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|ANNUAL REPORTOFTHE TRUSTEES|ANNUAL REPORTOFTHE TRUSTEES|
|---|---|
|For the year ended31December 2020||
|Full nameofCharity:|The Gregson Family Foundation|
|Natureofgoverningdocument:|Trust deed dated 24 January 2017|
|Registration Number:|1171351|
|Trustees:|David Gregson|
||lan Topping|
||Thomas Eggar Trust Corporation Ltd|
|DirectorsofThomasEggarTrustCorporation Ltd:||
||Paula Caryn James|
||Craig Alexander Marshall|
||Darran Fawcett|
||Nick Rucker (resigned 31.12.2020)|
||Sarah Phillips|
||Andrew Parry|
||Caroline Shelton|
||James Pavey|
||Kelly Greig|
||Michael Taylor|
||Anthony Nixon|
|Registered Address:|Riverside East, 2 Millsands, Sheffield, S3 8DT|
|Banker:|Barclays Bank PLC, 74-75 East Street, Chichester, West Sussex.|
||P0191HL|
|Solicitors:|Irwin Mitchell LLP, Thomas Eggar House,|
||Friary Lane, Chichester, West Sussex,P0191 UF|
|InvestmentManagers:|Brewin Dolphin Limited, 12 Smithfield Street, London. EC1A 9BD|
|Independent Examiners|Jones Avens Limited, 4 Dukes Court, Bognor Road, Chichester,|
||West Sussex.P0198FX|
|Operating Restrictions:|Charitable objects according to the Law of England|
|Specificinvestmentpowers:|Wide unrestricted powers given to the Trusteesin|
||the deed dated 24 January 2017|





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05/08/2021
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09/07/2021
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|**Note**<br>**INCOME & EXPENDITURE**<br>Donations and Legacies<br>6<br>Gross investment income<br>5<br>**Total Incoming Resources**<br>£<br>**Resources expended**<br>Charitable Activities<br>10<br>Investment management costs<br>12<br>**Total Resources Expended**<br>£<br>**Other Recognised Gains/(Losses)**<br>Realised (losses)/gainsonsale of investments<br>Unrealised gainsoninvestments<br>**Net movementinfunds**<br>Fund balance brought forward<br>**Fund balance carried forward 31.12.20**<br>£|**Year ended**<br>**31.12.20**<br>425,000.00<br>17,603.21<br> <br>442,603.21<br>23,275.00<br>3,589.68<br> <br>26,864.68<br>(12,639.81)<br>107,809.22<br>510,907.94<br>593,886.35<br> <br>1'104,794.29||**Year ended**<br>**31.12.19**<br>11,051.09|
|---|---|---|---|
|||||
||||11,051.09<br>16,100.00<br>1,277.15|
|||||
||||17,377.15<br>266.73<br>64,142.01|
|||||
||||58,082.68<br>535,803.67|
||||593,886.35|





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|**3.FIXED ASSET INVESTMENTS**<br>**(Summaryofpages 14 to 19)**<br>Quoted investments<br>Market value 31.12.19<br>Portfolio cash 31.12.19<br>Additions<br>lncrease/(Decrease)inportfolio cash<br>Disposals<br>Net unrealised gains<br>Quoted UK Investments<br>Quoted Non UK Investments<br>Cash heldonportfolio<br>Historic cost of quoted investments<br>£<br>£<br>£|<br> <br> <br>**Year ended**<br>**31.12.20**<br>598,452.00<br>23,558.67<br>622,010.67<br>454,005.62<br>28,373.57<br>(96, 111.84)<br>107,809.22<br>1,116,087.24<br>1,051,662.00<br>12,493.00<br>51,932.24<br>1,116,087.24<br>893,999.00|**Year ended**<br>**31.12.19**<br>79,764.86|
|---|---|---|
|||79,764.86<br>536,736.00<br>(56,206.19)<br>(2,426.01)<br>64,142.01|
|||622,010.67<br>420,255.00<br>178,197.00<br>23,558.67|
|||622,010.67<br>534,312.00|



|4.|Investments that represent greater than5%of the portfoliobyMarket Value|Investments that represent greater than5%of the portfoliobyMarket Value|||
|---|---|---|---|---|
||||**As at**|**As at**|
||**Holding**|**Quantity**|**31.12.20**|**31.12.19**|
||Scottish Mortgage lnv Trust|5,360|65,070||





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||||||
|---|---|---|---|---|
|GROSS INVESTMENT INCOME<br>Bank deposit interest<br>Barclays Bank Pic<br>Income from listed UK investments<br>Income from listed Non UK investments<br>Interest received from UK cash heldonportfolio<br>Brewin Dolphin Limited<br>£|Year ended 31.12.20<br>Net<br>Tax recoverable<br>Gross<br>13.77<br>13.77<br>13,838.39<br>-<br>13,838.39<br>3,592.33<br>-<br>3,592.33<br>158.72<br>-<br>158.72<br>17,603.21<br>-<br>17,603.21<br>Year ended 31.12.19<br>Net<br>Tax recoverable<br>151.30<br>9,079.58<br>-<br>1,578.81<br>241.40<br>-<br>11,051.09<br>-|||Gross<br>151.30<br>9,079.58<br>1,578.81<br>241.40<br>11,051.09|
|||-<br>17,603.21<br>11,051.09|-||



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|||||
|---|---|---|---|
|6.DONATIONS AND LEGACIES||Year ended|Year ended|
|||31.12.20|31.12.19|
|David and Renee Gregson||425,000.00||
||£|425,000.00||
|7. CASH||Year ended|Year ended|
|||31.12.20|31.12.19|
|Barclays Bank Pic||9,937.05|11,075.68|
||£|9,937.05|--1-1,075.68|





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|Accrued expenses<br>Independent Examination fees<br>Grants payable<br>Manchester University<br>Teach First<br>The Difference<br>Sea ShepherdUK<br>Rainforest TrustUK<br>Young Minds<br>Safer London<br>Matt Hampson Foundation<br>Pro Bono Economics<br>**9. CREDITORS: AMOUNTS FALLING DUE WITHIN FIVE YEARS**<br>Grants payable<br>Manchester University<br>**10. CHARITABLE ACTIVITIES**<br>Grants payable (note 1 0)<br>ShareofGovernance Costs (note 12)<br>**11. GRANTS PAYABLE**<br>Teach First<br>The Difference<br>Sea ShepherdUK<br>Rainforest TrustUK<br>Young Minds<br>Safer London<br>Matt Hampson Foundation<br>Pro Bono Economics<br>Amazon Watch<br>The Sutton Trust<br>**12. COST OF GENERATING FUNDS**<br>Brewin Dolphin Limited<br>**13. GOVERNANCE COSTS**<br>Irwin Mitchell**LLP**- Legal & Professional fees<br>Jones Avens Ltd - Independent Examiners fees<br>Bank charges<br>£<br>£<br>£<br>£<br>£|**As at**<br>**31.12.20**<br>1,230.00<br>10,000.00<br> <br>11,230.00<br>10,000.00<br>10,000.00<br>**Year ended**<br>**31.12.20**<br>16,000.00<br>7,275.00<br> <br>23,275.00<br>2,000.00<br>2,000.00<br>2,000.00<br>2,000.00<br>2,000.00<br>4,000.00<br>2,000.00<br> <br>16,000.00<br> <br>3,589.68<br>**Year ended**<br>**31.12.20**<br>6,000.00<br>1,260.00<br>15.00<br>7,275.00|**As at**<br>**31.12.19**<br>1,200.00<br>10,000.00<br>1,000.00<br>1,000.00<br>1,000.00<br>1,000.00<br>1,000.00<br>1,000.00<br>1,000.00<br>1,000.00<br>19,200.00|
