Overview

Daily NAV
$13.18
0.67% $0.09
May 7, 2025
  • Inception Date
    October 23, 2017
  • Net Assets
    $55.64 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $10,000 initial, $500 per fund
  • MER
    2.37%
  • Asset class
    Canadian Neutral 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 Canadian equity and fixed income securities.

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class R ECF14048 ECF14248 ECF14348 ECF14548
  • * 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: $13,204.00 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 Monthly Income GIF Class R -1.82% -0.31% -0.47% -0.31% 6.08% 2.44% 6.93% 3.81%
Series Empire Life Monthly Income GIF Class R
1 mth -1.82%
3 mths -0.31%
6 mths -0.47%
YTD -0.31%
1 year 6.08%
3 years 2.44%
5 years 6.93%
10 years
psi 3.81%

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 R -6.24% 10.75% 3.11% 12.90% -7.41% 6.00% 8.73%
Series Empire Life Monthly Income GIF Class R
2015
2016
2017
2018 -6.24%
2019 10.75%
2020 3.11%
2021 12.90%
2022 -7.41%
2023 6.00%
2024 8.73%

Portfolio Allocations As at March 31, 2025

Sector Allocation

Colours Name Weight
Financials 28.49%
Energy 14.68%
Industrials 12.89%
Materials 11.57%
Information Technology 8.21%
Utilities 7.17%
Consumer Staples 6.73%
Real Estate 4.99%
Communication Services 3.50%
Consumer Discretionary 1.75%

Asset Allocation

Colours Name Weight
Canadian Equity 50.39%
Canadian Bonds 37.39%
U.S. Equity 6.08%
International Equity 2.87%
U.S. Bonds 2.05%
Cash and Equivalents 1.22%

