RECISTERED CHARITY NUMBER= 12083S7
Re
rt of the Trustees and
Unaudited Finalleial Ststements for the Period 22 Mai. 2024 to 31 Ma
2025
for
REHOISE REPbRPO
La￿ott Bradford Accountants Ltd
Chartered Certified Accow)tants
7 Marconi Gate
Stafford
Staffordthire
ST18 OFZ

REHOME REPURPOSE
Contents of the Financial Ststements
for thc Period 22 MaTr 2024 to 31 M2
202S
Page
Reference AdmiDistralive Detail5
Re￿rt ol the Tru5tee5
IDdependent Exarnitter'5 Report
ststement of Financial AetKvities
Balance Sbttt
Noteg to the Fin&ncial Statements
9 to 12
DetaTrled StateMe￿t of FinaTrcial Activitits
13 to 14

REHOME REPURPOSE
Refere￿te and Admintstfdtive Details
foy the Period 22 2024 to 31 Ma
2025
TRUSTEES
L Smith
J iidman {resignea 2.12.24)
Mr> C V Tn)wbri(igt (resigned 24.3.25)
Mrs K Wildman (resiuned 2.12_24)
B D Roberts {resigncd 24.i.251
Ms L Taylor-Grtme lappoinied 1.5.25)
Mri .kl Smith (appointed 26.3.25)
PRINCIPAL ADDRESS
Castlefields
Srarford
S116 IBG
REGISTERED CHARITY
NUMBER
1208i57
INDEPENDE￿[ EXAMlf4'ER
Law¢on Bradford .4CCo￿nt8fits Ltd
Chartered Cenified Accounlants
7 K12rconi Gate
Sra'.,'oidshire
ST18 OFZ
BANKEIiS
Llo:'ds Bank PLC
EpoD.a House
PhLienix Way
Siiansea
SA? 9HG

REHOME REPURPOSE
Re
rt of the Trustees
22 Ma¥ 2024 to 31 Ma
for the Pe
2025
The tti]5tees present their Tetx)rt with the financial statetRents of the charity for the period 22 May 2024 to 31 May 2025.
The trustees have adopted the provisions of Accountino and Rryning by Charities-. Statement of RecoTnmended
Practite applicable to ch￿ItIeS preparing their accounts in accordance Thith the Ftnartcial Reporting Standard applicable
in the UK and Republi¢ of Ireland (FRS 102) (effective l January 2019).
This Annual Tn￿lee Report provides an overview of the charity's activities, achievements, governance: and financial
perforn)anee for the year ended 31 May 2025. The tnjstees are pleased to presenr this report to stakeholdeT5, 5UPPOrters.
and the public, in accordance with regulatory requirements and besi prartice fgr clwitable organisatiOn5 in the United
Kingdom.
Page 2

