CHARrrY REGISTRATION NUMBER: 297275
Davld Solomons Charitable Trust
Unaudited Financial Statements
S April 2025

Davld Solomons Charitable Trust
Financial Ststements
Year ended 5 April 2025
Page
Trustees, annual report
Independent examiner's report to the trustees
Statement of financial activities
Statement of financial position
Notes to the financial statements
Grants payablo
Schedule of investments
12
17

David Solomons Charitable Trust
Trust8es' Annual Report
Year ended 5 April 2025
The truslges present th￿r report and the unaudited financial statements of the charity for the year
ended 5 April 2025.
Relerence and admlnlstratlve d8talls
Reglstered charlty name
David Solomons Charitable Trust
Charlty reglstration numb8r
297275
Prlnclpal offlce
22 Baker Street
London
W1U38W
The trustees
J J Rutter Ichairrnanl
Dr R E B Solomons
Mrs D J Huntinglord
Mrs C Boys
Mr A H Penny
Ms Z Solomons
Profesyional Advi$grs
The professional advisers lo David Solomons CharIt￿e Trust are as follows:_
Bankers
G Hoare & Co.
Solicitors
Forsters
22 Baker Street
London
W1U3BW
Investment Managers
JMFinn&Co.
25 Coplhall Av8nu8
London
EC2R 7AH
Accountant8
Ceris Evans FCCA
Parker O'Regan Tann & Co
Chartered Certified Accountants
Bangor Business Centre
2 Farrar Road
Bangor
Gwynedd
LL571U

Davld Solomons Charilable Trust
Trustees, Annual Report {contlnuod)
Year ended 5 April 2025
Structure. governance and management
The charty is conlrollod by ils goveming document, a deed of trust dated 24 June 1986, the settlor
being David Edgar Bethel Solomon8, acting by Anne Josephine Shipp. the Deputy Prlncipal ol the
Management DI￿s1on of the Court ol Protection. a Supplememal Deed dated 21 March 1987, as
amended by an Order dated 12 November 2004, as arnended 3 March 2005, 2 March 2020. and 28
October 2022.
The Irustges who have seNed during the year and since the year end are 8et out above. The
Managing Truslges hold three meetings a year lo consider grant applicallons and decide on grants
payable. The Managing Trustees are also rosponsible lor the management ol the Trusl's inveslmenls.,
henceforth the Managing Trusle&s wlll be referred to as thg Irustegs.
Objectlves and actlvltles
The trustees have wde discretions which they exercise by givirrtJ grants lo charitable organisatsons
providing servioes or other benefits to persons suffering from learning difficult￿s.
Publle Benefit
The trustees have complied wlth their duty to have due iegard to the guidance on publlc benefit
published by the Charity Commlsslon.
Achlevements and performan
Th8 charity has continued lo benelil that section ol the public suffering from learning difficu￿les. It has
done so in a wide variety ol ways by SUPPDrting a diverse number of organlsations both loc￿ and
national working IOT the bgnelil ol those with learning drfficutties.

David Solomons Charitable Trust
Trustees, Annual Report (contlnu•d)
Year ended 5 Aprll 2025
Flnanclal revlew
The allached financlal sta19ments show the currenl stale ol the financgs of the Trust.
TransaGtions in investments durlng the yaar are detailed on the schedulè on pages 17 10 18 01 the
accounts. Investment rnanagemenl lees amounted to £23,91612024'. £23,227).
Income Fund inveslmenl incorne foi the year amoun18d lo £81,30412024.' £84,445).
The Irusl made 104 grants during the year tolalllng £89,35212024'. 108 grants tolalling £91,686) as
detailed in th8 notes lo the financial statemenls on pages 12 10 16. The Irusl has continued to
oncentrate its support on chariii&s which benefit those with leaming difficulties. Downs Syndrome
Association rec8ivgd a grant of £10.000 from the Capitd Fund, 1.9. Ihg Er￿QWment fund. All olhei
granis ranging from £500 to £1,000 were paid frorn the Income Fund.
Inveslmenl Pollcy
Th8 investment policy adopted by the Irusl99s Is lo maint￿n both the capital value and income yigld ol
the Trust porttolio in real terms, wth moderate exposure to risk. J M Finn & Co act as investment
managers under th8 terms ol a di8cretionary agreement and their performance is rnonitored by the
Iruslees on an ongoing basis.
Reserves
The Iruslees, policy has been to spend all available Income on grants. The trustees conslder all funds
to be unreslricled and grants from the capital fund are made il a specific nèed arises. The trustees
have made a three year commitment lo certwn organisalions but do not consider it necessary to keep
a specllic reserve for this purpose.
Risk Management
The Iruslees have rewewgd the risks laced by the charity and have implemented systems to miligalg
these risks. In partlcular, tho trustees conslder that the primary risk is a fall in the Charity's income. The
risk has be8n mlligaled by adopting a suf(able Investment polley. All the organ5sations whlch are given
granls are themselves registered charits'es and the risk of misappropriation ol funds donated is
minimal.
Trustees. responslbllltles statement
The Iruslees aro Tesponsible for preparing Ihe Irusiees, report and the financial slatgments in
accordance wrfch applicable law and Uni18d Kingdoffl Accounting Standards Iuniled Kirodom Generdly
Accepted Accounting Practs'cel.
The law applicable lo chariti95 in EnglaThJ and Wales rèquires the charity truslees to prepare financial
statements loi each year which give a true and lair view ol th¢ slalg of affwrs ol the charity and of thg
incoming resources and application ol resources, ot the charity lor that period.

