Overview

Daily NAV
$12.84
0.86% $0.11
May 15, 2025
  • Inception Date
    October 17, 2017
  • Net Assets
    $499.18 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $10,000 initial, $500 per fund
  • MER
    2.45%
  • 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 * No load Deferred Sales Charge *
Class R ECF14046 ECF14246 ECF14346 ECF14546
  • * 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 April 30, 2025

Growth of $10,000

Investment value: $12,485.20 at April 30, 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 R -0.82% -2.53% 0.03% -0.56% 9.36% 4.62% 7.73% 3.00%
Series Empire Life Dividend Balanced GIF Class R
1 mth -0.82%
3 mths -2.53%
6 mths 0.03%
YTD -0.56%
1 year 9.36%
3 years 4.62%
5 years 7.73%
10 years
psi 3.00%

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 R -12.39% 11.29% -2.34% 15.61% -6.51% 7.05% 11.00%
Series Empire Life Dividend Balanced GIF Class R
2015
2016
2017
2018 -12.39%
2019 11.29%
2020 -2.34%
2021 15.61%
2022 -6.51%
2023 7.05%
2024 11.00%

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
2025-05-15 $12.8388
2025-05-14 $12.7289
2025-05-13 $12.7218
2025-05-12 $12.7336
2025-05-09 $12.6503
2025-05-08 $12.5961
2025-05-07 $12.5463
2025-05-06 $12.4788
2025-05-05 $12.4831
2025-05-02 $12.5226
2025-05-01 $12.4671
2025-04-30 $12.4852
2025-04-29 $12.4666
2025-04-28 $12.4132
2025-04-25 $12.3786
2025-04-24 $12.3824
2025-04-23 $12.3176
2025-04-22 $12.2836
2025-04-21 $12.1674
2025-04-17 $12.2432
2025-04-16 $12.2168
2025-04-15 $12.2327
2025-04-14 $12.1917
2025-04-11 $12.0540
2025-04-10 $11.8951
2025-04-09 $12.1287
2025-04-08 $11.8380
2025-04-04 $12.1545
2025-04-03 $12.4657
2025-04-02 $12.6689
2025-04-01 $12.6061
2025-03-31 $12.5890
2025-03-28 $12.5073
2025-03-27 $12.6017
2025-03-26 $12.5901
2025-03-25 $12.6266
2025-03-24 $12.6294
2025-03-21 $12.5664
2025-03-20 $12.6043
2025-03-19 $12.6239
2025-03-18 $12.5444
2025-03-17 $12.5652
2025-03-14 $12.4963
2025-03-13 $12.4178
2025-03-12 $12.4858
2025-03-11 $12.4677
2025-03-10 $12.5640
2025-03-07 $12.6105
2025-03-06 $12.5173
2025-03-05 $12.6267
2025-03-04 $12.6131
2025-03-03 $12.7380
2025-02-28 $12.7926
2025-02-27 $12.7188
2025-02-26 $12.7446
2025-02-25 $12.7417
2025-02-24 $12.6676
2025-02-21 $12.6560
2025-02-20 $12.6787
2025-02-19 $12.7029
2025-02-18 $12.6838
2025-02-14 $12.6747
2025-02-13 $12.7370
2025-02-12 $12.6922
2025-02-11 $12.7503
2025-02-10 $12.7610
2025-02-07 $12.6998
2025-02-06 $12.7719
2025-02-05 $12.7675
2025-02-04 $12.6923
2025-02-03 $12.7366
2025-01-31 $12.8095
2025-01-30 $12.8600
2025-01-29 $12.7739
2025-01-28 $12.7650
2025-01-27 $12.7655
2025-01-24 $12.7446
2025-01-23 $12.7338
2025-01-22 $12.6888
2025-01-21 $12.6808
2025-01-20 $12.6367
2025-01-17 $12.6131
2025-01-16 $12.5283
2025-01-15 $12.4684
2025-01-14 $12.3712
2025-01-13 $12.3898
2025-01-10 $12.4525
2025-01-09 $12.5781
2025-01-08 $12.5905
2025-01-07 $12.5914
2025-01-06 $12.5943
2025-01-03 $12.6314
2025-01-02 $12.5832
2024-12-31 $12.5551
2024-12-30 $12.5143
2024-12-27 $12.5470
2024-12-24 $12.5544