REHOME REPURPOSE
Re
rt of the Trustees
for the Period 22 ma￿ ?0?4 to 31 M#v 2025
0￿EcTIVEs AND ACTIVITIES
Objectives and al￿5
Rehome Repurpose, bas¢d at Ca5tlefields in Stafford is a well-knoiiTr local Chariry focusing on recy¢ling and
eommunity ￿nVolveMent. Our primary objectives are 10 rniT)imise waste and ensure thar items are redirected from
landfills, incineration. or entering the environmen4 where ti)e) could Curt￿l￿ale water¢ourses and adversely affe¢r
wildlife.
Wilh the exception of maintsining a modest cash Feserve ti) eTrsu? financial sthbility. all surplus ftjnds raised by RehoTne
Repurpose are allocated direeily to supporring local ch8Jities within StatTord. The principal recipienis of these
contribuiions include Staffordshire WoTHen's Aid: Free IT £rafford, and House of Brtad. By distributing ftmds in this
manner, Rehotne Reputpose reinforces Its commitmen-. EO boiti the T￿.[￿-01a[e cornmunity and broader ctwitable
objeciives, ensurino that the positive impact of fundraising eftorts is felt across a range of vital local 5¢rvices.
House of Bread 15 a chaTity providing a meal. advice and support as ivell as a safe and welcoming space for all
vulnerable people in Sthfford. Free l.T. Sthffoid ￿pair univanrrd compllters and give them back to the community foT
free. particularly for ihose in digital poveny. Womell's .fyid ofters refuioe. -4elplities, support and practical help for
victiEns of dome%tic violence and abus¢.
In pursuit of this aÈm. the charity continues a ranoe of actli'ities during ?0? j. includin
l. On slte reeyclino hub: members of ihe public brin? p.on-r.--!'_lable waste io us_ We sort and distribuie the items to
other organisaiions that recycle ihem. In rebjrn ive iectll.: C9.311 rroin Ulkn)L Juch as TetTacyele - one example being
plastic recycled by shreddin& cleaning aftd turnin(F them inio peller> Mhic.4 are u*d by manufacturers to create new
g¢neric plastic prcmlucts. such as ouid(x)r equipment- red Ji cing the need to extract new resources from the planet.
2. OTlSite and Online Clwity shop - we take donations ot holl￿'hOld tsoods. liems are sorted and then get sold either
through the shop or online market-place M'ebsiies such as eBai'. kacebook. Ilinted. We have a tealn of specialist liste
who value, photograph and list items for ihe various selling piati-ortns_ We have recently entered into a revenue share
a￿te[￿ent with a local Charity to provide this resource for their donations.
3. Onsite Unifom) Bank- we receive, distribute and swap all items of School uniforni- saving costs for local parents and
saving clothing from landfill, coverkng all local s¢hoo15 wjth In a S_mile TadiJi s. This is growing in popularity. and in turn
generares more footfall for our SILOP, whilst aidiog falnilies }￿th the cost or livin
4. Repair Café- qualified volunteers attend regular sessions ii'here local people can brints it¢ms for repair. rnher than be
throwi inio landfill. These sessions are very produaive. in particular a specialist resource for sewing ]ntt¢hine repair.
5. Local infornktion and outreach - our reUu1arl￿ attend local schools and comrnunity hubs to explain our purpose
and aims. We have delEvered 18 presentations toi the Ree)'clino Educahon projecL funded by a Severn Trent grant. In
addition to our site. we also presented at- Blessed William Howard High School, John Wheeldon Primary School,
BrooLlands Assisted Living facility. St. Bertelin's Church. and ihe Polish Mixer Club.
6. On$1￿ Cornmunity Garden - bv volunteers. growinu beasonal procluce. Enabling local residents to socialise with
others who are interested in wdtnints. We CUTrentl}" haN't loca,, college srL,dents attending once a week and a group from
a Local Mental Health support goup and neuro-diverse yOUn¥F
p¢ople and adults allend regularly.
7. Grant applications - we have been successfikl in appl)in
for 10 help our aims - one example being the full
replacement of all of our lighting 10 low-wattage led bulbs. and another the repair cafes.
8. Local employer- in addition to our voluFtieer worktorce. li"¢ also employ a pool of over 25 people of both time,
lime limiied and part-time jobs. We issue contracis Ot empiovnienL and eompl), with all ststutory paiqnenL tsx, pension
and staff welfare requirements. In addition. we have provided work experience for local stttdents, and volunteering
oppominiTies for Duke of Edinburgh award panitiP3nts.

