Bierley Community Association Limited
Charity number 1137347
A company limited by guarantee number 07114974
Annual Report and Financial Statements
for the year ended 31 March 2022
111111
*ACOEPVU2*
3010312023
COMPANIÉS HCMJSE
#214

Blerley Communoty Association Limited
Annual Report and Financial Statements
for the year ended 31 March 2022
Contents
Page
Trustees, report
2to6
Examinerfs report
Statement of financial activities
Balance sheet
Notes to the accounts
IOto15

Bierley Community Association Limited
Trustees, report for the year ended 31 March 2022
Refeience and administrative detsils of the charity, its trustees and advlsots
The trustees during the financial year and up to and including the date the report was
approved were
Name
Daniel Jones
Tracey McNamara
Margaret Dennison
Franck Berthebaud
Jason Omally
Andrew Wade
Gareth David Nagle
Po5ityon
Chair from November 2021
Chair to November 2021
Treasurer
Dates
Appointed 1-11-21
Resigned 24-11-21
Res18ned 8-11>21
Resigned 1-12-21
Appointed 1-11-21
Appointed 30-9-20
Appointed 30-9-22
Charlty nurnbei
1137347
Company number
07114974
Reglstered and Principal Addre
Bierley Community Centre
(The Life Centrel
102-104 &ierley House Avenue
Bradford
BD4 6BU
Bankers
HSBC Bank plc
64 Tong Street
Dudley Hill
8radford
8D4 68U
Independent Examiner
lan McNamara
Sudworth Accountancy Services Limited
48 Station Road
Holywell Green
Halifax
West Yofkshire
HX4 9AW
Structure. £overnance and mana8ement
The charity is a company limited by guarantee and was formed on 3 January 2010. It is
governed by a memorandum and articles of association as amended by special resolutions
dated 28 May 2010 and 16 January 2018. The liability ofthe members in the event ofthe
company being wtsufid up Is Ilmlted to a Sum not exLe¥diii¥ £10.
Method ot recruitment and appointmenr ol trustees
Tlie-trustees of"Ih"e-charity-are-also'the-director%f0rth*purpose5￿ftornPanY-Iaw-and-are
appointed by the member5 at the AGM

Bierley Community Association Limited
Trustees. report (continued) for the year ended 31 March 2022
Objertlves and actlvltles
The charlty's objects
To benefit the residents of Bierley and the surrounding area and other estates across the
Yorkshire region regardless of the sex. sexual orientation, race or political. religious or other
belief5 of such persons by bringin8 together the said residents with local authorities.
voluntary and other or8anisations in a common effort to advance the inclusion of such
residents in the community by facilitating education. trainin& and other similar facilities to
develop social welfare through recreaiion. leisure time and 8iving an occupation with the
overriding objective of improving the conditions of life for such resident5.
In furtherance of these objectives but not otherwise the trustees shall have powe to secure
the establishment of a community centre and to maintain or co-operate wih any statutory
authority in the maintenance and management of such a centre for activtties promoted by
the charity in furtherance of the above objeciives.
The charlty's maln activltie5
Bierley Community Association Limited runs The ￿fe Centre. a community centre in the heart
of Bierley housing estate in ihe 8D4 area of Bradford. We have been in the community for
many years though have gone through various changes over the last couple of years to ensure
we are providing a good quality and accessible service that meets the needs of the community
Public benefit Statement
In setting our objectives and planning our actwities our twstees have gr¥en serious
consideration to the Charity Commission's general Euidance on public benefit.
Achievements and perforniance
Our Home Projert
A community garden project Imini forest) the developrnent involves local volunteers, we are
developing a seed to feed project from this development.
We have the The Life Centre Pantry- which enables the communty to use food donations we
have. The project is h05ted by volunteers who are Currently seeking asylum.
We have a twice weekly baby and toddler group during term time.
In addition to this toddler group. we also have a session called Happy Feet which is for tot5
who are lust feeling their feel. This session uses ball skllls to suppon and develop moblllty.
Baby buddie5 is a session run from birth to one year. it provides sensory play for infants. All
our groups are targeted towards bulldlng pareni networks and support both from the
centre to parents and amongst their community.

