REGISTERED CHARITY NUMBER: 1205413
REPORT OF THE TRusfEES AND
UNAUDITED FINANCIAL srATEME￿I5
FOR THE PERIOD 26 ocfoBER 20LI TO 31 JANUARY 21125
FOR
MUSIC4WELLBEING

MUSIC4WELLBEING
CONfENt3 OFTHE FINAIYCIAL ￿AT￿ME1￿15
FOR THE PERIOD 26 ocfoBER 2023 TO 31 JANUARY 2025
Reference •nd Admithtive Ddai15
Report ofthe Trustees
2 to 4
Independent Ex8minee$ Report
Stst¢ment of FIM#ntial Activiti
B4l*ntY Sheet
NotÈ8 to the Fln*nci*l St*tements
8 ts 13

MUSJC4WELLBEING
REFERENCE AND ADMINISTK4TtVE DETAILS
FOR THE PERIOD 2ffj ocfoBER 21nJ TO 31 JANUARY 21)25
TrUSTELS
J Cornwall (apFointed 26.10.23}
R J HoiKrnft {aprK)inted 26.1023)
D Dye (appoirrte4J 26.10.231
Ms J L Hopkinx>n (apwTrinted 26.1023)
Ms E F Y H H(￿￿(ap￿)inttd 26.10.23)
PRJNCIPAL ADDRESS
9 Whits A￿ Drive
Kcnt
cr14 7
REGISTERKD CHARITY NUMBER 1205413
INDEPENDEP4T EXAMif4ER
Mccabe Ford Willi8ms
CharteThJ Aeeountants
Charlts)n House
tk*ur Street
tX)VER
Kent
CT16 IBL
Page I

MUSIC4WELLBEING
REPORT OFTHE TRusfEES
FOR THE PERIOD 26 ocfoBER 21123 TO 31 JAiYUARY 21J25
The trn￿et8 are pleased to present their re￿r( along5i(k the financial statements of Music4Wellbeing (henceforth referred to as th¢
'Charity') for the period 26 IktoFKr 2023 10 31 January 2025. The tnjstees have adopted the provisions of Accountin8 and
Reporting by Charitie5.' Statem¢n¢ of Re¢ommended Praaiee applicable to charitics prepwing their acts)unts iii accoTdwtt wtth the
Financial Rep)rting Standard applicable it) the UK and Republic of ITelw)d {FRS 102) (eff￿tsve l January 2019).
OWECTIVES AND AcrivrrIES
The Charity facilitates r¢glllar, sustwnable group xtiviti¢s by Thffapeuiic Practitionets. These S￿S10￿S.
centred an)und musi¢ and ¢rtive expr￿10￿ Provide meanittgful social interactions with kKal C￿nmunitieS for individuals facing
life challenges. These Ch￿IenSeS may include d¢ma)ti4 other degellerati￿ conditKsn& disabilities. isolation. lonelincs5.
bereavement or resp)nsibiliti¢s as family w¢rs Icolltttiyely referred to &$'benefi¢i￿leS,).
Through its iniii&tives, the Charity fosters wellixing happine55. enrithing th¢ lives of benefi¢iari¢s by pmoting inclusion and
engagement with friends, famity members and I(￿] volunteers. who are also wnsidaed benEficiaTie5.
To amplify its impa¢L the charity collat¥)rates with a rnnge of lo￿ tArtners fvLLwJ otb th¢ w¢lfar¢ of older pty)ple athd other adults
with life ch￿[enge$ to-.
Understsnd local need and r¢l¢vant i&wes fori¥)nsideration.
Maximis¢ access for those who can benefit from the Charitys &livities.
Create an integrated supp)rt n￿WO￿. enablingcross.Tefernl of to)efi¢iori&8 to health aThJ Well￿￿￿ sttvice
KEY ACTIVITIES
The charity initiatives includ¢:
CfydeJi¥ning gctivity programmes in pllrttKthip with bw¢fJ¢iaries. ethsuringtheirvoices ￿e heard and ehoices focus on
their ne¢ds and prefererKes.
PToviding training opportunitie5 for.
- E8i#bllshed TheT&P¢Utic Arts Practi1io￿ers . suptM)rtin8 Lx)ntinlled pn)fessional development aThJ service excellence.
- Eirly Career Pr*ctitioner4 , fostering a skilled workforce that is quipped iodeliver meaningful ￿BaseMenl
R4SslDg awarell￿ and promoting its work through publications Ill￿trative$eMin8ry, cortferences and collaborative
Community events with public and voluntar y or8anisation$.
Pursuing sustsin8ble fundlng strnte2ie9 to Sustainably 5upF￿ the ch￿Ity'S k)ng-*m a￿￿tieS and impact.