David Solomons Charilablo Trust
Trustees. Annual Report (cortlnwd)
Year onded S April 2025
In pveparing Ihèse fmancial statements. the trustees are required to..
$81ect suttatlè a¢counling ￿￿cleS and then aFpty them consistenlly,.
ot6erve the methods and Principlgs in the appI￿able Charitigs SORP"
make jutyients ar￿ a(xounting estKnate8 Ihat are rea90t￿￿￿e aThd pr￿d￿L
stat8 whelher aFpli¢atAe UK Accounting Standards have t>een followed, s￿leCt to any Mat￿la1
d￿artureS disck)sed and explaln&J In the ffinanCI￿ statements..
prepare the finan¢ial statements on the goiTrJ cor￿eM basis unles8 It Is InaFfxopriate to wesume
that the charity will continue in business.
Th8 trustees afe resFonsiblè for kwing ad￿uate accounting I￿ords Ihat are 8ulli(ient to show and
oxptain the ¢harWs transaclions and rfisclose reasonable accuiacy at any time tho financial
Fosilion of the charity and enable them to ensure Ihat the financial statements comply the
Charilies Act 2011. the wlKable charit￿ {Accounts and Reports) Regulations, and the ￿0VisiOnS ol
the Trust Deed. They also responsljle for saf¢guaTding th• asséts of the ¢harty and henc6 for
taking reasonablo steps for the prevent￿)n and detection of fraud and other iriegularities.
The trustees, a
al report was a[vrov￿ and syned cm behall of lh8 board of trustees by.
J J Ruttgr {Cha￿man>
Trustee
Dato approved by trustees:
11- a* Ita25

David Solomons Charilable Trust
Independent Examlner's Report to the Trustees of Davld Solomons Charitab18
TNSI
Year ended 5 Aprll 2025
I report to the trustees on my examination of the financial slatem8nls ol David Solomons Charitable
Trust I'lho ¢harityl for the ygar gndgd 5 April 2025,
Re¥ponslbllllle8 ond ba818 ol report
As the charity's trustees ol Ihe Company land also ils dIre￿or$ for the purposes ol company lawl you
are responsible for the preparation ol the accounts in accordance with the requirefflents ol the
Companigs Act 20061'lhe 2006 Act'l.
Having salisfled myself Ihal the accounts of the company are not required lo be audited under Part 16
ol the 2006 Act and are eligible lor independent examination, I report In respect ol my examination of
your charity's accounts as carried out under Section 145 of the Charities Act 2011 I'lhe 2011 Acl'l. In
carrying out my examination I have followed the Dlrèclions given by the Charity Commission under
section 145151 Ibl ol the 2011 Act.
Independent examlner's statement
I have complèted my exarnina1￿￿. I confirm that no matters have come to my attention in connection
with the examlnation glving me cause lo believe..
1. Accountlng records were r￿t kept In re8peet ol the Company as required by secllon 386 ot the 2006
Act., or
2. The accounts do not accord with Ihosg records.. or
3. The accounts do not comply with the accounting requirements ol section 396 01 the 2006 Act olh8r
than any requirement that the accounts giv& a 'true and lair view which is not a maller considered as
part of an indep8rKlent examination.
I have no concerns and have come across no other matters in connection wlh the examination io
which attention shoujd be drawn in this report in order lo enable a proper understanding of the
account&
o be rBached.
r Ceris Evans FCCA
Independent Examiner
Parker O'Regan Tann & Co
Bangor Business Centr8
2 Farrar Road
Bangor
Gwynedd
LL57 1 LJ

