Overview

Daily NAV
$16.95
-0.15% ($0.02)
August 29, 2025
  • Inception Date
    October 20, 2008
  • Net Assets
    $284.79 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $10,000 initial, $500 per fund
  • MER
    3.01%
  • 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 G ECF7030 ECF7230 ECF7530
  • * 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: $19,823.45 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 Global Balanced GIF Class G 0.25% 3.71% 1.02% 4.09% 5.88% 7.06% 5.24% 3.66% 4.16%
Series Empire Life Global Balanced GIF Class G
1 mth 0.25%
3 mths 3.71%
6 mths 1.02%
YTD 4.09%
1 year 5.88%
3 years 7.06%
5 years 5.24%
10 years 3.66%
psi 4.16%

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 G 6.30% 1.71% 6.31% -4.63% 10.69% 3.88% 7.85% -6.50% 4.48% 11.00%
Series Empire Life Global Balanced GIF Class G
2015 6.30%
2016 1.71%
2017 6.31%
2018 -4.63%
2019 10.69%
2020 3.88%
2021 7.85%
2022 -6.50%
2023 4.48%
2024 11.00%

Portfolio Allocations As at July 31, 2025

Sector Allocation

Colours Name Weight
Financials 31.17%
Industrials 12.21%
Information Technology 10.98%
Energy 10.93%
Consumer Staples 7.63%
Utilities 5.26%
Health Care 5.05%
Consumer Discretionary 5.03%
Materials 4.85%
Communication Services 4.82%
Real Estate 2.08%

Asset Allocation

Colours Name Weight
Canadian Equity 30.18%
U.S. Equity 20.96%
International Equity 20.65%
U.S. Bonds 12.32%
Canadian Bonds 9.48%
International Bond Funds 4.24%
Cash and Equivalents 2.18%

