MaxLife Management MaxLife CGP Partners,
LLC - JV
Company 2
MaxLife CGP Partners, LLC

MR. DOUGLAS W. MILLER is the Chief Executive Officer of Capital Growth Planning, Inc. (“CGP”) and Capital Growth Insurance Services, Inc. (“CGIS”). Mr. Miller began his association with CGP in August of 1988 after receiving his Bachelor of Science degree in Business Administration - Financial Services from Fresno State University. In 1991, Mr. Miller successfully completed Northwestern Mutual’s Career Agent Development Program and has been a member of the Million Dollar Round Table (MDRT) since 2002. Until accepting the office of CEO on July 1, 2007,Mr.Miller oversaw, and continues to oversee the design, development and marketing of the Company’s insurance, securities, and investment products and programs for national syndication and growth. Mr. Miller will continue to work directly with sales representatives and agents, as well as existing and prospective Clients, regarding the Company’s new product structures, until all test marketing and product development is complete. Mr. Miller is a Registered representative with FINRA (Series 7 & 63). Mr. Miller also holds Real Estate and Life Insurance licenses with the State of California and multiple nonresidence Life Insurance licenses in 40 or more states.

MR. JERRY SEXTON is the President of Capital Growth Planning, Inc., Capital Growth Insurance Services, Inc., and Capital Growth Realty, Inc. Mr. Sexton began his association with CGP in 1996. Mr. Sexton is responsible for the research, development, and design of its insurance and securities products for national syndication. Mr. Sexton has been a member of the Million Dollar Round Table since 2003. Mr. Sexton also works directly with sales representatives and agents, as well as existing and prospective clients, with regards to the Company’s new product structures. Mr. Sexton is a Registered Representative with FINRA and a Registered Investment Advisor with the State of California (Series 7, 63 & 65). Mr. Sexton is also a Certified Senior Advisor and holds Real Estate and Life Insurance licenses with the State of California, and multiple non-residence Life Insurance licenses in 20 or more states.

MR. MARK E. STUTZMAN, ESQ. is the General Counsel and Corporate Secretary for Capital Growth Planning, Inc. and all its subsidiary companies, and is licensed to practice law in California. Mr. Stutzman joined CGP in October 1997 after twelve years in private practice. Mr. Stutzman earned his bachelor’s degree in Political Science from the University of California, Berkeley and earned his Juris Doctorate from Northwestern School of Law, Lewis & Clark College, graduating with Honors. Mr. Stutzman coordinates the drafting and approval of legal documents used in the Company’s product structures, as well as the coordination and due diligence process for all products and/or offerings that are placed through CGR. Other responsibilities include maintaining corporate records and managing all the legal affairs of the Company and its subsidiaries. Mr. Stutzman is a Registered Representative with FINRA (Series 7 & 63) and holds a Life Insurance licensewith the State of California.

MR. THOMAS M. TICE is the President and Chief Financial Officer for Capital Administrative Services, Inc., Life Funding Partners, Inc., and Capital Life Assets, Inc. Mr. Tice is also the Chief Information Officer for CGP. Mr. Tice began his association with CGP in July of 1977. Mr. Tice is involved in all aspects of client development, case coordination, and trust administration involving the three subsidiaries noted above and database information management for CGP. Mr. Tice is a Registered Securities Principal with FINRA (Series 7 & 24) and qualifies as a Registered Investment Advisor with the State of California.

MS. lORIE I. COOK is the President, Chief Compliance Officer, and the Managing Director of Broker/Dealer services for Capital Growth Resources. Ms. Cook is also the Chief Operating Officer and Controller for Capital Growth Planning, Inc. and all its subsidiaries, except Capital Administrative Services, Inc. and Capital Life Assets, Inc. Ms. Cook began her career with CGP in October 1980. In addition to managing the office staff, she is responsible for the corporate books, as well as all licensing and supervision matters. Ms. Cook is a Registered Securities and Financial Principal with FINRA (Series 7, 24 & 27) and qualifies as a Registered Investment Advisor with the State of California. Ms. Cook also holds Real Estate and Life Insurance licenses with the State of California.