Barclays Q1 2021 Fixed Income Investor Presentation
STRATEGY, TARGETS
& GUIDANCE
CAPITAL
MREL, FUNDING
PERFORMANCE
ASSET QUALITY
CREDIT RATINGS
ESG
& LEVERAGE
& LIQUIDITY
DIVISIONS
& LEGAL ENTITIES
Diversified banking model provides resilience through
economic cycles
Diversified by
customer and client
Diversified by
geography
Diversified by
income type
13%
14%
21%
Q121
Group income
by customer¹
6%
10%
40%
Consumer
UK Consumer
International
Consumer
& Payments
Business Banking
52%
36%
60%
Wholesale
Banking fees
UK
Markets
Corporate
52%
UK
Excludes negative income from Head Office | 2 Based on location of office where transactions recorded |
6 Barclays Q1 2021 Fixed Income Investor Presentation
FY20
Group income
by geography2
5%
9%
34%
31%
48%
Non-UK
Americas
Europe
Other
Q121
Group income
by type
69%
APPENDIX
31%
NII
Net interest
income
69%
Other income
Fees, commission
and other incomeView entire presentation