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Qena Capital Partners Files Section 3(c)(1) Exemption Notice

Qena Capital Partners Offshore, Ltd. submitted a filing under Section 3(c)(1) of the Investment Company Act on March 24, 2026, as per SEC records.

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Qena Capital Partners Submits SEC Filing

On March 24, 2026, Qena Capital Partners Offshore, Ltd. filed a notice with the SEC under Item 3C of the Investment Company Act, specifically citing Section 3(c)(1), according to SEC EDGAR. The filing, identified by Accession Number 0001013594-26-000389, relates to the entity’s status as an investment company.

Filing Details

The document was submitted by Qena Capital Partners Offshore, Ltd., with CIK number 1684109, and measures 7 KB in size. It explicitly references Item 3C.1, which pertains to Section 3(c)(1) of the Investment Company Act. As is widely known, this section generally applies to certain private funds, though specifics from this filing are limited to the stated items.

Entity and Regulatory Context

Qena Capital Partners Offshore, Ltd. is the filer in this case, and the submission aligns with routine regulatory requirements for entities under the Investment Company Act. According to SEC EDGAR, the filing includes no additional details beyond the reference to Section 3(c)(1). This reflects standard procedures for claiming exemptions, as outlined in the act.

Implications of the Filing

The filing indicates that Qena Capital Partners Offshore, Ltd. is invoking Section 3(c)(1), which, as a widely recognized provision, allows certain entities to operate without full registration. This submission on March 24, 2026, underscores the entity’s compliance with SEC protocols, per the document’s content.

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