UCHFIELD MUNICIPAL CHARITIES
R•gl8tered Charlty Numb•r. 264299
FINANCIAL STATEMENTS
YEAR ENDED 31 DECEM8ER 2025
Dalns Audh Ltd
Ch4rt•red A¢¢ountants
2 Chambèrlain Square
Paradls¢ Clrcu•
Bimlngham

LICHFIELD MUNICIPAL CHARITIES
INDEX TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDEO 31 DECEMBER 2025
PAGE
1-3
Annual
Independent Examine￿ Report
statement of Finar￿￿•1 ActNitk?S
Balon￿ Sheet
Notos to tne Accoun1$

UCHFIELD MUNICIPAL cHAR￿lEs
ANNUAL REPORT
FOR THE YEAR ENDED 31 DECEMBER 2025
R•f•r•n¢• and #dmlnlstr¥tlv• InfDrnutiI)n
The Chanty trustees ￿ serveo ourtrrfj ts yeai tt*14w*nting bodwore..
C P Eam$h8W
K R Lom8S
H Ashton
C 9all
JHFOX
W M Hen￿￿
E Ne%￿Uld
C. Piiidei-smith
E L KavAing
T J Roach
J Russdl
8 $¢halor
N G SedgNM
C R Stok•s
D J Sullivan
Vic• chairman
efiheio cry
thfield Cty CtyJnLxI
Ll￿fip.Id r.ity
Ctroptstsve
Ctroptalive
Ex￿ffi￿O
CtroptobY¢
C(wtsli¥e
Ctsopt•tyv•
Ex-offic40
Cwplalive
Ctroplabva
awynted 14 May 2025
aF*K¥li1￿ 4 202
èyr*ed 14 May X12S
apwM804 Mwcn 2025
Prfnclp•l AddrnB•'.
.$ R.IHm*s
c￿[￿ Lthfi•kl Mur￿paI Charili•s
Bank HtyJse Farni
Yoyall
.8iaffs
L)E13 8NR
W•b•lt•'.
R8gllterod Charlty No: 254299
CAF Bank Lttl
25 King$ Hills Aven
Kirys Hill
Wesl Malling
MEl9￿c
Prlnclpg18•Dk•r•:
Ind•pend•nt Examln•r: M Gumey F¢CA DChA
Of Dains Auott Lt¢J
Chartered AcccMJntwits
? C.litiiTiitslain Soujre
Paradise Circus
Bimiingh8m
B3 34X
Inv••trnwitAdviw•.' RBC Brèthn Ddptiiii
6th fioor, Tho ChO￿n Bulldlng
81. Cdmore
8imiinghAm
83 28A
Page 1