REHOME REPURPOSE
Re
ort of the Trustee5
for the Period 22 21124 10 31 Ma
2025
OBJECTIVES AND AcrtVlTIES
Public benefit
The trustees confirm they haye paid due FetsJrd io the Charits" Commission's guidance (m public benefit when reviewing
the ChaxI￿5 aims and objectives and in planning future acitvities and setting the grant Tnakiug policy.
The ChaFity fi]rthers its charitable purpos￿ for the public benefit throuJu its grant making polscy and focusing on
recycling and community involvement. The eharit). contributes i0￿,8rdS minimising waste and en5ursng that items are
redirected fro￿ landfills, incineration. or enterinti the environlnent. where thev could contsrninate watercourses and
adveTsely affect wildlife.
With the exception of rnaintaining a rnodesr cash re5eTre to ensure fina￿¢1#7 strbiliry.. all surplus fimds raised by Rehome
Repurpose are allocated directly to SUPDOTtine loca] charities Wtthin Stafford.
Volunteers
The Charity had the supwn of 24 volunieers during the Irar assisting with various projects and activities includins but
not limited io. Repair cafe and CornrnuniL)' garden.
ACHIEVEMENTS AND PERFORMANCE
Charitable Activities
During 2025, the charity reached several key Tnileslones:
Registered by the Chartties Commission in Mav 2024
Raised over £220,000 through various ftmdrdising snitiatives
- Supported manv hundreds of individuals and families throuJts J our prograrnTnes
- Lallnched new projects. suth as Uniforni BanL Repair Cafe and sch￿1$ outr￿h.
Increased volunteer involvelnent and recTUTted ne*. siaff aD.d Specialist ILSters.
- Obtained the first three of a number of grdnts from our applI￿lon5
The trnstees arc in¢rediTrJly grnt¢fiJl for the conrinued support from doDQf4 volunteers, and partners. which has ¢nabled
the charity to expand its reach and impact
FINANCIAL REVIEW
Financial p051tion
The fmancial statclnents for the year have been prepared in accordance iyith applicable accounting standards and charity
regulation5 by our chartered accountants.
The ch8ritys unrestricted income for 2025 iotalled £441.853 whjle expenditure amounted to £431.927. Th¢ closing
unrestricted reserves as of 31 May 2025 were £9,926
The chartty received £6.424 of restr1￿cd grdnts. £5.179 of wthich w¢re spent in the year leavinip a balam¢e on restricted
reserve5 (Trf £1,245.
Overdll unrestrtcted and restricted reserves toialled £1 1.171
Reserves policy
With the exception of matntaining a modest cash reserve io ensure financial stability. all surplu5 funds raised by Rehom¢
Repurpose are a]lo¢ated directly to supporting local ch8ritses within Sthffor(L
Given that thi5 is the first year of operation for the charity. reserves are being buili up to a reasonable level. which is
deemed to be a month of costs requtred to be paid on closure of the charity. This would be Tnade up primarily of Staff
costs. Insurnice and rent and rnies. One month of these costs total around £17,600.

REHOME REPURPOSE
on of Ihe Trustee5
for the Period 22
av 2024 to 31 Ma
2025
FUTL'RE PLANS
Looking ahead to 2026, the clwity aims to".
- Expand s¢rvic¢ provision to r¢ach more beneficiaries
- Increase fundraisino efforts and diversify income streaEllS
- Strengthen pattnerships with other orwo ijsa[ions
- Conrinue io impmve governance and ope￿10nal efficiene}'
Plannints for the future- which may include a site mol'e as our location is within the Stafford Gateway Plan, and our
exisiiniy building may have io be demolished_
- Provision of more storage- as we are bursting ai the seam% iviih donations.
STRUCTURE, GoVE￿NANcE AND MANAGEMEJ¥T
Gofvtrning document
Th¢ chariry is controlled by its governTllty documenL a dccd ot and consritutes an uninc0r￿rdzed charity.
Organivdtional structure
The ¢harity was re(FiStered on 22 May ?024 as a CharÈthble InC0r￿rdted OrganI￿lon (CIO). The charity is governed by
a board of trustee5 who oversee strdtegic dirttiion and ensure compliance wilh all lega] and regulatory obligations.
During 2025, the trustees met regularly to review progress. approve budtsets, and monitor risk5.
The Tn]srees who seTved during the year are li￿ed under the Chwity Reference and Athninistrative Details on page l of
the financial sTatements.
Induction and traIll￿ng of Dew trustees
New I￿￿t¢¢S are introdu¢ed and trained by the CEO.
Key managetneDt remuneratio
K¢}. Nqanau¢Tn¢ni personnel ate considered io be the CEO. and pay is detrrnined by the board of Trustees.
Risk m8nagernent
The tr￿lee$ have considered the major risks to which the charity ]% exposed and iTnplemented gystems to mitigate them.
These include financial controls. data pmtection protocols. and safetsuardinu
policies to protect beneficiaries a￿d staff.
Approved by order of the board of th￿teeS on .....
. and signed on its b¢half by:
L Smith- Trustee
P￿e5

