
ifrs-full:NumberOfInstrumentsOtherEquityInstrumentsGranted |
| 3084 |
Weighted Average Fair Value At Date Of Award Of Shares Awarded To Employees Under Matching Shares Scheme |
Concept (Monetary) |
For Period |
|
lyg:WeightedAverageFairValueAtDateOfAwardOfSharesAwardedToEmployeesUnderMatchingSharesScheme |
| 3085 |
Maximum Employer Contribution To Matching Shares Scheme |
Concept (Monetary) |
For Period |
|
lyg:MaximumEmployerContributionToMatchingSharesScheme |
| 3086 |
251 - Disclosure - SHARE-BASED PAYMENTS (Details) - Schedule of Charges to the Income Statement |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofChargestotheIncomeStatementTable |
| 3087 |
SHARE-BASED PAYMENTS (Details) - Schedule of Charges to the Income Statement [Table] |
Table |
* |
* |
lyg:SHAREBASEDPAYMENTSDetailsScheduleofChargestotheIncomeStatementTable |
| 3088 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 3089 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 3090 |
Granted in current year [Member] |
Member |
|
|
lyg:GrantedInCurrentYearMember |
| 3091 |
Granted in prior years [Member] |
Member |
|
|
lyg:GrantedInPriorYearsMember |
| 3092 |
SHARE-BASED PAYMENTS (Details) - Schedule of Charges to the Income Statement [Line Items] |
LineItems |
|
|
lyg:SHAREBASEDPAYMENTSDetailsScheduleofChargestotheIncomeStatementLineItems |
| 3093 |
Deferred bonus plan |
Concept (Monetary) |
For Period |
Debit |
lyg:DeferredEmployeeBonusPlanExpense |
| 3094 |
Executive and SAYE plans: |
Abstract |
|
|
lyg:ExecutiveAndSayePlansAbstract |
| 3095 |
Executive and SAYE plans |
Concept (Monetary) |
For Period |
Debit |
lyg:ExecutiveandSAYEEmployeeSharePlansTotalExpense |
| 3096 |
Share plans: |
Abstract |
|
|
lyg:SharePlansAbstract |
| 3097 |
Share plans |
Concept (Monetary) |
For Period |
Debit |
lyg:OtherEmployeeSharePlansTotalExpense |
| 3098 |
Total charge to the income statement |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ExpenseFromSharebasedPaymentTransactionsWithEmployees |
| 3099 |
252 - Disclosure - SHARE-BASED PAYMENTS (Details) - Schedule of Share Options Outstanding |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofShareOptionsOutstandingTable |
| 3100 |
SHARE-BASED PAYMENTS (Details) - Schedule of Share Options Outstanding [Table] |
Table |
* |
* |
lyg:SHAREBASEDPAYMENTSDetailsScheduleofShareOptionsOutstandingTable |
| 3101 |
Investment Identifier Scheme [Axis] |
Axis |
|
|
invest:InvestmentIdentifierSchemeAxis |
| 3102 |
Investment Identifier Scheme [Domain] |
Member |
|
|
invest:InvestmentIdentifierSchemeDomain |
| 3103 |
Save-As-You-Earn [Member] |
Member |
|
|
lyg:SaveAsYouEarnMember |
| 3104 |
Lloyds Banking Group Executive Share Plan 2003 [Member] |
Member |
|
|
lyg:LloydsBankingGroupExecutiveSharePlan2003Member |
| 3105 |
Types of share-based payment arrangements [axis] |
Axis |
|
|
ifrs-full:TypesOfSharebasedPaymentArrangementsAxis |
| 3106 |
Share-based payment arrangements [member] |
Member |
|
|
ifrs-full:SharebasedPaymentArrangementsMember |
| 3107 |
Save-As-You-Earn [Member] |
Member |
|
|
lyg:SaveAsYouEarnMember |
| 3108 |
Lloyds Banking Group Executive Share Plan 2003 [Member] |
Member |
|
|
lyg:LloydsBankingGroupExecutiveSharePlan2003Member |
| 3109 |
SHARE-BASED PAYMENTS (Details) - Schedule of Share Options Outstanding [Line Items] |
LineItems |
|
|
lyg:SHAREBASEDPAYMENTSDetailsScheduleofShareOptionsOutstandingLineItems |
| 3110 |
Number of options outstanding, Start of Period |
Concept (Decimal) |
As Of |
|
ifrs-full:NumberOfOutstandingShareOptions |
| 3111 |
Weighted Average Exercise Price of options outstanding, Start of Period |
Concept (Monetary) |
As Of |
|
ifrs-full:WeightedAverageExercisePriceOfShareOptionsOutstandingInSharebasedPaymentArrangement |
| 3112 |
Number of options, Granted |
Concept (Decimal) |
For Period |
|
ifrs-full:NumberOfShareOptionsGrantedInSharebasedPaymentArrangement |
| 3113 |
Weighted Average Exercise Price, Granted |
Concept (Monetary) |
For Period |
|
ifrs-full:WeightedAverageExercisePriceOfShareOptionsGrantedInSharebasedPaymentArrangement |
| 3114 |
Number of options, Exercised |
Concept (Decimal) |
For Period |
|
ifrs-full:NumberOfShareOptionsExercisedInSharebasedPaymentArrangement |
| 3115 |
Weighted Average Exercise Price, Exercised |
Concept (Monetary) |
For Period |
|
ifrs-full:WeightedAverageExercisePriceOfShareOptionsExercisedInSharebasedPaymentArrangement |
| 3116 |
Number of options, Vested |
Concept (Decimal) |
For Period |
|
lyg:NumberOfShareOptionsVestededInSharebasedPaymentArrangement |
| 3117 |
Weighted Average Exercise Price, Vested |
Concept (Monetary) |
For Period |
|
ifrs-full:WeightedAverageExercisePriceOfShareOptionsInSharebasedPaymentArrangementExercisedDuringPeriodAtDateOfExercise |
| 3118 |
Number of options, Forfeited |
Concept (Decimal) |
For Period |
|
ifrs-full:NumberOfShareOptionsForfeitedInSharebasedPaymentArrangement |
| 3119 |
Weighted Average Exercise Price, Forfeited |
Concept (Monetary) |
For Period |
|
ifrs-full:WeightedAverageExercisePriceOfShareOptionsForfeitedInSharebasedPaymentArrangement |
| 3120 |
Number of options, Cancelled |
Concept (Decimal) |
For Period |
|
lyg:NumberOfShareOptionsCancelledInSharebasedPaymentArrangement |
| 3121 |
Weighted Average Exercise Price, Cancelled |
Concept (Monetary) |
For Period |
|
lyg:WeightedAverageExercisePriceOfShareOptionsCancelledInSharebasedPaymentArrangement |
| 3122 |
Number of options, Expired |
Concept (Decimal) |
For Period |
|
ifrs-full:NumberOfShareOptionsExpiredInSharebasedPaymentArrangement |
| 3123 |
Weighted Average Exercise Price, Expired |
Concept (Monetary) |
For Period |
|
ifrs-full:WeightedAverageExercisePriceOfShareOptionsExpiredInSharebasedPaymentArrangement |
| 3124 |
Number of options outstanding, End of Period |
Concept (Decimal) |
As Of |
|
ifrs-full:NumberOfOutstandingShareOptions |
| 3125 |
Weighted Average Exercise Price of options outstanding, End of Period |
Concept (Monetary) |
As Of |
|
ifrs-full:WeightedAverageExercisePriceOfShareOptionsOutstandingInSharebasedPaymentArrangement |
| 3126 |
Number of options exercisable, End of Period |
Concept (Decimal) |
As Of |
|
ifrs-full:NumberOfShareOptionsExercisableInSharebasedPaymentArrangement |
| 3127 |
Weighted Average Exercise Price of options exercisable, End of Period |
Concept (Monetary) |
As Of |
|
ifrs-full:WeightedAverageExercisePriceOfShareOptionsExercisableInSharebasedPaymentArrangement |
| 3128 |
253 - Disclosure - SHARE-BASED PAYMENTS (Details) - Schedule of Shares under the Executive Share Ownership Plan |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofSharesundertheExecutiveShareOwnershipPlanTable |
| 3129 |
SHARE-BASED PAYMENTS (Details) - Schedule of Shares under the Executive Share Ownership Plan [Table] |
Table |
* |
* |
lyg:SHAREBASEDPAYMENTSDetailsScheduleofSharesundertheExecutiveShareOwnershipPlanTable |
| 3130 |
Types of share-based payment arrangements [axis] |
Axis |
|
|
ifrs-full:TypesOfSharebasedPaymentArrangementsAxis |
| 3131 |
Share-based payment arrangements [member] |
Member |
|
|
ifrs-full:SharebasedPaymentArrangementsMember |
| 3132 |
Lloyds Banking Group Executive Share Plan 2003 [Member] |
Member |
|
|
lyg:LloydsBankingGroupExecutiveSharePlan2003Member |
| 3133 |
SHARE-BASED PAYMENTS (Details) - Schedule of Shares under the Executive Share Ownership Plan [Line Items] |
LineItems |
|
|
lyg:SHAREBASEDPAYMENTSDetailsScheduleofSharesundertheExecutiveShareOwnershipPlanLineItems |
| 3134 |
Outstanding, Period Start |
Concept (Decimal) |
As Of |
|
lyg:NumberOfSharesOutstandingExecutiveShareOwnershipPlan |
| 3135 |
Granted |
Concept (Decimal) |
For Period |
|
ifrs-full:NumberOfShareOptionsGrantedInSharebasedPaymentArrangement |
| 3136 |
Vested |
Concept (Decimal) |
For Period |
|
ifrs-full:NumberOfShareOptionsExercisedInSharebasedPaymentArrangement |
| 3137 |
Forfeited |
Concept (Decimal) |
For Period |
|
ifrs-full:NumberOfShareOptionsForfeitedInSharebasedPaymentArrangement |
| 3138 |
Dividend award |
Concept (Decimal) |
For Period |
|
lyg:NumberOfShareOptionsDividendAwardInSharebasedPaymentArrangement |
| 3139 |
Outstanding, Period End |
Concept (Decimal) |
As Of |
|
lyg:NumberOfSharesOutstandingExecutiveShareOwnershipPlan |
| 3140 |
254 - Disclosure - SHARE-BASED PAYMENTS (Details) - Schedule of Assumptions Used for Calculating Benefit Plans |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofAssumptionsUsedforCalculatingBenefitPlansTable |
| 3141 |
SHARE-BASED PAYMENTS (Details) - Schedule of Assumptions Used for Calculating Benefit Plans [Table] |
Table |
* |
* |
lyg:SHAREBASEDPAYMENTSDetailsScheduleofAssumptionsUsedforCalculatingBenefitPlansTable |
| 3142 |
Actuarial assumptions [axis] |
Axis |
|
|
ifrs-full:ActuarialAssumptionsAxis |
| 3143 |
Actuarial assumptions [member] |
Member |
|
|
ifrs-full:ActuarialAssumptionsMember |
| 3144 |
Save-as-you-earn [Member] |
Member |
|
|
lyg:SaveasyouearnMember |
| 3145 |
Executive share plan 2003 [Member] |
Member |
|
|
lyg:ExecutiveSharePlan2003Member |
| 3146 |
LTIP [Member] |
Member |
|
|
lyg:LTIPMember |
| 3147 |
SHARE-BASED PAYMENTS (Details) - Schedule of Assumptions Used for Calculating Benefit Plans [Line Items] |
LineItems |
|
|
lyg:SHAREBASEDPAYMENTSDetailsScheduleofAssumptionsUsedforCalculatingBenefitPlansLineItems |
| 3148 |
Weighted average risk-free interest rate |
Concept (Percent) |
For Period |
|
ifrs-full:DescriptionOfRiskFreeInterestRateShareOptionsGranted |
| 3149 |
Weighted average expected life |
Concept (xbrli:durationItemType) |
For Period |
|
lyg:WeightedAverageExpectedLife |
| 3150 |
Weighted average expected volatility |
Concept (Percent) |
For Period |
|
ifrs-full:DescriptionOfExpectedVolatilityShareOptionsGranted |
| 3151 |
Weighted average expected dividend yield |
Concept (Percent) |
For Period |
|
lyg:WeightedAverageExpectedDividendYield |
| 3152 |
Weighted average share price (in Pounds) |
Concept (Monetary) |
For Period |
|
ifrs-full:WeightedAverageSharePriceShareOptionsGranted |
| 3153 |
Weighted average exercise price (in Pounds) |
Concept (Monetary) |
For Period |
|
ifrs-full:WeightedAverageExercisePriceOfShareOptionsGrantedInSharebasedPaymentArrangement |
| 3154 |
255 - Disclosure - RELATED PARTY TRANSACTIONS (Details) - Key management personnel |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/RELATEDPARTYTRANSACTIONSDetailsKeymanagementpersonnel |
| 3155 |
RELATED PARTY TRANSACTIONS (Details) - Key management personnel [Table] |
Table |
* |
* |
lyg:RELATEDPARTYTRANSACTIONSDetailsKeymanagementpersonnelTable |
| 3156 |
Investment [Axis] |
Axis |
|
|
invest:InvestmentAxis |
| 3157 |
Investment [Domain] |
Member |
|
|
invest:InvestmentDomain |
| 3158 |
525110 Pension Funds [Member] |
Member |
|
|
naics:ZZ525110 |
| 3159 |
Range [axis] |
Axis |
|
|
ifrs-full:RangeAxis |
| 3160 |
Ranges [member] |
Member |
|
|
ifrs-full:RangesMember |
| 3161 |
Bottom of range [member] |
Member |
|
|
ifrs-full:BottomOfRangeMember |
| 3162 |
Top of range [member] |
Member |
|
|
ifrs-full:TopOfRangeMember |
| 3163 |
Categories of related parties [axis] |
Axis |
|
|
ifrs-full:CategoriesOfRelatedPartiesAxis |
| 3164 |
Entity's total for related parties [member] |
Member |
|
|
ifrs-full:EntitysTotalForRelatedPartiesMember |
| 3165 |
Key management personnel of entity or parent [member] |
Member |
|
|
ifrs-full:KeyManagementPersonnelOfEntityOrParentMember |
| 3166 |
Directors and connected persons [member] |
Member |
|
|
lyg:DirectorsAndConnectedPersonsMember |
| 3167 |
RELATED PARTY TRANSACTIONS (Details) - Key management personnel [Line Items] |
LineItems |
|
|
lyg:RELATEDPARTYTRANSACTIONSDetailsKeymanagementpersonnelLineItems |
| 3168 |
Payment for Pension Benefits |
Concept (Monetary) |
For Period |
Credit |
us-gaap:PensionContributions |
| 3169 |
Borrowings, interest rate |
Concept (Percent) |
As Of |
|
ifrs-full:BorrowingsInterestRate |
| 3170 |
Interest rate on deposits |
Concept (Percent) |
For Period |
|
lyg:InterestRateOnDeposits |
| 3171 |
Outstanding commitments made by entity, related party transactions |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OutstandingCommitmentsMadeByEntityRelatedPartyTransactions |
| 3172 |
Deposits from customers |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromCustomers |
| 3173 |
Contract liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ContractLiabilities |
| 3174 |
256 - Disclosure - RELATED PARTY TRANSACTIONS (Details) - Collective investment vehicles |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/RELATEDPARTYTRANSACTIONSDetailsCollectiveinvestmentvehicles |
| 3175 |
RELATED PARTY TRANSACTIONS (Details) - Collective investment vehicles [Table] |
Table |
* |
* |
lyg:RELATEDPARTYTRANSACTIONSDetailsCollectiveinvestmentvehiclesTable |
| 3176 |
Investment [Axis] |
Axis |
|
|
invest:InvestmentAxis |
| 3177 |
Investment [Domain] |
Member |
|
|
invest:InvestmentDomain |
| 3178 |
Consolidated [member] |
Member |
|
|
ifrs-full:ConsolidatedMember |
| 3179 |
Unconsolidated [member] |
Member |
|
|
lyg:UnconsolidatedMember |
| 3180 |
Investment Vehicles [Member] |
Member |
|
|
lyg:InvestmentVehiclesMember |
| 3181 |
RELATED PARTY TRANSACTIONS (Details) - Collective investment vehicles [Line Items] |
LineItems |
|
|
lyg:RELATEDPARTYTRANSACTIONSDetailsCollectiveinvestmentvehiclesLineItems |
| 3182 |
Number of investment vehicles |
Concept (Integer) |
For Period |
|
lyg:NumberOfInvestmentVehicles |
| 3183 |
Current investments |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CurrentInvestments |
| 3184 |
Money redeemed from disposal of unconsolidated OEICs |
Concept (Monetary) |
For Period |
|
lyg:MoneyRedeemedFromDisposalOfUnconsolidatedOEICs |
| 3185 |
Financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 3186 |
Financial assets, at fair value |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValue |
| 3187 |
Fee and commission income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:FeeAndCommissionIncome |
| 3188 |
257 - Disclosure - RELATED PARTY TRANSACTIONS (Details) - Joint ventures and associates |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/RELATEDPARTYTRANSACTIONSDetailsJointventuresandassociates |
| 3189 |
RELATED PARTY TRANSACTIONS (Details) - Joint ventures and associates [Table] |
Table |
* |
* |
lyg:RELATEDPARTYTRANSACTIONSDetailsJointventuresandassociatesTable |
| 3190 |
Investment [Axis] |
Axis |
|
|
invest:InvestmentAxis |
| 3191 |
Investment [Domain] |
Member |
|
|
invest:InvestmentDomain |
| 3192 |
Outstanding [Member] |
Member |
|
|
lyg:OutstandingMember |
| 3193 |
Associates [axis] |
Axis |
|
|
ifrs-full:SignificantInvestmentsInAssociatesAxis |
| 3194 |
Entity's total for associates [member] |
Member |
|
|
ifrs-full:EntitysTotalForAssociatesMember |
| 3195 |
Associates [member] |
Member |
|
|
ifrs-full:AssociatesMember |
| 3196 |
RELATED PARTY TRANSACTIONS (Details) - Joint ventures and associates [Line Items] |
LineItems |
|
|
lyg:RELATEDPARTYTRANSACTIONSDetailsJointventuresandassociatesLineItems |
| 3197 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 3198 |
Balances on term deposits from customers |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:BalancesOnTermDepositsFromCustomers |
| 3199 |
Assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:Assets |
| 3200 |
Liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Liabilities |
| 3201 |
Turnover |
Concept (Monetary) |
For Period |
Debit |
lyg:Turnover |
| 3202 |
Profit (loss) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLoss |
| 3203 |
Cash flows from (used in) financing activities |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CashFlowsFromUsedInFinancingActivities |
| 3204 |
Interest income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RevenueFromInterest |
| 3205 |
258 - Disclosure - RELATED PARTY TRANSACTIONS (Details) - Schedule of Compensation of Key Management Personnel |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofCompensationofKeyManagementPersonnelTable |
| 3206 |
Implied Table |
Table |
* |
* |
implied:Table |
| 3207 |
Schedule of Compensation of Key Management Personnel [Abstract] |
Abstract |
|
|
lyg:ScheduleOfCompensationOfKeyManagementPersonnelAbstract |
| 3208 |
Compensation |
Abstract |
|
|
lyg:CompensationAbstract |
| 3209 |
Salaries and other short-term benefits |
Concept (Monetary) |
For Period |
|
lyg:SalariesAndOtherShorttermBenefits |
| 3210 |
Share-based payments |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:KeyManagementPersonnelCompensationSharebasedPayment |
| 3211 |
Total compensation |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:KeyManagementPersonnelCompensation |
| 3212 |
259 - Disclosure - RELATED PARTY TRANSACTIONS (Details) - Aggregate contributions in respect of key management personnel to defined contribution pension schemes |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/AggregatecontributionsinrespectofkeymanagementpersonneltodefinedcontributionpensionschemesTable |
| 3213 |
RELATED PARTY TRANSACTIONS (Details) - Aggregate contributions in respect of key management personnel to defined contribution pension schemes [Table] |
Table |
* |
* |
lyg:RELATEDPARTYTRANSACTIONSDetailsAggregatecontributionsinrespectofkeymanagementpersonneltodefinedcontributionpensionschemesTable |
| 3214 |
Defined benefit plans [axis] |
Axis |
|
|
ifrs-full:DefinedBenefitPlansAxis |
| 3215 |
Defined benefit plans [member] |
Member |
|
|
ifrs-full:DefinedBenefitPlansMember |
| 3216 |
Share option plans [Member] |
Member |
|
|
lyg:ShareOptionPlansMember |
| 3217 |
Share plans [Member] |
Member |
|
|
lyg:SharePlansMember |
| 3218 |
Categories of related parties [axis] |
Axis |
|
|
ifrs-full:CategoriesOfRelatedPartiesAxis |
| 3219 |
Entity's total for related parties [member] |
Member |
|
|
ifrs-full:EntitysTotalForRelatedPartiesMember |
| 3220 |
Key management personnel of entity or parent [member] |
Member |
|
|
ifrs-full:KeyManagementPersonnelOfEntityOrParentMember |
| 3221 |
RELATED PARTY TRANSACTIONS (Details) - Aggregate contributions in respect of key management personnel to defined contribution pension schemes [Line Items] |
LineItems |
|
|
lyg:RELATEDPARTYTRANSACTIONSDetailsAggregatecontributionsinrespectofkeymanagementpersonneltodefinedcontributionpensionschemesLineItems |
| 3222 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
lyg:SharesIssuedToKeyManagementPersonnelOutstandingValue |
| 3223 |
Granted, including certain adjustments (includes entitlements of appointed key management personnel) |
Concept (Monetary) |
For Period |
Credit |
lyg:SharesIssuedToKeyManagementPersonnelGrantedValue |
| 3224 |
Exercised/lapsed (includes entitlements of former key management personnel) |
Concept (Monetary) |
For Period |
Credit |
lyg:SharesIssuedToKeyManagementPersonnelExercisedLapsedValue |
| 3225 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
lyg:SharesIssuedToKeyManagementPersonnelOutstandingValue |
| 3226 |
260 - Disclosure - RELATED PARTY TRANSACTIONS (Details) - Schedule of Loan Balances Outstanding |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofLoanBalancesOutstandingTable |
| 3227 |
RELATED PARTY TRANSACTIONS (Details) - Schedule of Loan Balances Outstanding [Table] |
Table |
* |
* |
lyg:RELATEDPARTYTRANSACTIONSDetailsScheduleofLoanBalancesOutstandingTable |
| 3228 |
Categories of related parties [axis] |
Axis |
|
|
ifrs-full:CategoriesOfRelatedPartiesAxis |
| 3229 |
Entity's total for related parties [member] |
Member |
|
|
ifrs-full:EntitysTotalForRelatedPartiesMember |
| 3230 |
Key management personnel of entity or parent [member] |
Member |
|
|
ifrs-full:KeyManagementPersonnelOfEntityOrParentMember |
| 3231 |
RELATED PARTY TRANSACTIONS (Details) - Schedule of Loan Balances Outstanding [Line Items] |
LineItems |
|
|
lyg:RELATEDPARTYTRANSACTIONSDetailsScheduleofLoanBalancesOutstandingLineItems |
| 3232 |
Loans |
Abstract |
|
|
lyg:LoansAbstract |
| 3233 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
lyg:LoansToKeyManagementPersonnel |
| 3234 |
Advanced (includes loans of appointed key management personnel) |
Concept (Monetary) |
For Period |
Credit |
lyg:LoansAdvancedIncludingLoansOfAppointedManagementPersonnel |
| 3235 |
Repayments (includes loans of former key management personnel) |
Concept (Monetary) |
For Period |
|
lyg:LoanRepaymentsIncludingLoansOfFormerKeyManagementPersonnel |
| 3236 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
lyg:LoansToKeyManagementPersonnel |
| 3237 |
261 - Disclosure - RELATED PARTY TRANSACTIONS (Details) - Schedule of Deposits |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofDepositsTable |
| 3238 |
RELATED PARTY TRANSACTIONS (Details) - Schedule of Deposits [Table] |
Table |
* |
* |
lyg:RELATEDPARTYTRANSACTIONSDetailsScheduleofDepositsTable |
| 3239 |
Categories of related parties [axis] |
Axis |
|
|
ifrs-full:CategoriesOfRelatedPartiesAxis |
| 3240 |
Entity's total for related parties [member] |
Member |
|
|
ifrs-full:EntitysTotalForRelatedPartiesMember |
| 3241 |
Key management personnel of entity or parent [member] |
Member |
|
|
ifrs-full:KeyManagementPersonnelOfEntityOrParentMember |
| 3242 |
RELATED PARTY TRANSACTIONS (Details) - Schedule of Deposits [Line Items] |
LineItems |
|
|
lyg:RELATEDPARTYTRANSACTIONSDetailsScheduleofDepositsLineItems |
| 3243 |
Deposits |
Abstract |
|
|
us-gaap:DepositsAbstract |
| 3244 |
Deposits |
Concept (Monetary) |
As Of |
Debit |
lyg:DepositsByKeyManagementPersonnel |
| 3245 |
Placed (includes deposits of appointed key management personnel) |
Concept (Monetary) |
For Period |
Credit |
lyg:DepositsPlacedIncludingDepositsOfAppointedKeyManagementPersonnel |
| 3246 |
Withdrawn (includes deposits of former key management personnel) |
Concept (Monetary) |
For Period |
Debit |
lyg:DepositsWithdrawnIncludingDepositsOfAppointedKeyManagementPersonnel |
| 3247 |
Deposits |
Concept (Monetary) |
As Of |
Debit |
lyg:DepositsByKeyManagementPersonnel |
| 3248 |
262 - Disclosure - CONTINGENT LIABILITIES AND COMMITMENTS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CONTINGENTLIABILITIESANDCOMMITMENTSDetails |
| 3249 |
CONTINGENT LIABILITIES AND COMMITMENTS (Details) [Table] |
Table |
* |
* |
lyg:CONTINGENTLIABILITIESANDCOMMITMENTSDetailsTable |
| 3250 |
Classes of Commitments [Axis] |
Axis |
|
|
lyg:ClassesOfCommitmentsAxis |
| 3251 |
ClassesOfCommitments [Domain] |
Member |
|
|
lyg:ClassesOfCommitmentsDomain |
| 3252 |
Irrevocable Loan Commitments [Member] |
Member |
|
|
lyg:IrrevocableLoanCommitmentsMember |
| 3253 |
Classes of contingent liabilities [axis] |
Axis |
|
|
ifrs-full:ClassesOfContingentLiabilitiesAxis |
| 3254 |
Contingent liabilities [member] |
Member |
|
|
ifrs-full:ContingentLiabilitiesMember |
| 3255 |
Legal proceedings contingent liability [member] |
Member |
|
|
ifrs-full:LegalProceedingsContingentLiabilityMember |
| 3256 |
CONTINGENT LIABILITIES AND COMMITMENTS (Details) [Line Items] |
LineItems |
|
|
lyg:CONTINGENTLIABILITIESANDCOMMITMENTSDetailsLineItems |
| 3257 |
Payments in respect of settlements, reimbursement rights |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:PaymentsInRespectOfSettlementsReimbursementRights |
| 3258 |
Increase (Decrease) In Current Tax Liability |
Concept (Monetary) |
For Period |
|
lyg:IncreaseDecreaseInCurrentTaxLiability |
| 3259 |
Increase (decrease) in deferred tax liability (asset) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseInDeferredTaxLiabilityAsset |
| 3260 |
Gross loan commitments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:GrossLoanCommitments |
| 3261 |
Capital commitments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:CapitalCommitments |
| 3262 |
Amounts Related To Assets To Be Leased Under Operating Leases Signage |
Concept (Monetary) |
For Period |
Credit |
lyg:AmountsRelatedToAssetsToBeLeasedUnderOperatingLeasesSignage |
| 3263 |
263 - Disclosure - CONTINGENT LIABILITIES AND COMMITMENTS (Details) - Schedule of Contingent Liabilities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofContingentLiabilitiesTable |
| 3264 |
CONTINGENT LIABILITIES AND COMMITMENTS (Details) - Schedule of Contingent Liabilities [Table] |
Table |
* |
* |
lyg:CONTINGENTLIABILITIESANDCOMMITMENTSDetailsScheduleofContingentLiabilitiesTable |
| 3265 |
Classes of contingent liabilities [axis] |
Axis |
|
|
ifrs-full:ClassesOfContingentLiabilitiesAxis |
| 3266 |
Contingent liabilities [member] |
Member |
|
|
ifrs-full:ContingentLiabilitiesMember |
| 3267 |
Acceptances and endorsements [Member] |
Member |
|
|
lyg:AcceptancesAndEndorsementsMember |
| 3268 |
Other items serving as direct credit subsitutes [Member] |
Member |
|
|
lyg:OtherItemsServingAsDirectCreditSubsitutesMember |
| 3269 |
Performance bonds and other transaction-related contingencies [Member] |
Member |
|
|
lyg:PerformanceBondsAndOtherTransactionrelatedContingenciesMember |
| 3270 |
Other contingent liabilities [member] |
Member |
|
|
ifrs-full:OtherContingentLiabilitiesMember |
| 3271 |
CONTINGENT LIABILITIES AND COMMITMENTS (Details) - Schedule of Contingent Liabilities [Line Items] |
LineItems |
|
|
lyg:CONTINGENTLIABILITIESANDCOMMITMENTSDetailsScheduleofContingentLiabilitiesLineItems |
| 3272 |
Contingent liabilities |
Abstract |
|
|
lyg:ContingentLiabilitiesAbstract |
| 3273 |
Contingent liabilities |
Concept (Monetary) |
As Of |
|
ifrs-full:EstimatedFinancialEffectOfContingentLiabilities |
| 3274 |
Other: |
Abstract |
|
|
lyg:OtherAbstract |
| 3275 |
264 - Disclosure - CONTINGENT LIABILITIES AND COMMITMENTS (Details) - Schedule of Commitments |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofCommitmentsTable |
| 3276 |