David Solomons Charltable Trust
Stalemenl ol Financial Actlvllies
Year ended 5 Aprll 2025
2025
Unrestricted Endowment
funds
funds Total funds Total funds
2024
Noi0
Income and endowments
Inveslment inc0rn8
81,304
81,304
81,304
84,445
Total income
81,304
84,445
Expendlture
Expenditure on raising lund8'.
Investrnenl management costs
Expenditure on charilablg activities
Total expenditure
123,9161
123.9161
123.227)
112.2421
196.6721
198,6841
136,1581 1120,5881 1121,911
184,4311
I84,￿1)
Net Ilossesl1g￿ns on investments
13361 {125,7561 1126,0931
21,328
Net expenditure and ngt movement In
funds
13,4631 1161,9141
1165,3771
116,1381
Reconciliation of funds
Total funds brought forward
Total funds carrled forward
34,919
2.578.432
2,613,351
2,447,974
2,629,489
31,456
2,416,518
2,613,351
The slalement ol linancial activlties includes all gaills and losses recognlsed in the year.
All income and expendtture dorive Irorn continuing activities.
The not9$ on pages 8 to 11 form part of thès• flnancl•l ¥tstgmpnls.

David Solomons Charilable Trust
Stalement of Flnancial Posilion
5 Aprll 2025
2025
2024
Flxod 8s8ots
Invesknents
2,438,866
2.603.017
Currnnt a$80ts
Debtors
Cash at bank and hand
10
653
15.205
14.668
14,668
15,858
Crodllorg: amounts falling due wlthln one year
Net current as8•ts
11
5,560
9,108
2,447,974
2,447,974
5.524
10,334
2,613,351
2.613,351
Totsl assèts l•s• ¢urr•nt liabllltles
Funds of the charlty
Endowm￿1 funds
Unrestricted lund$
2,416.518
31.456
2.578,432
34.919
Total charlty fund#
2,447,974
2.613,351
These linartial statemants were awroved by the board ol trustees and aulhorised for i88ue and are
sign&J on behal
I the ￿8rd ty.
J J Rutter Ichawrnan)
Trustee
Date approved by trLtstees.'
12& th2
Th• notes on paggs 8 to 11 ft>rrn pan of ihg50 flnon¢lal stslfjmgnts.

David Solomons Charitable Trust
Notes to the Financial Statements
Year ended 5 April 2025
General Inlormalion
Thg charity is a public benefit entity and a registered charity in England and Wales and is
unincorporated. The address ol the principal ollice is 2 Highlield Road, Collier Row, Romlord,
RM5 3RA.
Slatement ol compliance
These financid statements havg been prepared in compliance with FRS 102, The Financial
Reporting Standard applicable in Ihg UK and the Republic of Ireland,, the Statement ol
Recomrnended PraclSce applicable lo charities preparing their accounts in accordance with the
Financial Reporting Standard applicable in the UK and Republic ol Ireland IFRS 1021 (Charitles
SOAP IFRS 10211 and the Charities Act 2011.
Accountlng pollcle$
Govgrnance costs
Governance costs include those costs associated with meeting the conslilulional and slalulory
requirements ol the oharity including th6 costs ol the preparalK)n and indep8nd8nt examination ol
the financial stalernents. Accountancy arKI indgpondenl exarninalion legs are lo be charged
equally as between eapital and income.
Ba81s ol preparation
The financial statem8nls have been prepared on the historical cost basis, as rnodilied by the
revaluallon ol certain financial assets and liabilities and investment properties measured at lair
valu8 through income or expendilLJre.
The fSnanci& slalements are prepared in sterling, whlch is the functionat currency ol the entity.
Invulmenl Income
Investment income is accounted for in the period in which the charity is entitled to the receipt.
Going concern
There are no material uncertainlies about the charitys ability to continue.
Charllable expendlture arKI grants payable
Charitabl8 expenditure comprises grants payablè. related adminislralion and management costs
and governance costs. Giants payable are recognised once they have beon approved by the
trustees and notilicalion sent to the beneficiary organisation. Grant8 made are added back to
general funds il the grant cheque has not been cleared wthin six months ol issue.
Judgement$ and key sour¢os of estlmatlon un¢ertalnly
The preparation ol thg financial statements requires management lo make judgements.
estirnales and assumptions that allgcl Ihg amounts reported. These gstimales and judgements
are continually reviewed and arè based on experience and other laclors, including expectations of
lulure events that are believed lo be reasonable under the circumstances.

