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StepStone Boulder II Equity S, L.P. Files Under Investment Company Act Section 3(c)(7)

StepStone Boulder II Equity S, L.P. submitted a SEC filing on April 2, 2026, related to Section 3(c)(7) of the Investment Company Act.

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StepStone Boulder II Equity S, L.P. Submits SEC Filing

On April 2, 2026, StepStone Boulder II Equity S, L.P., with CIK number 0002124798, filed a document with the SEC under Accession Number 0002062357-26-000084, according to SEC EDGAR. The filing, which is 10 KB in size, includes references to Item 3C of the Investment Company Act Section 3(c) and specifically Item 3C.7, which pertains to Section 3(c)(7).

Details of the Filing

The entity StepStone Boulder II Equity S, L.P. is identified as the filer in this SEC EDGAR submission. The document was filed on April 2, 2026, and lists Item 3C as part of the Investment Company Act Section 3(c). Additionally, Item 3C.7 is explicitly mentioned, according to SEC EDGAR.

Regulatory Aspects

As is widely known in financial regulation, the Investment Company Act governs investment companies, and Section 3(c) provides exemptions for certain funds. In this filing, StepStone Boulder II Equity S, L.P. references Section 3(c)(7), which, as a matter of public record, relates to exemptions for funds with qualified investors. This aligns with the filing’s inclusion of Item 3C.7, according to SEC EDGAR.

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