LICHFIELD MUNICIPAL CHAR￿lEs
AIYIYUAL REPORT
FOR THE YEAR ENDED 31 DECEMBER 2025 (Co￿TINUED)
Report of th¢ Trustees for tbe yujr 31 Dtcemb¢T 21125
The mi8tPe4 PTr*£nt the￿ tewrt along with the linancial ststements of the Charity f(Ir the year ended 31
Dc¢¢mE¢r 2025. 1.he fmancial sta*ments have becn in a¢￿dance with the accounting policies
sd out on pgge 7 Comply with the Charity Commission ScI￿ne. the Charities Act 2011
Accowiting and Rcporting by Lhanties.. Ststemeni of RecommendLYI Pi￿li(¢ appliuble to chariti¢S
pr¢parll￿ their accoun￿ In accordanL¥ widj ai¢ Fina￿la] Rcporting Sthndord applicable in the UK gnd
RepllbliL Vfhrl￿ld cff¢¢tiv¢ l January 2019.
Strn¢ture, fynvprnathce M*llag¢me•t
Ilistory. Obj¢¢tives And AetiYili¢s for ihe Publk Benefft
Lichfi¢ld Municipal c.harities was established in 1654 &nd is now r¢gulated by a Charity ComTni%yion
Schemc which was 3¢aled on 24 September 1982. The Ch8rlry 15 an unitJLx>iyuiated ass￿latio1). Thc
Charity do¢s not a¢tively fundraise and seeks to continue its philartthropic work through the care￿1
stewardthip of its existin8 rtsourc¢s.
Following ihe rem￿1]l[l& projxi. which was completed durth8 2022, Licbfield MwiicipAI C.hyritie5 n¢)w
QJi)Pli3¢s hv¢lv¢ Almthous¢s known as Williwn Lunn Homp4, wliich aT¢ Situated in Li¢hfi¢ld. All are
suit4ble for Couples. The Alm%hiTrw%o ar¢ availablc for o¢curAtion by poor inhabit4Dts of the c.ity of
After payin¥ the ¢osts of mointaining the prop¢ty and expenses irtcldenial To the a(kniiiistsoliuJi of th¢
Charity. any surplus Is available for the rellef of Tre￿1. ¢itti¢J ¥¢iKially or individually ol. pèrso￿￿ re6id¢nt
in the srea of ihe formeT Ciiy vfLi¥lificld as ¢onJtitui¢d on 31 Mw¢h 1974.
MAn*gement •nd Govern*nee
Fiillvwiiig an amendm¢nt durin& 2013, th¢ Scheme provides for rhe Arv)inimriii of 14 tn]stec3. 1 ¢x-
ofticio, 3 nomitiative and 10 CL￿p1111¥e. The ¢XvOtrJcio trusie¢ is th¢ Mayor ol'the Lity of Lichfjeld. The
three nominati¥¥ ¢nLSttts are appointed by Lichlield Lity LowKil. Nomlnailve TrnSTe&% b¢TW¢ fui a y¢J'iod
of four vcars. Lo-optalive ttN$tees setv¢ for 4 period iyffive years. New ¢o-OPthtive tnJstee5 Are identified
from people within the I￿al Community who have the skills and inieresi anil Ore ￿p￿IllIl￿a by
th¢ remaining tnJgtce$.
The iiidu¥liuJi pioc¢Js for any n¢wty Oppoint￿ comprises in iniiixl rneetin8 with the board of
tru$t¢¢5 Ot whi¢h an inforn)ation pack is pmvi¢ltxI. 171is in¢lud¢s a copy of the ioveming document, a copy
of the mngt re.Leiil annual rcport and accounts, copy mwutes of previous rrustees. meelin¥5 aiid a copy of
the Churity Commission Guidan¢e'Th¢ E$sential TTuslee' and 'Charities and Publi¢ Benefit,.
Th¢ trusie¢s normally meet four times * year to ¢onsider the C.harily's affairs and as and when appropriate
the broad strategy 2nd area of aLlivily fvi Charity, including wngideratiOD of 8rwt mHkin8.
Inv￿1111r1l1J. itsrrw¢s and rijk mon4gement policie6 4nd perfonnance
The chArfty hxN fiJriii¢d a Ptop¢rtY Sub Committee ¢ompnsin8 BLY trustees, etectd 3mn1￿lIy. and d¢l¢gated
to it, within certain financial paramet¢TS, authority tlj LxJmmi55ion and overs¢e rcfiubishmenL r¢placemeni
and renov81Lon work5 at William L￿￿S Ilom¢s.
The day io day adminislrali￿ ijf the Chtitity is dekgated to the Clerk.
Risk Review
The in]%teES hdvr rA￿lillia the rnijor tnt¢rnul ond eKt¢mil risks which the Charity ￿ld confirni that
JyJtGm3 hav¢ been v¢Ablished to minimise these
Grant m¥killz policy •nd pro¢ed•res
The Charity is w'ell known in the City and invites appli¢Ations from ￿diVIdUalS artd organisaTlons. EaLh
dpplicatlOTI l5 consid¢rtd on its 0¥￿ m¢rits.
Grant application fornjs are avallable Uir Cluk whose addrw 13 3hoMm on page l or from the
website. www.lic
unici

