Barclays Q1 2021 Fixed Income Investor Presentation
STRATEGY, TARGETS
& GUIDANCE
CAPITAL
MREL, FUNDING
PERFORMANCE
ASSET QUALITY
CREDIT RATINGS
ESG
& LEVERAGE
& LIQUIDITY
DIVISIONS
& LEGAL ENTITIES
Barclays is well positioned to monetise growth in capital
markets activity
APPENDIX
Global equity market capitalisation¹ and bonds
outstanding² has increased 44% since 2018
Q121 Markets and Banking fee income has increased
55% since 2019
$174tn
$176tn
+44%
vs. 2018
+55%
vs. Q119
$146tn
Markets &
Banking fee
income
£3.1bn
£3.0bn
£1.9bn
$69tn
$71tn
+30%
vs. 2018
$123tn
17.9%
$59tn
$53tn
$103tn
$108tn
+54%
vs. 2018
Corporate &
Investment
Bank ROTE
9.3%
$87tn
$70tn
2018
2019
2020
Mar 2021
Equities Bonds
12.5%
Q119
Q120
Q121
1 Source: Bloomberg WCAUWRLD Index representing the market capitalization from all shares outstanding. Data does not include ETFs and ADRS | 2 Bonds represents debt issuance outstanding for Investment Grade (Source: Bloomberg Barclays Global Aggregate
Index LEGATRUU) and high yield (Source: Bloomberg Barclays Global High Yield Index LG30TRUU) |
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