Charity Registered No's
1115370
SC041991
PATANJALI YOG PEETH (UK) TRUST
Trustees Report and Unaudited Accounts
31 March 2025

PATANJALI YOG PEEfH {UK) TRUST
Report and accounts
Contents
Pagè
Leg81 and adrnlnlstrative infomiati
Trustees, Report
Statement of Trustees, responslbilities
Independent Examiners Report
Slalemant of financial actNItI8s
Balance sheet
Notss to the accounts
9-12

PATANJALI YOG PEETH (UK) TRUST
LEGAL AND ADMINISTRATIVE INFORMATION
Trustees
Swami Ramdev Maharaj
Acharya Balkrishna
Sunlts Poddar
Charlty Numbèrs
1115370
SC041991
Prlnclpal Address
40 Lambhlll Street
Klnning Park
Glassgow
G411AU
Indepondent Examlner
DMH Accountancy Ltd
199 Clarkston Road
Glasgow
G44 3BS

PATANJALI YOG PEEfH (UK) TRUST
TRUSTEES. REPORT
The Trustees present thalr report and accounts for the Jear ended 31 March 2025.
STRUCTURE. GOVERNANCE AND MANAGEMENT
Constitutlon
Patanjali Yog Peeth (UK) Trust (PYPT) is constituted as a charitsble trust registered with thé Charity
Commisslon under charity number 1115370. It Is gov8med by a deed of trusl and conslitutes an
unincorporatsd charty.
Appolnlment of Trustees
The management of the charity 18 the responsblllty of the TNstees who are elacte<l and Co-
opted under the temis of the Trust Deed.
Th8 Trustees who served during the year were:
SvRmi Ramdev Maharaj
Acharya Bal Krishna
Sunlta Poddar
All employe85 of the Trus( are subject to a Cm)inal Record Bureau (CRB) check in England
and a Protecting Vulnerabl8 Groups (PVG) check In Scodand.
Organl$atlonal structure and doclslon maklnB
Sunita Poddar is the main Trustee in Ihe UK 88 other TnvJtees are based In Ind18. She oversees
UK operation8 for the benefft of the Trust.
The Trusts88 are responslble for Ihe general control and management of the Charlty. The Trustees
give thelr tlme freely and recelve no remuneration or finarKlal benefits.
To asslst in the smooth runnlng of the ¢harity the Trustses have Set up a number of sub commltt888
that help them overse8 certaln aspocls of the charitys ￿￿Tk. Sub commlttees are currentty set up to
coordinate th6 running of tree Yog classes throughout the UK and promote the recrultrnent of Yog
teachers,
Rlsk managoment
The Trustees have assessed the major rfsks to whlch the charlty Is exposed, In particular those
related to th8 operatlons and finances of the charity. and are satisfied that systems and procedures
are In place io mttigate exposure to the major risks.
OBJECTIVES AP4D ACTMTIES
The Trust's objects are to promote health and wellbeing through the tsachlng and practice of yoga
and rèlatad activities for the pubfic benefit across the United Kingdom. In planning ils acliv6tles for
the year, the Trustee5 have had due regard to the Charity Commission's guidance on publlc benefiL

