Overview

Daily NAV
$10.55
0.32% $0.03
April 24, 2025
  • Inception Date
    November 3, 2014
  • Net Assets
    $656.86 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    2.31%
  • Asset class
    Canadian Fixed Income
  • Management Fee
    1.80%

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 * No load Deferred Sales Charge *
Class L ECF12020 ECF12220 ECF12320 ECF12520
  • * 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 March 31, 2025

Growth of $10,000

Investment value: $10,723.45 at March 31, 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 L -0.59% 1.36% 0.90% 1.36% 5.62% 0.74% -0.29% 0.18% 0.67%
Series Empire Life Bond GIF Class L
1 mth -0.59%
3 mths 1.36%
6 mths 0.90%
YTD 1.36%
1 year 5.62%
3 years 0.74%
5 years -0.29%
10 years 0.18%
psi 0.67%

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 L 1.71% 1.07% 1.44% -1.53% 5.45% 6.47% -4.06% -12.59% 4.71% 2.81%
Series Empire Life Bond GIF Class L
2015 1.71%
2016 1.07%
2017 1.44%
2018 -1.53%
2019 5.45%
2020 6.47%
2021 -4.06%
2022 -12.59%
2023 4.71%
2024 2.81%

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
2025-04-24 $10.5486
2025-04-23 $10.5153
2025-04-22 $10.5306
2025-04-21 $10.4970
2025-04-17 $10.5737
2025-04-16 $10.6019
2025-04-15 $10.5796
2025-04-14 $10.5690
2025-04-11 $10.4699
2025-04-10 $10.4967
2025-04-09 $10.5411
2025-04-08 $10.5865
2025-04-04 $10.7432
2025-04-03 $10.7312
2025-04-02 $10.7567
2025-04-01 $10.7660
2025-03-31 $10.7286
2025-03-28 $10.6966
2025-03-27 $10.6500
2025-03-26 $10.6308
2025-03-25 $10.6740
2025-03-24 $10.6776
2025-03-21 $10.7093
2025-03-20 $10.7118
2025-03-19 $10.7174
2025-03-18 $10.6932
2025-03-17 $10.6940
2025-03-14 $10.6631
2025-03-13 $10.6754
2025-03-12 $10.6567
2025-03-11 $10.7006
2025-03-10 $10.7180
2025-03-07 $10.6920
2025-03-06 $10.6629
2025-03-05 $10.7486
2025-03-04 $10.8121
2025-03-03 $10.8508
2025-02-28 $10.7921
2025-02-27 $10.7463
2025-02-26 $10.7416
2025-02-25 $10.7405
2025-02-24 $10.6806
2025-02-21 $10.6631
2025-02-20 $10.5881
2025-02-19 $10.6154
2025-02-18 $10.6101
2025-02-14 $10.6712
2025-02-13 $10.6651
2025-02-12 $10.6101
2025-02-11 $10.6653
2025-02-10 $10.6930
2025-02-07 $10.6874
2025-02-06 $10.7702
2025-02-05 $10.7832
2025-02-04 $10.7466
2025-02-03 $10.7500
2025-01-31 $10.6898
2025-01-30 $10.6650
2025-01-29 $10.6169
2025-01-28 $10.6056
2025-01-27 $10.6082
2025-01-24 $10.5566
2025-01-23 $10.5210
2025-01-22 $10.5353
2025-01-21 $10.5743
2025-01-20 $10.5553
2025-01-17 $10.5376
2025-01-16 $10.5111
2025-01-15 $10.4548
2025-01-14 $10.3692
2025-01-13 $10.3968
2025-01-10 $10.4354
2025-01-09 $10.5035
2025-01-08 $10.5274
2025-01-07 $10.5376
2025-01-06 $10.5797
2025-01-03 $10.5776
2025-01-02 $10.5904
2024-12-31 $10.5846
2024-12-30 $10.5729
2024-12-27 $10.5288
2024-12-24 $10.5330
2024-12-23 $10.5441
2024-12-20 $10.5506
2024-12-19 $10.5113
2024-12-18 $10.5961
2024-12-17 $10.6439
2024-12-16 $10.6179
2024-12-13 $10.6197
2024-12-12 $10.6378
2024-12-11 $10.6750
2024-12-10 $10.7054
2024-12-09 $10.7023
2024-12-06 $10.7347
2024-12-05 $10.6747
2024-12-04 $10.6760
2024-12-03 $10.6411
2024-12-02 $10.6839
