Overview

Daily NAV
$49.22
-0.01% ($0.01)
May 16, 2025
  • Inception Date
    September 5, 2006
  • Net Assets
    $656.86 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $500 per fund
  • MER
    2.33%
  • 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 Front-end load Low load * Deferred Sales Charge *
Class B ECF2020 ECF2220 ECF2520
  • * 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 April 30, 2025

Growth of $10,000

Investment value: $13,280.88 at April 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 B -0.91% -0.55% 1.13% 0.44% 6.93% 1.54% -1.40% 0.10% 1.53%
Series Empire Life Bond GIF Class B
1 mth -0.91%
3 mths -0.55%
6 mths 1.13%
YTD 0.44%
1 year 6.93%
3 years 1.54%
5 years -1.40%
10 years 0.10%
psi 1.53%

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 B 1.41% 0.78% 1.18% -1.79% 5.20% 6.44% -4.08% -12.61% 4.68% 2.79%
Series Empire Life Bond GIF Class B
2015 1.41%
2016 0.78%
2017 1.18%
2018 -1.79%
2019 5.20%
2020 6.44%
2021 -4.08%
2022 -12.61%
2023 4.68%
2024 2.79%

Portfolio Allocations As at March 31, 2025

Asset Allocation

Colours Name Weight
Canadian Bonds 91.85%
U.S. Bonds 6.64%
Cash and Equivalents 0.79%
Canadian Equity 0.77%
International Bond Funds 0.32%
International Equity 0.00%

Bond Type

Colours Name Weight
Investment Grade Corporate 47.26%
Federal Government 23.49%
Provincial Government 19.70%
Floating Rate 6.42%
High Yield Corporate 2.62%
Convertible Bonds 0.34%
Preferred Shares 0.17%

