Overview

Daily NAV
$18.90
0.04% $0.01
May 23, 2025
  • Inception Date
    January 2, 2013
  • Net Assets
    $82.75 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $10,000 initial, $500 per fund
  • MER
    2.80%
  • 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 Front-end load joint Low load * Low load joint * Deferred Sales Charge * Back-end load joint *
Class J ECF90921 ECF90922 ECF92921 ECF92922 ECF95921 ECF95922
  • * 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: $18,276.40 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 J -1.32% -3.95% -0.98% -1.73% 7.68% 4.46% 7.34% 3.58% 5.01%
Series Empire Life Growth Portfolio Fund Class J
1 mth -1.32%
3 mths -3.95%
6 mths -0.98%
YTD -1.73%
1 year 7.68%
3 years 4.46%
5 years 7.34%
10 years 3.58%
psi 5.01%

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 J 2.11% 8.92% 6.19% -10.99% 12.63% 2.04% 12.89% -7.77% 6.94% 11.45%
Series Empire Life Growth Portfolio Fund Class J
2015 2.11%
2016 8.92%
2017 6.19%
2018 -10.99%
2019 12.63%
2020 2.04%
2021 12.89%
2022 -7.77%
2023 6.94%
2024 11.45%

Portfolio Allocations As at April 30, 2025

Sector Allocation

Colours Name Weight
Financials 24.01%
Industrials 13.95%
Energy 12.16%
Materials 10.61%
Information Technology 10.56%
Consumer Staples 6.73%
Consumer Discretionary 6.45%
Communication Services 5.45%
Utilities 4.94%
Health Care 3.08%
Real Estate 2.06%

Asset Allocation

Colours Name Weight
Canadian Equity 53.66%
Canadian Bonds 18.30%
International Equity 12.19%
U.S. Equity 11.02%
Cash and Equivalents 3.38%
U.S. Bonds 1.45%
International Bond Funds 0.07%

Top 10 Holdings

Name Weight
Royal Bank of Canada 3.05%
ROYAL BK OF CAD 2.65% 01MAY25 TD 2.56%
Toronto-Dominion Bank 2.40%
Agnico Eagle Mines Limited 1.55%
Canadian Natural Resources Limited 1.41%
Bank of Montreal 1.36%
Canadian Pacific Railway Limited 1.34%
Alimentation Couche-Tard Inc. Com 1.33%
Sun Life Financial Inc. 1.29%
Brookfield Asset Management Inc. 'A' 1.21%

