Legal Disclaimers and Disclosures

All documents and contents of this website are created for the Stellar Development Foundation (SDF). The purpose of this website is to apply for an SDF grant and should not be construed as an offer of investment. CONFIDENTIAL–Not for Further Distribution. This document (presentation) is for potential clients only. Only qualified investors are permitted to read this document. This offering is not available if you are a current U.S citizen or U.S taxpayer. This document is for discussion purposes only and is intended as a preliminary summary. This document does not purport to be complete and is qualified in its entirety by reference to the more detailed discussions to be contained in the Fund’s offering documentation. The Investment Manager has the ability in its sole discretion to change all or any part of the strategy and parameters described herein without notice. The specific terms of an investment in the Fund will be subject to the offering documentation. Such terms may change from the time you receive this document and the time you receive the formal offering documentation. Before making an investment decision with respect to the Fund, potential investors must carefully read the formal offering documentation (including any relevant underlying agreements) and the related subscription documents regarding the Fund, and to consult with their tax, legal, and financial advisors. This document is being provided to you on a confidential basis solely to assist you in deciding whether or not to proceed with a further investigation of the Investment Manager and the Fund. Accordingly, this document may not be reproduced in whole or part and may not be delivered to any person without the consent of the Investment Manager. Nothing set forth herein shall constitute an offer to sell any securities or constitute a solicitation of an offer to purchase any securities. Any such offer to sell or solicitation of an offer to purchase shall be made only by formal offering documentation, which will include, among other things, a confidential offering memorandum, a limited partnership agreement and a subscription agreement. Such formal offering documentation will contain additional information not set forth in this document (including, among other things, certain risks of investing in the Fund), which will be material to any decision to invest in the Fund. No information is warranted by the Investment Manager or its affiliates or principals as to completeness or accuracy, express or implied, and is subject to change without notice. This document contains forward-looking statements, including observations about markets and industry and regulatory trends as of the original date of this document. Forward-looking statements may be identified by, among other things, the use of words such as “targets,” "expects,“ "anticipates,“ "believes,“ or "estimates,“ or the negatives of these terms, and similar expressions. Forward-looking statements reflect the Investment Manager’s views as of such date with respect to possible future events. Actual results could differ materially from those in the forward-looking statements as a result of factors beyond the Investment Manager’s control. You are cautioned not to place undue reliance on such statements. There is no obligation on the part of the Investment Manager to update any of the forward-looking statements in this document. This document should only be considered current as of the date of publication without regard to the date on which you may receive or access the information. The Investment Manager maintains the right to delete or modify information without prior notice. Charts, tables and graphs contained in this document are for illustrative purposes only and are not intended to be used to assist you in determining which securities to buy or sell or when to buy or sell securities. Statements made herein that are not attributed to a third-party source reflect the views and opinions of the Investment Manager. The past performance of the Investment Manager, its principals, members and/or employees is not indicative of future returns. There is no guarantee that the Investment Manager will be successful in achieving the Fund’s investment objectives and the Fund’s investment results may vary substantially. An investment in the Fund will involve a high degree of risk, including the risk of complete loss of invested capital and is only suitable for sophisticated investors who have the financial ability to withstand any such losses. The risk management practices and methods described herein are for illustrative purposes only and are subject to modification. No assurances can be given that the risk management practices described herein will be adequate to safeguard against losses. Targets are provided solely as a guide to current expectations. There is no guarantee that the Fund will achieve any of the targets or that there will be a return on capital.

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