Overview

Daily NAV
$21.36
0.27% $0.06
April 2, 2026
  • Inception Date
    October 20, 2008
  • Net Assets
    $309.02 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $10,000 initial, $500 per fund
  • MER
    2.75%
  • 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 65%

Fund codes

Series Front-end load Low load * Deferred Sales Charge *
Class G ECF7088 ECF7288 ECF7588
  • * 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 February 28, 2026

Growth of $10,000

Investment value: $22,460.04 at February 27, 2026

Compound Returns 2

Series 1 mth 3 mths 6 mths YTD 1 year 3 years 5 years 10 years psi
Empire Life Moderate Growth Portfolio Fund Class G 3.36% 4.04% 8.60% 4.32% 12.80% 9.41% 6.03% 4.94% 4.77%
Series Empire Life Moderate Growth Portfolio Fund Class G
1 mth 3.36%
3 mths 4.04%
6 mths 8.60%
YTD 4.32%
1 year 12.80%
3 years 9.41%
5 years 6.03%
10 years 4.94%
psi 4.77%

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 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Empire Life Moderate Growth Portfolio Fund Class G 6.51% 5.45% -8.53% 11.26% 2.90% 9.05% -8.72% 6.54% 9.76% 10.18%
Series Empire Life Moderate Growth Portfolio Fund Class G
2016 6.51%
2017 5.45%
2018 -8.53%
2019 11.26%
2020 2.90%
2021 9.05%
2022 -8.72%
2023 6.54%
2024 9.76%
2025 10.18%

Portfolio Allocations As at February 28, 2026

Sector Allocation

Colours Name Weight
Financials 23.11%
Industrials 14.04%
Energy 13.74%
Materials 13.06%
Information Technology 12.46%
Consumer Discretionary 5.37%
Consumer Staples 5.37%
Communication Services 4.16%
Utilities 4.11%
Health Care 2.99%
Real Estate 1.61%

Asset Allocation

Colours Name Weight
Canadian Equity 42.05%
Canadian Bonds 29.67%
U.S. Equity 12.38%
International Equity 11.00%
U.S. Bonds 2.46%
Cash and Equivalents 2.41%
International Bond Funds 0.16%

Top 10 Holdings

Name Weight
Royal Bank of Canada 2.46%
Agnico Eagle Mines Limited 2.35%
Toronto-Dominion Bank 1.89%
ROYAL BK OF CAD 2.15% 02MAR26 TD 1.72%
Alimentation Couche-Tard Inc. Com 1.20%
Canadian Pacific Railway Limited 1.09%
Bank of Montreal 1.07%
Canadian Natural Resources Limited 1.07%
The Descartes Systems Group Inc. 1.00%
Franco-Nevada Corporation Com 0.99%