PATANJALI YOG PEETH (UK) TRUST
TRUSTEES, REPORT
ACHIEVEMENTS AND PERFORMANCE
Review of Activities and Public Benefft
During the year. the Trust conlinued to deliver Its core charitable activities in furtherance of its
objectives. The Trust provided in excess of 200 yoga classes per wèek across the UK. These
classes were dellvered both in person and an￿ne. enabllng the Trust to reach a wlde and dlverse
audlence and improvlng accessibilltyfor Individuals who may otherwise be unable to attend in-
person sesslons. The activities supported partldpants. physlcal, mentsl and emotlonal wellbeing
and contrlbuted to the promotlon of healthier Illestyrfe&
In addllon to ts regular cla&8es. the Trust ￿troduCed a programffle of health-r8lat8d V￿rkshopS
and awareness sesslons delivered across the UK. These sessions were designed lo educatè and
angage participants on a range of health and wallbeing topics and to further advance the Tru5f$
charltable purposes.
On 21 Jun8 2024, the Trust markedlts 11th Intemattonal Day of Yoga. Over a kn-week perlod,
more than 200 yoga classes and events were delivered nationwide. including In Glasgow. London,
Ihe Mldlands and the North of England. These events engaged thousands of paruclpants and
In¢yea88d public awarenes8 of the Trusvs charitable actlvlties.
During the year, an experlenced JDga teacher from Haridwar, IrKlla, vlslted th8 UIL Wlth the support
of thé Trust's members and tsacher5, a nallonwide programme of events was organised in
locatlons ranglng from Glasgow to London. A number of these events recèlvèd television coverage,
which assisted in raislng the profile of the Trust and promoting its charilable work.
The Trust also organlsed a Level 3 training visit to Haridwar for exlstlng teachers and members.
Participants had the opportunity to engage directly viith Swami Ramdev Ji and Acharya Balkrishna
Ji. The Trustees consider Ihls activity to have provided valuable professlonal development,
Improved teaching stsndards and str8nglhened th8 delivery of yoga wlthin UK communities.
The Tmst continued to provide Ayf Lev811 teacher Irainlng durfng the year, supporting irKlividual8
wishlng to quallfy as yoga teachers and ￿ntri￿ling to Ihe SUStaSnablllty and expanslon of Ihe
Trust's actlvltle$.
Flnanclal revlew
Incomlng resources for the year We￿ £99,952 (2024- £61,515). Expenditure for the year wa5
£83.308 (2024- £40,155) which has led lo a surplus of £16.644 (2024 8urplus- £21,360).
Re8erve8 policy
The Trustees have èstablished 8 rwJerves polrcy under whlch thè Trust alms to maintsin
unrestricted resérves equlval&nt to between three and SEX months. expendlture, excluding restrlcted
and deslgnated funds. The Trustee8 consider Ihis level of reserves to be sufficient to mèet the
Trust's ongolng obligations and to provid8 financial resilience in the event of an unexpected
reduction in income. The reserves position remained in line with this policy throughout Iha year.

PATANJALI YOG PEEfH (UK) TRUST
TRUSTEES. REpoirr
PLANS FOR FUTURE PERIODS
The Trust68s plan to expand the Assistsnl Teacher Tra5ning programrno and to increase the
number of yoga classes dellvered across th6 UK. ￿th the long-tern aim of establishing a class In
every community hall and doubling the current level of provision.
The Trust also Intends to furth8r develop Its work school-aged children, recognising th8
potential long-temi physlcal and menial health benefts. The Truste8s plan to strength8n
partnérships with schools and educational organisations In order lo support the dellvery of yoga
%￿lh1n educatlonal s8ttlng
Sunita Poddar
Trustee
Dated: 1511212025

PATANJALI YOG PEETH (UK) TRUST
STATEMENT OF TRUSTEES. RESPONSIBILrriES
The Truslees presenl Ihelr report and a￿oUrts for the year endod 31 March 2025.
The charity trustees are respon$ible for preparing an annual report and financial statements In
accordance w5th applicabl6 law and United Kingdom Acwnting Standards {Unlt8d Kingdom
Generally Accepted Accounting Practice).
The law applicable to charitles In England and Wales r¢qulres the ¢hadty trusteos lo prepare financlal
statam8nts for eaGh year which glve a true and fair view of the slate of aff￿TS of the charity and of the
Incoming resources and appll¢ation of resources of Ihe charity for that perlod.
In preparfng the flnandal statements, the trustees are requlred to:
- sélect suitable accounting policies and then apply them consi$tenty,'
- observe the methods and prfnclple¥ In the Charitles SORP;
- make ludgernents and esllmal8S that are reasonable and prudent:
- state whether appllcable aGGountlng standards have bean fdEowod. subject to any malerfal
dapartures disclosed and explalned In th8 financlal statements:
- prepare the financlal stal6menls on the golng concom bas1$ unless It Is Snappropriato to presume
that Ihe Chadty will conllnue in buslness.
The trustees ar8 ffjsponslble for keeplng ￿per aceounllrwJ records that dlsckise wilh reasonable
a¢¢uracy at any tlme the flnan¢ial position of the charity and to enable them to ensure that the
financlal statements Gomply wllh the Charities Act 2011. Ihe Charity {Accounts and Reports)
Regulations 2008 , the Charities Accounts (S¢otland> Regualions 2006. the Charitio$ Trustaa and
Investsment {SGotland) Act 2005. tho SORP for Charflles prnparing accounts under FRS102 and the
provlslons of the Irust deed. They aro also responslblg for safeguardlng the assets of the charlty and
hence tskln9 reasonable steps for the prevention and dèteclion of fraud and other irregularities .
Th6 Trusteés are respon51bl8 for tho rnaintsnan￿ and Integrity of the corporate and finandal Informatlon
included on the charity's web8lle. Leglslation In the United Klngdom governing the preparation and
dlsseminatlon of flnancial statemonts may differfrom legslatlon in otherlurlsdictSon8.
Public Beneflt Slalement
The Twstees Gonflrm that they have Gomplled wlth tholr duty to hav8 due rogaid lo the guldance on publlc
benefit publlshed by the Charity com￿NS$10￿ In exorclsing thelr Powe￿ and duknes.

