Overview

Daily NAV
$18.35
0.79% $0.14
May 8, 2025
  • Inception Date
    November 3, 2014
  • Net Assets
    $1.29 billion
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    3.76%
  • Asset class
    Canadian Focused Equity
  • Management Fee
    2.30%

Risk: Low to Medium

Low
Low To Moderate
Moderate
Moderate To High
High

1 Empire Life Investments Inc. is the Portfolio Manager of certain Empire Life segregated funds and is a wholly owned subsidiary of The Empire Life Insurance Company.

Why Invest

You are seeking growth by investing primarily in Canadian large cap equity securities

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class M ECF13050 ECF13250 ECF13350 ECF13550
  • * NOTE: Effective May 29, 2023, the Deferred Sales Charge (DSC) and Low Load (LL) Purchase Fee Options are no longer available for new deposits. Switches between funds purchased with the same Purchase Fee Option will continue to be allowed.

Performance As at March 31, 2025

Growth of $10,000

Investment value: $18,347.21 at March 31, 2025

Compound Returns 2

Series 1 mth 3 mths 6 mths YTD 1 year 3 years 5 years 10 years psi
Empire Life Elite Equity GIF Class M -3.04% -2.01% -0.70% -2.01% 4.98% 4.06% 11.34% 5.37% 6.01%
Series Empire Life Elite Equity GIF Class M
1 mth -3.04%
3 mths -2.01%
6 mths -0.70%
YTD -2.01%
1 year 4.98%
3 years 4.06%
5 years 11.34%
10 years 5.37%
psi 6.01%

2 Annual Compound Returns: Returns under 1 year are simple rates of return. All others are annual compound rates of return. All returns are calculated after taking expenses, management and administration fees into account. Past performance is no guarantee of future performance.

Calendar Returns

Series 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024
Empire Life Elite Equity GIF Class M 3.60% 10.26% 6.22% -7.87% 17.31% 1.84% 17.97% -4.93% 5.82% 14.46%
Series Empire Life Elite Equity GIF Class M
2015 3.60%
2016 10.26%
2017 6.22%
2018 -7.87%
2019 17.31%
2020 1.84%
2021 17.97%
2022 -4.93%
2023 5.82%
2024 14.46%

Portfolio Allocations As at March 31, 2025

Sector Allocation

Colours Name Weight
Financials 23.93%
Information Technology 14.33%
Energy 13.08%
Industrials 12.53%
Materials 9.37%
Consumer Staples 5.97%
Utilities 5.50%
Consumer Discretionary 5.10%
Health Care 4.16%
Communication Services 4.16%
Real Estate 1.87%

Asset Allocation

Colours Name Weight
Canadian Equity 54.72%
U.S. Equity 33.06%
International Equity 9.27%
Cash and Equivalents 1.44%
Mutual Funds 1.43%
Canadian Bonds 0.08%

