**REGISTERED CHARITY NUMBER: 1158293** 

## **REPORT OF THE TRUSTEES AND** 

**UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED 5TH APRIL 2024** 

## **FOR** 

## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

Whitehead & Howarth 327 Clifton Drive South Lytham St Annes Lancashire FY8 1HN 



**THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **CONTENTS OF THE FINANCIAL STATEMENTS for the Year Ended 5TH APRIL 2024** 

||**Page**|
|---|---|
|**Report of the Trustees**|1 to 3|
|**Independent Examiner's Report**|4|
|**Statement of Financial Activities**|5|
|**Balance Sheet**|6|
|**Notes to the Financial Statements**|7 to 12|
|**Detailed Statement of Financial Activities**|13|
|**Schedules of Fixed Assets**||
|**Quoted Investments**|14 to 28|
|**Unquoted Investments**|29|
|**Management Information**|30|





**THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **REPORT OF THE TRUSTEES** 

## **for the Year Ended 5TH APRIL 2024** 

The trustees present their report with the financial statements of the charity for the year ended 5th April 2024. The trustees have adopted the provisions of Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective 1 January 2019). 

The Trust Funds at 5 April 2024 amounted to £3,147,304 as detailed in the financial statements. 

This report covers the year to 5 April 2024. 

It is the Trustees' intention to distribute substantially the whole of the Trust's investment income by way of charitable donations. 

Under the terms of the Trust Deed, the Trustees have power to apply the Trust income for the benefit of such of the following charities and in such manner as they in their absolute discretion see fit: 

The British Red Cross Society 

The David Lewis Centre for Epilepsy Endowment 

Action on Hearing Loss (registered as The Royal National Institute for Deaf People) 

Macmillan Cancer Support 

The Save the Children Fund 

Dogs Trust (formerly National Canine Defence League) 

The Royal National Institute of Blind People 

The Cheshire Wildlife Trust Limited 

Holidays with Help 

## **OBJECTIVES AND ACTIVITIES** 

## **Main objectives and activities** 

The Nanette Hyde Bryce Charitable Will Trust exists to assist the nine charities listed under the Will of Nanette Hyde Bryce by providing funds to them. All donations are made at the discretion of the Trustees. 

The Trustees meet annually and at other times as necessary to review the Charity's finances and determine the donations to be made. 

The Trustees confirm that they have referred to the guidance contained in the Charity Commission's general guidance on public benefit when reviewing the Trust's aims and objectives and in planning future activities. 

## **Public benefit** 

When planning the activities for the year, the trustees have considered the commissions guidance on public benefit and in particular the trustees have considered how planned activities will contribute to the aims and objectives they have set. 

## **ACHIEVEMENT AND PERFORMANCE** 

During the financial year donations of £241,329 (2023 - Nil) were made. 

Page 1 



**THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **REPORT OF THE TRUSTEES** 

## **for the Year Ended 5TH APRIL 2024** 

## **FINANCIAL REVIEW** 

## **Investment policy and performance** 

The Trust's investment powers are governed by statute and the Will. Money to be invested may be applied or invested in the purchase of, or at an interest upon, the security of such shares, stocks, funds, securities, land, buildings, chattels or other investments or property of any nature and in any part of the World and whether involving liabilities or producing income or not as the Trustees shall, in their absolute discretion, think fit. In accordance with the wishes of Nanette Hyde Bryce, no investments are to be made in the tobacco sector. 

The Trustees are required to act jointly and may act and be remunerated as a director or other employee or as agent or adviser of any business or company in any way connected with the Charity. 

Investments are arranged through Close Brothers Asset Management, who provide the Trustees with regular updates. Close Brothers manage the portfolio on a discretionary basis; which means they have been delegated the ongoing investment decisions, however no excessive risk is to be taken, hence the lowest risk portfolio has chosen to meet the objectives of the Charity. 

The Investment Policy of the Trust states that the strategy is for capital growth and that no more risk should be taken than is absolutely necessary. The Trustees intend to review the investments as part of their ongoing management in the next Trustees' meeting. 

## **Reserves policy** 

The whole of the Charity's income is available to meet its charitable objectives and no particular level of reserves is maintained. 

## **FUTURE PLANS** 

The Nanette Hyde Bryce Charitable Trust looks to further its charitable objectives, as set out above under "Objectives and Activities", as opportunities and needs arise. 

In accordance with section 14 of the Perpetuities and Accumulations Act 2009, the Trustees are aware after 21 years from the Trust being constituted, they will no longer be able to accumulate income. The Trustees are therefore ensuring this factor is built into all decisions made about Trust's investments and payments of income. 

The Trustees have agreed to resume making donations following the negative impact of the Covid pandemic on investments. 

## **STRUCTURE, GOVERNANCE AND MANAGEMENT** 

## **Governing document** 

Nanette Hyde Bryce died on 10 September 2013 and The Nanette Hyde Bryce Charitable Trust is administered by its Trustees in accordance with a Trust created under the Will dated 9 September 2004 and codicil dated 26 July 2013. 

It is also administered in accordance with Charities Act 1993 and subsequent Charities Acts. The Trust is registered as a charity with the Charity Commission (registered number 1158923) and is approved by the Inland Revenue Charity Division. The Charity qualifies for exemption from taxation under section 505 ICTA 1988. 

## **REFERENCE AND ADMINISTRATIVE DETAILS Registered Charity number** 

1158293 

## **Principal address** 

C/o Weightmans LLP 100 Old Hall Street Liverpool L3 9QJ 

## **Trustees** 

S M Allkins R J Bate 

Page 2 



**THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **REPORT OF THE TRUSTEES** 

## **for the Year Ended 5TH APRIL 2024** 

## **REFERENCE AND ADMINISTRATIVE DETAILS** 

## **Independent Examiner** 

Whitehead & Howarth 327 Clifton Drive South Lytham St Annes Lancashire FY8 1HN 

## **Accountants** 

Whitehead & Howarth 327 Clifton Drive South Lytham St Annes Lancashire FY8 1HN 

## **Independent Investment Advisors** 

Close Brothers Asset Management 10 Exchange Square Primrose Street London EC2A 2BY 

Approved by order of the board of trustees on ............................................. and signed on its behalf by: 

........................................................................ R J Bate - Trustee 

Page 3 



**INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **Independent examiner's report to the trustees of The Nanette Hyde Bryce Charitable Trust** 

I report to the charity trustees on my examination of the accounts of The Nanette Hyde Bryce Charitable Trust (the Trust) for the year ended 5th April 2024. 

## **Responsibilities and basis of report** 

As the charity trustees of the Trust you are responsible for the preparation of the accounts in accordance with the requirements of the Charities Act 2011 ('the Act'). 

I report in respect of my examination of the Trust's accounts carried out under Section 145 of the Act and in carrying out my examination I have followed all applicable Directions given by the Charity Commission under Section 145(5)(b) of the Act. 

## **Independent examiner's statement** 

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 material respect: 

1. accounting records were not kept in respect of the Trust as required by Section 130 of the Act; or 

2. the accounts do not accord with those records; or 

3. the accounts do not comply with the applicable requirements concerning the form and content of accounts set  out in the Charities (Accounts and Reports) Regulations 2008 other than any requirement that the accounts give a true and fair view which is not a matter considered as part of an independent examination. 

I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached. 

Candice Higgins 

Whitehead & Howarth 327 Clifton Drive South Lytham St Annes Lancashire FY8 1HN 

Date: ............................................. 

