Overview

Daily NAV
$17.89
-0.15% ($0.03)
May 20, 2025
  • Inception Date
    September 5, 2006
  • Net Assets
    $91.68 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $500 per fund
  • MER
    2.67%
  • Asset class
    Canadian Neutral 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 primarily in equity and fixed income investment funds, with a target equity allocation of 50%

Fund codes

Series Front-end load Low load * Deferred Sales Charge *
Class B ECF2084 ECF2284 ECF2584
  • * 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 April 30, 2025

Growth of $10,000

Investment value: $15,318.25 at April 30, 2025

Compound Returns 2

Series 1 mth 3 mths 6 mths YTD 1 year 3 years 5 years 10 years psi
Empire Life Balanced Portfolio Fund Class B -1.18% -2.72% -0.30% -0.92% 7.11% 3.34% 3.83% 2.30% 2.31%
Series Empire Life Balanced Portfolio Fund Class B
1 mth -1.18%
3 mths -2.72%
6 mths -0.30%
YTD -0.92%
1 year 7.11%
3 years 3.34%
5 years 3.83%
10 years 2.30%
psi 2.31%

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 Balanced Portfolio Fund Class B 2.23% 5.26% 4.44% -7.14% 9.81% 4.07% 5.93% -9.61% 6.04% 7.97%
Series Empire Life Balanced Portfolio Fund Class B
2015 2.23%
2016 5.26%
2017 4.44%
2018 -7.14%
2019 9.81%
2020 4.07%
2021 5.93%
2022 -9.61%
2023 6.04%
2024 7.97%

Portfolio Allocations As at March 31, 2025

Sector Allocation

Colours Name Weight
Financials 24.12%
Industrials 12.72%
Energy 12.58%
Materials 10.62%
Information Technology 10.57%
Consumer Discretionary 7.19%
Consumer Staples 6.78%
Communication Services 5.25%
Utilities 4.57%
Health Care 3.67%
Real Estate 1.93%

Asset Allocation

Colours Name Weight
Canadian Bonds 45.77%
Canadian Equity 31.71%
International Equity 8.70%
U.S. Equity 8.29%
U.S. Bonds 3.31%
Cash and Equivalents 2.25%
International Bond Funds 0.16%

Top 10 Holdings

Name Weight
ROYAL BK OF CAD 2.65% 01APR25 TD 1.84%
Royal Bank of Canada 1.68%
Gov. of Canada, 2.75%, 12/1/2055 1.57%
Toronto-Dominion Bank 1.44%
Province of Ontario, 3.8%, 12/2/2034 0.94%
Agnico Eagle Mines Limited 0.94%
Canadian Natural Resources Limited 0.89%
Sun Life Financial Inc. 0.82%
Bank of Montreal 0.82%
Gov. of Canada, 2.5%, 12/1/2032 0.78%

