Overview

Daily NAV
$13.87
0.05% $0.01
May 7, 2025
  • Inception Date
    October 23, 2019
  • Net Assets
    $240.20 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    3.80%
  • Asset class
    Global Equity
  • Management Fee
    2.35%

Risk: 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 by investing primarily in dividend paying global equity securities

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class M ECF13077 ECF13277 ECF13377 ECF13577
  • * 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: $14,000.04 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 Dividend Growth GIF Class M -0.61% 3.45% 2.91% 3.45% 8.45% 7.28% 9.73% 6.44%
Series Empire Life Global Dividend Growth GIF Class M
1 mth -0.61%
3 mths 3.45%
6 mths 2.91%
YTD 3.45%
1 year 8.45%
3 years 7.28%
5 years 9.73%
10 years
psi 6.44%

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 Dividend Growth GIF Class M 4.74% 8.11% -3.16% 4.80% 13.11%
Series Empire Life Global Dividend Growth GIF Class M
2015
2016
2017
2018
2019
2020 4.74%
2021 8.11%
2022 -3.16%
2023 4.80%
2024 13.11%

Portfolio Allocations As at March 31, 2025

Sector Allocation

Colours Name Weight
Financials 27.68%
Industrials 15.31%
Information Technology 12.46%
Consumer Staples 10.83%
Health Care 8.13%
Materials 6.87%
Energy 6.58%
Consumer Discretionary 6.23%
Utilities 3.02%
Real Estate 1.52%
Communication Services 1.37%

Asset Allocation

Colours Name Weight
U.S. Equity 44.39%
International Equity 40.41%
Canadian Equity 9.48%
Cash and Equivalents 5.72%

