Overview

Daily NAV
$16.47
0.43% $0.07
May 7, 2025
  • Inception Date
    October 20, 2008
  • Net Assets
    $57.42 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $10,000 initial, $500 per fund
  • MER
    2.61%
  • Asset class
    Canadian Fixed Income Balanced

Risk: Low

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 35%

Fund codes

Series Front-end load Low load * Deferred Sales Charge *
Class G ECF7080 ECF7280 ECF7580
  • * 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: $16,261.38 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 Conservative Portfolio Fund Class G -1.26% 0.73% 0.65% 0.73% 6.00% 2.02% 3.52% 1.62% 3.00%
Series Empire Life Conservative Portfolio Fund Class G
1 mth -1.26%
3 mths 0.73%
6 mths 0.65%
YTD 0.73%
1 year 6.00%
3 years 2.02%
5 years 3.52%
10 years 1.62%
psi 3.00%

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 Conservative Portfolio Fund Class G 1.80% 4.05% 3.32% -5.34% 8.34% 4.22% 2.90% -10.44% 5.78% 6.41%
Series Empire Life Conservative Portfolio Fund Class G
2015 1.80%
2016 4.05%
2017 3.32%
2018 -5.34%
2019 8.34%
2020 4.22%
2021 2.90%
2022 -10.44%
2023 5.78%
2024 6.41%

Portfolio Allocations As at March 31, 2025

Sector Allocation

Colours Name Weight
Financials 26.70%
Industrials 13.23%
Energy 11.81%
Information Technology 10.11%
Materials 8.61%
Consumer Discretionary 7.34%
Consumer Staples 6.88%
Communication Services 5.93%
Utilities 3.96%
Health Care 3.70%
Real Estate 1.71%

Asset Allocation

Colours Name Weight
Canadian Bonds 59.65%
Canadian Equity 22.37%
International Equity 6.04%
U.S. Equity 5.66%
U.S. Bonds 4.32%
Cash and Equivalents 2.00%
International Bond Funds 0.21%

Top 10 Holdings

Name Weight
Gov. of Canada, 2.75%, 12/1/2055 2.05%
ROYAL BK OF CAD 2.65% 01APR25 TD 1.65%
Royal Bank of Canada 1.41%
Province of Ontario, 3.8%, 12/2/2034 1.22%
Toronto-Dominion Bank 1.21%
Gov. of Canada, 2.5%, 12/1/2032 1.01%
Gov. of Canada, 2%, 6/1/2032 1.00%
Province of Quebec 3.500% December 1, 2045 0.98%
Gov. of Canada, 0.03%, 6/1/2034 0.93%
Gov. of Canada, 3.25%, 12/1/2034 0.90%

