Investment Process: Investing and Portfolio Monitoring The Portfolio Advisor will primarily pursue a hold-to-maturity strategy' Origination Due Diligence Process Maximize Value Seek to optimize value from investments through OID and other fee events during the life of the investment Minimize Risk • Review investment performance quarterly, update investment outlook, communicate with borrower management • Monitor wider market themes and sector trends. assess impact on the Issuers Portfolio Manage within Investment Guidelines • Monitor Portfolio and assc:ss ,flvestments for pro forma compliance with the Issuers Investment Guidelines Investing and Portfolio Monitoring Optimize Invested Tenor • Structure and purchase investments within tenor beyond the Reinvestment Period of the Issuer • Negotiate prepayment protection where possible (1) Strategy is indicative and subject to adaptation and change in particular contexts. For illustrative purposes only. Deutsche Asset Management Infrastructure Debt Presentation: RIN II Equity March 2018 36 CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e) DB-SDNY-0066947 CONFIDENTIAL SDNY_GM_00213131 EFTA01372993