Overview

Daily NAV
$26.74
0.58% $0.15
April 2, 2026
  • Inception Date
    April 20, 2015
  • Net Assets
    $1.29 billion
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    2.81%
  • Asset class
    U.S. Equity
  • Management Fee
    2.30%

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 Front-end load Low load * No load Deferred Sales Charge *
Class K ECF11060 ECF11260 ECF11360 ECF11560
  • * 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: $27,313.29 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 American Value GIF Class K 1.64% 4.42% 10.23% 5.87% 17.38% 13.93% 10.00% 10.76% 9.75%
Series Empire Life American Value GIF Class K
1 mth 1.64%
3 mths 4.42%
6 mths 10.23%
YTD 5.87%
1 year 17.38%
3 years 13.93%
5 years 10.00%
10 years 10.76%
psi 9.75%

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 American Value GIF Class K 6.24% 10.12% 0.70% 23.67% 9.47% 12.37% -2.08% 6.64% 18.01% 11.41%
Series Empire Life American Value GIF Class K
2016 6.24%
2017 10.12%
2018 0.70%
2019 23.67%
2020 9.47%
2021 12.37%
2022 -2.08%
2023 6.64%
2024 18.01%
2025 11.41%

Portfolio Allocations As at February 28, 2026

Sector Allocation

Colours Name Weight
Information Technology 26.92%
Energy 14.39%
Financials 12.14%
Consumer Discretionary 10.51%
Communication Services 7.55%
Materials 7.05%
Health Care 6.72%
Utilities 5.41%
Industrials 4.90%
Consumer Staples 3.77%
Real Estate 0.65%

Asset Allocation

Colours Name Weight
U.S. Equity 86.48%
Canadian Equity 11.54%
Cash and Equivalents 1.98%

