Overview

Daily NAV
$11.32
0.00% $0.00
April 2, 2026
  • Inception Date
    November 3, 2014
  • Net Assets
    $305.12 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    0.56%
  • 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 M ECF13010 ECF13210 ECF13310 ECF13510
  • * 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: $11,300.28 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 Money Market GIF Class M 0.12% 0.40% 0.88% 0.26% 1.97% 3.42% 2.08% 1.23% 1.09%
Series Empire Life Money Market GIF Class M
1 mth 0.12%
3 mths 0.40%
6 mths 0.88%
YTD 0.26%
1 year 1.97%
3 years 3.42%
5 years 2.08%
10 years 1.23%
psi 1.09%

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 M 0.11% -0.08% 0.72% 0.95% 0.42% -1.07% 0.60% 4.10% 4.27% 2.16%
Series Empire Life Money Market GIF Class M
2016 0.11%
2017 -0.08%
2018 0.72%
2019 0.95%
2020 0.42%
2021 -1.07%
2022 0.60%
2023 4.10%
2024 4.27%
2025 2.16%

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
2026-04-02 $11.3173
2026-04-01 $11.3168
2026-03-31 $11.3163
2026-03-30 $11.3164
2026-03-27 $11.3149
2026-03-26 $11.3147
2026-03-25 $11.3141
2026-03-24 $11.3137
2026-03-23 $11.3132
2026-03-20 $11.3117
2026-03-19 $11.3112
2026-03-18 $11.3107
2026-03-17 $11.3102
2026-03-16 $11.3097
2026-03-13 $11.3083
2026-03-12 $11.3078
2026-03-11 $11.3072
2026-03-10 $11.3067
2026-03-09 $11.3062
2026-03-06 $11.3048
2026-03-05 $11.3043
2026-03-04 $11.3038
2026-03-03 $11.3033
2026-03-02 $11.3028
2026-02-27 $11.3013
2026-02-26 $11.3009
2026-02-25 $11.3004
2026-02-24 $11.2999
2026-02-23 $11.2994
2026-02-20 $11.2979
2026-02-19 $11.2974
2026-02-18 $11.2969
2026-02-17 $11.2964
2026-02-13 $11.2944
2026-02-12 $11.2939
2026-02-11 $11.2935
2026-02-10 $11.2929
2026-02-09 $11.2924
2026-02-06 $11.2909
2026-02-05 $11.2904
2026-02-04 $11.2899
2026-02-03 $11.2894
2026-02-02 $11.2889
2026-01-30 $11.2875
2026-01-29 $11.2870
2026-01-28 $11.2865
2026-01-27 $11.2860
2026-01-26 $11.2855
2026-01-23 $11.2840
2026-01-22 $11.2835
2026-01-21 $11.2830
2026-01-20 $11.2823
2026-01-19 $11.2818
2026-01-16 $11.2803
2026-01-15 $11.2798
2026-01-14 $11.2793
2026-01-13 $11.2787
2026-01-12 $11.2782
2026-01-09 $11.2767
2026-01-08 $11.2762
2026-01-07 $11.2757
2026-01-06 $11.2752
2026-01-05 $11.2747
2026-01-02 $11.2732
2025-12-31 $11.2722
2025-12-30 $11.2716
2025-12-29 $11.2718
2025-12-24 $11.2693
2025-12-23 $11.2695
2025-12-22 $11.2690
2025-12-19 $11.2675
2025-12-18 $11.2670
2025-12-17 $11.2665
2025-12-16 $11.2660
2025-12-15 $11.2654
2025-12-12 $11.2639
2025-12-11 $11.2634
2025-12-10 $11.2628
2025-12-09 $11.2622
2025-12-08 $11.2617
2025-12-04 $11.2597
2025-12-03 $11.2591
2025-12-02 $11.2580
2025-12-01 $11.2575
2025-11-28 $11.2559
2025-11-27 $11.2554
2025-11-26 $11.2548
2025-11-25 $11.2544
2025-11-24 $11.2538
2025-11-21 $11.2521
2025-11-20 $11.2516
2025-11-19 $11.2511
2025-11-18 $11.2506
2025-11-17 $11.2500
2025-11-14 $11.2484
2025-11-13 $11.2479
2025-11-12 $11.2472
2025-11-11 $11.2467
2025-11-10 $11.2461
2025-11-07 $11.2444
2025-11-06 $11.2439
