Overview

Daily NAV
$12.77
-0.03% ($0.00)
June 3, 2025
  • Inception Date
    April 20, 2015
  • Net Assets
    $328.83 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    2.35%
  • Asset class
    Canadian Fixed Income Balanced
  • Management Fee
    2.05%

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 * No load Deferred Sales Charge *
Class K ECF11025 ECF11225 ECF11325 ECF11525
  • * 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: $12,488.40 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 Income GIF Class K -1.29% -2.99% -0.17% -1.19% 6.72% 3.38% 3.05% 2.39% 2.24%
Series Empire Life Income GIF Class K
1 mth -1.29%
3 mths -2.99%
6 mths -0.17%
YTD -1.19%
1 year 6.72%
3 years 3.38%
5 years 3.05%
10 years 2.39%
psi 2.24%

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 K 4.03% 3.42% -4.17% 9.84% 4.66% 4.62% -8.75% 5.72% 8.04%
Series Empire Life Income GIF Class K
2015
2016 4.03%
2017 3.42%
2018 -4.17%
2019 9.84%
2020 4.66%
2021 4.62%
2022 -8.75%
2023 5.72%
2024 8.04%

Portfolio Allocations As at April 30, 2025

Asset Allocation

Colours Name Weight
Canadian Bonds 53.24%
Canadian Equity 19.73%
U.S. Equity 11.19%
U.S. Bonds 6.14%
Cash and Equivalents 4.81%
International Equity 4.23%
Mutual Funds 0.55%
International Bond Funds 0.37%

Bond Type

Colours Name Weight
Investment Grade Corporate 49.62%
Provincial Government 20.93%
Federal Government 19.58%
Floating Rate 5.06%
High Yield Corporate 3.35%
Municipal Government 0.61%
Convertible Bonds 0.57%
Preferred Shares 0.28%

