Slides
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August 2025 Q2 2025 INVESTOR PRESENTATION
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Forward-Looking Statements
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Atrium Mortgage Investment Corporation $554M Market Capitalization1 $921M Assets Under Management2 9.30% Average Mortgage Yield2
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We utilize a unique business model that leverages our deep relationships and knowledge to maximize steady returns for shareholders. Risk Management • • • 02 Expertise Consistency • • • • • Shareholder Value Creation 0301
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Financial Strength and Stability
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Strong Operating Results
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Consistent Earnings Profile Over Time Objective: Preserve capital and focus on steady, safe returns to shareholders.
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Annual Return on Shareholders’ Equity: Strong and Consistent Returns
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Movement in Average Mortgage Rate
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Portfolio Loan-to-Value Since Going Public in 2012: Maintain Low Risk Portfolio Borrower Equity
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Maintain Low Risk Portfolio • • • •
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Expertise of Independent Directors
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Maintain Low Risk Portfolio Mortgage Portfolio Profile – June 30th 2025:
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Geographic Portfolio Diversification June 30th 2025:
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Portfolio Property Type Composition
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Atrium versus the TSX Composite Cumulative Total Return Steady growth and superior returns.
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416.867.1053