Overview

Daily NAV
$11.05
-0.26% ($0.03)
August 27, 2025
  • Inception Date
    May 12, 2025
  • Net Assets
    $4.84 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%

Risk: Low to Medium

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 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.

Performance As at July 31, 2025

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

Portfolio Allocations As at June 30, 2025

Sector Allocation

Colours Name Weight
Financials 21.48%
Information Technology 19.02%
Industrials 11.67%
Materials 9.82%
Communication Services 7.95%
Consumer Staples 7.86%
Energy 7.61%
Consumer Discretionary 6.05%
Health Care 4.25%
Utilities 2.46%
Real Estate 1.83%

Geographic Allocation

Colours Name Weight
Canada 49.65%
United States 19.69%
United Kingdom 4.29%
China 2.79%
Japan 2.67%
France 2.27%
Germany 2.06%
Taiwan 1.67%
Netherlands 1.50%
South Korea 0.98%
Other 9.43%

Credit Ratings

Colours Name Weight
AAA 37.68%
AA 5.98%
A 8.13%
BBB 4.30%
BB 0.52%
B 0.14%
CCC 0.02%
C 0.00%
D
NR (Non-rated) 43.23%

Asset Allocation

Colours Name Weight
International Equity 25.84%
Canadian Equity 24.49%
U.S. Equity 21.88%
Mutual Funds 16.11%
U.S. Bonds 2.61%
Cash and Equivalents 1.99%
International Bond Funds 1.89%
Canadian Bonds 1.54%
Other 0.64%

Currency Allocation

Colours Name Weight
Canadian dollar 44.56%
United States dollar 29.03%
Euro 8.27%
Pound sterling 3.90%
Japanese yen 2.52%
Hong Kong dollar 1.83%
New Taiwan dollar 1.13%
South Korean won 0.98%
Swiss franc 0.77%
Indian rupee 0.75%
Other 3.26%

Bond Term Allocation

Colours Name Weight
Between 1 and 5 years 30.33%
Between 5 and 10 years 28.31%
More than 20 years 27.50%
Between 10 and 20 years 13.86%

Top 10 Holdings

Name Weight
Fidelity Insights Investment Trust 14.23%
Fidelity Global Innovators Investment Trust 9.60%
Fidelity Canadian Disciplined Equity Fund 8.61%
Fidelity Emerging Markets Fund 7.18%
Fidelity International Growth Multi-Asset Base Fund 6.72%
Fidelity Canadian Opportunities Fund 5.40%
Fidelity Canadian Equity Multi-Asset Base Fund 4.99%
Fidelity Canadian Large Cap Multi-Asset Base Fund 4.86%
Fidelity International Equity Investment Trust 4.40%
Fidelity U.S. All Cap Fund 4.17%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
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

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team