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ESTOR DETAILSVESTOR DETAILS A. IMPORTANT INFORMATION PSG Global Equity Sub-Fund PSG Global Flexible Sub-Fund Additional Investment The Funds are segregated sub-funds of PSG Global Funds SICAV p.l.c. and of PSG International Funds SICAV p.l.c., respectively (the Umbrellas / Companies and each an Umbrella / Company ). The Umbrellas and the Funds qualify as Maltese UCITS Funds and are each managed by PSG Fund Management (Malta) Ltd. Please familiarise yourself with the relevant Scheme Particulars and Supplemental Scheme Particulars relating to the Fund you propose to invest in. Complete all sections of this form. The cut off time for processing investment transactions is 12h00 noon CET one business day prior to dealing day. The completed form, proof of payment, Know Your Client documentation and confirmation of banking details (certified copy, if changed) should be emailed to offshore.instructions@psgadmin.co.za or faxed to PSG Asset Management, on +27 (11) 263 6099. Original documents to be posted where required. Please refer to the rules regarding emailed and faxed application forms as set out in the Authorisation, Declaration and Acknowledgement on the Application Form. Please inform us in writing should any of your personal details change. E B. INVESTOR DETAILS Investor number Investor name Full name and surname / Entity name Contact number Email address S C. SOURCE OF CONTRIBUTION Source of amount invested (proof may be requested) Salary Bonus Retirement Savings Inheritance Gift Other We reserve the right to request proof of source of wealth if needed. We only accept deposits (investments) directly from our clients. Deposits from anyone other than a client are not allowed unless the client provides sufficient due diligence documentation on the depositor before the payment is made. No payment received from a third party will be invested until the necessary documentation is received and reviewed. D. INVESTMENT DETAILS I apply to invest in the funds listed below, in accordance with the provisions of the Prospectus and Supplemental Deed, at the ruling price at the close of business on the business day preceding the relevant dealing day of the investment funds by PSG Fund Management (Malta) Limited provided the instruction and funds are received for processing prior to 12h00 noon CET on the business day preceding the relevant dealing day. Fund Name Lump sum amount min USD 5,000, with USD 1,000 top up Initial advice fee max of 2.00% Fund Class Service fee included in unit price and sale of units advice fee Max of 1.20% in total PSG Global Funds SICAV plc: PSG Global Equity Sub-Fund (USD) A 0.50% B PSG International Funds SICAV plc: PSG Global Flexible Sub-Fund (USD) A 0.50% B Fund Class Sale of units advice fee (clean classes) Max of 1.20% Financial Adviser Fees (Advice fee and Services fee) The Financial Adviser may receive an initial advice fee and an annual service fee from the client, as well as an annual advice fee from PSG Fund Management (Malta) Limited. Clean class funds have been introduced which contain no annual advice fee. Please specify all financial adviser fees that have not been pre-populated in the above table. The total financial adviser fee may not exceed 1.20% p.a. per portfolio. Refer to the table above for details of such maximums. In respect of Initial Fees and annual Advice Fees, please note that if no fees have been specified, 0% will apply. If a fee higher than the maximum has been specified, the maximum will apply. Initial Fees may only be taken in 0.25% increments, and annual Advice Fees in 0.05% increments. I, the investor, hereby confirm to PSG Fund Management (Malta) Limited that the FSP indicated in Section H is my appointed financial adviser and authorise the payment of the fees stipulated as in the table to me. I understand that the Financial Adviser annual Advice Fee will be facilitated by the repurchase of units on a monthly basis from my investment before being paid to my appointed financial adviser. PAGE 1

I understand that the selected financial adviser fees are negotiated between the Investor and the Financial Adviser and I cannot hold PSG Fund Management (Malta) Limited liable for acting on these negotiated instructions. Please note each Umbrella is constituted as a multi-fund SICAV under Maltese law each having a number of sub-funds. Each Fund constitutes a distinct and separate patrimony of the related Umbrella and additional sub-funds may be created from time to time. Investors are expressly requested to inform themselves of the specific risks attributable to their proposed investment in order to ascertain whether an investment suits their own risk profile and criteria. (First named signatory) I (Second named signatory) SOUTH AFRICAN INVESTORS WITH FUNDS ALREADY OFFSHORE: Please return this additional investment form together with a copy of your completed Bank Instruction Letter (available from page 5 of this form). The original Bank Instruction Letter must be sent to your bank. The subscription amount must be transferred to PSG Fund Management (Malta) Limited CLT account ( PSG CLT account ) in USD. If the currency of origin is not the same as the currency of the fund (USD) then please arrange with your bank to convert the amount to the currency of the fund (USD) based on an exchange rate you are comfortable with before making the deposit. Does not apply to ZAR. ANNUAL MANAGEMENT FEE Fund name PSG Global Funds SICAV plc: Annual Management Fee Class A Performance fee Class B PSG Global Equity Sub-Fund (USD) 1.50% No performance fee 1.00% PSG International Funds SICAV plc: PSG Global Flexible Sub-Fund (USD) 1.00% 7% above High Water Mark 0.50% Please see the relevant Key Investor Information Document