Overview

Daily NAV
$16.43
-0.02% ($0.00)
July 24, 2025
  • Inception Date
    April 20, 2015
  • Net Assets
    $31.60 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    2.81%
  • Asset class
    Canadian Focused Equity
  • Management Fee
    2.30%

Risk: 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 equity securities

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class K ECF11089 ECF11289 ECF11389 ECF11589
  • * 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 June 30, 2025

Growth of $10,000

Investment value: $16,111.95 at June 30, 2025

Compound Returns 2

Series 1 mth 3 mths 6 mths YTD 1 year 3 years 5 years 10 years psi
Empire Life Emblem Aggressive Growth Portfolio GIF Class K 1.92% 5.84% 5.29% 5.29% 14.52% 10.97% 9.99% 5.20% 4.82%
Series Empire Life Emblem Aggressive Growth Portfolio GIF Class K
1 mth 1.92%
3 mths 5.84%
6 mths 5.29%
YTD 5.29%
1 year 14.52%
3 years 10.97%
5 years 9.99%
10 years 5.20%
psi 4.82%

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 Emblem Aggressive Growth Portfolio GIF Class K 11.30% 6.49% -11.98% 14.78% -0.46% 15.88% -6.08% 7.91% 13.84%
Series Empire Life Emblem Aggressive Growth Portfolio GIF Class K
2015
2016 11.30%
2017 6.49%
2018 -11.98%
2019 14.78%
2020 -0.46%
2021 15.88%
2022 -6.08%
2023 7.91%
2024 13.84%

Portfolio Allocations As at June 30, 2025

Sector Allocation

Colours Name Weight
Financials 26.21%
Industrials 15.19%
Information Technology 12.09%
Energy 11.41%
Materials 7.16%
Consumer Discretionary 6.70%
Consumer Staples 6.37%
Communication Services 5.85%
Utilities 4.16%
Health Care 3.37%
Real Estate 1.47%

Asset Allocation

Colours Name Weight
Canadian Equity 60.22%
U.S. Equity 18.83%
International Equity 15.99%
Cash and Equivalents 4.97%

