Overview

Daily NAV
$10.64
0.35% $0.04
September 3, 2025
  • Inception Date
    October 28, 2024
  • Net Assets
    $14.60 million
  • Fund Manager 1
     Empire Life Investments Inc.
  • Secondary Fund Manager
    Vanguard Investments Canada Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER *
    2.64%
  • Asset class
    Global Neutral Balanced
  • Management Fee
    1.65%

Risk: Low to 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 long-term growth with a moderate level of income and are willing to accept a low to medium level of risk.

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class M ECF13017 ECF13217 ECF13317 ECF13517
  • * 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 July 31, 2025

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

Portfolio Allocations As at June 30, 2025

Sector Allocation

Colours Name Weight
Financials 23.92%
Information Technology 22.18%
Industrials 9.65%
Energy 7.83%
Health Care 7.39%
Materials 7.01%
Communication Services 6.92%
Consumer Discretionary 6.09%
Consumer Staples 3.87%
Utilities 3.26%
Real Estate 1.88%

Geographic Allocation

Colours Name Weight
Canada 44.02%
United States 32.80%
Japan 3.36%
United Kingdom 2.17%
France 1.87%
Germany 1.66%
China 1.18%
Switzerland 1.10%
Australia 1.01%
India 0.93%
Other 9.26%

Asset Allocation

Colours Name Weight
U.S. Equity 27.42%
Canadian Bonds 23.12%
Canadian Equity 17.69%
International Equity 14.68%
International Bond Funds 7.32%
U.S. Bonds 6.19%
Cash and Equivalents 2.81%
Other 0.13%

Top 10 Holdings

Name Weight
Vanguard US Total Market Index ETF 27.04%
Vanguard Canadian Aggregate Bond Index ETF 21.60%
Vanguard FTSE Canada All Cap Index ETF 17.96%
Vanguard FTSE Developed All Cap ex North America Index ETF 10.55%
Vanguard Global ex-U.S. Aggregate Bond Index ETF (CAD-hedged) 7.81%
Vanguard US Aggregate Bond Index ETF CAD-hedged 7.71%
Vanguard FTSE Emerging Markets All Cap Index ETF 4.26%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-09-03 $10.6413
2025-09-02 $10.6041
2025-08-29 $10.6358
2025-08-28 $10.6512
2025-08-27 $10.6432
2025-08-26 $10.6468
2025-08-25 $10.6388
2025-08-22 $10.6645
2025-08-21 $10.5864
2025-08-20 $10.5958
2025-08-19 $10.5908
2025-08-18 $10.5857
2025-08-14 $10.6090
2025-08-13 $10.6156
2025-08-12 $10.5752
2025-08-11 $10.5290
2025-08-08 $10.5370
2025-08-07 $10.5097
2025-08-06 $10.5104
2025-08-05 $10.4701
2025-08-01 $10.3908
2025-07-31 $10.4564
2025-07-30 $10.4806
2025-07-29 $10.4930
2025-07-28 $10.4674
2025-07-25 $10.4841
2025-07-24 $10.4381
2025-07-23 $10.4359
2025-07-22 $10.4014
2025-07-21 $10.4080
2025-07-18 $10.3991
2025-07-17 $10.4167
2025-07-16 $10.3558
2025-07-15 $10.3421
2025-07-14 $10.3802
2025-07-11 $10.3627
2025-07-10 $10.4006
2025-07-09 $10.3953
2025-07-08 $10.3559
2025-07-07 $10.3568
2025-07-04 $10.3906
2025-07-03 $10.3825
2025-07-02 $10.3512
2025-06-30 $10.3528
2025-06-27 $10.3461
2025-06-26 $10.3089
2025-06-25 $10.2806
2025-06-24 $10.2986
2025-06-23 $10.2439
2025-06-20 $10.1963
2025-06-19 $10.2244
2025-06-18 $10.1978
2025-06-17 $10.1717
2025-06-16 $10.1903
2025-06-13 $10.1601
2025-06-12 $10.2417
2025-06-11 $10.2337
2025-06-10 $10.2344
2025-06-09 $10.2031
2025-06-06 $10.2110
2025-06-05 $10.1597
2025-06-04 $10.1929
2025-06-03 $10.1906
2025-06-02 $10.1814
2025-05-30 $10.1607
2025-05-29 $10.1878
2025-05-28 $10.1799
2025-05-27 $10.1975
2025-05-26 $10.1460
2025-05-23 $10.0598
2025-05-22 $10.0953
2025-05-21 $10.0992
2025-05-20 $10.2053
2025-05-16 $10.2317
2025-05-15 $10.2030
2025-05-14 $10.1507
2025-05-13 $10.1428
2025-05-12 $10.1318
2025-05-09 $10.0075
2025-05-08 $9.9877
2025-05-07 $9.9619
2025-05-06 $9.9184
2025-05-05 $9.9485
2025-05-02 $9.9651
2025-05-01 $9.8983
2025-04-30 $9.8806
2025-04-29 $9.8930
2025-04-28 $9.8523
2025-04-25 $9.8454
2025-04-24 $9.8255
2025-04-23 $9.7318
2025-04-22 $9.6557
2025-04-21 $9.5405
2025-04-17 $9.6429
2025-04-16 $9.6258
2025-04-15 $9.7063
2025-04-14 $9.6625
2025-04-11 $9.5828
2025-04-10 $9.4954
2025-04-09 $9.7225
2025-04-08 $9.3607
2025-04-04 $9.5403
2025-04-03 $9.8078
2025-04-02 $10.1009
2025-04-01 $10.0490
2025-03-31 $10.0469
2025-03-28 $9.9967
2025-03-27 $10.0815
2025-03-26 $10.0793
2025-03-25 $10.1447
2025-03-24 $10.1512
2025-03-21 $10.0979
2025-03-20 $10.1047
2025-03-19 $10.1316
2025-03-18 $10.0504
2025-03-17 $10.0833
2025-03-14 $10.0470
2025-03-13 $9.9606
2025-03-12 $9.9980
2025-03-11 $9.9946
2025-03-10 $10.0318
2025-03-07 $10.1504
2025-03-06 $10.0762
2025-03-05 $10.1932
2025-03-04 $10.1613
2025-03-03 $10.2492
2025-02-28 $10.2858
2025-02-27 $10.2169
2025-02-26 $10.2613
2025-02-25 $10.2381
2025-02-24 $10.2012
2025-02-21 $10.2185
2025-02-20 $10.2598
2025-02-19 $10.2972
2025-02-18 $10.2894
2025-02-14 $10.2801
2025-02-13 $10.2903
2025-02-12 $10.2468
2025-02-11 $10.2759
2025-02-10 $10.2914
2025-02-07 $10.2435
2025-02-06 $10.3128
2025-02-05 $10.3104
2025-02-04 $10.2588
2025-02-03 $10.2830
2025-01-31 $10.3231
2025-01-30 $10.3433
2025-01-29 $10.2596
2025-01-28 $10.2569
2025-01-27 $10.2169
2025-01-24 $10.2512
2025-01-23 $10.2490
2025-01-22 $10.2292
2025-01-21 $10.2151
2025-01-20 $10.1928
2025-01-17 $10.1761
2025-01-16 $10.1010
2025-01-15 $10.0653
2025-01-14 $9.9602
2025-01-13 $9.9638
2025-01-10 $10.0028
2025-01-09 $10.1123
2025-01-08 $10.0974
2025-01-07 $10.0904
2025-01-06 $10.1330
2025-01-03 $10.1493
2025-01-02 $10.0886
2024-12-31 $10.0871
2024-12-30 $10.0762
2024-12-27 $10.1351
2024-12-24 $10.1544
2024-12-23 $10.1217
2024-12-20 $10.0832
2024-12-19 $10.0450
2024-12-18 $10.1112
2024-12-17 $10.2355
2024-12-16 $10.2306
2024-12-13 $10.2307
2024-12-12 $10.2448
2024-12-11 $10.2881
2024-12-10 $10.2598
2024-12-09 $10.2957
2024-12-06 $10.3145
2024-12-05 $10.2480
2024-12-04 $10.2626
2024-12-03 $10.2334
2024-12-02 $10.2291
2024-11-29 $10.2244
2024-11-28 $10.1730
2024-11-27 $10.1386
2024-11-26 $10.1422
2024-11-25 $10.1113
2024-11-22 $10.0695
2024-11-21 $10.0372
2024-11-20 $10.0137
2024-11-19 $10.0128
2024-11-18 $10.0211
2024-11-15 $10.0208
2024-11-14 $10.0625
2024-11-13 $10.0576
2024-11-12 $10.0540
2024-11-11 $10.0983
2024-11-08 $10.0884
2024-11-07 $10.0802
2024-11-06 $10.0193
2024-11-05 $9.9312
2024-11-04 $9.9016
2024-11-01 $9.9078
2024-10-31 $9.8912
2024-10-30 $9.9519
2024-10-29 $9.9852
2024-10-28 $9.9711

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team