Page 4 



**THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **STATEMENT OF FINANCIAL ACTIVITIES** 

## **for the Year Ended 5TH APRIL 2024** 

|Notes<br>**INCOME AND ENDOWMENTS FROM**<br>Investment income<br>2<br>**EXPENDITURE ON**<br>Other<br>Net gains/(losses) on investments<br>**NET INCOME/(EXPENDITURE)**<br>**Transfers between funds**<br>9<br>**Net movement in funds**<br>**RECONCILIATION OF FUNDS**<br>**Total funds brought forward**<br>As previously reported<br>Prior year adjustment<br>5<br>**As restated**<br>**TOTAL FUNDS CARRIED FORWARD**|Unrestricted<br>funds<br>£<br>115,245<br>272,373<br>25,594<br>(131,534)<br>3,070,056<br>2,938,522<br>226,818<br>(18,036)<br>208,782<br>3,147,304|Endowment<br>fund<br>£<br>-<br>-<br>-<br>-<br>(3,070,056)<br>(3,070,056)<br>3,070,056<br>-<br>3,070,056<br>-|5/4/24<br>Total<br>funds<br>£<br>115,245<br>272,373<br>25,594<br>(131,534)<br>-<br>(131,534)<br>3,296,874<br>(18,036)<br>3,278,838<br>3,147,304|5/4/23<br>Total<br>funds<br>as restated<br>£<br>86,500<br>20,689<br>(72,533)<br>(6,722)<br>-<br>(6,722)<br>3,285,560<br>-<br>3,285,560<br>3,278,838|
|---|---|---|---|---|



## **CONTINUING OPERATIONS** 

All income and expenditure has arisen from continuing activities. 

The notes form part of these financial statements 

Page 5 



**THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **BALANCE SHEET** 

## **5TH APRIL 2024** 

|Notes<br>**FIXED ASSETS**<br>Investments<br>6<br>**CURRENT ASSETS**<br>Debtors<br>7<br>**CREDITORS**<br>Amounts falling due within one year<br>8<br>**NET CURRENT ASSETS**<br>**TOTAL ASSETS LESS CURRENT**<br>**LIABILITIES**<br>**NET ASSETS**<br>**FUNDS**<br>9<br>Unrestricted funds<br>Endowment funds<br>**TOTAL FUNDS**|Unrestricted<br>funds<br>£<br>3,079,343<br>73,312<br>(5,351)<br>67,961<br>3,147,304<br>3,147,304|Endowment<br>fund<br>£<br>-<br>-<br>-<br>-<br>-<br>-|5/4/24<br>Total<br>funds<br>£<br>3,079,343<br>73,312<br>(5,351)<br>67,961<br>3,147,304<br>3,147,304<br>3,147,304<br>-<br>3,147,304|5/4/23<br>Total<br>funds<br>as restated<br>£<br>3,028,783<br>254,585<br>(4,530)<br>250,055<br>3,278,838<br>3,278,838<br>208,782<br>3,070,056<br>3,278,838|
|---|---|---|---|---|



The financial statements were approved by the Board of Trustees and authorised for issue on ............................................. and were signed on its behalf by: 

............................................. 

R J Bate - Trustee 

The notes form part of these financial statements 

Page 6 



**THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **NOTES TO THE FINANCIAL STATEMENTS for the Year Ended 5TH APRIL 2024** 

## **1. ACCOUNTING POLICIES** 

## **Basis of preparing the financial statements** 

The financial statements of the charity, which is a public benefit entity under FRS 102, have been prepared in accordance with the Charities SORP (FRS 102) 'Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective 1 January 2019)', Financial Reporting Standard 102 'The Financial Reporting Standard applicable in the UK and Republic of Ireland' and the Charities Act 2011. The financial statements have been prepared under the historical cost convention, with the exception of investments which are included at market value, as modified by the  revaluation of certain assets. 

## **Income** 

Dividends are included in the unaudited Statement of Financial Activities when they are declared and bank interest is included when received. All investment income is stated gross including recoverable tax credits. Under the terms of the Trust document, all income arising from Permanent Endowment Fund investments forms part  of the Charity's general "Accumulated Income" fund and may be used for the general purposes of the Charity. 

## **Expenditure** 

Donations to the nine charities listed in the Will of Nanette Hyde Bryce are included in the Statement of Financial Activities when authorised and made by the Trustees. 

Other expenditure is included in the Statement of Financial Activities on an accruals basis. 

Liabilities are recognised as expenditure as soon as there is a legal or constructive obligation committing the charity to that expenditure, it is probable that a transfer of economic benefits will be required in settlement and the amount of the obligation can be measured reliably. Expenditure is accounted for on an accruals basis and has been classified under headings that aggregate all cost related to the category. Where costs cannot be directly attributed to particular headings they have been allocated to activities on a basis consistent with the use of resources. 

## **Taxation** 

The charity is exempt from tax on its charitable activities. 

## **Fund accounting** 

Quoted investments are stated at market value less any provision for permanent diminution in value. Market value is taken to be the middle market price ruling at the balance sheet date. 

As the policy is to keep valuations up to date, when investments are sold there is no gain or loss arising relating to previous periods. As a result the statement of financial activities does not distinguish between the valuation adjustments relating to sales and those relating to continued holdings and they are together treated as changes in the value of investments throughout the year. 

The unquoted investments in Hydes' Brewery Limited are stated at the Probate Value as at the date of death of Nanette Hyde Bryce, as a market value is not available. 

Unrestricted funds can be used in accordance with the charitable objectives at the discretion of the Trustees. 

## **Debtors** 

Debtors are measured on initial recognition at settlement amount. Subsequently, they are measured at the cash  or other consideration expected to be received. 

continued... 

Page 7 



**THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **NOTES TO THE FINANCIAL STATEMENTS - continued for the Year Ended 5TH APRIL 2024** 

## **2. INVESTMENT INCOME** 

|**INVESTMENT INCOME**|||
|---|---|---|
||5/4/24|5/4/23|
|||as restated|
||£|£|
|Dividends and unit trust|115,245|86,500|



## **3. TRUSTEES' REMUNERATION AND BENEFITS** 

There were no trustees' remuneration or other benefits for the year ended 5 April 2024 nor for the year ended 5 April 2023. 

## **Trustees' expenses** 

There were no trustees' expenses paid for the year ended 5 April 2024 nor for the year ended 5 April 2023. 

## **4. COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES** 

|**INCOME AND ENDOWMENTS FROM**<br>Investment income<br>**EXPENDITURE ON**<br>Other<br>Net gains/(losses) on investments<br>**NET INCOME/(EXPENDITURE)**<br>**Transfers between funds**<br>**Net movement in funds**<br>**RECONCILIATION OF FUNDS**<br>Total funds brought forward<br>**TOTAL FUNDS CARRIED FORWARD**|Unrestricted<br>funds<br>£<br>86,500<br>12,984<br>-<br>73,516<br>777<br>74,293<br>134,489<br>208,782|Endowment<br>fund<br>£<br>-<br>7,705<br>(72,533)<br>(80,238)<br>(777)<br>(81,015)<br>3,151,071<br>3,070,056|Total<br>funds<br>as restated<br>£<br>86,500<br>20,689<br>(72,533)<br>(6,722)<br>-<br>(6,722)<br>3,285,560<br>3,278,838|
|---|---|---|---|



continued... 

Page 8 



**THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **NOTES TO THE FINANCIAL STATEMENTS - continued for the Year Ended 5TH APRIL 2024** 

## **5. PRIOR YEAR ADJUSTMENT** 

In the prior year, dividends and unit trust income was overstated by £18,036 and other debtors were overstated by £18,036 

## **6. FIXED ASSET INVESTMENTS** 

|**MARKET VALUE**<br>At 6th April 2023<br>Additions<br>Proceeds<br>Net gain/ (loss) on investments and disposals<br>Equalisation<br>At 5th April 2024<br>**NET BOOK VALUE**<br>At 5th April 2024<br>At 5th April 2023|Quoted<br>investments<br>£<br>815,793<br>388,626<br>(362,726)<br>25,594<br>(934)<br>866,353<br>866,353<br>815,793|Unquoted<br>investments<br>£<br>2,212,990<br>-<br>-<br>-<br>-<br>2,212,990<br>2,212,990<br>2,212,990|Totals<br>£<br>3,028,783<br>388,626<br>(362,726)<br>25,594<br>(934)<br>3,079,343<br>3,079,343<br>3,028,783|
|---|---|---|---|



Quoted investments are split as follows: £663,422 (2023: £649,496) UK (where UK is defined as having less than 20% of assets overseas) and £202,931(2023: £166,297 ) non UK. 

## **7. DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR** 

|Weightmans' client account<br>Close Brothers main capital account<br>Close Brothers main income account<br>Close Brothers main 2 income account<br>Carter Allen account<br>Other debtors|5/4/24<br>a<br>£<br>41,765<br>7,441<br>9,220<br>-<br>14,522<br>364<br>73,312|5/4/23<br>s restated<br>£<br>90,648<br>43,179<br>-<br>100,903<br>-<br>19,855<br>254,585|
|---|---|---|



continued... 

