Overview

Daily NAV
$49.16
-0.20% ($0.10)
April 1, 2026
  • Inception Date
    September 5, 2006
  • Net Assets
    $649.08 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $500 per fund
  • MER
    2.32%
  • 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 February 28, 2026

Growth of $10,000

Investment value: $13,586.03 at February 27, 2026

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 1.38% 0.49% 2.88% 1.89% 0.77% 3.13% -0.78% 0.38% 1.59%
Series Empire Life Bond GIF Class B
1 mth 1.38%
3 mths 0.49%
6 mths 2.88%
YTD 1.89%
1 year 0.77%
3 years 3.13%
5 years -0.78%
10 years 0.38%
psi 1.59%

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 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
Empire Life Bond GIF Class B 0.78% 1.18% -1.79% 5.20% 6.44% -4.08% -12.61% 4.68% 2.79% 0.84%
Series Empire Life Bond GIF Class B
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%
2025 0.84%

Portfolio Allocations As at February 28, 2026

Asset Allocation

Colours Name Weight
Canadian Bonds 89.90%
U.S. Bonds 7.46%
Cash and Equivalents 1.76%
Canadian Equity 0.78%
International Bond Funds 0.48%
International Equity 0.00%

Bond Type

Colours Name Weight
Investment Grade Corporate 53.74%
Provincial Government 19.62%
Federal Government 15.51%
Floating Rate 9.56%
High Yield Corporate 1.09%
Convertible Bonds 0.25%
Preferred Shares 0.24%

