Overview

Daily NAV
$11.52
-0.22% ($0.03)
June 3, 2026
  • Inception Date
    May 12, 2025
  • Net Assets
    $19.08 million
  • Fund Manager 1
    The Empire Life Insurance Company
  • Secondary Fund Manager
    Fidelity Investments Canada
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER *
    3.20%
  • Asset class
    Global Fixed Income Balanced
  • Management Fee
    2.30%

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 income and growth, 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 M ECF13021 ECF13221 ECF13321 ECF13521
  • * 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 April 30, 2026

Growth of $10,000

Investment value: $11,086.64 at April 30, 2026

Compound Returns 2

Series 1 mth 3 mths 6 mths YTD 1 year 3 years 5 years 10 years psi
Empire Life Fidelity Global Income Portfolio GIF Class M 1.91% 1.29% 3.21% 3.05% 10.87% 10.87%
Series Empire Life Fidelity Global Income Portfolio GIF Class M
1 mth 1.91%
3 mths 1.29%
6 mths 3.21%
YTD 3.05%
1 year 10.87%
3 years
5 years
10 years
psi 10.87%

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.

Portfolio Allocations As at March 31, 2026

Sector Allocation

Colours Name Weight
Financials 17.89%
Information Technology 17.08%
Industrials 14.46%
Materials 10.13%
Energy 8.62%
Consumer Discretionary 7.33%
Health Care 6.51%
Communication Services 6.37%
Consumer Staples 5.91%
Real Estate 3.09%
Utilities 2.62%

Geographic Allocation

Colours Name Weight
Canada 56.43%
United States 9.49%
United Kingdom 4.12%
Germany 3.83%
Japan 2.81%
Netherlands 2.08%
China 1.66%
France 1.65%
Taiwan 1.62%
South Korea 1.06%
Other 10.90%

Credit Ratings

Colours Name Weight
AAA 30.50%
AA 2.63%
A 6.15%
BBB 7.39%
BB 1.35%
B 0.39%
CCC 0.09%
CC 0.01%
C 0.01%
D
NR (Non-rated) 51.47%

Asset Allocation

Colours Name Weight
International Equity 16.53%
U.S. Equity 15.91%
Mutual Funds 14.54%
Canadian Equity 12.84%
International Bond Funds 12.59%
U.S. Bonds 8.43%
Canadian Bonds 7.05%
Cash and Equivalents 6.93%
Other 0.82%

Currency Allocation

Colours Name Weight
Canadian dollar 53.19%
United States dollar 15.38%
Euro 10.19%
Pound sterling 3.55%
Japanese yen 2.73%
New Taiwan dollar 1.45%
South Korean won 1.06%
Hong Kong dollar 0.97%
Swiss franc 0.92%
Renminbi (Chinese) yuan 0.67%
Other 5.54%

Bond Term Allocation

Colours Name Weight
Between 5 and 10 years 39.07%
Between 1 and 5 years 35.48%
More than 20 years 15.43%
Between 10 and 20 years 10.02%