Top 10 Holdings

Name Weight
Royal Bank of Canada 3.33%
Enbridge Inc. 2.11%
Toronto-Dominion Bank 1.89%
Brookfield Asset Management Inc. 'A' 1.76%
Canadian Pacific Railway Limited 1.74%
Agnico-Eagle Mines Ltd. Com 1.61%
Bank of Montreal 1.58%
Sun Life Financial Inc. Com 1.50%
WSP Global Inc. Com 1.46%
Brookfield Infrastructure Partners L.P. Partnership Units 1.44%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-07 $13.1762
2025-05-06 $13.0890
2025-05-05 $13.0812
2025-05-02 $13.1065
2025-05-01 $13.0505
2025-04-30 $13.0509
2025-04-29 $13.0377
2025-04-28 $12.9981
2025-04-25 $12.9756
2025-04-24 $12.9765
2025-04-23 $12.8735
2025-04-22 $12.8200
2025-04-21 $12.7127
2025-04-17 $12.8245
2025-04-16 $12.8074
2025-04-15 $12.8037
2025-04-14 $12.7478
2025-04-11 $12.6132
2025-04-10 $12.4676
2025-04-09 $12.7138
2025-04-08 $12.3615
2025-04-04 $12.6535
2025-04-03 $12.9999
2025-04-02 $13.3155
2025-04-01 $13.2550
2025-03-31 $13.2040
2025-03-28 $13.1253
2025-03-27 $13.2239
2025-03-26 $13.2135
2025-03-25 $13.2984
2025-03-24 $13.2857
2025-03-21 $13.2262
2025-03-20 $13.2404
2025-03-19 $13.2688
2025-03-18 $13.1568
2025-03-17 $13.1709
2025-03-14 $13.0953
2025-03-13 $12.9823
2025-03-12 $13.0434
2025-03-11 $13.0158
2025-03-10 $13.0580
2025-03-07 $13.1686
2025-03-06 $13.1110
2025-03-05 $13.2716
2025-03-04 $13.2256
2025-03-03 $13.3747
2025-02-28 $13.4488
2025-02-27 $13.3430
2025-02-26 $13.4112
2025-02-25 $13.3579
2025-02-24 $13.3034
2025-02-21 $13.3107
2025-02-20 $13.3579
2025-02-19 $13.4021
2025-02-18 $13.4067
2025-02-14 $13.3872
2025-02-13 $13.4357
2025-02-12 $13.3923
2025-02-11 $13.4431
2025-02-10 $13.4828
2025-02-07 $13.4167
2025-02-06 $13.4738
2025-02-05 $13.4960
2025-02-04 $13.4026
2025-02-03 $13.4168
2025-01-31 $13.4889
2025-01-30 $13.5486
2025-01-29 $13.4379
2025-01-28 $13.4324
2025-01-27 $13.4220
2025-01-24 $13.4285
2025-01-23 $13.4175
2025-01-22 $13.3848
2025-01-21 $13.3807
2025-01-20 $13.3186
2025-01-17 $13.2932
2025-01-16 $13.2220
2025-01-15 $13.1707
2025-01-14 $13.0745
2025-01-13 $13.0735
2025-01-10 $13.1490
2025-01-09 $13.2870
2025-01-08 $13.2961
2025-01-07 $13.2725
2025-01-06 $13.3152
2025-01-03 $13.3362
2025-01-02 $13.2965
2024-12-31 $13.2449
2024-12-30 $13.2068
2024-12-27 $13.2347
2024-12-24 $13.2553
2024-12-23 $13.2385
2024-12-20 $13.2006
2024-12-19 $13.1267
2024-12-18 $13.1905
2024-12-17 $13.3728
2024-12-16 $13.3720
2024-12-13 $13.4029
2024-12-12 $13.4556
2024-12-11 $13.5340
2024-12-10 $13.5168
2024-12-09 $13.5456
2024-12-06 $13.5821
2024-12-05 $13.5434
2024-12-04 $13.5414
2024-12-03 $13.5201
2024-12-02 $13.5242
2024-11-29 $13.5389
2024-11-28 $13.4520
2024-11-27 $13.4327
2024-11-26 $13.3923
2024-11-25 $13.3870
2024-11-22 $13.3308
2024-11-21 $13.3020
2024-11-20 $13.2455
2024-11-19 $13.2505
2024-11-18 $13.2680
2024-11-15 $13.2497
2024-11-14 $13.3046
2024-11-13 $13.2741
2024-11-12 $13.2937
2024-11-11 $13.3251
2024-11-08 $13.3334
2024-11-07 $13.3560
2024-11-06 $13.2469
2024-11-05 $13.2105
2024-11-04 $13.1628
2024-11-01 $13.1463
2024-10-31 $13.1479
2024-10-30 $13.2504
2024-10-29 $13.2506
2024-10-28 $13.2637
2024-10-25 $13.2324
2024-10-24 $13.2686
2024-10-22 $13.3278
2024-10-21 $13.3320
2024-10-18 $13.4015
2024-10-16 $13.3315
2024-10-15 $13.2779
2024-10-11 $13.2587
2024-10-10 $13.2094
2024-10-09 $13.1845
2024-10-08 $13.1460
2024-10-07 $13.1664
2024-10-04 $13.2011
2024-10-03 $13.1866
2024-10-02 $13.2192
2024-10-01 $13.2660
2024-09-30 $13.2657
2024-09-27 $13.2475
2024-09-26 $13.2181
2024-09-25 $13.1736
2024-09-24 $13.1919
2024-09-23 $13.1794
2024-09-20 $13.1869
2024-09-19 $13.1807
2024-09-18 $13.0887
2024-09-17 $13.1365
2024-09-16 $13.1609
2024-09-13 $13.1104
2024-09-12 $13.0749
2024-09-11 $12.9903
2024-09-10 $12.9292
2024-09-09 $12.9090
2024-09-06 $12.8162
2024-09-05 $12.8746
2024-09-04 $12.8800
2024-09-03 $12.8525
2024-08-30 $12.9220
2024-08-29 $12.8994
2024-08-28 $12.8855
2024-08-27 $12.9401
2024-08-26 $12.9759
2024-08-23 $12.9744
2024-08-22 $12.8807
2024-08-21 $12.9291
2024-08-20 $12.9082
2024-08-19 $12.9175
2024-08-16 $12.9097
2024-08-15 $12.9112
2024-08-13 $12.7931
2024-08-12 $12.7006
2024-08-09 $12.6586
2024-08-08 $12.6164
2024-08-07 $12.5216
2024-08-06 $12.5946
2024-08-01 $12.8691
2024-07-31 $12.9701
2024-07-30 $12.8508
2024-07-29 $12.8092
2024-07-26 $12.8023
2024-07-25 $12.7153
2024-07-24 $12.7165
2024-07-23 $12.7828
2024-07-22 $12.7900
2024-07-18 $12.7486
2024-07-17 $12.8075
2024-07-16 $12.8539
2024-07-15 $12.7829
2024-07-12 $12.7733
2024-07-11 $12.7193
2024-07-10 $12.6451
2024-07-09 $12.5372
2024-07-08 $12.5732
2024-07-05 $12.5486
2024-07-04 $12.5681
2024-07-03 $12.5721
2024-07-02 $12.4727
2024-06-28 $12.4766
2024-06-27 $12.5224
2024-06-26 $12.4661
2024-06-25 $12.5028
2024-06-24 $12.5197
2024-06-21 $12.4208
2024-06-20 $12.4326
2024-06-19 $12.4293
2024-06-18 $12.4678
2024-06-17 $12.4402
2024-06-14 $12.4571
2024-06-13 $12.4666
2024-06-12 $12.5225
2024-06-11 $12.4859
2024-06-10 $12.5397
2024-06-07 $12.5252
2024-06-06 $12.6292
2024-06-05 $12.6074
2024-06-04 $12.5147
2024-06-03 $12.5239
2024-05-31 $12.5191
2024-05-30 $12.4358
2024-05-29 $12.3498
2024-05-28 $12.4991
2024-05-27 $12.5580
2024-05-24 $12.5483
2024-05-23 $12.4998
2024-05-22 $12.5600
2024-05-21 $12.6072
2024-05-17 $12.5958
2024-05-16 $12.5541
2024-05-15 $12.5293
2024-05-14 $12.4700
2024-05-13 $12.4714
2024-05-10 $12.4796
2024-05-09 $12.5111
2024-05-08 $12.4792

Portfolio Manager(s)

Jennifer Law

Senior Portfolio Manager, Canadian Equities