Page 9 



**THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **NOTES TO THE FINANCIAL STATEMENTS - continued for the Year Ended 5TH APRIL 2024** 

## **8. CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR** 

|Other creditors<br>**9.**<br>**MOVEMENT IN FUNDS**<br>At 6.4.23<br>£<br>**Unrestricted funds**<br>Accumulated Income Fund<br>226,818<br>**Endowment funds**<br>Permanent Endowment<br>Fund<br>3,070,056<br>**TOTAL FUNDS**<br>3,296,874<br>Net movement in funds, included in the above ar<br>**Unrestricted funds**<br>Accumulated Income Fund<br>**TOTAL FUNDS**<br>**Comparatives for movement in funds**<br>**Unrestricted funds**<br>Accumulated Income Fund<br>**Endowment funds**<br>Permanent Endowment Fund<br>**TOTAL FUNDS**|Prior<br>year<br>adjustment<br>£<br>(18,036)<br>-<br>(18,036)<br>e as follows:<br>Incoming<br>resources<br>£<br>115,245<br>115,245<br>At 6.4.22<br>£<br>134,489<br>3,151,071<br>3,285,560||Net<br>movement<br>in funds<br>£<br>(131,534)<br>-<br>(131,534)<br>Resources<br>expended<br>£<br>(272,373)<br>(272,373)<br>Net<br>movement<br>in funds<br>£<br>73,516<br>(80,238)<br>(6,722)|5/4/24<br>£<br>5,351<br>Transfers<br>between<br>funds<br>£<br>3,070,056<br>(3,070,056)<br>-<br>Gains and<br>losses<br>£<br>25,594<br>25,594<br>Transfers<br>between<br>funds<br>£<br>777<br>(777)<br>-|5/4/23<br>as restated<br>£<br>4,530<br>At<br>5.4.24<br>£<br>3,147,304<br>-<br>3,147,304<br>Movement<br>in funds<br>£<br>(131,534)<br>(131,534)<br>At<br>5.4.23<br>£<br>208,782<br>3,070,056<br>3,278,838|
|---|---|---|---|---|---|



continued... 

Page 10 



**THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **NOTES TO THE FINANCIAL STATEMENTS - continued for the Year Ended 5TH APRIL 2024** 

## **9. MOVEMENT IN FUNDS - continued** 

Comparative net movement in funds, included in the above are as follows: 

|Incoming<br>Resources<br>Gains and<br>resources<br>expended<br>losses<br>£<br>£<br>£<br>**Unrestricted funds**<br>Accumulated Income Fund<br>86,500<br>(12,984)<br>-<br>**Endowment funds**<br>Permanent Endowment Fund<br>-<br>(7,705)<br>(72,533)<br>**TOTAL FUNDS**<br>86,500<br>(20,689)<br>(72,533)<br>A current year 12 months and prior year 12 months combined position is as follows:<br>Prior<br>Net<br>Transfers<br>year<br>movement<br>between<br>At 6.4.22<br>adjustment<br>in funds<br>funds<br>£<br>£<br>£<br>£<br>**Unrestricted funds**<br>Accumulated Income Fund<br>134,489<br>(18,036)<br>(58,018)<br>3,070,833<br>**Endowment funds**<br>Permanent Endowment<br>Fund<br>3,151,071<br>-<br>(80,238)<br>(3,070,833)<br>**TOTAL FUNDS**<br>3,285,560<br>(18,036)<br>(138,256)<br>-|Movement<br>in funds<br>£<br>73,516<br>(80,238)<br>(6,722)<br>At<br>5.4.24<br>£<br>3,129,268<br>-<br>3,129,268|
|---|---|



A current year 12 months and prior year 12 months combined net movement in funds, included in the above  are as follows: 

|**Unrestricted funds**<br>Accumulated Income Fund<br>**Endowment funds**<br>Permanent Endowment Fund<br>**TOTAL FUNDS**|Incoming<br>resources<br>£<br>201,745<br>-<br>201,745|Resources<br>expended<br>£<br>(285,357)<br>(7,705)<br>(293,062)|Gains and<br>Movement<br>losses<br>in funds<br>£<br>£<br>25,594<br>(58,018)<br>(72,533)<br>(80,238)<br>(46,939)<br>(138,256)|
|---|---|---|---|



continued... 

Page 11 



**THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **NOTES TO THE FINANCIAL STATEMENTS - continued for the Year Ended 5TH APRIL 2024** 

## **10. RELATED PARTY DISCLOSURES** 

There were no related party transactions for the year ended 5th April 2024. 

Page 12 



**THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

|**DETAILED STATEMENT OF FINANCIAL ACTIVITIES**<br>**for the Year Ended 5TH APRIL 2024**<br>**INCOME AND ENDOWMENTS**<br>**Investment income**<br>Dividends and unit trust<br>**Total incoming resources**<br>**EXPENDITURE**<br>**Other**<br>Grants and donations<br>Other resources expended<br>Independent examination<br>Total resources expended<br>**Net (expenditure)/income before gains and**<br>**losses**<br>**Realised recognised gains and losses**<br>Realised gains/(losses) on fixed asset investments<br>**Net expenditure**|5/4/24<br>a<br>£<br>115,245<br>115,245<br>241,329<br>29,604<br>1,440<br>272,373<br>272,373<br>(157,128)<br>25,594<br>(131,534)|5/4/23<br>s restated<br>£<br>86,500<br>86,500<br>-<br>19,489<br>1,200<br>20,689<br>20,689<br>65,811<br>(72,533)<br>(6,722)|
|---|---|---|



This page does not form part of the statutory financial statements 

Page 13 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|3I Group PLC Ordinary 73.86P<br>28/07/2023 Dividend on 850 units<br>02/01/2024 Sale of 200 units<br>12/01/2024 Dividend on 850 units<br>A2D Funding II PLC 4.5% Bonds GBP 30/09/26<br>30/09/2023 Interest on 12,000 units<br>01/04/2024 Interest on 12,000 units<br>Amazon Com Inc Com USD0.01<br>24/10/2023 Purchase of 50 units<br>Anheuser-Busch Inbev NPV<br>05/05/2023 Dividend on 125 units<br>05/06/2023 Sale of 125 units<br>Artemis Corporate Bond F GBP Inc<br>28/04/2023 Interest on 52,500 units<br>28/04/2023 Equalisation on 52,500 units<br>31/07/2023 Interest on 52,500 units<br>31/10/2023 Interest on 52,500 units<br>31/01/2024 Interest on 52,500 units<br>Ashtead Group PLC Ordinary 10P<br>12/09/2023 Dividend on 275 units<br>08/02/2024 Dividend on 275 units||**Holding**<br>**Book value**<br>**£**<br>850.00<br>8,315.01<br>(200.00)<br>(1,956.47)<br>650.00<br>6,358.54<br>12,000.00<br>13,855.60<br>12,000.00<br>13,855.60<br>50.00<br>5,281.31<br>50.00<br>5,281.31<br>125.00<br>5,450.40<br>(125.00)<br>(5,450.40)<br>0.00<br>0.00<br>52,500.00<br>50,880.86<br>(89.16)<br>52,500.00<br>50,791.70<br>275.00<br>5,545.23<br>275.00<br>5,545.23|**Accts Value**<br>**£**<br>8,315.01<br>(1,956.47)<br>6,358.54<br>13,855.60<br>13,855.60<br>5,281.31<br>5,281.31<br>5,450.40<br>(5,450.40)<br>0.00<br>50,880.86<br>(89.16)<br>50,791.70<br>5,545.23<br>5,545.23|**Proceeds**<br>**£**<br>4,757.01<br>4,757.01<br>0.00<br>0.00<br>5,469.85<br>5,469.85<br>0.00<br>0.00|**Profit/(loss)**<br>**£**<br>2,800.54<br>2,800.54<br>0.00<br>0.00<br>19.45<br>19.45<br>0.00<br>0.00|**Market Value**<br>**£**<br>18,265<br>11,670<br>7,333<br>48,211<br>15,681|**Net income**<br>**£**<br>252.88<br>225.25<br>478.13<br>270.00<br>270.00<br>540.00<br>0.00<br>57.11<br>57.11<br>475.64<br>616.77<br>667.70<br>657.93<br>2,418.04<br>184.94<br>34.10<br>219.04|
|---|---|---|---|---|---|---|---|



Page 14 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|ASML Hldgs Nv EUR0.09 SHS<br>26/01/2024 Purchase of 10 units<br>14/02/2024 Dividend on 10 units<br>ASI Asian Income Ltd Investment Trust Ordinary NPV<br>23/05/2023 Dividend on 8,750 units<br>25/08/2023 Dividend on 8,750 units<br>24/11/2023 Dividend on 8,750 units<br>23/02/2024 Dividend on 8,750 units<br>Astrazeneca PLC Ordinary USD0.25<br>11/09/2023 Dividend on 100 units<br>25/03/2024 Dividend on 100 units<br>B&M European Value Retail Ordinary 10P<br>04/08/2023 Dividend on 1,250 units<br>15/12/2023 Dividend on 1,250 units<br>09/02/2024 Dividend on 1,250 units<br>Berkshire Hathaway CL B USD0.0033<br>BH Abs Rtn Govt BD AM GBP ACC<br>30/06/2023 Excess reportable income on 150 units<br>25/04/2023 Sale of 150 units|**Holding**<br>**Book value**<br>**£**<br>10.00<br>6,747.42<br>10.00<br>6,747.42<br>8,750.00<br>18,553.25<br>8,750.00<br>18,553.25<br>100.00<br>7,362.36<br>100.00<br>7,362.36<br>1,250.00<br>4,582.36<br>1,250.00<br>4,582.36<br>35.00<br>6,016.54<br>35.00<br>6,016.54<br>150.00<br>18,278.43<br>34.06<br>(150.00)<br>(18,312.49)<br>0.00<br>0.00|**Accts Value**<br>**£**<br>6,747.42<br>6,747.42<br>18,553.25<br>18,553.25<br>7,362.36<br>7,362.36<br>4,582.36<br>4,582.36<br>6,016.54<br>6,016.54<br>18,278.43<br>34.06<br>(18,312.49)<br>0.00|**Proceeds**<br>**£**<br>0.00<br>0.00<br>0.00<br>0.00<br>0.00<br>17,794.87<br>17,794.87|**Profit/(loss)**<br>**£**<br>0.00<br>0.00<br>0.00<br>0.00<br>0.00<br>(517.62)<br>(517.62)|**Market Value**<br>**£**<br>7,772<br>18,200<br>10,620<br>6,518<br>11,614|**Net income**<br>**£**<br>10.55<br>10.55<br>218.75<br>218.75<br>218.75<br>371.88<br>1,028.13<br>71.80<br>156.00<br>227.80<br>102.00<br>54.19<br>212.50<br>368.69<br>0.00<br>0.00|
|---|---|---|---|---|---|---|



Page 15 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|Blackrock Sustnbl Stg Strat BD Z GBP INC<br>28/04/2023 Purchase of 30,000 units<br>23/05/2023 Purchase of 15,000 units<br>31/10/2023 Interest on 45,000 units<br>31/10/2023 Equalisation on 45,000 units<br>Booking Hldgs Inc Com USD0.008<br>01/04/2024 Dividend on 4 units<br>BT Group PLC Ord 5P<br>12/09/2023 Dividend on 20,000 units<br>20/09/2023 Sale of 3,000 units<br>Burford Cap PLC 5% NTS GBP 01/12/26<br>01/06/2023 Interest on 10,000 units<br>17/11/2023 Purchase of 4,000 units<br>01/12/2023 Interest on 14,000 units<br>Centrica PLC RD 6.1728P<br>20/07/2023 Dividend on 8,500 units<br>16/11/2023 Dividend on 8,500 units<br>17/11/2023 Sale of 2,500 units<br>23/01/2024 Sale of 6,000 units||**Holding**<br>**Book value**<br>**£**<br>30,000.00<br>31,624.09<br>15,000.00<br>15,628.39<br>(568.10)<br>45,000.00<br>46,684.38<br>4.00<br>7,804.97<br>4.00<br>7,804.97<br>3,000.00<br>5,723.68<br>(3,000.00)<br>(5,723.68)<br>0.00<br>0.00<br>10,000.00<br>10,359.80<br>4,000.00<br>3,750.00<br>14,000.00<br>14,109.80<br>8,500.00<br>7,369.63<br>(2,500.00)<br>(2,167.54)<br>(6,000.00)<br>(5,202.09)<br>0.00<br>0.00|**Accts Value**<br>**£**<br>31,624.09<br>15,628.39<br>(568.10)<br>46,684.38<br>7,804.97<br>7,804.97<br>5,723.68<br>(5,723.68)<br>0.00<br>10,359.80<br>3,750.00<br>14,109.80<br>7,369.63<br>(2,167.54)<br>(5,202.09)<br>0.00|**Proceeds**<br>**£**<br>0.00<br>0.00<br>3,620.80<br>3,620.80<br>0.00<br>3,726.57<br>8,245.95<br>11,972.52|**Profit/(loss)**<br>**£**<br>0.00<br>0.00<br>(2,102.88)<br>(2,102.88)<br>0.00<br>1,559.03<br>3,043.86<br>4,602.89|**Market Value**<br>**£**<br>48,007<br>11,413<br>13,742|**Net income**<br>**£**<br>413.35<br>413.35<br>23.65<br>23.65<br>161.70<br>161.70<br>250.00<br>(94.53)<br>350.00<br>505.47<br>170.00<br>113.05<br>283.05|
|---|---|---|---|---|---|---|---|



Page 16 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|Chevron Corp Com USD0.75<br>12/06/2023 Dividend on 50 units<br>14/07/2023 Purchase of 20 units<br>11/09/2023 Dividend on 70 units<br>11/12/2023 Dividend on 70 units<br>11/03/2024 Dividend on 70 units<br>Cisco Systems Inc Com USD0.001<br>14/07/2023 Purchase of 175 units<br>25/10/2023 Dividend on 175 units<br>24/01/2024 Dividend on 175 units<br>Close Select Fixed Income I GBP Inc<br>28/04/2023 Interest on 42,500 units<br>31/05/2023 Interest on 42,500 units<br>30/06/2023 Interest on 42,500 units<br>31/07/2023 Interest on 42,500 units<br>31/08/2023 Interest on 42,500 units<br>29/09/2023 Interest on 42,500 units<br>31/10/2023 Interest on 42,500 units<br>30/11/2023 Interest on 42,500 units<br>29/12/2023 Interest on 42,500 units<br>31/01/2024 Interest on 42,500 units<br>29/02/2024 Interest on 42,500 units<br>28/03/2024 Interest on 42,500 units<br>Co-op Group 11 % GTD SUB GBP<br>20/12/2023 Interest on 9,000 units||**Holding**<br>**Book value**<br>**£**<br>50.00<br>7,332.24<br>20.00<br>2,378.56<br>70.00<br>9,710.80<br>175.00<br>6,777.75<br>175.00<br>6,777.75<br>42,500.00<br>42,932.07<br>42,500.00<br>42,932.07<br>9,000.00<br>10,418.50<br>9,000.00<br>10,418.50|**Accts Value**<br>**£**<br>7,332.24<br>2,378.56<br>9,710.80<br>6,777.75<br>6,777.75<br>42,932.07<br>42,932.07<br>10,418.50<br>10,418.50|**Proceeds**<br>**£**<br>0.00<br>0.00<br>0.00<br>0.00|**Profit/(loss)**<br>**£**<br>0.00<br>0.00<br>0.00<br>0.00|**Market Value**<br>**£**<br>8,969<br>6,733<br>40,953<br>9,869|**Net income**<br>**£**<br>50.92<br>71.19<br>71.42<br>75.94<br>269.47<br>47.61<br>45.55<br>93.16<br>186.10<br>175.25<br>178.49<br>172.73<br>177.36<br>175.94<br>176.73<br>180.34<br>162.10<br>168.02<br>157.96<br>154.54<br>2,065.56<br>990.00<br>990.00|
|---|---|---|---|---|---|---|---|



