Overview

Daily NAV
$14.34
-0.36% ($0.05)
August 29, 2025
  • Inception Date
    May 28, 2018
  • Net Assets
    $251.46 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    2.64%
  • Asset class
    Tactical Balanced
  • Management Fee
    2.30%

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 in a tactical mix of primarily global equity and fixed income securities, with a target equity allocation of 65%

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class K ECF11043 ECF11243 ECF11343 ECF11543
  • * 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 July 31, 2025

Growth of $10,000

Investment value: $14,147.40 at July 31, 2025

Compound Returns 2

Series 1 mth 3 mths 6 mths YTD 1 year 3 years 5 years 10 years psi
Empire Life Global Asset Allocation GIF Class K 0.35% 4.24% 1.40% 5.01% 6.14% 8.56% 5.93% 4.94%
Series Empire Life Global Asset Allocation GIF Class K
1 mth 0.35%
3 mths 4.24%
6 mths 1.40%
YTD 5.01%
1 year 6.14%
3 years 8.56%
5 years 5.93%
10 years
psi 4.94%

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 Global Asset Allocation GIF Class K 12.70% 5.80% 5.91% -3.98% 5.69% 10.84%
Series Empire Life Global Asset Allocation GIF Class K
2015
2016
2017
2018
2019 12.70%
2020 5.80%
2021 5.91%
2022 -3.98%
2023 5.69%
2024 10.84%

Portfolio Allocations As at July 31, 2025

Sector Allocation

Colours Name Weight
Financials 27.91%
Information Technology 17.40%
Industrials 14.76%
Health Care 7.72%
Consumer Staples 7.35%
Consumer Discretionary 6.53%
Energy 6.07%
Materials 4.07%
Utilities 3.54%
Communication Services 2.36%
Real Estate 2.27%

Asset Allocation

Colours Name Weight
U.S. Equity 30.87%
International Equity 30.45%
U.S. Bonds 15.51%
Canadian Bonds 8.68%
Canadian Equity 6.80%
Cash and Equivalents 5.09%
International Bond Funds 1.73%
Mutual Funds 0.86%

