Form Ds provide information on individual, unregistered securities offerings.
Search by Recipient Name or Primary Issuer:
Recipient | CRD | Primary Issuer | CIK | Filing Date | Form Type | Total Offering Amount | Total Amount Sold |
---|---|---|---|---|---|---|---|
IVP CAPITAL, LLC | 104197 | GRAHAM GLOBAL INVESTMENT FUND I SPC LTD | 941031 | 03/24/2022 | D/A | Indefinite | $99,591,354,419 |
CAIS CAPITAL LLC | 154512 | GRAHAM GLOBAL INVESTMENT FUND I SPC LTD | 941031 | 03/24/2022 | D/A | Indefinite | $99,591,354,419 |
IVP CAPITAL, LLC | 104197 | GRAHAM GLOBAL INVESTMENT FUND I SPC LTD | 941031 | 03/30/2021 | D/A | Indefinite | $99,453,546,558 |
CAIS CAPITAL LLC | 154512 | GRAHAM GLOBAL INVESTMENT FUND I SPC LTD | 941031 | 03/30/2021 | D/A | Indefinite | $99,453,546,558 |
IVP CAPITAL, LLC | 104197 | GRAHAM GLOBAL INVESTMENT FUND I SPC LTD | 941031 | 03/30/2020 | D/A | Indefinite | $99,166,888,987 |
CAIS CAPITAL LLC | 154512 | GRAHAM GLOBAL INVESTMENT FUND I SPC LTD | 941031 | 03/30/2020 | D/A | Indefinite | $99,166,888,987 |
IVP CAPITAL, LLC | 104197 | GRAHAM GLOBAL INVESTMENT FUND I SPC LTD | 941031 | 03/29/2019 | D/A | Indefinite | $98,737,694,137 |
CAIS CAPITAL LLC | 154512 | GRAHAM GLOBAL INVESTMENT FUND I SPC LTD | 941031 | 03/29/2019 | D/A | Indefinite | $98,737,694,137 |
CAIS CAPITAL LLC | 154512 | GRAHAM GLOBAL INVESTMENT FUND I SPC LTD | 941031 | 03/26/2018 | D/A | Indefinite | $98,731,644,137 |
MBSC SECURITIES CORPORATION | 231 | BNY SERIES OFFSHORE FUND SPC | 1442708 | 03/15/2011 | D/A | Indefinite | $97,275,546,242 |