Daily Performance
as of 9/23/2022
NAV Change Month
to date
Quarter
to date
Year
to date
   
  Manor Fund
(MNRMX)
27.86 -0.58 -6.73 % -2.18 % -19.20 %    
  S&P 500 3,693.23 -1.72 % -6.62 % -2.43 % -22.51 %    

  Growth Fund
(MNRGX)
30.83 -0.45 -5.78 % -1.69 % -18.74 %    
  S&P 500 3,693.23 -1.72 % -6.62 % -2.43 % -22.51 %    

  Bond Fund
(MNRBX)
9.75 -0.01 -2.01 % -2.69 % -8.54 %    
                 
    Total Returns as of Average Annualized Returns
as of 6/30/2022
  Quarterly Performance
as of 6/30/2022
8/31/2022 6/30/2022       Since
Inception*
Month Quarter 1 Year 3 Year 5 Year 10 Year
  Manor Fund
(MNRMX)
-1.78 % -12.23 % -10.66 % 8.58 % 5.83 % 9.15 % 6.27 %
  S&P 500 -4.24 % -16.45 % -11.92 % 8.97 % 9.36 % 10.76 % 7.24 %
  MNRMX inception: 9/25/1995       Total Operating Expense: 1.25%*

  Growth Fund
(MNRGX)
-4.88 % -13.23 % -5.23 % 14.42 % 13.04 % 13.15 % 6.71 %
  S&P 500 -4.24 % -16.45 % -11.92 % 8.97 % 9.36 % 10.76 % 7.24 %
  MNRGX inception: 6/30/1999    Total Operating Expense: 0.99%**

  Bond Fund
(MNRBX)
-1.87 % -1.86 % -6.83 % -0.89 % 0.19 % -0.14 % 1.44 %
  MNRBX inception: 6/30/1999 Total Operating Expense: 0.95%***