Overview

Daily NAV
$16.24
0.30% $0.05
May 7, 2025
  • Inception Date
    September 5, 2006
  • Net Assets
    $288.53 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $500 per fund
  • MER
    2.98%
  • Asset class
    Global 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 in a strategic mix of primarily global equity and fixed income securities, with a target equity allocation of 70%

Fund codes

Series Front-end load Low load * Deferred Sales Charge *
Class B ECF2030 ECF2230 ECF2530
  • * 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: $15,072.60 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 Global Balanced GIF Class B -0.80% 2.08% 1.86% 2.08% 8.09% 4.61% 6.86% 3.63% 2.23%
Series Empire Life Global Balanced GIF Class B
1 mth -0.80%
3 mths 2.08%
6 mths 1.86%
YTD 2.08%
1 year 8.09%
3 years 4.61%
5 years 6.86%
10 years 3.63%
psi 2.23%

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 Global Balanced GIF Class B 6.36% 1.75% 6.36% -4.61% 10.73% 3.91% 7.87% -6.47% 4.51% 11.03%
Series Empire Life Global Balanced GIF Class B
2015 6.36%
2016 1.75%
2017 6.36%
2018 -4.61%
2019 10.73%
2020 3.91%
2021 7.87%
2022 -6.47%
2023 4.51%
2024 11.03%

Portfolio Allocations As at March 31, 2025

Sector Allocation

Colours Name Weight
Financials 28.88%
Industrials 12.47%
Energy 9.79%
Consumer Staples 9.35%
Information Technology 8.75%
Materials 8.07%
Consumer Discretionary 5.91%
Health Care 5.84%
Utilities 4.47%
Communication Services 4.43%
Real Estate 2.04%

Asset Allocation

Colours Name Weight
Canadian Equity 29.20%
U.S. Equity 21.40%
International Equity 19.46%
U.S. Bonds 12.99%
Canadian Bonds 9.36%
International Bond Funds 5.48%
Cash and Equivalents 2.10%