2025-11-05 $11.2433
2025-11-04 $11.2428
2025-11-03 $11.2422
2025-10-31 $11.2405
2025-10-30 $11.2400
2025-10-29 $11.2394
2025-10-28 $11.2387
2025-10-27 $11.2381
2025-10-24 $11.2364
2025-10-23 $11.2358
2025-10-22 $11.2352
2025-10-21 $11.2347
2025-10-20 $11.2341
2025-10-17 $11.2324
2025-10-16 $11.2318
2025-10-15 $11.2312
2025-10-14 $11.2306
2025-10-10 $11.2283
2025-10-09 $11.2277
2025-10-08 $11.2270
2025-10-07 $11.2264
2025-10-06 $11.2260
2025-10-03 $11.2243
2025-10-02 $11.2237
2025-10-01 $11.2231
2025-09-30 $11.2225
2025-09-29 $11.2219
2025-09-26 $11.2201
2025-09-25 $11.2195
2025-09-24 $11.2188
2025-09-23 $11.2182
2025-09-22 $11.2176
2025-09-19 $11.2158
2025-09-18 $11.2152
2025-09-17 $11.2146
2025-09-16 $11.2140
2025-09-15 $11.2134
2025-09-12 $11.2115
2025-09-11 $11.2109
2025-09-10 $11.2103
2025-09-09 $11.2097
2025-09-08 $11.2091
2025-09-05 $11.2072
2025-09-04 $11.2065
2025-09-03 $11.2059
2025-09-02 $11.2053
2025-08-29 $11.2029
2025-08-28 $11.2022
2025-08-27 $11.2016
2025-08-26 $11.2010
2025-08-25 $11.2004
2025-08-22 $11.1984
2025-08-21 $11.1978
2025-08-20 $11.1972
2025-08-19 $11.1965
2025-08-18 $11.1960
2025-08-14 $11.1935
2025-08-13 $11.1929
2025-08-12 $11.1923
2025-08-11 $11.1916
2025-08-08 $11.1898
2025-08-07 $11.1891
2025-08-06 $11.1885
2025-08-05 $11.1879
2025-08-01 $11.1855
2025-07-31 $11.1849
2025-07-30 $11.1843
2025-07-29 $11.1837
2025-07-28 $11.1830
2025-07-25 $11.1812
2025-07-24 $11.1806
2025-07-23 $11.1799
2025-07-22 $11.1793
2025-07-21 $11.1787
2025-07-18 $11.1767
2025-07-17 $11.1760
2025-07-16 $11.1755
2025-07-15 $11.1748
2025-07-14 $11.1742
2025-07-11 $11.1724
2025-07-10 $11.1718
2025-07-09 $11.1711
2025-07-08 $11.1705
2025-07-07 $11.1698
2025-07-04 $11.1679
2025-07-03 $11.1673
2025-07-02 $11.1667
2025-06-30 $11.1655
2025-06-27 $11.1636
2025-06-26 $11.1630
2025-06-25 $11.1623
2025-06-24 $11.1617
2025-06-23 $11.1611
2025-06-20 $11.1592
2025-06-19 $11.1585
2025-06-18 $11.1577
2025-06-17 $11.1571
2025-06-16 $11.1564
2025-06-13 $11.1545
2025-06-12 $11.1539
2025-06-11 $11.1533
2025-06-10 $11.1526
2025-06-09 $11.1519
2025-06-06 $11.1500
2025-06-05 $11.1494
2025-06-04 $11.1487
2025-06-03 $11.1481
2025-06-02 $11.1475
2025-05-30 $11.1455
2025-05-29 $11.1449
2025-05-28 $11.1443
2025-05-27 $11.1436
2025-05-26 $11.1430
2025-05-23 $11.1409
2025-05-22 $11.1403
2025-05-21 $11.1396
2025-05-20 $11.1390
2025-05-16 $11.1365
2025-05-15 $11.1359
2025-05-14 $11.1352
2025-05-13 $11.1345
2025-05-12 $11.1339
2025-05-09 $11.1320
2025-05-08 $11.1313
2025-05-07 $11.1307
2025-05-06 $11.1300
2025-05-05 $11.1293
2025-05-02 $11.1274
2025-05-01 $11.1267
2025-04-30 $11.1261
2025-04-29 $11.1254
2025-04-28 $11.1248
2025-04-25 $11.1228
2025-04-24 $11.1221
2025-04-23 $11.1215
2025-04-22 $11.1208
2025-04-21 $11.1201
2025-04-17 $11.1175
2025-04-16 $11.1168
2025-04-15 $11.1159
2025-04-14 $11.1152
2025-04-11 $11.1132
2025-04-10 $11.1125
2025-04-09 $11.1118
2025-04-08 $11.1111

Portfolio Manager(s)

Albert Ngo

Senior Portfolio Manager, Fixed Income