|---|---|---|
|||20,000.00<br>20,000.00|
|||**Year ended**<br>**31.12.19**<br>8,000.00<br>8,100.00<br>16,100.00|
|||1,000.00<br>1,000.00<br>1,000.00<br>1,000.00<br>1,000.00<br>1,000.00<br>1,000.00<br>1,000.00|
|||8,000.00|
|||1277.15|
|||**Year ended**<br>**31.12.19**<br>6,900.00<br>1,200.00|
|||8,100.00|





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|Market value<br>31.12.19<br>Aberdeen Standard Eqty Inc TstPic<br>3,695 Ordinary £0.25<br>15,260.00<br>~Ordinary£0.25 bought 10.03.20<br>4,595<br>4,595 Sold 21.10.20<br>Alphabet Inc Cap Stk<br>13 Ordinary $0.001 shares<br>13,134.00<br>4 Ordinary $0.001 shares bought 10.03.20<br>17<br>Amazon Com Inc<br>9 Ordinary $0.01 shares<br>12,550.00<br>3 Ordinary$0.01shares bought 10.03.20<br>12<br>Artemis Fund Managers<br>24,000 Global Income I Dis<br>23,618.00<br>24,000 Sold 31.01.20<br>Ashstead Group<br>220 Ordinary £0.10 shares<br>5,311.00<br>145 Ordinary £0.10 shares bought 10.03.20<br>365<br>Baillie Gifford Shin<br>5,000 Ordinary £0.02 shares<br>8,990.00<br>3,600 Ordinary £0.02 shares bought 10.03.20<br>8,600<br>Baillie Gifford Positive Change B<br>7,440 Accumulation Units bought 03.02.20<br>2,520 Accumulation Units bought 11.03.20<br>9,960<br>BB Healthcare TRT<br>7,275 Redeemable 1p shares bought 21.10.20<br>Berkshire Hathaway Inc<br>85 Ordinary $0.0033 shares bought 31.01.20<br>25 Ordinary $0.0033 shares bought 10.03.20<br>110<br>BlackrockFMLtd<br>9,500 European DynamicFdInc bought 19.08.20<br>BNY Mellon Fund Managers Limited<br>13,670 Global Income Ins! W bought 03.02.20<br>reorganisation 19.05.20<br>15,247.71 Global Income U GBP Dis|Gains/(losses)<br>Unrealised<br>Market Value<br>NetDividends<br>Tax<br>**Acgusitions**<br>Disposals<br>onDis[!osal<br>Gains/{losses)<br>31.12.20<br>Amount<br>Date Paid<br>Recoverable<br>214.31<br>27.01.20<br>192.14<br>27.03.20<br>3,017.00<br>238.94<br>28.06.20<br>238.94<br>25.09.20<br>11,650.30<br>(6,626.70)<br>3,871.27<br>4,780.73<br>21,786.00<br>4,353.57<br>11,685.43<br>28,589.00<br>22,981.60<br>(636.40)<br>15.73<br>05.02.20<br>122.28<br>11.09.20<br>3,009.72<br>4,228.28<br>12,549.00<br>4,977.24<br>8,994.76<br>22,962.00<br>14,780.96<br>4,797.92<br>14,464.12<br>34,043.00<br>12,315.74<br>597.26<br>12,913.00<br>14,667.60<br>3,886.42<br>102.98<br>18,657.00<br>19,343.00<br>4,493.00<br>23,836.00<br>106.12<br>29.05.20<br>24,724.42<br>57.00 E<br>207.77<br>31.08.20<br>138.78<br>30.11.20<br>17.58<br>24,685.00|
|---|---|





