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Capmont MidCap Fund II SCSp Files SEC Exemption Notice

Capmont MidCap Fund II SCSp filed a notice with the SEC on March 23, 2026, for exemptions under Investment Company Act Sections 3(c)(1) and 3(c)(7).

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Capmont MidCap Fund II SCSp Submits SEC Filing

Capmont MidCap Fund II SCSp, identified by CIK number 2106367, filed a notice with the SEC on March 23, 2026, according to SEC EDGAR. The filing includes Item 3C related to the Investment Company Act Section 3(c), specifically Item 3C.1 for Section 3(c)(1) and Item 3C.7 for Section 3(c)(7). As is widely known, these sections provide exemptions for certain private funds from registration requirements under U.S. securities laws.

Details of the Filing

The filing was submitted with accession number 0002106367-26-000001 and has a file size of 9 KB. Capmont MidCap Fund II SCSp is the filer, and the document pertains directly to exemptions under the Investment Company Act. According to SEC EDGAR, the notice was made publicly available through the SEC’s archives.

Exemptions Under the Investment Company Act

Item 3C.1 in the filing references Section 3(c)(1) of the Investment Company Act, while Item 3C.7 references Section 3(c)(7). These items indicate the fund’s intent to claim these specific exemptions. As widely known context, Section 3(c)(1) typically applies to funds not making a public offering, and Section 3(c)(7) applies to funds whose investors are qualified purchasers, both of which are standard provisions in the Act.

Implications of the Notice

The filing confirms Capmont MidCap Fund II SCSp’s compliance with SEC reporting for these exemptions, according to SEC EDGAR.

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