Olympia Energy Fund Ltd.

Class A (USD)

Fund Investment Objectives

The Fund seeks capital appreciation through a structured program of investment in investment companies and other pooled funds and managed accounts (i.e., Portfolio Investments) that are trading in energy commodities, and/or are invested in assets exposed to the energy sector, and/or are invested in financial products issued by the energy industry. Such Portfolio Investments are analyzed, selected, monitored and rebalanced on an active and ongoing basis by Olympia Capital Management S.A., the Allocation Manager. Portfolio Investments held by the Company will invest in energy commodities or activities including oil, power, renewable energies and natural resources employing the following strategies (but not limited to): Commodity Trading Advisors, Macro on energy, Equity Long/Short on entities (typically companies), Equity Market Neutral, Physical trading.