Brightwood Capital SBIC II, LP

Fundmanaged by Brightwood Capital Advisors, LLC· Delaware
Vintage
2013
Form D sold
$44.9M
Reported gross assets
$24.2M
Form ADV, Jun 26, 2026
HarvestFundraising status unknownADV: Private Equity FundOutside venture scope

A private equity fund outside venture scope, shown because its manager is on the venture graph.

More
As of · the latest observation of this vehicle; each figure below carries its own filing date

1 additional principal

Every relationship, signal and contact on this record, with the source on each.

Includes 3 days of DFX Intelligence. Then $199/month unless canceled.

Nothing material in the last 365 days. Last change: 6 Mar 2013, Latest Form D filed on 6 Mar 2013: $44.9M sold of $50M offered, 97 investors. A Form D amount is what was sold at the filing, never a final close.

Drawing the relationship network…

Amounts, each with its basis

Vintage
2013basis: form d first sale
Target
unknownnot announced
First close
unknownnever inferred from a Form D
Final close
unknownonly from an announcement or an LP disclosure
Announced size
unknown
Form D offering
$50.0Mwhat may be sold, not what was raised; file 021-192852, sworn by the adviser or filed under this vehicle
Form D sold
$44.9Mas of the filing of Mar 6, 2013, 97 investors
First sale
Feb 21, 2013
Reported GAV
$24.2Mon the Form ADV filed Jun 26, 2026; the fund's assets, never its size or dry powder
Owners (ADV)
97
Reported on ADV
Aug 2, 2013 to Jun 26, 2026

Fundraising evidence

Unknown
latest Form D 2013-03-06, older than 15 months (fr-1)
evidence dated Mar 6, 2013.

Lifecycle

Harvest
vintage over 7 years, still reported
age years: 13first sale: Feb 21, 2013vintage year: 2013adv gav as of: Jun 26, 2026vintage basis: Form d first saleform d sold: $44.9Mform d offering: $50.0Mform d latest filed at: Mar 6, 2013

The fund's own reporting through time

45 Form ADV filings
FiledTypeGross asset value OwnersMin. investmentAdviser-ownedAudit
Aug 2, 2013Other Private Fund$126M
96$100,0005%yes
Aug 5, 2013Other Private Fund$126M
96$100,0005%yes
Aug 6, 2013Other Private Fund$126M
96$100,0005%yes
Oct 14, 2013Other Private Fund$126M
96$100,0005%yes
Oct 24, 2013Other Private Fund$126M
96$100,0005%yes
Mar 31, 2014Other Private Fund$74.6M
96$100,00013%yes
Aug 13, 2014Other Private Fund$74.6M
96$100,00013%yes
Oct 27, 2014Other Private Fund$74.6M
96$100,00013%yes
Nov 14, 2014Other Private Fund$74.6M
96$100,00013%yes
Dec 23, 2014Other Private Fund$74.6M
96$100,00013%yes
Feb 13, 2015Other Private Fund$74.6M
96$100,00013%yes
Mar 3, 2015Other Private Fund$74.6M
96$100,00013%yes
Mar 30, 2015Other Private Fund$85.4M
95$100,0004%yes
May 6, 2015Other Private Fund$85.4M
95$100,0004%yes
Jun 2, 2015Other Private Fund$85.4M
95$100,0004%yes
Mar 30, 2016Other Private Fund$116M
95$1.0M4%yes
May 25, 2016Other Private Fund$119M
95$1.0M4%yes
Nov 28, 2016Other Private Fund$119M
95$1.0M4%yes
Mar 31, 2017Other Private Fund$119M
103$1.0M5%yes
Jun 30, 2017Other Private Fund$119M
103$1.0M5%yes
Jun 30, 2017Other Private Fund$119M
103$1.0M5%yes
Aug 16, 2017Other Private Fund$119M
103$1.0M5%yes
Feb 28, 2018Other Private Fund$119M
103$1.0M5%yes
Mar 30, 2018Venture Capital Fund$140M
97$100,0007%yes
Apr 18, 2018Venture Capital Fund$140M
97$100,0007%yes
Jun 20, 2018Venture Capital Fund$140M
97$100,0007%yes
Mar 29, 2019Venture Capital Fund$87.0M
100$100,0009%yes
Mar 29, 2019Venture Capital Fund$87.0M
100$100,0009%yes
Jan 15, 2020Venture Capital Fund$87.0M
100$100,0009%yes
Feb 26, 2020Venture Capital Fund$87.0M
100$100,0009%yes
Mar 30, 2020Venture Capital Fund$79.7M
100$100,0007%yes
Oct 7, 2020Venture Capital Fund$79.7M
100$100,0007%yes
Dec 4, 2020Venture Capital Fund$79.7M
100$100,0007%yes
Mar 30, 2021Venture Capital Fund$50.9M
100$100,0006%yes
Jun 16, 2021Venture Capital Fund$50.9M
100$100,0006%yes
Nov 22, 2021Venture Capital Fund$50.9M
100$100,0006%yes
Feb 16, 2022Venture Capital Fund$50.9M
100$100,0006%yes
Mar 30, 2022Venture Capital Fund$29.9M
99$100,0004%yes
Jun 1, 2022Venture Capital Fund$29.9M
99$100,0004%yes
Mar 30, 2023Venture Capital Fund$27.7M
99$100,0005%yes
Jun 14, 2023Venture Capital Fund$27.7M
99$100,0005%yes
Nov 15, 2023Venture Capital Fund$27.7M
99$100,0005%yes
Mar 29, 2024Venture Capital Fund$24.2M
97$100,0004%yes
Apr 26, 2024Venture Capital Fund$24.2M
97$100,0004%yes
Jun 26, 2026Private Equity Fund$24.2M
97$100,0005%