MUSJC4WELLBEING
REPORT OF THE TRUSTEES
FOR THE PERIOD 26 ocfoBER 2023 TO 31 JANUARY 2025
ACHIEVEMENT AIYD PERFORMANCE
DuTirtg the ￿ried under review the Charity has 5UGCfS5ful]y:
Delivered 275 group therapeutic Thusic and creative activty session4 SUPTK)rting prcdominontly older individuals as well &s younger
adults living with additiona] needs. These sessions took placc acm5s 18 locat￿ll$ in 15 lowns spanning and Mid Kent.
Medway and South t￿nd0Th.
Sinc¢ its tronsition from 8 Cornmunity Int¢res1 Comw]y the Charity h&8 &*ieved Mrtablegwwth..
The numEerof delivered 8TOUP activity s¢&si¢Ms has ris¢n from 204 to 235 8nnually.
The numberof beneficiari¢s h&% expanded frorn appmximately 370 to annually.
A Special Project was su¢¢essfully implementel engaging 21K) adults and a prAm*ry school. This iDifS•ti¥e ¢ulminated
in larg¢-scalc celebratory ¢vent4 a th)cumentary film and 5i8Thificznt mdia o)VUa8&
Key FeAtures of the ChArity'5 Activities
Free to Attend.. u￿0]ding its commitment to I￿l￿81¥1ty. the Clwrity d0¢5 Trxtharge pwticipants for its 5ervice4 tIK)ugh
volllntsry (knloti ons ar¢ w¢l¢¢)med.
Inclusive Appro8eh: Th¢ Ch8rity's progr￿￿M¢S re¥nain p&ttssib]e ￿ iThJividuds ofdiverse ethnic b￿kgrOund￿ age%
gendets and socio-ec onofftie circumstances.
Regulir Se9slons: Aaivities are delivered week]y. tiviL* n￿nthlY or monthty tsilotul to the neots of each g￿llP.
Tralnlng & Devehbprnen¢
The charity fa¢ilitated-
IS professional development trnSnlngtvemts forestsblished Ther•tic Arts Pr&titi(Xhers.
130 mentored trnlnlng se55ion$ for Early Career Pr￿IlliOn￿5.
A deditAted ¢r4ining $¢ssioo forvoluntee
Evfiluati(*n & Oryanis#tional Development
To maintain effectiveness and resp)nsiven¢s4 the Charity has..
Conducted regular eV￿UatIonS of its actLVltie5 to ensure critiL¥I assessment of Its￿li¢l¢S and pradic¢s from th¢ p¢rsp¢dive
of beneficiaries and partnw organisations. Key findings includL-
- An established Go81$ Fr4mework, which identifies key goals of phys¥cal athl co￿1¢1¥¢ fimctloning and m￿tal and wcial
wellbeing. relevant to its benef iciarie5 but re￿￿]￿5 adaptable. fluid atMI dynamic to accommodate individual needs.
- QuADtitstive gnd qu81itstiv¢ v•lyAtions . pwviding 74aluable insights into ￿￿￿tion￿l ¢fficIen￿ and the iTnpact on
partlcipants wellbeing.
- Fefylback fi￿M parthers #rtd 5tskeholders. underscoring the rM)sitive imp¥1 of the Charity's WO￿ on s¢rvic¢ users,
welfar¢ and r¢infor¢ing its role withith a broader suFwrt network.
En8aged expert consultsnts including:
- A Consultant to overview the Charity's TX)licie5 and practices. Otfering &Jvic¢ on ￿$fUmatIOnal improvement.
- A social media and engagement consultant to enhance the Charity'5 50cial media presence and other enwdgement pre5en£%.
R¢viewed and updated goveman¢e policies as n￿essary to ensurt be￿ practices.
Mointaind and updated the Ch8rity's website to:
- Publicly showcase its mission and or8anisationai inte8rity-
- Provtde participants with a￿eSSible infom)ation aTr￿t theirwup &*vitie
- Encourage and facilitate n¢w enquiries.
. Equip practitioners with EK)th theoretical and ￿tiC￿S￿l Twour￿ ￿ supwt the efftctive design and delivuy of
music and creative activity s￿10[1$.
- Encoura8¢ donations, Teinf¢)Tcing th¢ thrity's commitm¢ntw susthinable fuThJing ongoing 5UP]M)rt forbeneficiarie
Circulated *DirethVs Seasonal Newsletterto all stakelM)Iders and the wKlerpublic. showcasing key Achievements
and milestones.
FINANCIAL REVIEW
fin&nt141 position
At 31 January 2025 the CIO'S funds totailed £n.954 (2tr23- £46,712).
Pag¢ 3