2024-11-29 $10.6781
2024-11-28 $10.5668
2024-11-27 $10.5521
2024-11-26 $10.5245
2024-11-25 $10.4990
2024-11-22 $10.4024
2024-11-21 $10.3730
2024-11-20 $10.4265
2024-11-19 $10.4652
2024-11-18 $10.5052
2024-11-15 $10.5125
2024-11-14 $10.5129
2024-11-13 $10.4943
2024-11-12 $10.5322
2024-11-11 $10.5835
2024-11-08 $10.5830
2024-11-07 $10.5559
2024-11-06 $10.4775
2024-11-05 $10.5079
2024-11-04 $10.5092
2024-11-01 $10.4736
2024-10-31 $10.5121
2024-10-30 $10.4819
2024-10-29 $10.4715
2024-10-28 $10.4602
2024-10-25 $10.4561
2024-10-24 $10.4710
2024-10-22 $10.4722
2024-10-21 $10.4664
2024-10-18 $10.5332
2024-10-16 $10.5578
2024-10-15 $10.5284
2024-10-11 $10.4701
2024-10-10 $10.4562
2024-10-09 $10.4398
2024-10-08 $10.4447
2024-10-07 $10.4380
2024-10-04 $10.4605
2024-10-03 $10.5291
2024-10-02 $10.5783
2024-10-01 $10.6359
2024-09-30 $10.6324
2024-09-27 $10.6321
2024-09-26 $10.5761
2024-09-25 $10.5794
2024-09-24 $10.6144
2024-09-23 $10.6172
2024-09-20 $10.6201
2024-09-19 $10.6192
2024-09-18 $10.6122
2024-09-17 $10.6381
2024-09-16 $10.6605
2024-09-13 $10.6283
2024-09-12 $10.6204
2024-09-11 $10.6131
2024-09-10 $10.6309
2024-09-09 $10.6067
2024-09-06 $10.5759
2024-09-05 $10.5717
2024-09-04 $10.5554
2024-09-03 $10.5047
2024-08-30 $10.4386
2024-08-29 $10.4630
2024-08-28 $10.4944
2024-08-27 $10.5188
2024-08-26 $10.5190
2024-08-23 $10.5359
2024-08-22 $10.5060
2024-08-21 $10.5464
2024-08-20 $10.5479
2024-08-19 $10.5013
2024-08-16 $10.5018
2024-08-15 $10.4968
2024-08-13 $10.5160
2024-08-12 $10.4809
2024-08-09 $10.4603
2024-08-08 $10.4133
2024-08-07 $10.4294
2024-08-06 $10.4554
2024-08-01 $10.4726
2024-07-31 $10.4277
2024-07-30 $10.3813
2024-07-29 $10.3491
2024-07-26 $10.3175
2024-07-25 $10.2850
2024-07-24 $10.2716
2024-07-23 $10.2778
2024-07-22 $10.2632
2024-07-18 $10.2976
2024-07-17 $10.3167
2024-07-16 $10.3078
2024-07-15 $10.2689
2024-07-12 $10.2783
2024-07-11 $10.2579
2024-07-10 $10.2318
2024-07-09 $10.2177
2024-07-08 $10.2302
2024-07-05 $10.2068
2024-07-04 $10.1383
2024-07-03 $10.1614
2024-07-02 $10.1318
2024-06-28 $10.2033
2024-06-27 $10.2207
2024-06-26 $10.2205
2024-06-25 $10.2946
2024-06-24 $10.3058
2024-06-21 $10.3041
2024-06-20 $10.3077
2024-06-19 $10.3368
2024-06-18 $10.3571
2024-06-17 $10.3201
2024-06-14 $10.3410
2024-06-13 $10.3110
2024-06-12 $10.2572
2024-06-11 $10.2018
2024-06-10 $10.1842
2024-06-07 $10.2081
2024-06-06 $10.2625
2024-06-05 $10.2750
2024-06-04 $10.2347
2024-06-03 $10.1804
2024-05-31 $10.1051
2024-05-30 $10.0459
2024-05-29 $10.0108
2024-05-28 $10.0524
2024-05-27 $10.0975
2024-05-24 $10.1067
2024-05-23 $10.0987
2024-05-22 $10.1198
2024-05-21 $10.1327
2024-05-17 $10.1010
2024-05-16 $10.1377
2024-05-15 $10.1317
2024-05-14 $10.0570
2024-05-13 $10.0562
2024-05-10 $10.0451
2024-05-09 $10.0854
2024-05-08 $10.0788
2024-05-07 $10.1134
2024-05-06 $10.0886
2024-05-03 $10.0579
2024-05-02 $10.0023
2024-05-01 $9.9780
2024-04-30 $9.9408
2024-04-29 $9.9746
2024-04-26 $9.9287
2024-04-25 $9.9067

Portfolio Manager(s)

Ian Fung

Portfolio Manager, Fixed Income

Empire Life Investment Team

Empire Life Investment Team