Overview

Daily NAV
$45.56
0.45% $0.20
May 7, 2025
  • Inception Date
    October 20, 2008
  • Net Assets
    $1.17 billion
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $10,000 initial, $500 per fund
  • MER
    2.67%
  • 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 Low load * Deferred Sales Charge *
Class G ECF7040 ECF7240 ECF7540
  • * 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: $23,067.17 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 G -2.36% -0.97% -0.37% -0.97% 4.87% 3.07% 8.51% 3.64% 5.21%
Series Empire Life Asset Allocation GIF Class G
1 mth -2.36%
3 mths -0.97%
6 mths -0.37%
YTD -0.97%
1 year 4.87%
3 years 3.07%
5 years 8.51%
10 years 3.64%
psi 5.21%

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 G 7.64% 2.61% 5.92% -7.62% 12.27% 2.00% 11.84% -6.27% 7.17% 8.97%
Series Empire Life Asset Allocation GIF Class G
2015 7.64%
2016 2.61%
2017 5.92%
2018 -7.62%
2019 12.27%
2020 2.00%
2021 11.84%
2022 -6.27%
2023 7.17%
2024 8.97%

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 $45.5570
2025-05-06 $45.3525
2025-05-05 $45.3763
2025-05-02 $45.4117
2025-05-01 $45.1639
2025-04-30 $45.1795
2025-04-29 $45.1577
2025-04-28 $44.9912
2025-04-25 $44.9093
2025-04-24 $44.8985
2025-04-23 $44.4743
2025-04-22 $44.2634
2025-04-21 $43.8483
2025-04-17 $44.2617
2025-04-16 $44.2577
2025-04-15 $44.3863
2025-04-14 $44.2121
2025-04-11 $43.7997
2025-04-10 $43.4202
2025-04-09 $44.1470
2025-04-08 $42.9162
2025-04-04 $43.8087
2025-04-03 $44.8931
2025-04-02 $46.0183
2025-04-01 $45.8515
2025-03-31 $45.7332
2025-03-28 $45.5336
2025-03-27 $45.8980
2025-03-26 $45.8481
2025-03-25 $46.1274
2025-03-24 $46.0910
2025-03-21 $45.9205
2025-03-20 $45.9729
2025-03-19 $46.0703
2025-03-18 $45.7405
2025-03-17 $45.7910
2025-03-14 $45.6122
2025-03-13 $45.2463
2025-03-12 $45.5000
2025-03-11 $45.5127
2025-03-10 $45.6967
2025-03-07 $46.0656
2025-03-06 $45.8666
2025-03-05 $46.4132
2025-03-04 $46.2884
2025-03-03 $46.6207
2025-02-28 $46.8401
2025-02-27 $46.5852
2025-02-26 $46.7769
2025-02-25 $46.6512
2025-02-24 $46.5046
2025-02-21 $46.4981
2025-02-20 $46.7021
2025-02-19 $46.8919
2025-02-18 $46.8795
2025-02-14 $46.7983
2025-02-13 $46.9555
2025-02-12 $46.7046
2025-02-11 $46.9019
2025-02-10 $47.0015
2025-02-07 $46.7757
2025-02-06 $47.0541
2025-02-05 $47.1607
2025-02-04 $46.8795
2025-02-03 $46.9775
2025-01-31 $47.1808
2025-01-30 $47.2692
2025-01-29 $46.9889
2025-01-28 $46.9447
2025-01-27 $46.8533
2025-01-24 $46.8413
2025-01-23 $46.8411
2025-01-22 $46.7496
2025-01-21 $46.6921
2025-01-20 $46.4541
2025-01-17 $46.4093
2025-01-16 $46.2029
2025-01-15 $45.9957
2025-01-14 $45.6087
2025-01-13 $45.6681
2025-01-10 $45.8576
2025-01-09 $46.2589
2025-01-08 $46.2926
2025-01-07 $46.3039
2025-01-06 $46.4998
2025-01-03 $46.5593
2025-01-02 $46.3470
2024-12-31 $46.1812
2024-12-30 $46.0263
2024-12-27 $46.2185
2024-12-24 $46.2723
2024-12-23 $46.2164
2024-12-20 $46.1454
2024-12-19 $45.8417
2024-12-18 $46.1651
2024-12-17 $46.8199
2024-12-16 $46.7816
2024-12-13 $46.8924
