Overview

Daily NAV
$48.36
-0.02% ($0.01)
July 18, 2025
  • Inception Date
    December 31, 1987
  • Net Assets
    $637.26 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $500 initial, $30 per fund
  • MER
    2.31%
  • Asset class
    Canadian Fixed Income

Risk: Low

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 income by investing primarily in Canadian investment grade fixed income securities

Fund codes

Series Deferred Sales Charge No load
Class A ECF0520 ECF0720
  • * 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: $46,363.94 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 Bond GIF Class A -0.03% -0.86% 0.49% 0.49% 4.24% 2.48% -1.79% 0.14% 4.18%
Series Empire Life Bond GIF Class A
1 mth -0.03%
3 mths -0.86%
6 mths 0.49%
YTD 0.49%
1 year 4.24%
3 years 2.48%
5 years -1.79%
10 years 0.14%
psi 4.18%

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 Bond GIF Class A 1.38% 0.76% 1.16% -1.80% 5.21% 6.45% -4.09% -12.60% 4.70% 2.80%
Series Empire Life Bond GIF Class A
2015 1.38%
2016 0.76%
2017 1.16%
2018 -1.80%
2019 5.21%
2020 6.45%
2021 -4.09%
2022 -12.60%
2023 4.70%
2024 2.80%

Portfolio Allocations As at June 30, 2025

Asset Allocation

Colours Name Weight
Canadian Bonds 91.48%
U.S. Bonds 6.82%
Cash and Equivalents 0.99%
Canadian Equity 0.79%
International Bond Funds 0.30%
International Equity 0.00%

Bond Type

Colours Name Weight
Investment Grade Corporate 49.20%
Federal Government 20.72%
Provincial Government 20.16%
Floating Rate 6.99%
High Yield Corporate 2.39%
Convertible Bonds 0.31%
Preferred Shares 0.23%

