Daily Performance
as of 6/8/2026
NAV Change Month
to date
Quarter
to date
Year
to date
   
  Manor Fund
(MNRMX)
47.27 0.40 -0.40 % 13.19 % 13.90 %    
  S&P 500 7,405.73 0.30 % -2.30 % 13.44 % 8.18 %    

  Growth Fund
(MNRGX)
47.82 -0.19 -3.12 % 18.72 % 7.12 %    
  S&P 500 7,405.73 0.30 % -2.30 % 13.44 % 8.18 %    

  Bond Fund
(MNRBX)
10.30 0.00 -0.39 % -0.58 % -0.68 %    
                 
    Total Returns as of Average Annualized Returns
as of 3/31/2026
  Quarterly Performance
as of 3/31/2026
5/31/2026 3/31/2026       Since
Inception*
Month Quarter 1 Year 3 Year 5 Year 10 Year
  Manor Fund
(MNRMX)
3.65 % 0.63 % 29.88 % 17.81 % 11.16 % 10.83 % 7.52 %
  S&P 500 5.15 % -4.63 % 16.33 % 16.67 % 10.44 % 12.20 % 8.24 %
  MNRMX inception: 9/25/1995       Total Operating Expense: 1.25%*

  Growth Fund
(MNRGX)
7.82 % -9.77 % 15.35 % 14.65 % 10.16 % 12.92 % 7.60 %
  S&P 500 5.15 % -4.63 % 16.33 % 16.67 % 10.44 % 12.20 % 8.24 %
  MNRGX inception: 6/30/1999    Total Operating Expense: 0.99%**

  Bond Fund
(MNRBX)
-0.10 % -0.10 % 3.28 % 3.08 % 0.49 % 0.77 % 1.57 %
  MNRBX inception: 6/30/1999 Total Operating Expense: 0.95%***