Overview

Daily NAV
$9.98
-0.37% ($0.04)
July 15, 2025
  • Inception Date
    October 28, 2024
  • Net Assets
    $3.82 million
  • Fund Manager 1
     Empire Life Investments Inc.
  • Secondary Fund Manager
    Vanguard Investments Canada Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER *
    2.25%
  • Asset class
    Global Fixed Income Balanced
  • Management Fee
    1.65%

Risk: Low

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 income and some long-term capital growth and are willing to accept a low level of risk.

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class L ECF12015 ECF12215 ECF12315 ECF12515
  • * 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 May 31, 2025

Sector Allocation

Colours Name Weight
Financials 22.89%
Information Technology 19.68%
Industrials 12.67%
Consumer Discretionary 8.72%
Energy 7.13%
Health Care 6.65%
Materials 6.10%
Communication Services 6.07%
Consumer Staples 5.46%
Utilities 2.89%
Real Estate 1.73%

Geographic Allocation

Colours Name Weight
Canada 59.92%
United States 20.11%
Japan 2.69%
France 2.21%
United Kingdom 1.84%
Germany 1.82%
Italy 1.26%
Spain 0.91%
Australia 0.81%
Netherlands 0.79%
Other 7.26%

Asset Allocation

Colours Name Weight
Canadian Bonds 50.64%
International Bond Funds 14.50%
U.S. Bonds 11.43%
U.S. Equity 9.33%
Canadian Equity 6.10%
International Equity 4.90%
Cash and Equivalents 2.66%
Other 0.06%