PATANJALI YOG PEEfH (UK) TRUST
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF PATANJALI YOG PEETH (UK) TRUST
I r8port on the accounts ofthè TN51 for the ywffiKled 31 March 2025. wlwch arn Sel outoft pagès 7 to 14.
Rèsp•ctlv• r•tsponslbllltles of trust•ès •nd examlner
The charivs tru5tee5 are responsible lorthe preparydtion of Ihe 8￿ints. The ¢harft¢s trustees conslder that
an audit is not mquired for thls year und8rsecllon 144(2) of ch￿11(8$ Act 2011 lthe 2011 Act) or under
Regulatfon 1011)lal lo Icl of the Charit568 A¢counts (ScolJ4nd) RegUla￿OnS 2006 (the 2006 Regulatitsns) ond
Ihat an Indep6nd￿t ￿mInall0n Is needed. The charKy1s preparlng accrued acKwnts and l am qualm￿ to
undertèkg tho examlnall¢)n by being a qualfi*d rnembw of Iho Chartwed InstllLrta of Mana9ernenl Accountants.
11 1$ my responsibillty to:
eyamlno the accounts under sedon 145 olthe Chairbes A¢1 2011 and undw seth)n 44111(c) of the
Ch4rt1185 and Truste¢ Inve$lmont {Scollandl Act 2005 Ilhe 2Q05 Act}
- to fcllow the pro¢edures laid down In the general Direcllons gl¥en by tho Char*y Cornm1$81on under
seclion 14515llbl of the 2011 Act
- to Stalè wh&ther paiticular rnatteTS have o)me to my attention
8a•ls of Indep•ndfrnt eximlnvff• r•port
My examlnallon was carried out In accwdance ts￿1h th¢ 98ner81 Dlreckns glven bytho Chgrtty comrnl88￿Jn
and Is in a¢coTdanGe wllh Regtslation 11 ofthe Charitias ACC￿nts (Scotlandl Regulations 2008. An
èxamlnoUoD Includes a re￿8W ol the eccounllng rgcords kèpt by th8 charfty an¢J a compartson of thg
8C¢QUnts prnsenled with thos? r8cordg.11 olso nolu(le8 consld¢raWon of any unusual itoms or disdosur8s in
lh• accounts, and sttklng •xplanattons fmm you 4$ fnJste&s con¢eming any such m9tters. Tho procgdures
undartskon do not provlde all the evidgnce that would bs roqulred In an èudll and cons8qu¢ntly ￿ oplnlon
Is glven as lo whether the accounts pres￿1 a Irue and fa5r vio￿ tho report Is IlmKed lo Ihose matto
$01 out In the naxt statement.
Ind•pend¢nt examln•rfs Statem•nl
In connectfon wlth my eyAmlnalion. no m8tter has com& to my attenllon:
{1) whlch glws rne regsongble caus• to b8llev8 Ihat In any mated•l respect the r•qihrement¥.'
lo keèp 8ccountJng records In accordance with Sortlon 130 of the 2011 Aci aftd secllon 4411)lal ofth
2005 Aet and Regulauon 4 01 the 2(￿16 Accounts Regulallon$ and
- to prepar¢ accounts whl¢h accord wlh the acctyjnting record5 and comply with tho accovntlng
reqUI￿rnents of the 2011 Act and seGUon 4411llbl of the 20D5 Act and Rogulauon 8 of the 2006
A¢counl$ Regulatio
have nol been met or
(2) to whlch, In my oplnion, attentron Sha￿d be drawn In ordwto enabie a FK<yer underslarnlkng of tha
8Kounts lo be reached
Davld Hayes
Chartered Management Acc￿n18nt
On behalf of DMH ACCOUn￿nty
199 Clathston Rcad
Glasgow
G443BS
15112r2025