CONTINGENT LIABILITIES AND COMMITMENTS (Details) - Schedule of Commitments [Table] |
Table |
* |
* |
lyg:CONTINGENTLIABILITIESANDCOMMITMENTSDetailsScheduleofCommitmentsTable |
| 3277 |
Classes of Commitments [Axis] |
Axis |
|
|
lyg:ClassesOfCommitmentsAxis |
| 3278 |
ClassesOfCommitments [Domain] |
Member |
|
|
lyg:ClassesOfCommitmentsDomain |
| 3279 |
Documentary credits and other short-term trade-related transactions [member] |
Member |
|
|
lyg:DocumentaryCreditsAndOtherShorttermTraderelatedTransactionsMember |
| 3280 |
Forward asset purchases and forward deposits placed [member] |
Member |
|
|
lyg:ForwardAssetPurchasesAndForwardDepositsPlacedMember |
| 3281 |
Mortgages [member] |
Member |
|
|
ifrs-full:MortgagesMember |
| 3282 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 3283 |
Maturity [axis] |
Axis |
|
|
ifrs-full:MaturityAxis |
| 3284 |
Aggregated time bands [member] |
Member |
|
|
ifrs-full:AggregatedTimeBandsMember |
| 3285 |
Not later than one year [member] |
Member |
|
|
ifrs-full:NotLaterThanOneYearMember |
| 3286 |
Later than one year [member] |
Member |
|
|
ifrs-full:LaterThanOneYearMember |
| 3287 |
CONTINGENT LIABILITIES AND COMMITMENTS (Details) - Schedule of Commitments [Line Items] |
LineItems |
|
|
lyg:CONTINGENTLIABILITIESANDCOMMITMENTSDetailsScheduleofCommitmentsLineItems |
| 3288 |
Commitments and guarantees |
Abstract |
|
|
lyg:CommitmentsAndGuaranteesAbstract |
| 3289 |
Commitments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:GrossLoanCommitments |
| 3290 |
265 - Disclosure - CONTINGENT LIABILITIES AND COMMITMENTS (Details) - Schedule of Operating Lease Commitments |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofOperatingLeaseCommitmentsTable |
| 3291 |
CONTINGENT LIABILITIES AND COMMITMENTS (Details) - Schedule of Operating Lease Commitments [Table] |
Table |
* |
* |
lyg:CONTINGENTLIABILITIESANDCOMMITMENTSDetailsScheduleofOperatingLeaseCommitmentsTable |
| 3292 |
Maturity [axis] |
Axis |
|
|
ifrs-full:MaturityAxis |
| 3293 |
Aggregated time bands [member] |
Member |
|
|
ifrs-full:AggregatedTimeBandsMember |
| 3294 |
Not later than one year [member] |
Member |
|
|
ifrs-full:NotLaterThanOneYearMember |
| 3295 |
Later than one year and not later than five years [member] |
Member |
|
|
ifrs-full:LaterThanOneYearAndNotLaterThanFiveYearsMember |
| 3296 |
Later than five years [member] |
Member |
|
|
ifrs-full:LaterThanFiveYearsMember |
| 3297 |
CONTINGENT LIABILITIES AND COMMITMENTS (Details) - Schedule of Operating Lease Commitments [Line Items] |
LineItems |
|
|
lyg:CONTINGENTLIABILITIESANDCOMMITMENTSDetailsScheduleofOperatingLeaseCommitmentsLineItems |
| 3298 |
Operating lease commitments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:MinimumLeasePaymentsPayableUnderNoncancellableOperatingLease |
| 3299 |
266 - Disclosure - STRUCTURED ENTITIES (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/STRUCTUREDENTITIESDetails |
| 3300 |
STRUCTURED ENTITIES (Details) [Table] |
Table |
* |
* |
lyg:STRUCTUREDENTITIESDetailsTable |
| 3301 |
Asset backed conduit [Axis] |
Axis |
|
|
lyg:AssetBackedConduitAxis |
| 3302 |
AssetBackedConduit [Domain] |
Member |
|
|
lyg:AssetBackedConduitDomain |
| 3303 |
Cancara [Member] |
Member |
|
|
lyg:CancaraMember |
| 3304 |
STRUCTURED ENTITIES (Details) [Line Items] |
LineItems |
|
|
lyg:STRUCTUREDENTITIESDetailsLineItems |
| 3305 |
Financial assets pledged as collateral for liabilities or contingent liabilities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsPledgedAsCollateralForLiabilitiesOrContingentLiabilities |
| 3306 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 3307 |
Asset-backed debt instruments held |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:AssetbackedDebtInstrumentsHeld |
| 3308 |
Assets and liabilities held in consolidated collective investment vehicles |
Concept (Monetary) |
As Of |
Debit |
lyg:AssetsAndLiabilitiesHeldInConsolidatedCollectiveInvestmentVehicles |
| 3309 |
Assets and liabilities held in unconsolidated collective investment vehicles |
Concept (Monetary) |
As Of |
Debit |
lyg:AssetsAndLiabilitiesHeldInUnconsolidatedCollectiveInvestmentVehicles |
| 3310 |
Total Asset Value Of Unconsolidated Structured Entities |
Concept (Monetary) |
As Of |
|
lyg:TotalAssetValueOfUnconsolidatedStructuredEntities |
| 3311 |
267 - Disclosure - FINANCIAL INSTRUMENTS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALINSTRUMENTSDetails |
| 3312 |
FINANCIAL INSTRUMENTS (Details) [Table] |
Table |
* |
* |
lyg:FINANCIALINSTRUMENTSDetailsTable |
| 3313 |
Classes of financial instruments [axis] |
Axis |
|
|
ifrs-full:ClassesOfFinancialInstrumentsAxis |
| 3314 |
Financial instruments, class [member] |
Member |
|
|
ifrs-full:ClassesOfFinancialInstrumentsMember |
| 3315 |
CVA [Member] |
Member |
|
|
lyg:CVAMember |
| 3316 |
DVA [Member] |
Member |
|
|
lyg:DVAMember |
| 3317 |
Funding Valuation Adjustment [Member] |
Member |
|
|
lyg:FundingValuationAdjustmentMember |
| 3318 |
Residential Mortgage Backed Securities [Member] |
Member |
|
|
us-gaap:ResidentialMortgageBackedSecuritiesMember |
| 3319 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 3320 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 3321 |
Excluding Derivatives [Member] |
Member |
|
|
lyg:ExcludingDerivativesMember |
| 3322 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 3323 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 3324 |
Financial assets at fair value through profit or loss, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossCategoryMember |
| 3325 |
Range [axis] |
Axis |
|
|
ifrs-full:RangeAxis |
| 3326 |
Ranges [member] |
Member |
|
|
ifrs-full:RangesMember |
| 3327 |
Bottom of range [member] |
Member |
|
|
ifrs-full:BottomOfRangeMember |
| 3328 |
Top of range [member] |
Member |
|
|
ifrs-full:TopOfRangeMember |
| 3329 |
FINANCIAL INSTRUMENTS (Details) [Line Items] |
LineItems |
|
|
lyg:FINANCIALINSTRUMENTSDetailsLineItems |
| 3330 |
Financial assets, at fair value |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValue |
| 3331 |
Financial liabilities, at fair value |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValue |
| 3332 |
Debt instruments issued |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DebtSecurities |
| 3333 |
Adjustments for fair value losses (gains) |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForFairValueGainsLosses |
| 3334 |
Derivative financial assets, carried at fair value |
Concept (Monetary) |
As Of |
Debit |
lyg:DerivativeFinancialAssetsCarriedAtFairValue |
| 3335 |
Derivative financial liabilities carried at fair value |
Concept (Monetary) |
As Of |
Credit |
lyg:DerivativeFinancialLiabilitiesCarriedAtFairValue |
| 3336 |
Description of sensitivity of fair value measurement to changes in unobservable inputs, assets |
Concept (Text/String) |
For Period |
|
ifrs-full:DescriptionOfSensitivityOfFairValueMeasurementToChangesInUnobservableInputsAssets |
| 3337 |
Increase (decrease) in loss given default |
Concept (Percent) |
For Period |
|
lyg:IncreasedecreaseInLossGivenDefault |
| 3338 |
Increase (decrease) in valuation adjustment |
Concept (Monetary) |
For Period |
Debit |
lyg:IncreasedecreaseInValuationAdjustment |
| 3339 |
Increase (decrease) in credit default swap |
Concept (Percent) |
For Period |
|
lyg:IncreasedecreaseInCreditDefaultSwap |
| 3340 |
Debt Instrument, Interest Rate, Increase (Decrease) |
Concept (Percent) |
For Period |
|
us-gaap:DebtInstrumentInterestRateIncreaseDecrease |
| 3341 |
Increase (decrease) in cost of funds |
Concept (Percent) |
For Period |
|
lyg:IncreasedecreaseInCostOfFunds |
| 3342 |
Adjustments for gains (losses) on change in fair value of derivatives |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:AdjustmentsForGainsLossesOnChangeInFairValueOfDerivatives |
| 3343 |
Expected volatility, share options granted |
Concept (Percent) |
For Period |
|
ifrs-full:DescriptionOfExpectedVolatilityShareOptionsGranted |
| 3344 |
Debt Instrument, Term |
Concept (xbrli:durationItemType) |
For Period |
|
us-gaap:DebtInstrumentTerm |
| 3345 |
268 - Disclosure - FINANCIAL INSTRUMENTS (Details) - Schedule of Financial Assets and Liabilites |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofFinancialAssetsandLiabilitesTable |
| 3346 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Financial Assets and Liabilites [Table] |
Table |
* |
* |
lyg:FINANCIALINSTRUMENTSDetailsScheduleofFinancialAssetsandLiabilitesTable |
| 3347 |
Classes of financial instruments [axis] |
Axis |
|
|
ifrs-full:ClassesOfFinancialInstrumentsAxis |
| 3348 |
Financial instruments, class [member] |
Member |
|
|
ifrs-full:ClassesOfFinancialInstrumentsMember |
| 3349 |
Held at amortised cost [member] |
Member |
|
|
lyg:HeldAtAmortisedCostMember |
| 3350 |
Held for trading at fair value through profit or loss [member] |
Member |
|
|
lyg:HeldForTradingAtFairValueThroughProfitOrLossMember |
| 3351 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 3352 |
Derivatives designated as hedging instruments [member] |
Member |
|
|
lyg:DerivativesDesignatedAsHedgingInstrumentsMember |
| 3353 |
At fair value through other comprehensive income [member] |
Member |
|
|
lyg:AtFairValueThroughOtherComprehensiveIncomeMember |
| 3354 |
Available-for-sale Securities [Member] |
Member |
|
|
us-gaap:AvailableforsaleSecuritiesMember |
| 3355 |
Designated at fair value through profit or loss [member] |
Member |
|
|
lyg:DesignatedAtFairValueThroughProfitOrLossMember |
| 3356 |
Insurance contracts [member] |
Member |
|
|
ifrs-full:InsuranceContractsMember2017 |
| 3357 |
Financial Instrument [Axis] |
Axis |
|
|
us-gaap:FinancialInstrumentAxis |
| 3358 |
Financial Instruments [Domain] |
Member |
|
|
us-gaap:TransfersAndServicingOfFinancialInstrumentsTypesOfFinancialInstrumentsDomain |
| 3359 |
Mandatorily held at fair value through profit or loss [member] |
Member |
|
|
lyg:MandatorilyHeldAtFairValueThroughProfitOrLossMember |
| 3360 |
Designated at fair value through profit or loss [member] |
Member |
|
|
lyg:DesignatedAtFairValueThroughProfitOrLossMember |
| 3361 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 3362 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 3363 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 3364 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Financial Assets and Liabilites [Line Items] |
LineItems |
|
|
lyg:FINANCIALINSTRUMENTSDetailsScheduleofFinancialAssetsandLiabilitesLineItems |
| 3365 |
Financial assets |
Abstract |
|
|
lyg:FinancialAssetsAbstract |
| 3366 |
Cash and balances at central banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndBankBalancesAtCentralBanks |
| 3367 |
Items in the course of collection from banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:ItemsInCourseOfCollectionFromOtherBanks |
| 3368 |
Financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 3369 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 3370 |
Loans and advances to banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 3371 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 3372 |
Debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 3373 |
Financial assets at amortised cost |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtAmortisedCost |
| 3374 |
Financial assets at fair value through other comprehensive income |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
| 3375 |
Total financial assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssets |
| 3376 |
Financial liabilities |
Abstract |
|
|
lyg:FinancialLiabilitiesAbstract |
| 3377 |
Deposits from banks |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromBanks |
| 3378 |
Customer deposits |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromCustomers |
| 3379 |
Items in course of transmission to banks |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ItemsInCourseOfTransmissionToOtherBanks |
| 3380 |
Financial liabilities at fair value through profit or loss |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLoss |
| 3381 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DerivativeFinancialLiabilities |
| 3382 |
Notes in circulation |
Concept (Monetary) |
As Of |
Credit |
lyg:NotesInCirculation |
| 3383 |
Debt securities in issue |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DebtSecurities |
| 3384 |
Liabilities arising from insurance contracts and participating investment contracts |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilitiesArisingFromInsuranceContracts |
| 3385 |
Liabilities arising from non-participating investment contracts |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:InvestmentContractsLiabilities |
| 3386 |
Unallocated surplus within insurance businesses |
Concept (Monetary) |
As Of |
Credit |
lyg:UnallocatedSurplusWithinInsuranceBusinesses |
| 3387 |
Subordinated liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:SubordinatedLiabilities |
| 3388 |
Total financial liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilities |
| 3389 |
269 - Disclosure - FINANCIAL INSTRUMENTS (Details) - Schedule of Financial Assets Excluding Derivatives |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofFinancialAssetsExcludingDerivativesTable |
| 3390 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Financial Assets Excluding Derivatives [Table] |
Table |
* |
* |
lyg:FINANCIALINSTRUMENTSDetailsScheduleofFinancialAssetsExcludingDerivativesTable |
| 3391 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 3392 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 3393 |
Financial assets at fair value through profit or loss, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossCategoryMember |
| 3394 |
Financial assets at fair value through other comprehensive income, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncomeCategoryMember |
| 3395 |
Financial assets available-for-sale, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAvailableforsaleCategoryMember |
| 3396 |
Levels of fair value hierarchy [axis] |
Axis |
|
|
ifrs-full:LevelsOfFairValueHierarchyAxis |
| 3397 |
All levels of fair value hierarchy [member] |
Member |
|
|
ifrs-full:AllLevelsOfFairValueHierarchyMember |
| 3398 |
Level 2 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level2OfFairValueHierarchyMember |
| 3399 |
Level 3 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level3OfFairValueHierarchyMember |
| 3400 |
Level 1 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level1OfFairValueHierarchyMember |
| 3401 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Financial Assets Excluding Derivatives [Line Items] |
LineItems |
|
|
lyg:FINANCIALINSTRUMENTSDetailsScheduleofFinancialAssetsExcludingDerivativesLineItems |
| 3402 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 3403 |
Loans and advances to banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 3404 |
Debt securities: |
Abstract |
|
|
lyg:DebtSecuritiesAbstract000 |
| 3405 |
Government securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:GovernmentDebtInstrumentsHeld |
| 3406 |
Other public sector securities |
Concept (Monetary) |
As Of |
Debit |
lyg:OtherPublicSectorSecurities |
| 3407 |
Bank and building society certificates of deposit |
Concept (Monetary) |
As Of |
Debit |
lyg:BankAndBuildingSocietyCertificatesOfDeposit |
| 3408 |
Asset-backed securities: |
Abstract |
|
|
lyg:AssetBackedSecuritiesAbstract000 |
| 3409 |
Mortgage-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:BankDebtInstrumentsHeld |
| 3410 |
Other asset-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherDebtInstrumentsHeld |
| 3411 |
Corporate and other debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CorporateDebtInstrumentsHeld |
| 3412 |
debtinstrumentsheld |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 3413 |
Treasury and other bills |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:TreasuryShares |
| 3414 |
Equity shares |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:EquityInstrumentsHeld |
| 3415 |
Total available-for-sale financial assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAvailableforsale |
| 3416 |
Total trading and other financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossClassifiedAsHeldForTrading |
| 3417 |
Total financial assets at fair value through other comprehensive income |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
| 3418 |
Total financial assets carried at fair value, excluding derivatives |
Concept (Monetary) |
As Of |
Debit |
lyg:TotalFinancialAssetsCarriedAtFairValueExcludingDerivatives |
| 3419 |
Total financial assets carried at fair value |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 3420 |
270 - Disclosure - FINANCIAL INSTRUMENTS (Details) - Schedule of Movements in Level 3 Portfolio |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofMovementsinLevel3PortfolioTable |
| 3421 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Movements in Level 3 Portfolio [Table] |
Table |
* |
* |
lyg:FINANCIALINSTRUMENTSDetailsScheduleofMovementsinLevel3PortfolioTable |
| 3422 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 3423 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 3424 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 3425 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 3426 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 3427 |
Financial assets at fair value through profit or loss, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossCategoryMember |
| 3428 |
Financial assets available-for-sale, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAvailableforsaleCategoryMember |
| 3429 |
Financial Assets, Excluding Derivatives [Member] |
Member |
|
|
lyg:FinancialAssetsExcludingDerivativesMember |
| 3430 |
Financial assets at fair value through other comprehensive income, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncomeCategoryMember |
| 3431 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 3432 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 3433 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 3434 |
Increase (decrease) due to changes in accounting policy required by IFRSs [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToChangesInAccountingPolicyRequiredByIFRSsMember |
| 3435 |
Levels of fair value hierarchy [axis] |
Axis |
|
|
ifrs-full:LevelsOfFairValueHierarchyAxis |
| 3436 |
All levels of fair value hierarchy [member] |
Member |
|
|
ifrs-full:AllLevelsOfFairValueHierarchyMember |
| 3437 |
Level 3 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level3OfFairValueHierarchyMember |
| 3438 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Movements in Level 3 Portfolio [Line Items] |
LineItems |
|
|
lyg:FINANCIALINSTRUMENTSDetailsScheduleofMovementsinLevel3PortfolioLineItems |
| 3439 |
Beginning Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssets |
| 3440 |
Exchange and other adjustments |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseThroughForeignExchangeAndOtherMovementsFinancialAssets |
| 3441 |
Gains recognised in the income statement within other income |
Concept (Monetary) |
For Period |
|
ifrs-full:GainsLossesRecognisedInProfitOrLossFairValueMeasurementAssets |
| 3442 |
(Losses) gains recognised in other comprehensive income within the revaluation reserve in respect of financial assets at fair value through other comprehensive income (2017: available-for-sale financial assets) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:FairValueGainsLossesOnFinancialAssetsReclassifiedOutOfAvailableforsaleFinancialAssetsRecognisedInOtherComprehensiveIncome |
| 3443 |
Purchases/increases to customer loans |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:PurchasesFairValueMeasurementAssets |
| 3444 |
Sales |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:SalesFairValueMeasurementAssets |
| 3445 |
Transfers into the level 3 portfolio |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:TransfersIntoLevel3OfFairValueHierarchyAssets |
| 3446 |
Transfers out of the level 3 portfolio |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:TransfersOutOfLevel3OfFairValueHierarchyAssets |
| 3447 |
Ending Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssets |
| 3448 |
Gains (losses) recognised in the income statement, within other income, relating to the change in fair value of those assets held at 31 December |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxGainsLossesOnRevaluation |
| 3449 |
271 - Disclosure - FINANCIAL INSTRUMENTS (Details) - Schedule of Financial Liabilities Excluding Derivatives |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofFinancialLiabilitiesExcludingDerivativesTable |
| 3450 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Financial Liabilities Excluding Derivatives [Table] |
Table |
* |
* |
lyg:FINANCIALINSTRUMENTSDetailsScheduleofFinancialLiabilitiesExcludingDerivativesTable |
| 3451 |
Classes of financial liabilities [axis] |
Axis |
|
|
ifrs-full:ClassesOfFinancialLiabilitiesAxis |
| 3452 |
Financial liabilities, class [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesMember |
| 3453 |
Securities Sold under Agreements to Repurchase [Member] |
Member |
|
|
us-gaap:SecuritiesSoldUnderAgreementsToRepurchaseMember |
| 3454 |
Deposits [Member] |
Member |
|
|
us-gaap:DepositsMember |
| 3455 |
Short [Member] |
Member |
|
|
us-gaap:ShortMember |
| 3456 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 3457 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 3458 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 3459 |
Levels of fair value hierarchy [axis] |
Axis |
|
|
ifrs-full:LevelsOfFairValueHierarchyAxis |
| 3460 |
All levels of fair value hierarchy [member] |
Member |
|
|
ifrs-full:AllLevelsOfFairValueHierarchyMember |
| 3461 |
Level 1 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level1OfFairValueHierarchyMember |
| 3462 |
Level 2 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level2OfFairValueHierarchyMember |
| 3463 |
Level 3 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level3OfFairValueHierarchyMember |
| 3464 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Financial Liabilities Excluding Derivatives [Line Items] |
LineItems |
|
|
lyg:FINANCIALINSTRUMENTSDetailsScheduleofFinancialLiabilitiesExcludingDerivativesLineItems |
| 3465 |
Liabilities held at fair value through profit or loss |
Concept (Monetary) |
As Of |
Credit |
lyg:FinancialLiabilitiesAtFairValueThroughProfitOrLossNotClassifiedAsHeldForTrading |
| 3466 |
Trading liabilities: |
Abstract |
|
|
lyg:TradingLiabilitiesAbstract00 |
| 3467 |
Trading liabilities: |
Abstract |
|
|
lyg:TradingLiabilitiesAbstract0 |
| 3468 |
Trading Liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLossClassifiedAsHeldForTrading |
| 3469 |
Total financial liabilities carried at fair value, excluding derivatives |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLoss |
| 3470 |
272 - Disclosure - FINANCIAL INSTRUMENTS (Details) - Schedule of Movement in Level 3 Financial Liabilities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofMovementinLevel3FinancialLiabilitiesTable |
| 3471 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Movement in Level 3 Financial Liabilities [Table] |
Table |
* |
* |
lyg:FINANCIALINSTRUMENTSDetailsScheduleofMovementinLevel3FinancialLiabilitiesTable |
| 3472 |
Categories of financial liabilities [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialLiabilitiesAxis |
| 3473 |
Financial liabilities, category [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesCategoryMember |
| 3474 |
Excluding Derivatives [Member] |
Member |
|
|
lyg:ExcludingDerivativesMember |
| 3475 |
Levels of fair value hierarchy [axis] |
Axis |
|
|
ifrs-full:LevelsOfFairValueHierarchyAxis |
| 3476 |
All levels of fair value hierarchy [member] |
Member |
|
|
ifrs-full:AllLevelsOfFairValueHierarchyMember |
| 3477 |
Level 3 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level3OfFairValueHierarchyMember |
| 3478 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Movement in Level 3 Financial Liabilities [Line Items] |
LineItems |
|
|
lyg:FINANCIALINSTRUMENTSDetailsScheduleofMovementinLevel3FinancialLiabilitiesLineItems |
| 3479 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilities |
| 3480 |
Losses (gains) recognised in the income statement within other income |
Concept (Monetary) |
For Period |
|
ifrs-full:GainsLossesRecognisedInOtherComprehensiveIncomeFairValueMeasurementAssets |
| 3481 |
Transfers into the level 3 portfolio |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:TransfersIntoLevel3OfFairValueHierarchyAssets |
| 3482 |
End Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilities |
| 3483 |
273 - Disclosure - FINANCIAL INSTRUMENTS (Details) - Schedule of Derivatives |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofDerivativesTable |
| 3484 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Derivatives [Table] |
Table |
* |
* |
lyg:FINANCIALINSTRUMENTSDetailsScheduleofDerivativesTable |
| 3485 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 3486 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 3487 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 3488 |
Levels of fair value hierarchy [axis] |
Axis |
|
|
ifrs-full:LevelsOfFairValueHierarchyAxis |
| 3489 |
All levels of fair value hierarchy [member] |
Member |
|
|
ifrs-full:AllLevelsOfFairValueHierarchyMember |
| 3490 |
Level 1 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level1OfFairValueHierarchyMember |
| 3491 |
Level 2 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level2OfFairValueHierarchyMember |
| 3492 |
Level 3 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level3OfFairValueHierarchyMember |
