Overview

Daily NAV
$22.49
-0.22% ($0.05)
August 7, 2025
  • Inception Date
    January 2, 2013
  • Net Assets
    $631.79 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 Front-end load joint Low load * Low load joint * Deferred Sales Charge * Back-end load joint *
Class J ECF90511 ECF90512 ECF92511 ECF92512 ECF95511 ECF95512
  • * 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 July 31, 2025

Growth of $10,000

Investment value: $22,429.80 at July 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 J 0.43% 5.97% 0.93% 3.42% 6.28% 7.64% 8.05% 5.13% 6.63%
Series Empire Life Elite Balanced GIF Class J
1 mth 0.43%
3 mths 5.97%
6 mths 0.93%
YTD 3.42%
1 year 6.28%
3 years 7.64%
5 years 8.05%
10 years 5.13%
psi 6.63%

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 J 2.93% 8.32% 5.01% -6.85% 14.66% 3.98% 14.21% -5.65% 6.39% 12.65%
Series Empire Life Elite Balanced GIF Class J
2015 2.93%
2016 8.32%
2017 5.01%
2018 -6.85%
2019 14.66%
2020 3.98%
2021 14.21%
2022 -5.65%
2023 6.39%
2024 12.65%

Portfolio Allocations As at June 30, 2025

Sector Allocation

Colours Name Weight
Financials 23.94%
Information Technology 14.59%
Industrials 13.60%
Energy 12.40%
Materials 9.30%
Consumer Staples 5.92%
Consumer Discretionary 5.26%
Utilities 5.09%
Communication Services 4.38%
Health Care 3.63%
Real Estate 1.89%

Asset Allocation

Colours Name Weight
Canadian Equity 39.54%
Canadian Bonds 26.59%
U.S. Equity 18.95%
International Equity 7.94%
Cash and Equivalents 3.99%
U.S. Bonds 1.97%
Mutual Funds 1.05%
International Bond Funds 0.09%

