Overview

Daily NAV
$12.24
0.12% $0.01
December 15, 2025
  • Inception Date
    October 23, 2017
  • Net Assets
    $129.04 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $10,000 initial, $500 per fund
  • MER
    2.32%
  • 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 securities, with a target equity allocation of 35%

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class R ECF14081 ECF14281 ECF14381 ECF14581
  • * 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 November 30, 2025

Growth of $10,000

Investment value: $12,375.80 at November 28, 2025

Compound Returns 2

Series 1 mth 3 mths 6 mths YTD 1 year 3 years 5 years 10 years psi
Empire Life Emblem Conservative Portfolio GIF Class R 0.61% 3.45% 4.87% 6.52% 5.00% 5.62% 2.74% 2.67%
Series Empire Life Emblem Conservative Portfolio GIF Class R
1 mth 0.61%
3 mths 3.45%
6 mths 4.87%
YTD 6.52%
1 year 5.00%
3 years 5.62%
5 years 2.74%
10 years
psi 2.67%

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 Conservative Portfolio GIF Class R -5.47% 8.80% 4.76% 3.68% -9.57% 6.02% 6.92%
Series Empire Life Emblem Conservative Portfolio GIF Class R
2015
2016
2017
2018 -5.47%
2019 8.80%
2020 4.76%
2021 3.68%
2022 -9.57%
2023 6.02%
2024 6.92%

Portfolio Allocations As at November 30, 2025

Asset Allocation

Colours Name Weight
Canadian Bonds 59.57%
Canadian Equity 20.81%
U.S. Equity 8.21%
International Equity 7.19%
Cash and Equivalents 2.78%
U.S. Bonds 1.44%

Bond Type

Colours Name Weight
Investment Grade Corporate 54.40%
Provincial Government 20.83%
Federal Government 17.05%
Floating Rate 6.77%
Municipal Government 0.94%

