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positive_eps_streak on MANHATTAN BRIDGE CAPITAL, INC (LOAN)

SIC 6798 — Real Estate Investment Trusts · CIK 1080340 · default direction: long

Definition

Fires on companies with consecutive years of positive earnings — quality compounder candidates. Surfaces stable franchises with earnings durability, not speculative growth.

Every time the signal fired on LOAN

FYFiling dateEvent date1d5d20d60d252d
FY20252026-03-272026-03-27-0.90%+5.17%
FY20242025-03-122025-03-12+0.36%+1.79%-7.65%-7.83%-15.11%
FY20232024-03-112024-03-11-0.84%-0.84%+6.97%+9.33%+27.34%
FY20222023-03-102023-03-10+0.73%-1.10%-6.89%-12.14%-4.89%
FY20212022-03-112022-03-11-0.17%+8.08%-0.21%-1.79%+2.67%
FY20202021-03-112021-03-11+1.63%+4.36%+7.95%+26.40%+14.77%
FY20192020-03-172020-03-17-18.51%-17.31%-6.02%+5.11%+50.99%
FY20182019-03-182019-03-18-1.24%-3.58%-1.65%-3.87%-30.31%
FY20172018-03-192018-03-19+1.56%+8.59%+13.73%+15.16%+5.90%
FY20162017-03-152017-03-15+1.75%+3.51%+0.77%-9.93%+20.28%
FY20152016-03-082016-03-08+3.49%+1.75%+11.35%+12.12%+63.26%
FY20142015-03-232015-03-23-2.59%+2.85%+14.46%+12.08%+14.67%
FY20132014-03-242014-03-24+9.63%+4.28%+0.53%+66.42%+116.54%

Forward returns are stock returns from event date (next trading day after filing). Sign is raw stock direction; the trade direction is in the calibration table below.

Universe-wide calibration (this signal across all companies)

Horizonn eventsGross stock retHit rateTrade dirNet PnLCost (bps)r/σ net
1d21,256+0.05%+49.53%long-0.16%22-0.04
5d21,258+0.10%+50.10%long-0.10%22-0.00
20d21,218-0.80%+49.80%long-1.03%22-0.04
60d19,852+1.64%+54.15%long+1.48%22+0.04
252d19,501+13.65%+64.44%long+13.47%22+0.27

Net PnL is direction × stock return − round-trip execution cost (5 bps half-spread + ADV-tiered borrow). See positive_eps_streak methodology for the full audit.


Data: /api/company/1080340/financials