Overview

Daily NAV
$30.48
1.02% $0.31
May 2, 2025
  • Inception Date
    January 7, 2002
  • Net Assets
    $1.21 billion
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $500 initial, $30 per fund
  • MER
    2.71%
  • Asset class
    U.S. Equity

Risk: Medium

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 growth by investing primarily in U.S. large cap equity securities

Fund codes

Series Deferred Sales Charge No load
Class A ECF0560 ECF0760
  • * 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: $30,655.81 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 American Value GIF Class A -3.46% -2.97% -0.06% -2.97% 3.86% 7.43% 11.44% 8.16% 4.94%
Series Empire Life American Value GIF Class A
1 mth -3.46%
3 mths -2.97%
6 mths -0.06%
YTD -2.97%
1 year 3.86%
3 years 7.43%
5 years 11.44%
10 years 8.16%
psi 4.94%

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 American Value GIF Class A 13.08% 6.01% 9.91% 0.54% 23.55% 9.60% 12.46% -1.97% 6.76% 18.14%
Series Empire Life American Value GIF Class A
2015 13.08%
2016 6.01%
2017 9.91%
2018 0.54%
2019 23.55%
2020 9.60%
2021 12.46%
2022 -1.97%
2023 6.76%
2024 18.14%

Portfolio Allocations As at March 31, 2025

Sector Allocation

Colours Name Weight
Information Technology 21.20%
Financials 17.61%
Consumer Discretionary 10.73%
Energy 10.47%
Health Care 8.91%
Industrials 7.58%
Materials 6.67%
Communication Services 6.65%
Consumer Staples 5.23%
Utilities 4.95%

Asset Allocation

Colours Name Weight
U.S. Equity 91.82%
Canadian Equity 6.47%
Cash and Equivalents 1.71%

