Overview

Daily NAV
$19.34
0.54% $0.10
May 7, 2025
  • Inception Date
    July 14, 2010
  • Net Assets
    $499.18 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $10,000 initial, $500 per fund
  • MER
    2.66%
  • Asset class
    Canadian Equity Balanced

Risk: Low to 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 and income by investing primarily in equity and fixed income investment funds, with a target equity allocation of 70%

Fund codes

Series Front-end load Low load * Deferred Sales Charge *
Class G ECF7046 ECF7246 ECF7546
  • * 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: $19,295.28 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 Dividend Balanced GIF Class G -1.61% 0.22% 0.02% 0.22% 7.40% 3.61% 9.10% 3.22% 4.57%
Series Empire Life Dividend Balanced GIF Class G
1 mth -1.61%
3 mths 0.22%
6 mths 0.02%
YTD 0.22%
1 year 7.40%
3 years 3.61%
5 years 9.10%
10 years 3.22%
psi 4.57%

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 Dividend Balanced GIF Class G -1.94% 13.20% 4.73% -12.61% 11.04% -2.55% 15.37% -6.72% 6.82% 10.76%
Series Empire Life Dividend Balanced GIF Class G
2015 -1.94%
2016 13.20%
2017 4.73%
2018 -12.61%
2019 11.04%
2020 -2.55%
2021 15.37%
2022 -6.72%
2023 6.82%
2024 10.76%

Portfolio Allocations As at March 31, 2025

Sector Allocation

Colours Name Weight
Financials 28.73%
Energy 13.59%
Industrials 9.61%
Materials 8.98%
Communication Services 8.68%
Consumer Staples 7.92%
Utilities 6.32%
Consumer Discretionary 6.00%
Information Technology 4.31%
Real Estate 3.38%
Health Care 2.47%

Asset Allocation

Colours Name Weight
Canadian Equity 57.19%
Canadian Bonds 27.44%
U.S. Equity 5.74%
International Equity 5.20%
Cash and Equivalents 2.46%
U.S. Bonds 1.98%
International Bond Funds 0.10%

Top 10 Holdings

Name Weight
Toronto-Dominion Bank 3.87%
Royal Bank of Canada 3.56%
TELUS Corporation 2.22%
ROYAL BK OF CAD 2.65% 01APR25 TD 2.22%
Sun Life Financial Inc. 2.02%
Bank of Montreal 1.87%
Canadian Natural Resources Limited 1.84%
Suncor Energy Inc. 1.81%
Enbridge Inc. 1.73%
Bank of Nova Scotia 1.69%