LICHFIELD MUNICIPAL CHARITILtr
ANPIUAL REPORT
FOR THE YEAR ENDED 31 DECEMBER 2025 (CONTINUED)
Achievemtttts and Perforni*Dce
During the year exterior groundworks and l&)dscaping have taken plx¢ to improve the resid¢nts' gardens
and paths. The work has t¢en funded partty from occn]ed income a￿1 pwLly from a bequesL for which th¢
charity wL% grat¢ful. from th¢ I￿£ Robert (h¥en.
Other eharilHhle. ￿.￿￿nditute during the yew totalled £19.849. A detsiled bre•k¢k>wn of this figure 15 8iven
not¢ 4 10 the a¢¢ounts.
Fln*D¢ig1 Revlew
Inv¢strneDt Pvll¢y *nd P¢rforni*n¢¢
The Charity dtrives its income from its TM>rtft)lio of investments and a small holding Of land. The
inv&qtsnent portfolio is managed by ex*nMI fiujd managers on a discretionary basis ￿ ￿h]eve a balanced
reNm from tncom¢ and capital groth by acttoing a moderate level of risk. The inv¢stment portfolio
8erterai¢d a total return of I1.08Yo net of f¢¢5 over the wurse of th¢ year.
This Compares with a return of 14.31% for the RBC Brewin Dolphin Cat¢Bory 6 tnd¢x and 9.3 Ib/o for the
ARC Sieady Grothth index ov¢r the 5am¢ period.
The ¢rustees rntsnitor the t¢rforn)ance ofthe futKI th a qu￿ttrty b95iS.
Re#rv¢s Polley
Chariry funds ai 31 t)ecember 2025 tothlled £3.102,540 and comprised pernanent endowment £2,180,511,
extraordmary repatrs t]￿d £141.028 aii¢J wu￿￿li1£d r¢Jerv¢s £781.001.
Til¢ tsust¢¢3 aim to mttinlain Juch r¢s•rves *$ ￿ Theeessary fnr ihe. fithjre ￿1r. tmprovem¢Dt and
refurbishment of the Almshouses fman¢e workin8 C8Pital requirements.
Publle Benefit
The Trustees confirni th¥41 they have referred to the guidance contained in the Clwiry Commission's
general guidance on public benefii when revi¢win8 the Charity's aim5 And objectives and in plAnnin8
iu)d 5eiiing their grant makin8 policy for the year and have complied with their dulles under the
Charities Act 2011.
Trustet$' R¢$pon51bllltie5 In Rtl4tlon to tbe FiD*nel*l St*ttme•ts
Law applicable to ¢hariiies in England Wales requlTes the I ru51ees io pr¢p¥re tlnanLi#l s￿￿111￿¢1￿ fur ¢ath
fmanci31 year whi¢h give J true and fatr vlew of th¢ Cliwiiy'J fLfJAn¢ial 4ctiviti¢J durin8 th¢ y¢ur tsttd of its
yvsilivii a¢ th¢ ¢nd of th¢ ycw. In prtporing those fina￿1*1 st#temenls. the. Tnjstees ire required
select suitable acwunting policies and then apply them con$isl¢ntly•
obs¢rve the methods and principles in the Chariii¢s SORP-
make judgements and estimate5 that are reasonable and prudent.
state whether applirable accouniin8 5tanil8rds hav¢ been follow¢4 subjert to gny material
departur¢s disclosed and explained in the fin￿￿18] ￿￿teMents.
prepare the flnancial slatements OD the going ¢ortern iusis unless it is imppropriate to pr¢sume
that the Charity will continue in b￿lneSS.
The TnL5tee5 ar¢ respon5ibl¢ for kecping accounting records which dis¢lose with wsonable oc£uracy at
any time the finaneial position of the Charity and enable them to ensuT¢ that the rtn8ncial ststernents
Comply with the Charities A¢t 2011. They are also resy)nsible for safeguarding lh¢ assets of the Charity
and hence for taking reasonable step5 for the preven(ton aJbd detection of fraLKI and other irT¢&uiaritie5.
Approved by the Trumees on 24 MaT¢h 2026 aTbd si8nd ￿ their bcho]f by.. C P E•rnshaw