Top 10 Holdings

Name Weight
Vanguard Canadian Aggregate Bond Index ETF 45.43%
Vanguard Global ex-U.S. Aggregate Bond Index ETF (CAD-hedged) 16.23%
Vanguard US Aggregate Bond Index ETF CAD-hedged 15.73%
Vanguard US Total Market Index ETF 8.86%
Vanguard FTSE Canada All Cap Index ETF 6.16%
Vanguard FTSE Developed All Cap ex North America Index ETF 3.47%
Vanguard FTSE Emerging Markets All Cap Index ETF 1.48%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-07-15 $9.9754
2025-07-14 $10.0124
2025-07-11 $10.0142
2025-07-10 $10.0557
2025-07-09 $10.0636
2025-07-08 $10.0272
2025-07-07 $10.0389
2025-07-04 $10.0738
2025-07-03 $10.0669
2025-07-02 $10.0493
2025-06-30 $10.0851
2025-06-27 $10.0612
2025-06-26 $10.0433
2025-06-25 $10.0254
2025-06-24 $10.0556
2025-06-23 $10.0230
2025-06-20 $9.9924
2025-06-19 $9.9893
2025-06-18 $9.9899
2025-06-17 $9.9720
2025-06-16 $9.9616
2025-06-13 $9.9671
2025-06-12 $10.0121
2025-06-11 $9.9979
2025-06-10 $10.0022
2025-06-09 $9.9843
2025-06-06 $9.9787
2025-06-05 $9.9981
2025-06-04 $10.0170
2025-06-03 $9.9995
2025-06-02 $10.0038
2025-05-30 $10.0090
2025-05-29 $10.0059
2025-05-28 $9.9842
2025-05-27 $9.9959
2025-05-26 $9.9632
2025-05-23 $9.9203
2025-05-22 $9.9172
2025-05-21 $9.9030
2025-05-20 $9.9778
2025-05-16 $10.0210
2025-05-15 $10.0105
2025-05-14 $9.9517
2025-05-13 $9.9673
2025-05-12 $9.9715
2025-05-09 $9.9511
2025-05-08 $9.9332
2025-05-07 $9.9560
2025-05-06 $9.9236
2025-05-05 $9.9245
2025-05-02 $9.9302
2025-05-01 $9.9382
2025-04-30 $9.9459
2025-04-29 $9.9316
2025-04-28 $9.9025
2025-04-25 $9.8969
2025-04-24 $9.8863
2025-04-23 $9.8277
2025-04-22 $9.8135
2025-04-21 $9.7548
2025-04-17 $9.8278
2025-04-16 $9.8284
2025-04-15 $9.8478
2025-04-14 $9.8260
2025-04-11 $9.7533
2025-04-10 $9.7280
2025-04-09 $9.8290
2025-04-08 $9.7270
2025-04-04 $9.8811
2025-04-03 $9.9543
2025-04-02 $10.0436
2025-04-01 $10.0334
2025-03-31 $10.0104
2025-03-28 $9.9898
2025-03-27 $9.9844
2025-03-26 $9.9777
2025-03-25 $10.0152
2025-03-24 $10.0201
2025-03-21 $10.0218
2025-03-20 $10.0261
2025-03-19 $10.0378
2025-03-18 $9.9941
2025-03-17 $10.0058
2025-03-14 $9.9743
2025-03-13 $9.9565
2025-03-12 $9.9548
2025-03-11 $9.9692
2025-03-10 $9.9980
2025-03-07 $10.0180
2025-03-06 $9.9899
2025-03-05 $10.0642
2025-03-04 $10.0883
2025-03-03 $10.1387
2025-02-28 $10.1292
2025-02-27 $10.0858
2025-02-26 $10.1010
2025-02-25 $10.0900
2025-02-24 $10.0414
2025-02-21 $10.0469
2025-02-20 $10.0217
2025-02-19 $10.0408
2025-02-18 $10.0340
2025-02-14 $10.0664
2025-02-13 $10.0634
2025-02-12 $10.0167
2025-02-11 $10.0614
2025-02-10 $10.0801
2025-02-07 $10.0636
2025-02-06 $10.1229
2025-02-05 $10.1231
2025-02-04 $10.0936
2025-02-03 $10.0942
2025-01-31 $10.0808
2025-01-30 $10.0814
2025-01-29 $10.0302
2025-01-28 $10.0308
2025-01-27 $10.0166
2025-01-24 $9.9999
2025-01-23 $9.9820
2025-01-22 $9.9901
2025-01-21 $9.9981
2025-01-20 $10.0063
2025-01-17 $9.9740
2025-01-16 $9.9344
2025-01-15 $9.8979
2025-01-14 $9.8094
2025-01-13 $9.8249
2025-01-10 $9.8555
2025-01-09 $9.9371
2025-01-08 $9.9344
2025-01-07 $9.9348
2025-01-06 $9.9729
2025-01-03 $9.9859
2025-01-02 $9.9719
2024-12-31 $9.9723
2024-12-30 $9.9655
2024-12-27 $9.9588
2024-12-24 $9.9791
2024-12-23 $9.9686
2024-12-20 $9.9696
2024-12-19 $9.9319
2024-12-18 $9.9913
2024-12-17 $10.0656
2024-12-16 $10.0625
2024-12-13 $10.0595
2024-12-12 $10.0778
2024-12-11 $10.1189
2024-12-10 $10.1269
2024-12-09 $10.1379
2024-12-06 $10.1580
2024-12-05 $10.1069
2024-12-04 $10.1111
2024-12-03 $10.0895
2024-12-02 $10.1009
2024-11-29 $10.1092
2024-11-28 $10.0180
2024-11-27 $10.0092
2024-11-26 $9.9975
2024-11-25 $9.9760
2024-11-22 $9.9041
2024-11-21 $9.8862
2024-11-20 $9.9702
2024-11-19 $9.9904
2024-11-18 $9.9983
2024-11-15 $10.0075
2024-11-14 $9.9340
2024-11-13 $9.9277
2024-11-12 $9.9393
2024-11-11 $9.9844
2024-11-08 $9.9863
2024-11-07 $9.9601
2024-11-06 $9.9122
2024-11-05 $9.9016
2024-11-04 $9.8958
2024-11-01 $9.8891
2024-10-31 $9.9087
2024-10-30 $9.9168
2024-10-29 $9.9288
2024-10-28 $9.9256

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team