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MAXXIM LONG SHORT (HC) US FUND *                                                            Return/Risk *

  Risk Level             medium                   As at         12-Sep-10                              4.3
                                                                                                                                              MAXXIM
FUND OBJECTIVE                                                 CONTACT
Outperform a 10% hurdle by at least 10% in any year , while         Office: 41 Palmerston Road Lysterfield VIC AUSTRALIA
maintaining a drawdown of capital of less than 7% . The fund * www.maxxim.com                             Tel: +613 9752 7078
is high conviction and does not track the benchmark
                                                  INVESTMENT PROCESS
   Kappa Forte is a quant manager that blends behavioural finance and traditional valuation techniques to select stocks. It has a proprietary
           valuation approach based on normalised free cash flow and a behavioural finance model that encompasses momentum.

                                                                           FUND FEATURES
Inception Date              31-Dec-99           Subscription Fee                          up to 3%                   Domicile                          Australia
Fund * Currency                 USD             Management Fee                 2% p.a. billed monthly                Liquidity              daily subject to settllement
Benchmark                    S&P 500            Performance Fee                20% Over Benchmark                minimum invest                     USD 500,000

               PERFORMANCE of portfolio * over time                                                   RISK - absolute and relative to market (10%)
   10000                                                                                        0.0%

                                                                                               -1.0%
    1000
                                                                                               -2.0%

      100                                                                                      -3.0%

                                                                                               -4.0%
       10
         2000          2002         2004         2006         2008         2010                -5.0%

                                                                                               -6.0%
         1                                                                                               2000         2002        2004        2006        2008         2010

                         monthly performance                             RISK AND REWARD
                                                 Return *                                                                  Risk - maximum drawdown
                                                                                Since
Returns                   YTD       3 years       5 years      10 years                      Risk                 YTD        3 years     5 years      10 years     Since Inception
                                                                              Inception

Fund *                  13.7%        25.7%        20.5%         24.7%         24.2%          Fund *               0.0%       -5.6%        -5.6%         -5.6%         -5.6%
Benchmark                6.6%        10.0%        10.0%         10.0%         10.0%          Benchmark            0.0%        0.0%        0.0%          0.0%           0.0%
value added              7.2%        15.7%        10.5%         14.7%         14.2%          Relative             0.0%       -5.6%        -5.6%         -5.6%         -5.6%

                                                                                Since
Returns                   YTD         2009         2008          2007                        Risk                 YTD         2009         2008         2007       Since Inception
                                                                              Inception
Fund *                  13.7%        35.7%        21.2%         17.2%         24.2%          Fund *               0.0%       -5.6%        -1.3%         -1.0%         -5.6%
Benchmark                6.6%        10.0%        10.0%         10.0%         10.0%          Benchmark            0.0%        0.0%        0.0%          0.0%           0.0%
value added              7.2%        25.7%        11.2%          7.2%         14.2%          Relative             0.0%       -5.6%        -1.3%         -1.0%         -5.6%

                                                                           DISCLAIMER
Maxxim Pty Ltd (ACN 116 807 731) is owned by Australian and foreign investors. The company was incorporated in Australia in 2004 and received the Investment
Managers (wholesale) licence from ASIC on April 11, 2008 (AFSL 321832). Because of licence restrictions there is and has been no retail fund of this type available to
Australian investors. The performance reported refers to the gross return to the manager of discretionary wholesale mandates granted under this and other licenses in
various countries. Further, past performance is neither an indication nor a guarantee of future returns. The value of units and income from them can go up or down;
investors may receive less than what they have originally invested. Additionally, fees charged on funds and currency exchange rates may have additional adverse effects.
Investors should consider their individual and financial situation prior to entering into a specific product/fund and should seek advice from investment and legal professionals.
Detailed and specific information related to the product is provided in the terms and conditions applicable to the fund which should be read and understood prior to entering
into it. The performance data has either been audited or is public domain and is based on the investment management companies of Maxxim Pty Ltd (AFSL 289966 )
Sigrun Pty Ltd (ACN 109989175) Global capital (Maltese License PIF/46B and Kappa Forte Pty Ltd (Mauritian FSC IX09000012 ).