Principals and agents

4 principals on Form D, 0 placement agents

Service providers

3 named on Form ADV Schedule D and Form D

Limited partners and their reported performance

0 public LP reports
No public LP has reported this vehicle. The LP tape is read from public pension disclosures (see Limited partners); a fund appears here only when an LP’s report names it.

Known LPs and allocators

2 relationships, public pensions and the allocator graph, each counted once
AllocatorTypeAmountDateSource
Mark and Anla Cheng Kingdon FundFOUNDATION$415,342
fair value on the foundation's return
reported as of Dec 31, 2024Fact IRS Form 990 / 990-PF e-file returns
Achelis and Bodman FoundationFOUNDATION$207,671
fair value on the foundation's return
reported as of Dec 31, 2024Fact IRS Form 990 / 990-PF e-file returns

Investments attributed to this vehicle

0
No investment attributed to this vehicle. The firm’s investments sit on the firm; a fund gets one only when a source names the vehicle.

Timeline

3 events
  1. Mar 29, 2024
    Administrator changed: CSC FUND SERVICES NORTH AMERICA LLC replaced PEF SERVICES LLC, first reported on the Form ADV filed March 29, 2024 (previous filing November 15, 2023)
    Administrator changed Fact Form ADV
  2. Aug 2, 2013
    Brightwood Capital SBIC II, LP first reported on Form ADV by Brightwood Capital Sme Managers, LLC (Other Private Fund), GAV $125,500,000
    Fund first reported on Form ADV Fact Form ADV
  3. Mar 6, 2013
    Brightwood Capital SBIC II, LP filed Form D: $44,890,000 sold of $50,000,000, Other Investment Fund
    Form D filed Fact Form D

Evidence

15 observations
Every observation on this vehicle
  • Entity type: Limited Partnership Mar 6, 2013 Fact Form D
  • Form D fund type: Other Investment Fund Mar 6, 2013 Fact Form D
  • Form D industry group: Pooled Investment Fund Mar 6, 2013 Fact Form D
  • Amendment: false Mar 6, 2013 Fact Form D
  • Incorporated: withinFiveYears Mar 6, 2013 Fact Form D
  • Jurisdiction: Delaware Mar 6, 2013 Fact Form D
  • Amount sold (Form D): $44.9M Mar 6, 2013 Fact Form D
  • Offering amount (Form D): $50.0M Mar 6, 2013 Fact Form D
  • Exemptions: 06, 3C, 3C.1 Mar 6, 2013 Fact Form D
  • First sale: 2013-02-21 Mar 6, 2013 Fact Form D
  • Investors (Form D): 97 Mar 6, 2013 Fact Form D
  • Minimum investment (Form D): 50,000 Mar 6, 2013 Fact Form D
  • Securities offered: pooled Mar 6, 2013 Fact Form D
  • Office address: Mar 6, 2013 Fact Form D
  • Year of incorporation: 2012 Mar 6, 2013 Fact Form D

Relationships across DFX

on 3 other DFX graphs
Across the graphs

Brightwood Capital SBIC II, LP is the same institution as 3 records in Private Equity, Allocators and RIA and Wealth.

Private Equity1Allocators1RIA and Wealth1

DFX found 3 relationships across 3 datasets

Which record it is in each graph, what it is called there, and how the two were matched.

Includes 3 days of DFX Intelligence. Then $199/month unless canceled.

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Record history

2 dated events on the change ledger, latest event first
  • Fund first reported on ADV
    2013-08-02source on record
  • Form D filed
    2013-03-06source on record

The ledger records every merge, rename and reclassification this record went through and the dated filings observed on it, so the identity on this page can be traced to the records it was built from. The ledger's own sentences name other records, so they show with the names.