Capital commitments
The Group's capital commitments are detailed in the table below. The Group's management is confident that future net revenues and funding will be sufficient to cover these commitments.
£m | ||
At 31 December 2006 | At 31 December 2005 | |
| Investment property | 1 | - |
| Property and equipment | 42 | 52 |
The following table presents the contractual amounts of the Group's off-balance sheet financial instruments that commit it to extend credit to customers.
£m | ||
At 31 December 2006 | At 31 December 2005 | |
| Original term to maturity of one term or less | 1,372 | 1,218 |
| Original term to maturity of more than one year | 52 | 6 |
| Other commitments, note issuance facilities and revolving underwriting facilities | 261 | 92 |
Assets are pledged as collateral under repurchase agreements with other banks and for security deposits relating to local futures, options and stock exchange memberships. Mandatory reserve deposits are also held with local Central Banks in accordance with statutory requirements. These deposits are not available to finance the Groups' day-to-day operations.