Top 10 Holdings

Name Weight
Gov. of Canada, 2.75%, 12/1/2055 2.91%
Province of Ontario, 3.6%, 6/2/2035 1.80%
Province of Quebec 3.500% December 1, 2045 1.29%
CPPIB Capital Inc., 4%, 6/2/2035 1.20%
CANADA HOUSING TRUST NO 1 3.5% 15MAR36 1.14%
CPPIB Capital Inc., 3.35%, 12/2/2030 1.03%
Canada Housing Trust No.1, 2.85%, 12/15/2030 0.99%
ENBRIDGE PIPELINE 02MAR26 DN 0.94%
Province of Alberta 3.050% December 1, 2048 0.89%
Gov. of Canada, 1.75%, 12/1/2053 0.89%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2026-04-01 $49.1633
2026-03-31 $49.2618
2026-03-30 $49.1340
2026-03-27 $48.9241
2026-03-26 $48.9899
2026-03-25 $49.2294
2026-03-24 $48.8932
2026-03-23 $49.0671
2026-03-20 $48.9186
2026-03-19 $49.3413
2026-03-18 $49.3154
2026-03-17 $49.4909
2026-03-16 $49.3810
2026-03-13 $49.1437
2026-03-12 $49.1293
2026-03-11 $49.3077
2026-03-10 $49.5928
2026-03-09 $49.6915
2026-03-06 $49.5361
2026-03-05 $49.7645
2026-03-04 $50.0061
2026-03-03 $50.0218
2026-03-02 $50.0968
2026-02-27 $50.3778
2026-02-26 $50.3133
2026-02-25 $50.2356
2026-02-24 $50.2714
2026-02-23 $50.2778
2026-02-20 $50.2149
2026-02-19 $50.1835
2026-02-18 $50.1843
2026-02-17 $50.1969
2026-02-13 $50.1655
2026-02-12 $50.0912
2026-02-11 $49.9357
2026-02-10 $49.8851
2026-02-09 $49.7968
2026-02-06 $49.7827
2026-02-05 $49.7766
2026-02-04 $49.6995
2026-02-03 $49.6704
2026-02-02 $49.6913
2026-01-30 $49.6940
2026-01-29 $49.7042
2026-01-28 $49.6855
2026-01-27 $49.6895
2026-01-26 $49.8087
2026-01-23 $49.6646
2026-01-22 $49.6750
2026-01-21 $49.5833
2026-01-20 $49.5210
2026-01-19 $49.6529
2026-01-16 $49.6995
2026-01-15 $49.7544
2026-01-14 $49.6913
2026-01-13 $49.5504
2026-01-12 $49.5734
2026-01-09 $49.6159
2026-01-08 $49.5338
2026-01-07 $49.5661
2026-01-06 $49.4063
2026-01-05 $49.4342
2026-01-02 $49.2748
2025-12-31 $49.4428
2025-12-30 $49.4825
2025-12-29 $49.5649
2025-12-24 $49.5263
2025-12-23 $49.4643
2025-12-22 $49.3129
2025-12-19 $49.2831
2025-12-18 $49.3783
2025-12-17 $49.3323
2025-12-16 $49.4408
2025-12-15 $49.3872
2025-12-12 $49.2725
2025-12-11 $49.3237
2025-12-10 $49.2961
2025-12-09 $49.1499
2025-12-08 $49.2760
2025-12-04 $49.7038
2025-12-03 $49.8396
2025-12-02 $49.8088
2025-12-01 $49.8241
2025-11-28 $50.1297
2025-11-27 $50.1611
2025-11-26 $50.1245
2025-11-25 $50.0564
2025-11-24 $49.9420
2025-11-21 $49.8586
2025-11-20 $49.7899
2025-11-19 $49.7000
2025-11-18 $49.7071
2025-11-17 $49.7876
2025-11-14 $49.8265
2025-11-13 $49.9375
2025-11-12 $50.0635
2025-11-11 $49.9611
2025-11-10 $49.9589
2025-11-07 $49.9640
2025-11-06 $50.1491
2025-11-05 $49.9826
2025-11-04 $49.9651
2025-11-03 $49.9935
2025-10-31 $50.0726
2025-10-30 $50.0476
2025-10-29 $49.9947
2025-10-28 $50.2992
2025-10-27 $50.2405
2025-10-24 $50.0969
2025-10-23 $50.0566
2025-10-22 $50.1394
2025-10-21 $50.1276
2025-10-20 $50.1766
2025-10-17 $50.0715
2025-10-16 $50.0764
2025-10-15 $49.9510
2025-10-14 $49.8781
2025-10-10 $49.7475
2025-10-09 $49.6597
2025-10-08 $49.6802
2025-10-07 $49.6996
2025-10-06 $49.6310
2025-10-03 $49.7414
2025-10-02 $49.7728
2025-10-01 $49.7200
2025-09-30 $49.8138
2025-09-29 $49.8133
2025-09-26 $49.6215
2025-09-25 $49.6286
2025-09-24 $49.6664
2025-09-23 $49.7014
2025-09-22 $49.6967
2025-09-19 $49.7136
2025-09-18 $49.7349
2025-09-17 $49.7491
2025-09-16 $49.8147
2025-09-15 $49.7613
2025-09-12 $49.7075
2025-09-11 $49.7417
2025-09-10 $49.6726
2025-09-09 $49.5181
2025-09-08 $49.5641
2025-09-05 $49.3293
2025-09-04 $49.0858
2025-09-03 $48.9524
2025-09-02 $48.7775
2025-08-29 $48.9662
2025-08-28 $48.8315
2025-08-27 $48.7529
2025-08-26 $48.7575
2025-08-25 $48.7056
2025-08-22 $48.8089
2025-08-21 $48.6731
2025-08-20 $48.7974
2025-08-19 $48.7892
2025-08-18 $48.6480
2025-08-14 $48.9153
2025-08-13 $48.9877
2025-08-12 $48.8536
2025-08-11 $49.0046
2025-08-08 $49.0408
2025-08-07 $49.0253
2025-08-06 $49.0149
2025-08-05 $49.0768
2025-08-01 $49.0717
2025-07-31 $48.8785
2025-07-30 $48.7298
2025-07-29 $48.7739
2025-07-28 $48.5957
2025-07-25 $48.5959
2025-07-24 $48.4837
2025-07-23 $48.4528
2025-07-22 $48.6370
2025-07-21 $48.5777
2025-07-18 $48.3850
2025-07-17 $48.3946
2025-07-16 $48.3753
2025-07-15 $48.3058
2025-07-14 $48.5528
2025-07-11 $48.5976
2025-07-10 $48.8973
2025-07-09 $48.9871
2025-07-08 $48.8072
2025-07-07 $48.8746
2025-07-04 $49.0385
2025-07-03 $48.9373
2025-07-02 $49.0190
2025-06-30 $49.2683
2025-06-27 $49.1203
2025-06-26 $49.0679
2025-06-25 $48.9891
2025-06-24 $49.1567
2025-06-23 $49.1315
2025-06-20 $49.0343
2025-06-19 $48.9380
2025-06-18 $48.9153
2025-06-17 $48.7883
2025-06-16 $48.7061
2025-06-13 $48.7949
2025-06-12 $48.9333
2025-06-11 $48.9132
2025-06-10 $48.9267
2025-06-09 $48.8522
2025-06-06 $48.9238
2025-06-05 $49.1941
2025-06-04 $49.2262
2025-06-03 $49.1009
2025-06-02 $49.2127
2025-05-30 $49.2808
2025-05-29 $49.3029
2025-05-28 $49.0757
2025-05-27 $49.0395
2025-05-26 $48.8186
2025-05-23 $48.7427
2025-05-22 $48.6543
2025-05-21 $48.5795
2025-05-20 $48.8483
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

Portfolio Manager(s)

Ian Fung

Portfolio Manager, Fixed Income

Empire Life Investment Team

Empire Life Investment Team