Page 17 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|Compass Group PLC ORD 11.05p<br>04/12/2023 Purchase of 350 units<br>29/02/2024 Dividend on 350 units<br>07/03/2024 Purchase of 100 units<br>Cordiant Digital Infra Ltd ORD 100P<br>22/05/2023 Sale of 16,940 units<br>CRH PLC Ord EUR0.32 (UK listed)<br>04/05/2023 Dividend on 250 units<br>22/11/2023 Dividend on 250 units<br>17/01/2024 Dividend on 250 units<br>Deere & Co Com USD1<br>08/05/2023 Dividend on 20 units<br>14/07/2023 Purchase of 7 units<br>08/08/2023 Dividend on 27 units<br>08/11/2023 Dividend on 27 units<br>08/02/2024 Dividend on 27 units<br>Diageo PLC Ordinary 28.9351P<br>13/04/2023 Dividend on 200 units<br>19/06/2023 Sale of 200 units||**Holding**<br>**Book value**<br>**£**<br>350.00<br>7,169.51<br>100.00<br>2,202.30<br>450.00<br>9,371.81<br>16,940.00<br>17,336.16<br>(16,940.00)<br>(17,336.16)<br>0.00<br>0.00<br>250.00<br>6,786.29<br>250.00<br>6,786.29<br>20.00<br>7,119.67<br>7.00<br>2,201.88<br>27.00<br>9,321.55<br>200.00<br>5,990.45<br>(200.00)<br>(5,990.45)<br>0.00<br>0.00|**Accts Value**<br>**£**<br>7,169.51<br>2,202.30<br>9,371.81<br>17,336.16<br>(17,336.16)<br>0.00<br>6,786.29<br>6,786.29<br>7,119.67<br>2,201.88<br>9,321.55<br>5,990.45<br>(5,990.45)<br>0.00|**Proceeds**<br>**£**<br>0.00<br>14,505.43<br>14,505.43<br>0.00<br>0.00<br>6,592.84<br>6,592.84|**Profit/(loss)**<br>**£**<br>0.00<br>(2,830.73)<br>(2,830.73)<br>0.00<br>0.00<br>602.39<br>602.39|**Market Value**<br>**£**<br>9,995<br>16,930<br>8,831|**Net income**<br>**£**<br>98.35<br>98.35<br>0.00<br>153.78<br>38.08<br>157.49<br>349.35<br>16.80<br>16.60<br>25.19<br>26.66<br>85.25<br>**61.66**<br>61.66|
|---|---|---|---|---|---|---|---|



Page 18 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|Dowlais Group PLC Ord 1P<br>20/04/2023 Demerger & consolidation<br>26/04/2023 Purchase of 1,800 units<br>10/08/2023 Purchase of 2,500 units<br>27/10/2023 Dividend on 5,500 units<br>17/11/2023 Purchase of 850 units<br>Fidelity Short Dated Corp Bnd W GBP<br>28/04/2023 Interest on 4,000 units<br>31/07/2023 Interest on 4,000 units<br>24/08/2023 Sale of 4,000 units<br>First Trust US Equity Income ETF GBP<br>06/04/2023 Dividend on 575 units<br>10/07/2023 Dividend on 575 units<br>20/09/2023 Purchase of 225 units<br>05/10/2023 Dividend on 800 units<br>17/11/2023 Purchase of 100 units<br>09/01/2024 Dividend on 900 units<br>05/04/2024 Dividend on 900 units<br>Glencore PLC ORD USD0.01<br>20/09/2023 Purchase of 1,250 units<br>17/11/2023 Purchase of 200 units<br>07/03/2024 Purchase of 450 units<br>Gold Bullion Secs ETC USD||**Holding**<br>**Book value**<br>**£**<br>1,200.00<br>1,352.10<br>1,800.00<br>2,279.43<br>2,500.00<br>3,014.00<br>850.00<br>906.47<br>6,350.00<br>7,552.00<br>4,000.00<br>32,324.49<br>(4,000.00)<br>(32,324.49)<br>0.00<br>0.00<br>575.00<br>13,940.57<br>225.00<br>5,390.73<br>100.00<br>2,347.50<br>900.00<br>21,678.80<br>1,250.00<br>5,826.56<br>200.00<br>941.10<br>450.00<br>1,803.11<br>1,900.00<br>8,570.77<br>75.00<br>10,395.21<br>75.00<br>10,395.21|**Accts Value**<br>**£**<br>1,352.10<br>2,279.43<br>3,014.00<br>906.47<br>7,552.00<br>32,324.49<br>(32,324.49)<br>0.00<br>13,940.57<br>5,390.73<br>2,347.50<br>21,678.80<br>5,826.56<br>941.10<br>1,803.11<br>8,570.77<br>10,395.21<br>10,395.21|**Proceeds**<br>**£**<br>0.00<br>32,689.60<br>32,689.60<br>0.00<br>0.00<br>0.00|**Profit/(loss)**<br>**£**<br>0.00<br>365.11<br>365.11<br>0.00<br>0.00<br>0.00|**Market Value**<br>**£**<br>4,826<br>23,409<br>8,704<br>12,728|**Net income**<br>**£**<br>77.00<br>77.00<br>348.46<br>373.12<br>721.58<br>**108.49**<br>126.38<br>161.52<br>172.64<br>185.96<br>754.99<br>0.00<br>0.00|
|---|---|---|---|---|---|---|---|



Page 19 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|Gresham House Energy Storage Investment T<br>08/06/2023 Interest on 7,500 units<br>08/06/2023 Dividend on 7,500 units<br>29/09/2023 Interest on 7,500 units<br>29/09/2023 Dividend on 7,500 units<br>17/11/2023 Sale of 7,500 units<br>Harmony Energy Income Inv TST PLC Ord 1P<br>16/06/2023 Interest on 15,000 units<br>16/06/2023 Dividend on 15,000 units<br>29/09/2023 Dividend on 15,000 units<br>22/12/2023 Dividend on 15,000 units<br>23/01/2024 Sale of 15,000 units<br>HSBC HLDGS PLC ORD USD0.50 (UK Listed)<br>27/04/2023 Dividend on 1,500 units<br>23/06/2023 Dividend on 1,500 units<br>21/09/2023 Dividend on 1,500 units<br>21/12/2023 Dividend on 1,500 units<br>HSBC FTSE Japan Index S GBP ACC<br>16/06/2023 Purchase of 6,000 units<br>HSBC HLDGS 5.75% EMTN SUB GBP 20/12/27<br>15/08/2023 Purchase of 10,000 units<br>24/08/2023 Purchase of 4,000 units<br>20/12/2023 Interest on 14,000 units<br>Impax Environmental Markets Investment Tru<br>01/09/2023 Dividend on 5,000 units<br>15/03/2024 Dividend on 5,000 units|rust PLC<br>st Ordinary 10P|**Holding**<br>**Book value**<br>**£**<br>7,500.00<br>7,888.73<br>(7,500.00)<br>(7,888.73)<br>0.00<br>0.00<br>15,000.00<br>15,010.00<br>(15,000.00)<br>(15,010.00)<br>0.00<br>0.00<br>1,500.00<br>8,877.73<br>1,500.00<br>8,877.73<br>6,000.00<br>9,208.00<br>6,000.00<br>9,208.00<br>10,000.00<br>9,751.90<br>4,000.00<br>3,910.44<br>14,000.00<br>13,662.34<br>5,000.00<br>15,569.58<br>5,000.00<br>15,569.58|**Accts Value**<br>**£**<br>7,888.73<br>(7,888.73)<br>0.00<br>15,010.00<br>(15,010.00)<br>0.00<br>8,877.73<br>8,877.73<br>9,208.00<br>9,208.00<br>9,751.90<br>3,910.44<br>13,662.34<br>15,569.58<br>15,569.58|**Proceeds**<br>**£**<br>7,478.55<br>7,478.55<br>10,679.65<br>10,679.65<br>0.00<br>0.00<br>0.00<br>0.00|**Profit/(loss)**<br>**£**<br>(410.18)<br>(410.18)<br>(4,330.35)<br>(4,330.35)<br>0.00<br>0.00<br>0.00<br>0.00|**Market Value**<br>**£**<br>9,621<br>10,368<br>14,477<br>19,800|**Net income**<br>**£**<br>112.50<br>25.31<br>112.50<br>25.31<br>275.62<br>150.00<br>150.00<br>300.00<br>300.00<br>900.00<br>**278.09**<br>**119.07**<br>**119.67**<br>**119.29**<br>636.12<br>0.00<br>(378.08)<br>(158.79)<br>805.00<br>268.13<br>85.00<br>145.00<br>230.00|
|---|---|---|---|---|---|---|---|