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|**Market value**<br>**31.12.19**<br>Caledonia Investments<br>735 Ordinary £0.05 shares<br>23,006.00<br>175 Ordinary £0.05 shares bought 10.03.20<br>910-<br>Coca-Cola Co Com<br>325 USD 0.25 shares<br>13,575.00<br>.!Q2_USD 0.25 shares bought 10.03.20<br>425<br>Compass Group Pic<br>830 Ordinary £0.11 05 shares<br>15,687.00<br>270 Ordinary £0.1105 shares bought 10.03.20<br>1,100<br>Croda Inti<br>80 Ordinary £0.10609756 shares<br>4,096.00<br>65 Ordinary £0.10609756 shares bought 10.03.20<br>145<br>Diageo<br>456 Ordinary £0.28 shares<br>14,594.00<br>~Ordinary£0.28 shares bought 10.03.20<br>600<br>Edinburgh Investment Trust<br>2,685 Ordinary £0.25 shares<br>16,808.00<br>2,685 Sold 19.08.20<br>Experian pic<br>565 Ordinary $0.10 shares<br>14,419.00<br>160 Ordinary $0.10 shares bought 10.03.20<br>725<br>Fidelity Investment Services (UK) Limited<br>10,469.29 Moneybuilder Income I GBP<br>10,616.00<br>9,580.00 Moneybuilder Income I GBP bought 03.02.20<br>5,750.71 Moneybuilder Income I GBP bought 10.03.20<br>25,800.00<br>Findlay Park Funds Pic<br>267 American Sterling Gbp UHDG<br>27,923.00<br>~AmericanSterling Gbp UHDG bought 11.03.20<br>330|**Gains/(losses)**<br>**Acgusitions**<br>**Disposals**<br>**onDis(!osal**<br>5,025.10<br>4,091.91<br>4,026.63<br>2,975.94<br>3,842.88<br>12,703.69<br>(4,104.31)<br>4,015.20<br>9,964.04<br>11.64 E<br>5,920.23<br>8.19 E<br>6,136.67|**Unrealised**<br>**Market Value**<br>**Net Dividends**<br>**Tax**<br>**Gains/{Losses)**<br>**llJ1dQ.**<br>**8.Jll.QJill!**<br>**Date Paid**<br>**Recoverable**<br>122.01<br>09.01.20<br>404.95<br>06.08.20<br>(1,823.10)<br>26,208.00<br>120.12 f<br>01.04.20<br>118.89 f<br>01.07.20<br>113.33**f**<br>01.10.20<br>(623.91)<br>17,043.00<br>109.47 f<br>15.12.20<br>223.27<br>24.02.20<br>(4,720.63)<br>14,993.00<br>73.23<br>28.05.20<br>57.28<br>01.10.20<br>2,492.06<br>9,564.00<br>124.99<br>09.04.20<br>254.82<br>08.10.20<br>(1,168.88)<br>17,268.00<br>171.84<br>28.02.20<br>171.84<br>29.05.20<br>253.73<br>31.07.20<br>62.73<br>31.01.20<br>188.96<br>24.07.20<br>1,698.80<br>20,133.00<br>29.38<br>26.01.20<br>30.07<br>26.02.20<br>42.63<br>26.03.20<br>65.08<br>26.04.20<br>867.56<br>27,348.00<br>71.98<br>26.05.20<br>72.27<br>26.06.20<br>69.89<br>26.07.20<br>66.72<br>26.08.20<br>69.17<br>26.09.20<br>71.05<br>26.10.20<br>68.96<br>26.11.20<br>68.94<br>26.12.20<br>0.59 F<br>07.01.20<br>4,204.33<br>38,264.00|
|---|---|---|





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|Market value<br>31.12.19<br>First Sentier Investments (UK)<br>5,100 Stewart lnv Asia Pac Ldrs B<br>12,212.00<br>2,265 Stewart lnv Asia Pac Ldrs B bought 1 0.03.20<br>7,365<br>Glaxosmithkline<br>910 Ordinary £0.25 shares<br>16,189.00<br>255 Ordinary £0.25 shares bought 10.03.20<br>1,165<br>Intercontinental Hotels Group<br>240 Ordinary £0.208521303 shares<br>12,499.00<br>~Ordinary£0.208521303 