0001123292-25-000266.txt : 20250605 0001123292-25-000266.hdr.sgml : 20250605 20250605115432 ACCESSION NUMBER: 0001123292-25-000266 CONFORMED SUBMISSION TYPE: D PUBLIC DOCUMENT COUNT: 1 ITEM INFORMATION: 06b ITEM INFORMATION: Investment Company Act Section 3(c) ITEM INFORMATION: Section 3(c)(1) FILED AS OF DATE: 20250605 DATE AS OF CHANGE: 20250605 EFFECTIVENESS DATE: 20250605 FILER: COMPANY DATA: COMPANY CONFORMED NAME: New North Ventures Fund II SBIC, L.P. CENTRAL INDEX KEY: 0002047957 ORGANIZATION NAME: EIN: 995097229 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: D SEC ACT: 1933 Act SEC FILE NUMBER: 021-548145 FILM NUMBER: 251026263 BUSINESS ADDRESS: STREET 1: 134 PLEASANT STREET CITY: PORTSMOUTH STATE: NH ZIP: 03801 BUSINESS PHONE: 603-391-4494 MAIL ADDRESS: STREET 1: 134 PLEASANT STREET CITY: PORTSMOUTH STATE: NH ZIP: 03801 D 1 primary_doc.xml X0708 D LIVE 0002047957 New North Ventures Fund II SBIC, L.P. 134 Pleasant Street Portsmouth NH NEW HAMPSHIRE 03801 603-391-4494 DELAWARE None None Limited Partnership true 2024 Jeremy Hitchcock 134 Pleasant Street Portsmouth NH NEW HAMPSHIRE 03801 Executive Officer Managing Member of the sole member of the General Partner of the Issuer N/A New North GP II SBIC, LLC 134 Pleasant Street Portsmouth NH NEW HAMPSHIRE 03801 Executive Officer General Partner of the Issuer Stephanie Bellistri 134 Pleasant Street Portsmouth NH NEW HAMPSHIRE 03801 Executive Officer Managing Member of the sole member of the General Partner of the Issuer Pooled Investment Fund Other Investment Fund false Decline to Disclose 3C.1 06b 3C false true false true true false 0 Indefinite 0 Indefinite false 0 0 0 0 The General Partner of the Issuer is entitled to carried interest. An affiliate of the General Partner of the Issuer is entitled to a management fee. The carried interest and management fee are set forth in the Issuer's governing agreement. false New North Ventures Fund II SBIC, L.P. /s/ Jeremy Hitchcock Jeremy Hitchcock Managing Member of the sole member of the GP of the Issuer 2025-06-05