Top 10 Holdings

Name Weight
Microsoft Corporation 2.98%
Apple Inc. Com 1.87%
Cintas Corporation 1.63%
Taiwan Semiconductor Manufacturing Company Limited ADR 1.56%
British American Tobacco PLC 1.46%
PNC Financial Services Group Inc. (The) Com 1.40%
CME Group Inc.. 1.37%
Toronto-Dominion Bank 1.34%
Element Fleet Management Corporation 1.33%
Safran SA Shs 1.31%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-08-29 $14.3394
2025-08-28 $14.3915
2025-08-27 $14.4222
2025-08-26 $14.4154
2025-08-25 $14.4421
2025-08-22 $14.5031
2025-08-21 $14.4194
2025-08-20 $14.4371
2025-08-19 $14.4108
2025-08-18 $14.3745
2025-08-14 $14.3901
2025-08-13 $14.3832
2025-08-12 $14.3237
2025-08-11 $14.2712
2025-08-08 $14.2733
2025-08-07 $14.2281
2025-08-06 $14.1720
2025-08-05 $14.1494
2025-08-01 $14.0671
2025-07-31 $14.1474
2025-07-30 $14.1895
2025-07-29 $14.1976
2025-07-28 $14.1506
2025-07-25 $14.2133
2025-07-24 $14.1701
2025-07-23 $14.1470
2025-07-22 $14.0978
2025-07-21 $14.1140
2025-07-18 $14.0959
2025-07-17 $14.1242
2025-07-16 $14.0644
2025-07-15 $14.0552
2025-07-14 $14.1039
2025-07-11 $14.1142
2025-07-10 $14.1607
2025-07-09 $14.1472
2025-07-08 $14.0874
2025-07-07 $14.1151
2025-07-04 $14.1175
2025-07-03 $14.1065
2025-07-02 $14.0827
2025-06-30 $14.0984
2025-06-27 $14.0744
2025-06-26 $14.0173
2025-06-25 $13.9993
2025-06-24 $14.0248
2025-06-23 $13.9507
2025-06-20 $13.9094
2025-06-19 $13.9243
2025-06-18 $13.9382
2025-06-17 $13.9059
2025-06-16 $13.9373
2025-06-13 $13.9111
2025-06-12 $14.0190
2025-06-11 $14.0005
2025-06-10 $13.9992
2025-06-09 $13.9921
2025-06-06 $13.9947
2025-06-05 $13.9601
2025-06-04 $13.9814
2025-06-03 $13.9764
2025-06-02 $13.9698
2025-05-30 $13.9478
2025-05-29 $14.0655
2025-05-28 $13.9494
2025-05-27 $13.9655
2025-05-26 $13.8700
2025-05-23 $13.8538
2025-05-22 $13.9394
2025-05-21 $13.9587
2025-05-20 $14.0668
2025-05-16 $13.9987
2025-05-15 $13.9518
2025-05-14 $13.8409
2025-05-13 $13.8542
2025-05-12 $13.8523
2025-05-09 $13.7595
2025-05-08 $13.7308
2025-05-07 $13.6807
2025-05-06 $13.6692
2025-05-05 $13.6765
2025-05-02 $13.6490
2025-05-01 $13.5652
2025-04-30 $13.5726
2025-04-29 $13.5396
2025-04-28 $13.4999
2025-04-25 $13.4872
2025-04-24 $13.4885
2025-04-23 $13.3627
2025-04-22 $13.2947
2025-04-21 $13.1813
2025-04-17 $13.2868
2025-04-16 $13.2954
2025-04-15 $13.3631
2025-04-14 $13.2909
2025-04-11 $13.1613
2025-04-10 $13.0727
2025-04-09 $13.1249
2025-04-08 $12.8241
2025-04-04 $13.0622
2025-04-03 $13.4951
2025-04-02 $13.8046
2025-04-01 $13.7934
2025-03-31 $13.7875
2025-03-28 $13.7212
2025-03-27 $13.8222
2025-03-26 $13.7725
2025-03-25 $13.8300
2025-03-24 $13.7985
2025-03-21 $13.7735
2025-03-20 $13.7998
2025-03-19 $13.8282
2025-03-18 $13.7815
2025-03-17 $13.7861
2025-03-14 $13.7397
2025-03-13 $13.6408
2025-03-12 $13.7142
2025-03-11 $13.7275
2025-03-10 $13.7846
2025-03-07 $13.8782
2025-03-06 $13.7903
2025-03-05 $13.9102
2025-03-04 $13.8628
2025-03-03 $13.8889
2025-02-28 $13.8907
2025-02-27 $13.8332
2025-02-26 $13.9051
2025-02-25 $13.8512
2025-02-24 $13.7984
2025-02-21 $13.8126
2025-02-20 $13.8842
2025-02-19 $13.8980
2025-02-18 $13.8840
2025-02-14 $13.8506
2025-02-13 $13.9137
2025-02-12 $13.8775
2025-02-11 $13.9001
2025-02-10 $13.9027
2025-02-07 $13.8498
2025-02-06 $13.9330
2025-02-05 $13.9055
2025-02-04 $13.8511
2025-02-03 $13.9411
2025-01-31 $13.9521
2025-01-30 $13.9495
2025-01-29 $13.8648
2025-01-28 $13.8438
2025-01-27 $13.8315
2025-01-24 $13.8226
2025-01-23 $13.8308
2025-01-22 $13.7903
2025-01-21 $13.7663
2025-01-20 $13.6721
2025-01-17 $13.6742
2025-01-16 $13.6213
2025-01-15 $13.5572
2025-01-14 $13.4409
2025-01-13 $13.4297
2025-01-10 $13.4764
2025-01-09 $13.5972
2025-01-08 $13.5730
2025-01-07 $13.5474
2025-01-06 $13.5740
2025-01-03 $13.5675
2025-01-02 $13.5110
2024-12-31 $13.4729
2024-12-30 $13.4735
2024-12-27 $13.5544
2024-12-24 $13.5417
2024-12-23 $13.5349
2024-12-20 $13.4846
2024-12-19 $13.4768
2024-12-18 $13.5776
2024-12-17 $13.7353
2024-12-16 $13.7427
2024-12-13 $13.7822
2024-12-12 $13.7893
2024-12-11 $13.8337
2024-12-10 $13.8263
2024-12-09 $13.8582
2024-12-06 $13.9290
2024-12-05 $13.8754
2024-12-04 $13.9059
2024-12-03 $13.8951
2024-12-02 $13.8627
2024-11-29 $13.8110
2024-11-28 $13.7572
2024-11-27 $13.7581
2024-11-26 $13.7632
2024-11-25 $13.7102
2024-11-22 $13.6733
2024-11-21 $13.6205
2024-11-20 $13.5831
2024-11-19 $13.5744
2024-11-18 $13.6089
2024-11-15 $13.5653
2024-11-14 $13.5983
2024-11-13 $13.5885
2024-11-12 $13.5937
2024-11-11 $13.6722
2024-11-08 $13.6818
2024-11-07 $13.6491
2024-11-06 $13.5960
2024-11-05 $13.4907
2024-11-04 $13.4493
2024-11-01 $13.4712
2024-10-31 $13.4654
2024-10-30 $13.5295
2024-10-29 $13.5649
2024-10-28 $13.6043
2024-10-25 $13.5700
2024-10-24 $13.5767
2024-10-22 $13.6377
2024-10-21 $13.6843
2024-10-18 $13.7312
2024-10-16 $13.6703
2024-10-15 $13.6421
2024-10-11 $13.6326
2024-10-10 $13.5635
2024-10-09 $13.5372
2024-10-08 $13.4799
2024-10-07 $13.4473
2024-10-04 $13.4668
2024-10-03 $13.4388
2024-10-02 $13.4444
2024-10-01 $13.4747
2024-09-30 $13.4916
2024-09-27 $13.5254
2024-09-26 $13.5123
2024-09-25 $13.4499
2024-09-24 $13.4885
2024-09-23 $13.4611
2024-09-20 $13.4818
2024-09-19 $13.4944
2024-09-18 $13.3942
2024-09-17 $13.4355
2024-09-16 $13.4676
2024-09-13 $13.4364
2024-09-12 $13.3838
2024-09-11 $13.3119
2024-09-10 $13.2846
2024-09-09 $13.2476
2024-09-06 $13.1557
2024-09-05 $13.2237
2024-09-04 $13.2705
2024-09-03 $13.3089

Portfolio Manager(s)

Ashley Misquitta

Senior Portfolio Manager, U.S. & Global Equities

Albert Ngo

Senior Portfolio Manager, Fixed Income

David Mann

Senior Portfolio Manager, Global Equities

Empire Life Investment Team

Empire Life Investment Team