Manor Fund
Objective
Seeks long-term capital appreciation and a moderate level of income.
Investment Philosophy
We believe that investing in attractively valued companies with growing earnings and sound finances will help to generate competitive long-term investment returns.
Ticker
MNRMX
CUSIP
564057107
Inception Date
9/25/1995
Distributor
Foreside Fund Services, LLC.
Shareholder Services
800-787-3334
Total Operating Expense
1.25%
Minimum Investment
$1,000
Advisor
Morris Capital Advisors, LLC
Investment Process
The firm employs a two-step disciplined, repeatable process:
Our proprietary analytical process identifies large-cap companies that we believe have:
Strong earnings
Capability to grow
Strong financial structure
Significant free cash flow
Attractive valuations poised to appreciate
Our research-driven process selects companies with characteristics we believe are necessary for long-term appreciation:
Validate data and underlying assumptions
Evaluate management's strategic vision and ability to execute
Assess the impact of industry trends and economic environments
Evaluate company's ability to withstand bad times
Investments in mid-sized companies present a greater risk of loss than investments in large companies.
Mutual fund investing involves risk, including possible loss of principal amount invested.
Growth funds are generally more sensitive to market moves and thus may be more volatile than other stocks.
There can be no guarantee that any strategy (risk management or otherwise) will be successful. All investing involves risk, including potential loss of principal.
Investors should consider the investment objectives, risks, charges and expenses of the Funds carefully before investing. The prospectus contains this and other information about the Funds. You may obtain the prospectus by visiting www.manorfunds.com or calling 800-787-3334. The prospectus should be read carefully before investing.