shares bought 10.03.20<br>340<br>=<br>Intuit Inc<br>55 Com $0.01 shares bought 19.08.20<br>Jupiter Unit Trust Managers<br>23,670 Strategic Bond I Inc<br>15,580.00<br>14,850 Strategic Bondlinebought 03.02.20<br>38,520<br>reorganisation 17.02.20<br>38,514.25 Strategic BondZInc<br>8,785.75 Strategic BondZIncbought 10.03.20<br>47,300<br>Kane OY J SER'B'<br>308 NPV Shares<br>15,209.00<br>.!.!2_NPV Shares bought 1 0.03.20<br>425<br>Legal&General Group<br>4,830 Ordinary 2.5p shares bought 31.01.20<br>1,715 Ordinary 2.5p shares bought 10.03.20<br>6,545<br>Link Fund SolutionsLtd<br>8,285 TrojanIncomeSInc<br>17,006.00<br>2,290 TrojanIncomeSInc bought 11.03.20<br>10,575<br>Link Fund SolutionsLtd<br>4,100Trojan S Inc Nav<br>10,951.00<br>1,830 Trojan S Inc Nav bought 06.02.20<br>1,880 Trojan S Inc Nav bought 11.03.20<br>7,810<br>Liontrust Fund Partners LLP<br>970 UK Smaller Cos Inc<br>16,225.00<br>265 UK Smaller Cos Inc bought 10.03.20<br>1,235|Gains/(Losses)<br>**Acgusitions**<br>Disposals<br>onDis12osal<br>5,031.09<br>8.43 E<br>3,993.74<br>4,019.84<br>13,033.31<br>9,966.53<br>5,960.05<br>17.57 E<br>4,995.89<br>14,752.44<br>4,000.05<br>4,033.23<br>4,987.72<br>4,995.42<br>4,098.80<br>11.13 E|Unrealised<br>Market Value<br>NetDividends<br>Tax<br>Gains/(Losses}<br>31.12.20<br>Amount<br>~<br>Recoverable<br>23.54<br>31.03.20<br>110.28<br>30.09.20<br>4,478.34<br>21,713.00<br>172.90<br>09.01.20<br>209.30<br>09.04.20<br>221.35<br>09.07.20<br>(4,548.74)<br>15,634.00<br>221.35<br>08.10.20<br>(572.84)<br>15,946.00<br>21.25 f<br>19.10.20<br>2,252.69<br>15,286.00<br>116.65<br>31.03.20<br>238.98<br>30.06.20<br>556.99<br>32,046.00<br>252.30<br>30.09.20<br>259.82<br>30.12.20<br>318.44 f<br>05.03.20<br>5,119.11<br>25,324.00<br>827.29<br>04.06.20<br>322.67<br>24.09.20<br>(1,329.49)<br>17,423.00<br>351.63<br>31.03.20<br>219.91<br>30.09.20<br>(2,017.23)<br>19,022.00<br>30.92<br>31.03.20<br>72.31<br>30.09.20<br>1,399.86<br>22,334.00<br>58.35<br>30.06.20<br>3,398.33<br>23,711.00|
|---|---|---|





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|Marketvalue<br>.llJb1.2<br>McDonald's Corporation<br>85 Ordinary $0.01<br>12,676.00<br>25 Ordinary $0.01 bought 10.03.20<br>110<br>Mercantile Investments Trust Pic (The)<br>7,930 Ordinary £0.025 shares<br>20,777.00<br>1,770 Ordinary £0.025 shares bought 10.03.20<br>9,70~<br>Microsoft Corp<br>135 Com $0.00000625 shares<br>16,050.00<br>30Com $0.00000625 shares bought 10.03.20<br>165<br>Montanaro European Smaller Cos Pic<br>850 Ordinary 50p shares bought 31.01.20<br>~Ordinary50p shares bought 10.03.20<br>1,365<br>MSIM Fund Mgmt Assia Opportunity_J_USD<br>585.00 Accumulation units bought 20.08.20<br>Murray International Trust<br>1 ,415 Ordinary £0.25 shares<br>17,829.00<br>National Grid<br>985 Ordinary £0.12431289 shares bought 31.01.20<br>~Ordinary£0.12431289 shares bought 