Overview

Daily NAV
$10.33
-1.82% ($0.19)
August 1, 2025
  • Inception Date
    October 28, 2024
  • Net Assets
    $87.11 million
  • Fund Manager 1
     Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER *
    3.36%
  • Asset class
    U.S. Equity
  • Management Fee
    2.30%

Risk: Medium

Low
Low To Moderate
Moderate
Moderate To High
High

* The MER is estimated as the fund is less than 12 months old.

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, wanting to invest mostly in U.S. stocks and are willing to accept a moderate level of risk.

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class L ECF12014 ECF12214 ECF12314 ECF12514
  • * 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

As this fund is new, this information is not available.

Portfolio Allocations As at June 30, 2025

Sector Allocation

Colours Name Weight
Information Technology 43.23%
Consumer Discretionary 16.71%
Health Care 11.30%
Financials 7.56%
Communication Services 6.73%
Energy 5.06%
Industrials 4.21%
Consumer Staples 2.61%
Materials 2.59%

Geographic Allocation

Colours Name Weight
United States 81.65%
Canada 12.69%
Taiwan 3.27%
United Kingdom 2.39%

Asset Allocation

Colours Name Weight
U.S. Equity 81.65%
Canadian Equity 6.48%
Cash and Equivalents 6.21%
International Equity 5.66%