and Offering Supplement for details. Frequently Asked Questions on Performance Fees are available on the website. E. FINANCIAL SERVICE PROVIDER (FSP) AUTHORISATION I have met with the investor prior to the investment being placed with PSG Fund Management (Malta) Limited and the necessary due diligence process as required by legislation per Section H of the Application Form has been satisfactorily carried out. I confirm that I subscribe and adhere to the fit and proper requirement and other statutory obligations and criteria imposed by legislation covering advice dispensed and/or intermediary services rendered to investors. I declare that I am required to sign an Intermediary Partner Agreement and I shall comply with the provisions set out in the Intermediary Partner Agreement entered into between myself and PSG Fund Management (Malta) Limited. I acknowledge that incomplete documentation may, at the discretion of PSG Fund Management (Malta) Ltd or the Umbrella, be returned and may, also at the discretion of PSG Fund Management (Malta) Ltd or the Umbrella, lead to a delay in processing this Investment Application and/or to the return of the Clients funds. I have ticked the appropriate boxes and supplied relevant information above as confirmation of the original source of the funds being used for this investment (i.e. the activity that generated the funds). I confirm that to the best of my knowledge and belief the Client is of good standing and the information provided in relation to the source of the funds is true and complete. I am unaware of any activities in which the Client is involved which lead me to suspect that the Client is involved in any criminal activity and/or money laundering/terrorist financing. I understand the risks for clients associated with investing in International Funds and have conducted a thorough investigation on the suitability of these investments for my Client. I confirm that I have only promoted to my Client funds, that I am aware may be lawfully promoted to them in my jurisdiction. Name of FSP FSP number Name of financial adviser PSG Offshore Asset Management adviser code Email address Signature of financial adviser PAGE 2

F. EFFECTIVE ANNUAL COST The Effective Annual Cost (EAC) is a measure which has been introduced to allow you to compare the charges you incur and their impact on investment returns when you invest in different Financial Products. It is expressed as an annualised percentage. The EAC is made up of four components, which are added together, as shown in the results of the EAC Calculator available on our website. The effect of some of the charges may vary, depending on your investment period. The EAC calculation assumes that an investor terminates his or her investment in the Financial Product at the end of the relevant periods shown in the table. We recommend that you perform the EAC calculation before investing. To access the Effective Annual Cost Calculator in respect of the foreign currency denominated funds, please follow the link at http://tools.psg.co.za/eac/offshoreassetmanagementcalculator. G. DECLARATION IMPORTANT INFORMATION The buying price of Shares may include a non-recurring initial charge and compulsory charges. An annual management fee is levied monthly on the market value of the share portfolio. The fees may vary between sub-funds. A schedule of fees, charges and maximum commissions is available from the Management Company. Statements will be sent on a quarterly basis. I hereby acknowledge that I have received and considered the latest Prospectus and Offering Supplement in connection with the Fund and that this application is made on the terms enclosed both therein and in the Fund s principal documents. I have read and understood the Key Investor Information Document Declarations. I understand that this additional investment is subject to the terms and conditions laid out in my original application and that I remain bound by such conditions contained therein. I confirm that I have performed the Effective Annual Cost calculation at http://tools.psg.co.za/eac/offshoreassetmanagementcalculator and obtained all costs applicable to my planned investment. There have been no changes in my tax or PEP status since my initial application. (First named signature) (Second named signature) PSG Fund Management (Malta) Limited was registered in Malta on the 8 th January 2013 and is a wholly owned subsidiary of PSG Fund Management (CI) Limited, a company incorporated in Guernsey and ultimately owned by PSG Group Limited which is listed on the JSE Securities Exchange. PSG Fund Management (Malta) Limited as UCITS manager as well as each of the Umbrellas as UCITS Schemes are authorised and regulated by the Malta Financial Services Authority (the MFSA ) in each case under the Investment Services Act (Cap. 370, laws of Malta) ( ISA ). Vistra Fund Services (Guernsey) Limited as administrator is licensed by The Guernsey Financial Services Commission ( GFSC ) to conduct controlled investment business under the Protection of Investors (Bailiwick of Guernsey) Law 1987, as amended. Investors in these funds are not eligible for the payment of any compensation under the Investor Compensation Scheme Regulations issued under the ISA. REPRESENTATIVE OFFICE MANAGER ADMINISTRATOR PSG Collective Investments (RF) Limited PSG Fund Management (Malta) Limited Vistra Fund Services (Guernsey) Limited Private Bag X3, Constantia, 7848, SmartCity Malta, SCM01, Ground Floor, Unit G02, 11 New Street, St Peter Port, South Africa Ricasoli, Kalkara SCM 1001, Malta Guernsey, GY1 2PF Telephone: +27 (21) 7998000 Telephone: +356 21807586 Telephone: +44 1481 726034 Fax: +27 (11) 2636099 Fax: +44 1481 726029 Email: offshore.queries@psgadmin.co.za (queries) offshore.instructions@psgadmin.co.za (instructions) Website: www.psgkglobal.com PAGE 3

