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Glilot Capital Partners IV SPV 2 Files SEC Form for Investment Company Act Exemptions

Glilot Capital Partners IV SPV 2, a limited partnership, filed an SEC document on March 17, 2026, specifying exemptions under Sections 3(c)(1) and 3(c)(7) of the Investment Company Act.

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Glilot Capital Partners IV SPV 2 Submits SEC Filing

On March 17, 2026, Glilot Capital Partners IV SPV 2, a limited partnership with filer CIK 0002121125, filed a document with the SEC under accession number 0002121125-26-000001, according to SEC EDGAR. The filing includes Item 3C related to the Investment Company Act, specifically claiming exemptions under Section 3(c)(1) and Section 3(c)(7).

Details of the Filing

The document, sized at 9 KB, was submitted as part of standard regulatory requirements for investment entities. It explicitly references Item 3C.1 for Section 3(c)(1) and Item 3C.7 for Section 3(c)(7), both of which are provisions under the Investment Company Act, as noted in the filing. As widely known, these sections relate to exemptions for certain private funds, though specifics depend on the entity’s structure.

Exemptions Claimed

Glilot Capital Partners IV SPV 2’s filing highlights its reliance on Section 3(c)(1) and Section 3(c)(7) exemptions, according to SEC EDGAR. These items indicate the entity’s intent to operate under these specific regulatory carve-outs. As a widely recognized aspect of US securities law, such exemptions allow certain funds to avoid registration requirements.

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