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Ghisallo Credit Opportunity Partners LP Files Under Section 3(c)(7)

Ghisallo Credit Opportunity Partners LP filed a document related to Section 3(c)(7) of the Investment Company Act on March 20, 2026, as per SEC records.

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Ghisallo Credit Opportunity Partners LP Submits SEC Filing

On March 20, 2026, Ghisallo Credit Opportunity Partners LP, identified by CIK number 0001964787, filed a document with the SEC under Accession Number 0000950142-26-000796, according to SEC EDGAR. The filing includes Item 3C, which pertains to the Investment Company Act Section 3(c).

Filing Details

The document specifies Item 3C.7, directly referencing Section 3(c)(7), and has a file size of 7 KB, as recorded in the SEC EDGAR system. Ghisallo Credit Opportunity Partners LP is listed as the filer in this submission. Section 3(c)(7) is a provision under the Investment Company Act that applies to certain private funds, according to SEC EDGAR.

Context of the Filing

The filing’s focus on Section 3(c)(7) aligns with requirements for exempt entities, as is widely known in U.S. securities regulations for private investment vehicles. As a widely recognized exemption, Section 3(c)(7) involves specific investor qualifications, though details in this filing are limited to the stated items. This marks the documented action by Ghisallo Credit Opportunity Partners LP on this date, according to SEC EDGAR.

Implications in Regulatory Framework

Item 3C in the filing explicitly covers aspects of the Investment Company Act Section 3(c), with Item 3C.7 narrowing to Section 3(c)(7), indicating compliance-related reporting. Such filings are part of standard SEC procedures for entities like Ghisallo Credit Opportunity Partners LP.

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