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  • 1. MAXXIM LONG SHORT (HC) US FUND * Return/Risk * Risk Level medium As at 12-Sep-10 4.3 MAXXIM FUND OBJECTIVE CONTACT Outperform a 10% hurdle by at least 10% in any year , while Office: 41 Palmerston Road Lysterfield VIC AUSTRALIA maintaining a drawdown of capital of less than 7% . The fund * www.maxxim.com Tel: +613 9752 7078 is high conviction and does not track the benchmark INVESTMENT PROCESS Kappa Forte is a quant manager that blends behavioural finance and traditional valuation techniques to select stocks. It has a proprietary valuation approach based on normalised free cash flow and a behavioural finance model that encompasses momentum. FUND FEATURES Inception Date 31-Dec-99 Subscription Fee up to 3% Domicile Australia Fund * Currency USD Management Fee 2% p.a. billed monthly Liquidity daily subject to settllement Benchmark S&P 500 Performance Fee 20% Over Benchmark minimum invest USD 500,000 PERFORMANCE of portfolio * over time RISK - absolute and relative to market (10%) 10000 0.0% -1.0% 1000 -2.0% 100 -3.0% -4.0% 10 2000 2002 2004 2006 2008 2010 -5.0% -6.0% 1 2000 2002 2004 2006 2008 2010 monthly performance RISK AND REWARD Return * Risk - maximum drawdown Since Returns YTD 3 years 5 years 10 years Risk YTD 3 years 5 years 10 years Since Inception Inception Fund * 13.7% 25.7% 20.5% 24.7% 24.2% Fund * 0.0% -5.6% -5.6% -5.6% -5.6% Benchmark 6.6% 10.0% 10.0% 10.0% 10.0% Benchmark 0.0% 0.0% 0.0% 0.0% 0.0% value added 7.2% 15.7% 10.5% 14.7% 14.2% Relative 0.0% -5.6% -5.6% -5.6% -5.6% Since Returns YTD 2009 2008 2007 Risk YTD 2009 2008 2007 Since Inception Inception Fund * 13.7% 35.7% 21.2% 17.2% 24.2% Fund * 0.0% -5.6% -1.3% -1.0% -5.6% Benchmark 6.6% 10.0% 10.0% 10.0% 10.0% Benchmark 0.0% 0.0% 0.0% 0.0% 0.0% value added 7.2% 25.7% 11.2% 7.2% 14.2% Relative 0.0% -5.6% -1.3% -1.0% -5.6% DISCLAIMER Maxxim Pty Ltd (ACN 116 807 731) is owned by Australian and foreign investors. The company was incorporated in Australia in 2004 and received the Investment Managers (wholesale) licence from ASIC on April 11, 2008 (AFSL 321832). Because of licence restrictions there is and has been no retail fund of this type available to Australian investors. The performance reported refers to the gross return to the manager of discretionary wholesale mandates granted under this and other licenses in various countries. Further, past performance is neither an indication nor a guarantee of future returns. The value of units and income from them can go up or down; investors may receive less than what they have originally invested. Additionally, fees charged on funds and currency exchange rates may have additional adverse effects. Investors should consider their individual and financial situation prior to entering into a specific product/fund and should seek advice from investment and legal professionals. Detailed and specific information related to the product is provided in the terms and conditions applicable to the fund which should be read and understood prior to entering into it. The performance data has either been audited or is public domain and is based on the investment management companies of Maxxim Pty Ltd (AFSL 289966 ) Sigrun Pty Ltd (ACN 109989175) Global capital (Maltese License PIF/46B and Kappa Forte Pty Ltd (Mauritian FSC IX09000012 ).