| 3493 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Derivatives [Line Items] |
LineItems |
|
|
lyg:FINANCIALINSTRUMENTSDetailsScheduleofDerivativesLineItems |
| 3494 |
Derivative assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 3495 |
Derivative liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DerivativeFinancialLiabilities |
| 3496 |
274 - Disclosure - FINANCIAL INSTRUMENTS (Details) - Schedule of Level 3 Derivative Assets and Liabilities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofLevel3DerivativeAssetsandLiabilitiesTable |
| 3497 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Level 3 Derivative Assets and Liabilities [Table] |
Table |
* |
* |
lyg:FINANCIALINSTRUMENTSDetailsScheduleofLevel3DerivativeAssetsandLiabilitiesTable |
| 3498 |
Derivative Instrument [Axis] |
Axis |
|
|
us-gaap:DerivativeInstrumentRiskAxis |
| 3499 |
Derivative Contract [Domain] |
Member |
|
|
us-gaap:DerivativeContractTypeDomain |
| 3500 |
Derivative assets [Member] |
Member |
|
|
lyg:DerivativeAssetsMember |
| 3501 |
Derivative liabilities [Member] |
Member |
|
|
lyg:DerivativeLiabilitiesMember |
| 3502 |
Income Statement Location [Axis] |
Axis |
|
|
us-gaap:IncomeStatementLocationAxis |
| 3503 |
Income Statement Location [Domain] |
Member |
|
|
us-gaap:IncomeStatementLocationDomain |
| 3504 |
Other Income [Member] |
Member |
|
|
us-gaap:OtherIncomeMember |
| 3505 |
Levels of fair value hierarchy [axis] |
Axis |
|
|
ifrs-full:LevelsOfFairValueHierarchyAxis |
| 3506 |
All levels of fair value hierarchy [member] |
Member |
|
|
ifrs-full:AllLevelsOfFairValueHierarchyMember |
| 3507 |
Level 3 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level3OfFairValueHierarchyMember |
| 3508 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Level 3 Derivative Assets and Liabilities [Line Items] |
LineItems |
|
|
lyg:FINANCIALINSTRUMENTSDetailsScheduleofLevel3DerivativeAssetsandLiabilitiesLineItems |
| 3509 |
Beginning Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 3510 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DerivativeFinancialLiabilities |
| 3511 |
Exchange and other adjustments |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseThroughForeignExchangeAndOtherMovementsFinancialAssets |
| 3512 |
Exchange and other adjustments |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:OtherAdjustmentsToReconcileProfitLoss |
| 3513 |
Losses (gains) recognised in the income statement within other income |
Concept (Monetary) |
For Period |
|
ifrs-full:GainsLossesRecognisedInProfitOrLossFairValueMeasurementAssets |
| 3514 |
Losses (gains) recognised in the income statement within other income |
Concept (Monetary) |
For Period |
|
ifrs-full:GainsLossesRecognisedInProfitOrLossFairValueMeasurementLiabilities |
| 3515 |
Purchases (additions) |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:PurchasesFairValueMeasurementAssets |
| 3516 |
Purchases (additions) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:PurchasesFairValueMeasurementLiabilities |
| 3517 |
(Sales) redemptions |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:SalesFairValueMeasurementAssets |
| 3518 |
(Sales) redemptions |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:SalesFairValueMeasurementLiabilities |
| 3519 |
Transfers into the level 3 portfolio |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:TransfersIntoLevel3OfFairValueHierarchyAssets |
| 3520 |
Transfers into the level 3 portfolio |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:TransfersIntoLevel3OfFairValueHierarchyLiabilities |
| 3521 |
Transfers out of the level 3 portfolio |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:TransfersOutOfLevel3OfFairValueHierarchyAssets |
| 3522 |
Ending Balance |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 3523 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DerivativeFinancialLiabilities |
| 3524 |
275 - Disclosure - FINANCIAL INSTRUMENTS (Details) - Schedule of Valuation Adjustment Movements |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofValuationAdjustmentMovementsTable |
| 3525 |
Implied Table |
Table |
* |
* |
implied:Table |
| 3526 |
Schedule of Valuation Adjustment Movements [Abstract] |
Abstract |
|
|
lyg:ScheduleOfValuationAdjustmentMovementsAbstract |
| 3527 |
At 1 January |
Concept (Monetary) |
As Of |
Credit |
lyg:TotalDerivativeValuationAdjustment |
| 3528 |
Income statement charge (credit) |
Concept (Monetary) |
For Period |
Debit |
lyg:TotalDerivativeValuationAdjustmentIncomeStatementChargecredit |
| 3529 |
Transfers |
Concept (Monetary) |
As Of |
Credit |
lyg:TotalDerivativeValuationAdjustmentTransfers |
| 3530 |
At 31 December |
Concept (Monetary) |
As Of |
Credit |
lyg:TotalDerivativeValuationAdjustment |
| 3531 |
276 - Disclosure - FINANCIAL INSTRUMENTS (Details) - Schedule of Valuation Adjustments |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofValuationAdjustmentsTable |
| 3532 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Valuation Adjustments [Table] |
Table |
* |
* |
lyg:FINANCIALINSTRUMENTSDetailsScheduleofValuationAdjustmentsTable |
| 3533 |
Valuation Adjustment [Axis] |
Axis |
|
|
lyg:ValuationAdjustmentAxis |
| 3534 |
ValuationAdjustment [Domain] |
Member |
|
|
lyg:ValuationAdjustmentDomain |
| 3535 |
Credit Valuation Adjustment [Member] |
Member |
|
|
lyg:CreditValuationAdjustmentMember |
| 3536 |
Debit Valuation Adjustment [Member] |
Member |
|
|
lyg:DebitValuationAdjustmentMember |
| 3537 |
Funding Valuation Adjustment [Member] |
Member |
|
|
lyg:FundingValuationAdjustmentMember |
| 3538 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Valuation Adjustments [Line Items] |
LineItems |
|
|
lyg:FINANCIALINSTRUMENTSDetailsScheduleofValuationAdjustmentsLineItems |
| 3539 |
Valuation Adjustment |
Concept (Monetary) |
As Of |
Credit |
lyg:TotalDerivativeValuationAdjustment |
| 3540 |
277 - Disclosure - FINANCIAL INSTRUMENTS (Details) - Schedule of Sensitivity of Level 3 Valuations |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofSensitivityofLevel3ValuationsTable |
| 3541 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Sensitivity of Level 3 Valuations [Table] |
Table |
* |
* |
lyg:FINANCIALINSTRUMENTSDetailsScheduleofSensitivityofLevel3ValuationsTable |
| 3542 |
Valuation 3 [Axis] |
Axis |
|
|
lyg:Valuation3Axis |
| 3543 |
Valuation3 [Domain] |
Member |
|
|
lyg:Valuation3Domain |
| 3544 |
Discounted cash flow [member] |
Member |
|
|
ifrs-full:DiscountedCashFlowMember |
| 3545 |
Consensus pricing [member] |
Member |
|
|
ifrs-full:ConsensusPricingMember |
| 3546 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 3547 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 3548 |
Financial assets at fair value through profit or loss, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossCategoryMember |
| 3549 |
Financial assets available-for-sale, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAvailableforsaleCategoryMember |
| 3550 |
Derivative assets [Member] |
Member |
|
|
lyg:DerivativeAssetsMember |
| 3551 |
Categories of financial liabilities [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialLiabilitiesAxis |
| 3552 |
Financial liabilities, category [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesCategoryMember |
| 3553 |
Financial liabilities at fair value through profit or loss, category [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLossCategoryMember |
| 3554 |
Derivative liabilities [Member] |
Member |
|
|
lyg:DerivativeLiabilitiesMember |
| 3555 |
Levels of fair value hierarchy [axis] |
Axis |
|
|
ifrs-full:LevelsOfFairValueHierarchyAxis |
| 3556 |
All levels of fair value hierarchy [member] |
Member |
|
|
ifrs-full:AllLevelsOfFairValueHierarchyMember |
| 3557 |
Level 3 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level3OfFairValueHierarchyMember |
| 3558 |
Classes of financial liabilities [axis] |
Axis |
|
|
ifrs-full:ClassesOfFinancialLiabilitiesAxis |
| 3559 |
Financial liabilities, class [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesMember |
| 3560 |
Financial liabilities at fair value, class [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesAtFairValueMember |
| 3561 |
Effect of reasonably possible alternative assumptions [Axis] |
Axis |
|
|
lyg:EffectOfReasonablyPossibleAlternativeAssumptionsAxis |
| 3562 |
EffectOfReasonablyPossibleAlternativeAssumptions [Domain] |
Member |
|
|
lyg:EffectOfReasonablyPossibleAlternativeAssumptionsDomain |
| 3563 |
Favourable changes [Member] |
Member |
|
|
lyg:FavourableChangesMember |
| 3564 |
Unfavourable changes [Member] |
Member |
|
|
lyg:UnfavourableChangesMember |
| 3565 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 3566 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 3567 |
Gross carrying amount [member] |
Member |
|
|
ifrs-full:GrossCarryingAmountMember |
| 3568 |
Significant unobservable inputs [Axis] |
Axis |
|
|
lyg:SignificantUnobservableInputsAxis |
| 3569 |
SignificantUnobservableInputs [Domain] |
Member |
|
|
lyg:SignificantUnobservableInputsDomain |
| 3570 |
Credit spreads [Member] |
Member |
|
|
lyg:CreditSpreadsMember |
| 3571 |
Earnings multiple [Member] |
Member |
|
|
lyg:EarningsMultipleMember |
| 3572 |
Interest rate volatility [Member] |
Member |
|
|
lyg:InterestRateVolatilityMember |
| 3573 |
Classes of financial assets [axis] |
Axis |
|
|
ifrs-full:ClassesOfFinancialAssetsAxis |
| 3574 |
Financial assets, class [member] |
Member |
|
|
ifrs-full:FinancialAssetsMember |
| 3575 |
Financial assets at fair value, class [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtFairValueMember |
| 3576 |
Valuation 2 [Axis] |
Axis |
|
|
lyg:Valuation2Axis |
| 3577 |
Valuation2 [Domain] |
Member |
|
|
lyg:Valuation2Domain |
| 3578 |
Broker quotes [Member] |
Member |
|
|
lyg:BrokerQuotesMember |
| 3579 |
Type of valuation [Axis] |
Axis |
|
|
lyg:TypeOfValuationAxis |
| 3580 |
TypeOfValuation [Domain] |
Member |
|
|
lyg:TypeOfValuationDomain |
| 3581 |
Discounted cash flow [member] |
Member |
|
|
ifrs-full:DiscountedCashFlowMember |
| 3582 |
Market approach [member] |
Member |
|
|
ifrs-full:MarketApproachMember |
| 3583 |
Underlying asset/net asset value (incl. property prices) [Member] |
Member |
|
|
lyg:UnderlyingAssetnetAssetValueinclPropertyPricesMember |
| 3584 |
Lead manager [Member] |
Member |
|
|
lyg:LeadManagerMember |
| 3585 |
Option pricing model [member] |
Member |
|
|
ifrs-full:OptionPricingModelMember |
| 3586 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Sensitivity of Level 3 Valuations [Line Items] |
LineItems |
|
|
lyg:FINANCIALINSTRUMENTSDetailsScheduleofSensitivityofLevel3ValuationsLineItems |
| 3587 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 3588 |
Debt securities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DebtSecurities |
| 3589 |
Asset-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:AssetbackedDebtInstrumentsHeld |
| 3590 |
Equity and venture capital investments |
Concept (Monetary) |
As Of |
Debit |
lyg:EquityAndVentureCapitalInvestments |
| 3591 |
|
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAvailableforsale |
| 3592 |
Unlisted equities and debt securities, property partnerships in the life funds |
Concept (Monetary) |
As Of |
Debit |
lyg:UnlistedEquitiesAndDebtSecuritiesPropertyPartnershipsInTheLifeFunds |
| 3593 |
|
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 3594 |
Interest rate derivatives |
Concept (Monetary) |
As Of |
Debit |
lyg:InterestRateDerivatives |
| 3595 |
|
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DerivativeFinancialLiabilities |
| 3596 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 3597 |
Level 3 financial assets carried at fair value |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValue |
| 3598 |
Trading and other financial liabilities at fair value through profit or loss |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLoss |
| 3599 |
Level 3 financial liabilities carried at fair value |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValue |
| 3600 |
278 - Disclosure - FINANCIAL INSTRUMENTS (Details) - Schedule of Valuation Hierarchy for Financial Assets |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofValuationHierarchyforFinancialAssetsTable |
| 3601 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Valuation Hierarchy for Financial Assets [Table] |
Table |
* |
* |
lyg:FINANCIALINSTRUMENTSDetailsScheduleofValuationHierarchyforFinancialAssetsTable |
| 3602 |
Impairment of financial assets [axis] |
Axis |
|
|
ifrs-full:ImpairmentOfFinancialAssetsAxis |
| 3603 |
Entity's total for impairment of financial assets [member] |
Member |
|
|
ifrs-full:EntitysTotalForImpairmentOfFinancialAssetsMember |
| 3604 |
Unimpaired [Member] |
Member |
|
|
lyg:UnimpairedMember |
| 3605 |
Financial assets impaired [member] |
Member |
|
|
ifrs-full:FinancialAssetsImpairedMember |
| 3606 |
Loan Stage [Axis] |
Axis |
|
|
lyg:LoanStageAxis |
| 3607 |
LoanStage [Domain] |
Member |
|
|
lyg:LoanStageDomain |
| 3608 |
Stage 1 [member] |
Member |
|
|
lyg:Stage1Member |
| 3609 |
Stage 2 [member] |
Member |
|
|
lyg:Stage2Member |
| 3610 |
Stage 3 [member] |
Member |
|
|
lyg:Stage3Member |
| 3611 |
Measurement [axis] |
Axis |
|
|
ifrs-full:MeasurementAxis |
| 3612 |
Aggregated measurement [member] |
Member |
|
|
ifrs-full:AggregatedMeasurementMember |
| 3613 |
Gross carrying amount [member] |
Member |
|
|
ifrs-full:GrossCarryingAmountMember |
| 3614 |
At fair value [member] |
Member |
|
|
ifrs-full:AtFairValueMember |
| 3615 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 3616 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 3617 |
Purchased or originated credit-impaired [member] |
Member |
|
|
lyg:PurchasedOrOriginatedCreditimpairedMember |
| 3618 |
Reverse Repurchase Agreement [Member] |
Member |
|
|
lyg:ReverseRepurchaseAgreementMember |
| 3619 |
Levels of fair value hierarchy [axis] |
Axis |
|
|
ifrs-full:LevelsOfFairValueHierarchyAxis |
| 3620 |
All levels of fair value hierarchy [member] |
Member |
|
|
ifrs-full:AllLevelsOfFairValueHierarchyMember |
| 3621 |
Level 2 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level2OfFairValueHierarchyMember |
| 3622 |
Level 3 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level3OfFairValueHierarchyMember |
| 3623 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Valuation Hierarchy for Financial Assets [Line Items] |
LineItems |
|
|
lyg:FINANCIALINSTRUMENTSDetailsScheduleofValuationHierarchyforFinancialAssetsLineItems |
| 3624 |
Financial assets at amortised cost: |
Abstract |
|
|
lyg:FinancialAssetsAtAmortisedCostAbstract |
| 3625 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 3626 |
Loans and advances to banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 3627 |
Debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 3628 |
279 - Disclosure - FINANCIAL INSTRUMENTS (Details) - Schedule of Valuation Hierarchy for Financial Liabilities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofValuationHierarchyforFinancialLiabilitiesTable |
| 3629 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Valuation Hierarchy for Financial Liabilities [Table] |
Table |
* |
* |
lyg:FINANCIALINSTRUMENTSDetailsScheduleofValuationHierarchyforFinancialLiabilitiesTable |
| 3630 |
Measurement [axis] |
Axis |
|
|
ifrs-full:MeasurementAxis |
| 3631 |
Aggregated measurement [member] |
Member |
|
|
ifrs-full:AggregatedMeasurementMember |
| 3632 |
Gross carrying amount [member] |
Member |
|
|
ifrs-full:GrossCarryingAmountMember |
| 3633 |
At fair value [member] |
Member |
|
|
ifrs-full:AtFairValueMember |
| 3634 |
Levels of fair value hierarchy [axis] |
Axis |
|
|
ifrs-full:LevelsOfFairValueHierarchyAxis |
| 3635 |
All levels of fair value hierarchy [member] |
Member |
|
|
ifrs-full:AllLevelsOfFairValueHierarchyMember |
| 3636 |
Level 2 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level2OfFairValueHierarchyMember |
| 3637 |
Level 3 of fair value hierarchy [member] |
Member |
|
|
ifrs-full:Level3OfFairValueHierarchyMember |
| 3638 |
Events of reclassification of financial assets [axis] |
Axis |
|
|
ifrs-full:EventsOfReclassificationOfFinancialAssetsAxis |
| 3639 |
Events of reclassification of financial assets [member] |
Member |
|
|
ifrs-full:EventsOfReclassificationOfFinancialAssetsMember |
| 3640 |
Repurchase Agreement [Member] |
Member |
|
|
lyg:RepurchaseAgreementMember |
| 3641 |
FINANCIAL INSTRUMENTS (Details) - Schedule of Valuation Hierarchy for Financial Liabilities [Line Items] |
LineItems |
|
|
lyg:FINANCIALINSTRUMENTSDetailsScheduleofValuationHierarchyforFinancialLiabilitiesLineItems |
| 3642 |
Deposits from banks |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromBanks |
| 3643 |
Customer deposits |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromCustomers |
| 3644 |
Debt securities in issue |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DebtSecurities |
| 3645 |
Subordinated liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:SubordinatedLiabilities |
| 3646 |
280 - Disclosure - TRANSFERS OF FINANCIAL ASSETS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/TRANSFERSOFFINANCIALASSETSDetails |
| 3647 |
TRANSFERS OF FINANCIAL ASSETS (Details) [Table] |
Table |
* |
* |
lyg:TRANSFERSOFFINANCIALASSETSDetailsTable |
| 3648 |
Continuing involvement in derecognised financial assets by type of transfer [axis] |
Axis |
|
|
ifrs-full:ContinuingInvolvementInDerecognisedFinancialAssetsByTypeOfTransferAxis |
| 3649 |
Types of transfer [member] |
Member |
|
|
ifrs-full:TypesOfTransferMember |
| 3650 |
Securitisations [member] |
Member |
|
|
ifrs-full:SecuritisationsMember |
| 3651 |
TRANSFERS OF FINANCIAL ASSETS (Details) [Line Items] |
LineItems |
|
|
lyg:TRANSFERSOFFINANCIALASSETSDetailsLineItems |
| 3652 |
Fair value of associated financial liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FairValueOfAssociatedFinancialLiabilities |
| 3653 |
Notes and debentures issued |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:NotesAndDebenturesIssued |
| 3654 |
281 - Disclosure - TRANSFERS OF FINANCIAL ASSETS (Details) - Schedule of Transfered Assets and Liabilities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofTransferedAssetsandLiabilitiesTable |
| 3655 |
TRANSFERS OF FINANCIAL ASSETS (Details) - Schedule of Transfered Assets and Liabilities [Table] |
Table |
* |
* |
lyg:TRANSFERSOFFINANCIALASSETSDetailsScheduleofTransferedAssetsandLiabilitiesTable |
| 3656 |
Type of program [Axis] |
Axis |
|
|
lyg:TypeOfProgramAxis |
| 3657 |
TypeOfProgram [Domain] |
Member |
|
|
lyg:TypeOfProgramDomain |
| 3658 |
Repurchase agreement & stock lending [Member] |
Member |
|
|
lyg:RepurchaseAgreementStockLendingMember |
| 3659 |
Securitisation programme [Member] |
Member |
|
|
lyg:SecuritisationProgrammeMember |
| 3660 |
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [axis] |
Axis |
|
|
ifrs-full:CarryingAmountAccumulatedDepreciationAmortisationAndImpairmentAndGrossCarryingAmountAxis |
| 3661 |
Carrying amount [member] |
Member |
|
|
ifrs-full:CarryingAmountMember |
| 3662 |
Carrying value of transferred assets [Member] |
Member |
|
|
lyg:CarryingValueOfTransferredAssetsMember |
| 3663 |
Carrying value of associated liabilities [Member] |
Member |
|
|
lyg:CarryingValueOfAssociatedLiabilitiesMember |
| 3664 |
TRANSFERS OF FINANCIAL ASSETS (Details) - Schedule of Transfered Assets and Liabilities [Line Items] |
LineItems |
|
|
lyg:TRANSFERSOFFINANCIALASSETSDetailsScheduleofTransferedAssetsandLiabilitiesLineItems |
| 3665 |
Financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 3666 |
Financial assets at fair value through other comprehensive income (2017: available-for-sale financial assets) |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
| 3667 |
Financial assets at amortised cost: |
Abstract |
|
|
lyg:FinancialAssetsAtAmortisedCostAbstract00 |
| 3668 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 3669 |
282 - Disclosure - OFFSETTING OF FINANCIAL ASSETS AND LIABILITIES (Details) - Schedule of Offsetting of Financial Assets and Liabilities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofOffsettingofFinancialAssetsandLiabilitiesTable |
| 3670 |
OFFSETTING OF FINANCIAL ASSETS AND LIABILITIES (Details) - Schedule of Offsetting of Financial Assets and Liabilities [Table] |
Table |
* |
* |
lyg:OFFSETTINGOFFINANCIALASSETSANDLIABILITIESDetailsScheduleofOffsettingofFinancialAssetsandLiabilitiesTable |
| 3671 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 3672 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 3673 |
Gross assets and liabilities [Member] |
Member |
|
|
lyg:GrossAssetsAndLiabilitiesMember |
| 3674 |
Net amounts presented in the balance sheet [Member] |
Member |
|
|
lyg:NetAmountsPresentedInTheBalanceSheetMember |
| 3675 |
Non-cash collateral received/pledged [Member] |
Member |
|
|
lyg:NoncashCollateralReceivedpledgedMember |
| 3676 |
Potential net amounts if offset of related amounts permitted [Member] |
Member |
|
|
lyg:PotentialNetAmountsIfOffsetOfRelatedAmountsPermittedMember |
| 3677 |
Offset [Member] |
Member |
|
|
lyg:OffsetMember |
| 3678 |
Cash collateral received/pledged [Member] |
Member |
|
|
lyg:CashCollateralReceivedpledgedMember |
| 3679 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 3680 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 3681 |
Financial assets at fair value through profit or loss, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossCategoryMember |
| 3682 |
Derivative assets [Member] |
Member |
|
|
lyg:DerivativeAssetsMember |
| 3683 |
Loans and Advances to Banks [Member] |
Member |
|
|
lyg:LoansAndAdvancesToBanksMember |
| 3684 |
Loans and advances to customers [Member] |
Member |
|
|
lyg:LoansAndAdvancesToCustomersMember |
| 3685 |
Debt securities [member] |
Member |
|
|
ifrs-full:DebtSecuritiesMember |
| 3686 |
Financial assets available-for-sale, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAvailableforsaleCategoryMember |
| 3687 |
Categories of financial liabilities [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialLiabilitiesAxis |
| 3688 |
Financial liabilities, category [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesCategoryMember |
| 3689 |
Deposits From Banks [Member] |
Member |
|
|
lyg:DepositsFromBanksMember |
| 3690 |
Deposits from Customers [Member] |
Member |
|
|
lyg:DepositsFromCustomersMember |
| 3691 |
Financial liabilities at fair value through profit or loss, category [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLossCategoryMember |
| 3692 |
Derivative liabilities [Member] |
Member |
|
|
lyg:DerivativeLiabilitiesMember |
| 3693 |
Purchase Agreement [Axis] |
Axis |
|
|
lyg:PurchaseAgreementAxis |
| 3694 |
PurchaseAgreement [Domain] |
Member |
|
|
lyg:PurchaseAgreementDomain |
| 3695 |
Excluding Reverse Repurchase Agreement [Member] |
Member |
|
|
lyg:ExcludingReverseRepurchaseAgreementMember |
| 3696 |
Reverse Repurchase Agreement [Member] |
Member |
|
|
lyg:ReverseRepurchaseAgreementMember |
| 3697 |
Excluding Repurchase Agreement [Member] |
Member |
|
|
lyg:ExcludingRepurchaseAgreementMember |
| 3698 |
Repurchase Agreement [Member] |
Member |
|
|
lyg:RepurchaseAgreementMember |
| 3699 |
OFFSETTING OF FINANCIAL ASSETS AND LIABILITIES (Details) - Schedule of Offsetting of Financial Assets and Liabilities [Line Items] |
LineItems |
|
|
lyg:OFFSETTINGOFFINANCIALASSETSANDLIABILITIESDetailsScheduleofOffsettingofFinancialAssetsandLiabilitiesLineItems |
| 3700 |
Financial assets |
Abstract |
|
|
lyg:FinancialAssetsAbstract0 |
| 3701 |
Trading and other financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 3702 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 3703 |
Debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 3704 |
Financial assets at fair value through other comprehensive income |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
| 3705 |
Loans and advances to banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 3706 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 3707 |
Financial liabilities |
Abstract |
|
|
lyg:FinancialLiabilitiesAbstract0 |
| 3708 |
Deposits from banks: |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromBanks |
| 3709 |
Customer deposits: |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromCustomers |
| 3710 |
Trading and other financial liabilities at fair value through profit or loss: |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLoss |
| 3711 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DerivativeFinancialLiabilities |
| 3712 |
Financial assets |
Abstract |
|
|
lyg:FinancialAssetsAbstract00 |
| 3713 |
Available-for-sale financial assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAvailableforsale |
| 3714 |
283 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Interest Rate Risk |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALRISKMANAGEMENTDetailsInterestRateRisk |
| 3715 |
FINANCIAL RISK MANAGEMENT (Details) - Interest Rate Risk [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsInterestRateRiskTable |
| 3716 |
Types of hedges [axis] |
Axis |
|
|
ifrs-full:TypesOfHedgesAxis |
| 3717 |
Hedges [member] |
Member |
|
|
ifrs-full:TypesOfHedgesMember |
| 3718 |
Fair value hedges [member] |
Member |
|
|
ifrs-full:FairValueHedgesMember |
| 3719 |
Cash flow hedges [member] |
Member |
|
|
ifrs-full:CashFlowHedgesMember |
| 3720 |
FINANCIAL RISK MANAGEMENT (Details) - Interest Rate Risk [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsInterestRateRiskLineItems |
| 3721 |
Derivative, Notional Amount |
Concept (Monetary) |
As Of |
|
invest:DerivativeNotionalAmount |
