Overview

Daily NAV
$22.59
0.46% $0.10
May 7, 2025
  • Inception Date
    October 20, 2008
  • Net Assets
    $333.55 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $10,000 initial, $500 per fund
  • MER
    2.31%
  • 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 in a strategic mix of primarily Canadian equity and fixed income securities.

Fund codes

Series Front-end load Low load * Deferred Sales Charge *
Class G ECF7025 ECF7225 ECF7525
  • * 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 March 31, 2025

Growth of $10,000

Investment value: $18,292.25 at March 31, 2025

Compound Returns 2

Series 1 mth 3 mths 6 mths YTD 1 year 3 years 5 years 10 years psi
Empire Life Income GIF Class G -1.53% 0.12% 0.57% 0.12% 5.91% 2.72% 4.53% 2.35% 3.74%
Series Empire Life Income GIF Class G
1 mth -1.53%
3 mths 0.12%
6 mths 0.57%
YTD 0.12%
1 year 5.91%
3 years 2.72%
5 years 4.53%
10 years 2.35%
psi 3.74%

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 Income GIF Class G 0.37% 3.90% 3.38% -4.18% 9.85% 4.68% 4.66% -8.73% 5.76% 8.08%
Series Empire Life Income GIF Class G
2015 0.37%
2016 3.90%
2017 3.38%
2018 -4.18%
2019 9.85%
2020 4.68%
2021 4.66%
2022 -8.73%
2023 5.76%
2024 8.08%

Portfolio Allocations As at March 31, 2025

Asset Allocation

Colours Name Weight
Canadian Bonds 53.84%
Canadian Equity 20.55%
U.S. Equity 13.31%
U.S. Bonds 5.85%
International Equity 3.64%
Cash and Equivalents 2.20%
Mutual Funds 0.56%
International Bond Funds 0.32%

Bond Type

Colours Name Weight
Investment Grade Corporate 49.26%
Provincial Government 20.88%
Federal Government 20.25%
Floating Rate 4.91%
High Yield Corporate 3.28%
Municipal Government 0.59%
Convertible Bonds 0.56%
Preferred Shares 0.28%