Page 20 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|Invesco Asian Z GBP ACC<br>29/12/2023 Conversion<br>31/01/2024 Equalisation on 4,704.90 units<br>31/01/2024 Shares on 4,704.90 units<br>Invesco Asian Z GBP ACC<br>29/12/2023 Conversion<br>J Henderson Strategic Bond I BP Inc<br>31/05/2023 Interest on 35,000 units<br>26/06/2023 Sale of 35,000 units<br>JP Morgan US Equity Income C GBP<br>28/04/2023 Dividend on 2,250 units<br>28/04/2023 Equalisation on 2,250 units<br>31/07/2023 Dividend on 2,250 units<br>04/10/2023 Sale of 2,250 units<br>31/10/2023 Dividend on 2,250 units<br>Liontrust Substnbl FTR Corp Bond 2 GBP INC<br>30/06/2023 Interest on 60,000 units<br>21/09/2023 Sale of 15,000 units<br>29/09/2023 Interest on 60,000 units<br>29/12/2023 Interest on 45,000 units<br>28/03/2024 Interest on 45,000 units||**Holding**<br>**Book value**<br>**£**<br>1,650.00<br>9,902.91<br>(1,650.00)<br>(10,010.96)<br>(81.14)<br>189.19<br>0.00<br>0.00<br>4,704.90<br>9,902.91<br>4,704.90<br>9,902.91<br>35,000.00<br>47,728.32<br>(35,000.00)<br>(47,728.32)<br>0.00<br>0.00<br>2,250.00<br>10,461.25<br>(30.19)<br>(2,250.00)<br>(10,431.06)<br>0.00<br>0.00<br>60,000.00<br>44,187.17<br>(15,000.00)<br>(11,046.79)<br>45,000.00<br>33,140.38|**Accts Value**<br>**£**<br>9,902.91<br>(10,010.96)<br>(81.14)<br>189.19<br>0.00<br>9,902.91<br>9,902.91<br>47,728.32<br>(47,728.32)<br>0.00<br>10,461.25<br>(30.19)<br>(10,431.06)<br>0.00<br>44,187.17<br>(11,046.79)<br>33,140.38|**Proceeds**<br>**£**<br>9,902.91<br>9,902.91<br>0.00<br>39,470.00<br>39,470.00<br>9,383.75<br>9,383.75<br>10,019.00<br>10,019.00|**Profit/(loss)**<br>**£**<br>(108.05)<br>(108.05)<br>0.00<br>(8,258.32)<br>(8,258.32)<br>(1,047.31)<br>(1,047.31)<br>(1,027.79)<br>(1,027.79)|**Market Value**<br>**£**<br>9,564<br>32,288|**Net income**<br>**£**<br>0.00<br>0.00<br>335.76<br>335.76<br>34.16<br>57.15<br>58.05<br>149.36<br>427.79<br>437.03<br>342.03<br>327.33<br>1,534.18|
|---|---|---|---|---|---|---|---|



Page 21 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|Lloyds Banking Group PLC ORD 10P<br>23/05/2023 Dividend on 20,000 units<br>12/09/2023 Dividend on 20,000 units<br>15/02/2024 Sale of 20,000 units<br>M&G PLC Ordinary 5P<br>04/05/2023 Dividend on 5,250 units<br>03/11/2023 Dividend on 5,250 units<br>M&G Japan PP GBP ACC<br>23/05/2023 Purchase of 10,000 units<br>31/10/2023 Equalisation on 10,000 units<br>31/10/2023 shares on 10,000 units<br>01/03/2024 Purchase of 5,000 units<br>Man GLG Alpha Select ALT in GBP ACC HF<br>30/06/2023 Excess reportable income on 100<br>10/08/2023 Sale of 100 units<br>Melrose Industries PLC ORD 6.8P<br>11/04/2023 Dividend on 3,600 units<br>20/04/2023 Demerger & consolidation<br>Melrose Industries PLC ORD GBP0.22857142<br>20/04/2023 Demerger & consolidation<br>03/10/2023 Dividend on 1,500 units|units|**Holding**<br>**Book value**<br>**£**<br>20,000.00<br>8,440.09<br>(20,000.00)<br>(8,440.09)<br>0.00<br>0.00<br>5,250.00<br>10,096.08<br>5,250.00<br>10,096.08<br>10,000.00<br>14,346.00<br>(106.24)<br>11.86<br>5,000.00<br>8,367.50<br>15,000.00<br>22,619.12<br>100.00<br>10,599.00<br>32.63<br>(100.00)<br>(10,631.63)<br>0.00<br>0.00<br>3,600.00<br>6,132.24<br>(3,600.00)<br>(6,132.24)<br>0.00<br>0.00<br>1,200.00<br>4,780.14<br>1,200.00<br>4,780.14|**Accts Value**<br>**£**<br>8,440.09<br>(8,440.09)<br>0.00<br>10,096.08<br>10,096.08<br>14,346.00<br>(106.24)<br>11.86<br>8,367.50<br>22,619.12<br>10,599.00<br>32.63<br>(10,631.63)<br>0.00<br>6,132.24<br>(6,132.24)<br>0.00<br>4,780.14<br>4,780.14|**Proceeds**<br>**£**<br>8,236.17<br>8,236.17<br>0.00<br>0.00<br>11,554.00<br>11,554.00<br>0.00<br>0.00|**Profit/(loss)**<br>**£**<br>(203.92)<br>(203.92)<br>0.00<br>0.00<br>922.37<br>922.37<br>0.00<br>0.00|**Market Value**<br>**£**<br>10,941<br>25,290<br>8,086|**Net income**<br>**£**<br>320.00<br>184.00<br>504.00<br>703.50<br>341.25<br>1,044.75<br>0.00<br>0.00<br>**54.00**<br>54.00<br>18.00<br>18.00|
|---|---|---|---|---|---|---|---|



Page 22 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|Muzinich Gbl SHT DUR INV Grade D GBP-H IN<br>18/04/2023 Equalisation on 260 units<br>30/06/2023 Interest on 260 units<br>26/06/2023 Sale of 260 units<br>National Grid PLC ORD 12.43P<br>09/08/2023 Dividend on 600 units<br>29/11/2023 Purchase of 200 units<br>11/01/2024 Dividend on 600 units<br>Nike Inc Com UDS0.01<br>24/10/2023 Purchase of 65 units<br>02/01/2024 Dividend on 65 units<br>01/04/2024 Dividend on 65 units<br>Nomura Global Dynamic Bond F GBP Inc<br>18/04/2023 Interest on 475 units<br>30/06/2023 Excess reportable income on 475<br>17/07/2023 Interest on 475 units<br>21/09/2023 Sale of 75 units<br>16/10/2023 Interest on 400 units<br>27/10/2023 Sale of 400 units|C<br>units|**Holding**<br>**Book value**<br>**£**<br>260.00<br>23,763.60<br>(6.79)<br>(260.00)<br>(23,756.81)<br>0.00<br>0.00<br>600.00<br>6,429.84<br>200.00<br>2,064.71<br>800.00<br>8,494.55<br>65.00<br>5,563.94<br>65.00<br>5,563.94<br>475.00<br>48,921.14<br>29.94<br>(75.00)<br>(7,729.12)<br>(400.00)<br>(41,221.96)<br>0.00<br>0.00|**Accts Value**<br>**£**<br>23,763.60<br>(6.79)<br>(23,756.81)<br>0.00<br>6,429.84<br>2,064.71<br>8,494.55<br>5,563.94<br>5,563.94<br>48,921.14<br>29.94<br>(7,729.12)<br>(41,221.96)<br>0.00|**Proceeds**<br>**£**<br>24,079.00<br>24,079.00<br>0.00<br>0.00<br>6,863.24<br>35,796.60<br>42,659.84|**Profit/(loss)**<br>**£**<br>322.19<br>322.19<br>0.00<br>0.00<br>(865.88)<br>(5,425.36)<br>(6,291.24)|**Market Value**<br>**£**<br>8,264<br>4,579|**Net income**<br>**£**<br>Not received<br>326.62<br>326.62<br>225.60<br>116.40<br>342.00<br>16.01<br>16.24<br>32.25<br>**450.78**<br>**484.98**<br>**405.20**<br>1,340.96|
|---|---|---|---|---|---|---|---|



