Form 20-F X
|
Form 40-F ___
|
Yes
|
___ |
No X
|
Quarter ended
|
Nine months ended
|
|||||
30 September
2010
|
30 June
2010
|
30 September*
2009
|
30 September
2010
|
30 September*
2009
|
||
£m
|
£m
|
£m
|
£m
|
£m
|
||
Interest receivable
|
5,584
|
5,888
|
5,693
|
17,164
|
20,334
|
|
Interest payable
|
(2,173)
|
(2,212)
|
(2,573)
|
(6,535)
|
(10,365)
|
|
Net interest income
|
3,411
|
3,676
|
3,120
|
10,629
|
9,969
|
|
Fees and commissions receivable
|
2,037
|
2,053
|
1,919
|
6,141
|
6,385
|
|
Fees and commissions payable
|
(611)
|
(579)
|
(545)
|
(1,762)
|
(1,896)
|
|
Income from trading activities
|
277
|
2,110
|
1,088
|
4,153
|
3,052
|
|
Gain on redemption of own debt
|
-
|
553
|
-
|
553
|
3,790
|
|
Other operating income (excluding insurance
premium income)
|
(317)
|
346
|
(77)
|
476
|
569
|
|
Insurance net premium income
|
1,289
|
1,278
|
1,301
|
3,856
|
3,958
|
|
Non-interest income
|
2,675
|
5,761
|
3,686
|
13,417
|
15,858
|
|
Total income
|
6,086
|
9,437
|
6,806
|
24,046
|
25,827
|
|
Staff costs
|
(2,423)
|
(2,365)
|
(2,363)
|
(7,477)
|
(7,499)
|
|
Premises and equipment
|
(611)
|
(547)
|
(631)
|
(1,693)
|
(1,909)
|
|
Other administrative expenses
|
(914)
|
(1,022)
|
(1,062)
|
(2,947)
|
(3,265)
|
|
Depreciation and amortisation
|
(603)
|
(519)
|
(534)
|
(1,604)
|
(1,566)
|
|
Write-down of goodwill and other intangible
assets
|
-
|
-
|
-
|
-
|
(311)
|
|
Operating expenses
|
(4,551)
|
(4,453)
|
(4,590)
|
(13,721)
|
(14,550)
|
|
Profit before other operating charges and
impairment losses
|
1,535
|
4,984
|
2,216
|
10,325
|
11,277
|
|
Insurance net claims
|
(1,142)
|
(1,323)
|
(1,145)
|
(3,601)
|
(3,036)
|
|
Impairment losses
|
(1,953)
|
(2,487)
|
(3,279)
|
(7,115)
|
(10,800)
|
|
Operating (loss)/profit before tax
|
(1,560)
|
1,174
|
(2,208)
|
(391)
|
(2,559)
|
|
Tax credit/(charge)
|
295
|
(825)
|
617
|
(637)
|
1,073
|
|
(Loss)/profit from continuing operations
|
(1,265)
|
349
|
(1,591)
|
(1,028)
|
(1,486)
|
|
Loss on distribution of ABN AMRO Bank NV to the State of the Netherlands and Santander
|
-
|
(1,019)
|
-
|
(1,019)
|
-
|
|
Other profits from discontinued
operations, net of tax
|
18
|
-
|
-
|
331
|
30
|
|
Profit/(loss) from discontinued operations,
net of tax
|
18
|
(1,019)
|
-
|
(688)
|
30
|
|
Loss for the period
|
(1,247)
|
(670)
|
(1,591)
|
(1,716)
|
(1,456)
|
|
Minority interests
|
101
|
946
|
36
|
703
|
(595)
|
|
Preference share and other dividends
|
-
|
(19)
|
(245)
|
(124)
|
(791)
|
|
(Loss)/profit attributable to ordinary and B
shareholders
|
(1,146)
|
257
|
(1,800)
|
(1,137)
|
(2,842)
|
|
Basic (loss)/earnings per ordinary and B share
from continuing operations
|
(1.1p)
|
0.8p
|
(3.2p)
|
(0.5p)
|
(5.2p)
|
|
Basic loss per ordinary and B share from
discontinued operations
|
-
|
-
|
-
|
-
|
(0.1p)
|
Quarter ended
|
Nine months ended
|
|||||
30 September
2010
|
30 June
2010
|
30 September
2009
|
30 September
2010
|
30 September
2009
|
||
£m
|
£m
|
£m
|
£m
|
£m
|
||
Loss for the period
|
(1,247)
|
(670)
|
(1,591)
|
(1,716)
|
(1,456)
|
|
Other comprehensive income
|
||||||
Available-for-sale financial assets
|
235
|
93
|
3,079
|
743
|
1,419
|
|
Cash flow hedges
|
553
|
1,449
|
(90)
|
1,807
