1. This chart is for illustrative purposes only. Past Performance is no guarantee of future results and current performance may be higher or lower than the performance shown. This data represents past performance and investors should understand that investment returns, and principal value may fluctuate so that when you redeem your investment it may be worth more or less than its original cost. Fund returns shown assume reinvestment of distributions and do not reflect the deduction of taxes that a shareholder would pay on Fund distributions and redemptions, which would lower these figures. Fund returns are calculated monthly. These results are unaudited and do not reflect the deduction of mgmt. fees, taxes, performance fees, brokerage costs, other commissions, and other expenses, which would lower these figures. The Fund’s Interactive Brokers account initiated on Nov 4, 2019, but trading did not start until Nov 15, 2019. All returns consider Nov 15, 2019 as the Fund’s inception date. Returns are sourced from IB’s Portfolio Analyst tool, as of June 30, 2021. Returns are gross of fees, taxes, and expenses. Returns are unaudited. From the Fund’s inception until Dec 1, 2020 (the “Launch Date”), the Fund managed only personal capital of the principal of the General Partner and did not include the capital of any outside investors. On the Launch date, the Fund accepted its initial capital contributions from outside investors which increased its NAV. An increase in assets under management can negatively impact performance. Managing external capital may significantly alter management decisions and returns. The S&P 500 Index includes a representative sample of 500 leading companies in leading industries in the U.S. economy. The index focuses on the large-cap segment of the market, with over 80% coverage of U.S. equities, but is also considered a proxy for the total market. Returns are of the S&P 500 Total Return Index cited from IB Portfolio Analyst tool, as of June 30, 2021. Holdings, exposures, and risks of the Fund differ substantially from the S&P 500 Index and are subject to change without notice. No investment decision should be made on the basis of this chart.