KNOW YOUR CLIENT DUE DILIGENCE REQUIREMENTS Additional or updated documentation may be requested in certain circumstances. (Please ensure information is provided in English, or that the relevant sections have been translated. Kindly note that translations must be dated, signed and certified by an independent person of proven competence, confirming that it is a faithful translation of the original). INDIVIDUAL Certified copy of one of the following confirming the identity: Current Valid Passport National Identity Card or similar government-issued Document Driving License (including photograph) Armed Forces Identity Card (must be clear) Please include two (2) specimen signatures at the bottom of the document Confirmation of address Certified copy of one of the following confirming the residential address: A utility bill A council tax bill/assessment An income tax form/extract A bank statement from a recognized credit institution Any government-issued document as listed above, where a clear indication of residential address is provided (All above to be less than three months old) Proof of tax registration TRUST Trustees - as per individual requirements, or company requirements for corporate Trustees Certified copy or extract from Regulator s website of the authorization of the trustee to act in such capacity All other parties to the trust (Principle Beneficiaries, Settlors and Protectors) - as per individual identification requirements Authenticated relevant extract or full certified copy of Trust deed pages showing name of trust, the parties to the trust and the signature pages and, the nature and purpose of the trust, and country of establishment Confirmation of address Trustees - as per individual requirements Beneficiaries - as per individual requirements Settlor- as per individual requirements Protector - as per individual requirements Related Due Diligence List of names and addresses of all Trustees Authorised signatory list including specimen signatures Trustees resolution authorizing the investment CORPORATION Certified copy of the Certificate of Incorporation Board resolution authorising the investment Latest Annual Reports and Accounts (or for listed companies, details of listing i.e. exchange and company codes) Authorised signatory list (with specimen signatures) A certified copy of the Memorandum and Articles of Association A copy of the Shareholder's Register A certified copy of the organisational structure and explanation of ownership If the company is not either listed on a recognized exchange, or a stockbroker, then please also supply the following: Full name(s), place(s) and date(s) of birth, permanent resident address(es) and nationality of all directors and all shareholders with at least 25% interest, and any other person/entity with control over the company's assets Each person with at least 25% interest or persons exercising control over the company s assets needs to supply full due diligence as per individual requirements (i.e. and Confirmation of Address) Certification of documents The following people are permitted to certify the documentation Lawyer Chartered Accountant Serving Police or Customs Officer Notary Public Member of Judiciary Senior Civil Servant Actuary An Embassy, Consulate or High Commissioner of the country of issue of the document Director, Officer or Manager of a regulated financial services business (e.g. Bank Manager) operating in an equivalent jurisdiction to Guernsey PARTNERSHIP Latest Annual Reports and Accounts A certified copy of the Partnership Agreement A certified copy of the organizational structure and explanation of ownership Authorised signatory list (with specimen signatures) Resolution of the partners Each beneficial owner with at least 25% interest or persons exercising control over the management of the partnership need to supply full due diligence as per individual requirements (i.e. and Confirmation of Address) The certification should contain the following information Signature of the certifier Printed name of the certifier Position title Contact details PAGE 4

BANK INSTRUCTION LETTER Please complete this instruction and return the document to your bank. Please return a copy of the completed instruction to us with your application form. Please note that we may not be able to process payment instruction with insufficient or incorrect details. If the currency of origin is not USD then arrange with your bank to convert the amount to USD based on an exchange rate you are comfortable with before making the deposit; or Deposit the currency of origin directly into PSG CLT account in which event Sparkasse Bank Malta plc will automatically convert the currency of origin to USD at the Bank s standard exchange rate on that day. YOUR BANK ACCOUNT DETAILS COMPL To the manager of Bank/building society Address My account name My account number Please remit the sum of (indicate currency and amount) INCE DEPARTMENT Net of all charges by telegraphic transfer to the account indicated below. When making the payment, please quote my full name as a reference. (Please indicate below the account to which payment is to be made). Payments should be made payable to PSG Fund Management Malta Limited CLT. US DOLLAR DEPOSITS Beneficiary Bank Address Beneficiary name USD Giro Account No BIC No / Swift USB IBAN Sparkasse Bank Malta plc 101 Townsquare, Ix-Xatt ta Qui-si-Sana Sliema SLM3112 Malta PSG Fund Management (Malta) Limited CLT 10000026177040 SBMTMTMT MT81SBMT55505000010000026177040 Intermediary Bank Intermediary Swift Raiffeisen Bank International RZBAATWW Kindly contact us for further information should you require Correspondence bank details. YOUR AUTHORISATION: First named signatory PAGE 5