Privacy Policies and Procedures Baker Street Advisors, LLC

In compliance with the Securities and Exchange Commission’s Regulation S-P (Privacy of Consumer Financial Information), which
was adopted to comply with Section 504 of the Gramm-Leach-Bliley Act (the “G-L-B Act”), Baker Street Advisors, (collectively,
“ADVISER”) discloses to clients its policies and procedures regarding the use and safekeeping of personal information.

ADVISER collects personal, private information from its clients for a number of reasons, including, determining clients’ financial
goals and adequately servicing clients’ accounts from within ADVISER and with ADVISER’s service providers (i.e. – broker/dealers,
custodians, etc.). ADVISER strictly forbids client information to be sold to anyone outside of ADVISER. ADVISER understands
the importance of safeguarding client information and maintaining the privacy of its clients.

ADVISER’s privacy policy is set forth below: