Overview

Daily NAV
$20.89
0.23% $0.05
May 7, 2025
  • Inception Date
    September 5, 2006
  • Net Assets
    $49.49 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $500 per fund
  • MER
    3.10%
  • Asset class
    Global Small/Mid Cap Equity

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 global small cap equity securities

Fund codes

Series Front-end load Low load * Deferred Sales Charge *
Class B ECF2072 ECF2272 ECF2572
  • * 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: $19,753.75 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 Smaller Companies GIF Class B -4.51% -5.73% -6.06% -5.73% -1.58% 1.06% 7.62% 6.06% 3.73%
Series Empire Life Global Smaller Companies GIF Class B
1 mth -4.51%
3 mths -5.73%
6 mths -6.06%
YTD -5.73%
1 year -1.58%
3 years 1.06%
5 years 7.62%
10 years 6.06%
psi 3.73%

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 Smaller Companies GIF Class B 24.78% 2.51% 11.22% -6.12% 21.73% 18.23% 12.74% -13.94% 2.71% 11.90%
Series Empire Life Global Smaller Companies GIF Class B
2015 24.78%
2016 2.51%
2017 11.22%
2018 -6.12%
2019 21.73%
2020 18.23%
2021 12.74%
2022 -13.94%
2023 2.71%
2024 11.90%

Portfolio Allocations As at March 31, 2025

Sector Allocation

Colours Name Weight
Industrials 21.62%
Financials 19.22%
Information Technology 12.30%
Energy 12.28%
Health Care 9.95%
Materials 7.20%
Utilities 6.64%
Consumer Discretionary 5.45%
Consumer Staples 2.98%
Real Estate 2.35%

Asset Allocation

Colours Name Weight
U.S. Equity 49.75%
International Equity 27.59%
Canadian Equity 19.32%
Cash and Equivalents 3.33%

