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  "documentTitle": "20230215 Barclays FY22 Results Presentation",
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  "notes": "Includes comparative data for Dec-21 and Sep-22.",
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      "text": "Income up 12% YoY including the benefit from FX, with strong performances in Barclays UK and CC&P. Within CIB, strong performances in Global Markets and Transaction banking were more than offset by reduced income in Investment Banking and Corporate Lending. Costs of £4.0bn (Q421: £3.8bn) reflecting the impact of FX, inflation and investment in the business. Credit impairment charges were £0.5bn with an LLR of 49bps. The deteriorating macroeconomic forecast resulted in an increased charge, partially offset by utilising economic uncertainty PMAs. Attributable profit of £1.0bn generated EPS of 6.5p and RoTE of 8.9%",
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