SUBSCRIPTION/REDEMPTION FORM

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Northern Trust Investment Funds plc (the Company ) SUBSCRIPTION/REDEMPTION FORM PLEASE RETURN TO Northern Trust Investment Funds plc, c/o The Administrator, George s Court, 54-62 Townsend Street, Dublin 2, Ireland Tel: + 353 1 542 2909 Fax: + 353 1 434 5286 If an option is not selected the form will not be processed. It is your responsibility to ensure that the form is fully completed. Any queries can be sent to NTfundservice@NTRS.com. Please note email dealing is not permitted. DEALING DEADLINES This form must be received by the Administrator before the Sub-Fund s daily Dealing Deadline (Irish time). Please see the table below for Dealing Deadlines. Any application received by the Administrator after the relevant Dealing Deadline shall be held until the next subsequent Dealing Day. SUB-FUND The NT Japan Equity The NT Pacific (ex-japan) Equity The NT Emerging Markets The NT Frontier Markets The NT All Country Asia ex Japan Custom ESG Equity The NT Emerging Markets Custom ESG Equity The NT Emerging Markets Custom Equity The NT Emerging Markets Quality Low Carbon Fund The NT Emerging Markets Custom ESG Feeder Fund The NT Emerging Markets ESG Leaders Equity The NT EM Local Currency Government Bond The NT World Equity Index Feeder Fund The NT Europe (ex-uk) Equity The NT UK Equity The NT North America Equity The NT Euro Government Inflation Linked The NT Euro Government Bond The NT High Quality Euro Government Bond The NT US High Yield Fixed Income Fund DEALING CUT-OFF FOR RECEIPT OF INSTRUCTIONS BY ADMINISTRATOR 14.00 (Irish Time) on the Business Day immediately preceding each Dealing Day 14.00 (Irish Time) on the Business Day immediately preceding each Dealing Day 10.00 (Irish Time) on the Business Day immediately preceding each Dealing Day 10.00 (Irish Time) on the Dealing Day 16.00 (Irish Time) on the Dealing Day REGISTERED INFORMATION Registered Account Name Account Number CONTACT DETAILS Contact name Address Town/City Postcode Country Tel Fax Email northerntrust.com 1 of 5

FUND SELECTION Total amount cash/shares being invested in words: Total amount cash/shares being redeemed in words: DEALING DATE If left blank then the next available dealing deadline will be used. Please select one option: SUBSCRIPTION REDEMPTION REDEEM ALL SHARES SHARE OR % IN OFFICE SUB-FUND CURRENCY CLASS ACCUMULATING DISTRIBUTING AMOUNT ALLOCATION SHARES SPECIE USE The NT Japan Equity MILLIONS CENTS The NT Pacific (ex-japan) Equity The NT Emerging Markets The NT Frontier Markets The NT All Country Asia ex Japan Custom ESG Equity The NT Emerging Markets Custom ESG Equity The NT Emerging Markets ESG Leaders Equity The NT EM Local Currency Government Bond The NT World Equity Index Feeder Fund The NT Europe (ex-uk) Equity The NT UK Equity The NT North America Equity The NT Euro Government Inflation Linked The NT Euro Government Bond The NT High Quality Euro Government Bond The NT Emerging Markets Quality Low Carbon Fund The NT Emerging Markets Custom Equity The NT US High Yield Fixed Income Fund The NT Emerging Markets Custom ESG Feeder Fund Please contact your relationship manager for guidance on which class to select. Your Prospectus contains details of limits for certain classes. northerntrust.com 2 of 5

SUBSCRIPTIONS Shareholders should transmit the completed Subscription/Redemption Form prior to the Dealing Deadline indicated above. Cleared funds representing the subscription monies must be received by the following time limits: SUB-FUND The NT US High Yield Fixed Income Fund All other funds SUB-FUND DEADLINE FOR RECEIPT OF SUBSCRIPTION MONIES 1 Business Day after the Dealing Day 2 Business Days after the Dealing Day Applications for the initial purchase of Shares should be submitted in writing, by fax, electronic means or telephone to the Administrator, provided that the original Account Opening Form and supporting documentation in relation to anti-money laundering prevention checks are completed. Subsequent subscriptions may be made by contacting the Administrator in writing, by telephone, by fax or electronic means. Please note email dealing is not permitted. Any subscription proceeds paid in currencies other than the Base Currency of the relevant Sub-Fund or the designated currency of the relevant Share Class will be converted into that currency, at prevailing exchange rates. This foreign exchange transaction will be arranged by the Administrator at the cost and risk of the relevant investor. PAYMENT SETTLEMENT INFORMATION Please specify your details for subscriptions: Currency Correspondent Bank Sort Code Swift code ABA Account name Payment Settlement monies must originate from the account of the Shareholder and sent via electronic transfer. Funds must be received into the bank accounts below and within the time limits set out above. Payment can be made by either CHAPS or telegraphic transfer to the appropriate account (details of which are set out below). The instructions contained below for GBP settlement do not quote an IBAN as IBAN s are not required when making CHAPS payments. However, if your bank requires an IBAN please use the following: IBAN GB35CNOR23286310000119 Please note that the 5 digit Ref Account Number NQF07 should also be included as this will ensure that your subscription proceeds can be applied. For GBP Settlement For USD Settlement For EURO Settlement For Euro settlement excluding SEPA Credit Transfer via SEPA Credit Transfer To Northern Trust Company, London Branch The Northern Trust Company Societe Generale, Paris Northern Trust Company, London Branch Address 50 Bank Street 50 S. La Salle Street 8, Avenue des Olympiades 50 Bank Street London Chicago 94727 Fontenay Sous Bois London E14 5NT Illinois 60675 Cedex Paris E14 5NT England USA France England ABA/Sort Code 23-28-63 (ABA No.) 071-000-152 Swift CNORGB22 CNORUS44 SOGEFRPP IBAN FR7630003069900010110236721 GB32CNOR23286310055754 BIC CNORGB22 CNORUS44 CNORGB22 Account Name Northern Trust Investment Funds plc The Northern Trust Company AVFC Northern Trust Investment Funds plc Account Number Ref. Wire A/C No. 5186061000 001011023670 Ref Account Number NQF07 NQF07 17-19278 NQF07 NQF07 Ref Fund Name & Name of Fund TA Reg Number Name of Fund TA Reg Number Name of Fund TA Reg Number Name of Fund TA Reg Number NT TA Register number e.g. The NT UK Equity TA Reg. 12345 e.g. The NT UK Equity TA Reg. 12345 e.g. The NT UK Equity TA Reg. 12345 e.g. The NT UK Equity TA Reg. 12345 northerntrust.com 3 of 5