PATANJALI YOG PEETH (UK) TRUST
UNAUDITED STATEMENT OF FINANCIAL ACTIVITIES
for the year ended 31 Paarch 2025
Unrestricted Restricted
funds
funds
Total
2025
Total
2024
Notes
In¢omin
Tosoufc8S
Incoming resources from generated funds
Voluntsry Income
Transfer from Unrestrlcted to Restdctsd
Sal8 of Assets
Income from charitable acllvities
59,350
1,500
60.850
48,364
4.215
34.887
4,215
34,887
13.151
Total Incomlng resources
98,452
1.500
99,952
61,515
Resources ex
ended
Charltable Adivllles
Transfer from Unrestricted to Reslrided
Govemanc8 costs
81,972
81,972
37,999
1.336
1,336
2.156
Total resources exp•ndod
83,308
83,308
40,155
Net movement In Funds
15,144
1,500
16,644
21,360
Fund balances at 1 April 2024
1976,666
65 517 2 042,183
2042 183
Fund balances at 31 March 2025
1,991810
67,017 2.058.827
The statement of finan¢lal activilles includes all galns and losses recognlsed In the year.
All income and expenditure derlve from cont5nuing activities.

PATANJALI YOG PEETH (UIQ TRUST
Unaudited Balance Sheet
as at 31 March 2025
2025
2024
Flxed assets
Tangible assets
1,924,814
1,940,678
Current assets
Debtors
Cash at bank and In hand
10
15,258
132.866
148.124
(42)
118.524
118.482
Credltors: amounts falllng due
wllhln one yèar
10
(14.111)
(16.976)
Nat Current ass•ls
134,013
101,506
Total assèts le¥5 Current
Ilabllltla$
2.058,827
2.042,184
The funds of the Charfty
Restricted funds
11
67,017
65,517
Unrestrlcted fvnds
General fund8
1,991,810
1,976.867
Nét Assats
2,058,827
2,042,184
The Accounts V￿re approved by the Truslees on 1511212025
Sunita Poddar
Trustee

