Overview

Daily NAV
$14.54
0.32% $0.05
August 29, 2025
  • Inception Date
    April 20, 2015
  • Net Assets
    $57.00 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    2.44%
  • Asset class
    Canadian Neutral Balanced
  • Management Fee
    2.10%

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 Canadian equity and fixed income securities.

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class K ECF11048 ECF11248 ECF11348 ECF11548
  • * 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: $14,224.15 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 Monthly Income GIF Class K 0.06% 4.84% 1.42% 3.27% 5.42% 4.85% 5.48% 3.52% 3.49%
Series Empire Life Monthly Income GIF Class K
1 mth 0.06%
3 mths 4.84%
6 mths 1.42%
YTD 3.27%
1 year 5.42%
3 years 4.85%
5 years 5.48%
10 years 3.52%
psi 3.49%

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 Monthly Income GIF Class K 6.57% 4.26% -6.22% 10.71% 2.99% 12.77% -7.51% 5.91% 8.64%
Series Empire Life Monthly Income GIF Class K
2015
2016 6.57%
2017 4.26%
2018 -6.22%
2019 10.71%
2020 2.99%
2021 12.77%
2022 -7.51%
2023 5.91%
2024 8.64%

Portfolio Allocations As at July 31, 2025

Sector Allocation

Colours Name Weight
Financials 33.68%
Energy 16.17%
Materials 12.20%
Information Technology 10.07%
Industrials 7.78%
Communication Services 6.60%
Consumer Staples 5.75%
Utilities 5.67%
Real Estate 1.68%
Consumer Discretionary 0.42%

Asset Allocation

Colours Name Weight
Canadian Equity 50.67%
Canadian Bonds 35.45%
U.S. Equity 7.88%
International Equity 2.19%
U.S. Bonds 2.16%
Cash and Equivalents 1.65%

