Overview
$11.89
0.13% $0.02
April 2, 2026
Inception Date
May 12, 2025
Net Assets
$31.40 million
Fund Manager
1
The Empire Life Insurance Company
Secondary Fund Manager
Fidelity Investments Canada
Min. Investment
$1,000 initial, $50 per fund
MER
*
3.26%
Asset class
Global Equity Balanced
Management Fee
2.40%
* 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 growth and some income, wanting to invest in bonds and stocks from around the world, including emerging markets, and are willing to accept a low to moderate level of risk.
Fund codes
Series
Front-end load
Low load *
No load
Deferred Sales Charge *
Class L
ECF12022
ECF12222
ECF12322
ECF12522
* 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.
Portfolio Allocations
As at January 31, 2026
Sector Allocation
Colours
Name
Weight
Information Technology
19.18%
Financials
16.68%
Industrials
14.46%
Materials
11.57%
Communication Services
9.29%
Consumer Discretionary
8.44%
Energy
6.75%
Health Care
5.14%
Consumer Staples
4.92%
Utilities
1.79%
Real Estate
1.79%
Geographic Allocation
Colours
Name
Weight
Canada
40.10%
United States
24.68%
United Kingdom
4.12%
Japan
2.95%
Taiwan
2.94%
China
2.72%
France
2.18%
Netherlands
1.79%
South Korea
1.75%
Germany
1.71%
Other
11.37%
Credit Ratings
Colours
Name
Weight
AAA
17.38%
AA
4.73%
A
6.06%
BBB
3.12%
BB
0.79%
B
0.01%
CCC
NR (Non-rated)
67.90%
Asset Allocation
Colours
Name
Weight
U.S. Equity
29.65%
International Equity
28.16%
Canadian Equity
26.27%
Cash and Equivalents
4.98%
International Bond Funds
2.85%
Canadian Bonds
1.81%
U.S. Bonds
1.67%
Mutual Funds
0.77%
Other
0.16%
Currency Allocation
Colours
Name
Weight
United States dollar
34.99%
Canadian dollar
34.54%
Euro
8.11%
Pound sterling
3.73%
Japanese yen
2.84%
New Taiwan dollar
1.91%
Hong Kong dollar
1.77%
South Korean won
1.75%
Swiss franc
1.06%
Indian rupee
0.76%
Other
4.86%
Bond Term Allocation
Colours
Name
Weight
Between 5 and 10 years
29.45%
Between 1 and 5 years
28.25%
More than 20 years
25.81%
Between 10 and 20 years
16.48%
Top 10 Holdings
Name
Weight
Fidelity Insights Investment Trust
12.55%
Fidelity Global Innovators Investment Trust
10.03%
Fidelity Canadian Disciplined Equity Fund
9.72%
Fidelity Emerging Markets Fund
8.30%
Fidelity International Growth Multi-Asset Base Fund
6.47%
Fidelity Canadian Opportunities Fund
4.87%
Fidelity Canadian Large Cap Multi-Asset Base Fund
4.52%
Fidelity International Equity Investment Trust
4.52%
Fidelity U.S. All Cap Fund
4.30%
Fidelity Canadian Growth Company Fund
4.10%
Historical Net Asset Values
Start Date
January
February
March
April
May
June
July
August
September
October
November
December
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
2025
2026
End Date
January
February
March
April
May
June
July
August
September
October
November
December
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
20
21
22
23
24
25
26
27
28
29
30
31
2025
2026
Filter Data
Download this data (CSV)
Effective Date
Net Asset Value
Distributions
2026-04-02
$11.8887
—
2026-04-01
$11.8730
—
2026-03-31
$11.7655
—
2026-03-30
$11.4618
—
2026-03-27
$11.4832
—
2026-03-26
$11.5342
—
2026-03-25
$11.7471
—
2026-03-24
$11.5997
—
2026-03-23
$11.6136
—
2026-03-20
$11.4347
—
2026-03-19
$11.6566
—
2026-03-18
$11.7317
—
2026-03-17
$11.8971
—
2026-03-16
$11.8506
—
2026-03-13
$11.7443
—
2026-03-12
$11.7794
—
2026-03-11
$11.9265
—
2026-03-10
$11.9575
—
2026-03-09
$11.9306
—
2026-03-06
$11.8437
—
2026-03-05
$12.0658
—
2026-03-04
$12.1693
—
2026-03-03
$12.1132
—
2026-03-02
$12.3776
—
2026-02-27
$12.3992
—
2026-02-26
$12.4476
—
2026-02-25
$12.4378
—
2026-02-24
$12.3893
—
2026-02-23
$12.3093
—
2026-02-20
$12.3573
—
2026-02-19
$12.2747
—
2026-02-18
$12.2642
—
2026-02-17
$12.1388
—
2026-02-13
$12.1520
—
2026-02-12
$12.0671
—
2026-02-11
$12.2089
—
2026-02-10
$12.1816
—
2026-02-09
$12.1817
—
2026-02-06
$12.0998
—
2026-02-05
$11.9397
—
2026-02-04
$12.0711
—
2026-02-03
$12.0920
—
2026-02-02
$12.0804
—
2026-01-30
$11.9893
—
2026-01-29
$12.1616
—
2026-01-28
$12.2088
—
2026-01-27
$12.2004
—
2026-01-26
$12.1896
—
2026-01-23
$12.1591
—
2026-01-22
$12.1764
—
2026-01-21
$12.1320
—
2026-01-20
$12.0466
—
2026-01-19
$12.1443
—
2026-01-16
$12.2126
—
2026-01-15
$12.2093
—
2026-01-14
$12.1506
—
2026-01-13
$12.1655
—
2026-01-12
$12.1750
—
2026-01-09
$12.1266
—
2026-01-08
$12.0065
—
2026-01-07
$11.9837
—
2026-01-06
$12.0112
—
2026-01-05
$11.9047
—
2026-01-02
$11.7659
—
2025-12-31
$11.6573
—
2025-12-30
$11.7046
—
2025-12-29
$11.7083
—
2025-12-24
$11.7267
—
2025-12-23
$11.7317
—
2025-12-22
$11.7272
—
2025-12-19
$11.6752
—
2025-12-18
$11.5932
—
2025-12-17
$11.4989
—
2025-12-16
$11.5575
—
2025-12-15
$11.6043
—
2025-12-12
$11.6071
—
2025-12-11
$11.7036
—
2025-12-10
$11.6788
—
2025-12-09
$11.6147
—
2025-12-08
$11.6253
—
2025-12-04
$11.6835
—
2025-12-03
$11.6328
—
2025-12-02
$11.6141
—
2025-12-01
$11.6160
—
2025-11-28
$11.6585
—
2025-11-27
$11.6409
—
2025-11-26
$11.6437
—
2025-11-25
$11.5719
—
2025-11-24
$11.4795
—
2025-11-21
$11.3309
—
2025-11-20
$11.2433
—
2025-11-19
$11.3716
—
2025-11-18
$11.2986
—
2025-11-17
$11.4017
—
2025-11-14
$11.4834
—
2025-11-13
$11.5013
—
2025-11-12
$11.6453
—
2025-11-11
$11.5945
—
2025-11-10
$11.5890
—
2025-11-07
$11.4602
—
2025-11-06
$11.4850
—
2025-11-05
$11.5629
—
2025-11-04
$11.4875
—
2025-11-03
$11.6284