David Solomons Charllable Trusl
Notes to the Flnancial Statements (eoyilinued)
Year ended 5 Aprll 2025
Accountlng poll¢lè$ leontltrJu•dJ
Fund structure
The capital endowment fund is an exppndable endowment and is unreslricted.
The income arising from the capital endowment is unreslricled.
Rgcognltlon ol Income
All income is included in the siaternenl of frnancld acttvities when the charity 18 8ntlUed lo the
income, il is more likely than not that the income will b8 recelved and the amount can be
quantified with reasonable accuracy.
Expendlture
Expenditure is rgcognised on an accruls basis as a liaknlity is incurred.
Flxed asset Investmenis
Inve8tsn8nl8 are staled al the closlng mid-mark8t value al th8 balance sheet dale. Any gaSn or
loss on revaluatSon is taken lo the slalemeni ol financial activities.
Investment Income
Unrestricted Tolal Funds Unrestricted Total Funds
Funds
2025
Funds
2024
Divldends from Equifjes and Unit
Trusts
UK Proparty Income DislribLrtlons
Forgign Dlvidends
ltherest from Fixed Interest Stocks
Interest from UK Unil Trusts
Bank interest reeeivable
33.647
6,531
19,278
10,656
10,591
601
33,647
6,531
19,278
10,656
10,591
601
37,441
5,977
19,102
11,196
9,905
824
37,441
5,977
19.102
11,196
9,905
824
81,304
81.304
84,445
84,445

David Solomons Charllable Trust
Notes lo the Flnancial Statements fGontlnv•d)
Year ended 5 April 2025
Expendlture on charllable actlvltles by fund type
Unreslricled Endowment Total Funds
Funds
Funds
2025
Grants payable in year
Administration Costs
Support costs
79,352
2,787
2,292
10,000
89,352
2,787
4,533
2,242
84,431
12,242
96,672
Unreslricled Endowment Total Funds
Funds
Funds
2024
GTanls payable in year
Administration Costs
Support costs
81,686
2,425
2,311
86,422
10,000
91,686
2,425
4,573
98,684
2,262
12,262
Analy81s of support eosts
Unreslricled Endowment
Funds
Funds
Total 2025 Total 2024
Finance costs
Accountancy Fee
Indgp8ndenl Exarnination
52
1,668
573
52
3,336
1,146
55
3,300
1,218
4.573
1,668
573
2,293
2,241
4,534
Trustee remuneratlon and expen888
The Trustees recèived no rernuneration or other benefits durlng the year.
Investments
The rnarket value ol investments at thè year end was:_
2025
2024
Equities
Flxed interest stocks
Cash on slod(broker capital account
2,079,908
353,054
5,904
2,191,422
404,817
6.778
2,603,017
2,438,866
A list of investment moverngnls and investments held al th& year end 1$ deiwled on pages 17 to
18. The cost ol the investments al 5 April 2025 was £1,795.13812024.' £1,963,394).
10

David Solomons Charitable Trusl
Noles to the Flnanclal Stalements feonithu8d)
Year ended 5 Aprll 2025
Analys15 01 movement of Investmen18
2025
2024
Market value ol Snv8simenis broughl forward
Movemenl on stockbroker capital account
Add.. purchases, accumulations and equali5alions
Less.. disposals
2.603,017
2.620,987
18741
12,2281
267,832
513,471
1305,3531 1551,6481
2,564.622
1125,7561
2,580,582
22.435
IL0881 I galn In year
Market v￿ue ol investments carried forward
2.438,866
2.603,017
10. Deblors
2025
2024
Incorne Account
653
11. Credltors: amounts lalllng due withln one year
2025
2024
Accruals and defgrr9d income
5,560
5,524
12. Analysis of net a8s01s between funds
Unrestricted Endowment Tol81 Funds
Funds
Funds
2025
Tangible IIx8d assets
Currgnl assets
Credrtors less than 1 year
Net assets
22,348
14,668
15,5601
31,456
2,416,518
2.438,886
14,668
15,5601
2,447,974
2.416.518
UnreStr￿ted Endowrnenl Total Funds
Funds
Funds
2024
Tanglbltr fixed assets
Cuirent assets
Creditors less than l year
Net assets
24.585
15.858
15,5241
34.919
2,578,432
2,603,017
15,858
15,524}
2,613.351
2,578,432
13. Related partie¥
There were no related paty transactions durfng the year.

