Nolan Capital targets control equity investments in U.S.-based companies that are industry leaders with proven management teams. We seek companies that exhibit attractive growth prospects and sustainable competitive advantages, and that generate annual EBITDA in the range of $5 million to $20 million.
Our prior investment experience and current investing activities span a broad range of sectors, including consumer products and services, retail and restaurants, manufacturing, distribution, industrial products, business services and healthcare, among others.
As a family office, our focus is on the quality of the companies we partner with, not the quantity of investments we make. This investment philosophy allows us to be highly selective in pursuing well-matched opportunities, and to provide our portfolio companies with the support needed to flourish under our stewardship.