Overview

Daily NAV
$42.96
1.03% $0.44
May 20, 2025
  • Inception Date
    January 15, 1998
  • Net Assets
    $93.18 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $500 initial, $30 per fund
  • MER
    2.73%
  • Asset class
    Canadian Small/Mid Cap Equity

Risk: Medium to High

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 by investing primarily in Canadian small cap equity securities

Fund codes

Series Deferred Sales Charge No load
Class A ECF0555 ECF0755
  • * 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: $40,996.10 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 Small Cap Equity GIF Class A -3.42% -5.71% -8.35% -7.25% 2.95% 1.70% 11.89% 3.08% 5.31%
Series Empire Life Small Cap Equity GIF Class A
1 mth -3.42%
3 mths -5.71%
6 mths -8.35%
YTD -7.25%
1 year 2.95%
3 years 1.70%
5 years 11.89%
10 years 3.08%
psi 5.31%

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 Small Cap Equity GIF Class A -1.10% 14.38% 6.52% -23.14% 11.32% 13.59% 19.70% -7.99% 3.56% 12.77%
Series Empire Life Small Cap Equity GIF Class A
2015 -1.10%
2016 14.38%
2017 6.52%
2018 -23.14%
2019 11.32%
2020 13.59%
2021 19.70%
2022 -7.99%
2023 3.56%
2024 12.77%

Portfolio Allocations As at March 31, 2025

Sector Allocation

Colours Name Weight
Materials 29.61%
Energy 21.93%
Utilities 10.56%
Information Technology 10.20%
Industrials 8.01%
Consumer Staples 6.43%
Financials 5.24%
Real Estate 4.77%
Consumer Discretionary 3.26%

Asset Allocation

Colours Name Weight
Canadian Equity 93.08%
U.S. Equity 2.92%
Cash and Equivalents 2.20%
International Equity 1.80%