Inde
ndent Exgminer'5 Re
Rehome Re
ortt
he Tru
se
I[Ydeptndt￿t ¢xamÈHer's report to tbe trusttt5 of Rehome Repurpose
I report to the chariry tn￿t¢¢5 on my examination of th£ accounts of Rehome Repurpo% (the Tn]5t) for the perii)d
22 May 2024 to 31 Mav 2025.
Responsibilities and hsis of report
As the chaTity tru5te¢s of thr Trust you are responsible for the preparation of the ac¢ounts in a¢¢ordan¢e with the
requirertkents of thr Charities Act 2011 ('the A¢t')_
I report in respeci of my examination of the TrusV5 accounts Ca￿led out under Section 145 of the Act and in carrying out
my examination I have followed all applicable Direction5 given bv the Charity Commission under Section 145(51{b) of
the Act.
Independent examiner's state￿ent
Since your charitvs ￿0$S income exceeded £250,000 YOUT e¥amin¢r must be a member of a listed body. I can confimi
that l aln qualified to undertake the examinaiion Frtause l am a memlxr of the A5￿)Ciation of Chartered Certified
Accountants, which is one of the listed bodies_
I have completed my examination. I confirm th￿ Tnateryal matters havt come to rny attention in connection with the
examination giving me cause to believe that in any material respecl-.
accounting reeords were not kept in resp￿ of the Trust 18 required by Section 130 of the Act. or
the accounts do not accord with those records= or
the accounts do not colnply with the applicable requitements conceTnints the fo[￿ and Content of accounts set out
in the Charities (Accounis and Repons) Regulations 2008 other than anv requirement thai the accounts give a
truc and ftir view which is noi a matter considered as part of an independent examination.
I have no Concerns amd have come across no other Tnatters in connection wsth the examination to Ththich attention should
be drawn in thi5 report in order to enable a Proper undetstanding of the accounts to be reached.
Adele Lawton (FCCA)
Lawton Bradford Accountants Ltd
Chartered Certified Accountanis
7 Marconi Gate
Stafford
Staffordshire
STI 8 OFZ
Date..
03.l.Cj7..l.?.oz.6.:
Patre 6

REHOME REPURPOSE
Statemerst of FinatteiAI Actii'ities
for the Period 22 Ma 2024 to 31 N1# 2025
Unrestricted
fulld
Regtrieted
funds
Totsl
funds
Notes
INCOME AND EPIDOWMENTS FROM
Donations and legacies
222.153
222,153
Charitable 8ctiYities
Granis
6,424
6.424
Other trading activities
Investhjent incorne
219.699
219,699
Tot*1
441.853
6,424
448277
EXPENDITURE ON
Raising fjjnds
221,908
221,908
Charitable #ctivities
General
211J.019
5,179
215,198
Total
431,9?7
5.179
437,106
NET INCOME
9.926
1,245
11,171
TOTAL FUNDS CARRIED FORWARD
9.926
1245
11,171
The noies foTm part of the* financial statements
Page 7

REHOME REP
RPOSE
B8lan£e Shett
jj 2025
Unrestricted
fund
Restricted
rumds
Total
funds
Notes
CURRENT ASSETS
Stocks
Debtors
Cash at bank
6.554
2J97
5,673
6,5
2.397
6,918
1,245
14,624
1245
15,869
CREDITORS
Amowits faTrl￿g due ￿7th1n one year
(4.698)
(4,698)
NET CURRENT ASSETS
9,926
1,245
11,171
TOTAL ASSETS LESS CURRENT
LIABILITIES
9,926
1245
11,171
NET ASSETS
9,926
1.24$
lJ,171
FUiYDS
Unrestricted funds
Restricted fi]nds
10
9,926
1.245
TOTAL FUNDS
11,J71
cial stateme
ts were approved by the Board of TTus*es and authorised for i55ue on
. and were signed on its behalf bN':
L Smith- Trustee
The notes forni part of ihese financial ststelnents
Page 8