Top 10 Holdings

Name Weight
ROYAL BK OF CAD 2.65% 02JUL25 TD 4.80%
Royal Bank of Canada 3.98%
Toronto-Dominion Bank 3.00%
Canadian Pacific Railway Limited 1.85%
Agnico-Eagle Mines Ltd. Com 1.85%
Bank of Montreal 1.80%
Canadian Natural Resources Ltd. Com 1.73%
Microsoft Corp. Com 1.73%
Brookfield Asset Management Inc. 'A' 1.73%
Alimentation Couche-Tard Inc. Com 1.69%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-07-24 $16.4259
2025-07-23 $16.4287
2025-07-22 $16.3659
2025-07-21 $16.3390
2025-07-18 $16.3413
2025-07-17 $16.3823
2025-07-16 $16.2617
2025-07-15 $16.2272
2025-07-14 $16.2954
2025-07-11 $16.2554
2025-07-10 $16.3136
2025-07-09 $16.2674
2025-07-08 $16.2228
2025-07-07 $16.2259
2025-07-04 $16.2640
2025-07-03 $16.2559
2025-07-02 $16.1924
2025-06-30 $16.1569
2025-06-27 $16.0961
2025-06-26 $16.0663
2025-06-25 $15.9851
2025-06-24 $16.0754
2025-06-23 $15.9741
2025-06-20 $15.9178
2025-06-19 $15.9396
2025-06-18 $15.9567
2025-06-17 $15.9350
2025-06-16 $15.9843
2025-06-13 $15.9415
2025-06-12 $16.0492
2025-06-11 $16.0051
2025-06-10 $15.9951
2025-06-09 $15.9594
2025-06-06 $15.9632
2025-06-05 $15.8919
2025-06-04 $15.9210
2025-06-03 $15.9556
2025-06-02 $15.9229
2025-05-30 $15.8519
2025-05-29 $15.8909
2025-05-28 $15.8965
2025-05-27 $15.9221
2025-05-26 $15.7730
2025-05-23 $15.7035
2025-05-22 $15.7408
2025-05-21 $15.7481
2025-05-20 $15.9091
2025-05-16 $15.8569
2025-05-15 $15.8013
2025-05-14 $15.6682
2025-05-13 $15.6513
2025-05-12 $15.6315
2025-05-09 $15.4420
2025-05-08 $15.3791
2025-05-07 $15.2654
2025-05-06 $15.1919
2025-05-05 $15.1976
2025-05-02 $15.2292
2025-05-01 $15.0685
2025-04-30 $15.0784
2025-04-29 $15.0799
2025-04-28 $15.0144
2025-04-25 $14.9680
2025-04-24 $14.9796
2025-04-23 $14.8271
2025-04-22 $14.7280
2025-04-21 $14.5522
2025-04-17 $14.6732
2025-04-16 $14.6288
2025-04-15 $14.6874
2025-04-14 $14.5930
2025-04-11 $14.4412
2025-04-10 $14.1873
2025-04-09 $14.5071
2025-04-08 $13.9005
2025-04-04 $14.2929
2025-04-03 $14.8824
2025-04-02 $15.3860
2025-04-01 $15.2901
2025-03-31 $15.2650
2025-03-28 $15.1701
2025-03-27 $15.3941
2025-03-26 $15.3693
2025-03-25 $15.4556
2025-03-24 $15.4372
2025-03-21 $15.3178
2025-03-20 $15.3653
2025-03-19 $15.4023
2025-03-18 $15.2666
2025-03-17 $15.2919
2025-03-14 $15.2068
2025-03-13 $15.0200
2025-03-12 $15.1574
2025-03-11 $15.1147
2025-03-10 $15.2124
2025-03-07 $15.3771
2025-03-06 $15.2743
2025-03-05 $15.4640
2025-03-04 $15.3584
2025-03-03 $15.5147
2025-02-28 $15.6498
2025-02-27 $15.5557
2025-02-26 $15.6327
2025-02-25 $15.5837
2025-02-24 $15.5297
2025-02-21 $15.5285
2025-02-20 $15.6626
2025-02-19 $15.7153
2025-02-18 $15.7122
2025-02-14 $15.6225
2025-02-13 $15.7314
2025-02-12 $15.6716
2025-02-11 $15.7255
2025-02-10 $15.7418
2025-02-07 $15.6390
2025-02-06 $15.7190
2025-02-05 $15.7317
2025-02-04 $15.6078
2025-02-03 $15.6785
2025-01-31 $15.8259
2025-01-30 $15.9071
2025-01-29 $15.7827
2025-01-28 $15.7550
2025-01-27 $15.7294
2025-01-24 $15.7503
2025-01-23 $15.7640
2025-01-22 $15.6907
2025-01-21 $15.6410
2025-01-20 $15.5416
2025-01-17 $15.5184
2025-01-16 $15.4120
2025-01-15 $15.3379
2025-01-14 $15.2099
2025-01-13 $15.2196
2025-01-10 $15.3012
2025-01-09 $15.4732
2025-01-08 $15.4664
2025-01-07 $15.4490
2025-01-06 $15.4705
2025-01-03 $15.5228
2025-01-02 $15.4199
2024-12-31 $15.3452
2024-12-30 $15.2796
2024-12-27 $15.4035
2024-12-24 $15.4128
2024-12-23 $15.3708
2024-12-20 $15.3055
2024-12-19 $15.2075
2024-12-18 $15.2912
2024-12-17 $15.5773
2024-12-16 $15.5860
2024-12-13 $15.6586
2024-12-12 $15.7192
2024-12-11 $15.8054
2024-12-10 $15.7582
2024-12-09 $15.8064
2024-12-06 $15.8567
2024-12-05 $15.8251
2024-12-04 $15.8418
2024-12-03 $15.8230
2024-12-02 $15.7889
2024-11-29 $15.7700
2024-11-28 $15.7218
2024-11-27 $15.7095
2024-11-26 $15.6481
2024-11-25 $15.6199
2024-11-22 $15.5779
2024-11-21 $15.5158
2024-11-20 $15.3862
2024-11-19 $15.3917
2024-11-18 $15.4191
2024-11-15 $15.3879
2024-11-14 $15.4860
2024-11-13 $15.4395
2024-11-12 $15.4327
2024-11-11 $15.4878
2024-11-08 $15.4631
2024-11-07 $15.4768
2024-11-06 $15.4198
2024-11-05 $15.2788
2024-11-04 $15.1984
2024-11-01 $15.2158
2024-10-31 $15.1745
2024-10-30 $15.3448
2024-10-29 $15.3518
2024-10-28 $15.4074
2024-10-25 $15.3309
2024-10-24 $15.3600
2024-10-22 $15.4469
2024-10-21 $15.4743
2024-10-18 $15.5430
2024-10-16 $15.4415
2024-10-15 $15.3870
2024-10-11 $15.3774
2024-10-10 $15.2843
2024-10-09 $15.2515
2024-10-08 $15.1704
2024-10-07 $15.1686
2024-10-04 $15.2117
2024-10-03 $15.1328
2024-10-02 $15.1471
2024-10-01 $15.2015
2024-09-30 $15.2183
2024-09-27 $15.2220
2024-09-26 $15.1842
2024-09-25 $15.0938
2024-09-24 $15.1306
2024-09-23 $15.1043
2024-09-20 $15.1238
2024-09-19 $15.1372
2024-09-18 $14.9893
2024-09-17 $15.0448
2024-09-16 $15.0575
2024-09-13 $14.9798
2024-09-12 $14.9211
2024-09-11 $14.7874
2024-09-10 $14.7137
2024-09-09 $14.7199
2024-09-06 $14.5821
2024-09-05 $14.6883
2024-09-04 $14.7284
2024-09-03 $14.7479
2024-08-30 $14.8636
2024-08-29 $14.7837
2024-08-28 $14.7217
2024-08-27 $14.7867
2024-08-26 $14.8230
2024-08-23 $14.8074
2024-08-22 $14.6927
2024-08-21 $14.7375
2024-08-20 $14.6868
2024-08-19 $14.7403
2024-08-16 $14.7148
2024-08-15 $14.6811
2024-08-13 $14.4775
2024-08-12 $14.3365
2024-08-09 $14.3200
2024-08-08 $14.2813
2024-08-07 $14.0964
2024-08-06 $14.1825
2024-08-01 $14.6869
2024-07-31 $14.8596
2024-07-30 $14.7255
2024-07-29 $14.6992
2024-07-26 $14.7112
2024-07-25 $14.5693

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team