NO OFFER. The content on this site is for illustration purposes only and is not intended to be, nor should it be construed or used as investment, tax, or legal advice, any recommendation, or an offer to sell, or a solicitation of any offer to buy, an interest in any security, including an interest in, or shares of, any private fund sponsored by a newly formed, wholly owned subsidiary organized at the initiative of arrow global group plc (the “manager”) or any affiliate thereof, including the vehicles referenced herein (the “fund”) or any securities that may be issued upon the consummation of the transactions contemplated herein. The site is provided for information purposes and reference only and is not intended to be, and must not be, taken as the basis for an investment decision. Any offer or solicitation of an investment in the fund or any securities issuable upon the consummation of the transactions contemplated herein shall be entirely separate from the delivery hereof and may be made only by delivery of the fund’s confidential offering documents (the “memorandum”) to qualified investors which contain important information (including investment objective, policies. risk factors, fees, tax implications and relevant qualifications) and only in those jurisdictions where permitted by law. 

Prospective investors should rely solely on the memorandum in making any investment decision.  in the case of any inconsistency between the descriptions or terms on this site and the memorandum, the memorandum shall control. By continuing to use this website you acknowledge that you are knowledgeable and experienced with respect to the financial and business aspects of the material on this site and that you will conduct your own independent investigations with respect to the accuracy, completeness and suitability of any material on this site should you choose to use or rely on the site, at your own risk, for any purpose. 

By using this site you acknowledge that this site does not constitute or contain any investment advice from, or investment recommendations by, Arrow Global to you. By accepting and viewing this site you are deemed to represent and warrant to Arrow Global that you are able to make your own evaluation of its contents and that you are not relying on Arrow Global for advice or recommendations. Arrow Global does not provide legal, tax, regulatory, accounting or investment advice or owe any fiduciary duties to you in connection with or related to the contents of this site. without limitation of the foregoing. 

You are reminded that any offer, sale, issue, solicitation or acquisition may only be made on the basis of the fund’s limited partnership agreement or equivalent, subscription agreement, and any final private placement memorandum of the fund (as modified and supplemented from time to time, the “ppm”) in their final form and any information in this presentation is qualified in its entirety by the final form ppm and conditional legal documents of the fund. 

By accessing and/or viewing this presentation, you confirm that each of you and/or your client: (i) is, if located, domiciled or with a registered office in the European economic area (“eea”) or the united kingdom, a “professional client” (within the meaning of annex ii to directive 2014/65/EU of the European parliament and of the council of 15 May 2014 on markets in financial instruments and article 4(1)(ag) of the directive 2011/61/EU of the European parliament and of the council of 8 June 2011 on alternative investment fund managers) and related implementing measures in any relevant jurisdiction, including as implemented and retained in the United Kingdom following its exit from the European union; (ii) is, if located, domiciled or with a registered office in the united states, an “accredited investor” as defined in rule 501(a) of regulation d under the united states securities act of 1933 and a “qualified purchaser” within the meaning of section 2(a)(51) of the investment company act; and/or (iii) is, if domiciled in any jurisdiction other than within the EEA, the United Kingdom or the United States, suitably qualified and eligible under the relevant rules and regulations applicable to it in such jurisdiction to invest in the fund, and its access and use of information contained in this presentation will not contravene any securities laws applicable in such jurisdiction. Each of you and/or your client possesses the experience, knowledge and expertise to make its own investment decisions and to properly assess the risks of an investment in the fund, and has not been offered interests therein through any general solicitation or general advertising, such as media advertising or public seminars. you acknowledge that interests in the fund have not been, and are not expected to be, registered under the securities laws of any jurisdiction. accordingly, you will not be afforded any protections that would be provided by any such registration. 

Access to this site and the information contained herein is being made available only to: (i) persons falling within one of the categories of “investment professionals” as defined in article 14 of the financial services and markets act 2000 (promotion of collective investment schemes) (exemptions) order 2001 (as amended) (the “cis promotion order”); (ii) persons falling within any categories of persons described in article 22 of the cis promotion order; and (iii) to any other persons to whom it may otherwise lawfully be communicated in accordance with the cis promotion order, or to certain persons outside the UK (persons satisfying the criteria above being referred to as “relevant persons” or a “relevant person”). The information contained on this site must not be acted on or relied on by persons who are not relevant persons and no person falling outside the category of relevant persons should treat this site or the information contained herein as constituting a promotion to them. Any investment or investment activity to which this site or the information contained herein may relate is only available to relevant persons and will be engaged in only with relevant persons.  

Interests in the fund shall not be offered or sold in any jurisdiction in which such offer, solicitation or sale would be unlawful until the requirements of the laws of such jurisdiction have been satisfied.  

References to Preqin awards are based on data compiled by Preqin, an unaffiliated third party industry ranking organization.  Preqin compiles its data based on questionnaires that have been completed by firms that participate in the survey as well as from publically available data sources. The firms and funds considered by Preqin may not include information on all applicable funds available for investment or all vintages of such funds and the rankings are therefore necessarily incomplete. The inclusion of the Preqin benchmark information does not purport to be an endorsement, and Preqin does not endorse any fund managers (including Arrow Global). For additional information regarding data collection and methodology, please refer to: www.preqin.com. For the foregoing and other reasons, investors should not unduly rely on such rankings data in connection with any investment decision.  

The claims and/or statements herein without specific citations to third-party or published sources represent solely Arrow Global’s views, opinions and/or beliefs based on its experience, proprietary data and internal analysis. there can be no assurance that other market participants would share the same views.  