10.03.20<br>1,400<br>1,400 Sold 21.10.20<br>=<br>Nestle CA<br>165 CHF0.10 (Regd) shares bought 19.08.20<br>Nike Inc<br>120 Class 'B ComNPVshares bought 21.10.20<br>Odey (CF)lnvFunds Conti European<br>5,730 Accumulation Units<br>10,260.00<br>5,730 Sold 19.08.20<br>---<br>Prudential<br>890 Ordinary £0.05 shares<br>12,896.00<br>265 Ordinary £0.05 shares bought 10.03.20<br>1,155|Gains/(losses)<br>Unrealised<br>Market Value<br>NetDividends<br>Tax<br>Acgusitions<br>Disposals<br>onDisposal<br>Gains/{losses}<br>31.12.20<br>Amount<br>~<br>Recoverable<br>73.76 f<br>16.03.20<br>92.30 f<br>15.06.20<br>3,763.18<br>90.39f<br>15.09.20<br>827.82<br>17,267.00<br>89.14 f<br>15.12.20<br>107.06<br>03.03.20<br>247.35<br>15.05.20<br>3,999.80<br>130.95<br>03.08.20<br>(768.80)<br>24,008.00<br>130.95<br>02.11.20<br>47.80 f<br>12.03.20<br>56.49f<br>11.06.20<br>3,683.98<br>55.32f<br>10.09.20<br>7,096.02<br>26,830.00<br>58.05 f<br>10.12.20<br>98.96<br>15.09.20<br>9,994.11<br>4,967.61<br>7,595.28<br>22,557.00<br>18,256.78<br>2,341.22<br>20,598.00<br>169.80<br>19.02.20<br>(1,839.00)<br>15,990.00<br>247.63<br>15.05.20<br>169.80<br>14.08.20<br>169.80<br>19.11.20<br>448.00<br>19.08.20<br>9,983.21<br>4,017.54<br>13,073.00<br>(927.75)<br>15,209.66<br>(968.66)<br>14,241.00<br>20.66 f<br>29.12.20<br>11,999.47<br>419.53<br>12,419.00<br>79.77 A<br>29.09.20<br>79.77 A<br>9,444.81<br>(894.96)<br>240.70<br>15.05.20<br>48.16<br>28.09.20<br>3,005.21<br>(343.21)<br>15,558.00|
|---|---|





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|Market value<br>31.12.19<br>Reckitt Benckiser Group Pic<br>180 Ordinary £0.10 shares<br>11,032.00<br>50 Ordinary £0.10 shares bought 1 0.03.20<br>230<br>Relx Pic<br>740 Ordinary £0.1444 shares bought 31.01.20<br>230 Ordinary £0.1444 shares bought 10.03.20<br>970<br>~<br>Rit Capital Partners<br>850 Ordinary£1shares<br>17,978.00<br>260 Ordinary£1shares bought 10.03.20<br>1,110<br>Royal Dutch Shell<br>575'B"Ordinary EUR0.07 shares<br>12,877.00<br>205"B'Ordinary EUR0.07 shares bought 10.03.20<br>780<br>-~<br>Ruffer Investments Red Ptg<br>4,750 £0.0001 Prf Shares<br>10,688.00<br>Sage Group<br>1,340 Ordinary £0.01051948 shares bought 31.01.20<br>464 Ordinary £0.01051948 shares bought 10.03.20<br>1,804<br>1,804 Sold 19.08.20<br>Scottish Mortgage lnv Trust<br>4,500 Ordinary £0.05 shares<br>26,055.00<br>860 Ordinary £0.05 shares bought 10.03.20<br>5,360<br>Smith&Nephew<br>280 Ordinary $0.20 shares<br>5,131.00<br>~Ordinary$0.20 shares bought 10.03.20<br>465<br>Smithson Investment Trust Pic<br>770 Ordinary 1p shares bought 31.01.20<br>410 Ordinary 1p shares bought 10.03.20<br>1,180<br>Ssga SPDR ETFS E I SPDR S&P US Div Aristocrats<br>510 Units<br>22,963.00<br>225 Units bought 31.01.20<br>735|Gains/(Losses)<br>Unrealised<br>MarketValue<br>NetDividends<br>Tax<br>**Acgusitions**<br>Disposals<br>onDisposal<br>Gains/{Lossesj<br>31.12.20<br>8..!!J2!!!!!