MUSIC4WELLBEING
REPORT OF THE TRU￿￿Es
FOR THE PERIOD 26 (￿BER 2023 TO 31 JANUARY 2025
FINANCIAL REVIEW
Rtserve5 policy
The Charity's Teserve5 w)licy ensu￿ sufficient unrestricted fvnds ¢0 rover core (TKrdtiRg w5ts. This allows the Charity to ¢ontinu¢
operati￿8 in the event of unexpected shorfalls in income orunforeseen iTh¢reases in w)&itsre.
A5 of 31 January 2025. the Charity held iothl reserves of £77.954. of whKh £8,643 were unrestricl&l at¥1 £69.311 were restricted.
This level of reserves is Mnsider&J adequate in light of the Curle￿ risk% aTKI (watK)n81 n￿ts. The trustrts will rewew the reserves
in the coming year to ensure ongoin8 c¢xnpliaw£ with thc w>licy.
STRucfuRE, GOVERNANCE AND MANAGEMENT
The Charity..
Is a Chttritable Inovporated (kganisation (CIO) wherein the Tr￿StreS are the ¢)nly voting
Members.
Was illc4)rwrdkd into the Chartty CoTllrni55ion for England and Welcs (numbcr1205413) on 26 (ktober2023,
having Converted from a Community Intthest Company, originally fomied on 30 March 2015.
Ormles under a constitution ￿0Pted on incoryoTation.
Is mawed by a Board of T￿￿1£￿. to whorn all I￿￿10￿￿1 persthjnel are aN4werab
Publie benefit
The Charity trustees have adhered to their fEStrf)rnEibilities under the Charities Act 2011 enswing alignment public benefit
guidance issued by the Commission.
Approved by orderof the of truth on 31 May 2ff25 atkl signed on its behalf by:
R l Hobcra

INDEPENDENT EXAMlh'ER'S REPORT TO THE TRUSTEES OF
MUSIC4WELLBEING
Independent ex#m]ne￿8 report to the trusttts of Mu$ic4Wellbeing
I retK)rt to the charity ttustees on my examtoation of the accounts of music4wel1b￿Trg {thc Trust) for the period 26 October 2023 to
313anuary 2025.
Respomsibilities and bA8is of wort
As the charity tnjstees of the Twst you are responsible for the of the in aCCQTdatK¢ with th¢ requ7￿ments of
th¢ Charities Act 2011 I'the Act,).
I r¢p(¥t in resrÉct of my examination of the Trust'5 accounts ¢wYied out under Section 145 of the Act and in ¢9￿l￿g out my
examination I have followed dl applicable Directions given by the Charity Commission undeT Stttion 145(5)Ibl of the Ac*.
Jndependent exarniner's st*temeNt
I have completed my examination. I confirm that no materid mstters hav¢ come to my attenti(￿ in connedion with th¢ ¢xamination
giving me cause io believe that in any material It5p￿L
a¢o)uniing record5 were not kept in r&yct of the Trnst&% required by sKtI￿ 130 of the A￿ or
the accujnts do not accord with flM)s¢ Ye￿rdI or
the accounts do not ¢oThply with th¢ applicable Yequirements concerning the fomi and eontent of a¢4)unts set out in the
Chariti¢s {Accounts and Rermyts) Regulations 2008 other than any require4nent tht the accounts give a true aTJd fair view
which is ngt a motter ￿lIS1dered part of an indepthnt examination.
I have no coneems and hav¢ ¢ome actDss no other matter5 in conne¢¢ion with the examinatim to whi¢h attention should be drawn in
this rep)rt in order lo enable a proper understanding of the *counts to ￿ reach￿.
J Full4rton Bsc (Hons) FCA
McCab¢ Ford Williams
Chartered A¢couniants
Charlton Hous¢
Dour Street
DOVER
Kent
CT16 IBL
2 June 2025
Page 5