| 3722 |
Hedging instrument, assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:HedgingInstrumentAssets |
| 3723 |
Gains (losses) on hedging instrument, fair value hedges |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnHedgingInstrument |
| 3724 |
Gains (losses) on hedged item attributable to hedged risk, fair value hedges |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnHedgedItemAttributableToHedgedRisk |
| 3725 |
Hedging instrument, liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:HedgingInstrumentLiabilities |
| 3726 |
Gain (loss) on hedge ineffectiveness recognised in profit or loss |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainLossOnHedgeIneffectivenessRecognisedInProfitOrLoss |
| 3727 |
284 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Currency Risk |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALRISKMANAGEMENTDetailsCurrencyRisk |
| 3728 |
Implied Table |
Table |
* |
* |
implied:Table |
| 3729 |
Disclosure of financial risk management [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfFinancialRiskManagementTextBlockAbstract |
| 3730 |
Other comprehensive income, net of tax, hedges of net investments in foreign operations |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxHedgesOfNetInvestmentsInForeignOperations |
| 3731 |
Gains (losses) on hedges of net investments in foreign operations, before tax |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnHedgesOfNetInvestmentsInForeignOperationsBeforeTax |
| 3732 |
Gains (losses) on hedges of net investments in foreign operations, net of tax |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnHedgesOfNetInvestmentsInForeignOperationsNetOfTax |
| 3733 |
285 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Concentrations of Exposure |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALRISKMANAGEMENTDetailsConcentrationsofExposure |
| 3734 |
FINANCIAL RISK MANAGEMENT (Details) - Concentrations of Exposure [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsConcentrationsofExposureTable |
| 3735 |
Types of risks [axis] |
Axis |
|
|
ifrs-full:TypesOfRisksAxis |
| 3736 |
Risks [member] |
Member |
|
|
ifrs-full:TypesOfRisksMember |
| 3737 |
Loans and Advances to Customers Exposure [Member] |
Member |
|
|
lyg:LoansAndAdvancesToCustomersExposureMember |
| 3738 |
Financial, Business and other Services Exposure [Member] |
Member |
|
|
lyg:FinancialBusinessAndOtherServicesExposureMember |
| 3739 |
FINANCIAL RISK MANAGEMENT (Details) - Concentrations of Exposure [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsConcentrationsofExposureLineItems |
| 3740 |
Percentage of Exposure |
Concept (Percent) |
For Period |
|
lyg:PercentageOfExposure |
| 3741 |
286 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Credit Quality of Assets |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALRISKMANAGEMENTDetailsCreditQualityofAssets |
| 3742 |
FINANCIAL RISK MANAGEMENT (Details) - Credit Quality of Assets [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsCreditQualityofAssetsTable |
| 3743 |
Segments [axis] |
Axis |
|
|
ifrs-full:SegmentsAxis |
| 3744 |
Segments [member] |
Member |
|
|
ifrs-full:SegmentsMember |
| 3745 |
Stage 3 [member] |
Member |
|
|
lyg:Stage3Member |
| 3746 |
Stage 2 and Stage 3 [Member] |
Member |
|
|
lyg:Stage2AndStage3Member |
| 3747 |
External credit grades [axis] |
Axis |
|
|
ifrs-full:ExternalCreditGradesAxis |
| 3748 |
Entity's total for external credit grades [member] |
Member |
|
|
ifrs-full:EntitysTotalForExternalCreditGradesMember |
| 3749 |
Good Quality [Member] |
Member |
|
|
lyg:GoodQualityMember |
| 3750 |
Satisfactory Quality [Member] |
Member |
|
|
lyg:SatisfactoryQualityMember |
| 3751 |
Investment Grade [Member] |
Member |
|
|
lyg:InvestmentGradeMember |
| 3752 |
Sub-Investment Grade [Member] |
Member |
|
|
lyg:SubInvestmentGradeMember |
| 3753 |
Not Rated [Member] |
Member |
|
|
lyg:NotRatedMember |
| 3754 |
Types of risks [axis] |
Axis |
|
|
ifrs-full:TypesOfRisksAxis |
| 3755 |
Risks [member] |
Member |
|
|
ifrs-full:TypesOfRisksMember |
| 3756 |
Net Credit Risk [Member] |
Member |
|
|
lyg:NetCreditRiskMember |
| 3757 |
Cash collateral received/pledged [Member] |
Member |
|
|
lyg:CashCollateralReceivedpledgedMember |
| 3758 |
OECD Banks [Member] |
Member |
|
|
lyg:OECDBanksMember |
| 3759 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 3760 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 3761 |
Partial Write Off [Member] |
Member |
|
|
lyg:PartialWriteOffMember |
| 3762 |
Modified [Member] |
Member |
|
|
lyg:ModifiedMember |
| 3763 |
Classes of financial assets [axis] |
Axis |
|
|
ifrs-full:ClassesOfFinancialAssetsAxis |
| 3764 |
Financial assets, class [member] |
Member |
|
|
ifrs-full:FinancialAssetsMember |
| 3765 |
Loans and advances designated at fair value through profit or loss [Member] |
Member |
|
|
lyg:LoansAndAdvancesDesignatedAtFairValueThroughProfitOrLossMember |
| 3766 |
Credit Rating Source [Axis] |
Axis |
|
|
invest:CreditRatingSourceAxis |
| 3767 |
Credit Rating Source [Domain] |
Member |
|
|
invest:CreditRatingSourceDomain |
| 3768 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 3769 |
Categories of related parties [axis] |
Axis |
|
|
ifrs-full:CategoriesOfRelatedPartiesAxis |
| 3770 |
Entity's total for related parties [member] |
Member |
|
|
ifrs-full:EntitysTotalForRelatedPartiesMember |
| 3771 |
Group [Member] |
Member |
|
|
lyg:GroupMember |
| 3772 |
FINANCIAL RISK MANAGEMENT (Details) - Credit Quality of Assets [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsCreditQualityofAssetsLineItems |
| 3773 |
Loans and advances to banks and customers |
Concept (Monetary) |
As Of |
Credit |
lyg:LoansAndAdvancesToBanksAndCustomers |
| 3774 |
Loans and advances to banks and customers, outstanding |
Concept (Monetary) |
As Of |
Credit |
lyg:LoansAndAdvancesToBanksAndCustomersOutstanding |
| 3775 |
Financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 3776 |
Financial assets at fair value through profit or loss, mandatorily measured at fair value |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossMandatorilyMeasuredAtFairValue |
| 3777 |
Debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 3778 |
Financial assets, at fair value |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValue |
| 3779 |
Financial assets at fair value through profit or loss, classified as held for trading |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossClassifiedAsHeldForTrading |
| 3780 |
Derivative financial assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 3781 |
287 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Collateral Held as Security for Financial Assets |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALRISKMANAGEMENTDetailsCollateralHeldasSecurityforFinancialAssets |
| 3782 |
FINANCIAL RISK MANAGEMENT (Details) - Collateral Held as Security for Financial Assets [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsCollateralHeldasSecurityforFinancialAssetsTable |
| 3783 |
Impairment of financial assets [axis] |
Axis |
|
|
ifrs-full:ImpairmentOfFinancialAssetsAxis |
| 3784 |
Entity's total for impairment of financial assets [member] |
Member |
|
|
ifrs-full:EntitysTotalForImpairmentOfFinancialAssetsMember |
| 3785 |
Accumulated impairment [member] |
Member |
|
|
ifrs-full:AccumulatedImpairmentMember |
| 3786 |
Classes of financial instruments [axis] |
Axis |
|
|
ifrs-full:ClassesOfFinancialInstrumentsAxis |
| 3787 |
Financial instruments, class [member] |
Member |
|
|
ifrs-full:ClassesOfFinancialInstrumentsMember |
| 3788 |
Loans and Advances to Banks [Member] |
Member |
|
|
lyg:LoansAndAdvancesToBanksMember |
| 3789 |
Retail Non-Mortgage [Member] |
Member |
|
|
lyg:RetailNonMortgageMember |
| 3790 |
Commercial loans [Member] |
Member |
|
|
lyg:CommercialLoansMember |
| 3791 |
Collateralised Loan [Member] |
Member |
|
|
lyg:CollateralisedLoanMember |
| 3792 |
Trading & other financial assets at fair value through profit or loss [Member] |
Member |
|
|
lyg:TradingOtherFinancialAssetsAtFairValueThroughProfitOrLossMember |
| 3793 |
Segments [axis] |
Axis |
|
|
ifrs-full:SegmentsAxis |
| 3794 |
Segments [member] |
Member |
|
|
ifrs-full:SegmentsMember |
| 3795 |
Stage 3 [member] |
Member |
|
|
lyg:Stage3Member |
| 3796 |
Stage 1 and Stage 2 [Member] |
Member |
|
|
lyg:Stage1AndStage2Member |
| 3797 |
Collateral [Axis] |
Axis |
|
|
us-gaap:CollateralAxis |
| 3798 |
Collateral [Domain] |
Member |
|
|
us-gaap:CollateralDomain |
| 3799 |
Cash collateral [Member] |
Member |
|
|
lyg:CashCollateralMember |
| 3800 |
Stock Borrowing [Member] |
Member |
|
|
lyg:StockBorrowingMember |
| 3801 |
Types of risks [axis] |
Axis |
|
|
ifrs-full:TypesOfRisksAxis |
| 3802 |
Risks [member] |
Member |
|
|
ifrs-full:TypesOfRisksMember |
| 3803 |
Irrevocable Loan Commitments And Contingencies [Member] |
Member |
|
|
lyg:IrrevocableLoanCommitmentsAndContingenciesMember |
| 3804 |
FINANCIAL RISK MANAGEMENT (Details) - Collateral Held as Security for Financial Assets [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsCollateralHeldasSecurityforFinancialAssetsLineItems |
| 3805 |
Reverse repurchase agreements and cash collateral on securities borrowed |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:ReverseRepurchaseAgreementsAndCashCollateralOnSecuritiesBorrowed |
| 3806 |
Collateral held permitted to be sold or repledged in absence of default by owner of collateral, at fair value |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:AssetsHeldAsCollateralPermittedToBeSoldOrRepledgedAtFairValue |
| 3807 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 3808 |
Allowance for Impairment Losses |
Concept (Monetary) |
As Of |
Credit |
lyg:AllowanceForImpairmentLosses |
| 3809 |
Fair Value Of Collateral Held |
Concept (Monetary) |
As Of |
Debit |
lyg:FairValueOfCollateralHeld |
| 3810 |
Collateral sold or repledged in absence of default by owner of collateral, at fair value |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:AssetsSoldOrRepledgedAsCollateralAtFairValue |
| 3811 |
Net financial assets subject to offsetting, enforceable master netting arrangements or similar agreements in statement of financial position |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:NetFinancialAssetsSubjectToOffsettingEnforceableMasterNettingArrangementsOrSimilarAgreementsInStatementOfFinancialPosition |
| 3812 |
Cash collateral received subject to enforceable master netting arrangement or similar agreement not set off against financial assets |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:CashCollateralReceivedSubjectToEnforceableMasterNettingArrangementOrSimilarAgreementNotSetOffAgainstFinancialAssets |
| 3813 |
Gross loan commitments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:GrossLoanCommitments |
| 3814 |
Assets obtained by taking possession of collateral or calling on other credit enhancements |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:AssetsObtained |
| 3815 |
288 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Collateral Pledged as Security |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALRISKMANAGEMENTDetailsCollateralPledgedasSecurity |
| 3816 |
FINANCIAL RISK MANAGEMENT (Details) - Collateral Pledged as Security [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsCollateralPledgedasSecurityTable |
| 3817 |
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [axis] |
Axis |
|
|
ifrs-full:CarryingAmountAccumulatedDepreciationAmortisationAndImpairmentAndGrossCarryingAmountAxis |
| 3818 |
Carrying amount [member] |
Member |
|
|
ifrs-full:CarryingAmountMember |
| 3819 |
Gross carrying amount [member] |
Member |
|
|
ifrs-full:GrossCarryingAmountMember |
| 3820 |
At fair value [member] |
Member |
|
|
ifrs-full:AtFairValueMember |
| 3821 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 3822 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 3823 |
Financial assets at fair value through profit or loss, classified as held for trading, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossClassifiedAsHeldForTradingCategoryMember |
| 3824 |
Type of Account [Axis] |
Axis |
|
|
lyg:TypeOfAccountAxis |
| 3825 |
TypeOfAccount [Domain] |
Member |
|
|
lyg:TypeOfAccountDomain |
| 3826 |
Deposits From Banks [Member] |
Member |
|
|
lyg:DepositsFromBanksMember |
| 3827 |
Deposits from Customers [Member] |
Member |
|
|
lyg:DepositsFromCustomersMember |
| 3828 |
Investment Type [Axis] |
Axis |
|
|
us-gaap:InvestmentTypeAxis |
| 3829 |
Investments [Domain] |
Member |
|
|
us-gaap:InvestmentTypeCategorizationMember |
| 3830 |
Repurchase Agreements [Member] |
Member |
|
|
us-gaap:RepurchaseAgreementsMember |
| 3831 |
Collateral [Axis] |
Axis |
|
|
us-gaap:CollateralAxis |
| 3832 |
Collateral [Domain] |
Member |
|
|
us-gaap:CollateralDomain |
| 3833 |
Collateral Pledged [Member] |
Member |
|
|
us-gaap:CollateralPledgedMember |
| 3834 |
FINANCIAL RISK MANAGEMENT (Details) - Collateral Pledged as Security [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsCollateralPledgedasSecurityLineItems |
| 3835 |
Repurchase agreements and cash collateral on securities lent |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:RepurchaseAgreementsAndCashCollateralOnSecuritiesLent |
| 3836 |
Financial assets pledged as collateral for liabilities or contingent liabilities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsPledgedAsCollateralForLiabilitiesOrContingentLiabilities |
| 3837 |
289 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Maturities of Assets and Liabilities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FINANCIALRISKMANAGEMENTDetailsMaturitiesofAssetsandLiabilities |
| 3838 |
Implied Table |
Table |
* |
* |
implied:Table |
| 3839 |
Disclosure of financial risk management [text block] [Abstract] |
Abstract |
|
|
lyg:DisclosureOfFinancialRiskManagementTextBlockAbstract |
| 3840 |
Undated subordinated liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:UndatedSubordinatedLiabilities |
| 3841 |
290 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Functional Currency of Group Operations |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofFunctionalCurrencyofGroupOperationsTable |
| 3842 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Functional Currency of Group Operations [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofFunctionalCurrencyofGroupOperationsTable |
| 3843 |
Currency [Axis] |
Axis |
|
|
srt:CurrencyAxis |
| 3844 |
All Currencies [Domain] |
Member |
|
|
currency:AllCurrenciesDomain |
| 3845 |
Euro Member Countries, Euro |
Member |
|
|
currency:EUR |
| 3846 |
United States of America, Dollars |
Member |
|
|
currency:USD |
| 3847 |
Other Non-Sterling [Member] |
Member |
|
|
lyg:OtherNonSterlingMember |
| 3848 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Functional Currency of Group Operations [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofFunctionalCurrencyofGroupOperationsLineItems |
| 3849 |
Gross exposure |
Concept (Monetary) |
As Of |
Debit |
lyg:NetInvestmentInOverseasOperations |
| 3850 |
Net investment hedges |
Concept (Monetary) |
As Of |
Debit |
lyg:BorrowingsHedgingNetInvestmentInOverseasOperations |
| 3851 |
Total structural foreign currency exposures, after net investment hedges |
Concept (Monetary) |
As Of |
Debit |
lyg:StructuralFXExposureAfterNetInvestmentHedges |
| 3852 |
291 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Maximum Credit Exposure |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofMaximumCreditExposureTable |
| 3853 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Maximum Credit Exposure [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofMaximumCreditExposureTable |
| 3854 |
Risk exposures [axis] |
Axis |
|
|
ifrs-full:RiskExposuresAxis |
| 3855 |
Risk exposures [member] |
Member |
|
|
ifrs-full:RiskExposuresMember |
| 3856 |
Maximum Exposure [Member] |
Member |
|
|
lyg:MaximumExposureMember |
| 3857 |
Offset [Member] |
Member |
|
|
lyg:OffsetMember |
| 3858 |
Net Exposure [Member] |
Member |
|
|
lyg:NetExposureMember |
| 3859 |
Types of financial assets [axis] |
Axis |
|
|
ifrs-full:TypesOfFinancialAssetsAxis |
| 3860 |
Financial assets, type [member] |
Member |
|
|
ifrs-full:FinancialAssetsTypeMember |
| 3861 |
Loans and advances designated at fair value through profit or loss [Member] |
Member |
|
|
lyg:LoansAndAdvancesDesignatedAtFairValueThroughProfitOrLossMember |
| 3862 |
Debt securities, treasury, and other bills at fair value through profit or loss [Member] |
Member |
|
|
lyg:DebtSecuritiesTreasuryAndOtherBillsAtFairValueThroughProfitOrLossMember |
| 3863 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Maximum Credit Exposure [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofMaximumCreditExposureLineItems |
| 3864 |
Loans and advances to banks, net |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 3865 |
Loans and advances to customers, net |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 3866 |
Debt securities, net |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 3867 |
Financial assets at amortised cost |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtAmortisedCost |
| 3868 |
Financial assets at fair value through other comprehensive income/available-for-sale financial assets |
Concept (Monetary) |
As Of |
Debit |
lyg:FinancialAssetsAvailableforsaleExcEquityShares |
| 3869 |
Financial assets at fair value through profit or loss:3,4 |
Abstract |
|
|
lyg:FinancialAssetsAtFairValueThroughProfitOrLoss34Abstract |
| 3870 |
Financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 3871 |
Derivative assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 3872 |
Assets arising from reinsurance contracts held |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:ReinsuranceAssets |
| 3873 |
Off-balance sheet items: |
Abstract |
|
|
lyg:OffBalanceSheetItemsAbstract |
| 3874 |
Acceptances and endorsements |
Concept (Monetary) |
As Of |
Debit |
lyg:AcceptancesAndEndorsements |
| 3875 |
Other items serving as direct credit substitutes |
Concept (Monetary) |
As Of |
Debit |
lyg:OtherItemsServingAsDirectCreditSubstitutes |
| 3876 |
Performance bonds and other transaction-related contingencies |
Concept (Monetary) |
As Of |
Debit |
lyg:PerformanceBondsAndOtherTransactionrelatedContingencies |
| 3877 |
Irrevocable commitments and guarantees |
Concept (Monetary) |
As Of |
Debit |
lyg:IrrevocableCommitments |
| 3878 |
|
Concept (Monetary) |
As Of |
Debit |
lyg:OffBalanceSheetItems |
| 3879 |
|
Concept (Monetary) |
As Of |
|
ifrs-full:MaximumExposureToCreditRisk |
| 3880 |
292 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Concentration of Exposure |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofConcentrationofExposureTable |
| 3881 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Concentration of Exposure [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofConcentrationofExposureTable |
| 3882 |
Temporary difference, unused tax losses and unused tax credits [axis] |
Axis |
|
|
ifrs-full:TemporaryDifferenceUnusedTaxLossesAndUnusedTaxCreditsAxis |
| 3883 |
Temporary difference, unused tax losses and unused tax credits [member] |
Member |
|
|
ifrs-full:TemporaryDifferenceUnusedTaxLossesAndUnusedTaxCreditsMember |
| 3884 |
Before Allowance for Impairment Losses [Member] |
Member |
|
|
lyg:BeforeAllowanceForImpairmentLossesMember |
| 3885 |
Allowance for credit losses [member] |
Member |
|
|
ifrs-full:AllowanceForCreditLossesMember |
| 3886 |
Classes of financial assets [axis] |
Axis |
|
|
ifrs-full:ClassesOfFinancialAssetsAxis |
| 3887 |
Financial assets, class [member] |
Member |
|
|
ifrs-full:FinancialAssetsMember |
| 3888 |
0000 to 0999 Agriculture, Forestry, and Fishing [Member] |
Member |
|
|
sic:Z0000toZ0999 |
| 3889 |
Energy and water supply [Member] |
Member |
|
|
lyg:EnergyAndWaterSupplyMember |
| 3890 |
2000 to 3999 Manufacturing [Member] |
Member |
|
|
sic:Z2000toZ3999 |
| 3891 |
230000 to 239999 Construction [Member] |
Member |
|
|
naics:ZZ23 |
| 3892 |
Transport, distribution and hotels [Member] |
Member |
|
|
lyg:TransportDistributionAndHotelsMember |
| 3893 |
Postal and telecommunications [Member] |
Member |
|
|
lyg:PostalAndTelecommunicationsMember |
| 3894 |
Property companies [Member] |
Member |
|
|
lyg:PropertyCompaniesMember |
| 3895 |
Financial, business and other services [Member] |
Member |
|
|
lyg:FinancialBusinessAndOtherServicesMember |
| 3896 |
Mortgages [member] |
Member |
|
|
ifrs-full:MortgagesMember |
| 3897 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 3898 |
Gross and Lease Financing [Member] |
Member |
|
|
lyg:GrossAndLeaseFinancingMember |
| 3899 |
Hire purchase [Member] |
Member |
|
|
lyg:HirePurchaseMember |
| 3900 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 3901 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 3902 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 3903 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Concentration of Exposure [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofConcentrationofExposureLineItems |
| 3904 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 3905 |
Personal: |
Abstract |
|
|
lyg:PersonalAbstract |
| 3906 |
293 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Probability of Default Under IFRS 9 |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofProbabilityofDefaultUnderIFRS9Table |
| 3907 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Probability of Default Under IFRS 9 [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofProbabilityofDefaultUnderIFRS9Table |
| 3908 |
Range [Axis] |
Axis |
|
|
srt:RangeAxis |
| 3909 |
Range [Domain] |
Member |
|
|
srt:RangeMember |
| 3910 |
Minimum [Member] |
Member |
|
|
srt:MinimumMember |
| 3911 |
Maximum [Member] |
Member |
|
|
srt:MaximumMember |
| 3912 |
External credit grades [axis] |
Axis |
|
|
ifrs-full:ExternalCreditGradesAxis |
| 3913 |
Entity's total for external credit grades [member] |
Member |
|
|
ifrs-full:EntitysTotalForExternalCreditGradesMember |
| 3914 |
Good Quality [Member] |
Member |
|
|
lyg:GoodQualityMember |
| 3915 |
Satisfactory Quality [Member] |
Member |
|
|
lyg:SatisfactoryQualityMember |
| 3916 |
Lower Quality [Member] |
Member |
|
|
lyg:LowerQualityMember |
| 3917 |
Below Standard, But Not Impaired [Member] |
Member |
|
|
lyg:BelowStandardButNotImpairedMember |
| 3918 |
Credit Impaired [Member] |
Member |
|
|
lyg:CreditImpairedMember |
| 3919 |
Type of Loan or Advance [Axis] |
Axis |
|
|
lyg:TypeOfLoanOrAdvanceAxis |
| 3920 |
TypeOfLoanOrAdvance [Domain] |
Member |
|
|
lyg:TypeOfLoanOrAdvanceDomain |
| 3921 |
Retail Loans and Advances [Member] |
Member |
|
|
lyg:RetailLoansAndAdvancesMember |
| 3922 |
Corporate Loans and Advances [Member] |
Member |
|
|
lyg:CorporateLoansAndAdvancesMember |
| 3923 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Probability of Default Under IFRS 9 [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofProbabilityofDefaultUnderIFRS9LineItems |
| 3924 |
IFRS 9 PD% |
Concept (Percent) |
For Period |
|
ifrs-full:ProbabilityOfDefaultSignificantUnobservableInputsAssets |
| 3925 |
294 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Loans and Advances Which Are Neither Past Due Nor Impaired |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofLoansandAdvancesWhichAreNeitherPastDueNorImpairedTable |
| 3926 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Loans and Advances Which Are Neither Past Due Nor Impaired [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofLoansandAdvancesWhichAreNeitherPastDueNorImpairedTable |
| 3927 |
Loan Stage [Axis] |
Axis |
|
|
lyg:LoanStageAxis |
| 3928 |
LoanStage [Domain] |
Member |
|
|
lyg:LoanStageDomain |
| 3929 |
Stage 1 [member] |
Member |
|
|
lyg:Stage1Member |
| 3930 |
Stage 2 [member] |
Member |
|
|
lyg:Stage2Member |
| 3931 |
Stage 3 [member] |
Member |
|
|
lyg:Stage3Member |
| 3932 |
Purchased or originated credit-impaired [member] |
Member |
|
|
lyg:PurchasedOrOriginatedCreditimpairedMember |
| 3933 |
External credit grades [axis] |
Axis |
|
|
ifrs-full:ExternalCreditGradesAxis |
| 3934 |
Entity's total for external credit grades [member] |
Member |
|
|
ifrs-full:EntitysTotalForExternalCreditGradesMember |
| 3935 |
Good Quality [Member] |
Member |
|
|
lyg:GoodQualityMember |
| 3936 |
Satisfactory Quality [Member] |
Member |
|
|
lyg:SatisfactoryQualityMember |
| 3937 |
Lower Quality [Member] |
Member |
|
|
lyg:LowerQualityMember |
| 3938 |
Below Standard, But Not Impaired [Member] |
Member |
|
|
lyg:BelowStandardButNotImpairedMember |
| 3939 |
Credit Impaired [Member] |
Member |
|
|
lyg:CreditImpairedMember |
| 3940 |
Industry Sector [Axis] |
Axis |
|
|
us-gaap:EquitySecuritiesByIndustryAxis |
| 3941 |
Industry Sector [Domain] |
Member |
|
|
us-gaap:EquitySecuritiesIndustryMember |
| 3942 |
Retail - Mortgages [Member] |
Member |
|
|
lyg:RetailMortgagesMember |
| 3943 |
Retail - Other [Member] |
Member |
|
|
lyg:RetailOtherMember |
| 3944 |
Commercial [Member] |
Member |
|
|
lyg:CommercialMember |
| 3945 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 3946 |
Type of Loan or Advance [Axis] |
Axis |
|
|
lyg:TypeOfLoanOrAdvanceAxis |
| 3947 |
TypeOfLoanOrAdvance [Domain] |
Member |
|
|
lyg:TypeOfLoanOrAdvanceDomain |
| 3948 |
Loans and Advances to Banks [Member] |
Member |
|
|
lyg:LoansAndAdvancesToBanksMember |
| 3949 |
Loans and advances to customers [Member] |
Member |
|
|
lyg:LoansAndAdvancesToCustomersMember |
| 3950 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Loans and Advances Which Are Neither Past Due Nor Impaired [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofLoansandAdvancesWhichAreNeitherPastDueNorImpairedLineItems |
| 3951 |
Loans and advances, gross carrying amount |
Concept (Monetary) |
As Of |
Debit |
lyg:LoansAndAdvancesGrossCarryingAmount |
| 3952 |
Loans and advances, gross carrying amount, expected credit losses |
Concept (Monetary) |
As Of |
Credit |
lyg:LoansAndAdvancesGrossCarryingAmountExpectedCreditLosses |
| 3953 |
Loans and advances, loan commitments and financial guarantees |
Concept (Monetary) |
As Of |
Debit |
lyg:LoansAndAdvancesLoanCommitmentsAndFinancialGuarantees |
| 3954 |
Loans and advances, loan commitments and financial guarantees, expected credit losses |
Concept (Monetary) |
As Of |
Credit |
lyg:LoansAndAdvancesLoanCommitmentsAndFinancialGuaranteesExpectedCreditLosses |
| 3955 |
295 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Debt Securities Classified as Loans and Receivables |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofDebtSecuritiesClassifiedasLoansandReceivablesTable |
| 3956 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Debt Securities Classified as Loans and Receivables [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofDebtSecuritiesClassifiedasLoansandReceivablesTable |
| 3957 |
Investment Securities Class [Axis] |
Axis |
|
|
invest:InvestmentSecuritiesClassAxis |
| 3958 |
Investment Securities Class [Domain] |
Member |
|
|
invest:InvestmentSecuritiesClassDomain |
| 3959 |
Mortgages [member] |
Member |
|
|
ifrs-full:MortgagesMember |
| 3960 |
Other asset-backed [Member] |
Member |
|
|
lyg:OtherAssetbackedMember |
| 3961 |
Debt securities held within loans and receivables [Member] |
Member |
|
|
lyg:DebtSecuritiesHeldWithinLoansAndReceivablesMember |
| 3962 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 3963 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 3964 |
Loans and receivables, category [member] |
Member |
|
|
ifrs-full:LoansAndReceivablesCategoryMember |
| 3965 |
Credit Rating Source [Axis] |
Axis |
|
|
invest:CreditRatingSourceAxis |
| 3966 |
Credit Rating Source [Domain] |
Member |
|
|
invest:CreditRatingSourceDomain |
| 3967 |
Investment Grade [Member] |
Member |
|
|
lyg:InvestmentGradeMember |
| 3968 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 3969 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Debt Securities Classified as Loans and Receivables [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofDebtSecuritiesClassifiedasLoansandReceivablesLineItems |
| 3970 |
Asset-backed securities: |
Abstract |
|
|
lyg:AssetBackedSecuritiesAbstract0000000 |
| 3971 |
Asset-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:AssetbackedDebtInstrumentsHeld |
| 3972 |
Corporate and other debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CorporateDebtInstrumentsHeld |
| 3973 |
Gross exposure |
Concept (Monetary) |
As Of |
|
ifrs-full:CreditExposure |
| 3974 |
Allowance for impairment losses |
Concept (Monetary) |
As Of |
Credit |
lyg:AllowanceForImpairmentLosses |
| 3975 |
Debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 3976 |
296 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Available-for-Sale Financial Assets (Excluding Equity Shares) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofAvailableforSaleFinancialAssetsExcludingEquitySharesTable |
| 3977 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Available-for-Sale Financial Assets (Excluding Equity Shares) [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofAvailableforSaleFinancialAssetsExcludingEquitySharesTable |
| 3978 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 3979 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 3980 |
Excluding equity share [Member] |
Member |
|
|
lyg:ExcludingEquityShareMember |
| 3981 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 3982 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 3983 |
Financial assets available-for-sale, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAvailableforsaleCategoryMember |
| 3984 |
Credit Rating Source [Axis] |
Axis |
|
|
invest:CreditRatingSourceAxis |
| 3985 |
Credit Rating Source [Domain] |
Member |
|
|
invest:CreditRatingSourceDomain |
| 3986 |
Investment Grade [Member] |
Member |
|
|
lyg:InvestmentGradeMember |
| 3987 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 3988 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Available-for-Sale Financial Assets (Excluding Equity Shares) [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofAvailableforSaleFinancialAssetsExcludingEquitySharesLineItems |
| 3989 |
Debt securities: |
Abstract |
|
|
lyg:DebtSecuritiesAbstract0000000 |
| 3990 |
Government securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:GovernmentDebtInstrumentsHeld |
| 3991 |
Bank and building society certificates of deposit |
Concept (Monetary) |
As Of |
Debit |
lyg:BankAndBuildingSocietyCertificatesOfDeposit |
| 3992 |
Asset-backed securities: |
Abstract |
|
|
lyg:AssetBackedSecuritiesAbstract00000000 |
| 3993 |
Mortgage-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:BankDebtInstrumentsHeld |
| 3994 |
Other asset-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherDebtInstrumentsHeld |
| 3995 |
|
Concept (Monetary) |
As Of |
Debit |
ifrs-full:AssetbackedDebtInstrumentsHeld |
| 3996 |
Corporate and other debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CorporateDebtInstrumentsHeld |
| 3997 |
Total debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 3998 |
Treasury and other bills |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:TreasuryShares |
| 3999 |
Total financial assets at fair value through other comprehensive income/available-for-sale financial assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
| 4000 |
297 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Debt Securities, Treasury and Other Bills Held at Fair Value Through Profit or Loss |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofDebtSecuritiesTreasuryandOtherBillsHeldatFairValueThroughProfitorLossTable |
| 4001 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Debt Securities, Treasury and Other Bills Held at Fair Value Through Profit or Loss [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofDebtSecuritiesTreasuryandOtherBillsHeldatFairValueThroughProfitorLossTable |
| 4002 |
Components of equity [axis] |
Axis |
|
|
ifrs-full:ComponentsOfEquityAxis |
| 4003 |
Equity [member] |
Member |
|
|
ifrs-full:EquityMember |
| 4004 |
Treasury shares [member] |
Member |
|
|
ifrs-full:TreasurySharesMember |
| 4005 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 4006 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 4007 |
Debt securities, treasury, and other bills at fair value through profit or loss [Member] |
Member |
|
|
lyg:DebtSecuritiesTreasuryAndOtherBillsAtFairValueThroughProfitOrLossMember |
| 4008 |
Other assets held at fair value through profit or loss [Member] |
Member |
|
|
lyg:OtherAssetsHeldAtFairValueThroughProfitOrLossMember |
| 4009 |
Credit Rating Source [Axis] |
Axis |
|
|
invest:CreditRatingSourceAxis |
| 4010 |
Credit Rating Source [Domain] |
Member |
|
|
invest:CreditRatingSourceDomain |
| 4011 |
Investment Grade [Member] |
Member |
|
|
lyg:InvestmentGradeMember |
| 4012 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 4013 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Debt Securities, Treasury and Other Bills Held at Fair Value Through Profit or Loss [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofDebtSecuritiesTreasuryandOtherBillsHeldatFairValueThroughProfitorLossLineItems |
| 4014 |
Government securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:GovernmentDebtInstrumentsHeld |
| 4015 |
Other public sector securities |
Concept (Monetary) |
As Of |
Debit |
lyg:OtherPublicSectorSecurities |
| 4016 |
Bank and building society certificates of deposit |
Concept (Monetary) |
As Of |
Debit |
lyg:BankAndBuildingSocietyCertificatesOfDeposit |
| 4017 |
Asset-backed securities: |
Abstract |
|
|
lyg:AssetBackedSecuritiesAbstract000000000 |
| 4018 |
Mortgage-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:BankDebtInstrumentsHeld |
| 4019 |
Other asset-backed securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherDebtInstrumentsHeld |
| 4020 |
|
Concept (Monetary) |
As Of |
Debit |
ifrs-full:AssetbackedDebtInstrumentsHeld |
| 4021 |
Corporate and other debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CorporateDebtInstrumentsHeld |
| 4022 |
Total held as trading assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLossClassifiedAsHeldForTrading |
| 4023 |
Total debt securities held at fair value through profit or loss |
Concept (Monetary) |
As Of |
Credit |
us-gaap:DebtInstrumentFairValue |
| 4024 |
Treasury bills and other bills |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:TreasuryShares |
| 4025 |
Total other assets held at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherAssets |
| 4026 |
Trading and other financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 4027 |
298 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Derivative Assets |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofDerivativeAssetsTable |
| 4028 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Derivative Assets [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofDerivativeAssetsTable |
| 4029 |
Classes of financial assets [axis] |
Axis |
|
|
ifrs-full:ClassesOfFinancialAssetsAxis |
| 4030 |
Financial assets, class [member] |
Member |
|
|
ifrs-full:FinancialAssetsMember |
| 4031 |
Trading and Other [Member] |
Member |
|
|
lyg:TradingAndOtherMember |
| 4032 |
Hedging [Member] |
Member |
|
|
lyg:HedgingMember |
| 4033 |
Credit Rating Source [Axis] |
Axis |
|
|
invest:CreditRatingSourceAxis |
| 4034 |
Credit Rating Source [Domain] |
Member |
|
|
invest:CreditRatingSourceDomain |
| 4035 |
Investment Grade [Member] |
Member |
|
|
lyg:InvestmentGradeMember |
| 4036 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 4037 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 4038 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 4039 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 4040 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Derivative Assets [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofDerivativeAssetsLineItems |
| 4041 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 4042 |
299 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Mortgage Lending |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofMortgageLendingTable |
| 4043 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Mortgage Lending [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofMortgageLendingTable |
| 4044 |
Impairment of financial assets [axis] |
Axis |
|
|
ifrs-full:ImpairmentOfFinancialAssetsAxis |
| 4045 |
Entity's total for impairment of financial assets [member] |
Member |
|
|
ifrs-full:EntitysTotalForImpairmentOfFinancialAssetsMember |
| 4046 |
Financial assets neither past due nor impaired [member] |
Member |
|
|
ifrs-full:FinancialAssetsNeitherPastDueNorImpairedMember |
| 4047 |
Financial assets past due but not impaired [member] |
Member |
|
|
ifrs-full:FinancialAssetsPastDueButNotImpairedMember |
| 4048 |
Financial assets impaired [member] |
Member |
|
|
ifrs-full:FinancialAssetsImpairedMember |
| 4049 |
Loan to Value [Axis] |
Axis |
|
|
us-gaap:LoanToValueAxis |
| 4050 |
Loan to Value [Domain] |
Member |
|
|
us-gaap:LoanToValueDomain |
| 4051 |
Mortgages [member] |
Member |
|
|
ifrs-full:MortgagesMember |
| 4052 |
External credit grades [axis] |
Axis |
|
|
ifrs-full:ExternalCreditGradesAxis |
| 4053 |
Entity's total for external credit grades [member] |
Member |
|
|
ifrs-full:EntitysTotalForExternalCreditGradesMember |
| 4054 |
Stage 1 [member] |
Member |
|
|
lyg:Stage1Member |
| 4055 |
Stage 2 [member] |
Member |
|
|
lyg:Stage2Member |
| 4056 |
Stage 3 [member] |
Member |
|
|
lyg:Stage3Member |
| 4057 |
Purchased or originated credit-impaired [member] |
Member |
|
|
lyg:PurchasedOrOriginatedCreditimpairedMember |
| 4058 |
Past due status [axis] |
Axis |
|
|
ifrs-full:PastDueStatusAxis |
| 4059 |
Past due status [member] |
Member |
|
|
ifrs-full:PastDueStatusMember |
| 4060 |
Less than seventy percent [Member] |
Member |
|
|
lyg:LessThanSeventyPercentMember |
| 4061 |
Seventy percent to eighty percent [Member] |
Member |
|
|
lyg:SeventyPercentToEightyPercentMember |
| 4062 |
Eighty percent to ninety percent [Member] |
Member |
|
|
lyg:EightyPercentToNinetyPercentMember |
| 4063 |
Ninety percent to one hundred percent [Member] |
Member |
|
|
lyg:NinetyPercentToOneHundredPercentMember |
| 4064 |
Greater than one hundred percent [Member] |
Member |
|
|
lyg:GreaterThanOneHundredPercentMember |
| 4065 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Mortgage Lending [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofMortgageLendingLineItems |
| 4066 |
Loan-to-value ratio |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 4067 |
300 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Securities Lending Transactions |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofSecuritiesLendingTransactionsTable |
| 4068 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Securities Lending Transactions [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofSecuritiesLendingTransactionsTable |
| 4069 |
Continuing involvement in derecognised financial assets by type of transfer [axis] |
Axis |
|
|
ifrs-full:ContinuingInvolvementInDerecognisedFinancialAssetsByTypeOfTransferAxis |
| 4070 |
Types of transfer [member] |
Member |
|
|
ifrs-full:TypesOfTransferMember |
| 4071 |
Securities lending [member] |
Member |
|
|
ifrs-full:SecuritiesLendingMember |
| 4072 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Securities Lending Transactions [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofSecuritiesLendingTransactionsLineItems |
| 4073 |
Financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 4074 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 4075 |
Financial assets at fair value through other comprehensive income (2017: available-for-sale financial assets) |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
| 4076 |
|
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssets |
| 4077 |
301 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Maturities of Assets and Liabilities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofMaturitiesofAssetsandLiabilitiesTable |
| 4078 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Maturities of Assets and Liabilities [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofMaturitiesofAssetsandLiabilitiesTable |
| 4079 |
Maturity [axis] |
Axis |
|
|
ifrs-full:MaturityAxis |
| 4080 |
Aggregated time bands [member] |
Member |
|
|
ifrs-full:AggregatedTimeBandsMember |
| 4081 |
Not later than one month [member] |
Member |
|
|
ifrs-full:NotLaterThanOneMonthMember |
| 4082 |
Later than one month and not later than three months [member] |
Member |
|
|
ifrs-full:LaterThanOneMonthAndNotLaterThanThreeMonthsMember |
| 4083 |
Total [Member] |
Member |
|
|
lyg:TotalMember |
| 4084 |
Later than three months and not later than six months [member] |
Member |
|
|
ifrs-full:LaterThanThreeMonthsAndNotLaterThanSixMonthsMember |
| 4085 |
Later than six months and not later than nine months [Member] |
Member |
|
|
lyg:LaterThanSixMonthsAndNotLaterThanNineMonthsMember |
| 4086 |
Later than nine months and not later than twelve months [Member] |
Member |
|
|
lyg:LaterThanNineMonthsAndNotLaterThanTwelveMonthsMember |
| 4087 |
Later than one year and not later than two years [member] |
Member |
|
|
ifrs-full:LaterThanOneYearAndNotLaterThanTwoYearsMember |
| 4088 |
Later than two years and not later than five years [member] |
Member |
|
|
ifrs-full:LaterThanTwoYearsAndNotLaterThanFiveYearsMember |
| 4089 |
Later than five years [member] |
Member |
|
|
ifrs-full:LaterThanFiveYearsMember |
| 4090 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 4091 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 4092 |
Balance Sheet maturity - legal basis [Member] |
Member |
|
|
lyg:BalanceSheetMaturityLegalBasisMember |
| 4093 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Maturities of Assets and Liabilities [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofMaturitiesofAssetsandLiabilitiesLineItems |
| 4094 |
Assets |
Abstract |
|
|
lyg:AssetsAbstract0 |
| 4095 |
Cash and balances at central banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndBankBalancesAtCentralBanks |
| 4096 |
Trading and other financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 4097 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 4098 |
Loans and advances to banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 4099 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 4100 |
Debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 4101 |
Financial assets at fair value through other comprehensive income |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
| 4102 |
Other assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherAssets |
| 4103 |
Total assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:Assets |
| 4104 |
Liabilities |
Abstract |
|
|
lyg:LiabilitiesAbstract0 |
| 4105 |
Deposits from banks |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromBanks |
| 4106 |
Customer deposits |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromCustomers |
| 4107 |
Derivative financial instruments, trading and other financial liabilities at fair value through profit or loss |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLoss |
| 4108 |
Debt securities in issue |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DebtSecurities |
| 4109 |
Liabilities arising from insurance contracts and participating investment contracts |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilitiesArisingFromInsuranceContracts |
| 4110 |
Other liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherLiabilities |
| 4111 |
Subordinated liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:SubordinatedLiabilities |
| 4112 |
Total liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Liabilities |
| 4113 |
Available-for-sale financial assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAvailableforsale |
| 4114 |
302 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Maturities of Liabilities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofMaturitiesofLiabilitiesTable |
| 4115 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Maturities of Liabilities [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofMaturitiesofLiabilitiesTable |
| 4116 |
Categories of financial liabilities [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialLiabilitiesAxis |
| 4117 |
Financial liabilities, category [member] |
Member |
|
|
ifrs-full:FinancialLiabilitiesCategoryMember |
| 4118 |
Undiscounted future cash flow basis [Member] |
Member |
|
|
lyg:UndiscountedFutureCashFlowBasisMember |
| 4119 |
Maturity [axis] |
Axis |
|
|
ifrs-full:MaturityAxis |
| 4120 |
Aggregated time bands [member] |
Member |
|
|
ifrs-full:AggregatedTimeBandsMember |
| 4121 |
Not later than one month [member] |
Member |
|
|
ifrs-full:NotLaterThanOneMonthMember |
| 4122 |
Later than one month and not later than three months [member] |
Member |
|
|
ifrs-full:LaterThanOneMonthAndNotLaterThanThreeMonthsMember |
| 4123 |
Later than three months and not later than twelve months [Member] |
Member |
|
|
lyg:LaterThanThreeMonthsAndNotLaterThanTwelveMonthsMember |
| 4124 |
Later than one year and not later than five years [member] |
Member |
|
|
ifrs-full:LaterThanOneYearAndNotLaterThanFiveYearsMember |
| 4125 |
Later than five years [member] |
Member |
|
|
ifrs-full:LaterThanFiveYearsMember |
| 4126 |
Type of settled derivative [Axis] |
Axis |
|
|
lyg:TypeOfSettledDerivativeAxis |
| 4127 |
TypeOfSettledDerivative [Domain] |
Member |
|
|
lyg:TypeOfSettledDerivativeDomain |
| 4128 |
Outflows [Member] |
Member |
|
|
lyg:OutflowsMember |
| 4129 |
Inflows [Member] |
Member |
|
|
lyg:InflowsMember |
| 4130 |
Net Flows [Member] |
Member |
|
|
lyg:NetFlowsMember |
| 4131 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Maturities of Liabilities [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofMaturitiesofLiabilitiesLineItems |
| 4132 |
Deposits from banks |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromBanks |
| 4133 |
Customer deposits |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromCustomers |
| 4134 |
Trading and other financial liabilities at fair value through profit or loss |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLoss |
| 4135 |
Debt securities in issue |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DebtSecurities |
| 4136 |
Liabilities arising from non-participating investment contracts |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:InvestmentContractsLiabilities |
| 4137 |
Subordinated liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:SubordinatedLiabilities |
| 4138 |
Total non-derivative financial liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:NonderivativeFinancialLiabilitiesUndiscountedCashFlows |
| 4139 |
Derivative financial liabilities: |
Abstract |
|
|
lyg:DerivativeFinancialLiabilitiesAbstract0 |
| 4140 |
Derivative financial liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DerivativeFinancialLiabilities |
| 4141 |
Net settled derivatives liabilities |
Concept (Monetary) |
As Of |
Credit |
lyg:NetSettledDerivativesLiabilities |
| 4142 |
303 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Liabilities Arising from Insurance and Participating Investment Contracts |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofLiabilitiesArisingfromInsuranceandParticipatingInvestmentContractsTable |
| 4143 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Liabilities Arising from Insurance and Participating Investment Contracts [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofLiabilitiesArisingfromInsuranceandParticipatingInvestmentContractsTable |
| 4144 |
Maturity [axis] |
Axis |
|
|
ifrs-full:MaturityAxis |
| 4145 |
Aggregated time bands [member] |
Member |
|
|
ifrs-full:AggregatedTimeBandsMember |
| 4146 |
Not later than one month [member] |
Member |
|
|
ifrs-full:NotLaterThanOneMonthMember |
| 4147 |
Later than one month and not later than three months [member] |
Member |
|
|
ifrs-full:LaterThanOneMonthAndNotLaterThanThreeMonthsMember |
| 4148 |
Later than three months and not later than twelve months [Member] |
Member |
|
|
lyg:LaterThanThreeMonthsAndNotLaterThanTwelveMonthsMember |
| 4149 |
Later than one year and not later than five years [member] |
Member |
|
|
ifrs-full:LaterThanOneYearAndNotLaterThanFiveYearsMember |
| 4150 |
Later than five years [member] |
Member |
|
|
ifrs-full:LaterThanFiveYearsMember |
| 4151 |
Scenario [Axis] |
Axis |
|
|
us-gaap:StatementScenarioAxis |
| 4152 |
Scenario, Unspecified [Domain] |
Member |
|
|
us-gaap:ScenarioUnspecifiedDomain |
| 4153 |
Analysed on a behavioural basis [Member] |
Member |
|
|
lyg:AnalysedOnABehaviouralBasisMember |
| 4154 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Liabilities Arising from Insurance and Participating Investment Contracts [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofLiabilitiesArisingfromInsuranceandParticipatingInvestmentContractsLineItems |
| 4155 |
|
Concept (Monetary) |
As Of |
Credit |
ifrs-full:LiabilitiesArisingFromInsuranceContracts |
| 4156 |
304 - Disclosure - FINANCIAL RISK MANAGEMENT (Details) - Schedule of Amounts and Residual Maturities of the Group's Off Balance Sheet Contingent Liabilities and Commitments |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofAmountsandResidualMaturitiesoftheGroupsOffBalanceSheetContingentLiabilitiesandCommitmentsTable |
| 4157 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Amounts and Residual Maturities of the Group's Off Balance Sheet Contingent Liabilities and Commitments [Table] |
Table |
* |
* |
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofAmountsandResidualMaturitiesoftheGroupsOffBalanceSheetContingentLiabilitiesandCommitmentsTable |
| 4158 |
Classes of contingent liabilities [axis] |
Axis |
|
|
ifrs-full:ClassesOfContingentLiabilitiesAxis |
| 4159 |
Contingent liabilities [member] |
Member |
|
|
ifrs-full:ContingentLiabilitiesMember |
| 4160 |
Acceptances and endorsements [Member] |
Member |
|
|
lyg:AcceptancesAndEndorsementsMember |
| 4161 |
Other contingent liabilities [member] |
Member |
|
|
ifrs-full:OtherContingentLiabilitiesMember |
| 4162 |
Maturity [axis] |
Axis |
|
|
ifrs-full:MaturityAxis |
| 4163 |
Aggregated time bands [member] |
Member |
|
|
ifrs-full:AggregatedTimeBandsMember |
| 4164 |
Not later than one month [member] |
Member |
|
|
ifrs-full:NotLaterThanOneMonthMember |
| 4165 |
Later than one month and not later than three months [member] |
Member |
|
|
ifrs-full:LaterThanOneMonthAndNotLaterThanThreeMonthsMember |
| 4166 |
Later than three months and not later than six months [member] |
Member |
|
|
ifrs-full:LaterThanThreeMonthsAndNotLaterThanSixMonthsMember |
| 4167 |
Later than six months and not later than nine months [Member] |
Member |
|
|
lyg:LaterThanSixMonthsAndNotLaterThanNineMonthsMember |
| 4168 |
Later than nine months and not later than twelve months [Member] |
Member |
|
|
lyg:LaterThanNineMonthsAndNotLaterThanTwelveMonthsMember |
| 4169 |
Later than one year and not later than three years [member] |
Member |
|
|
ifrs-full:LaterThanOneYearAndNotLaterThanThreeYearsMember |
| 4170 |
Later than three years and not later than five years [member] |
