Manchester Investments Inc - Overview and Performance
AMUR
CAPITAL
KEY FUND PERFORMANCE METRICS
■
Manchester has incurred minimal loan losses and maintains a conservative loan loss provision
Manchester
INVESTMENTS
Year
Portfolio Size
Yield
Loss Provision
Loss Provision as
% of Portfolio
Actual Losses Actual Losses Incurred
2014
$12.5 million
7.33%
$119,599
0.95%
Incurred
$11,011
as % Portfolio
0.09%
2015
$14.8 million
7.68%
$120,947
0.81%
$578
< 0.01%
2016
$14.1 million
7.59%
$111,852
0.79%
$289
< 0.01%
2017
$24.2 million
7.22%
$85,485
0.35%
$18,256
0.08%
2018
$35.4 million
7.26%
$206,718
0.58%
0.00%
2019
$45.1 million
7.74%1
$161,077
0.36%
$3,126
< 0.01%
2020A
$56.6 million
7.04% 1,2
$224,271
0.40%
0.00%
2020B
$81.5 million
6.23% 1.2
$226,660
0.28%
$135,746
0.17%
2021
$160.7 million
2022
$217.7 million
6.29%1
6.72%1
$302,087
0.19%
$7,451
<0.01%
$522,431
0.24%
0.00%
Assumes reinvestment of monthly dividends.
Manchester's fiscal year end changed in 2020 to December 31. 2020A in the table represents the annual return through its original fiscal year end of May 31. 2020B in the table represents the 7 month period from June 1 to Dec 31 annualized to a 12 month
Notes:
1)
2)
year.
10View entire presentation