Overview

Daily NAV
$20.11
0.17% $0.04
May 20, 2025
  • Inception Date
    September 5, 2006
  • Net Assets
    $84.36 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $500 per fund
  • MER
    3.16%
  • Asset class
    Canadian Equity 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 investment funds, with a target equity allocation of 80%

Fund codes

Series Front-end load Low load * Deferred Sales Charge *
Class C ECF3092 ECF3292 ECF3592
  • * 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 April 30, 2025

Growth of $10,000

Investment value: $15,704.97 at April 30, 2025

Compound Returns 2

Series 1 mth 3 mths 6 mths YTD 1 year 3 years 5 years 10 years psi
Empire Life Growth Portfolio Fund Class C -1.35% -4.03% -1.17% -1.85% 7.28% 4.08% 6.95% 3.20% 2.45%
Series Empire Life Growth Portfolio Fund Class C
1 mth -1.35%
3 mths -4.03%
6 mths -1.17%
YTD -1.85%
1 year 7.28%
3 years 4.08%
5 years 6.95%
10 years 3.20%
psi 2.45%

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 Growth Portfolio Fund Class C 1.73% 8.53% 5.80% -11.33% 12.20% 1.68% 12.50% -8.09% 6.55% 11.03%
Series Empire Life Growth Portfolio Fund Class C
2015 1.73%
2016 8.53%
2017 5.80%
2018 -11.33%
2019 12.20%
2020 1.68%
2021 12.50%
2022 -8.09%
2023 6.55%
2024 11.03%

Portfolio Allocations As at March 31, 2025

Sector Allocation

Colours Name Weight
Financials 24.23%
Energy 13.00%
Industrials 12.65%
Materials 11.05%
Information Technology 10.16%
Consumer Discretionary 6.85%
Consumer Staples 6.82%
Communication Services 5.23%
Utilities 4.71%
Health Care 3.24%
Real Estate 2.05%

Asset Allocation

Colours Name Weight
Canadian Equity 53.88%
Canadian Bonds 18.30%
International Equity 12.24%
U.S. Equity 11.88%
Cash and Equivalents 2.38%
U.S. Bonds 1.32%
International Bond Funds 0.06%

Top 10 Holdings

Name Weight
Royal Bank of Canada 2.88%
Toronto-Dominion Bank 2.45%
ROYAL BK OF CAD 2.65% 01APR25 TD 1.93%
Agnico Eagle Mines Limited 1.53%
Canadian Natural Resources Limited 1.52%
Sun Life Financial Inc. 1.40%
Bank of Montreal 1.40%
Alimentation Couche-Tard Inc. Com 1.32%
Canadian Pacific Railway Limited 1.25%
Enbridge Inc. 1.21%

