Investor Relations & Fundraising

SEC Regulation D Compliance

SEC Regulation D compliance for CRE syndications: 506(b) vs 506(c) offering selection, accredited investor verification, Form D filing, state blue sky compliance, general solicitation rules, and substantive pre-existing relationship documentation.

Reg D506(b)506(c)accredited investor verification
Open GitHub source

No packaged download — skills install from the open-source plugin repo. Read the SKILL.md and bundled files below before you install.

How to install a skill →
01 · Problem

SEC Regulation D compliance for CRE syndications: 506(b) vs 506(c) offering selection, accredited investor verification, Form D filing, state blue sky compliance, general solicitation rules, and substantive pre-existing relationship documentation.

Derived from the skill’s “Skill description” section.

02 · Who & When

Explicit triggers:

  • "Reg D", "506(b)", "506(c)", "accredited investor", "private placement"
  • "Form D", "blue sky", "general solicitation", "PPM", "private offering"
  • "investor verification", "substantive relationship", "sophisticated investor"
  • "capital raise compliance", "syndication compliance", "securities exemption"
  • "offering memorandum", "subscription agreement", "investor suitability"

Implicit triggers:

  • User is structuring a capital raise and mentions investor count, accreditation, or solicitation method
  • Downstream of capital-raise-machine or fund-formation-toolkit when the offering structure needs securities compliance review
  • User asks about marketing an investment opportunity to their network, on social media, or at conferences
  • User mentions raising money from friends, family, business associates, or an investor database
  • User is forming a syndication entity and needs to understand SEC requirements

Do NOT activate for:

  • Public REIT compliance (different regulatory framework -- SEC reporting, Sarbanes-Oxley)
  • Crowdfunding under Regulation CF or Regulation A+ (different exemptions with different rules)
  • 1031 exchange structuring (use 1031-exchange-executor)
  • Pure fund formation without securities compliance questions (use fund-formation-toolkit)
  • Loan document review or debt compliance (different regulatory domain)

Derived from the skill’s “When to Activate” section.

03 · How It's Done Today

Not documented yet for this skill.

04 · What This Skill Changes

Present results in this order:

  1. Offering Type Recommendation -- 506(b) vs 506(c) with decision matrix results, trade-off analysis, and any conditions
  2. Investor Qualification Summary -- Accredited verification process, relationship documentation status, any investor exclusions
  3. Form D Filing Plan -- Timeline, EDGAR access status, content review, amendment triggers
  4. State Blue Sky Matrix -- State-by-state filing requirements, deadlines, fees, filing method, status tracker
  5. PPM Compliance Review -- Component checklist, missing disclosures, risk factor adequacy, compensation transparency
  6. Ongoing Compliance Calendar -- Monthly/quarterly/annual obligations, filing deadlines, record retention
  7. Violation Risk Assessment -- Each applicable violation category rated (Low/Medium/High risk) with specific findings
  8. Action Items -- Prioritized list of compliance tasks with deadlines and responsible parties

Derived from the skill’s “Output Format” section.

05 · Risks & Caveats

Stale-data note: SEC accredited investor thresholds reflect the 2020 amendment adding professional certifications and knowledgeable employees of private funds. State blue sky filing fees and deadlines reflect 2024-2025 data and change periodically. SEC enforcement trends and no-action letter interpretations are current through mid-2025. Always verify state-specific requirements on NASAA or individual state securities regulator websites before filing.

Derived from the skill’s “stale-data note” section.