FORM 1C
VISION L.P.
QUESTIONNAIRE FOR EXEMPT
COMMODITY TRADING ADVISORS
1. What is your relationship with the individual whose account you intend to manage?
2. Describe the circumstances under which you came in contact with the holder of the account. Was the customer solicited by you?
3. Do you receive compensation in connection with providing advice to the account? If so, what is the basis for the compensation?
4.Are you registered or pending to be registered as an associated person or entity in either the futures or securities industry?
5. HOW many accounts have you managed in the past 12 months?
6. How many accounts do you intend to manage?
7. Do you anticipate registering in any capacity in the futures or securities industry? Please explain.
8.Do you advertise or otherwise hold yourself out to the public as a CTA?
9.How are you currently employed?
Date ________________
(Signature of Exempt Person) X ____________________________________
(Print Name of Exempt Person) ____________________________________
Rev. April, 1995