Top 10 Holdings

Name Weight
WESTAIM CORP/THE 4.05%
G Mining Ventures Corp. Com 4.02%
Premium Brands Holdings Corporation 3.59%
Hudbay Minerals Inc. 3.29%
Boralex Inc. 3.28%
Polaris Infrastructure Inc. 3.27%
CCL Industries Inc. 'B' 3.23%
The Descartes Systems Group Inc. 3.20%
Kelt Exploration Ltd.. 3.13%
D2L Inc. Sub Vtg Shs 2.95%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-20 $42.9619
2025-05-16 $42.5223
2025-05-15 $42.3864
2025-05-14 $42.4063
2025-05-13 $42.6942
2025-05-12 $42.4066
2025-05-09 $41.7801
2025-05-08 $41.6049
2025-05-07 $41.0133
2025-05-06 $40.4935
2025-05-05 $40.1923
2025-05-02 $40.4459
2025-05-01 $40.1284
2025-04-30 $40.2225
2025-04-29 $40.4937
2025-04-28 $40.5651
2025-04-25 $40.5190
2025-04-24 $40.4807
2025-04-23 $39.9468
2025-04-22 $39.5338
2025-04-21 $39.4310
2025-04-17 $39.8756
2025-04-16 $39.8335
2025-04-15 $39.5548
2025-04-14 $39.3431
2025-04-11 $38.8371
2025-04-10 $37.9787
2025-04-09 $39.1699
2025-04-08 $36.4949
2025-04-04 $37.4979
2025-04-03 $40.0555
2025-04-02 $41.9478
2025-04-01 $41.7662
2025-03-31 $41.6469
2025-03-28 $41.7593
2025-03-27 $42.6270
2025-03-26 $42.4181
2025-03-25 $42.9355
2025-03-24 $42.7864
2025-03-21 $42.6335
2025-03-20 $42.8657
2025-03-19 $42.7794
2025-03-18 $42.2337
2025-03-17 $42.0015
2025-03-14 $41.2358
2025-03-13 $40.7141
2025-03-12 $40.9756
2025-03-11 $40.3934
2025-03-10 $39.9671
2025-03-07 $41.2603
2025-03-06 $41.1407
2025-03-05 $42.0035
2025-03-04 $41.1289
2025-03-03 $41.5760
2025-02-28 $42.4333
2025-02-27 $42.5204
2025-02-26 $42.9796
2025-02-25 $42.5301
2025-02-24 $42.4372
2025-02-21 $42.4671
2025-02-20 $43.0719
2025-02-19 $43.0549
2025-02-18 $43.3852
2025-02-14 $43.3183
2025-02-13 $43.6404
2025-02-12 $43.5258
2025-02-11 $43.4398
2025-02-10 $43.5562
2025-02-07 $43.2558
2025-02-06 $43.1409
2025-02-05 $43.5576
2025-02-04 $42.9133
2025-02-03 $42.1846
2025-01-31 $42.6582
2025-01-30 $43.2142
2025-01-29 $42.8551
2025-01-28 $42.8640
2025-01-27 $42.9545
2025-01-24 $43.8274
2025-01-23 $43.8660
2025-01-22 $43.7156
2025-01-21 $43.4624
2025-01-20 $43.5340
2025-01-17 $43.2183
2025-01-16 $43.0393
2025-01-15 $43.0769
2025-01-14 $42.8153
2025-01-13 $42.6588
2025-01-10 $43.2162
2025-01-09 $43.8158
2025-01-08 $43.6464
2025-01-07 $43.5513
2025-01-06 $43.7827
2025-01-03 $44.0334
2025-01-02 $44.0694
2024-12-31 $43.3682
2024-12-30 $42.9156
2024-12-27 $43.2135
2024-12-24 $43.3793
2024-12-23 $43.2381
2024-12-20 $43.0420
2024-12-19 $42.6830
2024-12-18 $42.9449
2024-12-17 $43.9044
2024-12-16 $43.8973
2024-12-13 $44.0850
2024-12-12 $44.5845
2024-12-11 $45.0860
2024-12-10 $44.7325
2024-12-09 $44.8311
2024-12-06 $44.7121
2024-12-05 $45.0135
2024-12-04 $44.7220
2024-12-03 $44.8813
2024-12-02 $44.4234
2024-11-29 $44.8679
2024-11-28 $44.4863
2024-11-27 $44.3673
2024-11-26 $44.1426
2024-11-25 $44.3883
2024-11-22 $44.6792
2024-11-21 $44.3472
2024-11-20 $44.0116
2024-11-19 $43.8282
2024-11-18 $43.7058
2024-11-15 $43.3295
2024-11-14 $43.4948
2024-11-13 $43.6726
2024-11-12 $43.9119
2024-11-11 $44.0919
2024-11-08 $44.6763
2024-11-07 $44.9592
2024-11-06 $44.2463
2024-11-05 $44.4752
2024-11-04 $44.1648
2024-11-01 $44.0658
2024-10-31 $43.8888
2024-10-30 $44.6484
2024-10-29 $44.5244
2024-10-28 $44.6746
2024-10-25 $44.9263
2024-10-24 $44.7699
2024-10-22 $45.3831
2024-10-21 $45.4497
2024-10-18 $45.4902
2024-10-16 $44.6850
2024-10-15 $44.3475
2024-10-11 $44.4886
2024-10-10 $44.1025
2024-10-09 $43.7157
2024-10-08 $43.4824
2024-10-07 $43.7082
2024-10-04 $43.9296
2024-10-03 $43.6454
2024-10-02 $43.7312
2024-10-01 $43.7703
2024-09-30 $43.5338
2024-09-27 $43.4593
2024-09-26 $43.6859
2024-09-25 $43.1921
2024-09-24 $43.2718
2024-09-23 $42.6975
2024-09-20 $42.5391
2024-09-19 $42.4969
2024-09-18 $41.8011
2024-09-17 $41.9554
2024-09-16 $41.8018
2024-09-13 $41.7001
2024-09-12 $41.3386
2024-09-11 $40.5197
2024-09-10 $40.0313
2024-09-09 $39.8669
2024-09-06 $39.5640
2024-09-05 $40.3120
2024-09-04 $40.3952
2024-09-03 $40.3778
2024-08-30 $41.7391
2024-08-29 $41.5496
2024-08-28 $41.3628
2024-08-27 $41.8604
2024-08-26 $42.1772
2024-08-23 $42.0118
2024-08-22 $41.5480
2024-08-21 $41.9546
2024-08-20 $41.7038
2024-08-19 $41.9092
2024-08-16 $41.8595
2024-08-15 $41.9274
2024-08-13 $41.1244
2024-08-12 $40.8957
2024-08-09 $40.3773
2024-08-08 $40.4509
2024-08-07 $39.7115
2024-08-06 $40.1339
2024-08-01 $42.0891
2024-07-31 $42.8709
2024-07-30 $42.2538
2024-07-29 $42.0802
2024-07-26 $42.2004
2024-07-25 $41.8233
2024-07-24 $41.9361
2024-07-23 $42.5540
2024-07-22 $42.5697
2024-07-18 $41.5082
2024-07-17 $41.8646
2024-07-16 $42.4344
2024-07-15 $42.2189
2024-07-12 $42.1839
2024-07-11 $41.8465
2024-07-10 $41.6176
2024-07-09 $41.2026
2024-07-08 $41.5148
2024-07-05 $41.4157
2024-07-04 $41.7411
2024-07-03 $41.5633
2024-07-02 $41.1436
2024-06-28 $41.1347
2024-06-27 $41.2551
2024-06-26 $40.6746
2024-06-25 $40.3403
2024-06-24 $40.6787
2024-06-21 $40.1996
2024-06-20 $40.3792
2024-06-19 $40.3031
2024-06-18 $40.3287
2024-06-17 $40.2807
2024-06-14 $40.4672
2024-06-13 $40.6394
2024-06-12 $40.9145
2024-06-11 $40.8216
2024-06-10 $41.0164
2024-06-07 $40.6374
2024-06-06 $41.0699
2024-06-05 $40.7944
2024-06-04 $40.2226
2024-06-03 $39.7499
2024-05-31 $40.2042
2024-05-30 $39.9603
2024-05-29 $39.9411
2024-05-28 $40.3498
2024-05-27 $40.2102
2024-05-24 $40.1194
2024-05-23 $39.7522
2024-05-22 $40.1992
2024-05-21 $40.6707

Portfolio Manager(s)

Jennifer Law

Senior Portfolio Manager, Canadian Equities

Empire Life Investment Team

Empire Life Investment Team