Interested in MIC Funds?
With over $2 billion in deals since inception, CMI is an industry leader in the alternative investment markets.
We are proud to be Canadian owned and recognized as one of the country’s top growing companies.
CMI is here to work with you
CMI’s mission is to provide transparent and flexible mortgage solutions to borrowers, while delivering attractive and consistent annual returns to investors. The company’s four businesses work in unison to seamlessly originate, underwrite, fund and service private mortgages end-to-end for borrowers and investors, ensuring an unparalleled turnkey experience.
How do we deliver high returns?
Our expertise in the mortgage industry makes us uniquely positioned to create mortgage investments that target consistent, attractive returns. With our specialized risk-adjusted portfolios, we aim to deliver returns ranging from 7-11%.
The CMI Difference
Ever-to-date loss-on portfolio of less than 0.1%
Over $2.5B in mortgages originated by CMI across all funding platforms
Balanced national portfolios with high growth rates
Full-service investment program – turnkey process
3 Portfolios designed to meet your investment objectives
Yield
w.Avg LTV
Risk Profile
Dividends Paid
Redemptions
FundServ Codes
Class F: CCI 322
Class F: CCI 302
Class F: CCI 312
***All funds are TFSA/RRSP/RRIF eligible
Analyst Coverage
CMI is covered by the following analyst:
FUNDAMENTAL RESEARCH CORP.
Siddharth Rajeev (researchfrc.com)