Top 10 Holdings

Name Weight
Microsoft Corporation 6.42%
ROYAL BK OF CAD 2.65% 02JUL25 TD 6.18%
NVIDIA Corp. Com 5.67%
Cameco Corp. 4.67%
Amazon.com Inc 4.39%
Lam Research Corp. Com New 4.04%
Meta Platforms Inc. Cl A 3.43%
ServiceNow Inc. Com 3.37%
AutoZone Inc. 3.36%
TJX Companies Inc. 3.32%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-08-01 $10.3322
2025-07-31 $10.5242
2025-07-30 $10.5736
2025-07-29 $10.5572
2025-07-28 $10.5575
2025-07-25 $10.5524
2025-07-24 $10.4845
2025-07-23 $10.4511
2025-07-22 $10.3998
2025-07-21 $10.4544
2025-07-18 $10.4590
2025-07-17 $10.4889
2025-07-16 $10.4306
2025-07-15 $10.3954
2025-07-14 $10.3780
2025-07-11 $10.3463
2025-07-10 $10.3869
2025-07-09 $10.4339
2025-07-08 $10.3720
2025-07-07 $10.3812
2025-07-04 $10.4165
2025-07-03 $10.3965
2025-07-02 $10.3404
2025-06-30 $10.3882
2025-06-27 $10.3407
2025-06-26 $10.2634
2025-06-25 $10.2265
2025-06-24 $10.2341
2025-06-23 $10.0964
2025-06-20 $9.9878
2025-06-19 $10.0569
2025-06-18 $10.0280
2025-06-17 $10.0014
2025-06-16 $10.0424
2025-06-13 $9.9418
2025-06-12 $10.0916
2025-06-11 $10.1017
2025-06-10 $10.1252
2025-06-09 $10.1123
2025-06-06 $10.0796
2025-06-05 $9.9654
2025-06-04 $9.9968
2025-06-03 $9.9826
2025-06-02 $9.9051
2025-05-30 $9.8930
2025-05-29 $9.9576
2025-05-28 $9.9614
2025-05-27 $9.9444
2025-05-26 $9.7557
2025-05-23 $9.7727
2025-05-22 $9.8908
2025-05-21 $9.8539
2025-05-20 $10.0583
2025-05-16 $10.0704
2025-05-15 $10.0410
2025-05-14 $10.0088
2025-05-13 $10.0049
2025-05-12 $9.9481
2025-05-09 $9.5610
2025-05-08 $9.5733
2025-05-07 $9.4635
2025-05-06 $9.3913
2025-05-05 $9.4531
2025-05-02 $9.4503
2025-05-01 $9.3359
2025-04-30 $9.2378
2025-04-29 $9.2327
2025-04-28 $9.1730
2025-04-25 $9.1949
2025-04-24 $9.1307
2025-04-23 $8.8780
2025-04-22 $8.6845
2025-04-21 $8.4804
2025-04-17 $8.7272
2025-04-16 $8.8199
2025-04-15 $9.0260
2025-04-14 $9.0060
2025-04-11 $8.9849
2025-04-10 $8.8894
2025-04-09 $9.2779
2025-04-08 $8.4611
2025-04-04 $8.5938
2025-04-03 $8.9985
2025-04-02 $9.5389
2025-04-01 $9.4708
2025-03-31 $9.4518
2025-03-28 $9.3744
2025-03-27 $9.5948
2025-03-26 $9.5952
2025-03-25 $9.7562
2025-03-24 $9.7500
2025-03-21 $9.5977
2025-03-20 $9.5860
2025-03-19 $9.6207
2025-03-18 $9.5054
2025-03-17 $9.5995
2025-03-14 $9.5719
2025-03-13 $9.3985
2025-03-12 $9.5770
2025-03-11 $9.5043
2025-03-10 $9.4729
2025-03-07 $9.7557
2025-03-06 $9.7271
2025-03-05 $10.0444
2025-03-04 $9.9610
2025-03-03 $9.9500
2025-02-28 $10.1723
2025-02-27 $10.0529
2025-02-26 $10.2220
2025-02-25 $10.1372
2025-02-24 $10.1620
2025-02-21 $10.2302
2025-02-20 $10.4592
2025-02-19 $10.5437
2025-02-18 $10.5269
2025-02-14 $10.5099
2025-02-13 $10.5810
2025-02-12 $10.5297
2025-02-11 $10.5789
2025-02-10 $10.6296
2025-02-07 $10.5260
2025-02-06 $10.6492
2025-02-05 $10.6232
2025-02-04 $10.5778
2025-02-03 $10.6500
2025-01-31 $10.6680
2025-01-30 $10.6565
2025-01-29 $10.6308
2025-01-28 $10.6342
2025-01-27 $10.4988
2025-01-24 $10.6995
2025-01-23 $10.7953
2025-01-22 $10.7496
2025-01-21 $10.6202
2025-01-20 $10.4579
2025-01-17 $10.4987
2025-01-16 $10.3982
2025-01-15 $10.3781
2025-01-14 $10.2237
2025-01-13 $10.2730
2025-01-10 $10.2932
2025-01-09 $10.4168
2025-01-08 $10.4117
2025-01-07 $10.3620
2025-01-06 $10.5229
2025-01-03 $10.4586
2025-01-02 $10.3182
2024-12-31 $10.2679
2024-12-30 $10.3113
2024-12-27 $10.4601
2024-12-24 $10.5553
2024-12-23 $10.4930
2024-12-20 $10.4133
2024-12-19 $10.3207
2024-12-18 $10.3356
2024-12-17 $10.6167
2024-12-16 $10.6087
2024-12-13 $10.5739
2024-12-12 $10.5696
2024-12-11 $10.6496
2024-12-10 $10.5600
2024-12-09 $10.6122
2024-12-06 $10.6896
2024-12-05 $10.5674
2024-12-04 $10.6354
2024-12-03 $10.5120
2024-12-02 $10.4868
2024-11-29 $10.3536
2024-11-28 $10.3063
2024-11-27 $10.3194
2024-11-26 $10.3954
2024-11-25 $10.3013
2024-11-22 $10.2619
2024-11-21 $10.2052
2024-11-20 $10.1354
2024-11-19 $10.1325
2024-11-18 $10.1093
2024-11-15 $10.0719
2024-11-14 $10.1959
2024-11-13 $10.2117
2024-11-12 $10.2198
2024-11-11 $10.1680
2024-11-08 $10.1686
2024-11-07 $10.1302
2024-11-06 $10.0151
2024-11-05 $9.7976
2024-11-04 $9.7270
2024-11-01 $9.7805
2024-10-31 $9.7337
2024-10-30 $9.9190
2024-10-29 $9.9614
2024-10-28 $9.9234

Portfolio Manager(s)

Ashley Misquitta

Senior Portfolio Manager, U.S. & Global Equities