2024-12-23 $12.5360
2024-12-20 $12.4948
2024-12-19 $12.4280
2024-12-18 $12.4912
2024-12-17 $12.6599
2024-12-16 $12.6669
2024-12-13 $12.7092
2024-12-12 $12.7424
2024-12-11 $12.8106
2024-12-10 $12.8053
2024-12-09 $12.8280
2024-12-06 $12.8676
2024-12-05 $12.8436
2024-12-04 $12.8556
2024-12-03 $12.8167
2024-12-02 $12.8358
2024-11-29 $12.8212
2024-11-28 $12.7606
2024-11-27 $12.7378
2024-11-26 $12.6795
2024-11-25 $12.6831
2024-11-22 $12.6289
2024-11-21 $12.5951
2024-11-20 $12.5382
2024-11-19 $12.5438
2024-11-18 $12.5690
2024-11-15 $12.5597
2024-11-14 $12.6146
2024-11-13 $12.5549
2024-11-12 $12.5644
2024-11-11 $12.6198
2024-11-08 $12.5916
2024-11-07 $12.6016
2024-11-06 $12.5710
2024-11-05 $12.5324
2024-11-04 $12.4907
2024-11-01 $12.4833
2024-10-31 $12.4813
2024-10-30 $12.5805
2024-10-29 $12.5736
2024-10-28 $12.6215
2024-10-25 $12.5822
2024-10-24 $12.6045
2024-10-22 $12.6355
2024-10-21 $12.6395
2024-10-18 $12.7027
2024-10-16 $12.6542
2024-10-15 $12.5955
2024-10-11 $12.5604
2024-10-10 $12.5133
2024-10-09 $12.5127
2024-10-08 $12.4636
2024-10-07 $12.4701
2024-10-04 $12.5065
2024-10-03 $12.4834
2024-10-02 $12.5148
2024-10-01 $12.5722
2024-09-30 $12.5727
2024-09-27 $12.5483
2024-09-26 $12.5010
2024-09-25 $12.4711
2024-09-24 $12.5026
2024-09-23 $12.5029
2024-09-20 $12.5140
2024-09-19 $12.5158
2024-09-18 $12.4536
2024-09-17 $12.4984
2024-09-16 $12.5244
2024-09-13 $12.4651
2024-09-12 $12.4229
2024-09-11 $12.3532
2024-09-10 $12.3239
2024-09-09 $12.3367
2024-09-06 $12.2432
2024-09-05 $12.2734
2024-09-04 $12.2705
2024-09-03 $12.2264
2024-08-30 $12.2334
2024-08-29 $12.1980
2024-08-28 $12.1866
2024-08-27 $12.2241
2024-08-26 $12.2380
2024-08-23 $12.2194
2024-08-22 $12.1353
2024-08-21 $12.1619
2024-08-20 $12.1326
2024-08-19 $12.1462
2024-08-16 $12.1310
2024-08-15 $12.1195
2024-08-13 $12.0273
2024-08-12 $11.9458
2024-08-09 $11.9405
2024-08-08 $11.8982
2024-08-07 $11.8125
2024-08-06 $11.8743
2024-08-01 $12.0720
2024-07-31 $12.1351
2024-07-30 $12.0545
2024-07-29 $12.0137
2024-07-26 $12.0173
2024-07-25 $11.9294
2024-07-24 $11.9100
2024-07-23 $11.9412
2024-07-22 $11.9551
2024-07-18 $11.9093
2024-07-17 $11.9334
2024-07-16 $11.9093
2024-07-15 $11.8273
2024-07-12 $11.8095
2024-07-11 $11.7475
2024-07-10 $11.6511
2024-07-09 $11.5390
2024-07-08 $11.5692
2024-07-05 $11.5335
2024-07-04 $11.5823
2024-07-03 $11.5811
2024-07-02 $11.4963
2024-06-28 $11.5024
2024-06-27 $11.5270
2024-06-26 $11.4913
2024-06-25 $11.5455
2024-06-24 $11.5672
2024-06-21 $11.4317
2024-06-20 $11.4319
2024-06-19 $11.4182
2024-06-18 $11.4646
2024-06-17 $11.4530
2024-06-14 $11.4765
2024-06-13 $11.5161
2024-06-12 $11.5827
2024-06-11 $11.5485
2024-06-10 $11.6076
2024-06-07 $11.6213
2024-06-06 $11.6986
2024-06-05 $11.6860
2024-06-04 $11.6265
2024-06-03 $11.6169
2024-05-31 $11.6406
2024-05-30 $11.5290
2024-05-29 $11.4471
2024-05-28 $11.6102
2024-05-27 $11.6994
2024-05-24 $11.6959
2024-05-23 $11.6704
2024-05-22 $11.7401
2024-05-21 $11.7557
2024-05-17 $11.7552
2024-05-16 $11.7252

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team