Page 23 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|Octopus Renewables Infrastructure Invstmen<br>02/06/2023 Interest on 15,000 units<br>02/06/2023 Dividend on 15,000 units<br>01/09/2023 Interest on 15,000 units<br>01/09/2023 Dividend on 15,000 units<br>01/12/2023 Interest on 15,000 units<br>01/12/2023 Dividend on 15,000 units<br>16/01/2024 Purchase of 5,000 units<br>23/02/2024 Interest on 20,000 units<br>23/02/2024 Dividend on 20,000 units<br>Pantheon Infra Inv TST Ord 1P<br>22/05/2023 Purchase of 3,800 units<br>27/10/2023 Interest on 20,000 units<br>Premier Miton GBL Smaller COS F GBP ACC<br>23/05/2023 Sale of 10,000 units<br>Premier Miton Strat Monthly Bond C GBP<br>28/04/2023 Interest on 24,000 units<br>28/04/2023 Equalisation on 24,000 units<br>26/05/2023 Interest on 24,000 units<br>28/06/2023 Interest on 24,000 units<br>28/07/2023 Interest on 24,000 units<br>25/08/2023 Interest on 24,000 units<br>24/08/2023 Sale of 24,000 units<br>Premier Miton EM Sustainable F GBP ACC<br>21/04/2023 Purchase of 9,000 units<br>04/07/2023 Purchase of 3,500 units|t Trust|**Holding**<br>**Book value**<br>**£**<br>15,000.00<br>15,122.25<br>5,000.00<br>4,507.60<br>20,000.00<br>19,629.85<br>16,200.00<br>16,237.00<br>3,800.00<br>3,466.96<br>20,000.00<br>19,703.96<br>10,000.00<br>9,999.56<br>(10,000.00)<br>(9,999.56)<br>0.00<br>0.00<br>24,000.00<br>22,548.40<br>(52.10)<br>(24,000.00)<br>(22,496.30)<br>0.00<br>0.00<br>9,000.00<br>9,010.00<br>3,500.00<br>3,622.00<br>12,500.00<br>12,632.00|**Accts Value**<br>**£**<br>15,122.25<br>4,507.60<br>19,629.85<br>16,237.00<br>3,466.96<br>19,703.96<br>9,999.56<br>(9,999.56)<br>0.00<br>22,548.40<br>(52.10)<br>(22,496.30)<br>0.00<br>9,010.00<br>3,622.00<br>12,632.00|**Proceeds**<br>**£**<br>0.00<br>0.00<br>9,924.00<br>9,924.00<br>21,969.20<br>21,969.20<br>0.00|**Profit/(loss)**<br>**£**<br>0.00<br>0.00<br>(75.56)<br>(75.56)<br>(527.10)<br>(527.10)<br>0.00|**Market Value**<br>**£**<br>14,220<br>15,520<br>13,375|**Net income**<br>**£**<br>125.93<br>90.07<br>122.45<br>95.05<br>123.54<br>93.96<br>172.84<br>117.16<br>941.00<br>400.00<br>400.00<br>0.00<br>51.80<br>107.98<br>99.65<br>90.58<br>93.41<br>443.42<br>0.00|
|---|---|---|---|---|---|---|---|



Page 24 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO** 

## **QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|Palo Alto Networks Inv Com USD0.0001<br>29/08/2023 Purchase of 30 units<br>04/01/2024 Sale of 30 units<br>Redwheel Gobal Equity Income L GBP Inc<br>31/05/2023 Dividend on 22,500 units<br>15/06/2023 Sale of 22,500 units<br>Renewables Infrastructre Group<br>30/06/2023 Dividend on 9,790 units<br>29/09/2023 Dividend on 9,790 units<br>29/12/2023 Dividend on 9,790 units<br>16/01/2024 Purchase of 5,210 units<br>28/03/2024 Dividend on 15,000units<br>Roche Hldgs Genusscheine NPV<br>14/07/2023 Purchase of 10 units<br>18/03/2024 Dividend on 30 units<br>Schroders PLC ORD 20P<br>04/05/2023 Dividend on 1,500 units<br>Severn Trent PLC ORD 97.89P<br>14/07/2023 Dividend on 175 units<br>30/06/2023 Sale of 175 units||**Holding**<br>**Book value**<br>**£**<br>30.00<br>5,556.79<br>(30.00)<br>(5,556.79)<br>0.00<br>0.00<br>22,500.00<br>25,421.89<br>(22,500.00)<br>(25,421.89)<br>0.00<br>0.00<br>9,790.00<br>12,051.70<br>5,210.00<br>5,844.94<br>15,000.00<br>17,896.64<br>20.00<br>5,483.02<br>10.00<br>2,425.69<br>30.00<br>7,908.71<br>0.00<br>0.00<br>175.00<br>4,344.75<br>(175.00)<br>(4,344.75)<br>0.00<br>0.00|**Accts Value**<br>**£**<br>5,556.79<br>(5,556.79)<br>0.00<br>25,421.89<br>(25,421.89)<br>0.00<br>12,051.70<br>5,844.94<br>17,896.64<br>5,483.02<br>2,425.69<br>7,908.71<br>0.00<br>4,344.75<br>(4,344.75)<br>0.00|**Proceeds**<br>**£**<br>6,692.31<br>6,692.31<br>26,135.00<br>26,135.00<br>0.00<br>0.00<br>0.00<br>4,478.25<br>4,478.25|**Profit/(loss)**<br>**£**<br>1,135.52<br>1,135.52<br>713.11<br>713.11<br>0.00<br>0.00<br>0.00<br>133.50<br>133.50|**Market Value**<br>**£**<br>14,850<br>5,792|**Net income**<br>**£**<br>0.00<br>200.77<br>200.77<br>175.73<br>175.73<br>175.73<br>269.25<br>796.44<br>166.00<br>166.00<br>225.00<br>225.00<br>112.16<br>112.16|
|---|---|---|---|---|---|---|---|



Page 25 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|Shell PLC Ord EUR0.07<br>26/06/2023 Dividend on 650 units<br>18/09/2023 Dividend on 650 units<br>20/12/2023 Dividend on 650 units<br>25/03/2024 Dividend on 650 units<br>Smith & Nephew PLC Ordinary USD0.20<br>17/05/2023 Dividend on 500 units<br>01/11/2023 Dividend on 500 units<br>Smith (DS) PLC ORD 10P<br>03/10/2023 Dividend on 1,500 units<br>29/11/2023 Purchase of 750 units<br>19/12/2023 Purchase of 500 units<br>31/01/2024 Dividend on 2,250 units<br>SSP Group PLC Ordinary 1.09P<br>29/02/2024 Dividend on 350 units<br>Supermarket REIT<br>22/05/2023 Purchase of 6,500 units<br>26/05/2023 Dividend on 15,000 units<br>04/08/2023 Dividend on 20,000 units<br>04/08/2023 Dividend on 20,000 units<br>16/11/2023 Dividend on 20,000 units<br>14/02/2024 Dividend on 20,000 units||**Holding**<br>**Book value**<br>**£**<br>650.00<br>11,234.72<br>650.00<br>11,234.72<br>500.00<br>8,334.16<br>500.00<br>8,334.16<br>1,500.00<br>4,212.10<br>750.00<br>2,129.16<br>500.00<br>1,560.81<br>2,750.00<br>7,902.07<br>2,960.00<br>12,343.64<br>2,960.00<br>12,343.64<br>13,500.00<br>13,777.94<br>6,500.00<br>5,388.19<br>20,000.00<br>19,166.13|**Accts Value**<br>**£**<br>11,234.72<br>11,234.72<br>8,334.16<br>8,334.16<br>4,212.10<br>2,129.16<br>1,560.81<br>7,902.07<br>12,343.64<br>12,343.64<br>13,777.94<br>5,388.19<br>19,166.13|**Proceeds**<br>**£**<br>0.00<br>0.00<br>0.00<br>0.00<br>0.00|**Profit/(loss)**<br>**£**<br>0.00<br>0.00<br>0.00<br>0.00<br>0.00|**Market Value**<br>**£**<br>18,070<br>4,874<br>11,275<br>6,453<br>15,160|**Net income**<br>**£**<br>149.44<br>169.78<br>171.02<br>174.85<br>665.09<br>91.90<br>59.45<br>151.35<br>180.00<br>135.00<br>315.00<br>74.00<br>74.00<br>162.00<br>24.22<br>220.62<br>242.40<br>242.40<br>891.64|
|---|---|---|---|---|---|---|---|