Underlying Fund Holdings

Name Weight
Empire Life Bond Fund 33.01%
Empire Life Canadian Equity Fund 20.12%
Empire Life Dividend Growth Fund 20.10%
Empire Life American Value Fund 9.99%
Empire Life International Equity Fund 9.76%
Empire Life Small Cap Equity Fund 5.87%
ROYAL BK OF CAD 2.15% 02MAR26 TD 1.15%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2026-04-02 $21.3647
2026-04-01 $21.3070
2026-03-31 $21.2575
2026-03-30 $20.9705
2026-03-27 $20.9384
2026-03-26 $21.0018
2026-03-25 $21.1798
2026-03-24 $20.9945
2026-03-23 $21.0058
2026-03-20 $20.8509
2026-03-19 $21.0794
2026-03-18 $21.2321
2026-03-17 $21.4600
2026-03-16 $21.3964
2026-03-13 $21.2621
2026-03-12 $21.3077
2026-03-11 $21.4545
2026-03-10 $21.5467
2026-03-09 $21.5189
2026-03-06 $21.4977
2026-03-05 $21.7157
2026-03-04 $21.8120
2026-03-03 $21.7947
2026-03-02 $22.0602
2026-02-27 $22.0324
2026-02-26 $22.0716
2026-02-25 $21.9461
2026-02-24 $21.8788
2026-02-23 $21.7778
2026-02-20 $21.8518
2026-02-19 $21.7693
2026-02-18 $21.7209
2026-02-17 $21.5805
2026-02-13 $21.6193
2026-02-12 $21.4507
2026-02-11 $21.6522
2026-02-10 $21.6259
2026-02-09 $21.5615
2026-02-06 $21.4316
2026-02-05 $21.2953
2026-02-04 $21.4781
2026-02-03 $21.3998
2026-02-02 $21.4353
2026-01-30 $21.3169
2026-01-29 $21.5656
2026-01-28 $21.6359
2026-01-27 $21.6509
2026-01-26 $21.6824
2026-01-23 $21.6673
2026-01-22 $21.6456
2026-01-21 $21.5501
2026-01-20 $21.4838
2026-01-19 $21.6621
2026-01-16 $21.6991
2026-01-15 $21.6818
2026-01-14 $21.6260
2026-01-13 $21.5755
2026-01-12 $21.6193
2026-01-09 $21.5600
2026-01-08 $21.4194
2026-01-07 $21.3320
2026-01-06 $21.4012
2026-01-05 $21.2931
2026-01-02 $21.1733
2025-12-31 $21.1207
2025-12-30 $21.1670
2025-12-29 $21.1789
2025-12-24 $21.1925
2025-12-23 $21.2038
2025-12-22 $21.1502
2025-12-19 $21.0772
2025-12-18 $20.9934
2025-12-17 $20.9030
2025-12-16 $20.9352
2025-12-15 $21.0258
2025-12-12 $21.0245
2025-12-11 $21.0905
2025-12-10 $21.0520
2025-12-09 $20.9612
2025-12-08 $20.9901
2025-12-04 $21.1913
2025-12-03 $21.1023
2025-12-02 $21.0388
2025-12-01 $21.0607
2025-11-28 $21.1762
2025-11-27 $21.1421
2025-11-26 $21.1330
2025-11-25 $21.0398
2025-11-24 $20.8825
2025-11-21 $20.7696
2025-11-20 $20.6362
2025-11-19 $20.7221
2025-11-18 $20.6706
2025-11-17 $20.7759
2025-11-14 $20.9014
2025-11-13 $20.9148
2025-11-12 $21.1014
2025-11-11 $20.9747
2025-11-10 $20.9213
2025-11-07 $20.8351
2025-11-06 $20.8583
2025-11-05 $20.9343
2025-11-04 $20.8165
2025-11-03 $21.0080
2025-10-31 $20.9807
2025-10-30 $20.9242
2025-10-29 $20.9093
2025-10-28 $21.1059
2025-10-27 $21.0990
2025-10-24 $21.0663
2025-10-23 $20.9882
2025-10-22 $20.9302
2025-10-21 $20.9270
2025-10-20 $21.0392
2025-10-17 $20.9264
2025-10-16 $20.9987
2025-10-15 $21.0702
2025-10-14 $20.9976
2025-10-10 $20.7828
2025-10-09 $20.9699
2025-10-08 $21.0478
2025-10-07 $21.0011
2025-10-06 $21.0516
2025-10-03 $21.0557
2025-10-02 $20.9606
2025-10-01 $20.9251
2025-09-30 $20.8833
2025-09-29 $20.8678
2025-09-26 $20.7864
2025-09-25 $20.7452
2025-09-24 $20.7717
2025-09-23 $20.7738
2025-09-22 $20.8206
2025-09-19 $20.7768
2025-09-18 $20.7217
2025-09-17 $20.6691
2025-09-16 $20.6723
2025-09-15 $20.7168
2025-09-12 $20.6631
2025-09-11 $20.7040
2025-09-10 $20.5904
2025-09-09 $20.5421
2025-09-08 $20.5533
2025-09-05 $20.5185
2025-09-04 $20.4301
2025-09-03 $20.3193
2025-09-02 $20.2326
2025-08-29 $20.2871
2025-08-28 $20.2674
2025-08-27 $20.2642
2025-08-26 $20.2152
2025-08-25 $20.2002
2025-08-22 $20.3034
2025-08-21 $20.1637
2025-08-20 $20.1336
2025-08-19 $20.1269
2025-08-18 $20.1127
2025-08-14 $20.1208
2025-08-13 $20.1452
2025-08-12 $20.0423
2025-08-11 $19.9932
2025-08-08 $19.9929
2025-08-07 $19.9791
2025-08-06 $20.0143
2025-08-05 $19.9797
2025-08-01 $19.8066
2025-07-31 $19.9207
2025-07-30 $19.9674
2025-07-29 $20.0419
2025-07-28 $19.9829
2025-07-25 $20.0367
2025-07-24 $19.9916
2025-07-23 $19.9880
2025-07-22 $19.9569
2025-07-21 $19.9292
2025-07-18 $19.9000
2025-07-17 $19.9317
2025-07-16 $19.8281
2025-07-15 $19.7930
2025-07-14 $19.8816
2025-07-11 $19.8546
2025-07-10 $19.9428
2025-07-09 $19.9172
2025-07-08 $19.8544
2025-07-07 $19.8639
2025-07-04 $19.9177
2025-07-03 $19.8967
2025-07-02 $19.8588
2025-06-30 $19.8593
2025-06-27 $19.7865
2025-06-26 $19.7596
2025-06-25 $19.6736
2025-06-24 $19.7696
2025-06-23 $19.6826
2025-06-20 $19.6327
2025-06-19 $19.6411
2025-06-18 $19.6568
2025-06-17 $19.6240
2025-06-16 $19.6560
2025-06-13 $19.6312
2025-06-12 $19.7354
2025-06-11 $19.6963
2025-06-10 $19.6858
2025-06-09 $19.6499
2025-06-06 $19.6569
2025-06-05 $19.6423
2025-06-04 $19.6692
2025-06-03 $19.6786
2025-06-02 $19.6617
2025-05-30 $19.6120
2025-05-29 $19.6479
2025-05-28 $19.6247
2025-05-27 $19.6391
2025-05-26 $19.4957
2025-05-23 $19.4203
2025-05-22 $19.4217
2025-05-21 $19.4204
2025-05-20 $19.5798
2025-05-16 $19.5795
2025-05-15 $19.5368
2025-05-14 $19.3953
2025-05-13 $19.4003
2025-05-12 $19.3823
2025-05-09 $19.2419
2025-05-08 $19.1681
2025-05-07 $19.1044
2025-05-06 $19.0132
2025-05-05 $19.0025
2025-05-02 $19.0319
2025-05-01 $18.9261
2025-04-30 $18.9493
2025-04-29 $18.9328
2025-04-28 $18.8660
2025-04-25 $18.8199
2025-04-24 $18.8223
2025-04-23 $18.6799
2025-04-22 $18.6064
2025-04-21 $18.4524
2025-04-17 $18.5943
2025-04-16 $18.5776
2025-04-15 $18.6018
2025-04-14 $18.5146
2025-04-11 $18.3205
2025-04-10 $18.1294
2025-04-09 $18.4058
2025-04-08 $17.9338
2025-04-04 $18.3657

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team