PATANJALI YOG PEEfH (UK) TRUST
Notès to thè Unaudlted Accounts
for the year ended 31 March 2025
l Accoun￿n9 polld•
Basls olpT•p•rnIIDn
Th& flnancÈal statements have boon prepared In accorthcg Aceounltng and Reporling by Charitle$:
Stslemenl of Reca)mrnended Practlce aFvIKth to ch*ll8s kyeparkng their accounts kn accordanoe with
FRS1O21gff￿kn'V# 1 January 2015)
the Charflies Act 2011, th¥ Stattsmenl of R00￿mended Pra<*c• {SORPI 2005. ICharfll&s SORP IFRS
1021, the ChwiliBS AC￿)UThts (Scouand) Regulatlons 2006 and Ihe appli*4e accounung standards. ThB
accounts have been proparad under ihe hb510rf¢al cog1 conventkjn Items rn¢ognlsed at cost or
Iransactkn valu8 unless Othe￿50 slated in the relevant rtoEelsl to th8se arx¢xmls.
Tho Trust meéts lh& daffftltlon of a publlc bonèfil ènilty under FRS 102. Thè Translth)n l)ats to FRS102 was
the 1st Apdl 2015.
A6S0ts and IlablllU8s are Inluoty rnLwnt8ed al hi$to)*al ortransacUDn valuvt unl&s8 01he￿i80 St8t•d In
tha r8lavalll accounting polky nota,
In preparfng th& accounts, the trust88s havo con8ld8r•d vtt*glh8r In applWng th* 8ccourfng poll¢lgs rgqulr8d
by FRS 102 8nd tho Chorities SQRP FRS 102 the r85tat•ment of comparalive tifjms was requtred. Non•
The Irust•ts8 ￿)81d0rthQI Ih•rg no matsrf81 uncfjrtaknles about TNsf$ * to conllnu¢ 89 4 gokng
Incomlng R•NourG
All Incorn? 1$ re¢ognlsgd onco thtt ¢harfty èn16Uom•nt lo thg In￿M¢. thorn IB suffl¢lont ¢orlaSr)ty or
colpt and 601119 probubh tot Iho ￿￿0m• bg re¢8lv¢d. and I￿ arTrxnt of Inmrne recdv8blg can be
m&a8ured rdlably.
Don3￿¢￿4, are recognlged wthen Ih8y ha¥• c4>yNNthSc4lod IB Te¢•1v￿ In wrfting wKh r￿catIon of
both th• omounl and 8etUèm¢nl date.
In th• ovont that a donalron is subJ8Ct to ¢orrfllOon8 that rnqulre 8 lèvol of p•rforrnanco b•foro th8 Charity Is
•nlltled to thg fundB. Ihe incomg Is deferred and nol recow15￿ untll either those condM¢fj6 are fully rnel or
thé fulfllm•nl of those condltions ts %tholly wllhln the ￿11￿4 of lh8 cha￿ty and It Is probablg that tho80
condlllons ￿11 be fulnlled In thè repoTUng porfco.
A6sols Donalgd aro re¢ognlggd 8s Incomlng rnSOUTC•$ wjthln vol￿*#ry In¢om8 and wlthln Iho rd¢v4nl
flxgd ass8t category M Ihe balance $he81 when ￿ce￿able.
Where a donor ha6 lrnposed re5tlctKJn$ on Ihe uy• ofth• Incomè, tr￿0 fvnd$ bg cla¥8ffigd as
r•St￿t¥d. AJI other In¢oma Is elassgd as unrestrirted.
Re￿ur¢•• Exp•nd•d
AH expendiiurè19 accounted for on on awruafs b38￿ and hH5 be9n Induded under exp?nso calegorie9 thal
aggregate 811 cosis lor allocat¢on to gclknbes. there costs can be dlT8cUy attrfbuted to particular aGtlvllles.
Where cosls cannot be dlre¢tty allributgd ba pal¢ul8r acimty Ihey hav& b￿ft allocated ￿ 8 b*slg
Inslstelllw6th the use oftha resoums,
Acdvth$ undertaken dIreCt￿ QTe all thè rnsour¢¢# •xper￿ed by th• chadty In the de5fvery olgoods and
Servleès. Including R8 programm? ond p￿lect that is directed at th athlevemgnt of its ¢hani8blg ¥Oms
and Obl•Ct￿9s.
Support costs arv thos8 Incurrod In direcly in support of expBndltur¢ ￿ the obJe¢l8 of the charlty
include proSecl management carrièd out al tha hoadquart8rs.
Governancg ￿t9 are thosè ineurred in conn000￿ with adM￿l$tr8tt0n of thg th•rltywd ￿MplIanC0 vAlh
conslitu¢ional and stalulory requlremonts.
Grants payable ore charged In the ye8r Yltten the offer Is mado except In those cas•s where Ihè offor IB
condStiond. such granh being rec09n1s￿ vthen the condilK)ns ottaching aro fulfilled. Grant5 offered to
conditions which have nDt been met at lh6 ￿ar end are noted as 8 comm1b￿ant. bul not accAtsd gs
expmditure.