MUSIC4WELLBEING
srATEMENf OF FINANCIAL ACTIVITIES
FOR THE PERIOD 26 o￿oBER2023 TO 31 JANUARY 21)25
Peri(xl
26.10.23
lo
31.1.25
Total
fiEnds
Period
1.2.23
25.1023
Total
funds
uDrestTId￿ Re5tri*d
fijnd
fund
INCOMK AND ENDOWMENTS FROM
Donations and lewi¢5
24J86
88JS2
112,738
64,058
EXPENDITURE ON
Charl¢*ble actlvities
Faci1its￿rS and artisL
Ov¢Theads
50.891
50.891
30J51
JI,507
7.660
21342
Other
254
254
174
22596
58.
81.496
39J41
r4ET INCOME
29,452
31242
24,717
RECONCILIATION OF FUNDS
Total fund5 brought foNard
6.853
39.859
46.712
21,99S
TOTAL FUNDS CARRIED FORWARD
8.643
69.311
77.954
46.712
The notes forni partof these financial slatements

MUSIC4WELLBEING
BALANCE SHEET
31 JANUARY 21125
31.1.25
Total
funds
25.10.23
Total
funds
UnrtStricte41
fund
Restriued
nd
FIXED ASSETS
Tangibl¢ a&*ts
190
444
CURRENTKSSETS
C&sh at bank
10,650
70.196
80.846
47238
CREDrroRS
Amounts falling due within one year
(1197)
{885)
{3,082}
(970)
r4ET CURRENf A&SETS
8.453
69,311
77,764
46,268
TOTAL A&%E13 LLSS CURRENT LIABILfrILS
8,643
69Jl1
77,954
46.712
NET ASSETS
8,643
69,311
77.954
46.712
FUNDS
Unrestri¢¢ed fuT
Restrith￿ funds
10
8,643
69,311
6.853
39,859
TOTAL FUNDS
77,954
46.712
The financial sthtements were app￿Ved by the Board of TnL*s and aut1K)ris￿I kn iswe on 31 May 2025 wer¢ signed on its
half by:
RIHobc
rustee
The Dotes fom) ofthese fin￿181 swements
P48e 7

MUSIC4WELLBEING
NOTES TO THE FIIYANCIAL STATEMENTS
FOR THE PERIOD 26 ocfoBER 2W TO 31 JAtYUARY 2025
GENERAL INFORMATION
Th¢ ¢h8rity is a public benefit entty and a registered charity in EnglaTLd and Wales aThJ is ￿1￿cOr[x)ratCd. The charity
number and re8i5tered offirx address can be found on the Refera￿ and Adminiarntiye Details t*4e.
The PTesentstion41 ¢wrrency of the financial ststements 15 the PLX]nd Sterlingl£).
ACCOUNfJNG POLICIFS
Basts of prepArlng the fin•nclil statements
The finan¢ial statemenls of the ¢harity, which is a publi¢ b¢nefit emity FRS 101 have L*en prepared in acwrdance
with the Charities SORP (FRS 102) 'Accowiting and Rcp)rtin8 by tharities.. Ststem¢nt of Recommended Pwtice
applicable to ¢h8riti¢s preparing th¢ir a¢counts in accordatK¢ with the Financial Re￿ting Standard applicabl¢ in the UK
and Rcpubli¢ of Ireland (FRS 1021 leffe¢iive l January 2019)., Finan¢ial Repcrting StandaTd 102 The Financial Reporting
Standard applicable in the UK and Rqjublic of Ir¢lat)d' and the Chariti&% ALt 2011. The fIna￿la1 statements have been
prepared under the histOTicaJ cost convetltion.
Fln*ntiAI re￿rtIng stsndard 102- reduced disclosurnexemptioAs
The charity has taken advantage of th¢ following disc]osure exemplton in prwing th￿ financial 51atements, as puThitted
by FRS 102'Th¢ Finan¢ia] ReEK)rting starKI￿ appli￿1¢ irj UK aT¥J R¢publi¢ of Ir¢knd':
the requirements of Section 7 Sts1￿MentOf C&sh Flows.
Income
All income is reo)gnised in the Statem¢nt of Financial Activities i)n¢e th¢ ¢hwity has entitlement to the fi￿&s, it j5 probable
that the income will be received and the amount can b¢ measured reliably.
Expendithre
Liabilities are ree<)gnised &5 expenditure as S(K)n there is 8 l¢gal or C￿nSIFu￿]YC obligation committing the Charity to that
extxndTrtur¢, it is probable that a transfer of ecoTK)mic benefits will b¢ requirnl in settlement and the amount of the
obligation be measured ￿ liably. EX￿ndituTe is a¢u)unted for on an t*sis and has been ¢l￿sIfIed under
h¢adings that aggregate all ¢os¢ related to the cate80ry. Where ¢osts can]v)t be directly attributa ¢0 pwtiCuI￿ headings they
have been ￿lIX￿ted to aetivities a bas￿ ¢￿1&¢nt wtth the of ￿￿M￿
Taugible fixed 25s¢ts
Depreciation is provided at the following annual rnt&s in ord¢rto writeoff e&h &set over its es1im*ed useful lif
Fixtures and fittings
Straight line ovtt 5 yea
Taxatlon
The charity is exempt from tsx on its dwitsble activities.
Fund accounting
Unrestrith¢d funds Can ￿ US￿ in accordance with the ¢harttable (*Jj¢¢tiv¢s discretion ofthe trustees.
Restricted funds only be used tor particular restr1c￿l wtthin t￿ obj¢¢ts of th¢ charity. Restrictions aTi5e
when specified by the th)nor OrWh￿ funds are raised for particular restri¢tfyl PUTpse5.
FUrt￿r eXpla[￿tIOn of the natu￿ and purrrfjse of each fi]nd is incith in thenote5 to the finwKial statements.
Page 8
oDtuiued...