Bierley Community Association Limited
Trustees, report (continued) for the year ended 31 March 2022
Achlevements and performan￿ contlnued
Our Home Prolert (contlnuedl
We hold adult sewing and printing classes on an eveDin8 and durin8 the school holidays the
children also learn these skills.
Our Opel Projert
This is a session for our senior clients. We have prize bingo once a week which engages
community engagement and tackles isolation.
We have a well being trip. whereby the Seniors ch005e where they would like to 80 Out.
sometimes it's to the garden centre and other times for fish and chips. this project is client
led.
We have a reminisce 8roup activity every week. whereby we have a sing a long or board
8ames. a cuppa and just chat together around memories.
Every week the seniors attend a 2-course lunch. We seNe warm food. again this is to tackle
isolation and promote well-being.
Friday friend5 is a session after our lunch whereby we have croft activities and sit down
chatting With a warm drink and cake5.
Every week we provide transport to our elderly to the supemiarket to do their week
shopping.
Our Base Prolert
This proje¢t provides activites to children and youn8 people 7 days a week.
We hold kids clubs every evening after xhool that provides activities and a snack for the
attendees.
Football training is 5 times a week and football matches are played each week throughout the
season.
We have a healthy eating session each week.
Cook and eat session.
The youth team provide wellbeinR sessions for thildren and younR people.
Boxasize is a weekly session. There are also youth club sessioos.

Bierley Community Association Limited
Trustees, report (continued) for the year ended 31 March 2022
Achievements and perlormance continued
Our Base Projert continued
In addition to our activities on site we have a wellbein8 collaee that provides Community
support and sessions to local residents. We also have carer resources that provide support
and advice to carers and young carers. St Chad also provide a benefit 5UPPOrt service.
Financlal rewew
The net deficit for the year was £75.69812021- surplus £88,694) including net deficit of £60.914
12021 £91.7261 on unrestricted fund5 and net deficit of £14,78412021 £3.0321 on
stri¢ted funds, after transfers.
Reserve5 policy
The charity's free reserves excluding fixed assets. at the year end were £81.99212021 £90.6161
The trustees aim to maintain a minimum level of reseNe funds to cover 3 months salaries of
our Centre Manager. Opal Manager and Business Manager which equals E24,1)J). The
trustees have also agreed to set maximum level of funds equivalent to 6 months runnin8
costs- based on the budgeted 202112022 expenditure would be £153.8￿.
Whilst the charity ha5 been impacted by the global Covid-19 virus. the trustees have
reassessed the charity's ability to continue for ot least 12 months from the date that the
accounts are approved and have concluded that no material uncertainities exist that casr
significant doubt on the charity's ability to continue as a going concem.

Bierley Community Association Limited
Trustees, report (continued) for the year ended 31 March 2022
Staternent of trustees. respon5iblllte5
The trustees (who are also the director5 fo the purposes of company law) are responsible for
preparing the Trustee5 report and the financial statements In accordance with the applicable
law and UK A¢counting Standards.
Company law requires the trustees to prepare financial accounts for each financial year which
glve a true and fair view of the state of affairs of the charitsble company and of the incomin8
resources including the income and expenditure. of the charitable company for the year. In
preparing these financial statements the trustees are required to
il Select suitable accounting policies and apply them consiStentfy-
ill ObseThe the methods and principles in the Charities SORP-
iiil Make jud8ements and estimates that are reasonable and prudent:
iv) State whether applicable UK accounting standard5 have been followed. subject to any
material departure5 disc105ed and explained in the financial ststements:
vl Prepare the accounts on a going concem basis unless it is inappropriate to presume that
the charitable company will continue in operdtion.
The trustee5 are responsible for keeping proper accounting records which disclose with
reasonable accuracy at any time the financial position of the charitable company and to
enable them to ensure that the financial accounts comply with the Companies Act 2006.
They are also responsible for safeguarding the assets of the charity and hence for taking
reasonable steps for the prevention and detection of fraud and other irre8ularitie5.
This report ha5 been prepa￿d in accordance with the Statement of Recommended Practice..
Accouniig and Reporting by Charities (Charitie5 SORP IFRS10211, in accordance wtth the
special provision5 of the Companies Act 2006 relati
mall com
anie5.
Signed on behalf of the board of truste
Signed..
.ITrusteel
Name....