Top 10 Holdings

Name Weight
Toronto-Dominion Bank 2.35%
Province of British Columbia, 1.3%, 1/29/2031 2.09%
United States Treasury Note, 2.88%, 5/15/2032 2.03%
Microsoft Corporation 1.72%
Royal Bank of Canada 1.65%
Government of Canada 2.000% June 1, 2028 1.55%
Alphabet, Inc. Class C 1.35%
Government of Canada 1.250% June 1, 2030 1.30%
Alimentation Couche-Tard Inc. Com 1.29%
Canadian Natural Resources Limited 1.27%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-08-29 $16.9520
2025-08-28 $16.9770
2025-08-27 $17.0138
2025-08-26 $16.9756
2025-08-25 $16.9799
2025-08-22 $17.0749
2025-08-21 $16.9824
2025-08-20 $16.9758
2025-08-19 $16.9391
2025-08-18 $16.8786
2025-08-14 $16.8921
2025-08-13 $16.8914
2025-08-12 $16.8022
2025-08-11 $16.7541
2025-08-08 $16.7458
2025-08-07 $16.7225
2025-08-06 $16.7122
2025-08-05 $16.7002
2025-08-01 $16.5911
2025-07-31 $16.6737
2025-07-30 $16.7250
2025-07-29 $16.7575
2025-07-28 $16.6830
2025-07-25 $16.7629
2025-07-24 $16.7018
2025-07-23 $16.7040
2025-07-22 $16.6692
2025-07-21 $16.6711
2025-07-18 $16.6530
2025-07-17 $16.6923
2025-07-16 $16.6094
2025-07-15 $16.5849
2025-07-14 $16.6490
2025-07-11 $16.6540
2025-07-10 $16.7143
2025-07-09 $16.6863
2025-07-08 $16.6207
2025-07-07 $16.6355
2025-07-04 $16.6629
2025-07-03 $16.6444
2025-07-02 $16.6318
2025-06-30 $16.6323
2025-06-27 $16.5941
2025-06-26 $16.5419
2025-06-25 $16.5117
2025-06-24 $16.5595
2025-06-23 $16.4966
2025-06-20 $16.4490
2025-06-19 $16.4644
2025-06-18 $16.4703
2025-06-17 $16.4196
2025-06-16 $16.4485
2025-06-13 $16.4466
2025-06-12 $16.5606
2025-06-11 $16.5138
2025-06-10 $16.5157
2025-06-09 $16.4937
2025-06-06 $16.5060
2025-06-05 $16.4802
2025-06-04 $16.5109
2025-06-03 $16.5189
2025-06-02 $16.5225
2025-05-30 $16.5028
2025-05-29 $16.5227
2025-05-28 $16.5007
2025-05-27 $16.5172
2025-05-26 $16.3943
2025-05-23 $16.3602
2025-05-22 $16.4397
2025-05-21 $16.4432
2025-05-20 $16.5920
2025-05-16 $16.5481
2025-05-15 $16.4955
2025-05-14 $16.3413
2025-05-13 $16.3540
2025-05-12 $16.3710
2025-05-09 $16.2849
2025-05-08 $16.2289
2025-05-07 $16.1569
2025-05-06 $16.1092
2025-05-05 $16.1168
2025-05-02 $16.1181
2025-05-01 $16.0514
2025-04-30 $16.0772
2025-04-29 $16.0538
2025-04-28 $15.9852
2025-04-25 $15.9582
2025-04-24 $15.9677
2025-04-23 $15.8339
2025-04-22 $15.7830
2025-04-21 $15.6393
2025-04-17 $15.7556
2025-04-16 $15.7528
2025-04-15 $15.7996
2025-04-14 $15.7185
2025-04-11 $15.5531
2025-04-10 $15.4110
2025-04-09 $15.6139
2025-04-08 $15.2425
2025-04-04 $15.6122
2025-04-03 $16.0525
2025-04-02 $16.3883
2025-04-01 $16.3522
2025-03-31 $16.3518
2025-03-28 $16.2278
2025-03-27 $16.3424
2025-03-26 $16.2839
2025-03-25 $16.3504
2025-03-24 $16.3240
2025-03-21 $16.2986
2025-03-20 $16.3403
2025-03-19 $16.3718
2025-03-18 $16.2929
2025-03-17 $16.3012
2025-03-14 $16.2404
2025-03-13 $16.1391
2025-03-12 $16.2213
2025-03-11 $16.2384
2025-03-10 $16.3292
2025-03-07 $16.3883
2025-03-06 $16.2476
2025-03-05 $16.4072
2025-03-04 $16.3903
2025-03-03 $16.4562
2025-02-28 $16.4835
2025-02-27 $16.3995
2025-02-26 $16.4494
2025-02-25 $16.3931
2025-02-24 $16.2856
2025-02-21 $16.2771
2025-02-20 $16.3290
2025-02-19 $16.3447
2025-02-18 $16.3202
2025-02-14 $16.2937
2025-02-13 $16.3795
2025-02-12 $16.3393
2025-02-11 $16.3959
2025-02-10 $16.4064
2025-02-07 $16.3396
2025-02-06 $16.4370
2025-02-05 $16.4102
2025-02-04 $16.3261
2025-02-03 $16.4702
2025-01-31 $16.5046
2025-01-30 $16.5253
2025-01-29 $16.4168
2025-01-28 $16.3885
2025-01-27 $16.3936
2025-01-24 $16.3510
2025-01-23 $16.3529
2025-01-22 $16.3007
2025-01-21 $16.2854
2025-01-20 $16.1865
2025-01-17 $16.1800
2025-01-16 $16.0985
2025-01-15 $16.0119
2025-01-14 $15.8755
2025-01-13 $15.8802
2025-01-10 $15.9497
2025-01-09 $16.1039
2025-01-08 $16.0929
2025-01-07 $16.0708
2025-01-06 $16.0933
2025-01-03 $16.1280
2025-01-02 $16.0608
2024-12-31 $16.0192
2024-12-30 $16.0019
2024-12-27 $16.0809
2024-12-24 $16.0816
2024-12-23 $16.0617
2024-12-20 $16.0027
2024-12-19 $15.9615
2024-12-18 $16.0687
2024-12-17 $16.2736
2024-12-16 $16.2697
2024-12-13 $16.3268
2024-12-12 $16.3440
2024-12-11 $16.4103
2024-12-10 $16.4186
2024-12-09 $16.4535
2024-12-06 $16.5335
2024-12-05 $16.4725
2024-12-04 $16.5027
2024-12-03 $16.4792
2024-12-02 $16.4698
2024-11-29 $16.4192
2024-11-28 $16.3574
2024-11-27 $16.3508
2024-11-26 $16.3169
2024-11-25 $16.2734
2024-11-22 $16.2074
2024-11-21 $16.1544
2024-11-20 $16.1015
2024-11-19 $16.0938
2024-11-18 $16.1419
2024-11-15 $16.1068
2024-11-14 $16.1426
2024-11-13 $16.0944
2024-11-12 $16.0982
2024-11-11 $16.1940
2024-11-08 $16.1858
2024-11-07 $16.1599
2024-11-06 $16.1166
2024-11-05 $16.0320
2024-11-04 $15.9908
2024-11-01 $15.9989
2024-10-31 $16.0063
2024-10-30 $16.0946
2024-10-29 $16.1126
2024-10-28 $16.1743
2024-10-25 $16.1298
2024-10-24 $16.1462
2024-10-22 $16.2018
2024-10-21 $16.2475
2024-10-18 $16.3202
2024-10-16 $16.2551
2024-10-15 $16.2051
2024-10-11 $16.1742
2024-10-10 $16.0953
2024-10-09 $16.0679
2024-10-08 $16.0006
2024-10-07 $15.9696
2024-10-04 $15.9996
2024-10-03 $15.9694
2024-10-02 $15.9816
2024-10-01 $16.0458
2024-09-30 $16.0561
2024-09-27 $16.0654
2024-09-26 $16.0281
2024-09-25 $15.9674
2024-09-24 $16.0192
2024-09-23 $16.0001
2024-09-20 $16.0410
2024-09-19 $16.0517
2024-09-18 $15.9549
2024-09-17 $16.0175
2024-09-16 $16.0606
2024-09-13 $15.9951
2024-09-12 $15.9322
2024-09-11 $15.8525
2024-09-10 $15.8162
2024-09-09 $15.7858
2024-09-06 $15.6682
2024-09-05 $15.7217
2024-09-04 $15.7549
2024-09-03 $15.7584