Top 10 Holdings

Name Weight
Toronto-Dominion Bank 2.25%
Province of British Columbia, 1.3%, 1/29/2031 2.12%
United States Treasury Note, 2.88%, 5/15/2032 2.08%
ROYAL BK OF CAD 2.65% 01APR25 TD 1.95%
Canadian Natural Resources Limited 1.64%
Royal Bank of Canada 1.55%
Government of Canada 2.000% June 1, 2028 1.54%
Province of Alberta 0.625% April 18, 2025 1.35%
Government of Canada 1.250% June 1, 2030 1.30%
Agnico Eagle Mines Limited 1.24%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-07 $16.2381
2025-05-06 $16.1902
2025-05-05 $16.1978
2025-05-02 $16.1991
2025-05-01 $16.1320
2025-04-30 $16.1579
2025-04-29 $16.1344
2025-04-28 $16.0654
2025-04-25 $16.0382
2025-04-24 $16.0478
2025-04-23 $15.9133
2025-04-22 $15.8622
2025-04-21 $15.7177
2025-04-17 $15.8346
2025-04-16 $15.8317
2025-04-15 $15.8787
2025-04-14 $15.7972
2025-04-11 $15.6309
2025-04-10 $15.4882
2025-04-09 $15.6921
2025-04-08 $15.3187
2025-04-04 $15.6902
2025-04-03 $16.1327
2025-04-02 $16.4702
2025-04-01 $16.4340
2025-03-31 $16.4335
2025-03-28 $16.3088
2025-03-27 $16.4240
2025-03-26 $16.3652
2025-03-25 $16.4320
2025-03-24 $16.4055
2025-03-21 $16.3799
2025-03-20 $16.4218
2025-03-19 $16.4534
2025-03-18 $16.3741
2025-03-17 $16.3825
2025-03-14 $16.3213
2025-03-13 $16.2195
2025-03-12 $16.3021
2025-03-11 $16.3192
2025-03-10 $16.4105
2025-03-07 $16.4699
2025-03-06 $16.3285
2025-03-05 $16.4888
2025-03-04 $16.4718
2025-03-03 $16.5380
2025-02-28 $16.5654
2025-02-27 $16.4810
2025-02-26 $16.5311
2025-02-25 $16.4746
2025-02-24 $16.3665
2025-02-21 $16.3580
2025-02-20 $16.4101
2025-02-19 $16.4258
2025-02-18 $16.4012
2025-02-14 $16.3745
2025-02-13 $16.4607
2025-02-12 $16.4203
2025-02-11 $16.4771
2025-02-10 $16.4878
2025-02-07 $16.4206
2025-02-06 $16.5184
2025-02-05 $16.4915
2025-02-04 $16.4069
2025-02-03 $16.5518
2025-01-31 $16.5863
2025-01-30 $16.6071
2025-01-29 $16.4980
2025-01-28 $16.4695
2025-01-27 $16.4746
2025-01-24 $16.4318
2025-01-23 $16.4338
2025-01-22 $16.3812
2025-01-21 $16.3659
2025-01-20 $16.2664
2025-01-17 $16.2598
2025-01-16 $16.1780
2025-01-15 $16.0909
2025-01-14 $15.9539
2025-01-13 $15.9586
2025-01-10 $16.0284
2025-01-09 $16.1833
2025-01-08 $16.1722
2025-01-07 $16.1500
2025-01-06 $16.1726
2025-01-03 $16.2074
2025-01-02 $16.1399
2024-12-31 $16.0981
2024-12-30 $16.0806
2024-12-27 $16.1600
2024-12-24 $16.1607
2024-12-23 $16.1406
2024-12-20 $16.0814
2024-12-19 $16.0400
2024-12-18 $16.1477
2024-12-17 $16.3536
2024-12-16 $16.3496
2024-12-13 $16.4069
2024-12-12 $16.4242
2024-12-11 $16.4908
2024-12-10 $16.4992
2024-12-09 $16.5342
2024-12-06 $16.6146
2024-12-05 $16.5533
2024-12-04 $16.5836
2024-12-03 $16.5599
2024-12-02 $16.5506
2024-11-29 $16.4997
2024-11-28 $16.4376
2024-11-27 $16.4309
2024-11-26 $16.3968
2024-11-25 $16.3531
2024-11-22 $16.2868
2024-11-21 $16.2335
2024-11-20 $16.1803
2024-11-19 $16.1725
2024-11-18 $16.2209
2024-11-15 $16.1855
2024-11-14 $16.2215
2024-11-13 $16.1731
2024-11-12 $16.1769
2024-11-11 $16.2731
2024-11-08 $16.2649
2024-11-07 $16.2388
2024-11-06 $16.1953
2024-11-05 $16.1103
2024-11-04 $16.0689
2024-11-01 $16.0771
2024-10-31 $16.0844
2024-10-30 $16.1731
2024-10-29 $16.1913
2024-10-28 $16.2532
2024-10-25 $16.2085
2024-10-24 $16.2249
2024-10-22 $16.2808
2024-10-21 $16.3267
2024-10-18 $16.3997
2024-10-16 $16.3343
2024-10-15 $16.2841
2024-10-11 $16.2529
2024-10-10 $16.1736
2024-10-09 $16.1461
2024-10-08 $16.0785
2024-10-07 $16.0473
2024-10-04 $16.0774
2024-10-03 $16.0470
2024-10-02 $16.0593
2024-10-01 $16.1238
2024-09-30 $16.1342
2024-09-27 $16.1434
2024-09-26 $16.1060
2024-09-25 $16.0450
2024-09-24 $16.0970
2024-09-23 $16.0778
2024-09-20 $16.1188
2024-09-19 $16.1296
2024-09-18 $16.0323
2024-09-17 $16.0952
2024-09-16 $16.1385
2024-09-13 $16.0726
2024-09-12 $16.0094
2024-09-11 $15.9293
2024-09-10 $15.8928
2024-09-09 $15.8623
2024-09-06 $15.7440
2024-09-05 $15.7978
2024-09-04 $15.8312
2024-09-03 $15.8347
2024-08-30 $15.8628
2024-08-29 $15.8240
2024-08-28 $15.7829
2024-08-27 $15.8191
2024-08-26 $15.8385
2024-08-23 $15.8582
2024-08-22 $15.7814
2024-08-21 $15.8291
2024-08-20 $15.8035
2024-08-19 $15.8172
2024-08-16 $15.8141
2024-08-15 $15.7676
2024-08-13 $15.6536
2024-08-12 $15.5440
2024-08-09 $15.5241
2024-08-08 $15.4651
2024-08-07 $15.3298
2024-08-06 $15.4287
2024-08-01 $15.7225
2024-07-31 $15.8242
2024-07-30 $15.7256
2024-07-29 $15.6975
2024-07-26 $15.6921
2024-07-25 $15.5778
2024-07-24 $15.5648
2024-07-23 $15.6156
2024-07-22 $15.6259
2024-07-18 $15.5697
2024-07-17 $15.6341
2024-07-16 $15.6438
2024-07-15 $15.5228
2024-07-12 $15.5040
2024-07-11 $15.4243
2024-07-10 $15.3177
2024-07-09 $15.1925
2024-07-08 $15.2266
2024-07-05 $15.2105
2024-07-04 $15.2131
2024-07-03 $15.2133
2024-07-02 $15.1635
2024-06-28 $15.1301
2024-06-27 $15.1626
2024-06-26 $15.1407
2024-06-25 $15.1841
2024-06-24 $15.2083
2024-06-21 $15.1153
2024-06-20 $15.1259
2024-06-19 $15.1084
2024-06-18 $15.1458
2024-06-17 $15.1186
2024-06-14 $15.1207
2024-06-13 $15.1572
2024-06-12 $15.1951
2024-06-11 $15.1762
2024-06-10 $15.2310
2024-06-07 $15.2206
2024-06-06 $15.3062
2024-06-05 $15.2772
2024-06-04 $15.1866
2024-06-03 $15.1511
2024-05-31 $15.1503
2024-05-30 $15.0355
2024-05-29 $14.9787
2024-05-28 $15.1106
2024-05-27 $15.1973
2024-05-24 $15.2139
2024-05-23 $15.1952
2024-05-22 $15.2639
2024-05-21 $15.2802
2024-05-17 $15.2636
2024-05-16 $15.2430
2024-05-15 $15.2532
2024-05-14 $15.1701
2024-05-13 $15.1689
2024-05-10 $15.1716
2024-05-09 $15.1837
2024-05-08 $15.1446