Underlying Fund Holdings

Name Weight
Empire Life Bond Fund 49.83%
Empire Life Dividend Growth Fund 14.68%
Empire Life Canadian Equity Fund 14.23%
Empire Life International Equity Fund 7.48%
Empire Life American Value Fund 7.10%
Empire Life Small Cap Equity Fund 5.51%
ROYAL BK OF CAD 2.65% 01APR25 TD 1.05%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-20 $17.8921
2025-05-16 $17.9197
2025-05-15 $17.8900
2025-05-14 $17.7687
2025-05-13 $17.7838
2025-05-12 $17.7709
2025-05-09 $17.6773
2025-05-08 $17.6124
2025-05-07 $17.5868
2025-05-06 $17.5036
2025-05-05 $17.4877
2025-05-02 $17.5090
2025-05-01 $17.4509
2025-04-30 $17.4746
2025-04-29 $17.4523
2025-04-28 $17.3960
2025-04-25 $17.3593
2025-04-24 $17.3574
2025-04-23 $17.2430
2025-04-22 $17.1955
2025-04-21 $17.0765
2025-04-17 $17.2073
2025-04-16 $17.2067
2025-04-15 $17.2130
2025-04-14 $17.1478
2025-04-11 $16.9727
2025-04-10 $16.8467
2025-04-09 $17.0621
2025-04-08 $16.7368
2025-04-04 $17.1007
2025-04-03 $17.4569
2025-04-02 $17.7755
2025-04-01 $17.7311
2025-03-31 $17.6840
2025-03-28 $17.6154
2025-03-27 $17.7110
2025-03-26 $17.6775
2025-03-25 $17.7690
2025-03-24 $17.7577
2025-03-21 $17.7212
2025-03-20 $17.7553
2025-03-19 $17.7776
2025-03-18 $17.6767
2025-03-17 $17.6837
2025-03-14 $17.5971
2025-03-13 $17.4999
2025-03-12 $17.5629
2025-03-11 $17.5628
2025-03-10 $17.6210
2025-03-07 $17.7135
2025-03-06 $17.6350
2025-03-05 $17.8217
2025-03-04 $17.7985
2025-03-03 $17.9218
2025-02-28 $17.9549
2025-02-27 $17.8750
2025-02-26 $17.9218
2025-02-25 $17.8845
2025-02-24 $17.8042
2025-02-21 $17.7901
2025-02-20 $17.8073
2025-02-19 $17.8557
2025-02-18 $17.8592
2025-02-14 $17.8615
2025-02-13 $17.9168
2025-02-12 $17.8367
2025-02-11 $17.9071
2025-02-10 $17.9397
2025-02-07 $17.8780
2025-02-06 $17.9851
2025-02-05 $18.0096
2025-02-04 $17.9005
2025-02-03 $17.9237
2025-01-31 $17.9634
2025-01-30 $17.9958
2025-01-29 $17.8839
2025-01-28 $17.8592
2025-01-27 $17.8510
2025-01-24 $17.8379
2025-01-23 $17.8149
2025-01-22 $17.7855
2025-01-21 $17.7845
2025-01-20 $17.7179
2025-01-17 $17.6832
2025-01-16 $17.6032
2025-01-15 $17.5176
2025-01-14 $17.3740
2025-01-13 $17.3984
2025-01-10 $17.4863
2025-01-09 $17.6412
2025-01-08 $17.6524
2025-01-07 $17.6528
2025-01-06 $17.7033
2025-01-03 $17.7313
2025-01-02 $17.6932
2024-12-31 $17.6361
2024-12-30 $17.5840
2024-12-27 $17.6431
2024-12-24 $17.6516
2024-12-23 $17.6370
2024-12-20 $17.6038
2024-12-19 $17.5180
2024-12-18 $17.6386
2024-12-17 $17.8429
2024-12-16 $17.8259
2024-12-13 $17.8697
2024-12-12 $17.9257
2024-12-11 $18.0101
2024-12-10 $18.0046
2024-12-09 $18.0308
2024-12-06 $18.0814
2024-12-05 $18.0196
2024-12-04 $18.0247
2024-12-03 $17.9872
2024-12-02 $17.9953
2024-11-29 $17.9868
2024-11-28 $17.8628
2024-11-27 $17.8420
2024-11-26 $17.7806
2024-11-25 $17.7501
2024-11-22 $17.6525
2024-11-21 $17.5890
2024-11-20 $17.5615
2024-11-19 $17.5926
2024-11-18 $17.6371
2024-11-15 $17.6176
2024-11-14 $17.6711
2024-11-13 $17.6340
2024-11-12 $17.6683
2024-11-11 $17.7482
2024-11-08 $17.7457
2024-11-07 $17.7361
2024-11-06 $17.6295
2024-11-05 $17.5893
2024-11-04 $17.5416
2024-11-01 $17.5203
2024-10-31 $17.5266
2024-10-30 $17.6082
2024-10-29 $17.6020
2024-10-28 $17.6270
2024-10-25 $17.5863
2024-10-24 $17.6105
2024-10-22 $17.6678
2024-10-21 $17.6816
2024-10-18 $17.7744
2024-10-16 $17.7233
2024-10-15 $17.6655
2024-10-11 $17.6145
2024-10-10 $17.5459
2024-10-09 $17.5088
2024-10-08 $17.4648
2024-10-07 $17.4633
2024-10-04 $17.5072
2024-10-03 $17.5162
2024-10-02 $17.5672
2024-10-01 $17.6461
2024-09-30 $17.6492
2024-09-27 $17.6540
2024-09-26 $17.5898
2024-09-25 $17.5317
2024-09-24 $17.5815
2024-09-23 $17.5582
2024-09-20 $17.5699
2024-09-19 $17.5776
2024-09-18 $17.4779
2024-09-17 $17.5331
2024-09-16 $17.5569
2024-09-13 $17.4871
2024-09-12 $17.4407
2024-09-11 $17.3450
2024-09-10 $17.3112
2024-09-09 $17.2917
2024-09-06 $17.1852
2024-09-05 $17.2500
2024-09-04 $17.2597
2024-09-03 $17.2298
2024-08-30 $17.2602
2024-08-29 $17.2354
2024-08-28 $17.2265
2024-08-27 $17.2883
2024-08-26 $17.3121
2024-08-23 $17.3158
2024-08-22 $17.2232
2024-08-21 $17.2861
2024-08-20 $17.2561
2024-08-19 $17.2483
2024-08-16 $17.2344
2024-08-15 $17.2107
2024-08-13 $17.1044
2024-08-12 $16.9957
2024-08-09 $16.9617
2024-08-08 $16.9028
2024-08-07 $16.8061
2024-08-06 $16.8792
2024-08-01 $17.1967
2024-07-31 $17.2687
2024-07-30 $17.1471
2024-07-29 $17.1024
2024-07-26 $17.0867
2024-07-25 $16.9748
2024-07-24 $16.9636
2024-07-23 $17.0311
2024-07-22 $17.0274
2024-07-18 $16.9934
2024-07-17 $17.0598
2024-07-16 $17.0903
2024-07-15 $16.9860
2024-07-12 $16.9768
2024-07-11 $16.8978
2024-07-10 $16.8053
2024-07-09 $16.7007
2024-07-08 $16.7419
2024-07-05 $16.7017
2024-07-04 $16.6851
2024-07-03 $16.6933
2024-07-02 $16.6121
2024-06-28 $16.6450
2024-06-27 $16.6765
2024-06-26 $16.6374
2024-06-25 $16.7007
2024-06-24 $16.7381
2024-06-21 $16.6599
2024-06-20 $16.6718
2024-06-19 $16.6730
2024-06-18 $16.7153
2024-06-17 $16.6799
2024-06-14 $16.7013
2024-06-13 $16.7172
2024-06-12 $16.7399
2024-06-11 $16.6682
2024-06-10 $16.7075
2024-06-07 $16.7108
2024-06-06 $16.8105
2024-06-05 $16.7916
2024-06-04 $16.6888
2024-06-03 $16.6424
2024-05-31 $16.6128
2024-05-30 $16.4973
2024-05-29 $16.4246
2024-05-28 $16.5694
2024-05-27 $16.6564
2024-05-24 $16.6604
2024-05-23 $16.6325
2024-05-22 $16.7015
2024-05-21 $16.7369

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team