Bierley Community Association Limited
Independent examiner's report to the trustees of Bierley Community
Association Llmited
I report to the charity trustees on my examination of the account of the tharitable company
for the year ended 31 March 2022. which are set out on pa8es 8 to 16.
Responsiblities and basis of report
As the charity's trustees of the charitable company {and also its directors fo the purposes of
company lawl you are responsible for the preparation of the accounts in accordance with the
requirements of the Companies Act 2C*)61'the 2LI)6 Act,)
Having satisfied myself that the accounts of the charitable company are not required to be
audited under Part 16 of the 2(K16 Act and are eligible for independent examination, I report
in respect of my examination of your charity's accounts are carried out under Section 145 of
the Charities Actl'the 2011 Act.). In carrying out my exarnination I have followed the Direction
given by the Charity Commission under Section 145(5llbl of the 2011 Act.
Independent examiner'5 ststement
Since the charitable company's gross income does not exceed £250.(M)O an examiner does
not need to be a member of a body listed in section 145 of the 2011 Act.
I have completed my examination. I confirm that no material matters have come to my
attention in connection with the examination giving me cause to believe that in any rnaterial
respect:
il accounting records were not kept in respert of the company as required by sertion 386 of
the 2006 Act- or
ill the accounts do not accord with those records- or
iii the accounts do not comply with the accountin8 requirernents of 5ettion 396 of the 21X)6
Act other than any requirement that the accounts give a 'true and fair view, which is not a
matter considered as part of an independent examinatiom.. or
iv) the account have not been prepared in accordance with the methods and principle5 of the
Statement of Recommended Practice for accounting and reporting by charities (applicable to
charities preparing their accounts in accordance with the Financial Reporting Standard
applicable in the UK and Republic of Ireland IFRS 102)1-
I have no concern5 and have come across no other matters in connectTron with the accounts
examination to which attention should be drawn in this report in order to enable a proper
understanding of thè ac
ounts to be reached.
Signed.-...
Name: lan Mcnamara
Sudworth Accountancy Services Limited
48 Station Road. Holywell Green
Halifax HX4 9AW

Bierley Community Association Limited
Statement of Financial Actlvltes
(Includlng summary Income and expenditure attount)
for the year ended 31 March 2022
2022
Unrestricted
Funds
2022
Restricted
Funds
2022
Total
Funds
2021
Total
Funds
Income from:
Grants & Donations
Room Hire
Activities
Other Income
Bank Interest
Total Income
53.486
19.556
47.787
1.307
34.101
87.587
19.556
47.787
1.307
249,978
35,068
14,379
6,239
12
305,676
122,141
34.101
156.242
Expenditure on:
Staff costs
Se55ional workers
Training
Events & activities
Materials
Phone and media
Rent and rates
Utilitie5
Building repairs
Insurance
Independent exam
Licences & subs
Professional fees
Computer and IT costs
Sundries
Cleaning & waste disposal
Postage and printing
Travel expenses
Vehicle Èxpenses
Depreciation
Bad debts
Volunteer expenses
Totsl expenditure
Net incomel(expenditure)
Transfers between funds
Net mgvement In funds
Funds balances blfr*d
Funds-balances-clfwd
108,844
30,396
431
262
5.748
36
239
1.253
1,459
3,537
202
314
341
302
1,908
360
206
273
139.240
1.975
1.198
26.333
165
1.094
5.738
6.686
16.205
924
127,886
6.362
1.785
18.779
4,282
1.083
9.850
6,631
5,718
1,199
1,320
.1.919
1,963
5,089
3.245
1,830
1.521
453
7,878
8,001
936
20,585
129
855
4.485
5,227
12,668
722
1,126
1.220
1,083
6.834
1,290
737
975
1.561
1.385
.74Z
1.650
943
1.248
5.734
7.999
1,601
7,335
7.999
62
183.055
60,914
17
48,885
14.784
79
231.940
75.698
188
216,982
88,694
60.914
105.067
.-i-s
14,784
62.817
8.033_
75.698
167.884
92,186
88,694
79,190
167,8_84

Bierley Community Association Limited
Balance sheet
as at 31 March 2022
2022
Unrestricted
2012
Resticted
2022
Total
2021
Total
Flxed assets
Tangible assets
Tot31 fixed assets
4.884
4,884
5.312
5,312
10.196
10.196
18,196
18.196
Current assets
Debtors and prepayments
Cash at bank
Totsl current a55ets
2.850
38.906
41.756
3.100
42.317
45.417
5,950
81,223
87,173
5,662
160,455
166,117
Current Ilabilitles
amounts due < I year
Creditor5 and accruals
Totsl ￿rrent Ilabllltles
1.585
1.585
1.718
1.718
3.303
3,303
12,684
12,684
Net current assets
40.171
43.699
83,870
153,433
Total assets less liabilitles
45.055
49.011
94,066
171,629
Creditors due > l year
900
978
1.878
3,745
Net assets
44.155
48,033
92,188
167,884
Funds
Unrestricted funds
Restrided funds
Totsl funds
44.155
44,155
48,033
92,188
105,067
62,817
167,884
48,033
48.033
44.155
For the year ending 31 March 2022 the charitable company was entitled to exemption from audit
under Section 477 of the Companies Aci 2006 relating to small companTres.
The members have not required the charitable company to obtain an audit of its accounts for the
vear in question in accordance with section 476. The trustees (who a550 the directors for the purposes
of company lawl acknowledge their responsibilities for complying with the requirements of the Act
with respect to accounting records and the preparation of the accounts.
These accounts have been prepared in accordance with the provision5 applicable to ihe small
companies, regime and with FRS 102 {effective January 20191
The financial sta
swer
ov
by the board of trustees Oh............. ... ..........
Sign
. ITrusteel
Name....

Bierley Community Association Limited
Notes to the accounts
for the year ended 31 Mar¢h 2022
l Accountlng policies
Basis of accountlng
These accounts have been prepared under the historical c05t convention wtth items recognised at C05t
or transaction value unless otherwise stated in the relevant notels) to these accounts. The financial
statements have been prepared in accordance with the Statement of Recommended Practice..
Accounting and Reporting by Charities preparin8 their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 (effective l January 2019)
and with the Charities Act 2011.
The charity constitutes a public benefit entity as defined by FRS 102.
There has been no change to the accounting policies since last year.
No changes have been made to the accounts for previous years.
Going concern
The trustees are satisfied that there are no material uncertainties about the ¢harity'5 ability to continue
Incoming resources
All incoming resources are included in the Statement of Financial ActNities {SOFAI when the charity
becomes entitled to the resource5. it is likely than not that the trustees will recerve the resources and
the monetary value can be measured with sufficient reliability.
Grants and donations
Grant and donations are only included in the SOFA when the chority has unconditional entitlement to
the resour¢e5. Where grants are related to performance and specific deliverables, they are accounted
for 05 the charity earns right to consideration by its performance.
Expenditure and Ilabllhies
Expenditure is recognised on an accrual basis as a liability is incurred. Liabilities are recognised where
it is more likely than not that there is a legal or constructive obligationm committing the charity to pay
out the resources and the amount of the obligation can be measured with reasonable certainly.
Taxation
A5 a charity the organisation benefits from rates relief and is generally exempt from income tax and
capital gains tax but not from VAT. Irrecoverable VAT is included in the cost of ihose items to which it
relates.
Tangible fixed assets
Tangible fixed assets costing more than £75Q are capitalised and inr.IiJrlrl at rost inclvdin8 any
incidental expenses of acquisition. Gifted assets are shown at the value to the charity on receipt.
Depreciation is provided on all tangible fixed assets at rates calculated to write off the cost on a
straight line basis over their expected useful economic lives as follows-
All.tangible-fixed-assets-.
strai8ht-line-basi>over*yea
io

Bierley Community Association Limited
Note5 to the accounts continued
for the year ended 31 Marth 2022
l Accountlng polides (continued)
Penslons
The charity operated a defined contribution scheme for the benefit of its employees. The costs of
contributions are recogni5ed in the year they are payable.
Fund arcountlnz
Unrestricted funds are available for use at the discretion of the trustees in furtherance of the general
objectives of the charity.
Restricted funds are subjected to restrictions on their expenditure imposed by the donor or through
the terms of an appeal.
Further explanation of the nature and purpose of each fund is included in the notes to the acounts.
2 Grants and donation5
2022
Unrestricted
funds
2022
Restricted
funds
2022
Total
funds
2021
rotal
funds
Base
BBC Children in Need
BCAFC
Bradford City Challen8e
Bradford MDC
Bradford VCS Alliance
CMDC
Emerge
Fare Share
HMRC Job Retention {JRS)
In Communities
Leed5 Comm Foundition
Li2 & Terry Bramall
Martin Lewi5
National Lottery INLCFI
Power to Change
Tesco
The Football Foundation
The Henry Smith Charity
Transforming Lives
Yorkshire Building Society
23.980
23.980
23,818
3,121
3,121
4.973
68.350
7CNJ
2.837
2,837
8.767
1,000
8.895
1.080
15.OiY)
io,ocKJ
1,500
36,030
20,C(10
500
3,665
40.000
4,LlJO
1,700
249,978
24,114
24.114
26.951
34.101
61,052
li