REHOME REPURPOSE
otes to the Financial Statements
for th Period 22 ,Ma ' 2024 to 31 M# 2025
GENEIiIL INFORMATION
The ortsanisation is a charithble Incor￿rd1ed organisation (CIO). ipcorporated and registered as a charity on 22
May 2024. The principal office is Casilefields. STattoia. iT16 1 B￿. rhe Charitys wi5tered number is 1208357.
The charity is retsisiered in England & Wales
ACCOUNTING POLICIES
Basis of preparing the financial stateme￿t$
The financial siatemenis of the chariry. Ivhich is a public benettt LnTllW under FRS 102, have been prepared in
accordance with the Charities SORP IFRS 10?) 'Ac¢owiiing and Reporting by Charities.. Statement of
R¢comrnended Praciice appli¢able to clwtties preparin(F
their accounts in aecordanc¢ with the Financial
Reponing Standard applicable in the UK and Republic of lrtland (FRS 102) (effective l January 2019)..
Financial Reporting Stsndard 102 The Financial Reporting Standard applicable in the and Republic of
Ireland. and the Clwilies Act 201 l. The tinancial siaternents have been preparnl under the historieal cost
convention.
Critical aeeountin
¥ jlldgenjents and key sources of estimatÉon uncertaillty
The preparation of the financial statements reoufftT Manage￿.enT to make judtsunents, estimates and
a8sumptions that affect the amounts reported. These estinTrai¢s and judtiements are continually reviewed and are
based on experience and otheT factors. includitiu ¢.%peLts(iOlli VF tiiture cvents are believed to be reasonable
utjder the circumstances.
A¢couftiing esiimates and assumptions are made cJn¢erning Ihe fviure and. by thetr nature. rdrely the
related actual outcome. The key assutnpiions ano oFb.L". SOLbrces oi tsiimation unc¢rthinty that have a risk of
causino a material adjusmient ro the carry'ing an).otsnts ot ssets and liaosliEies within the next financial year are
accruals and income recooth jiion.
Income
All income is recognised in ihe Statemeni of Finap.cial Activiiies once the charity h&5 entitlement to the funds, it
is probable that tb.e income ii'ill be r¢ci.'ied and Ll'.i 2muLini can be Tn-afured reliably.
Donated facilities and S￿5 are reLow'>ed incuin.ic 2: -.heir tair '. ii'hen their economic benefit is probable.
it can be Measll￿d reliably and the charit). has Control oi'er the item. Fair value is detertnined on the basis of the
valu¢ of ihe gift to the chariry.
No amouni is included in the hnanciai staiem-n-,:
Jr iolJnteer Itme In line with th¢ SORP (FRS 102).
Expenditure
Liabilities are recognised as expendiwie as soon as there is a IL"al or ¢onsmictive obligation COTnmitting the
challtK to that ¢Kpenditure. it is probable that a transfer 01- econotnic benefits will be required in senl¢ment and
the amount of ihe obli(Kation can be rneasured re.T..
1 4 jl!_ Fxp=nd"'.iJi rL '.s acCoUn￿d for on an aC¢￿al$ basis and has
been classified under headings Tthat 2¥¥rauatL al.. LJST :"¢[ai￿￿ IJ Il-." caiegorv. Where costs cannoi b¢ directly
attrib￿red to pa1icular headings the). h-
bee
reSuUr￿C$.
d 10 ac.-i'. Ilies on a basis wnsistent with the use of
GrÈnts offered suojea io conditions which have noi been met at the Near end date ate noted as a commitment but
01 accrued as expendirure_
Grants pa}•ble 10 third panieb are witntn tne char".I:'.bl.. oJiecrii'e%. ¥%'here unconditional grant% are offered, this
li accrued a) Soon as the recipient is noiitied ot'rh¢ 0Th1nt. as Ihis gives rise to a reasonable expettation that the
Fecipieni will receive the.mts.
Sto(￿ are ialued at esiimaied r.=[ rea!Ibabl¥ Val￿_.
ierils, ￿ all stock relates to donated guuL- ior lesa...
aftL.- mtslinq
allowance for obsolete and slow moving
Taxatio
The chariry is exempt from rax on its charitable aci'i ities.
¢onttnued...

REHOMC REPLRPOSE
Not￿ to the FTTISIIC121 Stgtements- continued
for the Period 22 Mai" 2024 to 31 Ma
21125
ACCOUNTING POLICIES- eoDtinued
Fund aeeounting
Unrestricted fi]nds can be used in accordance wth the charitable objectiVC5 ￿ the discretion of the trustees.
Restricted fimds can only be used for particular restrilled purposes wtthin the objects of the charity. Restrictions
arise when specified by the donor or when fund5 are raised for particular restrscted pwes.
Further explanation of the nature and puT￿se of each fijnd is included in the notes to the financial statements.
Pension costs and other pfyst-rttirement benefits
The charity operntes a defined contributsoll pension scheme. Contributions payable to the charitys pension
scheme are eharged to the Ststemen( of Financial Acriviiics in the period io which they relate.
Going cottcern
At the time of approving the fiRancTal statements the have a reasonable expectation that the charity has
adequate resources io continue in operdtional existence for the foreseeable future.
OTHER TRADING ACtIVlTIES
Shop income
219.699
INVESTMENT INCOME
Deposit account interest
TRUSTEES, REMUNERATION AP4D BENEFITS
There were no tNstees' remuneration or other benefits for the period ended 3 1 May 2025.
Trustees, expenses
There were no trustees, expense5 paid for the persod ended 31 May 2025.
STAFF COSTS
The average monthly number of emplo}ee5 during the period was as follows:
ManageFnent
Shop and Administration Stsff
27
28
No ¢Tnployees re¢eived emoluments ID excess of £60.000.
Pa£e 10
continued...