Top 10 Holdings

Name Weight
Cameco Corp. 5.84%
Agnico Eagle Mines Limited 5.56%
Microsoft Corporation 4.63%
Alphabet, Inc. Class C 4.03%
Micron Technology Inc. 3.80%
Amazon.com Inc 3.50%
Lam Research Corp. Com New 3.46%
Apple Inc. Com 3.01%
Vistra Corp. Com 2.84%
PNC Financial Services Group Inc. (The) Com 2.76%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2026-04-02 $26.7361
2026-04-01 $26.5822
2026-03-31 $26.5017
2026-03-30 $25.7564
2026-03-27 $25.8886
2026-03-26 $26.0755
2026-03-25 $26.3348
2026-03-24 $26.1727
2026-03-23 $26.0952
2026-03-20 $25.8411
2026-03-19 $26.3475
2026-03-18 $26.4468
2026-03-17 $26.8443
2026-03-16 $26.6280
2026-03-13 $26.4684
2026-03-12 $26.5063
2026-03-11 $26.8321
2026-03-10 $26.8368
2026-03-09 $26.8298
2026-03-06 $26.6279
2026-03-05 $27.2116
2026-03-04 $27.4388
2026-03-03 $27.2726
2026-03-02 $27.7703
2026-02-27 $27.4799
2026-02-26 $27.6811
2026-02-25 $27.7143
2026-02-24 $27.6358
2026-02-23 $27.3476
2026-02-20 $27.5721
2026-02-19 $27.3923
2026-02-18 $27.3301
2026-02-17 $27.0333
2026-02-13 $27.0211
2026-02-12 $26.7895
2026-02-11 $27.2129
2026-02-10 $26.9114
2026-02-09 $27.0809
2026-02-06 $26.9777
2026-02-05 $26.5333
2026-02-04 $26.9520
2026-02-03 $27.2238
2026-02-02 $27.4289
2026-01-30 $27.0364
2026-01-29 $27.6269
2026-01-28 $27.8202
2026-01-27 $27.6604
2026-01-26 $27.5835
2026-01-23 $27.6653
2026-01-22 $27.7261
2026-01-21 $27.6040
2026-01-20 $27.3193
2026-01-19 $27.6862
2026-01-16 $27.7800
2026-01-15 $27.6548
2026-01-14 $27.4851
2026-01-13 $27.5365
2026-01-12 $27.6883
2026-01-09 $27.5773
2026-01-08 $27.1665
2026-01-07 $26.9970
2026-01-06 $27.0734
2026-01-05 $26.5500
2026-01-02 $26.2697
2025-12-31 $25.9568
2025-12-30 $26.1172
2025-12-29 $26.1309
2025-12-24 $26.2705
2025-12-23 $26.2597
2025-12-22 $26.2242
2025-12-19 $26.0145
2025-12-18 $25.7033
2025-12-17 $25.4941
2025-12-16 $25.6850
2025-12-15 $25.8703
2025-12-12 $26.0513
2025-12-11 $26.4342
2025-12-10 $26.3634
2025-12-09 $26.1832
2025-12-08 $26.1287
2025-12-04 $26.3456
2025-12-03 $26.3025
2025-12-02 $26.2219
2025-12-01 $26.1912
2025-11-28 $26.3170
2025-11-27 $26.3237
2025-11-26 $26.3665
2025-11-25 $26.2159
2025-11-24 $25.8961
2025-11-21 $25.5267
2025-11-20 $25.1201
2025-11-19 $25.5054
2025-11-18 $25.3248
2025-11-17 $25.5177
2025-11-14 $25.8347
2025-11-13 $25.8027
2025-11-12 $26.2397
2025-11-11 $26.2005
2025-11-10 $26.2260
2025-11-07 $26.0102
2025-11-06 $25.9653
2025-11-05 $26.2986
2025-11-04 $26.1034
2025-11-03 $26.4078
2025-10-31 $26.2473
2025-10-30 $26.1900
2025-10-29 $26.2434
2025-10-28 $26.3908
2025-10-27 $26.2773
2025-10-24 $26.2466
2025-10-23 $26.0478
2025-10-22 $25.8174
2025-10-21 $26.0637
2025-10-20 $26.2414
2025-10-17 $26.0354
2025-10-16 $26.1228
2025-10-15 $26.3018
2025-10-14 $26.2339
2025-10-10 $25.5277
2025-10-09 $26.1151
2025-10-08 $26.1707
2025-10-07 $25.9683
2025-10-06 $26.1172
2025-10-03 $26.0573
2025-10-02 $26.0179
2025-10-01 $25.9606
2025-09-30 $25.8397
2025-09-29 $25.8447
2025-09-26 $25.8959
2025-09-25 $25.6742
2025-09-24 $25.6968
2025-09-23 $25.6876
2025-09-22 $25.7698
2025-09-19 $25.6746
2025-09-18 $25.6247
2025-09-17 $25.4504
2025-09-16 $25.3407
2025-09-15 $25.5969
2025-09-12 $25.4600
2025-09-11 $25.5407
2025-09-10 $25.3110
2025-09-09 $25.2185
2025-09-08 $25.2080
2025-09-05 $25.1361
2025-09-04 $25.1333
2025-09-03 $24.8994
2025-09-02 $24.8870
2025-08-29 $24.9292
2025-08-28 $25.0462
2025-08-27 $25.0685
2025-08-26 $24.9736
2025-08-25 $24.8927
2025-08-22 $25.0483
2025-08-21 $24.7452
2025-08-20 $24.7200
2025-08-19 $24.7488
2025-08-18 $24.8295
2025-08-14 $24.8505
2025-08-13 $24.8273
2025-08-12 $24.7188
2025-08-11 $24.4751
2025-08-08 $24.5144
2025-08-07 $24.4236
2025-08-06 $24.4771
2025-08-05 $24.4732
2025-08-01 $24.1093
2025-07-31 $24.5248
2025-07-30 $24.5832
2025-07-29 $24.6216
2025-07-28 $24.5079
2025-07-25 $24.5427
2025-07-24 $24.4019
2025-07-23 $24.3955
2025-07-22 $24.2741
2025-07-21 $24.1415
2025-07-18 $24.1420
2025-07-17 $24.2020
2025-07-16 $24.0592
2025-07-15 $24.0117
2025-07-14 $24.1506
2025-07-11 $24.1417
2025-07-10 $24.2058
2025-07-09 $24.1855
2025-07-08 $24.0590
2025-07-07 $24.0429
2025-07-04 $24.0478
2025-07-03 $24.0072
2025-07-02 $23.9006
2025-06-30 $23.8383
2025-06-27 $23.7420
2025-06-26 $23.6868
2025-06-25 $23.5818
2025-06-24 $23.6399
2025-06-23 $23.5173
2025-06-20 $23.3032
2025-06-19 $23.3854
2025-06-18 $23.3107
2025-06-17 $23.2408
2025-06-16 $23.2827
2025-06-13 $23.1860
2025-06-12 $23.3906
2025-06-11 $23.3491
2025-06-10 $23.3522
2025-06-09 $23.3324
2025-06-06 $23.2448
2025-06-05 $23.0048
2025-06-04 $23.0369
2025-06-03 $23.1297
2025-06-02 $22.9507
2025-05-30 $22.8751
2025-05-29 $22.9911
2025-05-28 $22.9801
2025-05-27 $22.9861
2025-05-26 $22.5844
2025-05-23 $22.6278
2025-05-22 $22.8454
2025-05-21 $22.8263
2025-05-20 $23.2882
2025-05-16 $23.2781
2025-05-15 $23.1607
2025-05-14 $22.9626
2025-05-13 $23.0604
2025-05-12 $23.0142
2025-05-09 $22.4054
2025-05-08 $22.3932
2025-05-07 $22.1284
2025-05-06 $22.0882
2025-05-05 $22.0938
2025-05-02 $22.0326
2025-05-01 $21.8103
2025-04-30 $21.6464
2025-04-29 $21.6627
2025-04-28 $21.5616
2025-04-25 $21.5650
2025-04-24 $21.5527
2025-04-23 $21.1354
2025-04-22 $20.8586
2025-04-21 $20.4707
2025-04-17 $20.9611
2025-04-16 $20.9184
2025-04-15 $21.2111
2025-04-14 $21.1900
2025-04-11 $21.1107
2025-04-10 $20.8341
2025-04-09 $21.6670
2025-04-08 $20.0898

Portfolio Manager(s)

Ashley Misquitta

Senior Portfolio Manager, U.S. & Global Equities

Empire Life Investment Team

Empire Life Investment Team