Overview

Daily NAV
$11.45
0.01% $0.00
April 8, 2026
  • Inception Date
    April 20, 2015
  • Net Assets
    $305.12 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    0.50%
  • Asset class
    Canadian Money Market
  • Management Fee
    1.00%

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 money market securities

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class K ECF11010 ECF11210 ECF11310 ECF11510
  • * 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, 2026

Growth of $10,000

Investment value: $11,439.56 at March 31, 2026

Compound Returns 2

Series 1 mth 3 mths 6 mths YTD 1 year 3 years 5 years 10 years psi
Empire Life Money Market GIF Class K 0.16% 0.45% 0.97% 0.45% 2.14% 3.52% 2.31% 1.36% 1.24%
Series Empire Life Money Market GIF Class K
1 mth 0.16%
3 mths 0.45%
6 mths 0.97%
YTD 0.45%
1 year 2.14%
3 years 3.52%
5 years 2.31%
10 years 1.36%
psi 1.24%

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 Money Market GIF Class K 0.10% -0.10% 0.69% 0.98% 0.63% -0.86% 0.82% 4.25% 4.37% 2.39%
Series Empire Life Money Market GIF Class K
2016 0.10%
2017 -0.10%
2018 0.69%
2019 0.98%
2020 0.63%
2021 -0.86%
2022 0.82%
2023 4.25%
2024 4.37%
2025 2.39%