Underlying Fund Holdings

Name Weight
Empire Life Dividend Growth Fund 69.46%
Empire Life Bond Fund 29.87%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-07 $19.3368
2025-05-06 $19.2329
2025-05-05 $19.2397
2025-05-02 $19.3009
2025-05-01 $19.2155
2025-04-30 $19.2435
2025-04-29 $19.2149
2025-04-28 $19.1328
2025-04-25 $19.0797
2025-04-24 $19.0857
2025-04-23 $18.9860
2025-04-22 $18.9337
2025-04-21 $18.7546
2025-04-17 $18.8719
2025-04-16 $18.8314
2025-04-15 $18.8560
2025-04-14 $18.7929
2025-04-11 $18.5811
2025-04-10 $18.3361
2025-04-09 $18.6964
2025-04-08 $18.2485
2025-04-04 $18.7367
2025-04-03 $19.2166
2025-04-02 $19.5299
2025-04-01 $19.4333
2025-03-31 $19.4070
2025-03-28 $19.2814
2025-03-27 $19.4270
2025-03-26 $19.4093
2025-03-25 $19.4656
2025-03-24 $19.4702
2025-03-21 $19.3734
2025-03-20 $19.4318
2025-03-19 $19.4623
2025-03-18 $19.3397
2025-03-17 $19.3719
2025-03-14 $19.2660
2025-03-13 $19.1452
2025-03-12 $19.2501
2025-03-11 $19.2224
2025-03-10 $19.3710
2025-03-07 $19.4429
2025-03-06 $19.2994
2025-03-05 $19.4681
2025-03-04 $19.4473
2025-03-03 $19.6400
2025-02-28 $19.7245
2025-02-27 $19.6108
2025-02-26 $19.6507
2025-02-25 $19.6464
2025-02-24 $19.5323
2025-02-21 $19.5148
2025-02-20 $19.5498
2025-02-19 $19.5872
2025-02-18 $19.5579
2025-02-14 $19.5444
2025-02-13 $19.6406
2025-02-12 $19.5716
2025-02-11 $19.6614
2025-02-10 $19.6780
2025-02-07 $19.5840
2025-02-06 $19.6952
2025-02-05 $19.6886
2025-02-04 $19.5727
2025-02-03 $19.6412
2025-01-31 $19.7540
2025-01-30 $19.8320
2025-01-29 $19.6993
2025-01-28 $19.6857
2025-01-27 $19.6866
2025-01-24 $19.6547
2025-01-23 $19.6382
2025-01-22 $19.5689
2025-01-21 $19.5566
2025-01-20 $19.4887
2025-01-17 $19.4527
2025-01-16 $19.3221
2025-01-15 $19.2298
2025-01-14 $19.0800
2025-01-13 $19.1088
2025-01-10 $19.2059
2025-01-09 $19.3996
2025-01-08 $19.4189
2025-01-07 $19.4205
2025-01-06 $19.4250
2025-01-03 $19.4826
2025-01-02 $19.4083
2024-12-31 $19.3652
2024-12-30 $19.3024
2024-12-27 $19.3533
2024-12-24 $19.3651
2024-12-23 $19.3367
2024-12-20 $19.2735
2024-12-19 $19.1706
2024-12-18 $19.2682
2024-12-17 $19.5285
2024-12-16 $19.5395
2024-12-13 $19.6050
2024-12-12 $19.6563
2024-12-11 $19.7617
2024-12-10 $19.7536
2024-12-09 $19.7887
2024-12-06 $19.8503
2024-12-05 $19.8133
2024-12-04 $19.8319
2024-12-03 $19.7720
2024-12-02 $19.8016
2024-11-29 $19.7794
2024-11-28 $19.6861
2024-11-27 $19.6510
2024-11-26 $19.5612
2024-11-25 $19.5668
2024-11-22 $19.4836
2024-11-21 $19.4315
2024-11-20 $19.3439
2024-11-19 $19.3526
2024-11-18 $19.3916
2024-11-15 $19.3776
2024-11-14 $19.4623
2024-11-13 $19.3703
2024-11-12 $19.3852
2024-11-11 $19.4708
2024-11-08 $19.4276
2024-11-07 $19.4431
2024-11-06 $19.3960
2024-11-05 $19.3366
2024-11-04 $19.2725
2024-11-01 $19.2613
2024-10-31 $19.2584
2024-10-30 $19.4116
2024-10-29 $19.4011
2024-10-28 $19.4751
2024-10-25 $19.4147
2024-10-24 $19.4492
2024-10-22 $19.4974
2024-10-21 $19.5036
2024-10-18 $19.6014
2024-10-16 $19.5269
2024-10-15 $19.4365
2024-10-11 $19.3827
2024-10-10 $19.3102
2024-10-09 $19.3093
2024-10-08 $19.2337
2024-10-07 $19.2438
2024-10-04 $19.3004
2024-10-03 $19.2647
2024-10-02 $19.3134
2024-10-01 $19.4020
2024-09-30 $19.4029
2024-09-27 $19.3657
2024-09-26 $19.2927
2024-09-25 $19.2467
2024-09-24 $19.2954
2024-09-23 $19.2961
2024-09-20 $19.3135
2024-09-19 $19.3164
2024-09-18 $19.2206
2024-09-17 $19.2898
2024-09-16 $19.3301
2024-09-13 $19.2388
2024-09-12 $19.1739
2024-09-11 $19.0664
2024-09-10 $19.0212
2024-09-09 $19.0411
2024-09-06 $18.8972
2024-09-05 $18.9438
2024-09-04 $18.9395
2024-09-03 $18.8716
2024-08-30 $18.8827
2024-08-29 $18.8283
2024-08-28 $18.8108
2024-08-27 $18.8687
2024-08-26 $18.8904
2024-08-23 $18.8620
2024-08-22 $18.7322
2024-08-21 $18.7734
2024-08-20 $18.7283
2024-08-19 $18.7494
2024-08-16 $18.7263
2024-08-15 $18.7086
2024-08-13 $18.5665
2024-08-12 $18.4408
2024-08-09 $18.4330
2024-08-08 $18.3679
2024-08-07 $18.2357
2024-08-06 $18.3311
2024-08-01 $18.6369
2024-07-31 $18.7344
2024-07-30 $18.6100
2024-07-29 $18.5471
2024-07-26 $18.5531
2024-07-25 $18.4175
2024-07-24 $18.3877
2024-07-23 $18.4359
2024-07-22 $18.4575
2024-07-18 $18.3872
2024-07-17 $18.4245
2024-07-16 $18.3874
2024-07-15 $18.2609
2024-07-12 $18.2338
2024-07-11 $18.1381
2024-07-10 $17.9894
2024-07-09 $17.8165
2024-07-08 $17.8632
2024-07-05 $17.8084
2024-07-04 $17.8838
2024-07-03 $17.8821
2024-07-02 $17.7512
2024-06-28 $17.7611
2024-06-27 $17.7992
2024-06-26 $17.7442
2024-06-25 $17.8281
2024-06-24 $17.8616
2024-06-21 $17.6527
2024-06-20 $17.6531
2024-06-19 $17.6321
2024-06-18 $17.7039
2024-06-17 $17.6860
2024-06-14 $17.7226
2024-06-13 $17.7838
2024-06-12 $17.8868
2024-06-11 $17.8341
2024-06-10 $17.9256
2024-06-07 $17.9470
2024-06-06 $18.0665
2024-06-05 $18.0470
2024-06-04 $17.9553
2024-06-03 $17.9406
2024-05-31 $17.9776
2024-05-30 $17.8052
2024-05-29 $17.6789
2024-05-28 $17.9309
2024-05-27 $18.0688
2024-05-24 $18.0637
2024-05-23 $18.0244
2024-05-22 $18.1321
2024-05-21 $18.1564
2024-05-17 $18.1560
2024-05-16 $18.1097
2024-05-15 $18.0981
2024-05-14 $18.0692
2024-05-13 $18.0747
2024-05-10 $18.0809
2024-05-09 $18.0918
2024-05-08 $18.0451

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team