Accredited Investor

Verification of Status as an “Accredited Investor”

In order for the Fund to offer and sell the Limited Partner Interest in conformity with state and federal securities laws, the following information must be obtained regarding your status as an “Accredited Investor.”

If an individual, an “Accredited Investor” is defined as one of the following:

The term “net worth” means the excess of total assets over total liabilities. In calculating “net worth,” the undersigned may include the estimated air market value of the Investor’s principal residence as an asset.

In determining individual “income,” the Investor should (i) add to the Investor’s individual adjusted gross income (exclusive of any spousal income) any amounts attributable to tax exempt income received, losses claimed as a member in any limited partnership, deductions claimed for depletion, contributions to an IRA or Keogh retirement plan to the extent vested, alimony payments, and any amount by which income from long-term capital gains has been reduced in arising at adjusted gross income and (ii) subtract from the Investor’s individual adjusted gross income any unrealized capital gain.

If not an individual, an “Accredited Investor” is defined as one of the following: