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Blue Ocean Onshore Fund II LP Files SEC Document for Section 3(c)(7)

Blue Ocean Onshore Fund II LP filed a SEC document on April 13, 2026, citing Section 3(c)(7) of the Investment Company Act.

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Blue Ocean Onshore Fund II LP Submits SEC Filing

Blue Ocean Onshore Fund II LP, identified by CIK 0001966600, filed a document with the SEC on April 13, 2026, under Accession Number 0001966600-26-000001, which pertains to Item 3C of the Investment Company Act, specifically Section 3(c). According to SEC EDGAR, this filing includes Item 3C.7 related to Section 3(c)(7).

Filing Details

The filing for Blue Ocean Onshore Fund II LP is dated April 13, 2026, and has a file size of 8 KB, as recorded in the SEC EDGAR system. It explicitly references Section 3(c)(7), which is part of the Investment Company Act. According to SEC EDGAR, the document is titled “D/A - Blue Ocean Onshore Fund II LP (0001966600) (Filer)” and involves these specific regulatory items.

Regulatory Context

As widely known, Section 3(c) of the Investment Company Act provides exemptions for certain private funds, and Section 3(c)(7) applies to funds whose investors are qualified purchasers. The filing by Blue Ocean Onshore Fund II LP aligns with this framework, according to SEC EDGAR.

Implications for Fund Managers

Blue Ocean Onshore Fund II LP’s reference to Section 3(c)(7) in its April 13, 2026, filing indicates compliance with exemptions under the Investment Company Act.

Sources
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