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
UCHFIELD MUNICIPALCHARtTIES
I report lo the ¢harty trustees on my eXaMina￿n of the ￿coUnts of the charity for the y¢ar
ended 31 December 2025 are set out on pages &9.
R•sponslbllltlo¥ and basls of report
As the charity's trustees you are responsib* for the Preparnttr￿ of the xcounts in ac£ordance
wrth the requirements ol the Chant*s Act 2011 Acfl.
I report Sn re$pect ol my examination of the chartls accounts Carn￿ out undèr section 145 of
the A¢t and in ¢affwng out my examinal￿)n I have follcNMd all th8 appI￿abl* Dire¢tions gNen by
the Charity Commi$sK￿ under SeCt￿n 14515llbl of the Act.
Ind•p•ndont •xamln•rf8 •t•t•rnent
I have completed my examinatKJn. I w)firm Ihgl no malwi81 mBttws have my attontion
in connection wrth the *xamin8tion gmng me cau¥• to beli￿* that in any material respect".
1. 8ccounling rocords not kept in ofthe d￿nty as required by 8ectw 130 of the
Act". or
2. the xcounls do not wrtn th088 record8', or
3. the account$ do not ¢ompty with the ¥¢eounting rnquiremenls ConceMN￿ tho fomi and
content of accounts sel out in the Charit￿$ IA¢counls and Rep)rtsl Regulat￿n8 2008 othor
than any requirement that the a￿OUnt5 give a Irug and f8ir vith¥' vknKh is nol 8 matter
considered as part of an independent examination.
I have no concems and have come xross no other m¥tterg in ¢onne(*ion with th¢ oxamin¥lh?n
lo which attèntion ¥houkY be drawn in this report in order lo anabL* a propèr understanding of the
Account• to b• r•gch8(1
M Gurney FCCA, CClb4
of Dains Audit Ltd
2 Chamberlain Squar
Paradise Clrcus
Birmingham
B3 3AX
March 24. 2026
P•3è 4

UCHFIELD MUNICIPAL CHARITIES
STATEMENT OF FINAJ4CIAL AcnwnES
YEAR ENDED 31 DECEM8ER 2025
Inwn• Extrnordinary Endowment Total
Fund
Repairn Fund
Fund
2025
Total
2024
InGome and •ndowments from..
Charitabl& artiviti*s
Maintenance eontsibukjns rK*vable
73,2eiJ
73,Z¢dl
62,246
Investm￿15
Income frorn listed investments
Deposrt inler88t and similar incx)rne
Rental in¢ome
49.
1.481
57.993
1.481
58,750
679
365
Other dCrnt￿n
Totsl
124.229
133.134
122,040
Éxp•ndlturn on..
Alrnshous¢ running ¢ost5
Other thtyntoblc oxponditur•
Invft%tm8nl manaoernent ¢harqe$
lfisuranc* etc re18nd 8t Damf￿d
Cbrk's salary
Independent examiners fwi
Sundry exp8ns•6
Depre¢iallon- Solar p8r*l$
Total
245.391
11) R49
2.397
245.391
19,849
11.455
47.933
11,796
11,287
1.214
17,411
17.411
3.094
1.878
4.003
303.465
18,750
2.940
1.803
4,003
08,858
1,878
4,Crf)3
294.407
1.214
Galnslllo&w51 on Investment$
io
28.Cfj6
20,574
113.822
162.462
N•t Incorn•ll•xpgndltur•l
1142,112}
28,265
105,978
17.8691
132,554
N•t movement In lun
1142,112)
28,205
105,078
17.869) 132,5S4
Recon¢lllatbon of fund8'.
Total luThJs brougm forward
fJ.113
112.783
2,074,$33 3,110.4oa 2.977,855
Total lund• ¢•th•d forw•nl
781.￿1
141,028
2 180,511 3.102.540 3,110.409
Pagg 5

LICHFIELD MUNICIPAL CHARITIES
BALANCE SHEET
310ECEMBER 2025
Income Extraordinary Endowment
Fund
Repalrs Fund
Fund
Total
2025
Total
2024
Flxed Assets
FreehOIO Land ana Bulldlng5
Pan*ls
Inve$tment ProF4rty
Ltsted Investments
680,000
,565
29.339
33.342
7,5
7,500
7.500
144.704 1,501,820 2.079.609 2.C60,087
144.704 2,189,320 3,081,013 3,Cfj5,494
29.339
10
433.085
746.989
Current Assats
Debtors
Baknces al Bank..
Deposit
Current
Total current 488•ts
11
6,899
7,917
34,046
1,099
43,009
44,771
2,628
55,316
12,233
53.178
4,376
{3.4111
6,758
16,758)
uabl1￿1
12
Credrtor$.' Amounts due W￿1h1n 1 year
N¥( ¢urr•nt A•••ts
19,186
34,012
265
(3.8761
2,051
18.8091
21,482
21.527
10.401
44,915
Net Assets
781,001
141,028 2,180.511 3,102.540
Th• funds ol th• charlty:
Permanent endrywmènt
EAlr8ordinary r•pairs fund
Unre51ricted incomg funds
2.180.$11 2.180,511 2,074,533
141.028
112,763
781.001
923.113
141,028 2.180,S11 3,102.540 3,110,409
141,028
781,001
I hèse Ilnancwi $￿teMeNt¥ wrtrp approved by th¢ 8¢ard d Tru8t•gB on 24 MAreh 2026 and 8iontvA
on their b•haff by..
C P Eamshaw
K R Ltynag
Page 6