References to the “track record” and investment history of Arrow Global personnel prior to November 2020 represent involvement in arrow global proprietary investments and/or investment roles at firms that have since been acquired by Arrow Global). In many cases, Arrow Global personnel were not primarily responsible for investment decisions at such prior firms and/or did not hold final investment decision-making authority over client funds or accounts; in other cases, investment history reflects that of in either case, the information shown should not be relied on in the same manner as a traditional “track record.” References to “deals overseen” in each case represent transactions that such personnel supervised, sourced, diligenced or were otherwise materially involved in. 

Performance information shown throughout excludes pre-2010 performance, as well as investments similar to those intended to be made by the fund but that are outside the fund’s target geographies. Because the manager has observed that the characteristics of Arrow Global’s investments differ significantly according to geography, the manager does not believe performance outside of the fund’s target geographies to be relevant to the fund.  

Forward-looking statements. Any assumptions, assessments, beliefs, intended targets, statements or the like regarding future events, future market conditions or expectations, investment opportunities, market conditions or commentary or which are forward-looking contained herein (collectively, “statements”) constitute only subjective views, outlooks, estimations or intentions, are based upon the manager’s expectations, intentions or beliefs should not be relied on, are subject to change due to a variety of factors, including fluctuating market conditions and economic factors, and involve inherent risks and uncertainties, both general and specific, many of which cannot be predicted or quantified and are beyond the manager’s or the fund’s control. Statements can be identified by the use of forward-looking terminology such as “may”, “will”, “should”, “expect”, “anticipate”, “target”, “project”, “estimate”, “intend”, “continue” or, “believe” or the negatives thereof or other variations thereon or comparable terminology. Future evidence and actual results (including actual composition and investment characteristics of the fund’s portfolio) could differ materially from those set forth in, contemplated by or underlying these statements. Considering these risks and uncertainties, there can be no assurance and no representation or warranty is given as to the reasonableness of these statements or that these statements are now or will prove to be accurate or complete in any way. Reliance should not be placed on forward-looking statements, which speak only as of the date hereof or such other date as specifically disclosed herein and which are inherently non-factual. The information contained herein has been compiled as of October 2022 and there is no obligation to update, supplement or correct any of the information presented herein and no such updates are planned. The use of this site will under no circumstances create any implication that the information herein has been updated, supplemented or corrected as of any time subsequent to October 2022 or, as the case may be, the date as of which such information is stated. 

Past performance. In all cases where historical performance is presented, please note that past performance is not a reliable indicator of future results and there can be no assurance that the fund will be able to achieve comparable results to any of those summarised on this site. Actual results may vary, may be materially lower and may involve a complete loss of investment.  

Certain information set forth herein is notional in nature and reflects the expected impact of fees and other charges resulting from the fees, carried interest arrangements and related amounts borne ultimately by investors in connection with an investment in the fund. Accordingly the performance information set forth on this site, including information based on projections which is notional and/ or net of fees, differs from ordinary course disclosure on performance otherwise made from time to time by arrow. 

Risks. This information, as of the date(s) indicated, is not complete, is subject to change and does not contain material information regarding the fund or the transactions contemplated by this site, including specific information relating to an investment in the fund, the structure of the proposed transactions set forth herein and related important risk disclosures. 

Target returns. Return targets or objectives, if any, are used for measurement or comparison purposes and only as a guideline for investors to evaluate the fund’s investment strategies and accompanying information. Targeted returns reflect subjective determinations by the manager based on a variety of factors, including, among others, investment strategy, prior performance of similar products and strategies (if any), volatility measures, risk tolerance and market conditions. performance may fluctuate, especially over short periods. Targeted returns should be evaluated over the time indicated and not over shorter periods. Targeted returns are not intended to be actual performance and should not be relied upon as an indication of actual or future performance. The manager’s beliefs and assumptions may or may not prove to be correct and there can be no assurance that any estimates, targets or projections are attainable or will be realized, and actual results may vary materially, and include the possibility that, an investor therein may lose some or all of its invested capital.  

Gross vs. net performance figures. Unless otherwise indicated, performance figures are presented on a gross basis. Actual returns to investors will be lower due to the deduction of management fees, carried interest or incentive compensation expenses, taxes and other fund expenses. Investors are subject to such expenses, fees and carried interest as specified in the governing agreements of the relevant fund. performance figures prior to the close of Arrow Global’s first commingled fund in November 2020 are derived from Arrow Global’s proprietary investments, including prior firms that have since been acquired by Arrow Global, and so the manager believes net figures in the context of its historical proprietary investment structures are less relevant to an investor’s evaluation of a commingled fund.  

Gross multiples of invested capital (“moic”) and gross internal rates of return (“irr”) do not reflect management fees, carried interest, taxes, and other expenses to be borne by investors. Net IRR are presented after deducting all management fees, carried interest and other expenses borne by investors but do not include taxes, withholding or certain other expenses incurred by investors directly. All IRRs have been annualised from quarterly cash flows recorded at the end of the quarter. An individual limited partner’s IRR generally will vary based upon the timing of the limited partner’s capital contributions and other factors disclosed herein. Where a capital call credit facility has been used to finance investments, IRR figures are based on the investor capital call due date rather than the prior date on which the facility was drawn for investment; this may have the result of increasing IRR calculations (in some cases, materially).  

Model results. Many figures included on the site are based on financial model results. Financial models are based on a range of assumptions and on information available at the time of preparation. Financial model results do not represent actual outcomes and they may not reflect the impact that material economic and market factors might have on the manager’s investment-related decision-making. actual results may or may not correspond, and may differ materially from the results of financial models. No reliance (including for investment decision purposes) should be placed on the results of financial models.  

Proprietary materials. By using and/or viewing this site, you agree that (i) the information contained herein may not be used, reproduced, distributed or otherwise communicated to others, in whole or in part, for any other purpose, except as expressly provided herein, without the prior written consent of the manager; and (ii) you will only use the information contained on this site for informational purposes.