MUSIC4WELLBEING
NOTES TO THE FINANCIAL sfATEMEM8- ¢ofttinu
FOR THE PERIOD 26 ocfoBKR 21J23 TO 31 JANUARY 2025
DONATIONS AND LEGACIES
Period
26.10.23
Period
1.2.23
31.1.25
25.10.23
Donati<)ns
Grants
24.190
88,548
9,035
55.023
112.738
64.058
Grants and donations rep￿SentS LX5h ￿1ved SI*￿$01S #nd donors to fund wojects and to help pThnotr the charity's
activitie5.
CllAR￿ABLK AcfiviTIES COSI8
sUp￿rt
costs (see
note S)
Direct
Costs
T0￿S
Facilitators and artisls
Overheads
50,891
11984
50.891
30.351
17J67
63,875
17.367
81242
SUPPORTCOSTS
Totsls
Ovethead%
13,947
3,420
17J67
SUp￿)rt co& irKluded in the a￿vI are &s follo
Period
26.10.23
P¢ri(Kl
1.223
to
25.10.23
Total
activrties
31.1.25
Professiona] fees
Ind¢pendeni examiners fe¢
Accountancy fees
13.947
2.100
lJ20
17(Kl
17,367
2.7LK
continwl...

MUSIC4WELLBEING
NOTES TO THE FINAIYCIAL sfATEMENTS- continu*AI
FOR THE PERIOD 26 OCTOBER 2•23 TO 31 JANVARY 21r25
TRUSTEES, REMuf4EIiATION AND BENEFrr6
There were twste¢s' remuneration or (rther benefits the wiod eMl¢d 31 January 2025 noT for th¢ period ¢nd¢d
25 October2023.
Trustees, expenses
Thar were no trustees, exr*ll￿ patd f(xth¢ pttiod ended 31 January 2025 for the p¢riod ended 25 OctoLYr 2023.
COMPARATIVES FOR THE sfATEMENT OF FINANCIAL AcfiviTIFS
Unrtstii¢t
fuThJ
R¢stricte4J
nd
Totsl
funds
INCOME AND ENDOWMEiYfs FROM
Donations and16gaGie5
53
64.￿5
64,058
EXPENDITURE ON
ChHritablt *ctivities
Facilitstot3 and artists
Ovetheads
31.507
31.507
7,660
692
Oth
174
174
Total
38,475
39J41
NET INCOMFJ(EXPENDITURE)
(813)
25.530
24,717
RECONCILIATION OF FUNDS
Totsl fi]nd5 brought fo¢ward
14,329
21,995
TOTAL Fuf4DS CARRIED FORWARD
6.853
39,859
46,712
Page 10
continued...