Top 10 Holdings

Name Weight
Gov. of Canada, 2.75%, 12/1/2055 3.15%
Province of Quebec 3.500% December 1, 2045 1.51%
Province of Ontario, 4.6%, 6/2/2039 1.17%
Gov. of Canada, 2%, 6/1/2032 1.16%
CPPIB CAPITAL INC 3.35% 02DEC30 1.04%
Government of Canada 2.750% December 1, 2048 1.03%
Province of Ontario, 3.8%, 12/2/2034 1.01%
Pembina Pipeline Corp., 3.53%, 12/10/2031 0.96%
CANADIAN GOVERNMENT BOND 2.75% 01SEP30 0.94%
Province of New Brunswick 3.550% June 3, 2043 0.93%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-07-18 $48.3559
2025-07-17 $48.3655
2025-07-16 $48.3462
2025-07-15 $48.2767
2025-07-14 $48.5235
2025-07-11 $48.5683
2025-07-10 $48.8678
2025-07-09 $48.9575
2025-07-08 $48.7777
2025-07-07 $48.8450
2025-07-04 $49.0089
2025-07-03 $48.9077
2025-07-02 $48.9894
2025-06-30 $49.2385
2025-06-27 $49.0906
2025-06-26 $49.0382
2025-06-25 $48.9595
2025-06-24 $49.1270
2025-06-23 $49.1018
2025-06-20 $49.0046
2025-06-19 $48.9083
2025-06-18 $48.8857
2025-06-17 $48.7588
2025-06-16 $48.6766
2025-06-13 $48.7653
2025-06-12 $48.9037
2025-06-11 $48.8835
2025-06-10 $48.8970
2025-06-09 $48.8226
2025-06-06 $48.8942
2025-06-05 $49.1642
2025-06-04 $49.1964
2025-06-03 $49.0711
2025-06-02 $49.1829
2025-05-30 $49.2509
2025-05-29 $49.2730
2025-05-28 $49.0459
2025-05-27 $49.0097
2025-05-26 $48.7889
2025-05-23 $48.7130
2025-05-22 $48.6247
2025-05-21 $48.5499
2025-05-20 $48.8186
2025-05-16 $49.1859
2025-05-15 $49.1927
2025-05-14 $48.8974
2025-05-13 $49.0048
2025-05-12 $49.0241
2025-05-09 $49.1090
2025-05-08 $48.9521
2025-05-07 $49.2181
2025-05-06 $49.0175
2025-05-05 $48.9439
2025-05-02 $48.9361
2025-05-01 $49.1297
2025-04-30 $49.2163
2025-04-29 $49.0626
2025-04-28 $48.9285
2025-04-25 $48.8689
2025-04-24 $48.8321
2025-04-23 $48.6782
2025-04-22 $48.7488
2025-04-21 $48.5935
2025-04-17 $48.9484
2025-04-16 $49.0787
2025-04-15 $48.9757
2025-04-14 $48.9265
2025-04-11 $48.4678
2025-04-10 $48.5920
2025-04-09 $48.7974
2025-04-08 $49.0074
2025-04-04 $49.7333
2025-04-03 $49.6777
2025-04-02 $49.7958
2025-04-01 $49.8387
2025-03-31 $49.6657
2025-03-28 $49.5173
2025-03-27 $49.3017
2025-03-26 $49.2130
2025-03-25 $49.4130
2025-03-24 $49.4295
2025-03-21 $49.5763
2025-03-20 $49.5881
2025-03-19 $49.6140
2025-03-18 $49.5019
2025-03-17 $49.5057
2025-03-14 $49.3626
2025-03-13 $49.4197
2025-03-12 $49.3334
2025-03-11 $49.5363
2025-03-10 $49.6169
2025-03-07 $49.4968
2025-03-06 $49.3622
2025-03-05 $49.7586
2025-03-04 $50.0528
2025-03-03 $50.2316
2025-02-28 $49.9600
2025-02-27 $49.7479
2025-02-26 $49.7265
2025-02-25 $49.7212
2025-02-24 $49.4437
2025-02-21 $49.3629
2025-02-20 $49.0157
2025-02-19 $49.1423
2025-02-18 $49.1176
2025-02-14 $49.4005
2025-02-13 $49.3722
2025-02-12 $49.1174
2025-02-11 $49.3731
2025-02-10 $49.5015
2025-02-07 $49.4757
2025-02-06 $49.8586
2025-02-05 $49.9189
2025-02-04 $49.7496
2025-02-03 $49.7655
2025-01-31 $49.4866
2025-01-30 $49.3720
2025-01-29 $49.1491
2025-01-28 $49.0967
2025-01-27 $49.1089
2025-01-24 $48.8700
2025-01-23 $48.7049
2025-01-22 $48.7713
2025-01-21 $48.9520
2025-01-20 $48.8640
2025-01-17 $48.7821
2025-01-16 $48.6593
2025-01-15 $48.3985
2025-01-14 $48.0023
2025-01-13 $48.1300
2025-01-10 $48.3089
2025-01-09 $48.6241
2025-01-08 $48.7347
2025-01-07 $48.7818
2025-01-06 $48.9766
2025-01-03 $48.9670
2025-01-02 $49.0266
2024-12-31 $48.9994
2024-12-30 $48.9456
2024-12-27 $48.7412
2024-12-24 $48.7605
2024-12-23 $48.8120
2024-12-20 $48.8421
2024-12-19 $48.6604
2024-12-18 $49.0529
2024-12-17 $49.2741
2024-12-16 $49.1538
2024-12-13 $49.1623
2024-12-12 $49.2459
2024-12-11 $49.4180
2024-12-10 $49.5589
2024-12-09 $49.5446
2024-12-06 $49.6944
2024-12-05 $49.4168
2024-12-04 $49.4231
2024-12-03 $49.2612
2024-12-02 $49.4595
2024-11-29 $49.4329
2024-11-28 $48.9175
2024-11-27 $48.8491
2024-11-26 $48.7217
2024-11-25 $48.6035
2024-11-22 $48.1564
2024-11-21 $48.0204
2024-11-20 $48.2680
2024-11-19 $48.4473
2024-11-18 $48.6326
2024-11-15 $48.6663
2024-11-14 $48.6682
2024-11-13 $48.5823
2024-11-12 $48.7576
2024-11-11 $48.9951
2024-11-08 $48.9928
2024-11-07 $48.8670
2024-11-06 $48.5043
2024-11-05 $48.6452
2024-11-04 $48.6509
2024-11-01 $48.4864
2024-10-31 $48.6647
2024-10-30 $48.5249
2024-10-29 $48.4766
2024-10-28 $48.4244
2024-10-25 $48.4055
2024-10-24 $48.4745
2024-10-22 $48.4798
2024-10-21 $48.4529
2024-10-18 $48.7625
2024-10-16 $48.8761
2024-10-15 $48.7404
2024-10-11 $48.4703
2024-10-10 $48.4058
2024-10-09 $48.3301
2024-10-08 $48.3526
2024-10-07 $48.3219
2024-10-04 $48.4259
2024-10-03 $48.7437
2024-10-02 $48.9714
2024-10-01 $49.2379
2024-09-30 $49.2219
2024-09-27 $49.2204
2024-09-26 $48.9612
2024-09-25 $48.9764
2024-09-24 $49.1386
2024-09-23 $49.1516
2024-09-20 $49.1650
2024-09-19 $49.1609
2024-09-18 $49.1283
2024-09-17 $49.2484
2024-09-16 $49.3519
2024-09-13 $49.2032
2024-09-12 $49.1665
2024-09-11 $49.1326
2024-09-10 $49.2151
2024-09-09 $49.1029
2024-09-06 $48.9605
2024-09-05 $48.9411
2024-09-04 $48.8655
2024-09-03 $48.6308
2024-08-30 $48.3248
2024-08-29 $48.4379
2024-08-28 $48.5832
2024-08-27 $48.6964
2024-08-26 $48.6972
2024-08-23 $48.7753
2024-08-22 $48.6369
2024-08-21 $48.8241
2024-08-20 $48.8312
2024-08-19 $48.6154
2024-08-16 $48.6176
2024-08-15 $48.5942
2024-08-13 $48.6835
2024-08-12 $48.5208
2024-08-09 $48.4257
2024-08-08 $48.2079
2024-08-07 $48.2823
2024-08-06 $48.4028
2024-08-01 $48.4826
2024-07-31 $48.2746
2024-07-30 $48.0596
2024-07-29 $47.9107
2024-07-26 $47.7643
2024-07-25 $47.6139
2024-07-24 $47.5520
2024-07-23 $47.5805
2024-07-22 $47.5129

Portfolio Manager(s)

Ian Fung

Portfolio Manager, Fixed Income

Empire Life Investment Team

Empire Life Investment Team