Underlying Fund Holdings

Name Weight
Empire Life Canadian Equity Fund 25.01%
Empire Life Dividend Growth Fund 24.66%
Empire Life Bond Fund 20.01%
Empire Life International Equity Fund 10.22%
Empire Life Small Cap Equity Fund 9.54%
Empire Life American Value Fund 9.44%
ROYAL BK OF CAD 2.65% 01MAY25 TD 1.00%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-23 $18.9042
2025-05-22 $18.8971
2025-05-21 $18.9036
2025-05-20 $19.0676
2025-05-16 $19.0335
2025-05-15 $18.9811
2025-05-14 $18.8443
2025-05-13 $18.8458
2025-05-12 $18.8199
2025-05-09 $18.6430
2025-05-08 $18.5671
2025-05-07 $18.4628
2025-05-06 $18.3611
2025-05-05 $18.3494
2025-05-02 $18.3916
2025-05-01 $18.2535
2025-04-30 $18.2764
2025-04-29 $18.2765
2025-04-28 $18.2135
2025-04-25 $18.1647
2025-04-24 $18.1707
2025-04-23 $18.0131
2025-04-22 $17.9191
2025-04-21 $17.7536
2025-04-17 $17.8933
2025-04-16 $17.8617
2025-04-15 $17.8889
2025-04-14 $17.7934
2025-04-11 $17.6005
2025-04-10 $17.3492
2025-04-09 $17.6826
2025-04-08 $17.0744
2025-04-04 $17.5253
2025-04-03 $18.1429
2025-04-02 $18.6514
2025-04-01 $18.5614
2025-03-31 $18.5204
2025-03-28 $18.4357
2025-03-27 $18.6474
2025-03-26 $18.6136
2025-03-25 $18.7208
2025-03-24 $18.6994
2025-03-21 $18.6003
2025-03-20 $18.6559
2025-03-19 $18.6877
2025-03-18 $18.5380
2025-03-17 $18.5498
2025-03-14 $18.4324
2025-03-13 $18.2548
2025-03-12 $18.3813
2025-03-11 $18.3312
2025-03-10 $18.4129
2025-03-07 $18.5985
2025-03-06 $18.4947
2025-03-05 $18.7165
2025-03-04 $18.6078
2025-03-03 $18.7841
2025-02-28 $18.9120
2025-02-27 $18.8216
2025-02-26 $18.9061
2025-02-25 $18.8464
2025-02-24 $18.7728
2025-02-21 $18.7665
2025-02-20 $18.8765
2025-02-19 $18.9287
2025-02-18 $18.9388
2025-02-14 $18.8794
2025-02-13 $18.9824
2025-02-12 $18.9033
2025-02-11 $18.9648
2025-02-10 $18.9916
2025-02-07 $18.8892
2025-02-06 $18.9815
2025-02-05 $19.0131
2025-02-04 $18.8635
2025-02-03 $18.8923
2025-01-31 $19.0271
2025-01-30 $19.1152
2025-01-29 $18.9726
2025-01-28 $18.9454
2025-01-27 $18.9293
2025-01-24 $18.9619
2025-01-23 $18.9588
2025-01-22 $18.8932
2025-01-21 $18.8524
2025-01-20 $18.7655
2025-01-17 $18.7227
2025-01-16 $18.6120
2025-01-15 $18.5294
2025-01-14 $18.3775
2025-01-13 $18.3886
2025-01-10 $18.4988
2025-01-09 $18.6912
2025-01-08 $18.6874
2025-01-07 $18.6757
2025-01-06 $18.7162
2025-01-03 $18.7693
2025-01-02 $18.6901
2024-12-31 $18.5980
2024-12-30 $18.5149
2024-12-27 $18.6185
2024-12-24 $18.6319
2024-12-23 $18.5951
2024-12-20 $18.5326
2024-12-19 $18.4248
2024-12-18 $18.5391
2024-12-17 $18.8354
2024-12-16 $18.8362
2024-12-13 $18.9081
2024-12-12 $18.9872
2024-12-11 $19.0973
2024-12-10 $19.0547
2024-12-09 $19.1006
2024-12-06 $19.1476
2024-12-05 $19.1133
2024-12-04 $19.1166
2024-12-03 $19.0924
2024-12-02 $19.0608
2024-11-29 $19.0616
2024-11-28 $18.9666
2024-11-27 $18.9446
2024-11-26 $18.8664
2024-11-25 $18.8493
2024-11-22 $18.7905
2024-11-21 $18.7147
2024-11-20 $18.6089
2024-11-19 $18.6193
2024-11-18 $18.6498
2024-11-15 $18.6092
2024-11-14 $18.6996
2024-11-13 $18.6565
2024-11-12 $18.6756
2024-11-11 $18.7526
2024-11-08 $18.7522
2024-11-07 $18.7682
2024-11-06 $18.6648
2024-11-05 $18.5720
2024-11-04 $18.4899
2024-11-01 $18.4867
2024-10-31 $18.4576
2024-10-30 $18.6293
2024-10-29 $18.6267
2024-10-28 $18.6805
2024-10-25 $18.6216
2024-10-24 $18.6466
2024-10-22 $18.7457
2024-10-21 $18.7719
2024-10-18 $18.8573
2024-10-16 $18.7409
2024-10-15 $18.6693
2024-10-11 $18.6460
2024-10-10 $18.5463
2024-10-09 $18.5003
2024-10-08 $18.4218
2024-10-07 $18.4298
2024-10-04 $18.4820
2024-10-03 $18.4253
2024-10-02 $18.4602
2024-10-01 $18.5313
2024-09-30 $18.5363
2024-09-27 $18.5385
2024-09-26 $18.4923
2024-09-25 $18.3917
2024-09-24 $18.4377
2024-09-23 $18.3906
2024-09-20 $18.4039
2024-09-19 $18.4156
2024-09-18 $18.2543
2024-09-17 $18.3196
2024-09-16 $18.3346
2024-09-13 $18.2502
2024-09-12 $18.1802
2024-09-11 $18.0242
2024-09-10 $17.9451
2024-09-09 $17.9391
2024-09-06 $17.7914
2024-09-05 $17.9068
2024-09-04 $17.9378
2024-09-03 $17.9331
2024-08-30 $18.0609
2024-08-29 $17.9937
2024-08-28 $17.9468
2024-08-27 $18.0301
2024-08-26 $18.0734
2024-08-23 $18.0567
2024-08-22 $17.9266
2024-08-21 $17.9927
2024-08-20 $17.9392
2024-08-19 $17.9762
2024-08-16 $17.9517
2024-08-15 $17.9237
2024-08-13 $17.7225
2024-08-12 $17.5782
2024-08-09 $17.5382
2024-08-08 $17.4907
2024-08-07 $17.3092
2024-08-06 $17.4086
2024-08-01 $17.9243
2024-07-31 $18.0933
2024-07-30 $17.9350
2024-07-29 $17.8899
2024-07-26 $17.8969
2024-07-25 $17.7451
2024-07-24 $17.7384
2024-07-23 $17.8455
2024-07-22 $17.8562
2024-07-18 $17.7576
2024-07-17 $17.8456
2024-07-16 $17.9041
2024-07-15 $17.7689
2024-07-12 $17.7435
2024-07-11 $17.6333
2024-07-10 $17.5054
2024-07-09 $17.3432
2024-07-08 $17.4001
2024-07-05 $17.3531
2024-07-04 $17.4006
2024-07-03 $17.3911
2024-07-02 $17.2791
2024-06-28 $17.2667
2024-06-27 $17.3006
2024-06-26 $17.2285
2024-06-25 $17.2597
2024-06-24 $17.3128
2024-06-21 $17.1784
2024-06-20 $17.1948
2024-06-19 $17.1697
2024-06-18 $17.2205
2024-06-17 $17.1993
2024-06-14 $17.2176
2024-06-13 $17.2703
2024-06-12 $17.3626
2024-06-11 $17.2986
2024-06-10 $17.3796
2024-06-07 $17.3592
2024-06-06 $17.4740
2024-06-05 $17.4314
2024-06-04 $17.3008
2024-06-03 $17.2750
2024-05-31 $17.3070
2024-05-30 $17.1730
2024-05-29 $17.0846
2024-05-28 $17.2857
2024-05-27 $17.3819

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team