|
274
|
|
Currency translation
|
(647)
|
(91)
|
1,777
|
47
|
(2,504)
|
|
Tax on other comprehensive income
|
(256)
|
(331)
|
(857)
|
(702)
|
(379)
|
|
Other comprehensive (loss)/income for
the period, net of tax
|
(115)
|
1,120
|
3,909
|
1,895
|
(1,190)
|
|
Total comprehensive (loss)/income for
the period
|
(1,362)
|
450
|
2,318
|
179
|
(2,646)
|
|
Attributable to
|
||||||
Minority interests
|
(117)
|
(457)
|
1,075
|
(249)
|
(743)
|
|
Preference shareholders
|
-
|
-
|
242
|
105
|
752
|
|
Paid-in equity holders
|
-
|
19
|
3
|
19
|
39
|
|
Ordinary and B shareholders
|
(1,245)
|
888
|
998
|
304
|
(2,694)
|
|
(1,362)
|
450
|
2,318
|
179
|
(2,646)
|
30 September
2010
|
30 June
2010
|
31 December
2009
(audited)
|
|
£m
|
£m
|
£m
|
|
Assets
|
|||
Cash and balances at central banks
|
61,416
|
29,591
|
52,261
|
Net loans and advances to banks
|
60,334
|
54,489
|
56,656
|
Reverse repurchase agreements and stock borrowing
|
48,407
|
47,663
|
35,097
|
Loans and advances to banks
|
108,741
|
102,152
|
91,753
|
Net loans and advances to customers
|
528,049
|
539,375
|
687,353
|
Reverse repurchase agreements and stock borrowing
|
44,503
|
39,396
|
41,040
|
Loans and advances to customers
|
572,552
|
578,771
|
728,393
|
Debt securities
|
226,410
|
236,260
|
267,254
|
Equity shares
|
21,755
|
17,326
|
19,528
|
Settlement balances
|
22,874
|
20,718
|
12,033
|
Derivatives
|
548,805
|
522,871
|
441,454
|
Intangible assets
|
14,369
|
14,482
|
17,847
|
Property, plant and equipment
|
17,398
|
17,608
|
19,397
|
Deferred taxation
|
5,909
|
5,839
|
7,039
|
Prepayments, accrued income and other assets
|
11,908
|
14,095
|
20,985
|
Assets of disposal groups
|
17,450
|
22,340
|
18,542
|
Total assets
|
1,629,587
|
1,582,053
|
1,696,486
|
Liabilities
|
|||
Bank deposits
|
80,304
|
96,710
|
104,138
|
Repurchase agreements and stock lending
|
41,465
|
44,165
|
38,006
|
Deposits by banks
|
121,769
|
140,875
|
142,144
|
Customer deposits
|
420,639
|
420,890
|
545,849
|
Repurchase agreements and stock lending
|
87,287
|
70,655
|
68,353
|
Customer accounts
|
507,926
|
491,545
|
614,202
|
Debt securities in issue
|
235,083
|
217,317
|
267,568
|
Settlement balances
|
20,628
|
19,730
|
10,413
|
Short positions
|
44,004
|
42,994
|
40,463
|
Derivatives
|
543,397
|
508,966
|
424,141
|
Accruals, deferred income and other liabilities
|
23,667
|
24,867
|
30,327
|
Retirement benefit liabilities
|
2,637
|
2,611
|
2,963
|
Deferred taxation
|
2,270
|
2,195
|
2,811
|
Insurance liabilities
|
6,782
|
6,521
|
10,281
|
Subordinated liabilities
|
27,890
|
27,523
|
37,652
|
Liabilities of disposal groups
|
16,154
|
17,615
|
18,890
|
Total liabilities
|
1,552,207
|
1,502,759
|
1,601,855
|
Equity
|
|||
Minority interests
|
1,780
|
2,492
|
16,895
|
Owners’ equity*
|
|||
Called up share capital
|
15,029
|
15,029
|
14,630
|
Reserves
|
60,571
|
61,773
|
63,106
|
Total equity
|
77,380
|
79,294
|
94,631
|
Total liabilities and equity
|
1,629,587
|
1,582,053
|
1,696,486
|
* Owners’ equity attributable to:
|
|||
Ordinary and B shareholders
|
70,856
|
72,058
|
69,890
|
Other equity owners
|
4,744
|
4,744
|
7,846
|
75,600
|
76,802
|
77,736
|
Nine months
ended
30 September