REDEMPTIONS Shareholders should transmit the completed Subscription/Redemption Form prior to the Dealing Deadlines indicated above. Requests for redemption of shares should be made to the Administrator in writing, by fax, by electronic means or by telephone and must, in the case of requests by fax or electronic means, quote the relevant account number, the relevant Fund(s) and Share Class. Redemption requests made by fax or electronic means must be followed by subsequent confirmation in writing. A request by telephone or electronic means may only be made if such method of dealing is designated by the Shareholder at the initial purchase of Shares or in a subsequent request. Please note email dealing is not permitted. All redemption monies shall be paid by the settlement deadline outlined in the Prospectus and shall be made by electronic transfer at the Shareholder s risk and expense to the Shareholder s account, details of which shall be notified by the Shareholder to the Administrator. The redemption monies will be payable to the Shareholder following receipt of the original Account Opening Form from the Shareholder, and the Administrator is satisfied that all of the necessary anti-money laundering documents have been provided. Any redemption proceeds paid in currencies other than the Base Currency of the relevant Fund or the designated currency of the relevant Share Class will be converted into that currency at prevailing exchange rates. This foreign exchange transaction will be arranged by the Administrator at the cost and risk of the relevant investor. No third party payments will be accepted. Payment should come from the applicant(s). Please note that if your bank details differ from those provided in the original Account Opening Form held by the Administrator on file, and indicate by ticking the box below to notify the Administrator that you wish to change your bank details. Proceeds cannot be released to new wiring instructions until an original validated instruction has been received. Until these are provided, monies will be paid to details held on file. I wish to change my bank account details held on file PLEASE NOTE 1. Monies must originate from the account of the investor. Failure to complete these details accurately and in accordance with the original signed Account Opening Form, and forward monies within the settlement time scale, will result in the loss of good value and an interest claim from the Fund. 2. I/We confirm that I/we have the authority to make this investment. 3. I/We declare that the KIID has been provided to us in good time prior to making this application for Shares and that I/we have read and reviewed same. I/We hereby acknowledge and agree that the updated KIID for each share class is available at the Investment Manager s website at www.northerntrust.com/pooledfunds and that I/ we will read and review the most up-to-date version of the relevant KIID prior to making any subsequent applications for Shares in the Fund. I/We are aware that copies of the Prospectus, latest annual and semi-annual reports, KIID and other information may be obtained from the Fund s Administrator at George s Court, 54-62 Townsend Street, Dublin 2, Ireland. I/We give full consent to receiving this information by means of electronic communication. 4. I/We hereby agree to indemnify and hold harmless the Fund, on its own behalf and on behalf of its agents, the Administrator, the Fund or the Distributor(s) and their respective directors, officers and employees against any loss, liability, cost or expense (including without limitation legal fees, taxes and penalties) which may result directly or indirectly, from any misrepresentation or breach of any warranty, condition, covenant or agreement set forth herein or in any document delivered by me/us to the Fund. The Manager, the Administrator, the Company or the Distributor(s) will not be responsible or liable for the authenticity of instructions received from me/us or any authorised person and may rely upon any instruction from any such person representing himself to be a duly authorised person reasonably believed to be genuine. 5. The Administrator is hereby authorised and instructed to accept and execute any instruction in respect of Shares to which the application relates given by me/us by fax. I/We undertake to confirm them in writing immediately. I/We agree to indemnify the Administrator on its own behalf and as agent of the Fund, and agree to keep each of them indemnified against any loss of any nature whatsoever arising to any of them as a result of acting upon fax instruction. The Administrator may rely conclusively upon and shall ensure no liability in respect of any action taken upon any notice, consent request, instruction of other instrument believed in good faith to be genuine or to be signed by properly authorised person. 6. I/We have made arrangements for payment to be made by Electronic Transfer and acknowledge that the Fund reserves the right to reject the whole or in part any aspect of this application. 7. If this is an application for an initial subscription and I/we are, or were, present in the United Kingdom when I/we received the Prospectus and the KIID, I/we declare and warrant that the Prospectus was circulated to us without contravention of section 21 or 238 of the UK Financial Services and Markets Act 2000, as we fall within one of the following categories: (a) an investment professional within the meaning of article 19 of the Financial Services and Markets Act 2000 (Financial Promotion) Order 2005, as amended, (the FPO ) or article 14 of the Financial Services and Markets Act 2000 (Promotion of Collective Investment Schemes Exemptions) Order 2001, as amended, (the CIS Exemption Order ); (b) a high net worth person within the meaning of article 49 of the FPO or article 22 of the CIS Exemption Order; (c) classified as a professional client or eligible counterparty in accordance with the new conduct of business rules of the UK Financial Conduct Authority ( COBS ); or (d) a person to whom the Prospectus was otherwise lawfully communicated or caused to be communicated in the United Kingdom. 8. Fund holdings are available on the www.northerntrust.com/pooledfunds website. Some clients receive additional information and/or reports on a frequent basis. Please contact your Relationship Manager to discuss any reporting needs. 9. My/Our liability under the terms set out in this form shall be limited, in the absence of fraud, negligence, wilful default and bad faith, to our holdings of shares in the Fund from time to time. northerntrust.com 4 of 5

AUTHORISED SIGNATORIES Signature 1 Name Signatory Capacity if applicable (i.e Director/Manager) Signature 2 Name Signatory Capacity if applicable (i.e Director/Manager) Signature 3 Name Signatory Capacity if applicable (i.e Director/Manager) Signature 4 Name Signatory Capacity if applicable (i.e Director/Manager) Date (day/month/year) northerntrust.com 5 of 5