Underlying Fund Holdings

Name Weight
Empire Life Canadian Equity Fund 24.84%
Empire Life Dividend Growth Fund 24.54%
Empire Life Bond Fund 19.93%
Empire Life International Equity Fund 10.11%
Empire Life Small Cap Equity Fund 9.75%
Empire Life American Value Fund 9.73%
ROYAL BK OF CAD 2.65% 01APR25 TD 0.96%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-20 $20.1142
2025-05-16 $20.0791
2025-05-15 $20.0240
2025-05-14 $19.8799
2025-05-13 $19.8817
2025-05-12 $19.8545
2025-05-09 $19.6685
2025-05-08 $19.5887
2025-05-07 $19.4788
2025-05-06 $19.3717
2025-05-05 $19.3596
2025-05-02 $19.4047
2025-05-01 $19.2592
2025-04-30 $19.2835
2025-04-29 $19.2838
2025-04-28 $19.2176
2025-04-25 $19.1667
2025-04-24 $19.1733
2025-04-23 $19.0072
2025-04-22 $18.9081
2025-04-21 $18.7337
2025-04-17 $18.8819
2025-04-16 $18.8487
2025-04-15 $18.8777
2025-04-14 $18.7771
2025-04-11 $18.5741
2025-04-10 $18.3091
2025-04-09 $18.6611
2025-04-08 $18.0194
2025-04-04 $18.4961
2025-04-03 $19.1481
2025-04-02 $19.6849
2025-04-01 $19.5902
2025-03-31 $19.5471
2025-03-28 $19.4583
2025-03-27 $19.6820
2025-03-26 $19.6465
2025-03-25 $19.7598
2025-03-24 $19.7375
2025-03-21 $19.6335
2025-03-20 $19.6923
2025-03-19 $19.7262
2025-03-18 $19.5683
2025-03-17 $19.5810
2025-03-14 $19.4576
2025-03-13 $19.2703
2025-03-12 $19.4041
2025-03-11 $19.3514
2025-03-10 $19.4378
2025-03-07 $19.6344
2025-03-06 $19.5250
2025-03-05 $19.7594
2025-03-04 $19.6448
2025-03-03 $19.8312
2025-02-28 $19.9668
2025-02-27 $19.8715
2025-02-26 $19.9610
2025-02-25 $19.8982
2025-02-24 $19.8207
2025-02-21 $19.8146
2025-02-20 $19.9310
2025-02-19 $19.9863
2025-02-18 $19.9972
2025-02-14 $19.9353
2025-02-13 $20.0442
2025-02-12 $19.9609
2025-02-11 $20.0261
2025-02-10 $20.0547
2025-02-07 $19.9471
2025-02-06 $20.0447
2025-02-05 $20.0783
2025-02-04 $19.9206
2025-02-03 $19.9512
2025-01-31 $20.0942
2025-01-30 $20.1874
2025-01-29 $20.0370
2025-01-28 $20.0085
2025-01-27 $19.9917
2025-01-24 $20.0267
2025-01-23 $20.0237
2025-01-22 $19.9546
2025-01-21 $19.9117
2025-01-20 $19.8202
2025-01-17 $19.7755
2025-01-16 $19.6588
2025-01-15 $19.5718
2025-01-14 $19.4116
2025-01-13 $19.4234
2025-01-10 $19.5405
2025-01-09 $19.7439
2025-01-08 $19.7401
2025-01-07 $19.7280
2025-01-06 $19.7710
2025-01-03 $19.8277
2025-01-02 $19.7442
2024-12-31 $19.6473
2024-12-30 $19.5597
2024-12-27 $19.6698
2024-12-24 $19.6845
2024-12-23 $19.6459
2024-12-20 $19.5804
2024-12-19 $19.4668
2024-12-18 $19.5877
2024-12-17 $19.9010
2024-12-16 $19.9021
2024-12-13 $19.9786
2024-12-12 $20.0625
2024-12-11 $20.1789
2024-12-10 $20.1342
2024-12-09 $20.1829
2024-12-06 $20.2332
2024-12-05 $20.1972
2024-12-04 $20.2009
2024-12-03 $20.1755
2024-12-02 $20.1423
2024-11-29 $20.1438
2024-11-28 $20.0436
2024-11-27 $20.0205
2024-11-26 $19.9381
2024-11-25 $19.9202
2024-11-22 $19.8587
2024-11-21 $19.7788
2024-11-20 $19.6672
2024-11-19 $19.6784
2024-11-18 $19.7109
2024-11-15 $19.6686
2024-11-14 $19.7643
2024-11-13 $19.7189
2024-11-12 $19.7393
2024-11-11 $19.8209
2024-11-08 $19.8211
2024-11-07 $19.8383
2024-11-06 $19.7291
2024-11-05 $19.6312
2024-11-04 $19.5446
2024-11-01 $19.5419
2024-10-31 $19.5113
2024-10-30 $19.6930
2024-10-29 $19.6905
2024-10-28 $19.7476
2024-10-25 $19.6859
2024-10-24 $19.7125
2024-10-22 $19.8178
2024-10-21 $19.8456
2024-10-18 $19.9365
2024-10-16 $19.8139
2024-10-15 $19.7384
2024-10-11 $19.7146
2024-10-10 $19.6094
2024-10-09 $19.5609
2024-10-08 $19.4781
2024-10-07 $19.4868
2024-10-04 $19.5426
2024-10-03 $19.4828
2024-10-02 $19.5199
2024-10-01 $19.5954
2024-09-30 $19.6008
2024-09-27 $19.6038
2024-09-26 $19.5551
2024-09-25 $19.4489
2024-09-24 $19.4978
2024-09-23 $19.4482
2024-09-20 $19.4629
2024-09-19 $19.4755
2024-09-18 $19.3051
2024-09-17 $19.3743
2024-09-16 $19.3904
2024-09-13 $19.3018
2024-09-12 $19.2279
2024-09-11 $19.0631
2024-09-10 $18.9797
2024-09-09 $18.9735
2024-09-06 $18.8179
2024-09-05 $18.9401
2024-09-04 $18.9732
2024-09-03 $18.9683
2024-08-30 $19.1043
2024-08-29 $19.0334
2024-08-28 $18.9841
2024-08-27 $19.0723
2024-08-26 $19.1183
2024-08-23 $19.1013
2024-08-22 $18.9639
2024-08-21 $19.0340
2024-08-20 $18.9776
2024-08-19 $19.0170
2024-08-16 $18.9916
2024-08-15 $18.9621
2024-08-13 $18.7497
2024-08-12 $18.5972
2024-08-09 $18.5555
2024-08-08 $18.5055
2024-08-07 $18.3136
2024-08-06 $18.4189
2024-08-01 $18.9656
2024-07-31 $19.1446
2024-07-30 $18.9773
2024-07-29 $18.9298
2024-07-26 $18.9378
2024-07-25 $18.7773
2024-07-24 $18.7705
2024-07-23 $18.8840
2024-07-22 $18.8955
2024-07-18 $18.7920
2024-07-17 $18.8853
2024-07-16 $18.9473
2024-07-15 $18.8044
2024-07-12 $18.7781
2024-07-11 $18.6617
2024-07-10 $18.5265
2024-07-09 $18.3551
2024-07-08 $18.4155
2024-07-05 $18.3663
2024-07-04 $18.4168
2024-07-03 $18.4069
2024-07-02 $18.2886
2024-06-28 $18.2762
2024-06-27 $18.3123
2024-06-26 $18.2362
2024-06-25 $18.2681
2024-06-24 $18.3245
2024-06-21 $18.1828
2024-06-20 $18.2003
2024-06-19 $18.1739
2024-06-18 $18.2279
2024-06-17 $18.2056
2024-06-14 $18.2256
2024-06-13 $18.2816
2024-06-12 $18.3795
2024-06-11 $18.3119
2024-06-10 $18.3979
2024-06-07 $18.3769
2024-06-06 $18.4986
2024-06-05 $18.4537
2024-06-04 $18.3156
2024-06-03 $18.2885
2024-05-31 $18.3229
2024-05-30 $18.1812
2024-05-29 $18.0878
2024-05-28 $18.3009
2024-05-27 $18.4030
2024-05-24 $18.3985
2024-05-23 $18.3524
2024-05-22 $18.4545
2024-05-21 $18.5079

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team