Overview

Daily NAV
$9.96
-0.01% ($0.00)
May 7, 2025
  • Inception Date
    October 28, 2024
  • Net Assets
    $4.22 million
  • Fund Manager 1
     Empire Life Investments Inc.
  • Secondary Fund Manager
    Purpose Investments
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER *
    2.57%
  • Asset class
    Multi-Sector Fixed Income
  • Management Fee
    1.92%

Risk: Low

Low
Low To Moderate
Moderate
Moderate To High
High

* The MER is estimated as the fund is less than 12 months old.

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 long-term capital growth through a diversified global fixed income portfolio, desire monthly distributions and are comfortable with a low level of risk.

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class L ECF12019 ECF12219 ECF12319 ECF12519
  • * 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

As this fund is new, this information is not available.

Portfolio Allocations As at March 31, 2025

Geographic Allocation

Colours Name Weight
United States 56.33%
Mexico 8.48%
Canada 6.59%
United Kingdom 4.49%
Cayman Islands 3.12%
Chile 2.56%
Colombia 1.95%
Switzerland 1.78%
Netherlands 1.71%
Luxembourg 1.69%
Other 11.30%

Credit Ratings

Colours Name Weight
AAA 2.56%
AA 0.07%
A 3.91%
BBB 17.04%
BB 8.72%
B 2.74%
CCC 0.43%
NR (Non-rated) 64.53%

Asset Allocation

Colours Name Weight
International Bond Funds 36.48%
U.S. Bonds 35.81%
Cash and Equivalents 23.97%
Canadian Bonds 2.49%
U.S. Equity 0.84%
Mutual Funds 0.38%
Other 0.02%

Bond Term Allocation

Colours Name Weight
More than 20 years 36.95%
Between 5 and 10 years 28.91%
Between 10 and 20 years 21.04%
Between 1 and 5 years 13.10%

Bond Type

Colours Name Weight
Investment Grade Corporate 68.32%
Federal Government 19.63%
High Yield Corporate 6.83%
Preferred Shares 2.89%
Convertible Bonds 1.97%
Municipal Government 0.37%

Top 10 Holdings

Name Weight
United States Treasury Bill (USD) 13.38%
United States Treasury Bill (USD) United States Treasury Bill 4.51%
United States Treasury Note, 3.63%, 5/31/2028 2.38%
Mexico Government International Bond (USD) Mexico Government International Bond 1.18%
Petroleos Mexicanos, 7.69%, 1/23/2050 1.17%
Cote d'Ivoire, 8.25%, 1/30/2037 1.11%
Chile Government International Bond (USD) Chile Government International Bond 1.06%
Banco Actinver S.A., Institución de Banca Múltiple, Grupo Financiero Actinver, 7.25%, 1/31/2041 1.03%
Bell Telephone Co of Canada or Bell Canada (USD) 0.97%
McAfee Preferred Shares PRIVATE 0.84%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-07 $9.9557
2025-05-06 $9.9563
2025-05-05 $9.9527
2025-05-02 $9.9606
2025-05-01 $9.9723
2025-04-30 $9.9673
2025-04-29 $9.9898
2025-04-28 $9.9686
2025-04-25 $9.9249
2025-04-24 $9.9584
2025-04-23 $9.8932
2025-04-22 $9.8391
2025-04-21 $9.8508
2025-04-17 $9.8700
2025-04-16 $9.8652
2025-04-15 $9.8817
2025-04-14 $9.8037
2025-04-11 $9.8003
2025-04-10 $9.7682
2025-04-09 $9.8509
2025-04-08 $9.7970
2025-04-04 $9.9698
2025-04-03 $10.0248
2025-04-02 $10.0255
2025-04-01 $10.0153
2025-03-31 $10.0156
2025-03-28 $10.0285
2025-03-27 $10.0345
2025-03-26 $10.0438
2025-03-25 $10.0552
2025-03-24 $10.0240
2025-03-21 $10.0530
2025-03-20 $10.0483
2025-03-19 $10.0326
2025-03-18 $10.0281
2025-03-17 $9.9793
2025-03-14 $9.9761
2025-03-13 $10.0149
2025-03-12 $9.9943
2025-03-11 $10.0223
2025-03-10 $10.0458
2025-03-07 $10.0584
2025-03-06 $10.0644
2025-03-05 $10.0705
2025-03-04 $10.0822
2025-03-03 $10.0883
2025-02-28 $10.0847
2025-02-27 $10.0692
2025-02-26 $10.0860
2025-02-25 $10.0418
2025-02-24 $10.0209
2025-02-21 $10.0230
2025-02-20 $10.0128
2025-02-19 $10.0027
2025-02-18 $10.0146
2025-02-14 $10.0035
2025-02-13 $9.9680
2025-02-12 $9.9742
2025-02-11 $10.0019
2025-02-10 $9.9917
2025-02-07 $9.9993
2025-02-06 $10.0318
2025-02-05 $10.0015
2025-02-04 $9.9809
2025-02-03 $9.9764
2025-01-31 $9.9892
2025-01-30 $9.9794
2025-01-29 $9.9800
2025-01-28 $9.9520
2025-01-27 $9.9526
2025-01-24 $9.9388
2025-01-23 $9.9399
2025-01-22 $9.9407
2025-01-21 $9.9192
2025-01-20 $9.9612
2025-01-17 $9.9284
2025-01-16 $9.9136
2025-01-15 $9.8740
2025-01-14 $9.8236
2025-01-13 $9.8352
2025-01-10 $9.8744
2025-01-09 $9.8967
2025-01-08 $9.8866
2025-01-07 $9.8927
2025-01-06 $9.8990
2025-01-03 $9.9227
2025-01-02 $9.9179
2024-12-31 $9.9296
2024-12-30 $9.9032
2024-12-27 $9.8895
2024-12-24 $9.8787
2024-12-23 $9.8754
2024-12-20 $9.8933
2024-12-19 $9.9118
2024-12-18 $9.9431
2024-12-17 $9.9653
2024-12-16 $9.9768
2024-12-13 $9.9682
2024-12-12 $10.0051
2024-12-11 $10.0004
2024-12-10 $10.0012
2024-12-09 $9.9963
2024-12-06 $9.9983
2024-12-05 $9.9746
2024-12-04 $9.9754
2024-12-03 $9.9654
2024-12-02 $9.9340
2024-11-29 $9.9971
2024-11-28 $9.9672
2024-11-27 $9.9358
2024-11-26 $9.9243
2024-11-25 $9.9196
2024-11-22 $9.8894
2024-11-21 $9.9008
2024-11-20 $9.8963
2024-11-19 $9.9076
2024-11-18 $9.9118
2024-11-15 $9.8993
2024-11-14 $9.9151
2024-11-13 $9.9090
2024-11-12 $9.9318
2024-11-11 $9.9376
2024-11-08 $9.9594
2024-11-07 $9.9373
2024-11-06 $9.8964
2024-11-05 $9.9403
2024-11-04 $9.9354
2024-11-01 $9.9194
2024-10-31 $9.9334
2024-10-30 $9.9423
2024-10-29 $9.9538
2024-10-28 $9.9523

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team