<br>~<br>Recoverable<br>233.68<br>28.05.20<br>167.90<br>29.09.20<br>2,898.88<br>1,116.12<br>15,047.00<br>311.37<br>28.05.20<br>15,003.82<br>131.92<br>02.09.20<br>3,989.32<br>(1,606.14)<br>17,387.00<br>194.25<br>30.04.20<br>194.25<br>30.10.20<br>4,986.18<br>(42.18)<br>22,922.00<br>209.30<br>23.03.20<br>98.90<br>23.06.20<br>2,992.07<br>94.30<br>21.09.20<br>(6,046.07)<br>9,823.00<br>97.34<br>16.12.20<br>45.13f<br>27.03.20<br>1,805.00<br>12,493.00<br>45.13<br>f<br>09.10.20<br>149.01<br>02.03.20<br>9,960.12<br>106.98<br>12.06.20<br>2,994.24<br>13,504.67<br>550.31<br>99.70<br>01.07.20<br>77.72<br>04.12.20<br>4,990.71<br>34,024.29<br>65,070.00<br>86.77<br>06.05.20<br>51.48<br>28.10.20<br>2,976.41<br>(1,085.41)<br>7,022.00<br>10,056.56<br>4,972.70<br>5,148.74<br>20,178.00<br>192.48<br>f<br>31.03.20<br>187.69<br>f<br>30.06.20<br>10,009.32<br>188.84<br>f<br>29.09.20<br>(1,643.32)<br>31,329.00<br>217.32<br>f<br>31.12.20|
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|Market value<br>31.12.19<br>The Renewables lnfrastucturePic<br>15,440 Ordinary NPV shares bought 31.01.20<br>3,800 Ordinary NPV shares bought 10.03.20<br>19,240<br>TR Property Investment Trust<br>3,200 Ordinary £0.25 shares<br>15,584.00<br>1,125 Ordinary £0.25 shares bought 10.03.20<br>4,325<br>Unilever Pic<br>315 Ordinary £0.031111 shares<br>13,704.00<br>70 Ordinary £0.031111 shares bought 10.03.20<br>385<br>United Kingdom (Govtof)0.125%IllGilt 03/2026<br>7,725 Stock<br>10,108.00<br>2,245 Stock bought 10.03.20<br>9,970<br>Visa IncComStk<br>100 Ordinary $0.001 shares<br>14,179.00<br>~Ordinary$0.001shares bought 10.03.20<br>130<br>Worldwide Healthcare Trust<br>390 Ordinary £0.25 shares<br>12,207.00<br>~Ordinary£0.25 shares bought 10.03.20<br>555<br>£<br>598,452.00|Acgusitions<br>20,457.08<br>4,977.27<br>4,992.84<br>2,959.48<br>3,012.94<br>4,143.12<br>5,060.67<br>454,005.62|Disposals<br>83,472.03|Gains/(losses)<br>Unrealised<br>Market Value<br>Net Dividends<br>Tax<br>onDisposal<br>Gains/{Losses}<br>_llJ1.,6Q_<br>8..!:!:!.Q!!n!<br>~<br>Recoverable<br>256.30<br>f<br>31.03.20<br>325.16<br>f<br>30.06.20<br>325.16<br>f<br>30.09.20<br>(845.35)<br>24,589.00<br>325.16<br>f<br>31.12.20<br>166.40<br>07.01.20<br>380.60<br>04.08.20<br>(2,714.84)<br>17,862.00<br>109.37<br>18.03.20<br>139.14<br>04.06.20<br>142.37<br>09.09.20<br>245.52<br>16,909.00<br>144.22<br>20.11.20<br>7.02<br>22.03.20<br>7.09<br>22.09.20<br>198.06<br>13,319.00<br>19.89<br>f<br>03.03.20<br>26.13<br>f<br>02.06.20<br>25.80<br>f<br>01.09.20<br>2,460.88<br>20,783.00<br>26.14<br>f<br>01.12.20<br>25.35<br>09.01.20<br>102.68<br>16.07.20<br>3,406.33<br>20,674.00<br>(12,639.81)<br>------nl7,809.22<br>1,064,155.00<br>17,430.72<br>0.00<br>A=Accumulated dividend<br>f=foreign dividend<br>E=Equalisation payment|
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