David Capital Private Equity Fund I, L.P.
Summary
David Capital Private Equity Fund I, L.P., a newly formed (2025) Cayman Islands limited partnership, has filed an initial Form D notice for a private placement of pooled investment fund interests under Regulation D. The offering amount is undisclosed, with first sale occurring on 2025-12-22. The fund is managed by Israeli-based executives Stella Amar Cohen and Lila Frenkel, both located at 4 Maskit Street, Herzliya, Israel. The filing indicates a private equity fund structure, but lacks critical details such as the specific exemption rule (506(b) or 506(c)), total investors, non-accredited investor participation, minimum investment, and use of proceeds, making it a low-transparency filing typical of early-stage fund formations.
See which stocks are affected
Key takeaways, market implications, full AI analysis, and connected signals are available to HillSignal members.
Already have an account? Log in
Full Analysis
Executive Summary
David Capital Private Equity Fund I, L.P., a newly formed (2025) Cayman Islands limited partnership, has filed an initial Form D notice for a private placement of pooled investment fund interests under Regulation D. The offering amount is undisclosed, with first sale occurring on 2025-12-22. The fund is managed by Israeli-based executives Stella Amar Cohen and Lila Frenkel, both located at 4 Maskit Street, Herzliya, Israel. The filing indicates a private equity fund structure, but lacks critical details such as the specific exemption rule (506(b) or 506(c)), total investors, non-accredited investor participation, minimum investment, and use of proceeds, making it a low-transparency filing typical of early-stage fund formations.
Investor Edge
Sophisticated investors should monitor for an amended Form D (D/A) which would likely disclose the actual amount raised, the number of investors, and any changes in terms. Additionally, watch for any subsequent filings by the same issuer or related persons that reveal the fund's investment thesis or portfolio companies, which would provide clearer insight into the fund's strategic direction.
Sector capital positioning
This filing adds to the steady flow of new private equity fund formations, particularly those domiciled in offshore jurisdictions like the Cayman Islands. The undisclosed raise amount and sparse details suggest a cautious, early-stage capital accumulation phase, which is common for first-time fund managers targeting a niche or regional investor base. The Israeli connection may indicate a focus on Israeli or Middle Eastern investment opportunities, but no specific sector focus is disclosed.
Convergence Signals
No convergence signals are identifiable from this filing. There are no references to patents, government contracts, legislation, or competitor activity. The fund's name and structure are generic, and the absence of a defined investment strategy or sector focus precludes any meaningful correlation with external public signals.
Key Takeaways
- David Capital Private Equity Fund I, L.P. is a new Cayman Islands private equity fund raising an undisclosed amount under Regulation D.
- The fund is managed by two Israeli executives, Stella Amar Cohen and Lila Frenkel, with no prior SEC filing history.
- The filing lacks key details (exemption rule, investor count, minimum investment), indicating a low-transparency initial notice typical of early-stage fund formation.
Risk Indicators & Flags
The filing is an initial Form D with no amendment history, but the undisclosed raise amount and absence of key offering details (exemption rule, investor count, non-accredited investor status, minimum investment, use of proceeds) are red flags for transparency. The fund is newly formed (2025) and domiciled in the Cayman Islands, which may present jurisdictional and regulatory risks for U.S. investors. The related persons share the same address as the issuer, suggesting a closely held structure with potential conflicts of interest.
Verification & References
All facts are derived from the SEC Form D filing with accession number 000213608526000001, available on EDGAR. The issuer's CIK is 0002136085. The filing confirms the entity type, jurisdiction, related persons, and first sale date. The undisclosed offering amount is explicitly stated in the filing as 'Undisclosed'. No other public records or databases were used.
Connected Signals
Matched on shared policy language across AI analyses, with ticker & timing weight
Bitachon Capital Fund LP
Peregrine Private Equity Fund III LP
Lumenai Innovation Fund, LP
Quadrant Private Capital Solutions Platform, LP
Free — no credit card
Get the next market-moving signal before the news does
HillSignal scores every Congressional bill, federal contract, and insider filing for market impact and emails you the high-conviction ones — free, no credit card.
Weekly digest — the congressional activity that actually moved markets that week, in plain English. Free, one email.
Free forever plan · No credit card · Unsubscribe in one click
Want the live terminal too? Create a free account →