Silver 8 Capital, LLC

IMPORTANT INFORMATION

The following important information relates to the use of Silver 8 Capital, LLC website. Please read it and acknowledge your acceptance before accessing this website.

This website is directed only at persons who:

a) Are expert investors who fall within the definition of "accredited investors." The term accredited investor is defined in Rule 501 of Regulation D (SEC)

b) Are otherwise permitted to view this website in compliance with the governing laws of their respective jurisdiction.

It is not directed at or intended for retail clients.

Any person considering an investment into any of Silver 8 Capital products must ensure that they are suitably qualified, experienced and knowledgeable on such investments considering jurisdictional rules, regulations and restrictions, tax implications, residence or domicile and their financial circumstances.

Performance of Silver 8 Partners, LP is shown after management fees, expenses and profit allocation, if any, to the General Partner. Performance will differ for Limited Partners, as private investments are allocated only to existing Limited Partners at the time of the private investment is executed. The Partnership is audited on a calendar-year basis. Performance for 2016 as prepared by the fund administrator, Atlas Fund Services (USA), unaudited and subject to revision. Performance for hedge fund indexes is given for information purposes only, as the Partnership may employ investment strategies considerably different from those employed by index constituents. There is no assurance that past performance of Silver 8 Partners, LP is an indication or guarantee of similar performance in the future. No representation is made that any returns will be achieved.

The information contained herein is provided to you for informational purposes only and is not, and may not be relied on in any manner as legal, tax or investment advice and does not constitute an offer to sell or a solicitation of an offer to buy an interest in Silver 8 Partners, LP (the ”Fund”). A private offering of interests in the Fund will only be made pursuant to the Fund’s confidential private placement memorandum (as supplemented from time to time), the Fund’s Limited Partnership Agreement and Subscription Agreement (collectively the “Offering Documents”) which will be furnished to qualified investors on a confidential basis at their request for consideration in connection with the offering and will be subject to the terms and conditions contained in such documents. The information contained herein provides a summary only any is superseded by, and qualified in its entirety by reference to the Offering Documents which contain additional information about the investment objective, terms and conditions of an investment in the Fund and also tax information and risk disclosures that are important to any investment decision regarding the Fund. Interests in the Fund will only be offered to investors who are both “accredited investors” as defined in Regulation D under the U.S. Securities Act of 1933, as amended, and “qualified clients” as defined in the Investment Company Act of 1940, as amended.

Certain information contained herein has been obtained from published sources and/or prepared by third parties. While the General Partner believes that such information is reliable for the purposes used herein, neither the General Partner of the Fund nor its respective partner’s, shareholders, directors, officers, employees, agents or affiliates assumes any responsibility for the accuracy of such information.

Unauthorized reproduction or distribution of any or all of this material is strictly prohibited.