EFTA01355525.pdf
dataset_10 PDF 154.5 KB • Feb 4, 2026 • 1 pages
GLDUStai Greg Martin
Exhibit E
PLAN INVESTOR REPRESENTATIONS
This exhibit is applicable only to Investors who arc "Plan Investors": (1) U.S. pension or other
employee benefit plans subject to Title I of the Employee Retirement Income Security Act of 1974, as
amended ("ERISA") (such as corporate retirement plans); (2) U.S. plans or accounts subject to Section
4975 ofthe Internal Revenue Code of 1986, as amended (the "Code") (such as IRAs or Keoghs); (3) entities
deemed to hold "plan assets" of the plans described in the preceding bullets (such as certain hedge funds
that manage ERISA assets); or (4) fiduciaries that otherwise manage or handle the assets of any of the plans
or entities described in Items 1-3. Each Plan Investor hereby represents and warrants as follows:
(Please Check "Yes" or "No" as Applicable)
1. The Plan Investor is, or is acting on behalf of: (i) an "employee benefit plan" within the
meaning of Section 3(3) of ERISA, that is subject to Title I ofERISA; (ii) a "plan" within
the meaning of Section 4975(eXI) of the Code that is subject to Section 4975 of the Code;
or (iii) any other entity or account that is deemed under applicable law to hold the assets of
a plan described in (i) or (ii).
❑ Yes ❑ No
2. The Plan Investor represents that it is, or is acting on behalf of, a person or entity the
underlying assets of which are "plan assets" within the meaning of Section 3(42) ofERISA.
❑ Yes. The Plan Investor holds "plan assets" and the percentage of
interests in the Plan Investor held by benefits plan investors,
determined in accordance with Section 3(42) ofERISA is
❑ No. None of the Plan Investor's assets arc "plan assets" within the
meaning of Section 3(42) of ERISA.
IF AT ANY TIME DURING THE TERM OF THE PARTNERSHIP, THE
FOREGOING REPRESENTATION BECOMES INACCURATE, THE PLAN
INVESTOR WILL NOTIFY THE PARTNERSHIP IMMEDIATELY.
3. The Plan Investor is, or is acting on behalf of: (i) a "governmental plan," within the meaning
of Section 3(32) of ERISA; or (ii) a partnership, limited liability company or other entity
in which such a governmental plan holds a majority of the interests or in which a
governmental plan holds an interest sufficient to subject the entity to applicable state or
local law governing governmental plans.
❑ Yes ❑ No
4. The Plan Investor is, or is acting on behalf of: (i) a "church plan" within the meaning of
Section 3(33) of ERISA with respect to which no election has been made under
Section 410(d) of the Code; or (ii) a partnership, limited liability company or other entity
in which such a church plan holds a majority of the interests or in which a church plan holds
an interest sufficient to subject the entity to the Ades and policies governing the sponsoring
church.
❑ Yes ❑ No
PROPRIETARY AND CONFIDEN71AL
E-I
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e) DB-SDNY-0040727
CONFIDENTIAL SDNY GM_00186811
EFTA01355525
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Document Metadata
- Document ID
- a77030ac-edf1-4b87-8a7d-14f6284befd4
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- dataset_10/deb4/EFTA01355525.pdf
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- Created
- Feb 4, 2026