Page 26 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|Tesco PLC 5.5% NTS GBP 13/01/33<br>26/05/2023 Purchase of 3,000 units<br>13/01/2024 Interest on 11,000 units<br>Tesco PLC Ord 6.33333P<br>27/04/2023 Dividend on 1,750 units<br>09/08/2023 Purchase of 750 units<br>24/11/2023 Dividend on 2,500 units<br>29/11/2023 Purchase of 300 units<br>UK (Govt of) 0.25% Gilt 31/01/25<br>31/07/2023 Interest on 20,000 units<br>09/08/2023 Sale of 20,000 units<br>UK (Govt Of) 5% Gilt 07/03/25<br>16/06/2023 Purchase of 6,000 units<br>07/09/2023 Interest on 60,000 units<br>07/03/2024 Interest on 60,000 units<br>UK (Govt Of) 3.5% Gilt 22/10/25<br>14/08/2023 Purchase of 25,000 units<br>22/10/2023 Interest on 25,000 units<br>UK (Govt Of) 4.125% Gilt 22/10/25<br>24/08/2023 Purchase of 30,000 units<br>27/10/2023 Purchase of 17,500 units<br>29/01/2024 Interest on 47,500 units||**Holding**<br>**Book value**<br>**£**<br>8,000.00<br>9,272.48<br>3,000.00<br>3,068.50<br>11,000.00<br>12,340.98<br>1,750.00<br>4,974.61<br>750.00<br>1,900.55<br>300.00<br>851.92<br>2,800.00<br>7,727.08<br>20,000.00<br>18,167.60<br>(20,000.00)<br>(18,167.60)<br>0.00<br>0.00<br>60,000.00<br>59,772.40<br>60,000.00<br>59,772.40<br>25,000.00<br>24,108.50<br>25,000.00<br>24,108.50<br>30,000.00<br>29,316.10<br>17,500.00<br>17,262.20<br>47,500.00<br>46,578.30|**Accts Value**<br>**£**<br>9,272.48<br>3,068.50<br>12,340.98<br>4,974.61<br>1,900.55<br>851.92<br>7,727.08<br>18,167.60<br>(18,167.60)<br>0.00<br>59,772.40<br>59,772.40<br>24,108.50<br>24,108.50<br>29,316.10<br>17,262.20<br>46,578.30|**Proceeds**<br>**£**<br>0.00<br>0.00<br>18,666.00<br>18,666.00<br>0.00<br>0.00<br>0.00|**Profit/(loss)**<br>**£**<br>0.00<br>0.00<br>498.40<br>498.40<br>0.00<br>0.00<br>0.00|**Market Value**<br>**£**<br>11,387<br>8,109<br>60,366<br>25,003<br>47,759|**Net income**<br>**£**<br>(62.38)<br>605.00<br>542.62<br>123.38<br>96.25<br>219.63<br>25.00<br>1.36<br>26.36<br>(913.04)<br>1,500.00<br>1,500.00<br>2,086.96<br>(274.93)<br>437.50<br>162.57<br>(90.79)<br>(182.43)<br>979.69<br>706.47|
|---|---|---|---|---|---|---|---|



Page 27 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM - CLOSE BROTHERS PORTFOLIO** 

## **QUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2024** 

|UK (Govt Of) 4.25% Gilt 07/03/23<br>20/09/2023 Purchase of 20,000 units<br>27/10/2023 Purchase of 10,000 units<br>17/11/2023 Purchase of 10,000 units<br>07/03/2024 Interest on 40,000 units<br>USA 0.125% Treasury NTS USD 15/08/23<br>22/05/2023 Sale of 17,500 units<br>Visa Inc<br>01/06/2023 Dividend on 45 units<br>01/09/2023 Dividend on 45 units<br>01/12/2023 Dividend on 45 units<br>01/03/2024 Dividend on 45 units<br>Whitbread PLC Ord 76.8p<br>18/04/2023 Purchase of 165 units<br>07/07/2023 Dividend on 165 units<br>20/09/2023 Purchase of 60 units<br>08/12/2023 Dividend on 225 units<br>07/03/2024 Purchase of 75 units<br>**QUOTED INVESTMENTS TOTAL**||**Holding**<br>20,000.00<br>10,000.00<br>10,000.00<br>40,000.00<br>17,500.00<br>(17,500.00)<br>0.00<br>45.00<br>45.00<br>165.00<br>60.00<br>75.00<br>300.00|**Book value**<br>**£**<br>19,776.00<br>9,549.80<br>10,019.80<br>39,345.60<br>14,775.94<br>(14,775.94)<br>0.00<br>6,229.68<br>6,229.68<br>5,172.61<br>2,194.95<br>2,448.50<br>9,816.06<br>821,794.26|**Accts Value**<br>**£**<br>19,776.00<br>9,549.80<br>10,019.80<br>39,345.60<br>14,775.94<br>(14,775.94)<br>0.00<br>6,229.68<br>6,229.68<br>5,172.61<br>2,194.95<br>2,448.50<br>9,816.06<br>821,794.26|**Proceeds**<br>**£**<br>0.00<br>13,898.51<br>13,898.51<br>0.00<br>0.00<br>372,629.06|**Profit/(loss)**<br>**£**<br>0.00<br>(877.43)<br>(877.43)<br>0.00<br>0.00<br>(16,493.01)|**Market Value**<br>**£**<br>40,387<br>9,888<br>9,594<br>866,353.00|**Net income**<br>**£**<br>(32.69)<br>(61.88)<br>(86.40)<br>850.00<br>669.03<br>4.71<br>4.71<br>13.86<br>13.57<br>15.72<br>15.53<br>58.68<br>82.17<br>76.73<br>158.90<br>30,310.63|
|---|---|---|---|---|---|---|---|---|



Page 28 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST** 

## **SCHEDULE OF INVESTMENTS AND INCOME THEREFROM UNQUOTED INVESTMENTS - ACCUMULATED INCOME FUND for the year ended 5 April 2023** 


**----- Start of picture text -----**<br>
Holding Book value Accts Value Proceeds Profit/(loss) Market Value Net income<br>£ £ £ £ £ £<br>Hydes' Brewery Limited<br>-B ordinary shares 40,000.000 2,200,000.00 2,200,000.00<br>01/08/2023 Dividend on 40,000 shares 50,000.00<br>12/12/2023 Dividend on 40,000 shares 30,000.00<br>40,000.000 2,200,000.00 2,200,000.00 - - 2,200,000 80,000.00<br>Hydes' Brewery Limited<br>-4.2% preference shares 17,320.000 12,990.00 12,990.00<br>29/09/2023 Dividend on 17,320 shares 363.72<br>28/03/2024 Dividend on 17,320 shares 363.72<br>17,320.000 12,990.00 12,990.00 0.00 0.00 12,990 727.44<br>UNQUOTED INVESTMENTS TOTAL 2,212,990.00 2,212,990.00 0.00 0.00 2,212,990 80,727.44<br>**----- End of picture text -----**<br>


Page 29 



## **THE NANETTE HYDE BRYCE CHARITABLE TRUST MANAGEMENT INFORMATION QUOTED INVESTMENTS for the year ended 5 April 2024** 

|Market value brought forward<br>Transfer to Accumulated income fund<br>Purchases<br>Proceeds<br>Equalisation<br>Market value carried forward<br>Net gain/(loss) on investments and disposals|**Permanent**<br>**endowment**<br>**fund**<br>815,793<br>(815,793)<br>-<br>-<br>-|**Accumulated**<br>**income**<br>**fund**<br>-<br>815,793<br>388,626<br>(362,726)<br>(934)<br>840,759<br>866,353<br>25,594|
|---|---|---|



Page 30 

