Overview

Daily NAV
$31.02
-0.93% ($0.29)
June 17, 2026
  • Inception Date
    November 3, 2014
  • Net Assets
    $1.28 billion
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    3.77%
  • 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 M ECF13060 ECF13260 ECF13360 ECF13560
  • * 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 May 31, 2026

Growth of $10,000

Investment value: $30,981.23 at May 29, 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 M 4.12% 6.10% 10.54% 12.16% 26.60% 15.51% 9.65% 10.22% 10.26%
Series Empire Life American Value GIF Class M
1 mth 4.12%
3 mths 6.10%
6 mths 10.54%
YTD 12.16%
1 year 26.60%
3 years 15.51%
5 years 9.65%
10 years 10.22%
psi 10.26%

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 M 6.05% 9.95% 0.57% 23.35% 8.40% 11.29% -3.01% 5.63% 16.88% 10.44%
Series Empire Life American Value GIF Class M
2016 6.05%
2017 9.95%
2018 0.57%
2019 23.35%
2020 8.40%
2021 11.29%
2022 -3.01%
2023 5.63%
2024 16.88%
2025 10.44%

Portfolio Allocations As at April 30, 2026

Sector Allocation

Colours Name Weight
Information Technology 28.69%
Energy 17.22%
Financials 10.71%
Consumer Discretionary 10.57%
Communication Services 7.82%
Health Care 5.95%
Materials 5.68%
Utilities 5.10%
Industrials 4.38%
Consumer Staples 3.52%
Real Estate 0.34%

Asset Allocation

Colours Name Weight
U.S. Equity 85.85%
Canadian Equity 9.53%
Cash and Equivalents 3.79%
International Equity 0.83%

Top 10 Holdings

Name Weight
Cameco Corp. 5.91%
Alphabet, Inc. Class C 4.73%
Microsoft Corporation 4.59%
Amazon.com Inc 4.22%
ROYAL BK OF CAD 3.55% 01MAY26 $USD TD 3.76%
Lam Research Corp. Com New 3.76%
Agnico Eagle Mines Limited 3.37%
NVIDIA Corp. Com 3.10%
Apple Inc. Com 2.96%
Micron Technology Inc. 2.89%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2026-06-17 $31.0221
2026-06-16 $31.3121
2026-06-15 $31.4365
2026-06-12 $30.9610
2026-06-11 $30.8585
2026-06-10 $30.0589
2026-06-09 $30.5980
2026-06-08 $30.6351
2026-06-05 $30.4650
2026-06-04 $31.4679
2026-06-03 $31.3711
2026-06-02 $31.5741
2026-06-01 $31.3314
2026-05-29 $31.1191
2026-05-28 $31.0584
2026-05-27 $30.8695
2026-05-26 $30.9091
2026-05-25 $30.6344
2026-05-22 $30.6831
2026-05-21 $30.4785
2026-05-20 $30.3256
2026-05-19 $30.0457
2026-05-15 $30.2312
2026-05-14 $30.5938
2026-05-13 $30.4271
2026-05-12 $30.4073
2026-05-11 $30.4524
2026-05-08 $30.4295
2026-05-07 $30.1513
2026-05-06 $30.3928
2026-05-05 $30.0230
2026-05-04 $29.8165
2026-05-01 $29.7551
2026-04-30 $29.8887
2026-04-29 $29.6133
2026-04-28 $29.6756
2026-04-27 $29.8327
2026-04-24 $29.9587
2026-04-23 $29.7265
2026-04-22 $29.8830
2026-04-17 $29.7764
2026-04-16 $29.6462
2026-04-15 $29.6019
2026-04-14 $29.4415
2026-04-13 $29.3291
2026-04-10 $29.0809
2026-04-09 $29.1212
2026-04-08 $29.0768
2026-04-07 $28.6259
2026-04-06 $28.5894
2026-04-02 $28.5106
2026-04-01 $28.3473
2026-03-31 $28.2621
2026-03-30 $27.4680
2026-03-27 $27.6111
2026-03-26 $27.8112
2026-03-25 $28.0884
2026-03-24 $27.9162
2026-03-23 $27.8343
2026-03-20 $27.5653
2026-03-19 $28.1062
2026-03-18 $28.2129
2026-03-17 $28.6377
2026-03-16 $28.4076
2026-03-13 $28.2395
2026-03-12 $28.2806
2026-03-11 $28.6289
2026-03-10 $28.6346
2026-03-09 $28.6279
2026-03-06 $28.4147
2026-03-05 $29.0383
2026-03-04 $29.2815
2026-03-03 $29.1049
2026-03-02 $29.6367
2026-02-27 $29.3292
2026-02-26 $29.5447
2026-02-25 $29.5808
2026-02-24 $29.4978
2026-02-23 $29.1909
2026-02-20 $29.4328
2026-02-19 $29.2417
2026-02-18 $29.1760
2026-02-17 $28.8599
2026-02-13 $28.8497
2026-02-12 $28.6032
2026-02-11 $29.0560
2026-02-10 $28.7347
2026-02-09 $28.9164
2026-02-06 $28.8084
2026-02-05 $28.3346
2026-02-04 $28.7825
2026-02-03 $29.0735
2026-02-02 $29.2933
2026-01-30 $28.8762
2026-01-29 $29.5077
2026-01-28 $29.7149
2026-01-27 $29.5450
2026-01-26 $29.4635
2026-01-23 $29.5532
2026-01-22 $29.6189
2026-01-21 $29.4892
2026-01-20 $29.1858
2026-01-19 $29.5785
2026-01-16 $29.6810
2026-01-15 $29.5480
2026-01-14 $29.3674
2026-01-13 $29.4230
2026-01-12 $29.5860
2026-01-09 $29.4696
2026-01-08 $29.0313
2026-01-07 $28.8510
2026-01-06 $28.9334
2026-01-05 $28.3747
2026-01-02 $28.0772
2025-12-31 $27.7441
2025-12-30 $27.9163
2025-12-29 $27.9316
2025-12-24 $28.0844
2025-12-23 $28.0737
2025-12-22 $28.0364
2025-12-19 $27.8143
2025-12-18 $27.4822
2025-12-17 $27.2593
2025-12-16 $27.4641
2025-12-15 $27.6630
2025-12-12 $27.8587
2025-12-11 $28.2688
2025-12-10 $28.1939
2025-12-09 $28.0019
2025-12-08 $27.9443
2025-12-04 $28.1792
2025-12-03 $28.1338
2025-12-02 $28.0484
2025-12-01 $28.0162
2025-11-28 $28.1529
2025-11-27 $28.1608
2025-11-26 $28.2073
2025-11-25 $28.0469
2025-11-24 $27.7054
2025-11-21 $27.3123
2025-11-20 $26.8780
2025-11-19 $27.2909
2025-11-18 $27.0984
2025-11-17 $27.3055
2025-11-14 $27.6468
2025-11-13 $27.6132
2025-11-12 $28.0816
2025-11-11 $28.0404
2025-11-10 $28.0684
2025-11-07 $27.8396
2025-11-06 $27.7922
2025-11-05 $28.1497
2025-11-04 $27.9415
2025-11-03 $28.2680
2025-10-31 $28.0983
2025-10-30 $28.0377
2025-10-29 $28.0956
2025-10-28 $28.2541
2025-10-27 $28.1333
2025-10-24 $28.1025
2025-10-23 $27.8904
2025-10-22 $27.6444
2025-10-21 $27.9088
2025-10-20 $28.0999
2025-10-17 $27.8813
2025-10-16 $27.9757
2025-10-15 $28.1681
2025-10-14 $28.0961
2025-10-10 $27.3425
2025-10-09 $27.9724
2025-10-08 $28.0327
2025-10-07 $27.8166
2025-10-06 $27.9768
2025-10-03 $27.9148
2025-10-02 $27.8733
2025-10-01 $27.8126
2025-09-30 $27.6838
2025-09-29 $27.6899
2025-09-26 $27.7469
2025-09-25 $27.5100
2025-09-24 $27.5349
2025-09-23 $27.5258
2025-09-22 $27.6146
2025-09-19 $27.5147
2025-09-18 $27.4618
2025-09-17 $27.2758
2025-09-16 $27.1589
2025-09-15 $27.4341
2025-09-12 $27.2895
2025-09-11 $27.3768
2025-09-10 $27.1313
2025-09-09 $27.0327
2025-09-08 $27.0222
2025-09-05 $26.9472
2025-09-04 $26.9448
2025-09-03 $26.6948
2025-09-02 $26.6822
2025-08-29 $26.7302
2025-08-28 $26.8563
2025-08-27 $26.8809
2025-08-26 $26.7798
2025-08-25 $26.6937
2025-08-22 $26.8627
2025-08-21 $26.5383
2025-08-20 $26.5120
2025-08-19 $26.5435
2025-08-18 $26.6307
2025-08-14 $26.6559
2025-08-13 $26.6318
2025-08-12 $26.5160
2025-08-11 $26.2553
2025-08-08 $26.2994
2025-08-07 $26.2027
2025-08-06 $26.2608
2025-08-05 $26.2573
2025-08-01 $25.8695
2025-07-31 $26.3161
2025-07-30 $26.3793
2025-07-29 $26.4211
2025-07-28 $26.2997
2025-07-25 $26.3389
2025-07-24 $26.1884
2025-07-23 $26.1822
2025-07-22 $26.0525
2025-07-21 $25.9107
2025-07-18 $25.9131
2025-07-17 $25.9780
2025-07-16 $25.8253
2025-07-15 $25.7750
2025-07-14 $25.9247
2025-07-11 $25.9169
2025-07-10 $25.9863
2025-07-09 $25.9651
2025-07-08 $25.8299
2025-07-07 $25.8133
2025-07-04 $25.8202
2025-07-03 $25.7773
2025-07-02 $25.6634
2025-06-30 $25.5977
2025-06-27 $25.4960
2025-06-26 $25.4374
2025-06-25 $25.3252
2025-06-24 $25.3882
2025-06-23 $25.2571
2025-06-20 $25.0289
2025-06-19 $25.1178
2025-06-18 $25.0381

Portfolio Manager(s)

Ashley Misquitta

Senior Portfolio Manager, U.S. & Global Equities

Empire Life Investment Team

Empire Life Investment Team