David Solomons Charitable Trust
Year ended 5 April 2025
Grants Payable
21 Together
Aberdeen Day Project
Abllity Bow
Ability Dogs 4Young People
Abl8 Kidz
Accuro Care Services
Amy And Frlends
Aoiles Sensory Bus
Armonico Consort Ltd
A55151iV GIC
Autism 8edlordshire
Aullsrn pUz￿e$ Ltd
Ayr United Football Academy
Bag Brooks
8arking + Dag&nham
Barnet Education Arts Trust
Basingslok& Mèncap
Bird Aid
Birmingham Royal Ballet
aloomin, Arts Limited
Blue Apple Threalre
Blyth Star Enterprises Ltd
Bromley Mgncap
Camden Arts Cenre
Gamp Knak
Camphill School Aberd99n
Cann Bridgg School Fund
CASBA
Cda For Farnily Support Work
Ggnlral Cheshire Buddy Scheme
Certitude Support
Chattersense
Cherwell Theatre Company
CHIPS
Christ Church Academy Parent Teacher Assoeiation
Chrysalis Holidays
Cloverleaf Advocacy 2000 Lld
Club Tikva
Coactlvg Arts RIC
Crackerjacks
Crediton Cpngregalional Church
Cr0s5house Children's Fund
Crow-covenlryrecyclingofwaste
Dales-n-mates
DeslinaliDn Pond Meadow
750
540
1,000
500
750
500
1,000
750
1,000
1,ODO
1.000
1,000
1,000
750
750
500
500
500
500
750
500
750
750
1,000
1,000
1,000
500
750
1.000
912
1.000
750
soo
500
500
500
500
750
750
750
750
713
750
1,000
750
Balance carrSed lo￿ard
17,452
16213
12

David Solomons Charitable Trust
Year ended 5 Aprll 2025
Grants Payable
BJance brought lorward
17,452
16.213
Dingley's Promise
Dogs For Autism
Dogs For Good
Downright Brilliant Newry
Downright Excellent
Downs Syndrome Associallon (from Capilall
Down Syndrome Training & Support Service Ltd
Drama Express
Ea81 Kent Mencap
Eastleighyoulh+Communitytrust
English Touring Op9ra Limited
Enham Trust
Enrych
Euans Guide
Exelgr Gateway Centre
Exrnoor Calvert Trust
Fairfèld School
Famllles United Network
Flamingo Chicks
Friends + Families Of SpecSal
Frignds ol Ashton Secondary School
Friends Of 8radslow School
Frozen Light
Gartmore FIDA
Gareloch RDA
GaNald Edlnburgh
Gateway into the Cornfflunily
Get2gelher
Glasgow Group RDA
Guideposts Trust Limited
Handicapped Childrgn's 'ActiDn' Group
Happy Days Childrens Gharity
Hearts + Minds Ltd
Helpful Hounds Assistance Dogs
Helping Angels
HF Trust knmiled
High Hopes Riding
Home Link Family Support
In Touch I lfjds Unliad
Imaginale
Incredible Kids
Inlgrest Link Borders
Jessies Fund
Kids Care London Icamp Horizonl
750
soo
750
750
750
10.0(KJ
10,000
1,000
750
500
1,000
1.000
750
I,(KlO
750
750
750
750
1.000
500
1.000
1,000
750
500
500
500
500
1,000
750
500
750
1,000
1,000
750
900
850
500
500
500
500
750
500
1,000
1,000
Balance carried forward
44.702
40,963
13