MUSIC4WELLBEING
NOTFSTO THE FINAIYCIAL sfATEMENIS- tontinuvj
FOR THE PERIOD 26 OCTOBER 2023 TO 31 JANUARY 2025
TANGIBLE FIXED ASSETS
FixtUTeS
frttillgs
COST
At 26 October 2023 ar￿ 31 January 2025
2.063
DEPRECIATiof4
At 26 (ktober 2023
Charge forye
1,619
254
At 31 January 2025
1,873
NET BOOK VALUE
At 31 January 21Y25
190
Ai 25 (ktob¢r 2023
CREDrroRS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.1.25
25.10.23
Trad¢ cr￿lIoTs
Other creditors
873
97
2,197
3,082
970
io.
MOVEMEIYT Iiy FUNDS
N¢t
movement
in fund5
At
26.1023
At
31.125
UDre5tricted fuDd$
Gen¢n] futmi
853
8,643
Restricted fund$
Classes
39.859
29.452
69Jll
TOTAL FUNDS
46.712
31.242
77.954
Pagell
continued...

MUSIC4WELLBEING
r40TES TO THE FINAIYCIAL STATEMENTS- (•ntinu
FOR THE PERIOD 26 ocfoBER 2023 TO 31 JA]YUARY 2025
MOVEMENf IN FUNDS- coffjtlnued
Net rnovetnent in fi]nds. tn¢luded in the aErf>ve ar¢ as follow&
Incoming
Movement
in funds
¢xpend¢d
Un￿1￿Cted fwnds
G¢nernl fund
24,386
(22,596)
Restrlcted
Clw¢s
88.352
{58,￿)
29,452
TOTAL FUNDS
112.738
(81.496)
31,242
Comp•rntlves for movement in
n)ovement
in fun(Ls
At
25.1023
At 1223
Unrestricted funds
G¢neral fund
(813)
6.853
Restricted fund$
Classes
14,329
25.530
39,859
TofAL FUIYDS
21,995
24.717
46,712
Comparative net moveTnetLt in ruTr￿ included in the ab)ve are &$ follows:
Ino)ming
R£4)urce5 Movemeni
in futK15
Unrestricted funds
Genera] fund
53
1866)
(8131
Restrirted funds
c]￿eS
64.005
(38,475)
25.530
TOTAL FUIYDS
64,058
139,341)
24,717
Donated funds received durin8 the fmancial year were all0￿*d to supwrt th¢ ¢h￿itIeS main objective5. Th￿e funds wer¢
usd to facilitate a rdnge of music cia$5e5 and rKrfonnance opportunities for participanls livin8 with ag¢-r¢lated and other
life challenges. C1&%5cs Ircstricted funds) have been amalgarnated into one combined fund.
Page 12
ntlDued...

MUSIC4WELLBEING
NOTES TO THE FINANCIAL SfATEMENfs- (ontiDue41
FOR THE PERIOD 26 OCTOBER 2tr13 TO 31 JANUARY 2025
ii.
RELATED PARTY DISCU)SURES
During the year, Richard Hobcraft & Co provided a¢wutrtin8 S¢tvi¢es, in whid) Mr R Hobernft (Th]st¢e) V￿kS for. These
nounts totalled to£l,320. No amounts wer¢ Outs￿]￿8 at th¢ yearend.
IL
TRANSFER FROM Ctc TO CIO
On 26 (ktob¢r 2023 Musie4Welltr¢ing CIC entu¢d into an 88recment to trawferall artivities from aCIC
to Music4Wellbein8 as a Cto. The breakdown of the rnerger i8 sfv)wrt bEIow.
Ftxed &sets
Curreni a&sets
Current liabilities
47238
1970)
Net¢urnt assets
46,712
Th¢ netcurrent figure aErf)ve is mad¢ up of £6.853 unl￿1¢￿ed funds £39,859 ￿trirA¢d fuThJs
In accordance with the temLS of this a8reon¢nt all activity fr(on 26 (kth 2023 is now undertaken by Musio4W¢llb¢ing
as a CIO.
All assets othd liabilitie5 immediatejy tr3Trsftrred on this date.
P8ge 13