Top 10 Holdings

Name Weight
Gov. of Canada, 2.75%, 12/1/2055 3.16%
Province of Ontario, 3.8%, 12/2/2034 1.88%
Gov. of Canada, 2.5%, 12/1/2032 1.56%
Gov. of Canada, 2%, 6/1/2032 1.55%
Province of Quebec 3.500% December 1, 2045 1.51%
Gov. of Canada, 0.03%, 6/1/2034 1.44%
Gov. of Canada, 3.25%, 12/1/2034 1.39%
Gov. of Canada, 4%, 3/1/2029 1.37%
Gov. of Canada, 4%, 5/1/2026 1.29%
Province of Ontario, 4.6%, 6/2/2039 1.16%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-16 $49.2159
2025-05-15 $49.2226
2025-05-14 $48.9272
2025-05-13 $49.0347
2025-05-12 $49.0539
2025-05-09 $49.1389
2025-05-08 $48.9819
2025-05-07 $49.2481
2025-05-06 $49.0474
2025-05-05 $48.9737
2025-05-02 $48.9659
2025-05-01 $49.1597
2025-04-30 $49.2463
2025-04-29 $49.0925
2025-04-28 $48.9584
2025-04-25 $48.8987
2025-04-24 $48.8619
2025-04-23 $48.7079
2025-04-22 $48.7786
2025-04-21 $48.6231
2025-04-17 $48.9782
2025-04-16 $49.1086
2025-04-15 $49.0056
2025-04-14 $48.9564
2025-04-11 $48.4974
2025-04-10 $48.6217
2025-04-09 $48.8272
2025-04-08 $49.0374
2025-04-04 $49.7638
2025-04-03 $49.7081
2025-04-02 $49.8263
2025-04-01 $49.8692
2025-03-31 $49.6961
2025-03-28 $49.5476
2025-03-27 $49.3319
2025-03-26 $49.2432
2025-03-25 $49.4433
2025-03-24 $49.4598
2025-03-21 $49.6067
2025-03-20 $49.6185
2025-03-19 $49.6444
2025-03-18 $49.5323
2025-03-17 $49.5361
2025-03-14 $49.3929
2025-03-13 $49.4500
2025-03-12 $49.3637
2025-03-11 $49.5668
2025-03-10 $49.6474
2025-03-07 $49.5272
2025-03-06 $49.3925
2025-03-05 $49.7891
2025-03-04 $50.0835
2025-03-03 $50.2625
2025-02-28 $49.9907
2025-02-27 $49.7785
2025-02-26 $49.7571
2025-02-25 $49.7517
2025-02-24 $49.4741
2025-02-21 $49.3932
2025-02-20 $49.0459
2025-02-19 $49.1725
2025-02-18 $49.1478
2025-02-14 $49.4310
2025-02-13 $49.4026
2025-02-12 $49.1477
2025-02-11 $49.4036
2025-02-10 $49.5320
2025-02-07 $49.5062
2025-02-06 $49.8894
2025-02-05 $49.9497
2025-02-04 $49.7804
2025-02-03 $49.7962
2025-01-31 $49.5172
2025-01-30 $49.4025
2025-01-29 $49.1795
2025-01-28 $49.1271
2025-01-27 $49.1393
2025-01-24 $48.9003
2025-01-23 $48.7351
2025-01-22 $48.8015
2025-01-21 $48.9823
2025-01-20 $48.8943
2025-01-17 $48.8123
2025-01-16 $48.6894
2025-01-15 $48.4285
2025-01-14 $48.0321
2025-01-13 $48.1598
2025-01-10 $48.3388
2025-01-09 $48.6543
2025-01-08 $48.7649
2025-01-07 $48.8120
2025-01-06 $49.0070
2025-01-03 $48.9973
2025-01-02 $49.0569
2024-12-31 $49.0297
2024-12-30 $48.9759
2024-12-27 $48.7715
2024-12-24 $48.7908
2024-12-23 $48.8423
2024-12-20 $48.8725
2024-12-19 $48.6907
2024-12-18 $49.0835
2024-12-17 $49.3049
2024-12-16 $49.1844
2024-12-13 $49.1931
2024-12-12 $49.2767
2024-12-11 $49.4489
2024-12-10 $49.5899
2024-12-09 $49.5756
2024-12-06 $49.7256
2024-12-05 $49.4478
2024-12-04 $49.4541
2024-12-03 $49.2921
2024-12-02 $49.4906
2024-11-29 $49.4639
2024-11-28 $48.9482
2024-11-27 $48.8799
2024-11-26 $48.7523
2024-11-25 $48.6341
2024-11-22 $48.1868
2024-11-21 $48.0506
2024-11-20 $48.2984
2024-11-19 $48.4778
2024-11-18 $48.6632
2024-11-15 $48.6971
2024-11-14 $48.6991
2024-11-13 $48.6131
2024-11-12 $48.7885
2024-11-11 $49.0262
2024-11-08 $49.0239
2024-11-07 $48.8981
2024-11-06 $48.5352
2024-11-05 $48.6762
2024-11-04 $48.6820
2024-11-01 $48.5174
2024-10-31 $48.6958
2024-10-30 $48.5559
2024-10-29 $48.5076
2024-10-28 $48.4554
2024-10-25 $48.4365
2024-10-24 $48.5055
2024-10-22 $48.5109
2024-10-21 $48.4841
2024-10-18 $48.7938
2024-10-16 $48.9076
2024-10-15 $48.7717
2024-10-11 $48.5015
2024-10-10 $48.4370
2024-10-09 $48.3613
2024-10-08 $48.3838
2024-10-07 $48.3531
2024-10-04 $48.4572
2024-10-03 $48.7752
2024-10-02 $49.0031
2024-10-01 $49.2697
2024-09-30 $49.2537
2024-09-27 $49.2523
2024-09-26 $48.9929
2024-09-25 $49.0082
2024-09-24 $49.1705
2024-09-23 $49.1835
2024-09-20 $49.1970
2024-09-19 $49.1929
2024-09-18 $49.1603
2024-09-17 $49.2805
2024-09-16 $49.3841
2024-09-13 $49.2354
2024-09-12 $49.1987
2024-09-11 $49.1648
2024-09-10 $49.2473
2024-09-09 $49.1351
2024-09-06 $48.9926
2024-09-05 $48.9732
2024-09-04 $48.8976
2024-09-03 $48.6627
2024-08-30 $48.3566
2024-08-29 $48.4698
2024-08-28 $48.6152
2024-08-27 $48.7285
2024-08-26 $48.7293
2024-08-23 $48.8075
2024-08-22 $48.6690
2024-08-21 $48.8563
2024-08-20 $48.8635
2024-08-19 $48.6475
2024-08-16 $48.6498
2024-08-15 $48.6265
2024-08-13 $48.7158
2024-08-12 $48.5530
2024-08-09 $48.4580
2024-08-08 $48.2401
2024-08-07 $48.3146
2024-08-06 $48.4351
2024-08-01 $48.5151
2024-07-31 $48.3070
2024-07-30 $48.0919
2024-07-29 $47.9428
2024-07-26 $47.7964
2024-07-25 $47.6459
2024-07-24 $47.5842
2024-07-23 $47.6127
2024-07-22 $47.5451
2024-07-18 $47.7047
2024-07-17 $47.7930
2024-07-16 $47.7519
2024-07-15 $47.5718
2024-07-12 $47.6155
2024-07-11 $47.5208
2024-07-10 $47.4001
2024-07-09 $47.3347
2024-07-08 $47.3926
2024-07-05 $47.2841
2024-07-04 $46.9668
2024-07-03 $47.0738
2024-07-02 $46.9368
2024-06-28 $47.2682
2024-06-27 $47.3486
2024-06-26 $47.3479
2024-06-25 $47.6914
2024-06-24 $47.7430
2024-06-21 $47.7355
2024-06-20 $47.7522
2024-06-19 $47.8868
2024-06-18 $47.9809
2024-06-17 $47.8094
2024-06-14 $47.9063
2024-06-13 $47.7674
2024-06-12 $47.5180
2024-06-11 $47.2617
2024-06-10 $47.1802
2024-06-07 $47.2908
2024-06-06 $47.5430
2024-06-05 $47.6005
2024-06-04 $47.4140
2024-06-03 $47.1623
2024-05-31 $46.8137
2024-05-30 $46.5394
2024-05-29 $46.3767
2024-05-28 $46.5697
2024-05-27 $46.7786
2024-05-24 $46.8213
2024-05-23 $46.7840
2024-05-22 $46.8819
2024-05-21 $46.9415

Portfolio Manager(s)

Ian Fung

Portfolio Manager, Fixed Income

Empire Life Investment Team

Empire Life Investment Team