Overview

Daily NAV
$12.47
-0.46% ($0.06)
July 15, 2025
  • Inception Date
    October 23, 2017
  • Net Assets
    $196.66 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $10,000 initial, $500 per fund
  • MER
    2.32%
  • 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 securities, with a target equity allocation of 50%

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class R ECF14083 ECF14283 ECF14383 ECF14583
  • * 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: $12,569.00 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 Balanced Portfolio GIF Class R 0.93% 2.58% 3.06% 3.06% 9.79% 7.07% 4.73% 3.02%
Series Empire Life Emblem Balanced Portfolio GIF Class R
1 mth 0.93%
3 mths 2.58%
6 mths 3.06%
YTD 3.06%
1 year 9.79%
3 years 7.07%
5 years 4.73%
10 years
psi 3.02%

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 Balanced Portfolio GIF Class R -7.37% 10.42% 3.72% 6.75% -8.77% 6.81% 8.63%
Series Empire Life Emblem Balanced Portfolio GIF Class R
2015
2016
2017
2018 -7.37%
2019 10.42%
2020 3.72%
2021 6.75%
2022 -8.77%
2023 6.81%
2024 8.63%

Portfolio Allocations As at June 30, 2025

Sector Allocation

Colours Name Weight
Financials 26.18%
Industrials 15.52%
Information Technology 12.02%
Energy 10.95%
Consumer Discretionary 6.94%
Materials 6.86%
Consumer Staples 6.40%
Communication Services 5.92%
Utilities 4.05%
Health Care 3.72%
Real Estate 1.44%

Asset Allocation

Colours Name Weight
Canadian Bonds 44.31%
Canadian Equity 30.09%
International Equity 10.57%
U.S. Equity 9.84%
Cash and Equivalents 4.42%
U.S. Bonds 0.77%