David Solomons Charitable Trust
Year ended 5 Aprll 2025
Grants Payable
2025
44,702
2024
40.963
Balance brought forward
Launchpad ISWI CIC
Leeds Hospital Charity
Leeds Weekend Care
L&icesler College
Let's Play
Lewisham Speaking Up
felilies
Lighlyear Foundation
Linkable Wokirig
Liquld Listening
Lisburn Downtown Cgnlre
Little Hlccups
Llttl8 Treasures
Live Music Now SoLrth Wast
London Philharmonic Orchestra
London Riverside Church
Lunch On The Run
Magpie Danc
Me2Club
Musical Keys
Musically Active Dudès
Musicspace Trust
Mustard Seed Autism
Natural Ability
Nelghbourhood Networks
Newpalh ventures Ltd
Northdaje Horticulture
NDrthe¥n Butterfligs
Oak Tree Farm Rural Project knmiled
Open House Bedford
Open Minds
Open Story Tellers
Options lor knte
Orchard Hill College
Parenting Special Childrgn
Parents Supporting Down Syndrome
Park Lane Stablgs
Pennypil Special Needs
Pennyhooks Farm Trust
People First Lld
Perkisound Gharilablg Inc Org
Plus Forth Valley Lirniled
Positive Behaviour Support
Reach Soci& Foundation
Rett UK
750
1,000
500
1.￿0
750
1,01)0
1.000
750
500
500
1,000
1.000
750
500
soo
500
1,000
750
750
500
500
500
500
500
1,000
500
600
750
500
500
500
750
495
750
1.000
750
1,000
750
750
1,000
1,000
500
I,ooo
750
Balance carriod lO￿ard
59,302
58,208
14

David Solomons Charitable Trust
Year ended 5 April 2025
Grants Payable
2025
59,302
2024
58.208
Balance brought forward
Revilalise ResFMte HolidayB
Rockinghorse Children's Charity
Ros8endale Trust Limited
Royal School For Th8 Blind
Scampps In Surrey
Scotland Yard Adventures Centre
Scropton Riding lor the Disabled
SELFA
Sgnaid
Services for Education
Shine East Norfolk DSCT
Shine21 DSCT
Shooting Star Children's Hospices
Snowtlake School DSCT
Social Link GIC
Son5hine Club
Soundaboul
Southwark Playhous¢
Spaco 4 Auti8m
Space Cio
Sparkles (South Wales
Special Olympics Great Britain
Specialneedsenlerprisesnorfolk
Spectrum Gaming
Springboard
Squar8 Peg Act+¥￿e$
St Cuthbert's Roman Calholic Academy Trust
ST Elizabeths Cenlrg
Sl Wgrburghs City Farm
Slèp by Slep LonO)n
Slick'n, Slep
Stockdales ol Sale, Allrlnchaffl & Dislrlci Ltd
Swings and Srnil¢s
The Abbey School Farnham Trust
The Benedetti Foundation
The Brainwave Charity
The Brgn Project
The Bridge Project
The Crossbar Foundalion
The Freya Fpundalion
The Gra￿ Eyre Foundation
The Island Trust Ltd
The Kent Autistic Tru81
Th8 London Syrnphony Orchiestra
The Mason Foundallon
The Move Partnership
750
750
750
1,000
1,000
500
750
500
1,000
750
I,oDo
750
2.000
750
1,000
1.000
1.000
1.000
500
1,000
750
1,OLIO
1.000
1.000
500
750
750
500
1,000
750
500
750
1,000
750
1,000
1.000
500
1,000
700
750
750
1,000
500
750
750
Balance oarried forward
73.752
82.206
15

David Solomons Charilable Trust
Year ended 5 Aprll 2025
Granls Payable
Balance brought forward
73.752
82,208
The Peter Pan Centre
The Propeller Trust
The Royal Sooiety lor eiind Children
The Salvation Army Fundralslng
The Stables Theatre
The Thomley Hall Centre ￿Mited
The Wingale Special Childrens
The Disabled Sailors AssOcat￿n
The Mudlarks Communty
Thomas Theyèr End
ThDrnage Hall Ind. Liviro Ltd
Thumbs Up Club
Threads
Thrive
Tlme Away
Time Out Group North West
Tlny Tims Childrens Cenrtre
TLC FOundat￿n
Tracks Aulisrn
Tree Of Hope
Treloar Trust
Voluntary Action Epplng Forest
We are Beams
we￿heelS Hamble Cl¢
Wel Whee18 Solenl CIG
Where Next
Whirlow Hall Farm Trust Ltd
wsip
Yateley Industries
York Inspiralionai Kids Cic
Young Epilepsy
Zero Limits WAP
750
728
1,000
750
500
1,000
600
1,LKIO
500
750
1,000
1,000
750
1,000
750
500
500
500
750
750
1,fKJQ
750
750
1,000
1,000
500
1,000
1,000
1.000
1,000
TOTAL
£ 89,352 £ 91.686
16

111
1511
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