Top 10 Holdings

Name Weight
Microsoft Corporation 6.61%
Amazon.com Inc 4.27%
Agnico Eagle Mines Limited 3.76%
Anthem Inc. 2.98%
Newmont Mining Corporation 2.80%
PNC Financial Services Group Inc. (The) Com 2.74%
Northrop Grumman Corp. Com 2.53%
EOG Resources Inc. Com 2.53%
Cameco Corp. 2.37%
Visa Inc. 'A' 2.27%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-02 $30.4770
2025-05-01 $30.1694
2025-04-30 $29.9426
2025-04-29 $29.9651
2025-04-28 $29.8252
2025-04-25 $29.8295
2025-04-24 $29.8125
2025-04-23 $29.2350
2025-04-22 $28.8521
2025-04-21 $28.3155
2025-04-17 $28.9934
2025-04-16 $28.9343
2025-04-15 $29.3391
2025-04-14 $29.3098
2025-04-11 $29.1998
2025-04-10 $28.8170
2025-04-09 $29.9690
2025-04-08 $27.7874
2025-04-04 $28.2121
2025-04-03 $29.6292
2025-04-02 $31.3954
2025-04-01 $31.2186
2025-03-31 $31.2582
2025-03-28 $30.9361
2025-03-27 $31.5358
2025-03-26 $31.4222
2025-03-25 $31.6900
2025-03-24 $31.6779
2025-03-21 $31.3346
2025-03-20 $31.3600
2025-03-19 $31.4580
2025-03-18 $31.1306
2025-03-17 $31.2668
2025-03-14 $31.1131
2025-03-13 $30.6040
2025-03-12 $30.8718
2025-03-11 $30.9687
2025-03-10 $31.0171
2025-03-07 $31.4721
2025-03-06 $31.1852
2025-03-05 $31.8377
2025-03-04 $31.7180
2025-03-03 $31.8684
2025-02-28 $32.3782
2025-02-27 $32.0522
2025-02-26 $32.2883
2025-02-25 $32.1893
2025-02-24 $32.1923
2025-02-21 $32.2595
2025-02-20 $32.8260
2025-02-19 $33.0069
2025-02-18 $32.8953
2025-02-14 $32.7019
2025-02-13 $33.0287
2025-02-12 $32.9288
2025-02-11 $33.1698
2025-02-10 $33.2955
2025-02-07 $33.0231
2025-02-06 $33.3309
2025-02-05 $33.3579
2025-02-04 $33.2461
2025-02-03 $33.5664
2025-01-31 $33.5362
2025-01-30 $33.5781
2025-01-29 $33.4081
2025-01-28 $33.3699
2025-01-27 $33.3091
2025-01-24 $33.5356
2025-01-23 $33.6949
2025-01-22 $33.5231
2025-01-21 $33.3876
2025-01-20 $32.9052
2025-01-17 $33.0362
2025-01-16 $32.8032
2025-01-15 $32.6469
2025-01-14 $32.2844
2025-01-13 $32.3067
2025-01-10 $32.2117
2025-01-09 $32.6137
2025-01-08 $32.5931
2025-01-07 $32.4051
2025-01-06 $32.6183
2025-01-03 $32.7439
2025-01-02 $32.4021
2024-12-31 $32.2145
2024-12-30 $32.2095
2024-12-27 $32.5675
2024-12-24 $32.7430
2024-12-23 $32.5999
2024-12-20 $32.4755
2024-12-19 $32.2651
2024-12-18 $32.2381
2024-12-17 $33.1364
2024-12-16 $33.0322
2024-12-13 $33.1588
2024-12-12 $33.2335
2024-12-11 $33.2873
2024-12-10 $33.1473
2024-12-09 $33.1889
2024-12-06 $33.4329
2024-12-05 $33.2078
2024-12-04 $33.3618
2024-12-03 $33.2964
2024-12-02 $33.3706
2024-11-29 $33.2197
2024-11-28 $33.1243
2024-11-27 $33.1644
2024-11-26 $33.2973
2024-11-25 $32.9670
2024-11-22 $32.8662
2024-11-21 $32.6318
2024-11-20 $32.4482
2024-11-19 $32.4072
2024-11-18 $32.5134
2024-11-15 $32.3413
2024-11-14 $32.5343
2024-11-13 $32.5963
2024-11-12 $32.5567
2024-11-11 $32.6008
2024-11-08 $32.6143
2024-11-07 $32.5032
2024-11-06 $32.4649
2024-11-05 $31.7410
2024-11-04 $31.5862
2024-11-01 $31.7224
2024-10-31 $31.6319
2024-10-30 $31.9422
2024-10-29 $31.9747
2024-10-28 $32.0287
2024-10-25 $31.8519
2024-10-24 $31.9254
2024-10-22 $32.1477
2024-10-21 $32.1972
2024-10-18 $32.3254
2024-10-16 $32.2480
2024-10-15 $32.0627
2024-10-11 $31.9547
2024-10-10 $31.6359
2024-10-09 $31.4956
2024-10-08 $31.3115
2024-10-07 $31.1279
2024-10-04 $31.3805
2024-10-03 $31.1437
2024-10-02 $31.1045
2024-10-01 $31.2172
2024-09-30 $31.2783
2024-09-27 $31.2079
2024-09-26 $31.2094
2024-09-25 $31.0723
2024-09-24 $31.2416
2024-09-23 $31.3267
2024-09-20 $31.4201
2024-09-19 $31.3385
2024-09-18 $31.0728
2024-09-17 $31.1497
2024-09-16 $31.1584
2024-09-13 $30.9876
2024-09-12 $30.7981
2024-09-11 $30.6018
2024-09-10 $30.4748
2024-09-09 $30.3042
2024-09-06 $29.9794
2024-09-05 $30.3747
2024-09-04 $30.4043
2024-09-03 $30.5588
2024-08-30 $30.8738
2024-08-29 $30.6262
2024-08-28 $30.4166
2024-08-27 $30.5479
2024-08-26 $30.5838
2024-08-23 $30.7031
2024-08-22 $30.5813
2024-08-21 $30.7802
2024-08-20 $30.6521
2024-08-19 $30.7516
2024-08-16 $30.7212
2024-08-15 $30.6031
2024-08-13 $30.2131
2024-08-12 $29.9708
2024-08-09 $29.9499
2024-08-08 $29.9383
2024-08-07 $29.3805
2024-08-06 $29.7073
2024-08-01 $30.8078
2024-07-31 $31.0402
2024-07-30 $30.9373
2024-07-29 $30.9511
2024-07-26 $30.9066
2024-07-25 $30.5780
2024-07-24 $30.4856
2024-07-23 $30.7783
2024-07-22 $30.8206
2024-07-18 $30.6899
2024-07-17 $30.9952
2024-07-16 $31.1744
2024-07-15 $30.7539
2024-07-12 $30.6026
2024-07-11 $30.4252
2024-07-10 $30.2900
2024-07-09 $30.0673
2024-07-08 $30.1226
2024-07-05 $30.1766
2024-07-04 $30.0659
2024-07-03 $30.0957
2024-07-02 $30.1993
2024-06-28 $29.9654
2024-06-27 $30.0862
2024-06-26 $30.0735
2024-06-25 $29.9914
2024-06-24 $30.1616
2024-06-21 $30.1574
2024-06-20 $30.0785
2024-06-19 $29.9268
2024-06-18 $29.9808
2024-06-17 $30.0007
2024-06-14 $29.8329
2024-06-13 $29.9539
2024-06-12 $29.9547
2024-06-11 $30.0857
2024-06-10 $30.2016
2024-06-07 $30.0251
2024-06-06 $30.1019
2024-06-05 $30.0212
2024-06-04 $29.7707
2024-06-03 $29.7526
2024-05-31 $29.8800
2024-05-30 $29.6800
2024-05-29 $29.7600
2024-05-28 $29.8998
2024-05-27 $30.0910
2024-05-24 $30.1728
2024-05-23 $30.1334
2024-05-22 $30.4415
2024-05-21 $30.4867
2024-05-17 $30.4001
2024-05-16 $30.3075
2024-05-15 $30.3655
2024-05-14 $30.1790
2024-05-13 $30.1686
2024-05-10 $30.2323
2024-05-09 $30.2927
2024-05-08 $30.1531
2024-05-07 $30.1064
2024-05-06 $29.8952

Portfolio Manager(s)

Ashley Misquitta

Senior Portfolio Manager, U.S. & Global Equities

Empire Life Investment Team

Empire Life Investment Team