Top 10 Holdings

Name Weight
ROYAL BK OF CAD 2.65% 02JUL25 TD 3.56%
Royal Bank of Canada 2.01%
Gov. of Canada, 2.75%, 12/1/2055 1.61%
Toronto-Dominion Bank 1.52%
Canadian Pacific Railway Limited 0.93%
Bank of Montreal 0.92%
Agnico-Eagle Mines Ltd. Com 0.89%
Canadian Natural Resources Ltd. Com 0.88%
Amazon.com Inc. Com 0.88%
Brookfield Asset Management Inc. 'A' 0.86%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-07-15 $12.4739
2025-07-14 $12.5315
2025-07-11 $12.5235
2025-07-10 $12.5858
2025-07-09 $12.5787
2025-07-08 $12.5364
2025-07-07 $12.5445
2025-07-04 $12.5803
2025-07-03 $12.5641
2025-07-02 $12.5504
2025-06-30 $12.5690
2025-06-27 $12.5274
2025-06-26 $12.5041
2025-06-25 $12.4625
2025-06-24 $12.5206
2025-06-23 $12.4750
2025-06-20 $12.4415
2025-06-19 $12.4380
2025-06-18 $12.4435
2025-06-17 $12.4163
2025-06-16 $12.4281
2025-06-13 $12.4221
2025-06-12 $12.4864
2025-06-11 $12.4671
2025-06-10 $12.4661
2025-06-09 $12.4421
2025-06-06 $12.4533
2025-06-05 $12.4575
2025-06-04 $12.4727
2025-06-03 $12.4703
2025-06-02 $12.4726
2025-05-30 $12.4534
2025-05-29 $12.4600
2025-05-28 $12.4450
2025-05-27 $12.4522
2025-05-26 $12.3636
2025-05-23 $12.3255
2025-05-22 $12.3326
2025-05-21 $12.3267
2025-05-20 $12.4251
2025-05-16 $12.4458
2025-05-15 $12.4241
2025-05-14 $12.3311
2025-05-13 $12.3360
2025-05-12 $12.3302
2025-05-09 $12.2629
2025-05-08 $12.2171
2025-05-07 $12.2013
2025-05-06 $12.1479
2025-05-05 $12.1417
2025-05-02 $12.1527
2025-05-01 $12.1056
2025-04-30 $12.1204
2025-04-29 $12.1001
2025-04-28 $12.0549
2025-04-25 $12.0275
2025-04-24 $12.0282
2025-04-23 $11.9481
2025-04-22 $11.9149
2025-04-21 $11.8232
2025-04-17 $11.9146
2025-04-16 $11.9125
2025-04-15 $11.9262
2025-04-14 $11.8777
2025-04-11 $11.7552
2025-04-10 $11.6681
2025-04-09 $11.8157
2025-04-08 $11.5989
2025-04-04 $11.8566
2025-04-03 $12.0935
2025-04-02 $12.3170
2025-04-01 $12.2856
2025-03-31 $12.2529
2025-03-28 $12.1962
2025-03-27 $12.2623
2025-03-26 $12.2391
2025-03-25 $12.3007
2025-03-24 $12.2936
2025-03-21 $12.2648
2025-03-20 $12.2870
2025-03-19 $12.3061
2025-03-18 $12.2386
2025-03-17 $12.2484
2025-03-14 $12.1955
2025-03-13 $12.1265
2025-03-12 $12.1728
2025-03-11 $12.1795
2025-03-10 $12.2304
2025-03-07 $12.2823
2025-03-06 $12.2229
2025-03-05 $12.3514
2025-03-04 $12.3446
2025-03-03 $12.4295
2025-02-28 $12.4439
2025-02-27 $12.3826
2025-02-26 $12.4107
2025-02-25 $12.3889
2025-02-24 $12.3314
2025-02-21 $12.3205
2025-02-20 $12.3288
2025-02-19 $12.3660
2025-02-18 $12.3635
2025-02-14 $12.3609
2025-02-13 $12.4007
2025-02-12 $12.3456
2025-02-11 $12.3977
2025-02-10 $12.4184
2025-02-07 $12.3759
2025-02-06 $12.4556
2025-02-05 $12.4660
2025-02-04 $12.3945
2025-02-03 $12.4273
2025-01-31 $12.4548
2025-01-30 $12.4718
2025-01-29 $12.3937
2025-01-28 $12.3740
2025-01-27 $12.3652
2025-01-24 $12.3422
2025-01-23 $12.3273
2025-01-22 $12.3054
2025-01-21 $12.3066
2025-01-20 $12.2548
2025-01-17 $12.2342
2025-01-16 $12.1769
2025-01-15 $12.1126
2025-01-14 $12.0133
2025-01-13 $12.0338
2025-01-10 $12.0903
2025-01-09 $12.1978
2025-01-08 $12.2086
2025-01-07 $12.2099
2025-01-06 $12.2419
2025-01-03 $12.2597
2025-01-02 $12.2282
2024-12-31 $12.1961
2024-12-30 $12.1635
2024-12-27 $12.1878
2024-12-24 $12.1926
2024-12-23 $12.1816
2024-12-20 $12.1581
2024-12-19 $12.0989
2024-12-18 $12.1850
2024-12-17 $12.3223
2024-12-16 $12.3093
2024-12-13 $12.3396
2024-12-12 $12.3734
2024-12-11 $12.4270
2024-12-10 $12.4266
2024-12-09 $12.4451
2024-12-06 $12.4848
2024-12-05 $12.4366
2024-12-04 $12.4431
2024-12-03 $12.4141
2024-12-02 $12.4235
2024-11-29 $12.4090
2024-11-28 $12.3246
2024-11-27 $12.3106
2024-11-26 $12.2688
2024-11-25 $12.2421
2024-11-22 $12.1682
2024-11-21 $12.1247
2024-11-20 $12.1045
2024-11-19 $12.1294
2024-11-18 $12.1648
2024-11-15 $12.1563
2024-11-14 $12.1965
2024-11-13 $12.1649
2024-11-12 $12.1865
2024-11-11 $12.2423
2024-11-08 $12.2310
2024-11-07 $12.2209
2024-11-06 $12.1543
2024-11-05 $12.1174
2024-11-04 $12.0843
2024-11-01 $12.0711
2024-10-31 $12.0761
2024-10-30 $12.1284
2024-10-29 $12.1251
2024-10-28 $12.1422
2024-10-25 $12.1077
2024-10-24 $12.1265
2024-10-22 $12.1594
2024-10-21 $12.1687
2024-10-18 $12.2351
2024-10-16 $12.2064
2024-10-15 $12.1694
2024-10-11 $12.1316
2024-10-10 $12.0852
2024-10-09 $12.0637
2024-10-08 $12.0319
2024-10-07 $12.0278
2024-10-04 $12.0549
2024-10-03 $12.0602
2024-10-02 $12.0949
2024-10-01 $12.1522
2024-09-30 $12.1576
2024-09-27 $12.1605
2024-09-26 $12.1110
2024-09-25 $12.0747
2024-09-24 $12.1092
2024-09-23 $12.1002
2024-09-20 $12.1099
2024-09-19 $12.1160
2024-09-18 $12.0507
2024-09-17 $12.0893
2024-09-16 $12.1081
2024-09-13 $12.0575
2024-09-12 $12.0292
2024-09-11 $11.9692
2024-09-10 $11.9498
2024-09-09 $11.9398
2024-09-06 $11.8643
2024-09-05 $11.9031
2024-09-04 $11.9106
2024-09-03 $11.8901
2024-08-30 $11.8963
2024-08-29 $11.8789
2024-08-28 $11.8727
2024-08-27 $11.9116
2024-08-26 $11.9253
2024-08-23 $11.9290
2024-08-22 $11.8664
2024-08-21 $11.9060
2024-08-20 $11.8876
2024-08-19 $11.8821
2024-08-16 $11.8720
2024-08-15 $11.8542
2024-08-13 $11.7840
2024-08-12 $11.7072
2024-08-09 $11.6893
2024-08-08 $11.6453
2024-08-07 $11.5815
2024-08-06 $11.6296
2024-08-01 $11.8395
2024-07-31 $11.8840
2024-07-30 $11.8028
2024-07-29 $11.7733
2024-07-26 $11.7600
2024-07-25 $11.6830
2024-07-24 $11.6725
2024-07-23 $11.7143
2024-07-22 $11.7128
2024-07-18 $11.7017
2024-07-17 $11.7449
2024-07-16 $11.7580

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team