PRIVATE FUNDS

Ascension Alpha Fund filing lists 57 investors; 301 Form D notices

A complete daily index dated October 7, 2026, contained 301 Form D notices across issuer types. Ascension Alpha Fund’s amendment reported 57 investors already invested.

By Daniel Mercer··1 min read

Ascension Alpha Fund, LLC’s Form D/A, filed October 7, 2026, reported 57 investors already invested. The filing described the issuer as a pooled investment fund and identified its investment fund type as “Other Investment Fund”; those classifications are as reported in the filing, not independently validated.

The complete daily index dated October 7, 2026, listed 301 Form D notices across issuer types. Of those, 206 were labeled “new notices” and 95 were amendments. The count describes notices in the index, not a count of private funds or offerings launched that day.

Ascension Alpha Fund’s filing reported $2.1B in cumulative sales, as reported in that filing. It identified March 30, 2012, as the sale date. The amount is not money raised during the index date.

A separate amendment from BBR Fixed Income Opportunities Fund LP, also filed October 7, 2026, reported 577 investors already invested and $1.5B in cumulative sales. Its filing listed October 7, 2020, as the sale date. These filing-reported cumulative amounts are not daily fundraising totals.

Complete filing list

All 301 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. SEC filing links are included where supplied.

Showing rows 101–125 of 301. The CSV contains the complete table.

IssuerFiling dateDaily index dateFormAccessionSEC filing
EB5AN Spring Haven Fund 35, LP10/07/202610/07/2026D/A0002078950-26-000002Not reported
EB5AN Tamarack Resort Fund XXV, LP10/07/202610/07/2026D/A0002036871-26-000001Not reported
EB5AN Terra Ceia Multifamily Fund XXVII LP10/07/202610/07/2026D/A0002043026-26-000003Not reported
EB5AN Terra Ceia Multifamily Fund XXVIII, LP10/07/202610/07/2026D/A0002043027-26-000004Not reported
Eclipse SPV XXXVI, L.P.10/07/202610/07/2026D0002155270-26-000001Not reported
Ecru Capital Fund I, LP10/07/202610/07/2026D0002159084-26-000001Not reported
Empire Skyline Fund II, LLC10/07/202610/07/2026D0002157346-26-000001Not reported
EquityZen Growth Technology Fund LLC - Series 238210/07/202610/07/2026D0002139410-26-000001Not reported
EquityZen Growth Technology Fund LLC - Series 239510/07/202610/07/2026D0002139425-26-000001Not reported
EquityZen Growth Technology Fund LLC - Series 240610/07/202610/07/2026D0002145011-26-000001Not reported
EverAI, a Series of Maiora Arrakis Ventures, LLC10/07/202610/07/2026D0002158848-26-000001Not reported
Everstar Craveworthy Opportunity Fund LP10/07/202610/07/2026D/A0002040227-26-000001Not reported
F2 Fund 4, Limited Partnership10/07/202610/07/2026D/A0001470831-26-000932Not reported
Faex Technologies Inc.10/07/202610/07/2026D0002148280-26-000002Not reported
FAI WELLNESS I a Series of CGF2021 LLC10/07/202610/07/2026D0002150223-26-000001Not reported
Fareon, Inc.10/07/202610/07/2026D/A0001963942-26-000004Not reported
Fifth Era Coinvestors LLC - Stripe I10/07/202610/07/2026D0002158199-26-000001Not reported
Fort Impact Fund, LLC10/07/202610/07/2026D/A0001980579-26-000004Not reported
Fortress Intellectual Property Opportunities Fund III (C) L.P.10/07/202610/07/2026D0002127629-26-000001Not reported
Franklin Templeton Digital Asset Frontier Fund, Ltd.10/07/202610/07/2026D/A0002068321-26-000001Not reported
Franklin Templeton Emerging Market Debt Opportunities Fund, L.P.10/07/202610/07/2026D/A0001504957-26-000001Not reported
Franklin Ventures Investments, L.P. - Strategic Technology Series V10/07/202610/07/2026D/A0002069681-26-000001Not reported
Franklin Ventures Investments, L.P. - Strategic Technology Series VII10/07/202610/07/2026D/A0002065200-26-000001Not reported
Franklin Ventures Investments, L.P. - Technology Opps Series V10/07/202610/07/2026D/A0002065201-26-000001Not reported
Franklin Ventures Investments, LP - Private Co Series10/07/202610/07/2026D/A0002029700-26-000001Not reported

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