2024-12-12 $47.0529
2024-12-11 $47.2957
2024-12-10 $47.2554
2024-12-09 $47.3478
2024-12-06 $47.4923
2024-12-05 $47.2992
2024-12-04 $47.3434
2024-12-03 $47.2441
2024-12-02 $47.2462
2024-11-29 $47.2502
2024-11-28 $46.9686
2024-11-27 $46.9421
2024-11-26 $46.7881
2024-11-25 $46.6916
2024-11-22 $46.3967
2024-11-21 $46.2066
2024-11-20 $46.0561
2024-11-19 $46.1545
2024-11-18 $46.2745
2024-11-15 $46.2276
2024-11-14 $46.4417
2024-11-13 $46.3693
2024-11-12 $46.4271
2024-11-11 $46.5715
2024-11-08 $46.5112
2024-11-07 $46.4371
2024-11-06 $46.1107
2024-11-05 $45.8230
2024-11-04 $45.6561
2024-11-01 $45.5924
2024-10-31 $45.5766
2024-10-30 $45.7998
2024-10-29 $45.7838
2024-10-28 $45.8389
2024-10-25 $45.6847
2024-10-24 $45.7754
2024-10-22 $45.9822
2024-10-21 $46.0392
2024-10-18 $46.2854
2024-10-16 $46.1857
2024-10-15 $46.0455
2024-10-11 $45.9431
2024-10-10 $45.7236
2024-10-09 $45.6211
2024-10-08 $45.5090
2024-10-07 $45.4619
2024-10-04 $45.5978
2024-10-03 $45.5559
2024-10-02 $45.6410
2024-10-01 $45.8324
2024-09-30 $45.9038
2024-09-27 $45.9180
2024-09-26 $45.7391
2024-09-25 $45.5102
2024-09-24 $45.6180
2024-09-23 $45.5292
2024-09-20 $45.5927
2024-09-19 $45.6153
2024-09-18 $45.2608
2024-09-17 $45.4076
2024-09-16 $45.4314
2024-09-13 $45.2230
2024-09-12 $45.1063
2024-09-11 $44.8310
2024-09-10 $44.6963
2024-09-09 $44.6250
2024-09-06 $44.2977
2024-09-05 $44.5728
2024-09-04 $44.6510
2024-09-03 $44.6375
2024-08-30 $44.8143
2024-08-29 $44.6825
2024-08-28 $44.5851
2024-08-27 $44.7930
2024-08-26 $44.8809
2024-08-23 $44.8900
2024-08-22 $44.6112
2024-08-21 $44.7979
2024-08-20 $44.6887
2024-08-19 $44.7225
2024-08-16 $44.6570
2024-08-15 $44.6025
2024-08-13 $44.2408
2024-08-12 $43.9070
2024-08-09 $43.8424
2024-08-08 $43.7197
2024-08-07 $43.3446
2024-08-06 $43.5561
2024-08-01 $44.7745
2024-07-31 $45.0256
2024-07-30 $44.7073
2024-07-29 $44.6346
2024-07-26 $44.5933
2024-07-25 $44.2414
2024-07-24 $44.1742
2024-07-23 $44.4448
2024-07-22 $44.4426
2024-07-18 $44.3714
2024-07-17 $44.6202
2024-07-16 $44.7995
2024-07-15 $44.4271
2024-07-12 $44.3796
2024-07-11 $44.1215
2024-07-10 $43.8801
2024-07-09 $43.5723
2024-07-08 $43.6801
2024-07-05 $43.5591
2024-07-04 $43.5142
2024-07-03 $43.5447
2024-07-02 $43.3917
2024-06-28 $43.4042
2024-06-27 $43.4680
2024-06-26 $43.3465
2024-06-25 $43.4579
2024-06-24 $43.5618
2024-06-21 $43.4127
2024-06-20 $43.4153
2024-06-19 $43.4086
2024-06-18 $43.5362
2024-06-17 $43.5006
2024-06-14 $43.4986
2024-06-13 $43.5394
2024-06-12 $43.6328
2024-06-11 $43.4258
2024-06-10 $43.5517
2024-06-07 $43.5134
2024-06-06 $43.7450
2024-06-05 $43.7005
2024-06-04 $43.3968
2024-06-03 $43.3460
2024-05-31 $43.2923
2024-05-30 $43.0169
2024-05-29 $42.8309
2024-05-28 $43.2246
2024-05-27 $43.4680
2024-05-24 $43.4774
2024-05-23 $43.3880
2024-05-22 $43.5820
2024-05-21 $43.6860
2024-05-17 $43.7058
2024-05-16 $43.6769
2024-05-15 $43.5593
2024-05-14 $43.3044
2024-05-13 $43.3320
2024-05-10 $43.3366
2024-05-09 $43.4131
2024-05-08 $43.3904

Portfolio Manager(s)

Greg Chan

Portfolio Manager, Canadian Equities