Top 10 Holdings

Name Weight
ROYAL BK OF CAD 2.15% 01DEC25 TD 2.74%
Gov. of Canada, 2.75%, 12/1/2055 1.84%
Royal Bank of Canada 1.48%
Province of Ontario, 3.6%, 6/2/2035 1.47%
Toronto-Dominion Bank 1.11%
Agnico-Eagle Mines Ltd. Com 1.01%
Province of Ontario, 4.6%, 6/2/2039 0.92%
Gov. of Canada, 1%, 6/1/2027 0.90%
Alimentation Couche-Tard Inc. Com 0.77%
Government of Canada 2.000% December 1, 2051 0.71%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-12-15 $12.2356
2025-12-12 $12.2208
2025-12-11 $12.2454
2025-12-10 $12.2326
2025-12-09 $12.1886
2025-12-08 $12.2136
2025-12-04 $12.3261
2025-12-03 $12.3159
2025-12-02 $12.2970
2025-12-01 $12.3046
2025-11-28 $12.3758
2025-11-27 $12.3738
2025-11-26 $12.3691
2025-11-25 $12.3343
2025-11-24 $12.2703
2025-11-21 $12.2288
2025-11-20 $12.1747
2025-11-19 $12.1875
2025-11-18 $12.1752
2025-11-17 $12.2230
2025-11-14 $12.2664
2025-11-13 $12.2865
2025-11-12 $12.3558
2025-11-11 $12.3041
2025-11-10 $12.2858
2025-11-07 $12.2596
2025-11-06 $12.2918
2025-11-05 $12.2921
2025-11-04 $12.2536
2025-11-03 $12.3042
2025-10-31 $12.3012
2025-10-30 $12.2821
2025-10-29 $12.2694
2025-10-28 $12.3664
2025-10-27 $12.3634
2025-10-24 $12.3314
2025-10-23 $12.3040
2025-10-22 $12.2971
2025-10-21 $12.2974
2025-10-20 $12.3292
2025-10-17 $12.2818
2025-10-16 $12.2959
2025-10-15 $12.3016
2025-10-14 $12.2710
2025-10-10 $12.1940
2025-10-09 $12.2412
2025-10-08 $12.2629
2025-10-07 $12.2559
2025-10-06 $12.2645
2025-10-03 $12.2813
2025-10-02 $12.2565
2025-10-01 $12.2374
2025-09-30 $12.2380
2025-09-29 $12.2308
2025-09-26 $12.1865
2025-09-25 $12.1729
2025-09-24 $12.1870
2025-09-23 $12.1921
2025-09-22 $12.2054
2025-09-19 $12.1965
2025-09-18 $12.1868
2025-09-17 $12.1710
2025-09-16 $12.1775
2025-09-15 $12.1855
2025-09-12 $12.1660
2025-09-11 $12.1833
2025-09-10 $12.1384
2025-09-09 $12.1078
2025-09-08 $12.1143
2025-09-05 $12.0761
2025-09-04 $12.0215
2025-09-03 $11.9686
2025-09-02 $11.9225
2025-08-29 $11.9627
2025-08-28 $11.9434
2025-08-27 $11.9337
2025-08-26 $11.9185
2025-08-25 $11.9078
2025-08-22 $11.9525
2025-08-21 $11.8968
2025-08-20 $11.9052
2025-08-19 $11.9009
2025-08-18 $11.8748
2025-08-14 $11.9107
2025-08-13 $11.9237
2025-08-12 $11.8757
2025-08-11 $11.8802
2025-08-08 $11.8852
2025-08-07 $11.8804
2025-08-06 $11.8924
2025-08-05 $11.8892
2025-08-01 $11.8354
2025-07-31 $11.8534
2025-07-30 $11.8485
2025-07-29 $11.8747
2025-07-28 $11.8335
2025-07-25 $11.8513
2025-07-24 $11.8199
2025-07-23 $11.8134
2025-07-22 $11.8254
2025-07-21 $11.8095
2025-07-18 $11.7785
2025-07-17 $11.7925
2025-07-16 $11.7572
2025-07-15 $11.7381
2025-07-14 $11.7946
2025-07-11 $11.7934
2025-07-10 $11.8569
2025-07-09 $11.8595
2025-07-08 $11.8179
2025-07-07 $11.8280
2025-07-04 $11.8640
2025-07-03 $11.8454
2025-07-02 $11.8426
2025-06-30 $11.8738
2025-06-27 $11.8357
2025-06-26 $11.8163
2025-06-25 $11.7835
2025-06-24 $11.8342
2025-06-23 $11.8033
2025-06-20 $11.7736
2025-06-19 $11.7640
2025-06-18 $11.7656
2025-06-17 $11.7376
2025-06-16 $11.7390
2025-06-13 $11.7420
2025-06-12 $11.7949
2025-06-11 $11.7809
2025-06-10 $11.7819
2025-06-09 $11.7606
2025-06-06 $11.7737
2025-06-05 $11.7963
2025-06-04 $11.8083
2025-06-03 $11.7976
2025-06-02 $11.8079
2025-05-30 $11.8009
2025-05-29 $11.7990
2025-05-28 $11.7798
2025-05-27 $11.7813
2025-05-26 $11.7063
2025-05-23 $11.6763
2025-05-22 $11.6753
2025-05-21 $11.6656
2025-05-20 $11.7507
2025-05-16 $11.7922
2025-05-15 $11.7785
2025-05-14 $11.6956
2025-05-13 $11.7065
2025-05-12 $11.7044
2025-05-09 $11.6648
2025-05-08 $11.6229
2025-05-07 $11.6316
2025-05-06 $11.5818
2025-05-05 $11.5723
2025-05-02 $11.5783
2025-05-01 $11.5617
2025-04-30 $11.5769
2025-04-29 $11.5520
2025-04-28 $11.5127
2025-04-25 $11.4909
2025-04-24 $11.4890
2025-04-23 $11.4253
2025-04-22 $11.4088
2025-04-21 $11.3365
2025-04-17 $11.4237
2025-04-16 $11.4323
2025-04-15 $11.4349
2025-04-14 $11.4005
2025-04-11 $11.2870
2025-04-10 $11.2394
2025-04-09 $11.3536
2025-04-08 $11.2249
2025-04-04 $11.4450
2025-04-03 $11.5946
2025-04-02 $11.7510
2025-04-01 $11.7336
2025-03-31 $11.6995
2025-03-28 $11.6507
2025-03-27 $11.6779
2025-03-26 $11.6560
2025-03-25 $11.7108
2025-03-24 $11.7073
2025-03-21 $11.6993
2025-03-20 $11.7143
2025-03-19 $11.7292
2025-03-18 $11.6767
2025-03-17 $11.6838
2025-03-14 $11.6390
2025-03-13 $11.5986
2025-03-12 $11.6220
2025-03-11 $11.6418
2025-03-10 $11.6803
2025-03-07 $11.7051
2025-03-06 $11.6559
2025-03-05 $11.7700
2025-03-04 $11.7882
2025-03-03 $11.8569
2025-02-28 $11.8468
2025-02-27 $11.7899
2025-02-26 $11.8067
2025-02-25 $11.7926
2025-02-24 $11.7356
2025-02-21 $11.7227
2025-02-20 $11.7039
2025-02-19 $11.7380
2025-02-18 $11.7341
2025-02-14 $11.7532
2025-02-13 $11.7778
2025-02-12 $11.7237
2025-02-11 $11.7767
2025-02-10 $11.7994
2025-02-07 $11.7696
2025-02-06 $11.8496
2025-02-05 $11.8605
2025-02-04 $11.8023
2025-02-03 $11.8260
2025-01-31 $11.8228
2025-01-30 $11.8252
2025-01-29 $11.7576
2025-01-28 $11.7408
2025-01-27 $11.7354
2025-01-24 $11.7033
2025-01-23 $11.6821
2025-01-22 $11.6719
2025-01-21 $11.6856
2025-01-20 $11.6449
2025-01-17 $11.6257
2025-01-16 $11.5790
2025-01-15 $11.5178
2025-01-14 $11.4242
2025-01-13 $11.4472
2025-01-10 $11.4974
2025-01-09 $11.5921
2025-01-08 $11.6075
2025-01-07 $11.6117
2025-01-06 $11.6478
2025-01-03 $11.6588
2025-01-02 $11.6419
2024-12-31 $11.6187
2024-12-30 $11.5935
2024-12-27 $11.5946
2024-12-24 $11.6003
2024-12-23 $11.5957
2024-12-20 $11.5822
2024-12-19 $11.5294
2024-12-18 $11.6145
2024-12-17 $11.7218
2024-12-16 $11.7042

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team