Overview

Daily NAV
$38.29
-0.39% ($0.15)
July 15, 2025
  • Inception Date
    September 5, 2006
  • Net Assets
    $60.90 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $500 per fund
  • MER
    3.05%
  • Asset class
    U.S. Equity

Risk: 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 within a tax sheltered account by investing primarily in S&P 500 futures contracts or exchange traded funds to track the performance of the S&P 500 index

Fund codes

Series Front-end load Low load * Deferred Sales Charge *
Class C ECF3065 ECF3265 ECF3565
  • * 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 June 30, 2025

Growth of $10,000

Investment value: $32,553.34 at June 30, 2025

Compound Returns 2

Series 1 mth 3 mths 6 mths YTD 1 year 3 years 5 years 10 years psi
Empire Life U.S. Equity Index Fund Class C 4.66% 9.18% 3.10% 3.10% 10.35% 15.28% 12.08% 9.36% 6.47%
Series Empire Life U.S. Equity Index Fund Class C
1 mth 4.66%
3 mths 9.18%
6 mths 3.10%
YTD 3.10%
1 year 10.35%
3 years 15.28%
5 years 12.08%
10 years 9.36%
psi 6.47%

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 U.S. Equity Index Fund Class C -1.52% 8.57% 17.15% -8.23% 26.61% 12.07% 24.08% -20.89% 21.02% 22.14%
Series Empire Life U.S. Equity Index Fund Class C
2015 -1.52%
2016 8.57%
2017 17.15%
2018 -8.23%
2019 26.61%
2020 12.07%
2021 24.08%
2022 -20.89%
2023 21.02%
2024 22.14%

