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Centre Lane Partners VI, L.P. Files SEC Notice for Section 3(c)(7) Exemption

Centre Lane Partners VI, L.P. filed a notice with the SEC on May 5, 2026, under Section 3(c)(7) of the Investment Company Act.

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Centre Lane Partners VI, L.P. Seeks Exemption Under Investment Company Act

Centre Lane Partners VI, L.P., identified by CIK number 0002045504, filed a notice with the SEC on May 5, 2026, specifying an exemption under Section 3(c) of the Investment Company Act, particularly Section 3(c)(7). According to SEC EDGAR, this filing includes Item 3C.7, which relates to the fund’s status. The document, with accession number 0001012975-26-000399, was submitted as a 10 KB filing.

Details of the Filing

The filing explicitly references Item 3C, covering the Investment Company Act Section 3(c), and Item 3C.7 for Section 3(c)(7). According to SEC EDGAR, Centre Lane Partners VI, L.P. is the filer in this case. As widely-known context, Section 3(c)(7) typically applies to private funds whose investors are qualified purchasers, though the filing itself does not provide further specifics.

Implications of the Exemption Claim

In the filing, Centre Lane Partners VI, L.P. indicates reliance on Section 3(c)(7), which, as per the source, is part of the exemptions under the Investment Company Act. According to SEC EDGAR, the document’s size is 10 KB, suggesting a straightforward submission. This aligns with routine regulatory processes for funds navigating exemptions.

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