Top 10 Holdings

Name Weight
Can Bond MA Base - Ser O 9.86%
Fidelity Global Dividend Investment Trust 8.70%
Fidelity Developed International Bond Multi-Asset Base Fund 8.64%
Fidelity Multi-Sector Bond Hedged Multi-Asset Base Fund 6.49%
Fidelity Canadian Money Market Investment Trust 5.66%
Fidelity Canadian Disciplined Equity Fund 5.08%
Fidelity Emerging Markets Fund 4.67%
Fidelity Canadian Short Term Fixed Income Multi-Asset Base Fund 4.31%
Fidelity Insights Currency Neutral Multi-Asset Base Fund 4.17%
Fidelity Global Bond Multi-Asset Base Fund 3.19%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2026-06-03 $11.5164
2026-06-02 $11.5419
2026-06-01 $11.4961
2026-05-29 $11.4692
2026-05-28 $11.4500
2026-05-27 $11.4432
2026-05-26 $11.4437
2026-05-25 $11.4510
2026-05-22 $11.3692
2026-05-21 $11.3459
2026-05-20 $11.2943
2026-05-19 $11.2052
2026-05-15 $11.2344
2026-05-14 $11.3470
2026-05-13 $11.3089
2026-05-12 $11.3097
2026-05-11 $11.3307
2026-05-08 $11.3442
2026-05-07 $11.2860
2026-05-06 $11.3217
2026-05-05 $11.1958
2026-05-04 $11.1591
2026-05-01 $11.1967
2026-04-30 $11.1995
2026-04-29 $11.1399
2026-04-28 $11.1744
2026-04-27 $11.1886
2026-04-24 $11.2160
2026-04-23 $11.2044
2026-04-22 $11.2174
2026-04-17 $11.2968
2026-04-16 $11.2267
2026-04-15 $11.2444
2026-04-14 $11.2726
2026-04-13 $11.2256
2026-04-10 $11.2039
2026-04-09 $11.1891
2026-04-08 $11.1969
2026-04-07 $11.0609
2026-04-06 $11.0615
2026-04-02 $11.0433
2026-04-01 $11.0352
2026-03-31 $10.9891
2026-03-30 $10.8448
2026-03-27 $10.8266
2026-03-26 $10.8481
2026-03-25 $10.9485
2026-03-24 $10.8551
2026-03-23 $10.8599
2026-03-20 $10.7710
2026-03-19 $10.9048
2026-03-18 $10.9307
2026-03-17 $11.0227
2026-03-16 $10.9911
2026-03-13 $10.9365
2026-03-12 $10.9482
2026-03-11 $11.0218
2026-03-10 $11.0607
2026-03-09 $11.0479
2026-03-06 $11.0119
2026-03-05 $11.1301
2026-03-04 $11.1934
2026-03-03 $11.1777
2026-03-02 $11.3183
2026-02-27 $11.3457
2026-02-26 $11.3621
2026-02-25 $11.3443
2026-02-24 $11.3332
2026-02-23 $11.3051
2026-02-20 $11.3117
2026-02-19 $11.2731
2026-02-18 $11.2708
2026-02-17 $11.2106
2026-02-13 $11.2176
2026-02-12 $11.1649
2026-02-11 $11.2114
2026-02-10 $11.1952
2026-02-09 $11.1880
2026-02-06 $11.1609
2026-02-05 $11.0836
2026-02-04 $11.1300
2026-02-03 $11.1154
2026-02-02 $11.0961
2026-01-30 $11.0572
2026-01-29 $11.1274
2026-01-28 $11.1537
2026-01-27 $11.1618
2026-01-26 $11.1750
2026-01-23 $11.1413
2026-01-22 $11.1563
2026-01-21 $11.1373
2026-01-20 $11.0920
2026-01-19 $11.1466
2026-01-16 $11.1813
2026-01-15 $11.1835
2026-01-14 $11.1627
2026-01-13 $11.1525
2026-01-12 $11.1597
2026-01-09 $11.1412
2026-01-08 $11.0741
2026-01-07 $11.0579
2026-01-06 $11.0627
2026-01-05 $11.0043
2026-01-02 $10.9215
2025-12-31 $10.8683
2025-12-30 $10.8968
2025-12-29 $10.9025
2025-12-24 $10.9049
2025-12-23 $10.9067
2025-12-22 $10.9045
