Daily Performance
as of 5/9/2025
NAV Change Month
to date
Quarter
to date
Year
to date
   
  Manor Fund
(MNRMX)
36.11 -0.21 2.59 % 3.67 % -2.96 %    
  S&P 500 5,659.91 -0.07 % 1.63 % 0.86 % -3.77 %    

  Growth Fund
(MNRGX)
38.13 -0.29 -0.10 % 0.55 % -9.08 %    
  S&P 500 5,659.91 -0.07 % 1.63 % 0.86 % -3.77 %    

  Bond Fund
(MNRBX)
10.22 0.00 -0.87 % 0.00 % 2.61 %    
                 
    Total Returns as of Average Annualized Returns
as of 3/31/2025
  Quarterly Performance
as of 3/31/2025
4/30/2025 3/31/2025       Since
Inception*
Month Quarter 1 Year 3 Year 5 Year 10 Year
  Manor Fund
(MNRMX)
1.06 % -6.40 % 1.84 % 6.68 % 15.91 % 7.43 % 6.83 %
  S&P 500 -0.76 % -4.59 % 6.80 % 7.39 % 16.76 % 10.49 % 7.98 %
  MNRMX inception: 9/25/1995       Total Operating Expense: 1.25%*

  Growth Fund
(MNRGX)
0.66 % -9.59 % 5.48 % 6.22 % 17.50 % 11.06 % 7.31 %
  S&P 500 -0.76 % -4.59 % 6.80 % 7.39 % 16.76 % 10.49 % 7.98 %
  MNRGX inception: 6/30/1999    Total Operating Expense: 0.99%**

  Bond Fund
(MNRBX)
0.88 % 2.61 % 4.64 % 1.20 % -0.85 % 0.49 % 1.50 %
  MNRBX inception: 6/30/1999 Total Operating Expense: 0.95%***