Overview

Daily NAV
$51.95
0.45% $0.23
May 7, 2025
  • Inception Date
    September 5, 2006
  • Net Assets
    $1.17 billion
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $250,000 initial, $500 per fund
  • MER
    1.93%
  • Asset class
    Tactical Balanced

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 and income by investing in a tactical mix of primarily Canadian equity and fixed income securities, with a target equity allocation of 65%

Fund codes

Series Front-end load
Class E ECF5040

    Performance As at March 31, 2025

    Growth of $10,000

    Investment value: $21,884.91 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 Asset Allocation GIF Class E -2.30% -0.79% -0.00% -0.79% 5.65% 3.84% 9.32% 4.41% 4.31%
    Series Empire Life Asset Allocation GIF Class E
    1 mth -2.30%
    3 mths -0.79%
    6 mths -0.00%
    YTD -0.79%
    1 year 5.65%
    3 years 3.84%
    5 years 9.32%
    10 years 4.41%
    psi 4.31%

    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 Asset Allocation GIF Class E 8.45% 3.37% 6.69% -6.92% 13.11% 2.76% 12.66% -5.58% 7.96% 9.79%
    Series Empire Life Asset Allocation GIF Class E
    2015 8.45%
    2016 3.37%
    2017 6.69%
    2018 -6.92%
    2019 13.11%
    2020 2.76%
    2021 12.66%
    2022 -5.58%
    2023 7.96%
    2024 9.79%

    Portfolio Allocations As at March 31, 2025

    Sector Allocation

    Colours Name Weight
    Financials 25.01%
    Industrials 15.69%
    Information Technology 14.64%
    Energy 10.47%
    Materials 7.77%
    Consumer Discretionary 7.05%
    Consumer Staples 6.68%
    Communication Services 4.29%
    Health Care 4.20%
    Utilities 3.11%
    Real Estate 1.08%

    Asset Allocation

    Colours Name Weight
    Canadian Bonds 33.57%
    Canadian Equity 29.04%
    U.S. Equity 12.67%
    International Equity 8.69%
    U.S. Bonds 7.66%
    Cash and Equivalents 4.04%
    Mutual Funds 3.95%
    International Bond Funds 0.51%

    Top 10 Holdings

    Name Weight
    EMPIRE LIFE AMERICAN GROWTH GIF CLASS F 3.95%
    Royal Bank of Canada 1.97%
    ROYAL BK OF CAD 2.65% 01APR25 TD 1.94%
    Brookfield Business Corporation Cl A Exchangeable Sub Vtg 1.32%
    Lightspeed Commerce Inc. Sub Vtg Shs 1.21%
    Toronto-Dominion Bank 1.18%
    Agnico Eagle Mines Limited 1.11%
    Gov. of Canada, 2%, 6/1/2032 1.02%
    Microsoft Corporation 1.02%
    Gov. of Canada, 2.75%, 6/1/2033 1.02%