2010
|
Six months
ended
30 June
2010
|
Year ended
31 December
2009
(audited)
|
|
£m
|
£m
|
£m
|
|
Called-up share capital
|
|||
At beginning of period
|
14,630
|
14,630
|
9,898
|
Ordinary shares issued in respect of placing and open offers
|
-
|
-
|
4,227
|
B shares issued
|
-
|
-
|
510
|
Other shares issued during the period
|
402
|
401
|
-
|
Preference shares redeemed during the period
|
(2)
|
(2)
|
(5)
|
At end of period
|
15,030
|
15,029
|
14,630
|
Paid-in equity
|
|||
At beginning of period
|
565
|
565
|
1,073
|
Securities redeemed during the period
|
(132)
|
(132)
|
(308)
|
Transfer to retained earnings
|
(2)
|
(2)
|
(200)
|
At end of period
|
431
|
431
|
565
|
Share premium account
|
|||
At beginning of period
|
23,523
|
23,523
|
27,471
|
Ordinary shares issued in respect of placing and open offer, net of £95 million expenses
|
-
|
-
|
1,047
|
Other shares issued during the period
|
217
|
217
|
-
|
Preference shares redeemed during the period
|
-
|
-
|
(4,995)
|
Redemption of preference shares classified as debt
|
118
|
118
|
-
|
At end of period
|
23,858
|
23,858
|
23,523
|
Merger reserve
|
|||
At beginning of period
|
25,522
|
25,522
|
10,881
|
Issue of B shares, net of £399 million expenses
|
-
|
-
|
24,591
|
Transfer to retained earnings
|
(12,250)
|
(12,250)
|
(9,950)
|
At end of period
|
13,272
|
13,272
|
25,522
|
Available-for-sale reserves
|
|||
At beginning of period
|
(1,755)
|
(1,755)
|
(3,561)
|
Unrealised gains in the period
|
1,327
|
647
|
1,202
|
Realised (gains)/losses in the period
|
(535)
|
(127)
|
981
|
Taxation
|
(263)
|
(208)
|
(377)
|
Recycled to profit or loss on disposal of businesses, net of £6 million tax
|
(16)
|
(16)
|
-
|
At end of period
|
(1,242)
|
(1,459)
|
(1,755)
|
Cash flow hedging reserve
|
|||
At beginning of period
|
(252)
|
(252)
|
(876)
|
Amount recognised in equity during the period
|
329
|
(58)
|
380
|
Amount transferred from equity to earnings in the period
|
138
|
17
|
513
|
Taxation
|
(154)
|
-
|
(269)
|
Recycled to profit or loss on disposal of businesses, net of £20 million tax
|
58
|
58
|
-
|
At end of period
|
119
|
(235)
|
(252)
|
Nine months
ended
30 September
2010
|
Six months
ended
30 June
2010
|
Year ended
31 December
2009
(audited)
|
|
£m
|
£m
|
£m
|
|
Foreign exchange reserve
|
|||
At beginning of period
|
4,528
|
4,528
|
6,385
|
Retranslation of net assets
|
997
|
1,775
|
(2,322)
|
Foreign currency (losses)/gains on hedges of net assets
|
(452)
|
(609)
|
456
|
Taxation
|
29
|
72
|
9
|
Recycled to profit or loss on disposal of businesses
|
(17)
|
(11)
|
-
|
At end of period
|
5,085
|
5,755
|
4,528
|
Capital redemption reserve
|
|||
At beginning of period
|
170
|
170
|
170
|
Preference shares redeemed during the period
|
2
|
2
|
-
|
At end of period
|
172
|
172
|
170
|
Contingent capital reserve
|
|||
At beginning of period
|
(1,208)
|
(1,208)
|
-
|
Contingent capital agreement – consideration payable
|
-
|
-
|
(1,208)
|
At end of period
|
(1,208)
|
(1,208)
|
(1,208)
|
Retained earnings
|
|||
At beginning of period
|
12,134
|
12,134
|
7,542
|
(Loss)/profit attributable to ordinary shareholders and other equity owners
|
|||
- continuing operations
