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Accredited Investor Status Declaration

The Subscriber hereby represents and warrants that the information provided hereunder is true and correct and that the Subscriber consents to being characterized as an Accredited Investor for purposes of section 15a(b)(1) of the Israeli Securities Law and understands the meaning of such characterization.

Please mark the correct box – at least one category must be marked in order to be deemed a qualified offeree:


"Liquid Assets" comprise of cash, deposits, Financial Assets as defined in the Israeli Regulation of Investment Advice, Investment Marketing and Investment Portfolio Management, 5755 – 1995, and stock exchange traded securities.

Qualified Investor Declaration - Institutional

I hereby give my consent to be deemed a qualified offeree. I am aware of the significance of being a qualified offeree, and as such I declare that I am one of the following entities.

Please mark the correct box – at least one category must be marked in order to be deemed a qualified offeree:


The "Law" means the Securities Law 1968.

A "venture capital fund" means a corporation engaging mainly in investing in corporations which at the time of investing in them engaged mainly in research and development or in the production of innovative and knowledge intensive products or processes and which the risk of investing in them is higher than usual in other investments.

I am aware that you rely on my declarations as specified in this document, and I hereby undertake to notify you immediately of any change in any of the above declarations and agreements.

Letter of consent and confidentiality obligation – Family Office

I hereby undertake to Expedition Capital (hereinafter: "Viewer") as follows:

  1. The presenter is about to disclose to us confidential information and data (hereinafter: the "Information") related to the investment of my/our clients who meet the conditions listed below, in the financial product Gilboa Funds (hereinafter: the "Funds").
  2. The information may be oral or written information, including in the form of lists, documents, and/or in any other form.
  3. The presentation of the information is intended solely to allow us to consider whether to present to my/our clients the information for the purpose of their engagement with the Funds in business relations regarding the acquisition of rights as limited partners in the Fund (hereinafter: the "Idea") and that the information transferred to us will not be used in any other way.
  4. To keep confidential, not to disclose, not to transmit or disclose in any way and at any time any information related to the idea that has come or will come to our attention from the presenter, except for my clients as follows: Qualified investors only, both for the purposes of the Regulation of the Practice of Investment Advising, Investment Marketing and Investment Portfolio Management Law, 5755-1995 (hereinafter: the "Advisory Law") and for the purposes of section 15A(b)(1) and the First Addendum to the Securities Law, 5728-1968 (hereinafter: the "Securities Law"), whichundertook before usin advance in writingto keep such information confidential and not to reproduce or disclose it, or its content in any way, in whole or in part, after.
  5. Carefully keep the information the information and take all necessary precautions to prevent its loss and/or arrival in the hands of any third party that is not among the type of investors mentioned above.
  6. Not to publish or make any use in any manner, whether by myself or through others, of information that will be transmitted to me and/or presented to me and/or informed to me by the presenter, except as stated above.
  7. We are aware that our above declarations and commitments are essential for the Funds and its general partner to comply with the provisions of the law.

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