Investment Performance

Magenta Mortgage Corporation



Magenta Mortgage Corporation Investment Portfolio

Year in, and year out, Magenta and Magenta II shareholders have enjoyed consistently high, wealth building returns on their investment.
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GROWTH OF $100,000 INVESTED AT START DATE

GROWTH OF $100,000 INVESTED AT START DATE

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SHAREHOLDER RETURN ON INVESTMENT - FISCAL YEAR

SHAREHOLDER RETURN ON INVESTMENT - FISCAL YEAR

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AVERAGE ANNUAL COMPOUNDED RETURN (%)
  Magenta Magenta II Class B Shares*
  1 year
  9.07   9.20
  2 years
  9.38   9.40
  3 years
  9.63   9.47
  5 years   9.63   9.73
  8 years
 11.13  11.23
  10 years
 11.82  
  Since Inception (1)  11.70  11.52
(1) Magenta: June 1, 1994 (17 years); Magenta II Class B Shares: June 1, 2003 (8 years)
Past performance is not necessarily an indicator of future performance or expected returns.
 

 

IMPACT OF INVESTMENT RETURN OVER TIME

GROWTH OF $100,000 INVESTMENT
YEARS
4.00%
8.00%
9.20% (1)
11.70% (2)
5
$ 121,665
$ 146,933
$    155,279
$    173,886
10
$ 148,024
$ 215,893
$    241,116
$    302,365
20
$ 219,112
$ 466,096
$    581,370
$    914,247
25
$ 266,584
$ 684,848
$    902,747
$ 1,589,752

(1)Magenta annual return, 1 year ended June 1, 2011
(2)Magenta average annual compounded return, inception to June 1, 2011 (17 years)

 

 

GROWTH OF $100,000 INVESTMENT

GROWTH OF $100,000 INVESTMENT

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* Magenta II Class B Share annual return is 3.00% higher than Magenta II Class A Share annual return.  Refer to FAQ 5.

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