UCHFIELD MUNICIPAL CHARITIES
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER ￿23
1 Accou￿ng Poll¢l
Basis ol Accoun*rKJ
The finanaal ststements have been prepargy in accordarte*Titi Accwntir*J and Rwhng
by Charibes Ststemgnt of Recommended pra{￿￿ aFPl￿Ne to d￿nt￿e5 preparing thwr
acthun¢e in accordancè tht FinArrial Re￿rb[Vj Stsndard aQtyicab￿ In the UK
RepU￿le ol Ireland IFRS1021 offecthve 01101r2019. the Finanaal Rep)rbrrfJ S¢8ndard
splicabk in the UK and IrdaThJ (FRs1￿2) and thè Chanb¢S Aa 2011.
The thonty coN6trtuts8 a tenefft entty as d8fin&J ty FRS 102.
InarKsal $tatemwrt$ C4)M￿ wlh FRS 102.
finand81 ¥tatement$ ha￿ bew y•par8d undw the hist(￿￿ ojst cuw¢nts"on *ith items
r4eognised at cost or transa¢av) value urA•ss 6tatéd.
b Fwhold Land and Buil¢YITrJs
Fffjehold Land and BuildiThJs are irWudod at ts'r r•nslattmwrt inwrarte purp)ses
•s at July 20J4 %%ith remc*Jelling refuthshment o)sts Iwwj wnc? that dale Ir￿ud￿l at Cost.
c Invesrnern Pruwly
Investrn•nt prop•ty h8$ valijthj by ts tnotees at cw markot vrJ￿ to exi5b.ng
u$•.
d Invesimenis
listed investments ar• $t•ted at m8rkel
• Funds
The Income fvnd comprlw thow the tru#•e8 freo to irt xwdanc• th8
¢hanl8blg obJ'ed$
Th$ permanènt endownert repr•8ents ttth• 8S8et8 must te W permanontty by th• C￿ty.
In¢cYne arising on me enoo*meni fund Ldli LK uaed in •wdon¢¢ Iho objèct6 gf thanty
rid is Indu4od as unrestn¢t￿ ineemo Any captsl gain$ y￿S1n0 on the investrnents
fom p•rt nf IhAt luThJ. Investsnent manwent charges rdaling to the ￿1nd are charged again$t
that fvnd.
The exlracydinary ￿paIrS fund is a de$9nai•d r•wN• v*fvch rtyosenb #M￿nts Set asth to C4rry
out major rtpairs on th• freehdd b￿kJi￿Js
2 Incom• from Ll•tgd Imie•tsn•r)ts
In 2024 Incfjme fr￿ listed Investments totslled £58.750 £53.792 rewosentgj unresth¢tsd
income funds and £4.958 ￿presented the extraordthary ￿p￿lS lund
3 Alm8hou•e RunnlrwJ c￿ts
2026
2024
Insurance
Garcjen maIrn￿￿1￿o
Cxtenor groun(￿￿rkE landscapi
Water. CcNJnol Tax and Elethc
Lifeline and Smoke ALgmi System
Repair5 and Renewds
Atherkn51ng
maintenan￿ of sdar pands
Sundry Expenses
1,759
5.231
201.754
3.102
1,704
6.342
373
34.201
27.
2.138
1.091
47.933
245.391
Pag• 7

