The information contained on this website regarding Morrison Street Income Fund (the “Fund”) is furnished as a convenient means for prospective investors and their authorized agents to obtain and/or access electronically certain information regarding Northmarq Fund Management, LLC (the “Manager”) and/or the Fund. By using this website, you acknowledge the following statements and agree to the terms set forth below.

The information contained herein is the property of the Manager, and may not be reproduced or used in whole or in part for any reason other than for a prospective investor’s due diligence review and evaluation of a possible investment in the Fund.

Limited partnership interests in the Fund (“Interests”) have not been approved or disapproved by any securities regulatory authority of any state or by the Securities and Exchange Commission (the “SEC”) or by any securities regulatory authority in any other jurisdiction, and no such authority or commission has passed on the accuracy or adequacy of this website. Any representation to the contrary is a criminal offense. The Interests are not registered under the U.S. Securities Act of 1933, as amended (the “Securities Act”), or the securities laws of any other state or the securities laws of any other jurisdiction. The Interests are offered and sold in the United States under the exemption provided by Section 4(a)(2) of the Securities Act and/or Regulation D promulgated thereunder and other exemptions of similar import in the laws of the states and jurisdictions where the Fund’s offering will be made. In addition, none of the posted materials contained on this website have been filed with the SEC or with any securities regulatory authority in any other jurisdiction.

The information made available to you through this website does not constitute an offer to sell or a solicitation of an offer to purchase Interests in the Fund. Any such offer or solicitation is made only through a private offering pursuant to the version of the Confidential Private Placement Memorandum in effect immediately prior to a prospective investor’s investment in the Fund (the “Memorandum”) and the Fund’s subscription documents. The Memorandum, which describes the significant risks and contains other important information, such as legal, regulatory and tax disclosure, related to an investment in the Fund, qualifies in its entirety the information contained on this website, and should be read carefully prior to subscribing for Interests in the Fund for a description of the merits and risks of an investment in the Fund. An investment in the Fund entails a high degree of risk and no assurance can be given that the Fund’s investment objectives will be achieved or that investors will receive a return of their contributions or investment.

The information made available to you through this website is current as of the date or dates reflected on the various documents within the website and is subject to change, completion or amendment without notice. Neither the provision of access to this website at any time, nor any sale of the Interests, shall under any circumstances create an implication that the information contained herein is correct as of any time subsequent to the dates described above. The Manager is not under any obligation to update the information contained on this website or to notify you of any update to this website. Furthermore, the Manager reserves the right to modify any of the terms of any offering and the Interests described herein.
Investment in the Interests involves significant risks due to, among other things, the nature of the Fund’s investments. Investors should have the financial ability and willingness to accept the risks and limited liquidity that are characteristic of the investment described herein. There is currently no public market for the Interests, and such interests, subject to certain limited exceptions, are not transferable.

Each prospective investor should make its own investigations and evaluations of the information contained on this website. Each prospective investor should consult its own attorney, business advisor and tax advisor as to legal, business, tax and related matters concerning the information contained on this website and an investment in the Fund.

In considering the prior performance information contained herein, prospective investors should bear in mind that past performance is not a guarantee, projection or prediction and it is not necessarily indicative of future results. There can be no assurance that the Fund will achieve comparable results or that the Fund will be able to implement its investment strategy or achieve its investment objective.

Certain information contained herein concerning economic trends and performance is based on or derived from information provided by independent third party sources. The Manager believes that such information is accurate and that the sources from which it has been obtained are reliable. The Manager cannot guarantee the accuracy of such information, however, and has not independently verified the assumptions on which such information is based. The Manager does not undertake to update this information, which is subject to change.

This website contains financial targets (the “Targets”) regarding the Fund’s performance. There can be no assurance that the Targets will be achieved. In considering the Targets, prospective investors should bear in mind that such targeted performance is not a guarantee, projection or prediction and is not indicative of future results of the Fund. The Manager believes that the Targets for the Fund are reasonable based on a combination of factors, including the investment team’s general experience and their current assessment of prevailing market conditions and investment opportunities. However, there are numerous assumptions that factor into the Targets that may not be consistent with future market conditions and that may significantly affect actual investment results.

Certain statements contained in this document, including without limitation, statements containing the words “believes,” “anticipates,” “intends,” “expects,” and words of similar import constitute “forward looking statements.” Additionally, any forecasts and estimates provided herein are forward looking statements. Such statements and other forward looking statements are based on available information and the views of the Manager as of the date hereof. Accordingly, such statements are inherently speculative as they are based on assumptions that may involve known and unknown risks and uncertainties. Actual results and events may differ materially from those in any forward looking statements. Further, any opinions expressed are the current opinions of the Manager only and may be subject to change, without notice. There is no undertaking to update any of the information in this document.

In order to invest in the Fund, each investor will be required to execute certain definitive documents, including, without limitation, a limited partnership agreement and a subscription agreement. In the event that any terms, conditions or other provisions of such documents are inconsistent with or contrary to the description of any terms contained on this website, the terms, conditions and other provisions of such documents shall control. While each prospective investor may use the information contained within this website to evaluate the merits and risks of an investment in the Fund, any prospective investor that ultimately decides to invest in the Fund will be able to rely only on the information contained in the aforementioned limited partnership agreement, the subscription agreement, and the Memorandum, as the same may exist immediately prior to such prospective investor’s execution of the subscription agreement.