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Bybrook Capital Fund LP Files SEC Document on Section 3(c)(7)

Bybrook Capital Fund LP submitted a filing to the SEC on April 10, 2026, under Item 3C.7 related to Section 3(c)(7) of the Investment Company Act.

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Bybrook Capital Fund LP Submits SEC Filing

On April 10, 2026, Bybrook Capital Fund LP, identified by CIK number 0001605765, filed a document with the SEC under accession number 0000902664-26-001953, according to SEC EDGAR. The filing, sized at 9 KB, pertains to Item 3C of the Investment Company Act, specifically Item 3C.7 referencing Section 3(c)(7).

Details of the Filing

The document is titled “D/A - Bybrook Capital Fund LP” and was submitted as a formal SEC EDGAR entry. It explicitly addresses Section 3(c)(7) under the Investment Company Act, as noted in the filing’s items. As is widely known, Section 3(c)(7) applies to certain private funds, though this filing does not specify further details beyond its reference.

Background on the Investment Company Act

Bybrook Capital Fund LP’s filing falls under the broader framework of the Investment Company Act, with Item 3C indicating compliance or exemption matters. According to SEC EDGAR, the focus on Section 3(c)(7) aligns with provisions for qualified investors, though the source material limits details to this specific item.

Sources
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