Top 10 Holdings

Name Weight
Royal Bank of Canada 3.44%
Agnico Eagle Mines Limited 2.94%
Microsoft Corporation 2.44%
Enbridge Inc. 2.03%
Toronto-Dominion Bank 1.98%
Brookfield Asset Management Inc. 'A' 1.80%
Canadian Pacific Railway Limited 1.79%
Bank of Montreal 1.71%
Cameco Corp. 1.67%
Amazon.com Inc 1.59%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-08 $18.3488
2025-05-07 $18.2042
2025-05-06 $18.0991
2025-05-05 $18.1022
2025-05-02 $18.1241
2025-05-01 $17.9364
2025-04-30 $17.9098
2025-04-29 $17.9124
2025-04-28 $17.8389
2025-04-25 $17.8080
2025-04-24 $17.8121
2025-04-23 $17.5835
2025-04-22 $17.4126
2025-04-21 $17.1883
2025-04-17 $17.4163
2025-04-16 $17.3677
2025-04-15 $17.4620
2025-04-14 $17.3603
2025-04-11 $17.2045
2025-04-10 $16.8912
2025-04-09 $17.3859
2025-04-08 $16.4370
2025-04-04 $16.8564
2025-04-03 $17.6706
2025-04-02 $18.4387
2025-04-01 $18.3075
2025-03-31 $18.2674
2025-03-28 $18.1341
2025-03-27 $18.4321
2025-03-26 $18.4104
2025-03-25 $18.5590
2025-03-24 $18.5307
2025-03-21 $18.3438
2025-03-20 $18.3793
2025-03-19 $18.4343
2025-03-18 $18.2274
2025-03-17 $18.2837
2025-03-14 $18.1662
2025-03-13 $17.8987
2025-03-12 $18.0644
2025-03-11 $17.9992
2025-03-10 $18.0715
2025-03-07 $18.3433
2025-03-06 $18.2198
2025-03-05 $18.5302
2025-03-04 $18.3792
2025-03-03 $18.5952
2025-02-28 $18.8400
2025-02-27 $18.6693
2025-02-26 $18.8201
2025-02-25 $18.7320
2025-02-24 $18.7002
2025-02-21 $18.7263
2025-02-20 $18.9645
2025-02-19 $19.0379
2025-02-18 $19.0338
2025-02-14 $18.9239
2025-02-13 $19.0684
2025-02-12 $19.0086
2025-02-11 $19.0909
2025-02-10 $19.1494
2025-02-07 $19.0082
2025-02-06 $19.0995
2025-02-05 $19.1142
2025-02-04 $18.9640
2025-02-03 $19.0503
2025-01-31 $19.2118
2025-01-30 $19.3209
2025-01-29 $19.1587
2025-01-28 $19.1257
2025-01-27 $19.0832
2025-01-24 $19.2060
2025-01-23 $19.2468
2025-01-22 $19.1516
2025-01-21 $19.0746
2025-01-20 $18.8956
2025-01-17 $18.8971
2025-01-16 $18.7600
2025-01-15 $18.6951
2025-01-14 $18.5290
2025-01-13 $18.5247
2025-01-10 $18.5991
2025-01-09 $18.8381
2025-01-08 $18.8298
2025-01-07 $18.7511
2025-01-06 $18.8273
2025-01-03 $18.8823
2025-01-02 $18.7467
2024-12-31 $18.6430
2024-12-30 $18.5994
2024-12-27 $18.7509
2024-12-24 $18.8034
2024-12-23 $18.7437
2024-12-20 $18.6456
2024-12-19 $18.5398
2024-12-18 $18.5869
2024-12-17 $18.9928
2024-12-16 $18.9932
2024-12-13 $19.0666
2024-12-12 $19.1456
2024-12-11 $19.2434
2024-12-10 $19.1631
2024-12-09 $19.2241
2024-12-06 $19.3124
2024-12-05 $19.2583
2024-12-04 $19.2825
2024-12-03 $19.2488
2024-12-02 $19.2298
2024-11-29 $19.2101
2024-11-28 $19.1386
2024-11-27 $19.1246
2024-11-26 $19.1107
2024-11-25 $19.0572
2024-11-22 $19.0216
2024-11-21 $18.9485
2024-11-20 $18.7814
2024-11-19 $18.7513
2024-11-18 $18.7692
2024-11-15 $18.7091
2024-11-14 $18.8264
2024-11-13 $18.8070
2024-11-12 $18.8054
2024-11-11 $18.8351
2024-11-08 $18.8345
2024-11-07 $18.8623
2024-11-06 $18.7538
2024-11-05 $18.5352
2024-11-04 $18.4260
2024-11-01 $18.4556
2024-10-31 $18.4032
2024-10-30 $18.6401
2024-10-29 $18.6610
2024-10-28 $18.6988
2024-10-25 $18.6150
2024-10-24 $18.6610
2024-10-22 $18.7739
2024-10-21 $18.8059
2024-10-18 $18.8834
2024-10-16 $18.7416
2024-10-15 $18.6560
2024-10-11 $18.6629
2024-10-10 $18.5310
2024-10-09 $18.4776
2024-10-08 $18.3730
2024-10-07 $18.3663
2024-10-04 $18.4388
2024-10-03 $18.3196
2024-10-02 $18.3251
2024-10-01 $18.3777
2024-09-30 $18.3965
2024-09-27 $18.3852
2024-09-26 $18.3706
2024-09-25 $18.2728
2024-09-24 $18.3222
2024-09-23 $18.3098
2024-09-20 $18.3322
2024-09-19 $18.3225
2024-09-18 $18.1188
2024-09-17 $18.1934
2024-09-16 $18.2156
2024-09-13 $18.1266
2024-09-12 $18.0450
2024-09-11 $17.8791
2024-09-10 $17.7573
2024-09-09 $17.7188
2024-09-06 $17.5459
2024-09-05 $17.7136
2024-09-04 $17.7571
2024-09-03 $17.7979
2024-08-30 $18.0121
2024-08-29 $17.9178
2024-08-28 $17.8318
2024-08-27 $17.9129
2024-08-26 $17.9742
2024-08-23 $17.9841
2024-08-22 $17.8431
2024-08-21 $17.9173
2024-08-20 $17.8520
2024-08-19 $17.9164
2024-08-16 $17.8935
2024-08-15 $17.8601
2024-08-13 $17.5780
2024-08-12 $17.4106
2024-08-09 $17.3658
2024-08-08 $17.3223
2024-08-07 $17.0689
2024-08-06 $17.2060
2024-08-01 $17.8625
2024-07-31 $18.1184
2024-07-30 $17.9441
2024-07-29 $17.9165
2024-07-26 $17.9320
2024-07-25 $17.7597
2024-07-24 $17.7504
2024-07-23 $17.8916
2024-07-22 $17.9209
2024-07-18 $17.8204
2024-07-17 $17.9490
2024-07-16 $18.0591
2024-07-15 $17.9065
2024-07-12 $17.8520
2024-07-11 $17.7422
2024-07-10 $17.6255
2024-07-09 $17.4235
2024-07-08 $17.4772
2024-07-05 $17.4658
2024-07-04 $17.5298
2024-07-03 $17.5192
2024-07-02 $17.4171
2024-06-28 $17.3186
2024-06-27 $17.3820
2024-06-26 $17.3054
2024-06-25 $17.2940
2024-06-24 $17.3419
2024-06-21 $17.1962
2024-06-20 $17.2056
2024-06-19 $17.1407
2024-06-18 $17.1940
2024-06-17 $17.1774
2024-06-14 $17.1585
2024-06-13 $17.2322
2024-06-12 $17.3603
2024-06-11 $17.3452
2024-06-10 $17.4664
2024-06-07 $17.4075
2024-06-06 $17.5223
2024-06-05 $17.4586
2024-06-04 $17.3098
2024-06-03 $17.3546
2024-05-31 $17.4255
2024-05-30 $17.2958
2024-05-29 $17.2191
2024-05-28 $17.4337
2024-05-27 $17.5234
2024-05-24 $17.5269
2024-05-23 $17.4683
2024-05-22 $17.5822
2024-05-21 $17.6450
2024-05-17 $17.6367
2024-05-16 $17.5437
2024-05-15 $17.5328
2024-05-14 $17.4483
2024-05-13 $17.4575
2024-05-10 $17.4835
2024-05-09 $17.5125

Portfolio Manager(s)

Jennifer Law

Senior Portfolio Manager, Canadian Equities