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Brentwood Associates Private Equity VII, L.P. Files SEC Document on Investment Company Act

Brentwood Associates Private Equity VII, L.P. filed a SEC document on March 31, 2026, citing exemptions under Investment Company Act Section 3(c).

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Brentwood Associates Private Equity VII, L.P. Submits SEC Filing

Brentwood Associates Private Equity VII, L.P., identified by CIK number 0001958889, filed a document with the SEC on March 31, 2026, specifying that it operates under Investment Company Act Section 3(c), including subsections 3(c)(1) and 3(c)(7), according to SEC EDGAR.

Filing Overview

The filing, designated as a D/A type, carries the accession number 0001958889-26-000001 and has a file size of 11 KB. It explicitly references Item 3C, which pertains to the Investment Company Act Section 3(c), with details on 3(c)(1) and 3(c)(7) as part of the document’s content.

Details of Exemptions Claimed

The document indicates that Brentwood Associates Private Equity VII, L.P. is invoking Section 3(c)(1) and Section 3(c)(7) of the Investment Company Act. As widely-known context, these sections are exemptions under U.S. federal securities laws for certain private funds, though specifics beyond the filing are not detailed here.

Significance in Regulatory Context

This filing by Brentwood Associates Private Equity VII, L.P. aligns with standard SEC procedures for entities under the Investment Company Act, according to SEC EDGAR.

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