Top 10 Holdings

Name Weight
ROYAL BK OF CAD 2.65% 01APR25 TD 1.76%
Gov. of Canada, 2.75%, 12/1/2055 1.41%
Gov. of Canada, 2%, 6/1/2032 1.35%
Province of Ontario, 3.8%, 12/2/2034 1.32%
Royal Bank of Canada 1.29%
Gov. of Canada, 2.5%, 12/1/2032 1.23%
Agnico Eagle Mines Limited 1.13%
Province of Ontario 2.900% December 2, 2046 1.11%
Microsoft Corporation 0.98%
Province of New Brunswick 3.550% June 3, 2043 0.94%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-07 $22.5907
2025-05-06 $22.4876
2025-05-05 $22.4685
2025-05-02 $22.4752
2025-05-01 $22.4352
2025-04-30 $22.4449
2025-04-29 $22.4062
2025-04-28 $22.3337
2025-04-25 $22.3013
2025-04-24 $22.2920
2025-04-23 $22.1373
2025-04-22 $22.0700
2025-04-21 $21.9187
2025-04-17 $22.1261
2025-04-16 $22.1379
2025-04-15 $22.1569
2025-04-14 $22.0938
2025-04-11 $21.8926
2025-04-10 $21.7780
2025-04-09 $22.0738
2025-04-08 $21.6704
2025-04-04 $22.0721
2025-04-03 $22.4503
2025-04-02 $22.8560
2025-04-01 $22.8053
2025-03-31 $22.7380
2025-03-28 $22.6327
2025-03-27 $22.7176
2025-03-26 $22.6820
2025-03-25 $22.8085
2025-03-24 $22.7983
2025-03-21 $22.7489
2025-03-20 $22.7689
2025-03-19 $22.8039
2025-03-18 $22.6727
2025-03-17 $22.7006
2025-03-14 $22.6040
2025-03-13 $22.4911
2025-03-12 $22.5470
2025-03-11 $22.5722
2025-03-10 $22.6272
2025-03-07 $22.7247
2025-03-06 $22.6273
2025-03-05 $22.8873
2025-03-04 $22.8961
2025-03-03 $23.0473
2025-02-28 $23.0916
2025-02-27 $22.9508
2025-02-26 $23.0178
2025-02-25 $22.9725
2025-02-24 $22.8807
2025-02-21 $22.8720
2025-02-20 $22.8927
2025-02-19 $22.9618
2025-02-18 $22.9531
2025-02-14 $22.9769
2025-02-13 $23.0369
2025-02-12 $22.9371
2025-02-11 $23.0468
2025-02-10 $23.1092
2025-02-07 $23.0333
2025-02-06 $23.1814
2025-02-05 $23.2052
2025-02-04 $23.0858
2025-02-03 $23.1315
2025-01-31 $23.1337
2025-01-30 $23.1548
2025-01-29 $23.0153
2025-01-28 $22.9862
2025-01-27 $22.9664
2025-01-24 $22.9598
2025-01-23 $22.9341
2025-01-22 $22.9063
2025-01-21 $22.9179
2025-01-20 $22.8051
2025-01-17 $22.7825
2025-01-16 $22.6830
2025-01-15 $22.5801
2025-01-14 $22.3903
2025-01-13 $22.4223
2025-01-10 $22.5056
2025-01-09 $22.7069
2025-01-08 $22.7326
2025-01-07 $22.7071
2025-01-06 $22.7981
2025-01-03 $22.8202
2025-01-02 $22.7703
2024-12-31 $22.7116
2024-12-30 $22.6764
2024-12-27 $22.6929
2024-12-24 $22.7202
2024-12-23 $22.7074
2024-12-20 $22.6683
2024-12-19 $22.5673
2024-12-18 $22.6974
2024-12-17 $22.9545
2024-12-16 $22.9203
2024-12-13 $22.9573
2024-12-12 $23.0175
2024-12-11 $23.1102
2024-12-10 $23.1093
2024-12-09 $23.1348
2024-12-06 $23.2176
2024-12-05 $23.1146
2024-12-04 $23.1273
2024-12-03 $23.0661
2024-12-02 $23.1088
2024-11-29 $23.0896
2024-11-28 $22.9153
2024-11-27 $22.8892
2024-11-26 $22.8477
2024-11-25 $22.7903
2024-11-22 $22.6485
2024-11-21 $22.5752
2024-11-20 $22.5606
2024-11-19 $22.5943
2024-11-18 $22.6523
2024-11-15 $22.6299
2024-11-14 $22.6883
2024-11-13 $22.6559
2024-11-12 $22.7029
2024-11-11 $22.7828
2024-11-08 $22.7819
2024-11-07 $22.7605
2024-11-06 $22.6084
2024-11-05 $22.5399
2024-11-04 $22.4868
2024-11-01 $22.4547
2024-10-31 $22.4774
2024-10-30 $22.5549
2024-10-29 $22.5519
2024-10-28 $22.5558
2024-10-25 $22.5075
2024-10-24 $22.5469
2024-10-22 $22.6009
2024-10-21 $22.6098
2024-10-18 $22.7301
2024-10-16 $22.6918
2024-10-15 $22.6148
2024-10-11 $22.5440
2024-10-10 $22.4625
2024-10-09 $22.4160
2024-10-08 $22.3710
2024-10-07 $22.3581
2024-10-04 $22.4189
2024-10-03 $22.4453
2024-10-02 $22.5080
2024-10-01 $22.6051
2024-09-30 $22.6089
2024-09-27 $22.6043
2024-09-26 $22.5266
2024-09-25 $22.4826
2024-09-24 $22.5494
2024-09-23 $22.5458
2024-09-20 $22.5596
2024-09-19 $22.5540
2024-09-18 $22.4456
2024-09-17 $22.5133
2024-09-16 $22.5500
2024-09-13 $22.4658
2024-09-12 $22.4149
2024-09-11 $22.3251
2024-09-10 $22.2890
2024-09-09 $22.2391
2024-09-06 $22.1165
2024-09-05 $22.1932
2024-09-04 $22.1942
2024-09-03 $22.1532
2024-08-30 $22.1741
2024-08-29 $22.1584
2024-08-28 $22.1547
2024-08-27 $22.2222
2024-08-26 $22.2507
2024-08-23 $22.2760
2024-08-22 $22.1710
2024-08-21 $22.2561
2024-08-20 $22.2259
2024-08-19 $22.1991
2024-08-16 $22.1867
2024-08-15 $22.1614
2024-08-13 $22.0487
2024-08-12 $21.9244
2024-08-09 $21.8766
2024-08-08 $21.7971
2024-08-07 $21.6944
2024-08-06 $21.7913
2024-08-01 $22.1294
2024-07-31 $22.1962
2024-07-30 $22.0533
2024-07-29 $22.0005
2024-07-26 $21.9672
2024-07-25 $21.8416
2024-07-24 $21.8201
2024-07-23 $21.8978
2024-07-22 $21.8927
2024-07-18 $21.8860
2024-07-17 $21.9732
2024-07-16 $22.0159
2024-07-15 $21.8911
2024-07-12 $21.8756
2024-07-11 $21.7959
2024-07-10 $21.7053
2024-07-09 $21.5892
2024-07-08 $21.6298
2024-07-05 $21.5958
2024-07-04 $21.5420
2024-07-03 $21.5645
2024-07-02 $21.4779
2024-06-28 $21.5150
2024-06-27 $21.5667
2024-06-26 $21.5289
2024-06-25 $21.6137
2024-06-24 $21.6513
2024-06-21 $21.5773
2024-06-20 $21.5857
2024-06-19 $21.5889
2024-06-18 $21.6388
2024-06-17 $21.5852
2024-06-14 $21.6005
2024-06-13 $21.6002
2024-06-12 $21.5982
2024-06-11 $21.5227
2024-06-10 $21.5603
2024-06-07 $21.5590
2024-06-06 $21.6819
2024-06-05 $21.6650
2024-06-04 $21.5417
2024-06-03 $21.4986
2024-05-31 $21.4403
2024-05-30 $21.3027
2024-05-29 $21.2224
2024-05-28 $21.3782
2024-05-27 $21.4766
2024-05-24 $21.4884
2024-05-23 $21.4498
2024-05-22 $21.5317
2024-05-21 $21.5782
2024-05-17 $21.5340
2024-05-16 $21.5321
2024-05-15 $21.5196
2024-05-14 $21.3867
2024-05-13 $21.3893
2024-05-10 $21.3878
2024-05-09 $21.4500
2024-05-08 $21.4120

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team