—
2025-10-31
$11.6131
—
2025-10-30
$11.5714
—
2025-10-29
$11.6409
—
2025-10-28
$11.6670
—
2025-10-27
$11.6820
—
2025-10-24
$11.6346
—
2025-10-23
$11.5639
—
2025-10-22
$11.4936
—
2025-10-21
$11.5328
—
2025-10-20
$11.6377
—
2025-10-17
$11.5426
—
2025-10-16
$11.6095
—
2025-10-15
$11.6091
—
2025-10-14
$11.5207
—
2025-10-10
$11.3446
—
2025-10-09
$11.5787
—
2025-10-08
$11.6132
—
2025-10-07
$11.5394
—
2025-10-06
$11.5989
—
2025-10-03
$11.5860
—
2025-10-02
$11.5516
—
2025-10-01
$11.5176
—
2025-09-30
$11.4763
—
2025-09-29
$11.4398
—
2025-09-26
$11.3775
—
2025-09-25
$11.3552
—
2025-09-24
$11.3848
—
2025-09-23
$11.3849
—
2025-09-22
$11.4205
—
2025-09-19
$11.3751
—
2025-09-18
$11.3560
—
2025-09-17
$11.3076
—
2025-09-16
$11.3106
—
2025-09-15
$11.3297
—
2025-09-12
$11.3103
—
2025-09-11
$11.3324
—
2025-09-10
$11.2688
—
2025-09-09
$11.2437
—
2025-09-08
$11.1952
—
2025-09-05
$11.1733
—
2025-09-04
$11.1342
—
2025-09-03
$11.0650
—
2025-09-02
$11.0058
—
2025-08-29
$11.0249
—
2025-08-28
$11.0593
—
2025-08-27
$11.0539
—
2025-08-26
$11.0823
—
2025-08-25
$11.0782
—
2025-08-22
$11.1187
—
2025-08-21
$11.0211
—
2025-08-20
$11.0139
—
2025-08-19
$11.0153
—
2025-08-18
$11.0405
—
2025-08-14
$11.0580
—
2025-08-13
$11.0587
—
2025-08-12
$11.0399
—
2025-08-11
$10.9571
—
2025-08-08
$10.9690
—
2025-08-07
$10.9362
—
2025-08-06
$10.9112
—
2025-08-05
$10.8608
—
2025-08-01
$10.7394
—
2025-07-31
$10.8784
—
2025-07-30
$10.8630
—
2025-07-29
$10.8800
—
2025-07-28
$10.8542
—
2025-07-25
$10.8873
—
2025-07-24
$10.8321
—
2025-07-23
$10.8183
—
2025-07-22
$10.7402
—
2025-07-21
$10.7714
—
2025-07-18
$10.7666
—
2025-07-17
$10.7762
—
2025-07-16
$10.6838
—
2025-07-15
$10.6730
—
2025-07-14
$10.6903
—
2025-07-11
$10.6584
—
2025-07-10
$10.6839
—
2025-07-09
$10.6804
—
2025-07-08
$10.6288
—
2025-07-07
$10.6288
—
2025-07-04
$10.5983
—
2025-07-03
$10.6273
—
2025-07-02
$10.5779
—
2025-06-30
$10.5920
—
2025-06-27
$10.5903
—
2025-06-26
$10.5384
—
2025-06-25
$10.5035
—
2025-06-24
$10.5352
—
2025-06-23
$10.4419
—
2025-06-20
$10.3834
—
2025-06-19
$10.3365
—
2025-06-18
$10.3858
—
2025-06-17
$10.3542
—
2025-06-16
$10.3801
—
2025-06-13
$10.3154
—
2025-06-12
$10.3810
—
2025-06-11
$10.3757
—
2025-06-10
$10.3678
—
2025-06-09
$10.3585
—
2025-06-06
$10.3615
—
2025-06-05
$10.3175
—
2025-06-04
$10.3204
—
2025-06-03
$10.3086
—
2025-06-02
$10.2889
—
2025-05-30
$10.2269
—
2025-05-29
$10.2842
—
2025-05-28
$10.2817
—
2025-05-27
$10.3164
—
2025-05-26
$10.2324
—
2025-05-23
$10.1436
—
2025-05-22
$10.2135
—
2025-05-21
$10.2161
—
2025-05-20
$10.3262
—
2025-05-16
$10.3233
—
2025-05-15
$10.3122
—
2025-05-14
$10.2840
—
2025-05-13
$10.2632
—
2025-05-12
$10.2308
—