    Historical Net Asset Values

    Start Date

    End Date

    Effective Date Net Asset Value Distributions
    2025-05-07 $51.9453
    2025-05-06 $51.7110
    2025-05-05 $51.7372
    2025-05-02 $51.7743
    2025-05-01 $51.4908
    2025-04-30 $51.5075
    2025-04-29 $51.4817
    2025-04-28 $51.2909
    2025-04-25 $51.1944
    2025-04-24 $51.1810
    2025-04-23 $50.6964
    2025-04-22 $50.4550
    2025-04-21 $49.9808
    2025-04-17 $50.4479
    2025-04-16 $50.4424
    2025-04-15 $50.5880
    2025-04-14 $50.3883
    2025-04-11 $49.9154
    2025-04-10 $49.4819
    2025-04-09 $50.3091
    2025-04-08 $48.9055
    2025-04-04 $49.9185
    2025-04-03 $51.1530
    2025-04-02 $52.4341
    2025-04-01 $52.2430
    2025-03-31 $52.1071
    2025-03-28 $51.8766
    2025-03-27 $52.2907
    2025-03-26 $52.2328
    2025-03-25 $52.5499
    2025-03-24 $52.5074
    2025-03-21 $52.3100
    2025-03-20 $52.3686
    2025-03-19 $52.4786
    2025-03-18 $52.1017
    2025-03-17 $52.1583
    2025-03-14 $51.9515
    2025-03-13 $51.5337
    2025-03-12 $51.8216
    2025-03-11 $51.8350
    2025-03-10 $52.0435
    2025-03-07 $52.4604
    2025-03-06 $52.2328
    2025-03-05 $52.8542
    2025-03-04 $52.7110
    2025-03-03 $53.0883
    2025-02-28 $53.3348
    2025-02-27 $53.0435
    2025-02-26 $53.2607
    2025-02-25 $53.1165
    2025-02-24 $52.9485
    2025-02-21 $52.9379
    2025-02-20 $53.1691
    2025-02-19 $53.3841
    2025-02-18 $53.3689
    2025-02-14 $53.2721
    2025-02-13 $53.4500
    2025-02-12 $53.1633
    2025-02-11 $53.3868
    2025-02-10 $53.4992
    2025-02-07 $53.2389
    2025-02-06 $53.5547
    2025-02-05 $53.6749
    2025-02-04 $53.3539
    2025-02-03 $53.4642
    2025-01-31 $53.6924
    2025-01-30 $53.7919
    2025-01-29 $53.4719
    2025-01-28 $53.4205
    2025-01-27 $53.3153
    2025-01-24 $53.2984
    2025-01-23 $53.2971
    2025-01-22 $53.1920
    2025-01-21 $53.1255
    2025-01-20 $52.8537
    2025-01-17 $52.7995
    2025-01-16 $52.5636
    2025-01-15 $52.3268
    2025-01-14 $51.8855
    2025-01-13 $51.9520
    2025-01-10 $52.1643
    2025-01-09 $52.6198
    2025-01-08 $52.6570
    2025-01-07 $52.6688
    2025-01-06 $52.8906
    2025-01-03 $52.9550
    2025-01-02 $52.7124
    2024-12-31 $52.5218
    2024-12-30 $52.3446
    2024-12-27 $52.5599
    2024-12-24 $52.6179
    2024-12-23 $52.5532
    2024-12-20 $52.4692
    2024-12-19 $52.1229
    2024-12-18 $52.4895
    2024-12-17 $53.2329
    2024-12-16 $53.1882
    2024-12-13 $53.3110
    2024-12-12 $53.4923
    2024-12-11 $53.7673
    2024-12-10 $53.7204
    2024-12-09 $53.8243
    2024-12-06 $53.9854
    2024-12-05 $53.7647
    2024-12-04 $53.8139
    2024-12-03 $53.6999
    2024-12-02 $53.7012
    2024-11-29 $53.7025
    2024-11-28 $53.3814
    2024-11-27 $53.3502
    2024-11-26 $53.1741
    2024-11-25 $53.0633
    2024-11-22 $52.7250
    2024-11-21 $52.5081
    2024-11-20 $52.3360
    2024-11-19 $52.4467
    2024-11-18 $52.5820
    2024-11-15 $52.5255
    2024-11-14 $52.7677
    2024-11-13 $52.6844
    2024-11-12 $52.7490
    2024-11-11 $52.9120