Member |
|
|
ifrs-full:LaterThanThreeYearsAndNotLaterThanFiveYearsMember |
| 4171 |
Later than five years [member] |
Member |
|
|
ifrs-full:LaterThanFiveYearsMember |
| 4172 |
Classes of Commitments [Axis] |
Axis |
|
|
lyg:ClassesOfCommitmentsAxis |
| 4173 |
ClassesOfCommitments [Domain] |
Member |
|
|
lyg:ClassesOfCommitmentsDomain |
| 4174 |
Lending commitments [Member] |
Member |
|
|
lyg:LendingCommitmentsMember |
| 4175 |
Other commitments [Member] |
Member |
|
|
lyg:OtherCommitmentsMember |
| 4176 |
FINANCIAL RISK MANAGEMENT (Details) - Schedule of Amounts and Residual Maturities of the Group's Off Balance Sheet Contingent Liabilities and Commitments [Line Items] |
LineItems |
|
|
lyg:FINANCIALRISKMANAGEMENTDetailsScheduleofAmountsandResidualMaturitiesoftheGroupsOffBalanceSheetContingentLiabilitiesandCommitmentsLineItems |
| 4177 |
Contingent Liabilities |
Concept (Monetary) |
As Of |
|
ifrs-full:EstimatedFinancialEffectOfContingentLiabilities |
| 4178 |
Commitments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:GrossLoanCommitments |
| 4179 |
Total contingents and commitments |
Concept (Monetary) |
As Of |
Credit |
lyg:TotalContingentsAndCommitments |
| 4180 |
305 - Disclosure - CONSOLIDATED CASH FLOW STATEMENT (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CONSOLIDATEDCASHFLOWSTATEMENTDetails |
| 4181 |
CONSOLIDATED CASH FLOW STATEMENT (Details) [Table] |
Table |
* |
* |
lyg:CONSOLIDATEDCASHFLOWSTATEMENTDetailsTable |
| 4182 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 4183 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 4184 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 4185 |
CONSOLIDATED CASH FLOW STATEMENT (Details) [Line Items] |
LineItems |
|
|
lyg:CONSOLIDATEDCASHFLOWSTATEMENTDetailsLineItems |
| 4186 |
Cash and cash equivalents held by entity unavailable for use by group |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndCashEquivalentsHeldByEntityUnavailableForUseByGroup |
| 4187 |
306 - Disclosure - CONSOLIDATED CASH FLOW STATEMENT (Details) - Schedule of Change in Operating Assets |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofChangeinOperatingAssetsTable |
| 4188 |
Implied Table |
Table |
* |
* |
implied:Table |
| 4189 |
Schedule of Change in Operating Assets [Abstract] |
Abstract |
|
|
lyg:ScheduleOfChangeInOperatingAssetsAbstract |
| 4190 |
Change in financial assets held at amortised cost |
Concept (Monetary) |
For Period |
Debit |
lyg:AdjustmentsForDecreaseIncreaseInLoansAndAdvancesToReconcileProfitLossToNetCashFlowFromUsedInOperatingActivities |
| 4191 |
Change in derivative financial instruments and financial assets at fair value through profit or loss |
Concept (Monetary) |
For Period |
Debit |
lyg:AdjustmentsForChangeInDerivativeFinancialInstrumentsTradingAndOtherFinancialAssetsAtFairValueThroughProfitOrLossToReconcileProfitLossToNetCashFlowFromUsedInOperating |
| 4192 |
Change in other operating assets |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForDecreaseIncreaseInOtherAssets |
| 4193 |
Change in operating assets |
Concept (Monetary) |
For Period |
Credit |
us-gaap:IncreaseDecreaseInOperatingAssets |
| 4194 |
307 - Disclosure - CONSOLIDATED CASH FLOW STATEMENT (Details) - Schedule of Change in Operating Liabilities |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofChangeinOperatingLiabilitiesTable |
| 4195 |
Implied Table |
Table |
* |
* |
implied:Table |
| 4196 |
Schedule of Change in Operating Liabilities [Abstract] |
Abstract |
|
|
lyg:ScheduleOfChangeInOperatingLiabilitiesAbstract |
| 4197 |
Change in deposits from banks |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForIncreaseDecreaseInDepositsFromBanks |
| 4198 |
Change in customer deposits |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForIncreaseDecreaseInDepositsFromCustomers |
| 4199 |
Change in debt securities in issue |
Concept (Monetary) |
For Period |
|
lyg:ChangeInDebtSecuritiesInIssue |
| 4200 |
Change in derivative financial instruments and liabilities at fair value through profit or loss |
Concept (Monetary) |
For Period |
Debit |
lyg:GainsLossesInDerivativeFinancialInstrumentsAndLiabilitiesAtFairValueThroughProfitOrLoss |
| 4201 |
Change in investment contract liabilities |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForIncreaseDecreaseInInsuranceReinsuranceAndInvestmentContractLiabilities |
| 4202 |
Change in other operating liabilities |
Concept (Monetary) |
For Period |
Debit |
us-gaap:IncreaseDecreaseInOtherOperatingLiabilities |
| 4203 |
Change in operating liabilities |
Concept (Monetary) |
For Period |
Debit |
us-gaap:IncreaseDecreaseInOperatingLiabilities |
| 4204 |
308 - Disclosure - CONSOLIDATED CASH FLOW STATEMENT (Details) - Schedule of Non-Cash and Other Items |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofNonCashandOtherItemsTable |
| 4205 |
CONSOLIDATED CASH FLOW STATEMENT (Details) - Schedule of Non-Cash and Other Items [Table] |
Table |
* |
* |
lyg:CONSOLIDATEDCASHFLOWSTATEMENTDetailsScheduleofNonCashandOtherItemsTable |
| 4206 |
Categories of financial assets [axis] |
Axis |
|
|
ifrs-full:CategoriesOfFinancialAssetsAxis |
| 4207 |
Financial assets, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsCategoryMember |
| 4208 |
Loans and Receivables [Member] |
Member |
|
|
lyg:LoansAndReceivablesMember |
| 4209 |
Financial assets available-for-sale, category [member] |
Member |
|
|
ifrs-full:FinancialAssetsAvailableforsaleCategoryMember |
| 4210 |
Disposal Of Tangible Fixed Assets [Member] |
Member |
|
|
lyg:DisposalOfTangibleFixedAssetsMember |
| 4211 |
Protection plan [Axis] |
Axis |
|
|
lyg:ProtectionPlanAxis |
| 4212 |
ProtectionPlan [Domain] |
Member |
|
|
lyg:ProtectionPlanDomain |
| 4213 |
Payment Protection Insurance [Member] |
Member |
|
|
lyg:PaymentProtectionInsuranceMember |
| 4214 |
Other regulatory provisions [Member] |
Member |
|
|
lyg:OtherRegulatoryProvisionsMember |
| 4215 |
CONSOLIDATED CASH FLOW STATEMENT (Details) - Schedule of Non-Cash and Other Items [Line Items] |
LineItems |
|
|
lyg:CONSOLIDATEDCASHFLOWSTATEMENTDetailsScheduleofNonCashandOtherItemsLineItems |
| 4216 |
Depreciation and amortisation |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DepreciationAndAmortisationExpense |
| 4217 |
Revaluation of investment properties |
Concept (Monetary) |
For Period |
|
ifrs-full:GainsLossesOnFairValueAdjustmentInvestmentProperty |
| 4218 |
Allowance for loan losses |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLoss |
| 4219 |
Write-off of allowance for loan losses, net of recoveries |
Concept (Monetary) |
For Period |
Credit |
lyg:WriteoffOfImpairmentAllowancesRecognisedAgainstLoansAndAdvancesNetOfRecoveries |
| 4220 |
Impairment charge relating to undrawn balances |
Concept (Monetary) |
For Period |
Debit |
lyg:ProvisionsForUndrawnCommitmentsAndFinancialGuarantees |
| 4221 |
Impairment of available-for-sale financial assets |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLossOnFinancialAssets |
| 4222 |
Change in insurance contract liabilities |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseInLiabilitiesUnderInsuranceContractsAndReinsuranceContractsIssued |
| 4223 |
Charge for the year |
Concept (Monetary) |
For Period |
Debit |
lyg:ProvisionChargeForTheYear |
| 4224 |
Other provision movements |
Concept (Monetary) |
For Period |
Credit |
lyg:ChangeInOtherProvisions |
| 4225 |
Net charge (credit) in respect of defined benefit schemes |
Concept (Monetary) |
For Period |
Debit |
lyg:OtherMovementsInDefinedBenefitSchemes |
| 4226 |
Impact of consolidation and deconsolidation of OEICs |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainLossOnCessationOfConsolidationOfSubsidiariesDueToChangeOfInvestmentEntityStatus |
| 4227 |
Unwind of discount on impairment allowances |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ExpenseDueToUnwindingOfDiscountOnProvisions |
| 4228 |
Foreign exchange impact on balance sheet |
Concept (Monetary) |
For Period |
Debit |
lyg:ForeignExchangeImpactOnBalanceSheet2 |
| 4229 |
Loss on ECN transactions |
Concept (Monetary) |
For Period |
|
lyg:LossOnECNTransactions |
| 4230 |
Interest expense on subordinated liabilities |
Concept (Monetary) |
For Period |
Debit |
lyg:InterestExpenseOnSubordinatedLiabilities |
| 4231 |
Net gain on sale of available-for-sale financial assets through other comprehensive income |
Concept (Monetary) |
For Period |
Credit |
lyg:GainsLossesOnSaleOfNonCashFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome |
| 4232 |
Hedging valuation adjustments on subordinated debt |
Concept (Monetary) |
For Period |
|
lyg:HedgingValuationAdjustmentsOnSubordinatedDebt |
| 4233 |
Value of employee services |
Concept (Monetary) |
For Period |
|
lyg:ValueOfEmployeeServices |
| 4234 |
Transactions in own shares |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughTreasuryShareTransactions |
| 4235 |
Accretion of discounts and amortisation of premiums and issue costs |
Concept (Monetary) |
For Period |
|
lyg:AccretionOfDiscountsAndAmortisationOfPremiumsAndIssueCosts |
| 4236 |
Share of post-tax results of associates and joint ventures |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ShareOfProfitLossOfAssociatesAndJointVenturesAccountedForUsingEquityMethod |
| 4237 |
Transfers to income statement from reserves |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ReclassificationAdjustmentsOnCashFlowHedgesNetOfTax |
| 4238 |
Profit on disposal of tangible fixed assets |
Concept (Monetary) |
For Period |
Credit |
lyg:AdjustmentForProfitLossOnDisposalOfTangibleFixedAssets |
| 4239 |
Other non-cash items |
Concept (Monetary) |
For Period |
|
lyg:OtherNoncashItems |
| 4240 |
Total non-cash items |
Concept (Monetary) |
For Period |
|
lyg:TotalNoncashItems |
| 4241 |
Contributions to defined benefit schemes |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ContributionsToPlanNetDefinedBenefitLiabilityAsset |
| 4242 |
Payments in respect of payment protection insurance provision |
Concept (Monetary) |
For Period |
|
lyg:PaymentsInRespectOfPaymentProtectionInsuranceProvision |
| 4243 |
Payments in respect of other regulatory provisions |
Concept (Monetary) |
For Period |
|
lyg:PaymentsInRespectOfOtherRegulatoryProvisions |
| 4244 |
Other |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:OtherAdjustmentsForNoncashItems |
| 4245 |
Total other items |
Concept (Monetary) |
For Period |
Debit |
lyg:TotalAdjustmentsForOtherItems |
| 4246 |
Non-cash and other items |
Concept (Monetary) |
For Period |
Debit |
lyg:TotalAdjustmentsForNonCashAndOtherItems |
| 4247 |
309 - Disclosure - CONSOLIDATED CASH FLOW STATEMENT (Details) - Schedule of Analysis of Cash and Cash Equivalents as Shown in the Balance Sheet |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofAnalysisofCashandCashEquivalentsasShownintheBalanceSheetTable |
| 4248 |
CONSOLIDATED CASH FLOW STATEMENT (Details) - Schedule of Analysis of Cash and Cash Equivalents as Shown in the Balance Sheet [Table] |
Table |
* |
* |
lyg:CONSOLIDATEDCASHFLOWSTATEMENTDetailsScheduleofAnalysisofCashandCashEquivalentsasShownintheBalanceSheetTable |
| 4249 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 4250 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 4251 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 4252 |
CONSOLIDATED CASH FLOW STATEMENT (Details) - Schedule of Analysis of Cash and Cash Equivalents as Shown in the Balance Sheet [Line Items] |
LineItems |
|
|
lyg:CONSOLIDATEDCASHFLOWSTATEMENTDetailsScheduleofAnalysisofCashandCashEquivalentsasShownintheBalanceSheetLineItems |
| 4253 |
Cash and balances at central banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndBankBalancesAtCentralBanks |
| 4254 |
Less: mandatory reserve deposits |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:MandatoryReserveDepositsAtCentralBanks |
| 4255 |
|
Concept (Monetary) |
As Of |
Debit |
ifrs-full:BankBalancesAtCentralBanksOtherThanMandatoryReserveDeposits |
| 4256 |
Loans and advances to banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 4257 |
Less: amounts with a maturity of three months or more |
Concept (Monetary) |
As Of |
Debit |
lyg:LoansAndAdvancesToBanksNoncurrent |
| 4258 |
|
Concept (Monetary) |
As Of |
Debit |
lyg:LoansAndAdvancesToBanksCurrent |
| 4259 |
Total cash and cash equivalents |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndCashEquivalents |
| 4260 |
310 - Disclosure - CONSOLIDATED CASH FLOW STATEMENT (Details) - Schedule of Acquisition of Group Undertakings and Businesses |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofAcquisitionofGroupUndertakingsandBusinessesTable |
| 4261 |
CONSOLIDATED CASH FLOW STATEMENT (Details) - Schedule of Acquisition of Group Undertakings and Businesses [Table] |
Table |
* |
* |
lyg:CONSOLIDATEDCASHFLOWSTATEMENTDetailsScheduleofAcquisitionofGroupUndertakingsandBusinessesTable |
| 4262 |
Business combinations [axis] |
Axis |
|
|
ifrs-full:BusinessCombinationsAxis |
| 4263 |
Entity's total for business combinations [member] |
Member |
|
|
ifrs-full:EntitysTotalForBusinessCombinationsMember |
| 4264 |
Business combinations [member] |
Member |
|
|
ifrs-full:BusinessCombinationsMember |
| 4265 |
CONSOLIDATED CASH FLOW STATEMENT (Details) - Schedule of Acquisition of Group Undertakings and Businesses [Line Items] |
LineItems |
|
|
lyg:CONSOLIDATEDCASHFLOWSTATEMENTDetailsScheduleofAcquisitionofGroupUndertakingsandBusinessesLineItems |
| 4266 |
Net assets acquired: |
Abstract |
|
|
lyg:NetAssetsAcquiredAbstract |
| 4267 |
Cash and cash equivalents |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndCashEquivalents |
| 4268 |
Loans and receivables: Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 4269 |
Available-for-sale financial assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAvailableforsale |
| 4270 |
Intangible assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:IntangibleAssetsOtherThanGoodwill |
| 4271 |
Property, plant and equipment |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:PropertyPlantAndEquipment |
| 4272 |
Other assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherAssets |
| 4273 |
Deposits from banks |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromBanks |
| 4274 |
Other liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherLiabilities |
| 4275 |
Goodwill arising on acquisition |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:GoodwillRecognisedAsOfAcquisitionDate |
| 4276 |
Cash consideration |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:PortionOfConsiderationPaidReceivedConsistingOfCashAndCashEquivalents |
| 4277 |
Less: Cash and cash equivalents acquired |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseInCashAndCashEquivalents |
| 4278 |
Net cash outflow arising from acquisition of subsidiaries and businesses |
Concept (Monetary) |
For Period |
Credit |
us-gaap:OtherPaymentsToAcquireBusinesses |
| 4279 |
Acquisition of and additional investment in joint ventures |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherCashPaymentsToAcquireInterestsInJointVenturesClassifiedAsInvestingActivities |
| 4280 |
Net cash outflow from acquisitions in the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:CashFlowsUsedInObtainingControlOfSubsidiariesOrOtherBusinessesClassifiedAsInvestingActivities |
| 4281 |
311 - Disclosure - CONSOLIDATED CASH FLOW STATEMENT (Details) - Schedule of Disposal and Closure of Group Undertakings and Businesses |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofDisposalandClosureofGroupUndertakingsandBusinessesTable |
| 4282 |
CONSOLIDATED CASH FLOW STATEMENT (Details) - Schedule of Disposal and Closure of Group Undertakings and Businesses [Table] |
Table |
* |
* |
lyg:CONSOLIDATEDCASHFLOWSTATEMENTDetailsScheduleofDisposalandClosureofGroupUndertakingsandBusinessesTable |
| 4283 |
Categories of related parties [axis] |
Axis |
|
|
ifrs-full:CategoriesOfRelatedPartiesAxis |
| 4284 |
Entity's total for related parties [member] |
Member |
|
|
ifrs-full:EntitysTotalForRelatedPartiesMember |
| 4285 |
Other disposals of assets [member] |
Member |
|
|
ifrs-full:OtherDisposalsOfAssetsMember |
| 4286 |
CONSOLIDATED CASH FLOW STATEMENT (Details) - Schedule of Disposal and Closure of Group Undertakings and Businesses [Line Items] |
LineItems |
|
|
lyg:CONSOLIDATEDCASHFLOWSTATEMENTDetailsScheduleofDisposalandClosureofGroupUndertakingsandBusinessesLineItems |
| 4287 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 4288 |
Non-controlling interests |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:NoncontrollingInterests |
| 4289 |
Other net assets (liabilities) |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherLiabilities |
| 4290 |
|
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Liabilities |
| 4291 |
Net assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:NetAssetsLiabilities |
| 4292 |
Cash consideration received on losing control of group undertakings and businesses |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:PortionOfConsiderationPaidReceivedConsistingOfCashAndCashEquivalents |
| 4293 |
Net cash inflow (outflow) |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CashFlowsFromLosingControlOfSubsidiariesOrOtherBusinessesClassifiedAsInvestingActivities |
| 4294 |
312 - Disclosure - ADOPTION OF IFRS 9 AND IFRS 15 (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ADOPTIONOFIFRS9ANDIFRS15Details |
| 4295 |
ADOPTION OF IFRS 9 AND IFRS 15 (Details) [Table] |
Table |
* |
* |
lyg:ADOPTIONOFIFRS9ANDIFRS15DetailsTable |
| 4296 |
Departure from requirement of IFRS [axis] |
Axis |
|
|
ifrs-full:DepartureFromRequirementOfIFRSAxis |
| 4297 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 4298 |
Increase (decrease) due to application of IFRS 15 [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToApplicationOfIFRS15Member |
| 4299 |
Initially applied IFRSs [axis] |
Axis |
|
|
ifrs-full:InitiallyAppliedIFRSsAxis |
| 4300 |
Initially applied IFRSs [member] |
Member |
|
|
ifrs-full:InitiallyAppliedIFRSsMember |
| 4301 |
Increase (decrease) due to application of IFRS 9 [member] |
Member |
|
|
lyg:IncreasedecreaseDueToApplicationOfIFRS9Member |
| 4302 |
Reclassified following changes in the business model [member] |
Member |
|
|
lyg:ReclassifiedFollowingChangesInTheBusinessModelMember |
| 4303 |
ADOPTION OF IFRS 9 AND IFRS 15 (Details) [Line Items] |
LineItems |
|
|
lyg:ADOPTIONOFIFRS9ANDIFRS15DetailsLineItems |
| 4304 |
Equity Attributable To Owners Of Parent Excluding Other Equity Instruments |
Concept (Monetary) |
As Of |
Credit |
lyg:EquityAttributableToOwnersOfParentExcludingOtherEquityInstruments |
| 4305 |
Impairment loss |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLoss |
| 4306 |
Financial assets at amortised cost |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtAmortisedCost |
| 4307 |
Financial assets described in paragraph 39E(a) of IFRS 4, carrying amount applying IAS 39 |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsDescribedInParagraph39EaOfIFRS4CarryingAmountApplyingIAS39 |
| 4308 |
Loans and advances to banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 4309 |
Financial assets previously designated at fair value through profit or loss reclassified due to requirements of IFRS 9, initial application of IFRS 9 |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsPreviouslyDesignatedAtFairValueThroughProfitOrLossReclassifiedDueToRequirementsOfIFRS9FirstApplicationOfIFRS9 |
| 4310 |
Fair value gain (loss) that would have been recognised in profit or loss if financial assets had not been reclassified |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:FairValueGainsOrLossThatWouldHaveBeenRecognisedInProfitOrLossIfFinancialAssetsHadNotBeenReclassified |
| 4311 |
Effective interest rate of financial assets reclassified out of financial assets at fair value through profit or loss |
Concept (Percent) |
As Of |
|
ifrs-full:EffectiveInterestRateOfFinancialAssetsReclassifiedOutOfFinancialAssetsAtFairValueThroughProfitOrLoss |
| 4312 |
Interest revenue (expense) recognised for financial assets reclassified out of fair value through profit or loss category, initial application of IFRS 9 |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestIncomeExpenseRecognisedForFinancialAssetsReclassifiedIntoMeasuredAtAmortisedCostFirstApplicationOfIFRS9 |
| 4313 |
Reclassification adjustments on financial assets measured at fair value through other comprehensive income, before tax |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ReclassificationAdjustmentsOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeBeforeTax |
| 4314 |
Reclassification adjustments on financial assets measured at fair value through other comprehensive income, net of tax |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ReclassificationAdjustmentsOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeNetOfTax |
| 4315 |
Adjustments for increase (decrease) in deferred income |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForIncreaseDecreaseInDeferredIncome |
| 4316 |
Increase (decrease) in equity |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ChangesInEquity |
| 4317 |
313 - Disclosure - ADOPTION OF IFRS 9 AND IFRS 15 (Details) - Balance Sheet Under IFRS 9 and IFRS 15 |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/BalanceSheetUnderIFRS9andIFRS15Table |
| 4318 |
ADOPTION OF IFRS 9 AND IFRS 15 (Details) - Balance Sheet Under IFRS 9 and IFRS 15 [Table] |
Table |
* |
* |
lyg:ADOPTIONOFIFRS9ANDIFRS15DetailsBalanceSheetUnderIFRS9andIFRS15Table |
| 4319 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 4320 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 4321 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 4322 |
Increase (decrease) due to classification and measurement of IFRS 9 [member] |
Member |
|
|
lyg:IncreasedecreaseDueToClassificationAndMeasurementOfIFRS9Member |
| 4323 |
Increase (decrease) due to application of IFRS 9 related to impairment [member] |
Member |
|
|
lyg:IncreasedecreaseDueToApplicationOfIFRS9RelatedToImpairmentMember |
| 4324 |
Increase (decrease) due to application of IFRS 15 [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToApplicationOfIFRS15Member |
| 4325 |
ADOPTION OF IFRS 9 AND IFRS 15 (Details) - Balance Sheet Under IFRS 9 and IFRS 15 [Line Items] |
LineItems |
|
|
lyg:ADOPTIONOFIFRS9ANDIFRS15DetailsBalanceSheetUnderIFRS9andIFRS15LineItems |
| 4326 |
Assets |
Abstract |
|
|
lyg:AssetsAbstract000 |
| 4327 |
Cash and balances at central banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndBankBalancesAtCentralBanks |
| 4328 |
Items in course of collection from banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:ItemsInCourseOfCollectionFromOtherBanks |
| 4329 |
Financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 4330 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 4331 |
Loans and advances to banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 4332 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 4333 |
Debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 4334 |
Financial assets at amortised cost |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtAmortisedCost |
| 4335 |
Financial assets at fair value through other comprehensive income |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
| 4336 |
Available-for-sale financial assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAvailableforsale |
| 4337 |
Goodwill |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:Goodwill |
| 4338 |
Value of in-force business |
Concept (Monetary) |
As Of |
Debit |
lyg:ValueOfInforceBusiness |
| 4339 |
Other intangible assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherIntangibleAssets |
| 4340 |
Property, plant and equipment |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:PropertyPlantAndEquipment |
| 4341 |
Current tax recoverable |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CurrentTaxAssets |
| 4342 |
Deferred tax assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DeferredTaxAssets |
| 4343 |
Retirement benefit assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:RecognisedAssetsDefinedBenefitPlan |
| 4344 |
Other assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherAssets |
| 4345 |
Total assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:Assets |
| 4346 |
Liabilities |
Abstract |
|
|
lyg:LiabilitiesAbstract000 |
| 4347 |
Deposits from banks |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromBanks |
| 4348 |
Customer deposits |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromCustomers |
| 4349 |
Items in course of transmission to banks |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ItemsInCourseOfTransmissionToOtherBanks |
| 4350 |
Financial liabilities at fair value through profit or loss |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLoss |
| 4351 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DerivativeFinancialLiabilities |
| 4352 |
Notes in circulation |
Concept (Monetary) |
As Of |
Credit |
lyg:NotesInCirculation |
| 4353 |
Debt securities in issue |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DebtSecurities |
| 4354 |
Liabilities arising from insurance contracts and participating investment contracts |
Concept (Monetary) |
As Of |
Credit |
lyg:LiabilitiesArisingFromInsuranceContractsAndParticipatingInvestmentContracts |
| 4355 |
Liabilities arising from non-participating investment contracts |
Concept (Monetary) |
As Of |
Credit |
lyg:NonParticipatingInvestmentContractLiability |
| 4356 |
Other liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherLiabilities |
| 4357 |
Retirement benefit obligations |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:RecognisedLiabilitiesDefinedBenefitPlan |
| 4358 |
Current tax liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:CurrentTaxLiabilitiesCurrent |
| 4359 |
Other provisions |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherProvisions |
| 4360 |
Subordinated liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:SubordinatedLiabilities |
| 4361 |
Total liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Liabilities |
| 4362 |
Equity |
Abstract |
|
|
lyg:EquityAbstract0 |
| 4363 |
Shareholders’ equity |
Concept (Monetary) |
As Of |
Credit |
lyg:EquityAttributableToOwnersOfParentExcludingOtherEquityInstruments |
| 4364 |
Other equity instruments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherEquityInterest |
| 4365 |
Non-controlling interests |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:NoncontrollingInterests |
| 4366 |
Total equity |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Equity |
| 4367 |
Total equity and liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:EquityAndLiabilities |
| 4368 |
314 - Disclosure - ADOPTION OF IFRS 9 AND IFRS 15 (Details) - Impact of Transitional Adjustments on the Group's Loss Allowances |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ImpactofTransitionalAdjustmentsontheGroupsLossAllowancesTable |
| 4369 |
ADOPTION OF IFRS 9 AND IFRS 15 (Details) - Impact of Transitional Adjustments on the Group's Loss Allowances [Table] |
Table |
* |
* |
lyg:ADOPTIONOFIFRS9ANDIFRS15DetailsImpactofTransitionalAdjustmentsontheGroupsLossAllowancesTable |
| 4370 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 4371 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 4372 |
Increase (decrease) due to application of IFRS 9 related to impairment [member] |
Member |
|
|
lyg:IncreasedecreaseDueToApplicationOfIFRS9RelatedToImpairmentMember |
| 4373 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 4374 |
Carrying amount, accumulated depreciation, amortisation and impairment and gross carrying amount [axis] |
Axis |
|
|
ifrs-full:CarryingAmountAccumulatedDepreciationAmortisationAndImpairmentAndGrossCarryingAmountAxis |
| 4375 |
Carrying amount [member] |
Member |
|
|
ifrs-full:CarryingAmountMember |
| 4376 |
Accumulated impairment [member] |
Member |
|
|
ifrs-full:AccumulatedImpairmentMember |
| 4377 |
ADOPTION OF IFRS 9 AND IFRS 15 (Details) - Impact of Transitional Adjustments on the Group's Loss Allowances [Line Items] |
LineItems |
|
|
lyg:ADOPTIONOFIFRS9ANDIFRS15DetailsImpactofTransitionalAdjustmentsontheGroupsLossAllowancesLineItems |
| 4378 |
Loans and advances to banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 4379 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 4380 |
Debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 4381 |
Other |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherAssets |
| 4382 |
|
Concept (Monetary) |
As Of |
Credit |
ifrs-full:AllowanceAccountForCreditLossesOfFinancialAssets |
| 4383 |
Provisions for undrawn commitments and financial guarantees |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:UndrawnBorrowingFacilities |
| 4384 |
Total loss allowance |
Concept (Monetary) |
As Of |
Credit |
lyg:AllowanceForCreditLossesOfFinancialAssetsIncludingUndrawnCommitments |
| 4385 |
315 - Disclosure - ADOPTION OF IFRS 9 AND IFRS 15 (Details) - Schedule of Impairment Allowances Under IFRS 9 |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofImpairmentAllowancesUnderIFRS9Table |
| 4386 |
ADOPTION OF IFRS 9 AND IFRS 15 (Details) - Schedule of Impairment Allowances Under IFRS 9 [Table] |
Table |
* |
* |
lyg:ADOPTIONOFIFRS9ANDIFRS15DetailsScheduleofImpairmentAllowancesUnderIFRS9Table |
| 4387 |
Product and Service [Axis] |
Axis |
|
|
srt:ProductOrServiceAxis |
| 4388 |
Product and Service [Domain] |
Member |
|
|
srt:ProductsAndServicesDomain |
| 4389 |
Retail [Member] |
Member |
|
|
us-gaap:RetailMember |
| 4390 |
Commercial Banking [Member] |
Member |
|
|
lyg:CommercialBankingMember |
| 4391 |
Insurance and wealth [Member] |
Member |
|
|
lyg:InsuranceAndWealthMember |
| 4392 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 4393 |
Type of measurement of expected credit losses [axis] |
Axis |
|
|
ifrs-full:TypeOfMeasurementOfExpectedCreditLossesAxis |
| 4394 |
Type of measurement of expected credit losses [member] |
Member |
|
|
ifrs-full:TypeOfMeasurementOfExpectedCreditLossesMember |
| 4395 |
IAS 39 latent risk [member] |
Member |
|
|
lyg:IAS39LatentRiskMember |
| 4396 |
12-month expected credit losses [member] |
Member |
|
|
ifrs-full:TwelvemonthExpectedCreditLossesMember |
| 4397 |
Lifetime expected credit losses [member] |
Member |
|
|
ifrs-full:LifetimeExpectedCreditLossesMember |
| 4398 |
Undrawn commitments [Member] |
Member |
|
|
lyg:UndrawnCommitmentsMember |
| 4399 |
Economic Scenarios [Member] |
Member |
|
|
lyg:EconomicScenariosMember |
| 4400 |
Credit Facility [Axis] |
Axis |
|
|
us-gaap:CreditFacilityAxis |
| 4401 |
Credit Facility [Domain] |
Member |
|
|
us-gaap:CreditFacilityDomain |
| 4402 |
Secured Debt [Member] |
Member |
|
|
us-gaap:SecuredDebtMember |
| 4403 |
Unsecured Debt [Member] |
Member |
|
|
us-gaap:UnsecuredDebtMember |
| 4404 |
UK Motor Finance [member] |
Member |
|
|
lyg:UKMotorFinanceMember |
| 4405 |
Other [Member] |
Member |
|
|
lyg:OtherMember |
| 4406 |
ADOPTION OF IFRS 9 AND IFRS 15 (Details) - Schedule of Impairment Allowances Under IFRS 9 [Line Items] |
LineItems |
|
|
lyg:ADOPTIONOFIFRS9ANDIFRS15DetailsScheduleofImpairmentAllowancesUnderIFRS9LineItems |
| 4407 |
Impairment allowances |
Concept (Monetary) |
As Of |
Credit |
lyg:AllowanceForImpairmentLosses |
| 4408 |
316 - Disclosure - ADOPTION OF IFRS 9 AND IFRS 15 (Details) - Schedule of Reclassifications |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/ScheduleofReclassificationsTable |
| 4409 |
ADOPTION OF IFRS 9 AND IFRS 15 (Details) - Schedule of Reclassifications [Table] |
Table |
* |
* |
lyg:ADOPTIONOFIFRS9ANDIFRS15DetailsScheduleofReclassificationsTable |
| 4410 |
Initially applied IFRSs [axis] |
Axis |
|
|
ifrs-full:InitiallyAppliedIFRSsAxis |
| 4411 |
Initially applied IFRSs [member] |
Member |
|
|
ifrs-full:InitiallyAppliedIFRSsMember |
| 4412 |
IAS 39 carrying amount [member] |
Member |
|
|
lyg:IAS39CarryingAmountMember |
| 4413 |
IFRS 9 Reclassification at fair value through profit or loss [member] |
Member |
|
|
lyg:IFRS9ReclassificationAtFairValueThroughProfitOrLossMember |
| 4414 |
IFRS 9 Reclassification at fair value through other comprehensive income [member] |
Member |
|
|
lyg:IFRS9ReclassificationAtFairValueThroughOtherComprehensiveIncomeMember |
| 4415 |
Total reclassification [member] |
Member |
|
|
lyg:TotalReclassificationMember |
| 4416 |
IFRS 9 remeasurement [member] |
Member |
|
|
lyg:IFRS9RemeasurementMember |
| 4417 |
Before IFRS 9 impairment adjustments [member] |
Member |
|
|
lyg:BeforeIFRS9ImpairmentAdjustmentsMember |
| 4418 |
ADOPTION OF IFRS 9 AND IFRS 15 (Details) - Schedule of Reclassifications [Line Items] |
LineItems |
|
|
lyg:ADOPTIONOFIFRS9ANDIFRS15DetailsScheduleofReclassificationsLineItems |
| 4419 |
Financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 4420 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 4421 |
Loans and advances to banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 4422 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 4423 |
Debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 4424 |
Financial assets at amortised cost |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtAmortisedCost |
| 4425 |
Financial assets at fair value through other comprehensive income |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
| 4426 |
Available-for-sale financial assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAvailableforsale |
| 4427 |
Other assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherAssets |
| 4428 |
Total |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssets |
| 4429 |
Financial liabilities at fair value through profit or loss |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLoss |
| 4430 |
Debt securities in issue |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DebtSecurities |
| 4431 |
Total |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilities |
| 4432 |
317 - Disclosure - FUTURE ACCOUNTING DEVELOPMENTS (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/FUTUREACCOUNTINGDEVELOPMENTSDetails |
| 4433 |
FUTURE ACCOUNTING DEVELOPMENTS (Details) [Table] |
Table |
* |
* |
lyg:FUTUREACCOUNTINGDEVELOPMENTSDetailsTable |
| 4434 |
New IFRSs [axis] |
Axis |
|
|
ifrs-full:NewIFRSsAxis |
| 4435 |
New IFRSs [member] |
Member |
|
|
ifrs-full:NewIFRSsMember |
| 4436 |
At cost or in accordance with IFRS 16 within fair value model [member] |
Member |
|
|
ifrs-full:AtCostOrInAccordanceWithIFRS16WithinFairValueModelMember |
| 4437 |
IAS 12 [member] |
Member |
|
|
lyg:IAS12Member |
| 4438 |
FUTURE ACCOUNTING DEVELOPMENTS (Details) [Line Items] |
LineItems |
|
|
lyg:FUTUREACCOUNTINGDEVELOPMENTSDetailsLineItems |
| 4439 |
Additions to right-of-use assets |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdditionsToRightofuseAssets |
| 4440 |
Reclassified tax credit |
Concept (Monetary) |
As Of |
Debit |
lyg:ReclassifiedTaxCredit |
| 4441 |
318 - Disclosure - PARENT COMPANY DISCLOSURES (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/PARENTCOMPANYDISCLOSURESDetails |
| 4442 |
PARENT COMPANY DISCLOSURES (Details) [Table] |
Table |
* |
* |
lyg:PARENTCOMPANYDISCLOSURESDetailsTable |
| 4443 |
Consolidated Entities [Axis] |
Axis |
|
|
srt:ConsolidatedEntitiesAxis |
| 4444 |
Consolidated Entities [Domain] |
Member |
|
|
srt:ConsolidatedEntitiesDomain |
| 4445 |
Parent Company [Member] |
Member |
|
|
srt:ParentCompanyMember |
| 4446 |
PARENT COMPANY DISCLOSURES (Details) [Line Items] |
LineItems |
|
|
lyg:PARENTCOMPANYDISCLOSURESDetailsLineItems |
| 4447 |
Profit Attributable To Other Equity Holders |
Concept (Monetary) |
For Period |
Credit |
lyg:ProfitAttributableToOtherEquityHolders |
| 4448 |
Tax Credit Attributable To Ordinary Shareholders |
Concept (Monetary) |
For Period |
Credit |
lyg:TaxCreditAttributableToOrdinaryShareholders |
| 4449 |
Payments of other equity instruments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:PaymentsOfOtherEquityInstruments |
| 4450 |
319 - Disclosure - PARENT COMPANY DISCLOSURES (Details) - Company Income Statement |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CompanyIncomeStatementTable |
| 4451 |
Condensed Income Statement [Table] |
Table |
* |
* |
srt:CondensedIncomeStatementTable |
| 4452 |
Consolidated Entities [Axis] |
Axis |
|
|
srt:ConsolidatedEntitiesAxis |
| 4453 |
Consolidated Entities [Domain] |
Member |
|
|
srt:ConsolidatedEntitiesDomain |
| 4454 |
Parent Company [Member] |
Member |
|
|
srt:ParentCompanyMember |
| 4455 |
Condensed Income Statements, Captions [Line Items] |
LineItems |
|
|
srt:CondensedIncomeStatementsCaptionsLineItems |
| 4456 |
Net interest (expense) income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestRevenueExpense |
| 4457 |
Other income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherRevenue |
| 4458 |
Total income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:Revenue |
| 4459 |
Operating expenses |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:OperatingExpense |
| 4460 |
Trading surplus |
Concept (Monetary) |
For Period |
Credit |
lyg:TradingSurplus |
| 4461 |
Impairment |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLoss |
| 4462 |
Profit on ordinary activities before tax |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossBeforeTax |
| 4463 |
Tax expense |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxExpenseContinuingOperations |
| 4464 |
Profit for the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLoss |
| 4465 |
Profit attributable to ordinary shareholders |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossAttributableToOrdinaryEquityHoldersOfParentEntity |
| 4466 |
Profit attributable to other equity holders |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossAttributableToNoncontrollingInterests |
| 4467 |
320 - Disclosure - PARENT COMPANY DISCLOSURES (Details) - Company Balance Sheet |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CompanyBalanceSheetTable |
| 4468 |
Condensed Balance Sheet Statement [Table] |
Table |
* |
* |
srt:CondensedBalanceSheetStatementTable |
| 4469 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 4470 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 4471 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 4472 |
Consolidated Entities [Axis] |
Axis |
|
|
srt:ConsolidatedEntitiesAxis |
| 4473 |
Consolidated Entities [Domain] |
Member |
|
|
srt:ConsolidatedEntitiesDomain |
| 4474 |
Parent Company [Member] |
Member |
|
|
srt:ParentCompanyMember |
| 4475 |
Condensed Balance Sheet Statements, Captions [Line Items] |
LineItems |
|
|
srt:CondensedBalanceSheetStatementsCaptionsLineItems |
| 4476 |
Non-current assets: |
Abstract |
|
|
lyg:NonCurrentAssetsAbstract |
| 4477 |
Investment in subsidiaries |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:InvestmentsInSubsidiaries |
| 4478 |
Loans to subsidiaries |
Concept (Monetary) |
As Of |
Debit |
lyg:LoansToSubsidiaries |
| 4479 |
Deferred tax assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DeferredTaxAssets |
| 4480 |
|
Concept (Monetary) |
As Of |
Debit |
ifrs-full:NoncurrentAssets |
| 4481 |
Current assets: |
Abstract |
|
|
ifrs-full:CurrentAssetsAbstract |
| 4482 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 4483 |
Financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 4484 |
Other assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherAssets |
| 4485 |
Amounts due from subsidiaries |
Concept (Monetary) |
As Of |
Debit |
lyg:AmountsDueFromSubsidiaries |
| 4486 |
Cash and cash equivalents |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndCashEquivalents |
| 4487 |
Current tax recoverable |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CurrentTaxAssets |
| 4488 |
|
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CurrentAssets |
| 4489 |
Total assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:Assets |
| 4490 |
Capital and reserves: |
Abstract |
|
|
lyg:CapitalAndReservesAbstract |
| 4491 |
Share capital |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:IssuedCapital |
| 4492 |
Share premium account |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:SharePremium |
| 4493 |
Merger reserve |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:MergerReserve |
| 4494 |
Capital redemption reserve |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:CapitalRedemptionReserve |
| 4495 |
Retained profits |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:RetainedEarnings |
| 4496 |
Shareholders’ equity |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:EquityAttributableToOwnersOfParent |
| 4497 |
Other equity instruments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherEquityInterest |
| 4498 |
Total equity |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Equity |
| 4499 |
Non-current liabilities: |
Abstract |
|
|
lyg:NonCurrentLiabilitiesAbstract |
| 4500 |
Debt securities in issue |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DebtSecurities |
| 4501 |
Subordinated liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:SubordinatedLiabilities |
| 4502 |
|
Concept (Monetary) |
As Of |
Credit |
ifrs-full:NoncurrentLiabilities |
| 4503 |
Current liabilities: |
Abstract |
|
|
ifrs-full:CurrentLiabilitiesAbstract |
| 4504 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DerivativeFinancialLiabilities |
| 4505 |
Other liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherLiabilities |
| 4506 |
|
Concept (Monetary) |
As Of |
Credit |
ifrs-full:CurrentLiabilities |
| 4507 |
Total liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Liabilities |
| 4508 |
Total equity and liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:EquityAndLiabilities |
| 4509 |
321 - Disclosure - PARENT COMPANY DISCLOSURES (Details) - Company Statement of Changes in Equity |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CompanyStatementofChangesinEquityTable |
| 4510 |
PARENT COMPANY DISCLOSURES (Details) - Company Statement of Changes in Equity [Table] |
Table |
* |
* |
lyg:PARENTCOMPANYDISCLOSURESDetailsCompanyStatementofChangesinEquityTable |
| 4511 |
Consolidated Entities [Axis] |
Axis |
|
|
srt:ConsolidatedEntitiesAxis |
| 4512 |
Consolidated Entities [Domain] |
Member |
|
|
srt:ConsolidatedEntitiesDomain |
| 4513 |
Parent Company [Member] |
Member |
|
|
srt:ParentCompanyMember |
| 4514 |
Components of equity [axis] |
Axis |
|
|
ifrs-full:ComponentsOfEquityAxis |
| 4515 |
Equity [member] |
Member |
|
|
ifrs-full:EquityMember |
| 4516 |
Issued capital [member] |
Member |
|
|
ifrs-full:IssuedCapitalMember |
| 4517 |
Merger reserve [member] |
Member |
|
|
ifrs-full:MergerReserveMember |
| 4518 |
Capital redemption reserve [member] |
Member |
|
|
ifrs-full:CapitalRedemptionReserveMember |
| 4519 |
Retained earnings [member] |
Member |
|
|
ifrs-full:RetainedEarningsMember |
| 4520 |
Equity attributable to owners of parent [member] |
Member |
|
|
ifrs-full:EquityAttributableToOwnersOfParentMember |
| 4521 |
Other equity interest [member] |
Member |
|
|
ifrs-full:OtherEquityInterestMember |
| 4522 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 4523 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 4524 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 4525 |
Increase (decrease) due to changes in accounting policy required by IFRSs [member] |
Member |
|
|
ifrs-full:IncreaseDecreaseDueToChangesInAccountingPolicyRequiredByIFRSsMember |
| 4526 |
PARENT COMPANY DISCLOSURES (Details) - Company Statement of Changes in Equity [Line Items] |
LineItems |
|
|
lyg:PARENTCOMPANYDISCLOSURESDetailsCompanyStatementofChangesinEquityLineItems |
| 4527 |
Beginning Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Equity |
| 4528 |
Total comprehensive income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ComprehensiveIncome |
| 4529 |
Dividends paid |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DividendsPaid |
| 4530 |
Distributions on other equity instruments, net of tax |
Concept (Monetary) |
For Period |
Debit |
lyg:CouponPaidToOtherEquityHoldersNetOfTax |
| 4531 |
Issue of ordinary shares |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IssueOfEquity |
| 4532 |
Share buy-back programme |
Concept (Monetary) |
For Period |
Credit |
lyg:ShareBuyback |
| 4533 |
Issue of AT1 securities |
Concept (Monetary) |
For Period |
Credit |
lyg:IssueOfOtherEquityInstruments |
| 4534 |
Redemption of preference shares |
Concept (Monetary) |
For Period |
|
lyg:RedemptionOfPreferenceShares |
| 4535 |
Movement in treasury shares |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughTreasuryShareTransactions |
| 4536 |
Value of employee services: |
Abstract |
|
|
lyg:ValueOfEmployeeServicesAbstract0000 |
| 4537 |
Share option schemes |
Concept (Monetary) |
For Period |
Credit |
lyg:AdjustmentsForShareOptionAwards |
| 4538 |
Other employee award schemes |
Concept (Monetary) |
For Period |
Credit |
lyg:AdjustmentsForShareBasedAwardsExcludingOptions |
| 4539 |
Ending Balance |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Equity |
| 4540 |
322 - Disclosure - PARENT COMPANY DISCLOSURES (Details) - Company Cash Flow Statement |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CompanyCashFlowStatementTable |
| 4541 |
Condensed Cash Flow Statement [Table] |
Table |
* |
* |
srt:CondensedCashFlowStatementTable |
| 4542 |
Consolidated Entities [Axis] |
Axis |
|
|
srt:ConsolidatedEntitiesAxis |
| 4543 |
Consolidated Entities [Domain] |
Member |
|
|
srt:ConsolidatedEntitiesDomain |
| 4544 |
Parent Company [Member] |
Member |
|
|
srt:ParentCompanyMember |
| 4545 |
Condensed Cash Flow Statements, Captions [Line Items] |
LineItems |
|
|
srt:CondensedCashFlowStatementsCaptionsLineItems |
| 4546 |
Profit before tax |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossBeforeTax |
| 4547 |
Fair value and exchange adjustments and other non-cash items |
Concept (Monetary) |
For Period |
|
lyg:FairValueAndExchangeAdjustmentsAndOtherNoncashItems |
| 4548 |
Change in other assets |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForDecreaseIncreaseInOtherAssets |
| 4549 |
Change in other liabilities and other items |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:AdjustmentsForIncreaseDecreaseInOtherLiabilities |
| 4550 |
Dividends received |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DividendsReceivedClassifiedAsOperatingActivities |
| 4551 |
Distributions on other equity instruments received |
Concept (Monetary) |
For Period |
Debit |
lyg:DistributionsOnOtherEquityInstrumentsReceivedFromOperatingActivities |
| 4552 |
Tax (paid) received |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncomeTaxesPaidRefund |
| 4553 |
Net cash provided by (used in) operating activities |
Concept (Monetary) |
For Period |
|
ifrs-full:CashFlowsFromUsedInOperatingActivities |
| 4554 |
Cash flows from investing activities |
Abstract |
|
|
lyg:CashFlowsFromInvestingActivitiesAbstract0 |
| 4555 |
Return of capital contribution |
Concept (Monetary) |
For Period |
Debit |
lyg:ReturnOfCapitalContribution |
| 4556 |
Dividends received |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RevenueFromDividends |
| 4557 |
Distributions on other equity instruments received |
Concept (Monetary) |
For Period |
Credit |
lyg:DistributionsOnOtherEquityInstrumentsReceivedIntoInvestingActivities |
| 4558 |
Acquisition of and capital injections to subsidiaries |
Concept (Monetary) |
For Period |
Credit |
lyg:CapitalInjectionsToSubsidiaries |
| 4559 |
Return of capital |
Concept (Monetary) |
For Period |
Debit |
us-gaap:ProceedsFromEquityMethodInvestmentDividendsOrDistributionsReturnOfCapital |
| 4560 |
Amounts advanced to subsidiaries |
Concept (Monetary) |
For Period |
|
ifrs-full:SupportProvidedToSubsidiaryWithoutHavingContractualObligationToDoSo |
| 4561 |
Repayment of loans to subsidiaries |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RepaymentsOfBorrowingsClassifiedAsFinancingActivities |
| 4562 |
Interest received on loans to subsidiaries |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:InterestReceivedClassifiedAsInvestingActivities |
| 4563 |
Net cash (used in) provided by investing activities |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CashFlowsFromUsedInInvestingActivities |
| 4564 |
Cash flows from financing activities |
Abstract |
|
|
lyg:CashFlowsFromFinancingActivitiesAbstract0 |
| 4565 |
Dividends paid to ordinary shareholders |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:DividendsPaidToEquityHoldersOfParentClassifiedAsFinancingActivities |
| 4566 |
Distributions on other equity instruments |
Concept (Monetary) |
For Period |
Credit |
lyg:DistributionsOnOtherEquityInstruments |
| 4567 |
Issue of subordinated liabilities |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProceedsFromIssueOfSubordinatedLiabilities |
| 4568 |
Interest paid on subordinated liabilities |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestPaidClassifiedAsFinancingActivities |
| 4569 |
Share buy-back |
Concept (Monetary) |
For Period |
Credit |
lyg:ShareBuyback |
| 4570 |
Issue of other equity instruments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IssuesFairValueMeasurementEntitysOwnEquityInstruments |
| 4571 |
Repayment of subordinated liabilities |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RepaymentsOfSubordinatedLiabilities |
| 4572 |
Proceeds from issue of ordinary shares |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProceedsFromIssueOfOrdinaryShares |
| 4573 |
Net cash provided by financing activities |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CashFlowsFromUsedInFinancingActivities |
| 4574 |
Change in cash and cash equivalents |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseInCashAndCashEquivalents |
| 4575 |
Cash and cash equivalents at beginning of year |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndCashEquivalents |
| 4576 |
Cash and cash equivalents at end of year |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndCashEquivalents |
| 4577 |
323 - Disclosure - PARENT COMPANY DISCLOSURES (Details) - Interests In Subsidiaries |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/InterestsInSubsidiariesTable |
| 4578 |
PARENT COMPANY DISCLOSURES (Details) - Interests In Subsidiaries [Table] |
Table |
* |
* |
lyg:PARENTCOMPANYDISCLOSURESDetailsInterestsInSubsidiariesTable |
| 4579 |
Nature of business [Axis] |
Axis |
|
|
lyg:NatureOfBusinessAxis |
| 4580 |
NatureOfBusiness [Domain] |
Member |
|
|
lyg:NatureOfBusinessDomain |
| 4581 |
Banking and financial services [Member] |
Member |
|
|
lyg:BankingAndFinancialServicesMember |
| 4582 |
Life assurance [Member] |
Member |
|
|
lyg:LifeAssuranceMember |
| 4583 |
Holding company [Member] |
Member |
|
|
lyg:HoldingCompanyMember |
| 4584 |
Subsidiaries [axis] |
Axis |
|
|
ifrs-full:SignificantInvestmentsInSubsidiariesAxis |
| 4585 |
Entity's total for subsidiaries [member] |
Member |
|
|
ifrs-full:EntitysTotalForSubsidiariesMember |
| 4586 |
Lloyds Bank plc [Member] |
Member |
|
|
lyg:LloydsBankPlcMember |
| 4587 |
Scottish Widows Limited [Member] |
Member |
|
|
lyg:ScottishWidowsLimitedMember |
| 4588 |
HBOS plc [Member] |
Member |
|
|
lyg:HBOSPlcMember |
| 4589 |
Bank of Scotland plc [Member] |