Top 10 Holdings

Name Weight
AddTech AB 4.69%
Agnico Eagle Mines Limited 4.15%
Morningstar Inc. 3.99%
Tyler Technologies Inc. 3.90%
Jack Henry & Associates Inc. 3.74%
Whitecap Resources Inc. 3.70%
Raymond James Financial Inc. 3.49%
ROYAL BK OF CAD 2.65% 01APR25 TD 3.18%
Ansys Inc 3.17%
Techtronic Industries Company Limited 2.94%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-07 $20.8936
2025-05-06 $20.8459
2025-05-05 $20.7194
2025-05-02 $20.6924
2025-05-01 $20.3083
2025-04-30 $20.2863
2025-04-29 $20.2943
2025-04-28 $20.1868
2025-04-25 $20.1155
2025-04-24 $20.1644
2025-04-23 $19.8789
2025-04-22 $19.6623
2025-04-21 $19.3681
2025-04-17 $19.7085
2025-04-16 $19.6159
2025-04-15 $19.8007
2025-04-14 $19.6422
2025-04-11 $19.4385
2025-04-10 $19.2737
2025-04-09 $19.6764
2025-04-08 $18.6001
2025-04-04 $19.2145
2025-04-03 $20.1703
2025-04-02 $21.3442
2025-04-01 $21.1654
2025-03-31 $21.1215
2025-03-28 $21.0751
2025-03-27 $21.4014
2025-03-26 $21.3794
2025-03-25 $21.6050
2025-03-24 $21.5946
2025-03-21 $21.4321
2025-03-20 $21.5407
2025-03-19 $21.6797
2025-03-18 $21.4045
2025-03-17 $21.3262
2025-03-14 $21.1911
2025-03-13 $20.9091
2025-03-12 $21.1648
2025-03-11 $21.1527
2025-03-10 $21.1266
2025-03-07 $21.5693
2025-03-06 $21.5249
2025-03-05 $21.8486
2025-03-04 $21.7382
2025-03-03 $21.8543
2025-02-28 $22.1180
2025-02-27 $22.1083
2025-02-26 $22.3394
2025-02-25 $22.1587
2025-02-24 $22.1746
2025-02-21 $22.2081
2025-02-20 $22.4929
2025-02-19 $22.6089
2025-02-18 $22.7772
2025-02-14 $22.6506
2025-02-13 $22.7939
2025-02-12 $22.6559
2025-02-11 $22.7707
2025-02-10 $22.8641
2025-02-07 $22.7730
2025-02-06 $22.8679
2025-02-05 $22.9039
2025-02-04 $22.7832
2025-02-03 $22.9621
2025-01-31 $23.1899
2025-01-30 $23.2245
2025-01-29 $23.0139
2025-01-28 $22.9663
2025-01-27 $22.9301
2025-01-24 $23.2173
2025-01-23 $23.2224
2025-01-22 $23.1238
2025-01-21 $23.0935
2025-01-20 $22.7469
2025-01-17 $22.7992
2025-01-16 $22.6924
2025-01-15 $22.4919
2025-01-14 $22.2259
2025-01-13 $22.2051
2025-01-10 $22.2995
2025-01-09 $22.4731
2025-01-08 $22.4390
2025-01-07 $22.4707
2025-01-06 $22.6050
2025-01-03 $22.7910
2025-01-02 $22.5667
2024-12-31 $22.4057
2024-12-30 $22.3276
2024-12-27 $22.5501
2024-12-24 $22.5474
2024-12-23 $22.5011
2024-12-20 $22.3910
2024-12-19 $22.2602
2024-12-18 $22.4456
2024-12-17 $22.9415
2024-12-16 $22.9632
2024-12-13 $23.0522
2024-12-12 $23.2129
2024-12-11 $23.3338
2024-12-10 $23.2453
2024-12-09 $23.3176
2024-12-06 $23.4171
2024-12-05 $23.3840
2024-12-04 $23.4921
2024-12-03 $23.4191
2024-12-02 $23.3656
2024-11-29 $23.3661
2024-11-28 $23.2960
2024-11-27 $23.3102
2024-11-26 $23.2687
2024-11-25 $23.1705
2024-11-22 $23.0253
2024-11-21 $22.8159
2024-11-20 $22.6251
2024-11-19 $22.6861
2024-11-18 $22.6731
2024-11-15 $22.5725
2024-11-14 $22.6977
2024-11-13 $22.7316
2024-11-12 $22.8248
2024-11-11 $22.9644
2024-11-08 $23.0123
2024-11-07 $23.0501
2024-11-06 $22.8822
2024-11-05 $22.7911
2024-11-04 $22.6467
2024-11-01 $22.6146
2024-10-31 $22.5852
2024-10-30 $22.8169
2024-10-29 $22.8786
2024-10-28 $22.9088
2024-10-25 $22.7787
2024-10-24 $22.7716
2024-10-22 $22.8515
2024-10-21 $22.9837
2024-10-18 $23.1081
2024-10-16 $22.9367
2024-10-15 $22.8958
2024-10-11 $22.8838
2024-10-10 $22.6454
2024-10-09 $22.5704
2024-10-08 $22.5246
2024-10-07 $22.5040
2024-10-04 $22.6446
2024-10-03 $22.4853
2024-10-02 $22.4270
2024-10-01 $22.4544
2024-09-30 $22.4845
2024-09-27 $22.5122
2024-09-26 $22.4590
2024-09-25 $22.3358
2024-09-24 $22.3839
2024-09-23 $22.3152
2024-09-20 $22.3610
2024-09-19 $22.3524
2024-09-18 $22.0459
2024-09-17 $22.1223
2024-09-16 $22.0847
2024-09-13 $21.8944
2024-09-12 $21.6990
2024-09-11 $21.4392
2024-09-10 $21.2792
2024-09-09 $21.1474
2024-09-06 $21.0475
2024-09-05 $21.3069
2024-09-04 $21.4702
2024-09-03 $21.5710
2024-08-30 $21.9485
2024-08-29 $21.8567
2024-08-28 $21.7754
2024-08-27 $21.9198
2024-08-26 $21.9687
2024-08-23 $22.0232
2024-08-22 $21.8034
2024-08-21 $21.8503
2024-08-20 $21.7489
2024-08-19 $21.8225
2024-08-16 $21.7735
2024-08-15 $21.7087
2024-08-13 $21.4139
2024-08-12 $21.1878
2024-08-09 $21.0532
2024-08-08 $21.0120
2024-08-07 $20.6846
2024-08-06 $20.9009
2024-08-01 $21.8100
2024-07-31 $22.0973
2024-07-30 $21.9431
2024-07-29 $21.8942
2024-07-26 $21.8836
2024-07-25 $21.6913
2024-07-24 $21.5058
2024-07-23 $21.7147
2024-07-22 $21.6810
2024-07-18 $21.5692
2024-07-17 $21.6903
2024-07-16 $21.8922
2024-07-15 $21.6633
2024-07-12 $21.6385
2024-07-11 $21.2494
2024-07-10 $20.9241
2024-07-09 $20.7128
2024-07-08 $20.7724
2024-07-05 $20.7881
2024-07-04 $20.8087
2024-07-03 $20.7877
2024-07-02 $20.7334
2024-06-28 $20.6971
2024-06-27 $20.7355
2024-06-26 $20.6302
2024-06-25 $20.6673
2024-06-24 $20.8602
2024-06-21 $20.8202
2024-06-20 $20.8616
2024-06-19 $20.7707
2024-06-18 $20.7705
2024-06-17 $20.7228
2024-06-14 $20.6242
2024-06-13 $20.8059
2024-06-12 $20.9369
2024-06-11 $20.8011
2024-06-10 $20.9955
2024-06-07 $20.8482
2024-06-06 $21.0579
2024-06-05 $20.9743
2024-06-04 $20.7457
2024-06-03 $20.8947
2024-05-31 $21.0523
2024-05-30 $20.9322
2024-05-29 $20.7757
2024-05-28 $21.0027
2024-05-27 $21.1183
2024-05-24 $21.1413
2024-05-23 $21.0440
2024-05-22 $21.2564
2024-05-21 $21.3779
2024-05-17 $21.2995
2024-05-16 $21.1857
2024-05-15 $21.2360
2024-05-14 $21.0575
2024-05-13 $21.0135
2024-05-10 $21.0248
2024-05-09 $21.1092
2024-05-08 $21.0176

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