Manole Capital Management’s Q3 2022 Investor Letter

Asset management company Manole Capital Management recently released its third-quarter 2022 investor letter. A copy of the same can be downloaded here. In 2022 the US stock market index, S&P 500, was highly volatile and declined by 25%. The fund mainly focuses on the payments industry, a securely growing segment. During this fluctuating market, the firm is prepared and accounts for this volatility in its portfolio.  For more information on the fund’s top picks in 2022, please check its top five holdings.