PATANJALI YOG pE￿H {UIQ TRUST
Notes to the Unaudlled Accounf5
for th• year ended 31 March 2025
raft9ll>l• Hxed assots av1ddopr￿aÉ1On
Tangible fixed assets. Other than ffeehold land, ar¢ $latsd atcost185s depredalknn. Depredètion has beBn
provided at tha followng rales In Order to vnilg 1)ff Ihe assels ¢)ver thelr estimaied ussfvl Ives, as follgws
Plant and machln8ry
F[X￿r•s, frttings & squlpmenl
Ffeèholdlgnd Is not depreelated.
15% r8ducing balanc
15% roduthJ balancè
Forelqn cunwKles
Transactions in forelgn eurrènc408 are r•cordpd gt th¢ rnte nllng at thè date of the trang•ctton. Monètsry
assèls and ￿ab(lIVeS denomlnatsd in for8lgn currenclès are translated at the rate of exchgnge wlin9 althe
balance 5heal dato. Al dlff•r¢ncgs arn tskon to th& stalemenl of finarKaal athlllBs.
Fund •¢coundng
Unr69tdcted ts)coMe lund8 comprjso th0￿ fuThJs whkh fv lJusl••s •ro fre8 to Use for any PLyP￿ In
lurthorene• of tho charft8Wo obleels.
Rathct•d fvnds 8re funds ￿kh ar• to t• us•d In aeeordan¢& vthh spedn¢ MstrlcJons Imposed by tha
donor or trust degd or ralsed by lh& tharityfor a partlad8r purpos8. Tho alm 8r¥J usè ofeach ro$trided fund
19 ¥•t out In tha notes to tho llnanclal st¥¢emonts.
2 Voluntary InMm•
Donallons 4nd glftj
2025
2924
60.BSD
3 IneoM• from ¢tharhabl• •¢lfvttl•*
2025
2024
Mer¢handlg0 Incom¢
Island Income
Ycsa work$hop Incom•
480
13.1SI
24,801
34,887
13.151
4 Tot•1 re•our¢w oxp•nd•d
Staff
Cr)st
Tot*1
2025
Total
2024
Dgprwyoilon Co8ts
Charltabl• a¢tlvitl•s
Actiwties undertaken dlreclty
Gr8nl Funding of activmles (note 51
Support Costs Inole 6)
Tolal
27.657
27,857
9,955
4.379
49.936
54.31S
28.044
77A93
81.972
37,999
Gov•manc• costs
1,338
1.336
2.156
40.155
V79
74,929
83.308
Goveman¢e costs in￿deS paymerts to tho Indepèndent exAminer of nil {2024: nll ) in respe¢l rflhe
Ind8pend8nt examination as welj $6 £1.440 12024 £1.4401 n rtslalion to other servtce8.
10

PATANJALI YOG PEETH (u￿ TRUST
N4)tés to the Unaudfted Accounts
for the ygar onded 31 March 2025
S Grant Fundlng of •ctMtles
2025
2024
Grants
6 Support c￿ts
2025
2024
Prèmls&s expensès
Olher eXpen￿S
Profosslonol fees on devoloFwnanl
O•w8ci8tion
42.203
7,733
9.746
5,119
8,000
7.179
4,379
54.315
7 Employ•
Numhr of •mploy￿#
The averag8 numbgr of employoe¥ thrfng the J*•r¥ms
Admln181raUvo
Opera￿on5
2025
Numb•r
2024
N￿rnber
8 T•nglbl• fix•d ￿1•ts
Plant and
L•nd and machln•ry
bulldlnq¥
•tc
Motor
v•hlel••
Total
Co•t
Al 1 Aprfl 2024
Addlllons
Ol¥posals
Al 31 March 2025
1,WJO,IJOO
131.312
1.300
55.200
8,470
1039.782
1985 8B2
D•prKlatlon
Al 1 Aprfl 2024
Chargo lor Ihe yo•r
On dlsposa
Al 31 March 2025
91.407
4,263
42,415
53,255
7,697
116
99,104
4,379
42,415
Nel book valuo
At 31 March 2025
At 31 March 2024
1900,0ty)
1,900 000
8S7
773
1.924.814
1940.678
The land above VMS donaied lo th• charfty by Sunma Poddargnd herhusband *)r no cunsldgrotton on 2nd
Aprll 2010 and was capi18￿Sed al Ils martèt value on dat8.
11

PATANJALI YOG PEETH IUIQ TrLIST
Notes to th8 Unaudited Accounts
for the year ended 31 Mar¢h 2025
9 D•btorn
2025
2024
Trnde dpbtor8
PMp8yments and accwed Incomo
Otherdebtorn
15,258
142)
42
10 Cr•dltorn: amovnts f*lllng duo wlthkn on• y•ar
2025
2024
Trade ¢r¢dltors
Ar£ruals
Olher Crgdtto
Gf4nt¥ Agr•ad
11.231
15,536
14.111
16.976
11 R•#trlct•d lund*
Th• In¢ome funds of lh• Includè r•8lrktsd lundg wnwlslng th• fdltythg unexpended balances ol
donallon* and grants held on IN$llor spgc¥fic puwey:
Mov•Trwnts In lunth
In¢omlng
B￿an¢• at
rnsoure•s
01-ApiQ4 r•soure•s
R••ourG
BAl•ne• at
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