Top 10 Holdings

Name Weight
Royal Bank of Canada 3.69%
Toronto-Dominion Bank 2.15%
Brookfield Asset Management Inc. 'A' 2.13%
Enbridge Inc. 2.02%
Microsoft Corp. Com 1.80%
Bank of Montreal 1.55%
Canadian Imperial Bank of Commerce 1.46%
WSP Global Inc. Com 1.46%
Agnico-Eagle Mines Ltd. Com 1.43%
Canadian Pacific Railway Limited 1.39%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-08-29 $14.5363
2025-08-28 $14.4904
2025-08-27 $14.4778
2025-08-26 $14.4287
2025-08-25 $14.4052
2025-08-22 $14.4819
2025-08-21 $14.3852
2025-08-20 $14.3439
2025-08-19 $14.3349
2025-08-18 $14.3349
2025-08-14 $14.3671
2025-08-13 $14.3751
2025-08-12 $14.3184
2025-08-11 $14.2905
2025-08-08 $14.2926
2025-08-07 $14.2772
2025-08-06 $14.3179
2025-08-05 $14.2775
2025-08-01 $14.1373
2025-07-31 $14.2233
2025-07-30 $14.2332
2025-07-29 $14.3030
2025-07-28 $14.2386
2025-07-25 $14.2607
2025-07-24 $14.2236
2025-07-23 $14.2296
2025-07-22 $14.2174
2025-07-21 $14.1980
2025-07-18 $14.1963
2025-07-17 $14.2049
2025-07-16 $14.1406
2025-07-15 $14.1206
2025-07-14 $14.1875
2025-07-11 $14.1490
2025-07-10 $14.2107
2025-07-09 $14.1974
2025-07-08 $14.1632
2025-07-07 $14.1928
2025-07-04 $14.2225
2025-07-03 $14.2074
2025-07-02 $14.1813
2025-06-30 $14.2144
2025-06-27 $14.1496
2025-06-26 $14.1513
2025-06-25 $14.0845
2025-06-24 $14.1582
2025-06-23 $14.1232
2025-06-20 $14.0861
2025-06-19 $14.0819
2025-06-18 $14.0869
2025-06-17 $14.0678
2025-06-16 $14.0610
2025-06-13 $14.0485
2025-06-12 $14.1066
2025-06-11 $14.0662
2025-06-10 $14.0552
2025-06-09 $14.0424
2025-06-06 $14.0542
2025-06-05 $14.0540
2025-06-04 $14.0755
2025-06-03 $14.0919
2025-06-02 $14.0948
2025-05-30 $14.0652
2025-05-29 $14.0722
2025-05-28 $14.0757
2025-05-27 $14.0766
2025-05-26 $13.9639
2025-05-23 $13.8994
2025-05-22 $13.8830
2025-05-21 $13.8717
2025-05-20 $13.9933
2025-05-16 $13.9927
2025-05-15 $13.9705
2025-05-14 $13.8903
2025-05-13 $13.8829
2025-05-12 $13.8666
2025-05-09 $13.7784
2025-05-08 $13.7218
2025-05-07 $13.6963
2025-05-06 $13.6057
2025-05-05 $13.5976
2025-05-02 $13.6241
2025-05-01 $13.5659
2025-04-30 $13.5664
2025-04-29 $13.5526
2025-04-28 $13.5115
2025-04-25 $13.4882
2025-04-24 $13.4892
2025-04-23 $13.3821
2025-04-22 $13.3266
2025-04-21 $13.2151
2025-04-17 $13.3314
2025-04-16 $13.3137
2025-04-15 $13.3098
2025-04-14 $13.2518
2025-04-11 $13.1119
2025-04-10 $12.9607
2025-04-09 $13.2166
2025-04-08 $12.8504
2025-04-04 $13.1542
2025-04-03 $13.5143
2025-04-02 $13.8424
2025-04-01 $13.7795
2025-03-31 $13.7265
2025-03-28 $13.6449
2025-03-27 $13.7474
2025-03-26 $13.7366
2025-03-25 $13.8249
2025-03-24 $13.8117
2025-03-21 $13.7500
2025-03-20 $13.7648
2025-03-19 $13.7943
2025-03-18 $13.6779
2025-03-17 $13.6927
2025-03-14 $13.6142
2025-03-13 $13.4967
2025-03-12 $13.5602
2025-03-11 $13.5317
2025-03-10 $13.5755
2025-03-07 $13.6905
2025-03-06 $13.6307
2025-03-05 $13.7977
2025-03-04 $13.7500
2025-03-03 $13.9049
2025-02-28 $13.9822
2025-02-27 $13.8722
2025-02-26 $13.9431
2025-02-25 $13.8877
2025-02-24 $13.8311
2025-02-21 $13.8388
2025-02-20 $13.8880
2025-02-19 $13.9339
2025-02-18 $13.9388
2025-02-14 $13.9186
2025-02-13 $13.9691
2025-02-12 $13.9240
2025-02-11 $13.9768
2025-02-10 $14.0181
2025-02-07 $13.9496
2025-02-06 $14.0089
2025-02-05 $14.0321
2025-02-04 $13.9350
2025-02-03 $13.9498
2025-01-31 $14.0248
2025-01-30 $14.0869
2025-01-29 $13.9720
2025-01-28 $13.9662
2025-01-27 $13.9555
2025-01-24 $13.9624
2025-01-23 $13.9509
2025-01-22 $13.9170
2025-01-21 $13.9128
2025-01-20 $13.8482
2025-01-17 $13.8219
2025-01-16 $13.7479
2025-01-15 $13.6946
2025-01-14 $13.5946
2025-01-13 $13.5936
2025-01-10 $13.6722
2025-01-09 $13.8158
2025-01-08 $13.8252
2025-01-07 $13.8008
2025-01-06 $13.8452
2025-01-03 $13.8671
2025-01-02 $13.8259
2024-12-31 $13.7723
2024-12-30 $13.7328
2024-12-27 $13.7618
2024-12-24 $13.7834
2024-12-23 $13.7660
2024-12-20 $13.7266
2024-12-19 $13.6499
2024-12-18 $13.7162
2024-12-17 $13.9058
2024-12-16 $13.9050
2024-12-13 $13.9373
2024-12-12 $13.9921
2024-12-11 $14.0736
2024-12-10 $14.0558
2024-12-09 $14.0858
2024-12-06 $14.1238
2024-12-05 $14.0836
2024-12-04 $14.0816
2024-12-03 $14.0595
2024-12-02 $14.0638
2024-11-29 $14.0792
2024-11-28 $13.9888
2024-11-27 $13.9688
2024-11-26 $13.9268
2024-11-25 $13.9213
2024-11-22 $13.8630
2024-11-21 $13.8331
2024-11-20 $13.7744
2024-11-19 $13.7796
2024-11-18 $13.7979
2024-11-15 $13.7789
2024-11-14 $13.8360
2024-11-13 $13.8043
2024-11-12 $13.8247
2024-11-11 $13.8575
2024-11-08 $13.8662
2024-11-07 $13.8897
2024-11-06 $13.7763
2024-11-05 $13.7384
2024-11-04 $13.6888
2024-11-01 $13.6718
2024-10-31 $13.6734
2024-10-30 $13.7801
2024-10-29 $13.7804
2024-10-28 $13.7940
2024-10-25 $13.7615
2024-10-24 $13.7993
2024-10-22 $13.8609
2024-10-21 $13.8653
2024-10-18 $13.9377
2024-10-16 $13.8650
2024-10-15 $13.8092
2024-10-11 $13.7894
2024-10-10 $13.7381
2024-10-09 $13.7123
2024-10-08 $13.6722
2024-10-07 $13.6936
2024-10-04 $13.7297
2024-10-03 $13.7147
2024-10-02 $13.7486
2024-10-01 $13.7973
2024-09-30 $13.7970
2024-09-27 $13.7782
2024-09-26 $13.7476
2024-09-25 $13.7014
2024-09-24 $13.7205
2024-09-23 $13.7075
2024-09-20 $13.7154
2024-09-19 $13.7090
2024-09-18 $13.6134
2024-09-17 $13.6631
2024-09-16 $13.6885
2024-09-13 $13.6361
2024-09-12 $13.5992
2024-09-11 $13.5113
2024-09-10 $13.4477
2024-09-09 $13.4268
2024-09-06 $13.3303
2024-09-05 $13.3911
2024-09-04 $13.3967
2024-09-03 $13.3681

Portfolio Manager(s)

Jennifer Law

Senior Portfolio Manager, Canadian Equities