Top 10 Holdings

Name Weight
Royal Bank of Canada 2.44%
Cameco Corp. 1.75%
Microsoft Corporation 1.68%
Toronto-Dominion Bank 1.53%
Agnico Eagle Mines Limited 1.42%
Canadian Pacific Railway Limited 1.38%
Enbridge Inc. 1.31%
Brookfield Asset Management Inc. 'A' 1.16%
ROYAL BK OF CAD 2.65% 02JUL25 TD 1.15%
WSP Global Inc. 1.11%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-08-07 $22.4884
2025-08-06 $22.5383
2025-08-05 $22.4927
2025-08-01 $22.2588
2025-07-31 $22.4298
2025-07-30 $22.4721
2025-07-29 $22.5544
2025-07-28 $22.4655
2025-07-25 $22.5088
2025-07-24 $22.4448
2025-07-23 $22.4414
2025-07-22 $22.4078
2025-07-21 $22.3698
2025-07-18 $22.3602
2025-07-17 $22.3951
2025-07-16 $22.2783
2025-07-15 $22.2417
2025-07-14 $22.3446
2025-07-11 $22.3013
2025-07-10 $22.3981
2025-07-09 $22.3771
2025-07-08 $22.3071
2025-07-07 $22.3304
2025-07-04 $22.3672
2025-07-03 $22.3422
2025-07-02 $22.2906
2025-06-30 $22.3327
2025-06-27 $22.2388
2025-06-26 $22.2156
2025-06-25 $22.1157
2025-06-24 $22.2157
2025-06-23 $22.1294
2025-06-20 $22.0528
2025-06-19 $22.0678
2025-06-18 $22.0734
2025-06-17 $22.0336
2025-06-16 $22.0515
2025-06-13 $22.0100
2025-06-12 $22.1268
2025-06-11 $22.0818
2025-06-10 $22.0667
2025-06-09 $22.0445
2025-06-06 $22.0400
2025-06-05 $22.0025
2025-06-04 $22.0360
2025-06-03 $22.0596
2025-06-02 $22.0359
2025-05-30 $21.9856
2025-05-29 $22.0315
2025-05-28 $22.0149
2025-05-27 $22.0226
2025-05-26 $21.8383
2025-05-23 $21.7676
2025-05-22 $21.7872
2025-05-21 $21.7728
2025-05-20 $21.9933
2025-05-16 $21.9861
2025-05-15 $21.9333
2025-05-14 $21.7774
2025-05-13 $21.7773
2025-05-12 $21.7557
2025-05-09 $21.5517
2025-05-08 $21.4900
2025-05-07 $21.4074
2025-05-06 $21.2957
2025-05-05 $21.2883
2025-05-02 $21.3040
2025-05-01 $21.1765
2025-04-30 $21.1659
2025-04-29 $21.1476
2025-04-28 $21.0697
2025-04-25 $21.0355
2025-04-24 $21.0337
2025-04-23 $20.8271
2025-04-22 $20.6973
2025-04-21 $20.4938
2025-04-17 $20.7250
2025-04-16 $20.7026
2025-04-15 $20.7646
2025-04-14 $20.6752
2025-04-11 $20.4868
2025-04-10 $20.2487
2025-04-09 $20.6777
2025-04-08 $19.9349
2025-04-04 $20.3712
2025-04-03 $21.0241
2025-04-02 $21.6626
2025-04-01 $21.5615
2025-03-31 $21.5055
2025-03-28 $21.3767
2025-03-27 $21.5894
2025-03-26 $21.5596
2025-03-25 $21.7062
2025-03-24 $21.6851
2025-03-21 $21.5523
2025-03-20 $21.5822
2025-03-19 $21.6299
2025-03-18 $21.4471
2025-03-17 $21.4928
2025-03-14 $21.3776
2025-03-13 $21.1682
2025-03-12 $21.2904
2025-03-11 $21.2643
2025-03-10 $21.3332
2025-03-07 $21.5361
2025-03-06 $21.4179
2025-03-05 $21.7212
2025-03-04 $21.6378
2025-03-03 $21.8357
2025-02-28 $21.9966
2025-02-27 $21.8300
2025-02-26 $21.9487
2025-02-25 $21.8762
2025-02-24 $21.8134
2025-02-21 $21.8226
2025-02-20 $21.9686
2025-02-19 $22.0442
2025-02-18 $22.0373
2025-02-14 $21.9846
2025-02-13 $22.0970
2025-02-12 $22.0146
2025-02-11 $22.1145
2025-02-10 $22.1782
2025-02-07 $22.0597
2025-02-06 $22.1837
2025-02-05 $22.2031
2025-02-04 $22.0589
2025-02-03 $22.1302
2025-01-31 $22.2225
2025-01-30 $22.2949
2025-01-29 $22.1342
2025-01-28 $22.1004
2025-01-27 $22.0674
2025-01-24 $22.1335
2025-01-23 $22.1439
2025-01-22 $22.0757
2025-01-21 $22.0372
2025-01-20 $21.8811
2025-01-17 $21.8703
2025-01-16 $21.7434
2025-01-15 $21.6562
2025-01-14 $21.4697
2025-01-13 $21.4828
2025-01-10 $21.5652
2025-01-09 $21.7988
2025-01-08 $21.8063
2025-01-07 $21.7489
2025-01-06 $21.8356
2025-01-03 $21.8775
2025-01-02 $21.7757
2024-12-31 $21.6879
2024-12-30 $21.6451
2024-12-27 $21.7379
2024-12-24 $21.7817
2024-12-23 $21.7401
2024-12-20 $21.6640
2024-12-19 $21.5540
2024-12-18 $21.6442
2024-12-17 $22.0011
2024-12-16 $21.9849
2024-12-13 $22.0442
2024-12-12 $22.1187
2024-12-11 $22.2202
2024-12-10 $22.1740
2024-12-09 $22.2209
2024-12-06 $22.3109
2024-12-05 $22.2298
2024-12-04 $22.2498
2024-12-03 $22.2010
2024-12-02 $22.2107
2024-11-29 $22.1900
2024-11-28 $22.0647
2024-11-27 $22.0440
2024-11-26 $22.0159
2024-11-25 $21.9565
2024-11-22 $21.8686
2024-11-21 $21.7896
2024-11-20 $21.6847
2024-11-19 $21.6828
2024-11-18 $21.7210
2024-11-15 $21.6751
2024-11-14 $21.7707
2024-11-13 $21.7435
2024-11-12 $21.7644
2024-11-11 $21.8189
2024-11-08 $21.8169
2024-11-07 $21.8230
2024-11-06 $21.6874
2024-11-05 $21.5268
2024-11-04 $21.4381
2024-11-01 $21.4400
2024-10-31 $21.4198
2024-10-30 $21.5946
2024-10-29 $21.6050
2024-10-28 $21.6288
2024-10-25 $21.5570
2024-10-24 $21.6030
2024-10-22 $21.6948
2024-10-21 $21.7170
2024-10-18 $21.8187
2024-10-16 $21.7173
2024-10-15 $21.6297
2024-10-11 $21.5991
2024-10-10 $21.4831
2024-10-09 $21.4295
2024-10-08 $21.3469
2024-10-07 $21.3372
2024-10-04 $21.4084
2024-10-03 $21.3520
2024-10-02 $21.3854
2024-10-01 $21.4621
2024-09-30 $21.4750
2024-09-27 $21.4644
2024-09-26 $21.4189
2024-09-25 $21.3411
2024-09-24 $21.4016
2024-09-23 $21.3929
2024-09-20 $21.4117
2024-09-19 $21.4029
2024-09-18 $21.2329
2024-09-17 $21.3090
2024-09-16 $21.3401
2024-09-13 $21.2471
2024-09-12 $21.1752
2024-09-11 $21.0346
2024-09-10 $20.9450
2024-09-09 $20.8987
2024-09-06 $20.7380
2024-09-05 $20.8725
2024-09-04 $20.8981
2024-09-03 $20.9013
2024-08-30 $21.0363
2024-08-29 $20.9731
2024-08-28 $20.9209
2024-08-27 $21.0013
2024-08-26 $21.0512
2024-08-23 $21.0681
2024-08-22 $20.9349
2024-08-21 $21.0188
2024-08-20 $20.9660
2024-08-19 $20.9908
2024-08-16 $20.9713
2024-08-15 $20.9407
2024-08-13 $20.7210
2024-08-12 $20.5631
2024-08-09 $20.5134
2024-08-08 $20.4499

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team