Overview

Daily NAV
$23.71
0.52% $0.12
May 7, 2025
  • Inception Date
    July 14, 2010
  • Net Assets
    $608.33 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $10,000 initial, $500 per fund
  • MER
    2.69%
  • 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 ECF7051 ECF7251 ECF7551
  • * 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: $23,697.33 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 Elite Balanced GIF Class G -2.23% -0.84% 0.15% -0.84% 6.04% 4.24% 9.84% 4.74% 6.04%
Series Empire Life Elite Balanced GIF Class G
1 mth -2.23%
3 mths -0.84%
6 mths 0.15%
YTD -0.84%
1 year 6.04%
3 years 4.24%
5 years 9.84%
10 years 4.74%
psi 6.04%

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 Elite Balanced GIF Class G 2.95% 8.34% 5.02% -6.84% 14.67% 3.99% 14.22% -5.64% 6.40% 12.66%
Series Empire Life Elite Balanced GIF Class G
2015 2.95%
2016 8.34%
2017 5.02%
2018 -6.84%
2019 14.67%
2020 3.99%
2021 14.22%
2022 -5.64%
2023 6.40%
2024 12.66%

Portfolio Allocations As at March 31, 2025

Sector Allocation

Colours Name Weight
Financials 23.93%
Information Technology 14.33%
Energy 13.08%
Industrials 12.53%
Materials 9.37%
Consumer Staples 5.97%
Utilities 5.50%
Consumer Discretionary 5.10%
Health Care 4.16%
Communication Services 4.16%
Real Estate 1.87%

Asset Allocation

Colours Name Weight
Canadian Equity 37.93%
Canadian Bonds 28.21%
U.S. Equity 22.77%
International Equity 6.39%
U.S. Bonds 2.04%
Cash and Equivalents 1.70%
Mutual Funds 0.98%
International Bond Funds 0.10%