REHOME REPURPOSE
Notes to the Finaneial Statements- eontRttued
for the Period 22 _mg
2024 to 31 . 2025
STOCKS
st￿ks
6,SS4
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
Other debtors
Prepa￿entS
770
1,627
2J97
CREDITORS: AMOUNTS FALLING DUE WITHif4 ONE YF.AR
Trade credÈtors
Taxation and social security
Other creditOT5
1,539
3,158
4,698
io.
MOVEMENT IN FUNDS
Net
ovement
ill fullds
At
31.5.25
Unrestrieted funds
General fLU
9,926
9,926
Restricted funds
Severn Trent Recyclino Education Project
Rehome Repurpose Repair Caf¢
824
421
824
421
1245
1245
TOTAL FUNDS
11.171
11,171
Net movemeni in fund4 Tncluded in the above are as follows:
Incoming
rtsourceg
Resourees
expended
Movemellt
ID funds
Ullrestricted funds
Gettetal fi]nd
441.853
(431.927)
9.926
Restricted funds
Housints Plus
Sei'ern Trent Recycling Education Project
Rehome Repurpose LED Li(phrs
Rehon]e Repurpose Repair Cafe
I,iOO
2,544
lJ83
997
(I,iOO)
(1,720)
(lJ83)
(576)
824
421
6.424
(5.179)
1245
TOTAL FbNDS
448.277
(437.106)
Pagell
continued...

REHOIIIF. REPURPOSE
tes to the Financial Statemen
tontinued
for the Period
Mav 2024 to 31 Mav 2025
10.
MOVEME]YT IN FUNDS- CODtiDu
HousiTrg Plu5 - This wt was received for specifi¢ expenditure namelv clothing rails. priee sti¢kers. signage,
computer softwaT¢, advertising a￿a leaflets.
Seyern Trent Recycling Edu¢ation Project - This grdnt W&8 received to fund Tnarketing materials: a marketing
manager and a recycling educathr for a }'ear
Ewrade of
RehoTne Repurpose LED Lights - Fiindints received frorn Staffordshire County Council iowards the UP¥
lighting within premises used by Rehome Reputpose to more efficient and cos( effective LED lighting
Rehome RepuTP05e Repair Cafe
Funding received froln the Community Foundation for Staffordshire and
Shropshire towar(ts costs for ihe Repair Cafe projeci
RELATED PARTY DISCLOSURES
There were no related paty transactions for the period ended 31 May 2025.
12.
ULTIMATE CONTROLLING PARTY
The ultimate controlling party of the charity is the Board of TDJstees.
Page 12

REHOME REPURPOSE
Detxiled SÉatement of Financial Actil'ities
r r the Period 22 fvla
20?4 to 31 Mav 2025
INCOME AND ENDOWMENTS
DonatlODS and legaei
Donations
222,153
Other trading attivities
Shop income
219,699
Investment income
Deposit account interest
Charitsble activities
Grants
6.424
Total incoming resources
448.277
EXPENDITURE
Other trading aetivities
Purchases
Conynigsion
Closing siock
222,155
6,307
(6.S54)
221.908
Ch2ritable aetivitie5
Social >ecurity
Pensions
Postage and stationery
Grani expenditure
Grdnts 10 insiitutions
171,159
793
1.648
743
2,123
12246
188,712
Support Costs
Management
Insurance
Telephone
Sundries
2,119
84
IJ36
3,$39
Finallee
Bank" charges
1.023
Oiher
Rent, ra￿$ and water
18J90
Governanee eosts
Accountancy and legal fees
3534
This page does noi fomi part of the sth￿tory financial ststements
Page 13

REHOME REPURPOS
DetxÈled Statement of FinaMci81 Activities
for the Period 22 Ma)" 2024 10 31 Ma
2025
Total resources expended
437,106
Net incorne
11,17J
This page does not forni part of the stat￿ory financial thtements
Paoe 14