LicpfFIELD MUNICIPAL CHARITIES
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
4 Other Charitsble Expondlture
2025
2024
st Hospti
Curborough Communty Aswi4t￿n n.ln
Fnolish Lanouage Schwl {Wr￿en back in 2025)
Grants to 27 Ind￿luals<2o24- 151
{1.2601
15.609
19,849
8,036
11.798
5 Inv•stment managem•nt charg•s
In 2024 the expenditure on In￿stMent management Charges Idalkryd £11.287 01wh￿h
£7.618 was from the endowment fund, £616 frthn the extr•ydinary repair fund and £3.053
frorn unreslrided incomg funds.
6 Trust￿$ R•mun•ratlon and Exp•nw and R•lat8d Pany TranBaGtSons
No rgmuneration directty or indireGtty out ol thtr funds of the Charty was paid or payabkn f
the yearlo any tru¥l•e or to any person or person$ kn(wm to bè conrne¢tod wth any of them.
An Annual Dirtn•r wa5 héw for trustè8s al 8 ¢OSt 01 £79512024&591.
Nn ftxpanses wer¥ paMI lo anytrustee during the year.12024- nil}
7 Frmhold Land and 8ulldlng•
2025
2024
12 8ungalow$ known a$ William Lunn$ Homos
Al 1 January 2025 and 31 De￿ber 2025
964,565 W.565
8 Sol•r Panel•
2026
2024
At cost 1 Jgnijxry 2025
Addrtions.. Battery storage
Cost 31 December 2025
40,036
26,911
13.125
40.036
40,036
Oeproc5ation at 1 January 2025
Depreciation ch8rg• for the yoar
O¢pr•ciation at 31 Decem￿￿[ 2025
6.694
4,C¥)3
10,697
2,691
4,003
6,694
Net bwk value at 31 December 2025
29,339
33,342
The solar panels ond asscKiated batteries are beiThJ depre¢iat&J a110% on a $lratght line
basis.
g Inv•*tm•nt Prn￿rty
2025
2024
Land at Damford-Al 1 January 2025 and 31 Decemt•r 2025
7.500
P49e 8

LICHFIELD MUNICIPAL CHARMES
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
10 List•d Inv￿lmOnts
2025
2024
siea UK Invesiments
Investmtsnt Portfolio Coch
2,03rf,916
44.693
2.079.609
2.038.780
2.060,087
In¢¢Th Extraordlnory Endowm•Tht
Fund
R•p•lr4 Fund
Fund
Tt)tsl
2026
Totsl
2024
Invg$tments held at 01.01.25
Additions 8t cost
Disposals at carryiThJ value
Add nel gainlllossl on rwaluabon
Investments hold at 31.12.25
542.685
77,256
1222.7281
28.Cfj6
425,279
103.987
101.354
184,1711
20.574
147.744
1.392.088
153.393
1197.4101
113.822
1.467.893
2,038,760 1,940,480
332,003 375,936
1498,3091 1385.0281
162,462
107.372
2.034,916 2.038,760
All investrnenls are quoted on the London sir*k Exchangè and ar¢ carried at their market value.
Asset s818s and purehases arè recogni$ed at the date of trad8 al cost (that is Iheir transacti￿ valiAI.
RBC Brewin tk*lphin ￿Mrted prowd& o discrÈts)nary man•3omern Semc
11 D•btorn
2026
2024
Malnltnance Conthbutions Recthvabl•
Other Debtors and Prepayrnenls
Inve$tm•nt Incomé
1,391
1,375
337
1,315
7,864
7.917
12 Cr•dltor¥
2025
2024
Creditors and acwed eX￿n
Grants payabl8
21.482
9,141
1,260
10,401
21,482
P•mianent tndwment
Exlraordsnary repaits f¢Jnd
Unrestricted income funds
2,051
26S
19.186
21,482
1.952
157
8.292
10.401
Pggp. FJ

LICHFIELD MUNICIPAL CHARITIES
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
13 Anatysls of Not Assets BetW8on Funds
A¢cumulat•d Extraordinary Endowm•nt
Inci>m¢ Fund
Repalrs
Fund
Fund
Total
2024
Flxea A$s￿S
urrent Ag3ets
Current Liabilrties
Fund Balance
870,519
111,995
925
157
112,763
2,082.980 1 C65.494
16.4951
55,316
1,952
10.401
2,074,533 3.110,409
8.292
23.113
14 Futur• Commltm•nt
At 31 December 2025, there was a cLynmitm8nl for Lind￿Ping totalling £12.198.
This 18 to be fingnced tr￿ the irKcwne fvrKI.
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