Whistleblower Policy

For reporting concerns about the Adviser’s conduct, the conduct of an Access Person or associated person of the Adviser, or about the Adviser’s accounting, internal accounting controls or auditing matters, you may contact the Adviser at the address set forth below:

ADDRESS:
Chief Compliance Officer
Future Standard
201 Rouse Boulevard
Philadelphia, PA 19112

In the case of a confidential, anonymous submission, individuals should set forth their concerns in writing and forward them in a sealed envelope to the Chief Compliance Officer, such envelope to be labeled with a legend such as: “To be opened by the Chief Compliance Officer only.” In the alternative, the Adviser maintains a Whistleblower Hotline which allows individuals to submit, on a confidential basis, comments related to suspected violations of applicable laws, rules, regulations or the Adviser’s Code of Business Conduct and Ethics. The Whistleblower Hotline may be accessed at (844) 995-4986. Rule 21F-17(a) under the Securities and Exchange Act of 1934, as amended, states that no person may take any action to impede an individual from communicating directly with the U.S. Securities and Exchange Commission about a possible securities act violation. Accordingly, individuals may report suspected securities law violations directly to the SEC.