Underlying Fund Holdings

Name Weight
Empire Life Strategic Corporate Bond GIF 8.41%
Gov. of Canada, 2.75%, 12/1/2055 3.16%
Province of Ontario, 3.8%, 12/2/2034 1.88%
Province of Quebec 3.500% December 1, 2045 1.51%
Gov. of Canada, 2.5%, 12/1/2032 1.49%
Gov. of Canada, 0.03%, 6/1/2034 1.40%
Gov. of Canada, 3.25%, 12/1/2034 1.39%
Gov. of Canada, 4%, 3/1/2029 1.37%
Gov. of Canada, 2%, 6/1/2032 1.36%
Gov. of Canada, 4%, 5/1/2026 1.25%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-07 $16.4665
2025-05-06 $16.3952
2025-05-05 $16.3824
2025-05-02 $16.3948
2025-05-01 $16.3757
2025-04-30 $16.4000
2025-04-29 $16.3664
2025-04-28 $16.3125
2025-04-25 $16.2811
2025-04-24 $16.2777
2025-04-23 $16.1907
2025-04-22 $16.1703
2025-04-21 $16.0714
2025-04-17 $16.1894
2025-04-16 $16.2003
2025-04-15 $16.1988
2025-04-14 $16.1516
2025-04-11 $15.9920
2025-04-10 $15.9213
2025-04-09 $16.0818
2025-04-08 $15.9058
2025-04-04 $16.2189
2025-04-03 $16.4311
2025-04-02 $16.6394
2025-04-01 $16.6115
2025-03-31 $16.5640
2025-03-28 $16.4977
2025-03-27 $16.5344
2025-03-26 $16.5071
2025-03-25 $16.5812
2025-03-24 $16.5777
2025-03-21 $16.5647
2025-03-20 $16.5870
2025-03-19 $16.6073
2025-03-18 $16.5318
2025-03-17 $16.5420
2025-03-14 $16.4788
2025-03-13 $16.4218
2025-03-12 $16.4564
2025-03-11 $16.4830
2025-03-10 $16.5419
2025-03-07 $16.5765
2025-03-06 $16.5085
2025-03-05 $16.6623
2025-03-04 $16.6856
2025-03-03 $16.7869
2025-02-28 $16.7759
2025-02-27 $16.6960
2025-02-26 $16.7202
2025-02-25 $16.7016
2025-02-24 $16.6197
2025-02-21 $16.6016
2025-02-20 $16.5752
2025-02-19 $16.6218
2025-02-18 $16.6156
2025-02-14 $16.6424
2025-02-13 $16.6765
2025-02-12 $16.5975
2025-02-11 $16.6727
2025-02-10 $16.7056
2025-02-07 $16.6613
2025-02-06 $16.7737
2025-02-05 $16.7907
2025-02-04 $16.7059
2025-02-03 $16.7356
2025-01-31 $16.7363
2025-01-30 $16.7440
2025-01-29 $16.6471
2025-01-28 $16.6254
2025-01-27 $16.6188
2025-01-24 $16.5731
2025-01-23 $16.5410
2025-01-22 $16.5268
2025-01-21 $16.5463
2025-01-20 $16.4904
2025-01-17 $16.4626
2025-01-16 $16.3947
2025-01-15 $16.3098
2025-01-14 $16.1758
2025-01-13 $16.2069
2025-01-10 $16.2778
2025-01-09 $16.4090
2025-01-08 $16.4306
2025-01-07 $16.4360
2025-01-06 $16.4848
2025-01-03 $16.5019
2025-01-02 $16.4768
2024-12-31 $16.4443
2024-12-30 $16.4073
2024-12-27 $16.4099
2024-12-24 $16.4163
2024-12-23 $16.4116
2024-12-20 $16.3930
2024-12-19 $16.3187
2024-12-18 $16.4360
2024-12-17 $16.5903
2024-12-16 $16.5691
2024-12-13 $16.5993
2024-12-12 $16.6403
2024-12-11 $16.7111
2024-12-10 $16.7244
2024-12-09 $16.7405
2024-12-06 $16.7912
2024-12-05 $16.7197
2024-12-04 $16.7281
2024-12-03 $16.6848
2024-12-02 $16.7155
2024-11-29 $16.7025
2024-11-28 $16.5740
2024-11-27 $16.5541
2024-11-26 $16.5004
2024-11-25 $16.4666
2024-11-22 $16.3537
2024-11-21 $16.3012
2024-11-20 $16.3052
2024-11-19 $16.3459
2024-11-18 $16.3956
2024-11-15 $16.3910
2024-11-14 $16.4286
2024-11-13 $16.3903
2024-11-12 $16.4260
2024-11-11 $16.5000
2024-11-08 $16.4882
2024-11-07 $16.4671
2024-11-06 $16.3689
2024-11-05 $16.3484
2024-11-04 $16.3187
2024-11-01 $16.2895
2024-10-31 $16.3123
2024-10-30 $16.3492
2024-10-29 $16.3418
2024-10-28 $16.3535
2024-10-25 $16.3189
2024-10-24 $16.3457
2024-10-22 $16.3793
2024-10-21 $16.3848
2024-10-18 $16.4785
2024-10-16 $16.4626
2024-10-15 $16.4125
2024-10-11 $16.3505
2024-10-10 $16.3017
2024-10-09 $16.2750
2024-10-08 $16.2484
2024-10-07 $16.2421
2024-10-04 $16.2802
2024-10-03 $16.3180
2024-10-02 $16.3732
2024-10-01 $16.4527
2024-09-30 $16.4566
2024-09-27 $16.4589
2024-09-26 $16.3868
2024-09-25 $16.3541
2024-09-24 $16.4026
2024-09-23 $16.3951
2024-09-20 $16.4067
2024-09-19 $16.4120
2024-09-18 $16.3474
2024-09-17 $16.3958
2024-09-16 $16.4242
2024-09-13 $16.3613
2024-09-12 $16.3300
2024-09-11 $16.2690
2024-09-10 $16.2574
2024-09-09 $16.2374
2024-09-06 $16.1509
2024-09-05 $16.1856
2024-09-04 $16.1847
2024-09-03 $16.1412
2024-08-30 $16.1182
2024-08-29 $16.1118
2024-08-28 $16.1203
2024-08-27 $16.1688
2024-08-26 $16.1825
2024-08-23 $16.1925
2024-08-22 $16.1179
2024-08-21 $16.1738
2024-08-20 $16.1557
2024-08-19 $16.1297
2024-08-16 $16.1201
2024-08-15 $16.1017
2024-08-13 $16.0420
2024-08-12 $15.9518
2024-08-09 $15.9264
2024-08-08 $15.8644
2024-08-07 $15.8097
2024-08-06 $15.8680
2024-08-01 $16.0795
2024-07-31 $16.1037
2024-07-30 $16.0051
2024-07-29 $15.9614
2024-07-26 $15.9359
2024-07-25 $15.8475
2024-07-24 $15.8314
2024-07-23 $15.8731
2024-07-22 $15.8653
2024-07-18 $15.8702
2024-07-17 $15.9192
2024-07-16 $15.9283
2024-07-15 $15.8386
2024-07-12 $15.8354
2024-07-11 $15.7749
2024-07-10 $15.7001
2024-07-09 $15.6228
2024-07-08 $15.6530
2024-07-05 $15.6147
2024-07-04 $15.5735
2024-07-03 $15.5917
2024-07-02 $15.5253
2024-06-28 $15.5779
2024-06-27 $15.6053
2024-06-26 $15.5839
2024-06-25 $15.6641
2024-06-24 $15.6913
2024-06-21 $15.6380
2024-06-20 $15.6447
2024-06-19 $15.6582
2024-06-18 $15.6978
2024-06-17 $15.6589
2024-06-14 $15.6805
2024-06-13 $15.6768
2024-06-12 $15.6701
2024-06-11 $15.5976
2024-06-10 $15.6167
2024-06-07 $15.6343
2024-06-06 $15.7229
2024-06-05 $15.7190
2024-06-04 $15.6375
2024-06-03 $15.5913
2024-05-31 $15.5359
2024-05-30 $15.4306
2024-05-29 $15.3616
2024-05-28 $15.4801
2024-05-27 $15.5641
2024-05-24 $15.5713
2024-05-23 $15.5520
2024-05-22 $15.6048
2024-05-21 $15.6289
2024-05-17 $15.6058
2024-05-16 $15.6211
2024-05-15 $15.6048
2024-05-14 $15.5123
2024-05-13 $15.5164
2024-05-10 $15.5103
2024-05-09 $15.5507
2024-05-08 $15.5351

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team