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FFL VI Rome Co-Investment Parallel Fund Files Under Section 3(c)(7)

D - FFL VI Rome Co-Investment Parallel Fund, L.P. filed a document with the SEC on March 20, 2026, citing Investment Company Act Section 3(c) and 3(c)(7).

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FFL VI Rome Co-Investment Parallel Fund Submits SEC Filing

On March 20, 2026, D - FFL VI Rome Co-Investment Parallel Fund, L.P. filed a document with the SEC, as indicated in the filing with Accession Number 0002123000-26-000001, according to SEC EDGAR. The filing specifies Item 3C under the Investment Company Act Section 3(c) and Item 3C.7 under Section 3(c)(7). This document, identified by CIK 0002123000, has a file size of 8 KB.

Details of the Filing

The filing for D - FFL VI Rome Co-Investment Parallel Fund, L.P. explicitly references Section 3(c)(7) of the Investment Company Act, which pertains to exemptions for certain private funds. As widely known, Section 3(c)(7) applies to funds where investors meet specific qualification criteria, though the filing itself does not provide additional details beyond the cited items. According to SEC EDGAR, the document was submitted under standard SEC procedures for such exemptions.

Fund and Regulatory Context

D - FFL VI Rome Co-Investment Parallel Fund, L.P. is the entity named in the filing, with the document including references to both Section 3(c) and Section 3(c)(7). Section 3(c) of the Investment Company Act broadly addresses exemptions, and the filing’s inclusion of 3(c)(7) aligns with its specific focus. According to SEC EDGAR, this filing represents a routine submission for funds seeking such regulatory status.

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