Top 10 Holdings

Name Weight
Royal Bank of Canada 2.37%
Agnico Eagle Mines Limited 2.02%
Microsoft Corporation 1.68%
Enbridge Inc. 1.40%
Toronto-Dominion Bank 1.37%
Brookfield Asset Management Inc. 'A' 1.24%
Canadian Pacific Railway Limited 1.23%
Bank of Montreal 1.18%
Cameco Corp. 1.15%
Amazon.com Inc 1.09%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-07 $23.7148
2025-05-06 $23.5911
2025-05-05 $23.5829
2025-05-02 $23.6003
2025-05-01 $23.4591
2025-04-30 $23.4473
2025-04-29 $23.4270
2025-04-28 $23.3407
2025-04-25 $23.3029
2025-04-24 $23.3008
2025-04-23 $23.0719
2025-04-22 $22.9281
2025-04-21 $22.7028
2025-04-17 $22.9589
2025-04-16 $22.9340
2025-04-15 $23.0028
2025-04-14 $22.9037
2025-04-11 $22.6950
2025-04-10 $22.4311
2025-04-09 $22.9065
2025-04-08 $22.0835
2025-04-04 $22.5669
2025-04-03 $23.2902
2025-04-02 $23.9974
2025-04-01 $23.8854
2025-03-31 $23.8234
2025-03-28 $23.6807
2025-03-27 $23.9163
2025-03-26 $23.8833
2025-03-25 $24.0457
2025-03-24 $24.0223
2025-03-21 $23.8752
2025-03-20 $23.9084
2025-03-19 $23.9612
2025-03-18 $23.7587
2025-03-17 $23.8093
2025-03-14 $23.6816
2025-03-13 $23.4497
2025-03-12 $23.5851
2025-03-11 $23.5562
2025-03-10 $23.6325
2025-03-07 $23.8572
2025-03-06 $23.7263
2025-03-05 $24.0623
2025-03-04 $23.9699
2025-03-03 $24.1891
2025-02-28 $24.3673
2025-02-27 $24.1827
2025-02-26 $24.3143
2025-02-25 $24.2339
2025-02-24 $24.1644
2025-02-21 $24.1746
2025-02-20 $24.3363
2025-02-19 $24.4200
2025-02-18 $24.4123
2025-02-14 $24.3540
2025-02-13 $24.4785
2025-02-12 $24.3872
2025-02-11 $24.4979
2025-02-10 $24.5684
2025-02-07 $24.4371
2025-02-06 $24.5744
2025-02-05 $24.5959
2025-02-04 $24.4363
2025-02-03 $24.5152
2025-01-31 $24.6174
2025-01-30 $24.6976
2025-01-29 $24.5196
2025-01-28 $24.4821
2025-01-27 $24.4455
2025-01-24 $24.5188
2025-01-23 $24.5303
2025-01-22 $24.4547
2025-01-21 $24.4121
2025-01-20 $24.2392
2025-01-17 $24.2272
2025-01-16 $24.0866
2025-01-15 $23.9900
2025-01-14 $23.7834
2025-01-13 $23.7979
2025-01-10 $23.8891
2025-01-09 $24.1480
2025-01-08 $24.1563
2025-01-07 $24.0927
2025-01-06 $24.1887
2025-01-03 $24.2352
2025-01-02 $24.1224
2024-12-31 $24.0251
2024-12-30 $23.9777
2024-12-27 $24.0804
2024-12-24 $24.1289
2024-12-23 $24.0829
2024-12-20 $23.9986
2024-12-19 $23.8767
2024-12-18 $23.9767
2024-12-17 $24.3720
2024-12-16 $24.3540
2024-12-13 $24.4197
2024-12-12 $24.5023
2024-12-11 $24.6147
2024-12-10 $24.5635
2024-12-09 $24.6154
2024-12-06 $24.7152
2024-12-05 $24.6254
2024-12-04 $24.6475
2024-12-03 $24.5934
2024-12-02 $24.6042
2024-11-29 $24.5811
2024-11-28 $24.4423
2024-11-27 $24.4194
2024-11-26 $24.3883
2024-11-25 $24.3225
2024-11-22 $24.2251
2024-11-21 $24.1377
2024-11-20 $24.0214
2024-11-19 $24.0193
2024-11-18 $24.0616
2024-11-15 $24.0108
2024-11-14 $24.1167
2024-11-13 $24.0865
2024-11-12 $24.1097
2024-11-11 $24.1700
2024-11-08 $24.1678
2024-11-07 $24.1745
2024-11-06 $24.0244
2024-11-05 $23.8465
2024-11-04 $23.7482
2024-11-01 $23.7503
2024-10-31 $23.7279
2024-10-30 $23.9215
2024-10-29 $23.9331
2024-10-28 $23.9594
2024-10-25 $23.8798
2024-10-24 $23.9308
2024-10-22 $24.0325
2024-10-21 $24.0571
2024-10-18 $24.1697
2024-10-16 $24.0574
2024-10-15 $23.9603
2024-10-11 $23.9265
2024-10-10 $23.7980
2024-10-09 $23.7386
2024-10-08 $23.6471
2024-10-07 $23.6363
2024-10-04 $23.7152
2024-10-03 $23.6527
2024-10-02 $23.6897
2024-10-01 $23.7746
2024-09-30 $23.7889
2024-09-27 $23.7772
2024-09-26 $23.7268
2024-09-25 $23.6406
2024-09-24 $23.7076
2024-09-23 $23.6979
2024-09-20 $23.7188
2024-09-19 $23.7091
2024-09-18 $23.5207
2024-09-17 $23.6050
2024-09-16 $23.6394
2024-09-13 $23.5365
2024-09-12 $23.4568
2024-09-11 $23.3011
2024-09-10 $23.2018
2024-09-09 $23.1505
2024-09-06 $22.9724
2024-09-05 $23.1214
2024-09-04 $23.1498
2024-09-03 $23.1533
2024-08-30 $23.3028
2024-08-29 $23.2329
2024-08-28 $23.1751
2024-08-27 $23.2641
2024-08-26 $23.3194
2024-08-23 $23.3381
2024-08-22 $23.1905
2024-08-21 $23.2834
2024-08-20 $23.2250
2024-08-19 $23.2524
2024-08-16 $23.2308
2024-08-15 $23.1969
2024-08-13 $22.9535
2024-08-12 $22.7786
2024-08-09 $22.7236
2024-08-08 $22.6532
2024-08-07 $22.4341
2024-08-06 $22.5746
2024-08-01 $23.1774
2024-07-31 $23.3790
2024-07-30 $23.1908
2024-07-29 $23.1452
2024-07-26 $23.1391
2024-07-25 $22.9588
2024-07-24 $22.9420
2024-07-23 $23.0796
2024-07-22 $23.0989
2024-07-18 $23.0169
2024-07-17 $23.1521
2024-07-16 $23.2576
2024-07-15 $23.0855
2024-07-12 $23.0341
2024-07-11 $22.9121
2024-07-10 $22.7806
2024-07-09 $22.5668
2024-07-08 $22.6268
2024-07-05 $22.6034
2024-07-04 $22.6400
2024-07-03 $22.6384
2024-07-02 $22.5189
2024-06-28 $22.4452
2024-06-27 $22.5182
2024-06-26 $22.4379
2024-06-25 $22.4575
2024-06-24 $22.5117
2024-06-21 $22.3580
2024-06-20 $22.3689
2024-06-19 $22.3134
2024-06-18 $22.3771
2024-06-17 $22.3434
2024-06-14 $22.3314
2024-06-13 $22.3946
2024-06-12 $22.5041
2024-06-11 $22.4640
2024-06-10 $22.5819
2024-06-07 $22.5295
2024-06-06 $22.6716
2024-06-05 $22.6103
2024-06-04 $22.4380
2024-06-03 $22.4606
2024-05-31 $22.5005
2024-05-30 $22.3397
2024-05-29 $22.2446
2024-05-28 $22.4849
2024-05-27 $22.5969
2024-05-24 $22.6031
2024-05-23 $22.5383
2024-05-22 $22.6651
2024-05-21 $22.7352
2024-05-17 $22.7110
2024-05-16 $22.6295
2024-05-15 $22.6151
2024-05-14 $22.4949
2024-05-13 $22.5036
2024-05-10 $22.5243
2024-05-09 $22.5712
2024-05-08 $22.5055

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team