    2024-11-08 $52.8402
    2024-11-07 $52.7550
    2024-11-06 $52.3831
    2024-11-05 $52.0552
    2024-11-04 $51.8645
    2024-11-01 $51.7891
    2024-10-31 $51.7701
    2024-10-30 $52.0226
    2024-10-29 $52.0033
    2024-10-28 $52.0648
    2024-10-25 $51.8866
    2024-10-24 $51.9885
    2024-10-22 $52.2213
    2024-10-21 $52.2849
    2024-10-18 $52.5613
    2024-10-16 $52.4460
    2024-10-15 $52.2857
    2024-10-11 $52.1653
    2024-10-10 $51.9150
    2024-10-09 $51.7975
    2024-10-08 $51.6692
    2024-10-07 $51.6146
    2024-10-04 $51.7658
    2024-10-03 $51.7172
    2024-10-02 $51.8127
    2024-10-01 $52.0290
    2024-09-30 $52.1089
    2024-09-27 $52.1220
    2024-09-26 $51.9178
    2024-09-25 $51.6569
    2024-09-24 $51.7783
    2024-09-23 $51.6765
    2024-09-20 $51.7454
    2024-09-19 $51.7699
    2024-09-18 $51.3665
    2024-09-17 $51.5321
    2024-09-16 $51.5580
    2024-09-13 $51.3184
    2024-09-12 $51.1850
    2024-09-11 $50.8716
    2024-09-10 $50.7177
    2024-09-09 $50.6357
    2024-09-06 $50.2613
    2024-09-05 $50.5725
    2024-09-04 $50.6601
    2024-09-03 $50.6438
    2024-08-30 $50.8402
    2024-08-29 $50.6897
    2024-08-28 $50.5781
    2024-08-27 $50.8130
    2024-08-26 $50.9117
    2024-08-23 $50.9189
    2024-08-22 $50.6017
    2024-08-21 $50.8124
    2024-08-20 $50.6875
    2024-08-19 $50.7247
    2024-08-16 $50.6474
    2024-08-15 $50.5845
    2024-08-13 $50.1723
    2024-08-12 $49.7928
    2024-08-09 $49.7165
    2024-08-08 $49.5764
    2024-08-07 $49.1500
    2024-08-06 $49.3889
    2024-08-01 $50.7652
    2024-07-31 $51.0488
    2024-07-30 $50.6870
    2024-07-29 $50.6035
    2024-07-26 $50.5536
    2024-07-25 $50.1536
    2024-07-24 $50.0765
    2024-07-23 $50.3822
    2024-07-22 $50.3787
    2024-07-18 $50.2939
    2024-07-17 $50.5749
    2024-07-16 $50.7771
    2024-07-15 $50.3540
    2024-07-12 $50.2970
    2024-07-11 $50.0035
    2024-07-10 $49.7290
    2024-07-09 $49.3792
    2024-07-08 $49.5004
    2024-07-05 $49.3601
    2024-07-04 $49.3083
    2024-07-03 $49.3420
    2024-07-02 $49.1676
    2024-06-28 $49.1777
    2024-06-27 $49.2490
    2024-06-26 $49.1104
    2024-06-25 $49.2356
    2024-06-24 $49.3523
    2024-06-21 $49.1803
    2024-06-20 $49.1823
    2024-06-19 $49.1737
    2024-06-18 $49.3172
    2024-06-17 $49.2759
    2024-06-14 $49.2706
    2024-06-13 $49.3159
    2024-06-12 $49.4207
    2024-06-11 $49.1852
    2024-06-10 $49.3268
    2024-06-07 $49.2805
    2024-06-06 $49.5418
    2024-06-05 $49.4904
    2024-06-04 $49.1454
    2024-06-03 $49.0869
    2024-05-31 $49.0231
    2024-05-30 $48.7102
    2024-05-29 $48.4986
    2024-05-28 $48.9435
    2024-05-27 $49.2181
    2024-05-24 $49.2257
    2024-05-23 $49.1236
    2024-05-22 $49.3423
    2024-05-21 $49.4590
    2024-05-17 $49.4774
    2024-05-16 $49.4429
    2024-05-15 $49.3087
    2024-05-14 $49.0192
    2024-05-13 $49.0495
    2024-05-10 $49.0518
    2024-05-09 $49.1373
    2024-05-08 $49.1106

    Portfolio Manager(s)

    Greg Chan

    Portfolio Manager, Canadian Equities