Disclosures
Last updated: April 8, 2026
Broker-Dealer Disclosure
Securities are offered through Weild & Co., a broker-dealer registered with the U.S. Securities and Exchange Commission (SEC) and a member of the Financial Industry Regulatory Authority (FINRA) and the Securities Investor Protection Corporation (SIPC).
Regulatory Exemptions
Offerings on this platform are conducted pursuant to exemptions from registration under the Securities Act of 1933, as amended, including:
- Regulation D, Rule 506(b) — Offers and sales to an unlimited number of accredited investors and up to 35 non-accredited but sophisticated investors. General solicitation is not permitted.
- Regulation D, Rule 506(c) — Offers and sales exclusively to verified accredited investors. General solicitation is permitted. The issuer must take reasonable steps to verify accredited investor status.
Accredited Investor Definition
Under SEC Rule 501 of Regulation D, an "accredited investor" includes, among others:
- An individual with net worth (or joint net worth with spouse) exceeding $1,000,000, excluding the value of the primary residence
- An individual with income exceeding $200,000 in each of the two most recent years (or joint income with spouse exceeding $300,000) with a reasonable expectation of reaching the same income level in the current year
- An individual holding a Series 7, Series 65, or Series 82 license in good standing
- Certain entities with total assets in excess of $5,000,000
Risk Factors
Investments in private securities involve significant risks including but not limited to:
- Illiquidity — Private securities are not traded on public exchanges and may be difficult or impossible to sell
- Loss of capital — You may lose some or all of your investment
- Limited information — Private companies may not be subject to the same reporting requirements as public companies
- Dilution — Future financings may dilute your ownership interest
- Lack of dividends — Returns, if any, may be realized only upon a liquidity event
No Investment Advice
Brilliquid LLC and Weild & Co. do not provide investment advice. Information on this platform is provided for informational purposes only and should not be construed as a recommendation to buy or sell any security. Investors should consult their own financial, legal, and tax advisors before making investment decisions.
OFAC / Sanctions Compliance
All investors are screened against the U.S. Department of the Treasury's Office of Foreign Assets Control (OFAC) Specially Designated Nationals (SDN) list. Brilliquid is committed to complying with all applicable sanctions regulations.
Electronic Signatures
Subscription agreements executed through this platform use electronic signatures in compliance with the Electronic Signatures in Global and National Commerce Act (ESIGN Act) and applicable state laws. Electronic signatures carry the same legal effect as handwritten signatures.
Contact
Brilliquid LLC
info@brilliquid.com
Weild & Co.
Member FINRA / SIPC
FINRA BrokerCheck