Portfolio Allocations As at February 28, 2026

Asset Allocation

Colours Name Weight
Cash and Equivalents 77.46%
Canadian Bonds 22.54%

Top 10 Holdings

Name Weight
SUNCOR ENERGY INC 19MAR26 DN 8.90%
CU INC 31MAR26 DN 7.62%
ENBRIDGE INC 27MAR26 DN 6.19%
MANITOBA HYDRO-ELEC 30MAR26 DN 5.40%
INTER PIPELINE 09APR26 DN 3.88%
SUMITOMO MITSUI 15JUN26 DN 3.48%
ONTARIO TEACHERS FINANCE 04MAR26 DN 3.02%
FORTISBC ENERGY 13MAR26 DN 3.02%
HONDA CANADA FIN 31MAR26 DN 3.02%
BNP PARIBAS (CA) 07APR26 BDN 3.02%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2026-04-08 $11.4454
2026-04-07 $11.4447
2026-04-06 $11.4442
2026-04-02 $11.4418
2026-04-01 $11.4413
2026-03-31 $11.4407
2026-03-30 $11.4407
2026-03-27 $11.4390
2026-03-26 $11.4384
2026-03-25 $11.4376
2026-03-24 $11.4371
2026-03-23 $11.4365
2026-03-20 $11.4348
2026-03-19 $11.4342
2026-03-18 $11.4337
2026-03-17 $11.4331
2026-03-16 $11.4325
2026-03-13 $11.4308
2026-03-12 $11.4303
2026-03-11 $11.4296
2026-03-10 $11.4290
2026-03-09 $11.4285
2026-03-06 $11.4268
2026-03-05 $11.4262
2026-03-04 $11.4256
2026-03-03 $11.4250
2026-03-02 $11.4245
2026-02-27 $11.4228
2026-02-26 $11.4222
2026-02-25 $11.4217
2026-02-24 $11.4211
2026-02-23 $11.4205
2026-02-20 $11.4188
2026-02-19 $11.4182
2026-02-18 $11.4177
2026-02-17 $11.4171
2026-02-13 $11.4148
2026-02-12 $11.4142
2026-02-11 $11.4137
2026-02-10 $11.4130
2026-02-09 $11.4124
2026-02-06 $11.4107
2026-02-05 $11.4101
2026-02-04 $11.4096
2026-02-03 $11.4090
2026-02-02 $11.4085
2026-01-30 $11.4067
2026-01-29 $11.4062
2026-01-28 $11.4056
2026-01-27 $11.4050
2026-01-26 $11.4045
2026-01-23 $11.4027
2026-01-22 $11.4022
2026-01-21 $11.4016
2026-01-20 $11.4008
2026-01-19 $11.4002
2026-01-16 $11.3985
2026-01-15 $11.3980
2026-01-14 $11.3974
2026-01-13 $11.3967
2026-01-12 $11.3961
2026-01-09 $11.3944
2026-01-08 $11.3938
2026-01-07 $11.3932
2026-01-06 $11.3926
2026-01-05 $11.3920
2026-01-02 $11.3903
2025-12-31 $11.3891
2025-12-30 $11.3885
2025-12-29 $11.3879
2025-12-24 $11.3850
2025-12-23 $11.3844
2025-12-22 $11.3838
2025-12-19 $11.3821
2025-12-18 $11.3815
2025-12-17 $11.3809
2025-12-16 $11.3803
2025-12-15 $11.3798
2025-12-12 $11.3780
2025-12-11 $11.3774
2025-12-10 $11.3767
2025-12-09 $11.3760
2025-12-08 $11.3754
2025-12-04 $11.3731
2025-12-03 $11.3725
2025-12-02 $11.3712
2025-12-01 $11.3707
2025-11-28 $11.3689
2025-11-27 $11.3683
2025-11-26 $11.3676
2025-11-25 $11.3671
2025-11-24 $11.3665
2025-11-21 $11.3645
2025-11-20 $11.3639
2025-11-19 $11.3633
2025-11-18 $11.3627
2025-11-17 $11.3621
2025-11-14 $11.3603
2025-11-13 $11.3596
2025-11-12 $11.3590
2025-11-11 $11.3583
2025-11-10 $11.3577
2025-11-07 $11.3558
2025-11-06 $11.3552
2025-11-05 $11.3545
2025-11-04 $11.3539
2025-11-03 $11.3533
2025-10-31 $11.3513
2025-10-30 $11.3507
2025-10-29 $11.3501
2025-10-28 $11.3493
2025-10-27 $11.3486
2025-10-24 $11.3467
2025-10-23 $11.3460
2025-10-22 $11.3453
2025-10-21 $11.3447
2025-10-20 $11.3441
2025-10-17 $11.3421
2025-10-16 $11.3414
2025-10-15 $11.3408
2025-10-14 $11.3401
2025-10-10 $11.3374
2025-10-09 $11.3368
2025-10-08 $11.3360
2025-10-07 $11.3353
2025-10-06 $11.3346
2025-10-03 $11.3327
2025-10-02 $11.3320
2025-10-01 $11.3313
2025-09-30 $11.3307
2025-09-29 $11.3300
2025-09-26 $11.3279
2025-09-25 $11.3273
2025-09-24 $11.3265
2025-09-23 $11.3258
2025-09-22 $11.3251
2025-09-19 $11.3231
2025-09-18 $11.3224
2025-09-17 $11.3217
2025-09-16 $11.3211
2025-09-15 $11.3204
2025-09-12 $11.3183
2025-09-11 $11.3176
2025-09-10 $11.3169
2025-09-09 $11.3162
2025-09-08 $11.3155
2025-09-05 $11.3134
2025-09-04 $11.3127
2025-09-03 $11.3120
2025-09-02 $11.3113
2025-08-29 $11.3085
2025-08-28 $11.3078
2025-08-27 $11.3071
2025-08-26 $11.3065
2025-08-25 $11.3058
2025-08-22 $11.3035
2025-08-21 $11.3028
2025-08-20 $11.3022
2025-08-19 $11.3014
2025-08-18 $11.3008
2025-08-14 $11.2980
2025-08-13 $11.2973
2025-08-12 $11.2966
2025-08-11 $11.2959
2025-08-08 $11.2938
2025-08-07 $11.2931
2025-08-06 $11.2924
2025-08-05 $11.2917
2025-08-01 $11.2890
2025-07-31 $11.2883
2025-07-30 $11.2876
2025-07-29 $11.2869
2025-07-28 $11.2862
2025-07-25 $11.2842
2025-07-24 $11.2835
2025-07-23 $11.2828
2025-07-22 $11.2821
2025-07-21 $11.2814
2025-07-18 $11.2792
2025-07-17 $11.2784
2025-07-16 $11.2778
2025-07-15 $11.2771
2025-07-14 $11.2764
2025-07-11 $11.2744
2025-07-10 $11.2737
2025-07-09 $11.2730
2025-07-08 $11.2723
2025-07-07 $11.2715
2025-07-04 $11.2694
2025-07-03 $11.2687
2025-07-02 $11.2681
2025-06-30 $11.2667
2025-06-27 $11.2646
2025-06-26 $11.2639
2025-06-25 $11.2632
2025-06-24 $11.2625
2025-06-23 $11.2618
2025-06-20 $11.2597
2025-06-19 $11.2590
2025-06-18 $11.2581
2025-06-17 $11.2574
2025-06-16 $11.2567
2025-06-13 $11.2546
2025-06-12 $11.2539
2025-06-11 $11.2532
2025-06-10 $11.2525
2025-06-09 $11.2517
2025-06-06 $11.2496
2025-06-05 $11.2489
2025-06-04 $11.2482
2025-06-03 $11.2475
2025-06-02 $11.2468
2025-05-30 $11.2446
2025-05-29 $11.2439
2025-05-28 $11.2432
2025-05-27 $11.2425
2025-05-26 $11.2418
2025-05-23 $11.2396
2025-05-22 $11.2388
2025-05-21 $11.2381
2025-05-20 $11.2374
2025-05-16 $11.2346
2025-05-15 $11.2339
2025-05-14 $11.2332
2025-05-13 $11.2325
2025-05-12 $11.2317
2025-05-09 $11.2296
2025-05-08 $11.2289
2025-05-07 $11.2282
2025-05-06 $11.2274
2025-05-05 $11.2266
2025-05-02 $11.2245
2025-05-01 $11.2238
2025-04-30 $11.2231
2025-04-29 $11.2223
2025-04-28 $11.2216
2025-04-25 $11.2194
2025-04-24 $11.2187
2025-04-23 $11.2179
2025-04-22 $11.2172
2025-04-21 $11.2165
2025-04-17 $11.2136
2025-04-16 $11.2128
2025-04-15 $11.2118
2025-04-14 $11.2111
2025-04-11 $11.2088
2025-04-10 $11.2081
2025-04-09 $11.2073

Portfolio Manager(s)

Albert Ngo

Senior Portfolio Manager, Fixed Income