|
(985)
|
163
|
(2,600)
|
- discontinued operations
|
(28)
|
(30)
|
(72)
|
Equity preference dividends paid
|
(105)
|
(105)
|
(878)
|
Paid-in equity dividends paid, net of tax
|
(19)
|
(19)
|
(57)
|
Transfer from paid-in equity
|
|||
- gross
|
2
|
2
|
200
|
- taxation
|
(1)
|
(1)
|
-
|
Equity owners gain on withdrawal of minority interest
|
|||
- gross
|
40
|
40
|
629
|
- taxation
|
(11)
|
(11)
|
(176)
|
Redemption of equity preference shares
|
(2,968)
|
(2,968)
|
-
|
Gain on redemption of equity preference shares
|
609
|
609
|
-
|
Redemption of preference shares classified as debt
|
(118)
|
(118)
|
-
|
Transfer from merger reserve
|
12,250
|
12,250
|
9,950
|
Actuarial losses recognised in retirement benefit schemes
|
|||
- gross
|
-
|
-
|
(3,756)
|
- taxation
|
-
|
-
|
1,043
|
Net cost of shares bought and used to satisfy share-based payments
|
(11)
|
(9)
|
(16)
|
Share-based payments
|
|||
- gross
|
103
|
61
|
325
|
- taxation
|
12
|
5
|
-
|
At end of period
|
20,904
|
22,003
|
12,134
|
Own shares held
|
|||
At beginning of period
|
(121)
|
(121)
|
(104)
|
Shares purchased during the period
|
(711)
|
(704)
|
(33)
|
Shares issued under employee share schemes
|
11
|
9
|
16
|
At end of period
|
(821)
|
(816)
|
(121)
|
Owners’ equity at end of period
|
75,600
|
76,802
|
77,736
|
Nine months
ended
30 September
2010
|
Six months
ended
30 June
2010
|
Year ended
31 December
2009
(audited)
|
|
£m
|
£m
|
£m
|
|
Minority interests
|
|||
At beginning of period
|
16,895
|
16,895
|
21,619
|
Currency translation adjustments and other movements
|
(481)
|
(461)
|
(1,434)
|
(Loss)/profit attributable to minority interests
|
|||
- continuing operations
|
(43)
|
74
|
382
|
- discontinued operations
|
(660)
|
(676)
|
(33)
|
Dividends paid
|
(4,217)
|
(4,171)
|
(313)
|
Movements in available-for-sale securities
|
|||
- unrealised (losses)/gains in the period
|
(54)
|
22
|
299
|
- realised losses/(gains) in the period
|
36
|
(3)
|
(466)
|
- taxation
|
5
|
1
|
(36)
|
- recycled to profit or loss on disposal of discontinued operations, net of
£2 million tax
|
(7)
|
(7)
|
-
|
Movements in cash flow hedging reserves
|
|||
- amount recognised in equity during the period
|
(99)
|
(165)
|
(209)
|
- taxation
|
33
|
47
|
59
|
- recycled to profit or loss on disposal of discontinued operations, net of £340
million tax
|
1,021
|
1,036
|
-
|
Actuarial gains recognised in retirement benefit schemes
|
|||
- gross
|
-
|
-
|
91
|
- taxation
|
-
|
-
|
1
|
Equity raised
|
501
|
501
|
9
|
Equity withdrawn and disposals
|
(11,110)
|
(10,561)
|
(2,445)
|
Transfer to retained earnings
|
(40)
|
(40)
|
(629)
|
At end of period
|
1,780
|
2,492
|
16,895
|
Total equity at end of period
|
77,380
|
79,294
|
94,631
|
Total comprehensive income/(loss) recognised in the statement of
changes in equity is attributable as follows:
|
|||
Minority interests
|
(249)
|
(132)
|
(1,346)
|
Preference shareholders
|
105
|
105
|
878
|
Paid-in equity holders
|
19
|
19
|
57
|
Ordinary and B shareholders
|
304
|
1,549
|
(5,747)
|
179
|
1,541
|
(6,158)
|
THE ROYAL BANK OF SCOTLAND GROUP plc (Registrant)
|
By:
|
/s/ Jan Cargill
|
Name:
Title:
|
Jan Cargill
Deputy Secretary
|