Member |
|
|
lyg:BankOfScotlandPlcMember |
| 4590 |
Lloyds Bank Corporate Markets plc [member] |
Member |
|
|
lyg:LloydsBankCorporateMarketsPlcMember |
| 4591 |
PARENT COMPANY DISCLOSURES (Details) - Interests In Subsidiaries [Line Items] |
LineItems |
|
|
lyg:PARENTCOMPANYDISCLOSURESDetailsInterestsInSubsidiariesLineItems |
| 4592 |
Country of registration/Incorporation |
Concept (Text/String) |
For Period |
|
ifrs-full:CountryOfIncorporationOrResidenceOfSubsidiary |
| 4593 |
Percentage of equity share capital and voting rights held |
Concept (Percent) |
For Period |
|
ifrs-full:ProportionOfVotingPowerHeldInSubsidiary |
| 4594 |
324 - Disclosure - CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CONDENSEDCONSOLIDATINGFINANCIALINFORMATIONDetails |
| 4595 |
CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) [Table] |
Table |
* |
* |
lyg:CONDENSEDCONSOLIDATINGFINANCIALINFORMATIONDetailsTable |
| 4596 |
Categories of related parties [axis] |
Axis |
|
|
ifrs-full:CategoriesOfRelatedPartiesAxis |
| 4597 |
Entity's total for related parties [member] |
Member |
|
|
ifrs-full:EntitysTotalForRelatedPartiesMember |
| 4598 |
Parent [member] |
Member |
|
|
ifrs-full:ParentMember |
| 4599 |
Lloyds Bank [Member] |
Member |
|
|
lyg:LloydsBankMember |
| 4600 |
CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) [Line Items] |
LineItems |
|
|
lyg:CONDENSEDCONSOLIDATINGFINANCIALINFORMATIONDetailsLineItems |
| 4601 |
Proportion of ownership interest in subsidiary |
Concept (Percent) |
For Period |
|
ifrs-full:ProportionOfOwnershipInterestInSubsidiary |
| 4602 |
Increase (decrease) In Profit (loss) Due To Accounting In Accordance With Rule 3-10 of Regulation S-X |
Concept (Monetary) |
For Period |
Credit |
lyg:IncreasedecreaseInProfitlossDueToAccountingInAccordanceWithRule310OfRegulationSX |
| 4603 |
Increase (decrease) In Net Assets Due To Accounting In Accordance With Rule 3-10 of Regulation S-X |
Concept (Monetary) |
As Of |
Debit |
lyg:IncreasedecreaseInNetAssetsDueToAccountingInAccordanceWithRule310OfRegulationSX |
| 4604 |
325 - Disclosure - CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) - INCOME STATEMENTS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/INCOMESTATEMENTSTable |
| 4605 |
CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) - INCOME STATEMENTS [Table] |
Table |
* |
* |
lyg:CONDENSEDCONSOLIDATINGFINANCIALINFORMATIONDetailsINCOMESTATEMENTSTable |
| 4606 |
Categories of related parties [axis] |
Axis |
|
|
ifrs-full:CategoriesOfRelatedPartiesAxis |
| 4607 |
Entity's total for related parties [member] |
Member |
|
|
ifrs-full:EntitysTotalForRelatedPartiesMember |
| 4608 |
Parent [member] |
Member |
|
|
ifrs-full:ParentMember |
| 4609 |
Lloyds Bank [Member] |
Member |
|
|
lyg:LloydsBankMember |
| 4610 |
Subsidiaries [member] |
Member |
|
|
ifrs-full:SubsidiariesMember |
| 4611 |
Consolidation adjustments [Member] |
Member |
|
|
lyg:ConsolidationAdjustmentsMember |
| 4612 |
CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) - INCOME STATEMENTS [Line Items] |
LineItems |
|
|
lyg:CONDENSEDCONSOLIDATINGFINANCIALINFORMATIONDetailsINCOMESTATEMENTSLineItems |
| 4613 |
Net interest income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:InterestRevenueExpense |
| 4614 |
Other income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherRevenue |
| 4615 |
Total income |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:Revenue |
| 4616 |
Insurance claims |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ClaimsAndBenefitsPaidNetOfReinsuranceRecoveries |
| 4617 |
Total income, net of insurance claims |
Concept (Monetary) |
For Period |
Credit |
lyg:RevenueNetOfInsuranceClaims |
| 4618 |
Operating expenses |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:OperatingExpense |
| 4619 |
Trading surplus |
Concept (Monetary) |
For Period |
Credit |
lyg:TradingSurplus |
| 4620 |
Impairment |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ImpairmentLoss |
| 4621 |
Profit before tax |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossBeforeTax |
| 4622 |
Taxation |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxExpenseContinuingOperations |
| 4623 |
Profit for the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLoss |
| 4624 |
326 - Disclosure - CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) - CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CONSOLIDATEDSTATEMENTSOFCOMPREHENSIVEINCOMETable |
| 4625 |
CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) - CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME [Table] |
Table |
* |
* |
lyg:CONDENSEDCONSOLIDATINGFINANCIALINFORMATIONDetailsCONSOLIDATEDSTATEMENTSOFCOMPREHENSIVEINCOMETable |
| 4626 |
Categories of related parties [axis] |
Axis |
|
|
ifrs-full:CategoriesOfRelatedPartiesAxis |
| 4627 |
Entity's total for related parties [member] |
Member |
|
|
ifrs-full:EntitysTotalForRelatedPartiesMember |
| 4628 |
Parent [member] |
Member |
|
|
ifrs-full:ParentMember |
| 4629 |
Lloyds Bank [Member] |
Member |
|
|
lyg:LloydsBankMember |
| 4630 |
Subsidiaries [member] |
Member |
|
|
ifrs-full:SubsidiariesMember |
| 4631 |
Consolidation adjustments [Member] |
Member |
|
|
lyg:ConsolidationAdjustmentsMember |
| 4632 |
CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) - CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME [Line Items] |
LineItems |
|
|
lyg:CONDENSEDCONSOLIDATINGFINANCIALINFORMATIONDetailsCONSOLIDATEDSTATEMENTSOFCOMPREHENSIVEINCOMELineItems |
| 4633 |
Profit (loss) for the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLoss |
| 4634 |
Post-retirement defined benefit scheme remeasurements: |
Abstract |
|
|
lyg:PostRetirementDefinedBenefitSchemeRemeasurementsAbstract0 |
| 4635 |
Remeasurements before taxation |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeBeforeTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans |
| 4636 |
Taxation |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxRelatingToRemeasurementsOfDefinedBenefitPlansOfOtherComprehensiveIncome |
| 4637 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxGainsLossesOnRemeasurementsOfDefinedBenefitPlans |
| 4638 |
Movements in revaluation reserve in respect of equity shares held at fair value through other comprehensive income: |
Abstract |
|
|
lyg:MovementsInRevaluationReserveInRespectOfEquitySharesHeldAtFairValueThroughOtherComprehensiveIncomeAbstract0 |
| 4639 |
Change in fair value |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeNetOfTax |
| 4640 |
Tax |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxRelatingToInvestmentsInEquityInstrumentsOfOtherComprehensiveIncome |
| 4641 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxGainsLossesFromInvestmentsInEquityInstruments |
| 4642 |
Gains and losses attributable to own credit risk: |
Abstract |
|
|
lyg:GainsAndLossesAttributableToOwnCreditRiskAbstract0 |
| 4643 |
Gains (losses) before tax |
Concept (Monetary) |
For Period |
Credit |
lyg:GainsLossesAttributableToOwnCreditRiskBeforeTax |
| 4644 |
Tax |
Concept (Monetary) |
For Period |
Debit |
lyg:TaxOnGainsLossesAttributableToOwnCreditRisk |
| 4645 |
|
Concept (Monetary) |
For Period |
Credit |
lyg:GainsLossesAttributableToOwnCreditRiskAfterTax |
| 4646 |
Movements in revaluation reserve in respect of available-for-sale financial assets: |
Abstract |
|
|
lyg:MovementsInRevaluationReserveInRespectOfAvailableForSaleFinancialAssetsAbstract0 |
| 4647 |
Adjustment on transfer from held-to-maturity portfolio |
Concept (Monetary) |
For Period |
Credit |
lyg:IncreaseInRevaluationReserveForAssetsTransferredIntoAvailableForSaleAssets |
| 4648 |
Change in fair value |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnRemeasuringAvailableforsaleFinancialAssetsBeforeTax |
| 4649 |
Income statement transfers in respect of disposals |
Concept (Monetary) |
For Period |
Debit |
lyg:IncomeStatementTransfersInRespectOfDisposals |
| 4650 |
Income statement transfers in respect of impairment |
Concept (Monetary) |
For Period |
Debit |
lyg:IncomeStatementTransfersInRespectOfImpairment |
| 4651 |
Taxation |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxRelatingToAvailableforsaleFinancialAssetsOfOtherComprehensiveIncome |
| 4652 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxAvailableforsaleFinancialAssets |
| 4653 |
Share of other comprehensive income of associates and joint ventures |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ShareOfOtherComprehensiveIncomeOfAssociatesAndJointVenturesAccountedForUsingEquityMethod |
| 4654 |
Movements in revaluation reserve in respect of debt securities held at fair value through other comprehensive income: |
Abstract |
|
|
lyg:MovementsInRevaluationReserveInRespectOfDebtSecuritiesHeldAtFairValueThroughOtherComprehensiveIncomeAbstract0 |
| 4655 |
Change in fair value |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:GainsLossesOnFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeBeforeTax |
| 4656 |
Income statement transfers in respect of disposals |
Concept (Monetary) |
For Period |
Debit |
lyg:ReclassificationAdjustmentsOnDisposalOfFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncomeBeforeTax |
| 4657 |
Taxation |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxRelatingToFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome |
| 4658 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxFinancialAssetsMeasuredAtFairValueThroughOtherComprehensiveIncome |
| 4659 |
Movements in cash flow hedging reserve: |
Abstract |
|
|
lyg:MovementsInCashFlowHedgingReserveAbstract |
| 4660 |
Effective portion of changes in fair value |
Concept (Monetary) |
For Period |
Credit |
lyg:EffectivePortionOfChangesInFairValueTakenToOtherComprehensiveIncome |
| 4661 |
Net income statement transfers |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ReclassificationAdjustmentsOnCashFlowHedgesBeforeTax |
| 4662 |
Taxation |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncomeTaxRelatingToCashFlowHedgesOfOtherComprehensiveIncome |
| 4663 |
|
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxCashFlowHedges |
| 4664 |
Currency translation differences (tax: nil) |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncomeNetOfTaxExchangeDifferencesOnTranslation |
| 4665 |
Other comprehensive income for the year, net of tax |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:OtherComprehensiveIncome |
| 4666 |
Total comprehensive income for the year |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ComprehensiveIncome |
| 4667 |
Total comprehensive income attributable to ordinary shareholders |
Concept (Monetary) |
For Period |
Credit |
lyg:TotalComprehensiveIncomeAttributableToOrdinaryShareholders |
| 4668 |
Total comprehensive income attributable to other equity holders |
Concept (Monetary) |
For Period |
Credit |
lyg:TotalComprehensiveIncomeAttributableToOtherEquityHolders |
| 4669 |
Total comprehensive income attributable to equity holders |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ComprehensiveIncomeAttributableToOwnersOfParent |
| 4670 |
Total comprehensive income attributable to non-controlling interests |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ComprehensiveIncomeAttributableToNoncontrollingInterests |
| 4671 |
327 - Disclosure - CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) - BALANCE SHEETS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/BALANCESHEETSTable |
| 4672 |
CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) - BALANCE SHEETS [Table] |
Table |
* |
* |
lyg:CONDENSEDCONSOLIDATINGFINANCIALINFORMATIONDetailsBALANCESHEETSTable |
| 4673 |
Categories of related parties [axis] |
Axis |
|
|
ifrs-full:CategoriesOfRelatedPartiesAxis |
| 4674 |
Entity's total for related parties [member] |
Member |
|
|
ifrs-full:EntitysTotalForRelatedPartiesMember |
| 4675 |
Parent [member] |
Member |
|
|
ifrs-full:ParentMember |
| 4676 |
Lloyds Bank [Member] |
Member |
|
|
lyg:LloydsBankMember |
| 4677 |
Subsidiaries [member] |
Member |
|
|
ifrs-full:SubsidiariesMember |
| 4678 |
Consolidation adjustments [Member] |
Member |
|
|
lyg:ConsolidationAdjustmentsMember |
| 4679 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 4680 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 4681 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 4682 |
CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) - BALANCE SHEETS [Line Items] |
LineItems |
|
|
lyg:CONDENSEDCONSOLIDATINGFINANCIALINFORMATIONDetailsBALANCESHEETSLineItems |
| 4683 |
Assets |
Abstract |
|
|
lyg:AssetsAbstract00000 |
| 4684 |
Cash and balances at central banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndBankBalancesAtCentralBanks |
| 4685 |
Items in course of collection from banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:ItemsInCourseOfCollectionFromOtherBanks |
| 4686 |
Financial assets at fair value through profit or loss |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughProfitOrLoss |
| 4687 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DerivativeFinancialAssets |
| 4688 |
At amortised cost: |
Abstract |
|
|
lyg:AtAmortisedCostAbstract |
| 4689 |
Loans and advances to banks |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToBanks |
| 4690 |
Loans and advances to customers |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:LoansAndAdvancesToCustomers |
| 4691 |
Debt securities |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DebtInstrumentsHeld |
| 4692 |
Due from fellow Lloyds Banking Group undertakings |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:TradeAndOtherReceivablesDueFromRelatedParties |
| 4693 |
Available-for-sale financial assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAvailableforsale |
| 4694 |
Financial assets at fair value through other comprehensive income |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:FinancialAssetsAtFairValueThroughOtherComprehensiveIncome |
| 4695 |
Goodwill |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:Goodwill |
| 4696 |
Value of in-force business |
Concept (Monetary) |
As Of |
Debit |
lyg:ValueOfInforceBusiness |
| 4697 |
Other intangible assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherIntangibleAssets |
| 4698 |
Property, plant and equipment |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:PropertyPlantAndEquipment |
| 4699 |
Current tax recoverable |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CurrentTaxAssets |
| 4700 |
Deferred tax assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:DeferredTaxAssets |
| 4701 |
Retirement benefit assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:RecognisedAssetsDefinedBenefitPlan |
| 4702 |
Investment in subsidiary undertakings, including assets held for sale |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:InvestmentsInSubsidiaries |
| 4703 |
Other assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:OtherAssets |
| 4704 |
Total assets |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:Assets |
| 4705 |
Liabilities |
Abstract |
|
|
lyg:LiabilitiesAbstract0000 |
| 4706 |
Deposits from banks |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromBanks |
| 4707 |
Customer deposits |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DepositsFromCustomers |
| 4708 |
Due to fellow Lloyds Banking Group undertakings |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:TradeAndOtherCurrentPayablesToRelatedParties |
| 4709 |
Items in course of transmission to banks |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:ItemsInCourseOfTransmissionToOtherBanks |
| 4710 |
Financial liabilities at fair value through profit or loss |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:FinancialLiabilitiesAtFairValueThroughProfitOrLoss |
| 4711 |
Derivative financial instruments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DerivativeFinancialLiabilities |
| 4712 |
Notes in circulation |
Concept (Monetary) |
As Of |
Credit |
lyg:NotesInCirculation |
| 4713 |
Debt securities in issue |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DebtSecurities |
| 4714 |
Liabilities arising from insurance contracts and participating investment contracts |
Concept (Monetary) |
As Of |
Credit |
lyg:LiabilitiesArisingFromInsuranceContractsAndParticipatingInvestmentContracts |
| 4715 |
Liabilities arising from non-participating investment contracts |
Concept (Monetary) |
As Of |
Credit |
lyg:NonParticipatingInvestmentContractLiability |
| 4716 |
Other liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherFinancialLiabilities |
| 4717 |
Retirement benefit obligations |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:RecognisedLiabilitiesDefinedBenefitPlan |
| 4718 |
Current tax liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:CurrentTaxLiabilities |
| 4719 |
Deferred tax liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:DeferredTaxLiabilities |
| 4720 |
Other provisions |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherProvisions |
| 4721 |
Subordinated liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:SubordinatedLiabilities |
| 4722 |
Total liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Liabilities |
| 4723 |
Equity |
Abstract |
|
|
lyg:EquityAbstract00 |
| 4724 |
Shareholders’ equity |
Concept (Monetary) |
As Of |
Credit |
lyg:EquityAttributableToOwnersOfParentExcludingOtherEquityInstruments |
| 4725 |
Other equity instruments |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:OtherEquityInterest |
| 4726 |
Total equity excluding non-controlling interests |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:EquityAttributableToOwnersOfParent |
| 4727 |
Non-controlling interests |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:NoncontrollingInterests |
| 4728 |
Total equity |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:Equity |
| 4729 |
Total equity and liabilities |
Concept (Monetary) |
As Of |
Credit |
ifrs-full:EquityAndLiabilities |
| 4730 |
328 - Disclosure - CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) - CASH FLOW STATEMENTS |
Network |
* |
* |
http://www.lloydsbankinggroup.com/role/CASHFLOWSTATEMENTSTable |
| 4731 |
CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) - CASH FLOW STATEMENTS [Table] |
Table |
* |
* |
lyg:CONDENSEDCONSOLIDATINGFINANCIALINFORMATIONDetailsCASHFLOWSTATEMENTSTable |
| 4732 |
Class of Financing Receivable, Type of Borrower [Axis] |
Axis |
|
|
us-gaap:ClassOfFinancingReceivableTypeOfBorrowerAxis |
| 4733 |
Class of Financing Receivable, Type of Borrower [Domain] |
Member |
|
|
us-gaap:ClassOfFinancingReceivableTypeOfBorrowerDomain |
| 4734 |
To subsidiaries [member] |
Member |
|
|
lyg:ToSubsidiariesMember |
| 4735 |
By subsidiaries [member] |
Member |
|
|
lyg:BySubsidiariesMember |
| 4736 |
To parent company [member] |
Member |
|
|
lyg:ToParentCompanyMember |
| 4737 |
Categories of related parties [axis] |
Axis |
|
|
ifrs-full:CategoriesOfRelatedPartiesAxis |
| 4738 |
Entity's total for related parties [member] |
Member |
|
|
ifrs-full:EntitysTotalForRelatedPartiesMember |
| 4739 |
Parent [member] |
Member |
|
|
ifrs-full:ParentMember |
| 4740 |
Lloyds Bank [Member] |
Member |
|
|
lyg:LloydsBankMember |
| 4741 |
Subsidiaries [member] |
Member |
|
|
ifrs-full:SubsidiariesMember |
| 4742 |
Consolidation adjustments [Member] |
Member |
|
|
lyg:ConsolidationAdjustmentsMember |
| 4743 |
Retrospective application and retrospective restatement [axis] |
Axis |
|
|
ifrs-full:RetrospectiveApplicationAndRetrospectiveRestatementAxis |
| 4744 |
Currently stated [member] |
Member |
|
|
ifrs-full:RestatedMember |
| 4745 |
Previously stated [member] |
Member |
|
|
ifrs-full:PreviouslyStatedMember |
| 4746 |
CONDENSED CONSOLIDATING FINANCIAL INFORMATION (Details) - CASH FLOW STATEMENTS [Line Items] |
LineItems |
|
|
lyg:CONDENSEDCONSOLIDATINGFINANCIALINFORMATIONDetailsCASHFLOWSTATEMENTSLineItems |
| 4747 |
Net cash provided by (used in) operating activities |
Concept (Monetary) |
For Period |
|
ifrs-full:CashFlowsFromUsedInOperatingActivities |
| 4748 |
Cash flows from investing activities |
Abstract |
|
|
lyg:CashFlowsFromInvestingActivitiesAbstract00 |
| 4749 |
Dividends received from subsidiary undertakings |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DividendsReceivedFromAssociatesClassifiedAsInvestingActivities |
| 4750 |
Distributions on other equity instruments received |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:PaymentsOfOtherEquityInstruments |
| 4751 |
Financial assets at fair value through other comprehensive income: |
Abstract |
|
|
lyg:FinancialAssetsAtFairValueThroughOtherComprehensiveIncomeAbstract0 |
| 4752 |
Purchases |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseInFinancialAssets |
| 4753 |
Proceeds from sale and maturity |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProceedsFromSalesOrMaturityOfFinancialInstrumentsClassifiedAsInvestingActivities |
| 4754 |
Purchase of fixed assets |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:PurchaseOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities |
| 4755 |
Proceeds from sale of fixed assets |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProceedsFromSalesOfPropertyPlantAndEquipmentClassifiedAsInvestingActivities |
| 4756 |
Acquisitions of and capital injections to subsidiaries |
Concept (Monetary) |
For Period |
Credit |
lyg:CapitalInjectionsToSubsidiaries |
| 4757 |
Return of capital |
Concept (Monetary) |
For Period |
Debit |
us-gaap:ProceedsFromEquityMethodInvestmentDividendsOrDistributionsReturnOfCapital |
| 4758 |
Return of capital contribution |
Concept (Monetary) |
For Period |
Debit |
lyg:ReturnOfCapitalContributionInvestingActivities |
| 4759 |
Capital lending |
Concept (Monetary) |
For Period |
Credit |
lyg:CapitalLending |
| 4760 |
Capital repayments |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RepaymentsOfBorrowingsClassifiedAsFinancingActivities |
| 4761 |
Interest received on lending |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:InterestReceivedClassifiedAsInvestingActivities |
| 4762 |
Disposal of businesses, net of cash disposed |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CashFlowsFromLosingControlOfSubsidiariesOrOtherBusinessesClassifiedAsInvestingActivities |
| 4763 |
Additional capital injections to subsidiaries |
Concept (Monetary) |
For Period |
Debit |
lyg:AdditionalCapitalInjectionsToSubsidiaries |
| 4764 |
Acquisition of businesses, net of cash acquired |
Concept (Monetary) |
For Period |
Credit |
us-gaap:PaymentsToAcquireBusinessesNetOfCashAcquired |
| 4765 |
Net cash flows from investing activities |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CashFlowsFromUsedInInvestingActivities |
| 4766 |
Dividends paid to ordinary shareholders |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:DividendsPaidOrdinaryShares |
| 4767 |
Distributions on other equity instruments |
Concept (Monetary) |
For Period |
Credit |
lyg:DistributionsOnOtherEquityInstruments |
| 4768 |
Dividends paid to non-controlling interests |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:DividendsPaidToNoncontrollingInterestsClassifiedAsFinancingActivities |
| 4769 |
Interest paid on subordinated liabilities |
Concept (Monetary) |
For Period |
Credit |
lyg:InterestPaidOnSubordinatedLiabilities |
| 4770 |
Issue of ordinary shares |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProceedsFromIssueOfOrdinaryShares |
| 4771 |
Share buy-back programme |
Concept (Monetary) |
For Period |
Credit |
lyg:ShareBuyback |
| 4772 |
Proceeds from issue of other equity instruments |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProceedsFromIssuingOtherEquityInstruments |
| 4773 |
Proceeds from issue of subordinated liabilities |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:ProceedsFromIssueOfSubordinatedLiabilities |
| 4774 |
Repayment of subordinated liabilities |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:RepaymentsOfSubordinatedLiabilities |
| 4775 |
Capital contributions received |
Concept (Monetary) |
For Period |
Debit |
us-gaap:ProceedsFromContributedCapital |
| 4776 |
Return of capital contributions |
Concept (Monetary) |
For Period |
Credit |
lyg:ReturnOfCapitalContributionsFinancingActivities |
| 4777 |
Capital borrowing from the Company |
Concept (Monetary) |
For Period |
|
ifrs-full:BorrowingCostsCapitalised |
| 4778 |
Interest paid on borrowing from the Company |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:InterestExpenseOnBorrowings |
| 4779 |
Dividends paid to equity shareholders |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:DividendsPaidToEquityHoldersOfParentClassifiedAsFinancingActivities |
| 4780 |
Capital contribution received |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:IncreaseDecreaseThroughOtherContributionsByOwners |
| 4781 |
Change in stake of non-controlling interests |
Concept (Monetary) |
For Period |
Credit |
ifrs-full:ProfitLossAttributableToNoncontrollingInterests |
| 4782 |
Net cash used in financing activities |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:CashFlowsFromUsedInFinancingActivities |
| 4783 |
Effects of exchange rate changes on cash and cash equivalents |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:EffectOfExchangeRateChangesOnCashAndCashEquivalents |
| 4784 |
Change in cash and cash equivalents |
Concept (Monetary) |
For Period |
Debit |
ifrs-full:IncreaseDecreaseInCashAndCashEquivalents |
| 4785 |
Cash and cash equivalents at beginning of year |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndCashEquivalents |
| 4786 |
Cash and cash equivalents at end of year |
Concept (Monetary) |
As Of |
Debit |
ifrs-full:CashAndCashEquivalents |