Genuine question - What happens when solo capitalists have 50+ (or even fewer) portfolio companies across multiple funds like the rest of us?
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I agree with this. I also think the 5 minute phone call basis doesn’t scale past 20-30 companies especially when you’re sole investor. And probably at 20-30 companies the context on day to day of each company is lost so you’re getting poorly contextualized advice.
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what % of decisions that are primarily made by investor feedback by a management team would be different if the investor had ½ or ¼ or ⅛ or even 1/16th the information? I'm not sure it's a meaningful %
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