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Blue Ocean Onshore Fund II LP Files Under Investment Company Act Section 3(c)(7)

Blue Ocean Onshore Fund II LP submitted a filing to the SEC on April 13, 2026, claiming exemption under Section 3(c)(7) of the Investment Company Act.

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Blue Ocean Onshore Fund II LP’s Recent SEC Filing

Blue Ocean Onshore Fund II LP, with CIK number 1966600, filed a document with the SEC on April 13, 2026, specifying its status under Item 3C of the Investment Company Act, particularly Section 3(c)(7), according to SEC EDGAR. This filing, which is 8 KB in size and includes Accession Number 0001966600-26-000001, indicates the fund’s reliance on this exemption.

Filing Details

The filing by Blue Ocean Onshore Fund II LP centers on Item 3C.7, directly referencing Section 3(c)(7) of the Investment Company Act, as documented in the SEC EDGAR records. This item pertains to the fund’s assertion of exemption from certain registration requirements. The document was submitted under the title “D/A - Blue Ocean Onshore Fund II LP (0001966600) (Filer).”

Regulatory Context

As widely known, Section 3(c)(7) of the Investment Company Act exempts private funds where all investors are qualified purchasers, though this filing does not specify investor details. According to SEC EDGAR, such filings are common for funds seeking to operate without full registration, allowing Blue Ocean Onshore Fund II LP to proceed under this provision.

Sources
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