Top 10 Holdings

Name Weight
ROYAL BK OF CAD 2.65% 01APR25 TD 5.67%
Microsoft Corporation 2.71%
Cintas Corporation 2.53%
Deutsche Boerse AG Deutsche Borse Agnamens Aktien O N 2.44%
Aon PLC 2.19%
Newmont Mining Corporation 2.19%
CME Group Inc.. 2.16%
Apple Inc. Com 2.16%
Agnico Eagle Mines Limited 2.16%
PNC Financial Services Group Inc. (The) Com 2.07%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-07 $13.8651
2025-05-06 $13.8582
2025-05-05 $13.8669
2025-05-02 $13.8288
2025-05-01 $13.7089
2025-04-30 $13.7259
2025-04-29 $13.6748
2025-04-28 $13.6252
2025-04-25 $13.6137
2025-04-24 $13.6339
2025-04-23 $13.4817
2025-04-22 $13.4109
2025-04-21 $13.2582
2025-04-17 $13.3905
2025-04-16 $13.3953
2025-04-15 $13.4858
2025-04-14 $13.3894
2025-04-11 $13.2232
2025-04-10 $13.0890
2025-04-09 $13.1426
2025-04-08 $12.7467
2025-04-04 $13.0348
2025-04-03 $13.6370
2025-04-02 $14.0442
2025-04-01 $14.0358
2025-03-31 $14.0405
2025-03-28 $13.9386
2025-03-27 $14.0764
2025-03-26 $13.9996
2025-03-25 $14.0592
2025-03-24 $14.0192
2025-03-21 $13.9939
2025-03-20 $14.0354
2025-03-19 $14.0798
2025-03-18 $14.0278
2025-03-17 $14.0274
2025-03-14 $13.9689
2025-03-13 $13.8375
2025-03-12 $13.9315
2025-03-11 $13.9573
2025-03-10 $14.0486
2025-03-07 $14.1584
2025-03-06 $14.0260
2025-03-05 $14.1788
2025-03-04 $14.1143
2025-03-03 $14.1386
2025-02-28 $14.1272
2025-02-27 $14.0538
2025-02-26 $14.1335
2025-02-25 $14.0681
2025-02-24 $13.9895
2025-02-21 $14.0013
2025-02-20 $14.1014
2025-02-19 $14.1185
2025-02-18 $14.0983
2025-02-14 $14.0399
2025-02-13 $14.1455
2025-02-12 $14.1179
2025-02-11 $14.1389
2025-02-10 $14.1327
2025-02-07 $14.0666
2025-02-06 $14.1646
2025-02-05 $14.1230
2025-02-04 $14.0569
2025-02-03 $14.1967
2025-01-31 $14.2133
2025-01-30 $14.2167
2025-01-29 $14.0917
2025-01-28 $14.0615
2025-01-27 $14.0597
2025-01-24 $14.0422
2025-01-23 $14.0582
2025-01-22 $13.9936
2025-01-21 $13.9679
2025-01-20 $13.8490
2025-01-17 $13.8514
2025-01-16 $13.7847
2025-01-15 $13.7012
2025-01-14 $13.5706
2025-01-13 $13.5479
2025-01-10 $13.6033
2025-01-09 $13.7570
2025-01-08 $13.7201
2025-01-07 $13.6837
2025-01-06 $13.6976
2025-01-03 $13.6987
2025-01-02 $13.6227
2024-12-31 $13.5721
2024-12-30 $13.5669
2024-12-27 $13.6866
2024-12-24 $13.6830
2024-12-23 $13.6569
2024-12-20 $13.5832
2024-12-19 $13.5860
2024-12-18 $13.7206
2024-12-17 $13.9160
2024-12-16 $13.9334
2024-12-13 $14.0038
2024-12-12 $14.0029
2024-12-11 $14.0579
2024-12-10 $14.0539
2024-12-09 $14.0963
2024-12-06 $14.1959
2024-12-05 $14.1440
2024-12-04 $14.1862
2024-12-03 $14.1968
2024-12-02 $14.1500
2024-11-29 $14.0908
2024-11-28 $14.0329
2024-11-27 $14.0357
2024-11-26 $14.0469
2024-11-25 $13.9755
2024-11-22 $13.9553
2024-11-21 $13.8831
2024-11-20 $13.8205
2024-11-19 $13.7991
2024-11-18 $13.8568
2024-11-15 $13.7964
2024-11-14 $13.8291
2024-11-13 $13.8131
2024-11-12 $13.8182
2024-11-11 $13.9221
2024-11-08 $13.9296
2024-11-07 $13.8842
2024-11-06 $13.8367
2024-11-05 $13.6700
2024-11-04 $13.6160
2024-11-01 $13.6555
2024-10-31 $13.6467
2024-10-30 $13.7176
2024-10-29 $13.7659
2024-10-28 $13.8312
2024-10-25 $13.7913
2024-10-24 $13.8021
2024-10-22 $13.8934
2024-10-21 $13.9608
2024-10-18 $14.0130
2024-10-16 $13.9276
2024-10-15 $13.8846
2024-10-11 $13.8820
2024-10-10 $13.7863
2024-10-09 $13.7534
2024-10-08 $13.6671
2024-10-07 $13.6250
2024-10-04 $13.6441
2024-10-03 $13.5841
2024-10-02 $13.5794
2024-10-01 $13.6158
2024-09-30 $13.6437
2024-09-27 $13.6879
2024-09-26 $13.6813
2024-09-25 $13.5957
2024-09-24 $13.6428
2024-09-23 $13.6046
2024-09-20 $13.6350
2024-09-19 $13.6483
2024-09-18 $13.5137
2024-09-17 $13.5655
2024-09-16 $13.6148
2024-09-13 $13.5765
2024-09-12 $13.5047
2024-09-11 $13.4047
2024-09-10 $13.3704
2024-09-09 $13.3253
2024-09-06 $13.1953
2024-09-05 $13.2935
2024-09-04 $13.3695
2024-09-03 $13.4383
2024-08-30 $13.5346
2024-08-29 $13.4878
2024-08-28 $13.4147
2024-08-27 $13.4428
2024-08-26 $13.4505
2024-08-23 $13.4841
2024-08-22 $13.4168
2024-08-21 $13.4624
2024-08-20 $13.4416
2024-08-19 $13.4638
2024-08-16 $13.4604
2024-08-15 $13.3966
2024-08-13 $13.2466
2024-08-12 $13.1390
2024-08-09 $13.1187
2024-08-08 $13.0566
2024-08-07 $12.8779
2024-08-06 $12.9477
2024-08-01 $13.3566
2024-07-31 $13.5182
2024-07-30 $13.4252
2024-07-29 $13.4150
2024-07-26 $13.4097
2024-07-25 $13.3046
2024-07-24 $13.3240
2024-07-23 $13.3878
2024-07-22 $13.3939
2024-07-18 $13.3368
2024-07-17 $13.4237
2024-07-16 $13.4764
2024-07-15 $13.3566
2024-07-12 $13.3444
2024-07-11 $13.2661
2024-07-10 $13.1918
2024-07-09 $13.0606
2024-07-08 $13.0888
2024-07-05 $13.0954
2024-07-04 $13.0827
2024-07-03 $13.0771
2024-07-02 $13.0787
2024-06-28 $12.9919
2024-06-27 $12.9981
2024-06-26 $13.0029
2024-06-25 $13.0166
2024-06-24 $13.0438
2024-06-21 $12.9888
2024-06-20 $13.0084
2024-06-19 $12.9651
2024-06-18 $12.9821
2024-06-17 $12.9474
2024-06-14 $12.9136
2024-06-13 $12.9577
2024-06-12 $13.0082
2024-06-11 $13.0169
2024-06-10 $13.0854
2024-06-07 $13.0417
2024-06-06 $13.0909
2024-06-05 $13.0416
2024-06-04 $12.9526
2024-06-03 $12.9409
2024-05-31 $12.9490
2024-05-30 $12.8406
2024-05-29 $12.8142
2024-05-28 $12.9082
2024-05-27 $12.9666
2024-05-24 $12.9911
2024-05-23 $12.9780
2024-05-22 $13.0337
2024-05-21 $13.0537
2024-05-17 $13.0391
2024-05-16 $13.0079
2024-05-15 $13.0228
2024-05-14 $12.9175
2024-05-13 $12.9124
2024-05-10 $12.9275
2024-05-09 $12.9153
2024-05-08 $12.8675

Portfolio Manager(s)

Ashley Misquitta

Senior Portfolio Manager, U.S. & Global Equities

David Mann

Senior Portfolio Manager, Global Equities

Empire Life Investment Team

Empire Life Investment Team