Choice Equities Capital Management’s Q3 2024 Investor Letter

Choice Equities Capital Management, a hedge fund manager, recently released its third-quarter 2024 investor letter. In the third quarter, the fund lost -1.8% on a net basis bringing year-to-date gain to +5.5% compared to the Russell 2000’s +9.3% gain for the quarter and +11.2% gain for YTD. The S&P 500 generated a quarterly gain of +5.9% taking year-to-date gains to +22.1%. Since its inception in 2017, the fund has generated annualized gains of +15.0% versus +7.8% and +14.5% returns for the indexes. In addition, please check the fund’s top five holdings to know its best picks in 2024.

A copy of Choice Equities Capital Management’s Q3 2024 investor letter can be downloaded here.