Bierley Community Association Limlted
Notes to the accounts continued
fortheyear ended 31 Marth 2022
3 Staff costs and number5
2022
2021
Gross salaries
Social security costs
Employment allowance
Pensions
126.447
9,884
117,558
8,509
4,000
5,819
127,886
6.909
139,240
The averaBe number employees during the year wa$ 7120217.31 being an average of 5 fijll time
equivalent (20215 FfEI. There were no employees with emoluments above £60,(XI).
Defined contrlbution pen￿0Th %heme
2022
2021
Cost of the xheme to the charity for the year
5.819
4. Restrirted fvnds
Balance b/f
Incorning
Outgoin8
Balance clf
ABCD 2020 Base
BBC Children in Need
BMDC Cleaner Streets
BMDC Connecting People
BMDC Day Opportunities
BMDC Easter
BMDC Transformation Fund
Football Subs
Garfield Weston
500
334
2.000
I,OCNJ
162
2.172
4,000
161
334
162
2.172
161
4.387
ri I
4,387
421
26.080
1,535
6.737
12,057
1,050
Grow the Game
HenrySmith
In Communities
LCF- Food Poverty
Liz and Terry Bramall
NLCF
Pears Youth Fund
VCS Microgrant
421
26.080
1.535
6.737
12,057
1.050
71
71
62.817
62,817
Fund-pUrpose57re-detaileif(￿the-neTrt p.a8
12

Bierley Community Association Limited
Notes to the accounts contlnued
for the year ended 31 Marth 2022
4 Restrlrted fund5 continued
Fund Name
Purpose of restriction
ABCD 2020 Base
Towards sports equipment
88C Childfen in Need
Towards the cost of sessional Youth worker and related project costs
8MDC Cleaner Streets
Towards costs relating to the improvement of the local environment
BMDC Connecting People
Towards costs for the delivery of exercises classes throughout 2022.
BMDC Day Opportunities
Towards the projeci and staffin8 Costs of the OPAL project.
BMDC Easter
Towards food and related activities for children in the Easter 2022 holidays
BMDC Transformation Fund Towards plans to develop and transform the centre.
Football Subs
Towards the delivery costs of Bierley Community AFC IBCAFCI
Garfield Weston
Towards administration costs.
Grow the Game
Towards the development costs. including floodlights. of the BCAFC
football teams.
Towards running and centre management costs.
Towards supporting people into work through computer access & job club5
Towards salary costs to maintain food related provision at the Centre and
the Sutton Centre.
Towards the administratron and development core costs of the centre.
Towards supporting the 5UStainabiltiy of the Centre during the pandemic.
Towards a youth enterprise project.
Towards to cost of a tarpaulin.
Henry Smith
In Communities
LCF- Food Poverty
Liz and Terry 8ramall
NLCF
Pears Youth Fund
VCS Microgrant
All trasnsfers concern the tapitalisation of fixed assets.
13

Bierley Community Association Limited
Notes to the accounts continued
for the year ended 31 March 2022
5 Tanglble assets
Equipment &
Fittings
Computer
Equipment
Motor
Vehicles
. Total
At l April 2021
Additions
At 31 March 2022
12.946
10.068
27.736
50,750
12.946
10.068
27,736
50,750
De
re I lon
At l April 2021
Charge for year
At 31 March 2022
4,088
3,238
7.326
5,217
2,517
7.734
23,249
2.244
25.493
32,554
7,999
40,553
Net b ok value
At 31 March 2022
5.620
2.334
2.243
10.197
At 31 March 2021
8.858
4.851
4.487
18.196
6 Debtors and prepayments
2022
2021
Debtors
Prepayments
4.317
1,633
5.950
2.162
5,662
7 CYedStors and accruals
Due < l Year
Creditors
Accruals
Hire Purchase Loan
2022
2021
9,496
1,320
1,868
12.684
1,868
3.308
8 Creditors and accruals
Due > l Year
Hire Pyrchase Loan
2022
2021
1,878
1,878
3,745
3,745
14

