PRIVATE FUNDS

CMWA fund reports $387.0M cumulative sales; 329 Form D notices indexed

The complete daily index for September 30, 2026, listed 329 Form D notices: 197 new notices and 132 amendments. Two selected filings reported cumulative sales, not sales attributable to the index date.

By Maya Chen··3 min read

The complete daily Form D index dated September 30, 2026, listed 329 notices. Its categories were 197 “New notices” and 132 amendments. The index date identifies the daily list; it does not establish that every notice was filed on September 30. The two filings discussed here are selected examples and do not establish the issuer mix of the full index.

Meridies Inc.

Meridies Inc. filed its Form D on September 30, 2026. The filing identifies the issuer as a corporation incorporated in Delaware and reports its industry group as “Other Real Estate.” It lists a total offering amount of $3.0 million, cumulative sales of $0.2 million as reported in the filing, and $2.8 million remaining. Those offering figures are cumulative amounts in the notice, not sales attributable to the index date.

The Meridies Inc. filing reports a sale date of September 17, 2026, and one investor already invested. Its related-person section lists Connor J. Haynes with the reported relationships of executive officer, director and promoter; the signature block names Connor Haynes and gives his title as President. These are details as reported in the filing, not independent verification of the issuer’s identity or Haynes’s roles.

CMWA Capital Appreciation Fund LLC

CMWA Capital Appreciation Fund LLC also filed its Form D on September 30, 2026. The filing reports $387.0 million in cumulative sales as reported and lists the total offering amount as indefinite. It reports 425 investors already invested, a minimum investment accepted of $700, and a sale date of January 3, 2005. The sales figure is cumulative as stated in this filing; it is not an amount raised on the index date.

The CMWA filing reports its industry group as “Pooled Investment Fund” and its investment fund type as “Other Investment Fund.” Its signature block names Neal B. Colby as signer and gives his title as Chief Compliance Officer. These classifications and the title are presented as reported in that filing, rather than as independently verified facts.

The filings provide different reported offering details: Meridies Inc. lists a finite offering amount and remaining amount, while CMWA lists its total offering amount as indefinite. Their filing-reported sales totals should be read alongside that distinction and the dates in each notice, not as a measure of activity on September 30. The complete index count covers Form D notices without limiting the count to private funds; the two selected filings are not a basis for describing the full index’s issuer types.

IssuerForm D filing dateSelected filing details
Meridies Inc.09/30/2026$0.2 million cumulative sales as reported; $3.0 million total offering amount
CMWA Capital Appreciation Fund LLC09/30/2026$387.0 million cumulative sales as reported; total offering amount listed as indefinite

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Complete filing list

All 329 Form D notices in the covered daily index, listed alphabetically by issuer. The filing date is preserved as reported; a daily index can include a notice with an earlier filing date. Each row links to its SEC filing.

Showing rows 226–250 of 329. The CSV contains the complete table.

IssuerFiling dateDaily index dateFormAccessionSEC filing
Prime Storage Fund IV In-Kind Fund, LP09/30/202609/30/2026D0000902664-26-003992View filing
Prime Storage Fund IV REIT-A, LLC09/30/202609/30/2026D0000902664-26-003996View filing
Prime Storage Fund IV REIT-F, LLC09/30/202609/30/2026D0000902664-26-003997View filing
Prime Storage Fund IV-A, LP09/30/202609/30/2026D0000902664-26-003995View filing
Prime Storage Fund IV-R, LP09/30/202609/30/2026D0000902664-26-003994View filing
Private Equity Portfolio, L.P.09/30/202609/30/2026D/A0002066195-26-000001View filing
proChain Ventures, a Series of Decile Start Fund, LP09/30/202609/30/2026D/A0002089421-26-000002View filing
Prysm Capital Opportunities Fund I, LLC09/30/202609/30/2026D/A0002157035-26-000004View filing
PSF IV Partners, LLC09/30/202609/30/2026D0000902664-26-003991View filing
PWA Gateway Blocker, LLC09/30/202609/30/2026D/A0002088037-26-000001View filing
Quinn Opportunities Offshore Ltd09/30/202609/30/2026D/A0001778548-26-000002View filing
Rainforest Capital Fund LLC - Series 809/30/202609/30/2026D0002156004-26-000001View filing
RCP Fund XXI Cayman Feeder, LP09/30/202609/30/2026D/A0002146467-26-000003View filing
RCP Fund Xxi, LP09/30/202609/30/2026D/A0002146453-26-000003View filing
RCP Multi-Strategy Cayman Feeder III, LP09/30/202609/30/2026D/A0002085824-26-000003View filing
RCP Multi-Strategy Fund III, LP09/30/202609/30/2026D/A0002085957-26-000004View filing
RCP Multi-Strategy Fund III, LP09/30/202609/30/2026D/A0002085957-26-000005View filing
RE-0728 Fund I, a series of 021 Capital, LP09/30/202609/30/2026D0002149126-26-000001View filing
Realterm Europe Logistics Income Feeder Fund, SCSp09/30/202609/30/2026D/A0001922935-26-000002View filing
Realterm Europe Logistics Income Fund, SCSp09/30/202609/30/2026D/A0001922940-26-000002View filing
REGENERATUS, Inc.09/30/202609/30/2026D0002157852-26-000001View filing
RELIF Special LP, SCSp09/30/202609/30/2026D/A0001923424-26-000002View filing
RI-0718 Fund I, a series of CCL Funds, LP09/30/202609/30/2026D0002147647-26-000001View filing
Royal Oak Recycling Holdings, LLC09/30/202609/30/2026D/A0002089590-26-000001View filing
RunLoyal, Inc.09/30/202609/30/2026D0002157791-26-000001View filing

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