2025-12-19 $10.8831
2025-12-18 $10.8576
2025-12-17 $10.8191
2025-12-16 $10.8337
2025-12-15 $10.8623
2025-12-12 $10.8513
2025-12-11 $10.8868
2025-12-10 $10.8685
2025-12-09 $10.8333
2025-12-08 $10.8475
2025-12-04 $10.9244
2025-12-03 $10.9100
2025-12-02 $10.8929
2025-12-01 $10.8989
2025-11-28 $10.9282
2025-11-27 $10.9344
2025-11-26 $10.9359
2025-11-25 $10.9077
2025-11-24 $10.8534
2025-11-21 $10.7899
2025-11-20 $10.7418
2025-11-19 $10.7792
2025-11-18 $10.7439
2025-11-17 $10.8044
2025-11-14 $10.8453
2025-11-13 $10.8667
2025-11-12 $10.9196
2025-11-11 $10.8846
2025-11-10 $10.8634
2025-11-07 $10.8070
2025-11-06 $10.8344
2025-11-05 $10.8442
2025-11-04 $10.8108
2025-11-03 $10.8605
2025-10-31 $10.8508
2025-10-30 $10.8325
2025-10-29 $10.8413
2025-10-28 $10.8804
2025-10-27 $10.9018
2025-10-24 $10.8830
2025-10-23 $10.8559
2025-10-22 $10.8334
2025-10-21 $10.8495
2025-10-20 $10.9098
2025-10-17 $10.8535
2025-10-16 $10.8957
2025-10-15 $10.8767
2025-10-14 $10.8271
2025-10-10 $10.7284
2025-10-09 $10.8127
2025-10-08 $10.8335
2025-10-07 $10.8064
2025-10-06 $10.8304
2025-10-03 $10.8400
2025-10-02 $10.8148
2025-10-01 $10.8010
2025-09-30 $10.7725
2025-09-29 $10.7511
2025-09-26 $10.7163
2025-09-25 $10.7011
2025-09-24 $10.7172
2025-09-23 $10.7166
2025-09-22 $10.7161
2025-09-19 $10.6819
2025-09-18 $10.6841
2025-09-17 $10.6783
2025-09-16 $10.6787
2025-09-15 $10.6806
2025-09-12 $10.6831
2025-09-11 $10.6968
2025-09-10 $10.6630
2025-09-09 $10.6427
2025-09-08 $10.6255
2025-09-05 $10.6125
2025-09-04 $10.5651
2025-09-03 $10.5245
2025-09-02 $10.4846
2025-08-29 $10.4958
2025-08-28 $10.5060
2025-08-27 $10.5046
2025-08-26 $10.5211
2025-08-25 $10.5194
2025-08-22 $10.5524
2025-08-21 $10.5036
2025-08-20 $10.5088
2025-08-19 $10.4978
2025-08-18 $10.4798
2025-08-14 $10.4978
2025-08-13 $10.4990
2025-08-12 $10.4751
2025-08-11 $10.4394
2025-08-08 $10.4485
2025-08-07 $10.4367
2025-08-06 $10.4238
2025-08-05 $10.4066
2025-08-01 $10.3499
2025-07-31 $10.3799
2025-07-30 $10.3849
2025-07-29 $10.4058
2025-07-28 $10.3702
2025-07-25 $10.4007
2025-07-24 $10.3672
2025-07-23 $10.3567
2025-07-22 $10.3291
2025-07-21 $10.3391
2025-07-18 $10.3239
2025-07-17 $10.3253
2025-07-16 $10.2757
2025-07-15 $10.2725
2025-07-14 $10.3004
2025-07-11 $10.2933
2025-07-10 $10.3129
2025-07-09 $10.3168
2025-07-08 $10.2890
2025-07-07 $10.2913
2025-07-04 $10.2883
2025-07-03 $10.2895
2025-07-02 $10.2790
2025-06-30 $10.2390
2025-06-27 $10.2920
2025-06-26 $10.2623
2025-06-25 $10.2496
2025-06-24 $10.2636
2025-06-23 $10.2222
2025-06-20 $10.1896
2025-06-19 $10.1574
2025-06-18 $10.1839
2025-06-17 $10.1560
2025-06-16 $10.1578
2025-06-13 $10.1428
2025-06-12 $10.1673
2025-06-11 $10.1521
2025-06-10 $10.1373
2025-06-09 $10.1317
2025-06-06 $10.1346
2025-06-05 $10.1300
2025-06-04 $10.1363

Portfolio Manager(s)

Empire Life Investment Team

Empire Life Investment Team