Bierley Community Association Llmited
Notes to the accounts contlnued
for ihe year ended 31 March 2022
9 Related party transaclions
Trustee expenses
No trustee received any expenses during this year or the previous year.
Trustee remuneratlon and benefrts
No trustee received any remuneration or benefit during thi5 or the previous year.
Remun¢ratSon and beneflts received by key management personnel
The key management personnel of the charity include the trusttes and the Chief Offitrr. The total
employee benefits received by the Chief Officer were £40.98412021 £38.554)
No trustee received any remuneration or benefit in this capacity durin8 this or the previous year.
15

Bierley Community Association Limlted
Statement of Flnanclal ArtSvltes- Current year for all funds
(includlng summary income and expenditure account)
for the year ended 31 March 2022
2022
Unrestrirted
Funds
2022
Restrirted
Funds
2022
Total
Funds
Income from:
Grant5 & Donations
Room Hire
Activities
Other Income
Bank Interest
Total Income
53,486
19.556
47.787
1,307
34.101
87,587
19.556
47,787
1,307
122,141
34.101
156,242
Expendlture on:
Staff costs
Se55ional worker5
Training
Events & activities
Materials
Phone and media
Rent and rates
utilities
Building repairs
Insurarbce
Independent exam
Licences & subs
Professional fees
Computer and IT costs
Sundries
Cleaning & waste disposal
Postage and printing
Travel expenses
Vehicle expenses
Depreciation
Bad debt5
Volunteer expenses
Total expendlture
Net incomel(eXpendi￿re)
Transfers between fund$
Net movement In funds
Funds balances b/fwd
Funds balan¢es dfwd
108.844
30.396
431
262
5,748
36
239
1.253
1.459
3.537
202
314
341
302
1.908
360
206
273
139,240
1,975
1,198
26.333
165
1,094
5.738
6.686
16,205
924
1.440
1,561
1,385
.742
1.650
943
1,248
936
20.585
129
855
4.485
5,227
12.668
722
1.126
1.220
1.083
6,834
1.290
737
975
5.734
7,999
1.601
7.335
7.999
62
183,055
60,914
105.067
44.153
17
48,885
14.784
62,817
48,033
79
231,940
75.698
167,884
Y2,l¥b
44,153
48,033
92,186
16

Bierley Community Association Limited
Statement of Flnandal Actlvltes- Comparatlve year for all funds
(includlng summary Income and expendlture account)
for the year ended 31 March 2022
2021
Unrestricted
Funds
2021
Restricted
Funds
2021
Total
Funds
Income from:
Grants & Donations
Room Hire
Activities
Other Income
Bank Interest
Total Income
42,700
35.068
13.414
6.239
12
97,433
207.278
249,978
35,068
14.379
6.239
12
305,676
965
208,243
Expendilure on:
Staff costs
Se55ional workers
Training
Events & activities
Materials
Phone and media
Rent and rate5
Utilities
Building repairs
Insurance
Independent exam
Licences & subs
Professional fees
Computer and IT costs
Sundries
Cleaning & waste disposal
Postage and printin8
Travel expenses
Vehicle expen5e5
Depreciation
Bad debts
Volunteer expenses
Total expenditure
Net Intomel{expendi￿re>
Translers between funds
Net movement in funds
Funds balances b/fwd
Funds balances clfwd
270
iio
180
236
127.616
6.252
1,605
18.543
4.282
990
9.850
6.631
4,628
537
960
127,886
6,362
1,785
18.779
4.282
1,083
9,850
6,631
5,718
1,199
1.320
1,919
1,963
5,089
3,245
1.830
1.521
453
7.878
8,TrJl
93
1,090
662
360
1,075
13
36Z
1.366
428
1,950
4,727
1,879
1.402
1.521
20
4,387
433
3,491
8.IX)I
28
18,198
79.235
12,491
91,726
160
198.784
9.459
12,491
3,032
188
216.982
88.694
88,694
91,726
3.032
88,694
17