Portfolio Allocations As at June 30, 2025

Asset Allocation

Colours Name Weight
Cash and Equivalents 63.84%
Canadian Bonds 36.16%

Top 10 Holdings

Name Weight
CDN TREASURY BILL 28JAN26 TBILL 13.32%
ROYAL BK OF CAD 2.65% 02JUL25 TD 6.78%
LAKESHORE TRUST 02JUL25 DN 5.07%
ONTARIO POWER GEN 26NOV25 DN 5.01%
MANULIFE BANK 07AUG25 BDN 3.37%
MUNI FIN AUTH BC 27AUG25 DN 3.37%
MANULIFE BANK 12NOV25 BDN 3.35%
ONTARIO POWER GEN 19NOV25 DN 3.34%
VANCOUVER SAVING CU 14JUL25 BDN 2.53%
FED DES CAISSES DESJ 22JUL25 BDN 2.53%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-07-15 $38.2895
2025-07-14 $38.4398
2025-07-11 $38.3785
2025-07-10 $38.5255
2025-07-09 $38.4235
2025-07-08 $38.2006
2025-07-07 $38.2055
2025-07-04 $38.4857
2025-07-03 $38.4730
2025-07-02 $38.1929
2025-06-30 $38.0656
2025-06-27 $37.8880
2025-06-26 $37.7022
2025-06-25 $37.4474
2025-06-24 $37.4289
2025-06-23 $37.0173
2025-06-20 $36.6498
2025-06-19 $36.7523
2025-06-18 $36.7343
2025-06-17 $36.7270
2025-06-16 $37.0253
2025-06-13 $36.6923
2025-06-12 $37.1270
2025-06-11 $37.0236
2025-06-10 $37.1249
2025-06-09 $36.9145
2025-06-06 $36.8962
2025-06-05 $36.5127
2025-06-04 $36.7303
2025-06-03 $36.7448
2025-06-02 $36.5313
2025-05-30 $36.3699
2025-05-29 $36.4314
2025-05-28 $36.3090
2025-05-27 $36.4844
2025-05-26 $35.7563
2025-05-23 $35.7639
2025-05-22 $36.0422
2025-05-21 $36.0618
2025-05-20 $36.7024
2025-05-16 $36.8133
2025-05-15 $36.5557
2025-05-14 $36.3897
2025-05-13 $36.3720
2025-05-12 $36.1312
2025-05-09 $34.9513
2025-05-08 $34.9851
2025-05-07 $34.7587
2025-05-06 $34.6008
2025-05-05 $34.8872
2025-05-02 $35.1055
2025-05-01 $34.5942
2025-04-30 $34.3662
2025-04-29 $34.3557
2025-04-28 $34.1619
2025-04-25 $34.1471
2025-04-24 $33.9134
2025-04-23 $33.2383
2025-04-22 $32.7050
2025-04-21 $31.9111
2025-04-17 $32.6942
2025-04-16 $32.6518
2025-04-15 $33.3995
2025-04-14 $33.4710
2025-04-11 $33.1749
2025-04-10 $32.6494
2025-04-09 $33.8532
2025-04-08 $30.9270
2025-04-04 $31.4836
2025-04-03 $33.4929
2025-04-02 $35.2258
2025-04-01 $34.9932
2025-03-31 $34.8645
2025-03-28 $34.6675
2025-03-27 $35.3964
2025-03-26 $35.5151
2025-03-25 $35.9398
2025-03-24 $35.8690
2025-03-21 $35.2698
2025-03-20 $35.2325
2025-03-19 $35.3386
2025-03-18 $34.9599
2025-03-17 $35.3507
2025-03-14 $35.1101
2025-03-13 $34.3992
2025-03-12 $34.8890
2025-03-11 $34.7173
2025-03-10 $34.9917
2025-03-07 $35.9593
2025-03-06 $35.7598
2025-03-05 $36.4320
2025-03-04 $36.0554
2025-03-03 $36.4895
2025-02-28 $37.1358
2025-02-27 $36.5917
2025-02-26 $37.1689
2025-02-25 $37.1515
2025-02-24 $37.3293
2025-02-21 $37.4950
2025-02-20 $38.1554
2025-02-19 $38.3289
2025-02-18 $38.2182
2025-02-14 $38.1200
2025-02-13 $38.1565
2025-02-12 $37.7903
2025-02-11 $37.9162
2025-02-10 $37.8964
2025-02-07 $37.6486
2025-02-06 $38.0027
2025-02-05 $37.8711
2025-02-04 $37.7226
2025-02-03 $37.5821
2025-01-31 $37.8235
2025-01-30 $37.9896
2025-01-29 $37.8054
2025-01-28 $37.9670
2025-01-27 $37.6457
2025-01-24 $38.1584
2025-01-23 $38.3013
2025-01-22 $38.1017
2025-01-21 $37.8739
2025-01-20 $37.5386
2025-01-17 $37.5643
2025-01-16 $37.1928
2025-01-15 $37.2561
2025-01-14 $36.5889
2025-01-13 $36.5653
2025-01-10 $36.5119
2025-01-09 $37.0876
2025-01-08 $37.0810
2025-01-07 $37.0297
2025-01-06 $37.4521
2025-01-03 $37.2883
2025-01-02 $36.8205
2024-12-31 $36.9227
2024-12-30 $37.0682
2024-12-27 $37.5057
2024-12-24 $37.9342
2024-12-23 $37.5582
2024-12-20 $37.3207
2024-12-19 $36.8945
2024-12-18 $36.9147
2024-12-17 $38.0751
2024-12-16 $38.2027
2024-12-13 $38.0352
2024-12-12 $38.0399
2024-12-11 $38.2200
2024-12-10 $37.9368
2024-12-09 $38.0325
2024-12-06 $38.2531
2024-12-05 $38.1347
2024-12-04 $38.2107
2024-12-03 $37.9811
2024-12-02 $37.9791
2024-11-29 $37.8712
2024-11-28 $37.6427
2024-11-27 $37.6493
2024-11-26 $37.8112
2024-11-25 $37.5762
2024-11-22 $37.4456
2024-11-21 $37.3258
2024-11-20 $37.1428
2024-11-19 $37.1358
2024-11-18 $37.0468
2024-11-15 $36.9074
2024-11-14 $37.3944
2024-11-13 $37.6122
2024-11-12 $37.5778
2024-11-11 $37.6910
2024-11-08 $37.6308
2024-11-07 $37.4807
2024-11-06 $37.2180
2024-11-05 $36.2716
2024-11-04 $35.8476
2024-11-01 $35.9513
2024-10-31 $35.8303
2024-10-30 $36.5347
2024-10-29 $36.6519
2024-10-28 $36.5884
2024-10-25 $36.4721
2024-10-24 $36.4834
2024-10-22 $36.7430
2024-10-21 $36.7714
2024-10-18 $36.8178
2024-10-16 $36.6834
2024-10-15 $36.5368
2024-10-11 $36.5019
2024-10-10 $36.2997
2024-10-09 $36.3513
2024-10-08 $36.0833
2024-10-07 $35.7105
2024-10-04 $36.0429
2024-10-03 $35.7114
2024-10-02 $35.7539
2024-10-01 $35.7567
2024-09-30 $36.0981
2024-09-27 $35.9411
2024-09-26 $36.0168
2024-09-25 $35.8527
2024-09-24 $35.9382
2024-09-23 $35.8499
2024-09-20 $35.7814
2024-09-19 $35.8817
2024-09-18 $35.2682
2024-09-17 $35.3933
2024-09-16 $35.3863
2024-09-13 $35.3262
2024-09-12 $35.1572
2024-09-11 $34.9022
2024-09-10 $34.5392
2024-09-09 $34.3735
2024-09-06 $33.9872
2024-09-05 $34.5602
2024-09-04 $34.6660
2024-09-03 $34.7485
2024-08-30 $35.4644
2024-08-29 $35.1451
2024-08-28 $35.1384
2024-08-27 $35.3514
2024-08-26 $35.3066
2024-08-23 $35.4140
2024-08-22 $35.0709
2024-08-21 $35.3673
2024-08-20 $35.2385
2024-08-19 $35.3065
2024-08-16 $34.9974
2024-08-15 $34.9239
2024-08-13 $34.2239
2024-08-12 $33.6697
2024-08-09 $33.6618
2024-08-08 $33.5396
2024-08-07 $32.7615
2024-08-06 $33.0598
2024-08-01 $34.4326
2024-07-31 $34.9030
2024-07-30 $34.3871
2024-07-29 $34.5847
2024-07-26 $34.5406
2024-07-25 $34.1531
2024-07-24 $34.3246
2024-07-23 $35.1129
2024-07-22 $35.1751
2024-07-18 $35.0002
2024-07-17 $35.2800
2024-07-16 $35.7794

Portfolio Manager(s)

Ian Fung

Portfolio Manager, Fixed Income

Empire Life Investment Team

Empire Life Investment Team