| 
            4/11/2025
           | 
          
            
              Equity, Pooled Investment Fund
            
           | 
            
              $800,000
             | 
          
            $10,162,683
           | 
          
            Indefinite
           | 
          
            Indefinite
           | 
          
            4/1/2022
           | 
          
            4/11/2025
           | 
          
            D/A
           | 
          
            000091957425002417
           | 
        
        
          | 
            4/12/2024
           | 
          
            
              Equity, Pooled Investment Fund
            
           | 
            
              $250,000
             | 
          
            $9,362,683
           | 
          
            Indefinite
           | 
          
            Indefinite
           | 
          
            4/1/2022
           | 
          
            4/12/2024
           | 
          
            D/A
           | 
          
            000091957424002513
           | 
        
        
          | 
            4/13/2023
           | 
          
            
              Equity, Pooled Investment Fund
            
           | 
            
              $7,312,683
             | 
          
            $9,112,683
           | 
          
            Indefinite
           | 
          
            Indefinite
           | 
          
            4/1/2022
           | 
          
            4/13/2023
           | 
          
            D/A
           | 
          
            000091957423002553
           | 
        
        
          | 
            4/14/2022
           | 
          
            
              Equity, Pooled Investment Fund
            
           | 
            
              $1,800,000
             | 
          
            $1,800,000
           | 
          
            Indefinite
           | 
          
            Indefinite
           | 
          
            4/1/2022
           | 
          
            4/14/2022
           | 
          
            D
           | 
          
            000091957422002732
           |