Top 10 Holdings

Name Weight
ROYAL BK OF CAD 2.65% 01MAY25 TD 3.91%
Gov. of Canada, 2.75%, 12/1/2055 1.37%
Gov. of Canada, 2%, 6/1/2032 1.37%
Province of Ontario, 3.8%, 12/2/2034 1.33%
Royal Bank of Canada 1.25%
Province of Ontario 2.900% December 2, 2046 1.10%
Gov. of Canada, 2.5%, 12/1/2032 0.93%
Province of New Brunswick 3.550% June 3, 2043 0.93%
Canada Housing Trust No.1, 1.6%, 12/15/2031 0.92%
Microsoft Corporation 0.90%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-06-03 $12.7707
2025-06-02 $12.7741
2025-05-30 $12.7657
2025-05-29 $12.7936
2025-05-28 $12.7521
2025-05-27 $12.7511
2025-05-26 $12.6664
2025-05-23 $12.6359
2025-05-22 $12.6335
2025-05-21 $12.6204
2025-05-20 $12.7231
2025-05-16 $12.7597
2025-05-15 $12.7424
2025-05-14 $12.6592
2025-05-13 $12.6710
2025-05-12 $12.6651
2025-05-09 $12.6040
2025-05-08 $12.5672
2025-05-07 $12.5664
2025-05-06 $12.5091
2025-05-05 $12.4985
2025-05-02 $12.5022
2025-05-01 $12.4800
2025-04-30 $12.4854
2025-04-29 $12.4639
2025-04-28 $12.4236
2025-04-25 $12.4056
2025-04-24 $12.4004
2025-04-23 $12.3144
2025-04-22 $12.2770
2025-04-21 $12.1928
2025-04-17 $12.3083
2025-04-16 $12.3148
2025-04-15 $12.3254
2025-04-14 $12.2903
2025-04-11 $12.1785
2025-04-10 $12.1147
2025-04-09 $12.2793
2025-04-08 $12.0549
2025-04-04 $12.2784
2025-04-03 $12.4888
2025-04-02 $12.7146
2025-04-01 $12.6863
2025-03-31 $12.6489
2025-03-28 $12.5904
2025-03-27 $12.6376
2025-03-26 $12.6178
2025-03-25 $12.6882
2025-03-24 $12.6825
2025-03-21 $12.6551
2025-03-20 $12.6663
2025-03-19 $12.6857
2025-03-18 $12.6128
2025-03-17 $12.6283
2025-03-14 $12.5746
2025-03-13 $12.5118
2025-03-12 $12.5429
2025-03-11 $12.5569
2025-03-10 $12.5875
2025-03-07 $12.6418
2025-03-06 $12.5877
2025-03-05 $12.7323
2025-03-04 $12.7373
2025-03-03 $12.8214
2025-02-28 $12.8461
2025-02-27 $12.7677
2025-02-26 $12.8050
2025-02-25 $12.7799
2025-02-24 $12.7288
2025-02-21 $12.7240
2025-02-20 $12.7356
2025-02-19 $12.7740
2025-02-18 $12.7692
2025-02-14 $12.7824
2025-02-13 $12.8158
2025-02-12 $12.7603
2025-02-11 $12.8214
2025-02-10 $12.8561
2025-02-07 $12.8139
2025-02-06 $12.8963
2025-02-05 $12.9096
2025-02-04 $12.8431
2025-02-03 $12.8686
2025-01-31 $12.8699
2025-01-30 $12.8816
2025-01-29 $12.8040
2025-01-28 $12.7879
2025-01-27 $12.7769
2025-01-24 $12.7732
2025-01-23 $12.7589
2025-01-22 $12.7435
2025-01-21 $12.7500
2025-01-20 $12.6872
2025-01-17 $12.6747
2025-01-16 $12.6194
2025-01-15 $12.5622
2025-01-14 $12.4566
2025-01-13 $12.4744
2025-01-10 $12.5208
2025-01-09 $12.6328
2025-01-08 $12.6471
2025-01-07 $12.6329
2025-01-06 $12.6836
2025-01-03 $12.6959
2025-01-02 $12.6682
2024-12-31 $12.6355
2024-12-30 $12.6160
2024-12-27 $12.6252
2024-12-24 $12.6405
2024-12-23 $12.6333
2024-12-20 $12.6116
2024-12-19 $12.5554
2024-12-18 $12.6278
2024-12-17 $12.7709
2024-12-16 $12.7519
2024-12-13 $12.7725
2024-12-12 $12.8060
2024-12-11 $12.8576
2024-12-10 $12.8571
2024-12-09 $12.8713
2024-12-06 $12.9174
2024-12-05 $12.8601
2024-12-04 $12.8672
2024-12-03 $12.8332
2024-12-02 $12.8569
2024-11-29 $12.8463
2024-11-28 $12.7493
2024-11-27 $12.7348
2024-11-26 $12.7117
2024-11-25 $12.6798
2024-11-22 $12.6009
2024-11-21 $12.5603
2024-11-20 $12.5521
2024-11-19 $12.5709
2024-11-18 $12.6032
2024-11-15 $12.5907
2024-11-14 $12.6233
2024-11-13 $12.6053
2024-11-12 $12.6314
2024-11-11 $12.6759
2024-11-08 $12.6754
2024-11-07 $12.6635
2024-11-06 $12.5790
2024-11-05 $12.5409
2024-11-04 $12.5113
2024-11-01 $12.4935
2024-10-31 $12.5061
2024-10-30 $12.5493
2024-10-29 $12.5476
2024-10-28 $12.5498
2024-10-25 $12.5229
2024-10-24 $12.5449
2024-10-22 $12.5749
2024-10-21 $12.5799
2024-10-18 $12.6469
2024-10-16 $12.6256
2024-10-15 $12.5827
2024-10-11 $12.5434
2024-10-10 $12.4981
2024-10-09 $12.4722
2024-10-08 $12.4472
2024-10-07 $12.4400
2024-10-04 $12.4739
2024-10-03 $12.4886
2024-10-02 $12.5235
2024-10-01 $12.5775
2024-09-30 $12.5796
2024-09-27 $12.5771
2024-09-26 $12.5339
2024-09-25 $12.5094
2024-09-24 $12.5466
2024-09-23 $12.5447
2024-09-20 $12.5524
2024-09-19 $12.5492
2024-09-18 $12.4889
2024-09-17 $12.5266
2024-09-16 $12.5471
2024-09-13 $12.5002
2024-09-12 $12.4720
2024-09-11 $12.4220
2024-09-10 $12.4019
2024-09-09 $12.3741
2024-09-06 $12.3060
2024-09-05 $12.3487
2024-09-04 $12.3492
2024-09-03 $12.3265
2024-08-30 $12.3381
2024-08-29 $12.3294
2024-08-28 $12.3273
2024-08-27 $12.3649
2024-08-26 $12.3808
2024-08-23 $12.3949
2024-08-22 $12.3365
2024-08-21 $12.3839
2024-08-20 $12.3671
2024-08-19 $12.3522
2024-08-16 $12.3453
2024-08-15 $12.3312
2024-08-13 $12.2685
2024-08-12 $12.1994
2024-08-09 $12.1728
2024-08-08 $12.1286
2024-08-07 $12.0715
2024-08-06 $12.1254
2024-08-01 $12.3136
2024-07-31 $12.3508
2024-07-30 $12.2713
2024-07-29 $12.2419
2024-07-26 $12.2234
2024-07-25 $12.1536
2024-07-24 $12.1416
2024-07-23 $12.1849
2024-07-22 $12.1820
2024-07-18 $12.1783
2024-07-17 $12.2269
2024-07-16 $12.2506
2024-07-15 $12.1812
2024-07-12 $12.1726
2024-07-11 $12.1283
2024-07-10 $12.0779
2024-07-09 $12.0133
2024-07-08 $12.0359
2024-07-05 $12.0170
2024-07-04 $11.9871
2024-07-03 $11.9996
2024-07-02 $11.9514
2024-06-28 $11.9721
2024-06-27 $12.0009
2024-06-26 $11.9798
2024-06-25 $12.0270
2024-06-24 $12.0480
2024-06-21 $12.0068
2024-06-20 $12.0115
2024-06-19 $12.0133
2024-06-18 $12.0410
2024-06-17 $12.0113
2024-06-14 $12.0198
2024-06-13 $12.0196
2024-06-12 $12.0185
2024-06-11 $11.9765
2024-06-10 $11.9975
2024-06-07 $11.9968
2024-06-06 $12.0652
2024-06-05 $12.0558
2024-06-04 $11.9872

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team