BIP Capital, LLC

Privacy Policy

Effective as of May 18, 2026

This Privacy Policy has been adopted by each of BIP Capital, LLC (the “Adviser” or “BIP Capital) and BIP Ventures Evergreen BDC (the “Company,” together with the Adviser,“BIP Capital”, “our”, “us”, or “we”). We are committed to protecting the privacy and security of the personal information you share with us. This Privacy Policy describes how we collect, use, share, and safeguard your personal information and explains your rights under applicable law, including Regulation S-P (17 C.F.R. Part 248) promulgated under the Gramm-Leach-Bliley Act (“GLBA”). This notice supersedes any other privacy notice you may have received from BIP Capital, and its terms apply both to our current customers and to former customers as well.

What Kind of Information We Collect

In the course of establishing and maintaining an advisory relationship, we collect nonpublic personal information (“NPI”) that you voluntarily provide, including:

  • Full legal name, date of birth, and Social Security or tax identification number;
  • Home address, email address, and telephone number;
  • Financial information, including income, net worth, investment objectives, risk tolerance, and tax status;
  • Account numbersand information from your financial institutions;
  • Information contained in account applications, agreements, questionnaires, and correspondence; and
  • Information provided in connection with Know Your Customer (KYC) and Anti-Money Laundering (AML) policies and requirements.

How We Use this Information

This information is used only so that we can service your account, send you annual reports and other information about BIP Capital, and fulfill our legal, regulatory, and contractual obligations.

Who Has Access to Personal Information

Regulation S-P permits registered investment advisers to share NPI with nonaffiliated third parties under limited circumstances. We share your information only as follows:

  • Authorized Employees of the Adviser
    It is our policy that only authorized employees of the Adviser who need to know your personal information will have access to it.
  • Service Providers
    We may disclose your personal information to companies that provide services on your or our behalf, such as fund administration, custodial, accounting and auditing, record keeping, processing your trades and mailing information to you. Our contracts with these companies require them to use safeguards to reasonably protect your information and use it solely for the purpose for which they receive it.
  • Courts and Government Officials
    If required by law, we may disclose your personal information in accordance with a court order or at the request of government regulators or exchange officials. Only that information required bylaw, subpoena, rule, regulation or court order will be disclosed.
  • Affiliates
    We may share your personal information with our affiliates for business purposes, including for servicing accounts, operational support, compliance, reporting and other purposes permitted by applicable law and regulation.

How We Protect Your Personal Information

We are committed to maintaining the privacy of our shareholders and to safeguarding their non-public personal information. We will safeguard, according to strict standards of security and confidentiality, all information we receive about you. With regard to this information, we maintain physical, electronic, and procedural safeguards that comply with federal and state standards.

We are committed to maintaining the privacy of our shareholders and to safeguarding their non-public personal information.

Your Rights and Opt-Out Options

Because we do not share your NPI with non-affiliated third parties except as permitted by law or regulation, no action or opt-out is required on your part. 

To help us keep your customer information up-to-date and accurate, please contact BIP Capital at the address below, if there is any change in your personal information.

Updating Your Information

BIP Capital, LLC
3575 Piedmont Rd NE
Building 15, Suite 700
Atlanta, GA 30305
Attn: Chief Compliance Officer