Overview

Daily NAV
$11.53
0.07% $0.01
May 7, 2025
  • Inception Date
    October 23, 2019
  • Net Assets
    $142.15 million
  • Fund Manager 1
    Empire Life Investments Inc.
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    2.17%
  • Asset class
    High Yield Fixed Income
  • Management Fee
    1.90%

Risk: Low

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 income generation, with the potential for capital gains, by investing primarily in fixed income securities with an emphasis on short term, higher-yielding corporate bonds.

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class K ECF11032 ECF11232 ECF11332 ECF11532
  • * 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: $11,553.57 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 Short Term High Income GIF Class K -0.20% 1.04% 1.03% 1.04% 4.01% 2.58% 3.84% 2.69%
Series Empire Life Short Term High Income GIF Class K
1 mth -0.20%
3 mths 1.04%
6 mths 1.03%
YTD 1.04%
1 year 4.01%
3 years 2.58%
5 years 3.84%
10 years
psi 2.69%

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 Short Term High Income GIF Class K 6.39% 2.21% -4.18% 5.11% 4.00%
Series Empire Life Short Term High Income GIF Class K
2015
2016
2017
2018
2019
2020 6.39%
2021 2.21%
2022 -4.18%
2023 5.11%
2024 4.00%

Portfolio Allocations As at March 31, 2025

Asset Allocation

Colours Name Weight
U.S. Bonds 45.08%
Canadian Bonds 43.76%
Cash and Equivalents 6.38%
International Bond Funds 4.78%
International Equity 0.00%

Bond Type

Colours Name Weight
High Yield Corporate 37.97%
Investment Grade Corporate 26.06%
Federal Government 23.32%
Convertible Bonds 5.65%
Floating Rate 4.04%
Preferred Shares 2.95%

Top 10 Holdings

Name Weight
ROYAL BK OF CAD 2.65% 01APR25 TD 5.64%
Gov. of Canada, 4%, 3/1/2029 5.60%
Gov. of Canada, 2.75%, 3/1/2030 3.47%
Element Fleet Management Corp., 6.27%, 6/26/2026 2.21%
United States Treasury Note, 4.13%, 11/15/2032 2.04%
SNC-Lavalin Group Inc., 7%, 6/12/2026 1.99%
Gov. of Canada, 4%, 5/1/2026 1.88%
PetSmart LLC, 4.75%, 2/15/2028 1.68%
Airbnb, Inc., 3.46%, 3/15/2026 1.67%
Gov. of Canada, 1.5%, 6/1/2031 1.65%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-07 $11.5281
2025-05-06 $11.5195
2025-05-05 $11.5154
2025-05-02 $11.5136
2025-05-01 $11.5263
2025-04-30 $11.5284
2025-04-29 $11.5333
2025-04-28 $11.5190
2025-04-25 $11.5116
2025-04-24 $11.4986
2025-04-23 $11.4756
2025-04-22 $11.4590
2025-04-21 $11.4410
2025-04-17 $11.4664
2025-04-16 $11.4621
2025-04-15 $11.4527
2025-04-14 $11.4374
2025-04-11 $11.3937
2025-04-10 $11.4027
2025-04-09 $11.4114
2025-04-08 $11.4258
2025-04-04 $11.5082
2025-04-03 $11.5451
2025-04-02 $11.5700
2025-04-01 $11.5647
2025-03-31 $11.5501
2025-03-28 $11.5463
2025-03-27 $11.5421
2025-03-26 $11.5407
2025-03-25 $11.5570
2025-03-24 $11.5564
2025-03-21 $11.5577
2025-03-20 $11.5571
2025-03-19 $11.5525
2025-03-18 $11.5405
2025-03-17 $11.5389
2025-03-14 $11.5286
2025-03-13 $11.5280
2025-03-12 $11.5354
2025-03-11 $11.5440
2025-03-10 $11.5514
2025-03-07 $11.5506
2025-03-06 $11.5453
2025-03-05 $11.5639
2025-03-04 $11.5726
2025-03-03 $11.5846
2025-02-28 $11.5727
2025-02-27 $11.5612
2025-02-26 $11.5607
2025-02-25 $11.5520
2025-02-24 $11.5345
2025-02-21 $11.5273
2025-02-20 $11.5131
2025-02-19 $11.5141
2025-02-18 $11.5145
2025-02-14 $11.5284
2025-02-13 $11.5147
2025-02-12 $11.4950
2025-02-11 $11.5093
2025-02-10 $11.5222
2025-02-07 $11.5130
2025-02-06 $11.5357
2025-02-05 $11.5386
2025-02-04 $11.5215
2025-02-03 $11.5184
2025-01-31 $11.5078
2025-01-30 $11.5051
2025-01-29 $11.4936
2025-01-28 $11.4882
2025-01-27 $11.4844
2025-01-24 $11.4682
2025-01-23 $11.4491
2025-01-22 $11.4551
2025-01-21 $11.4630
2025-01-20 $11.4509
2025-01-17 $11.4470
2025-01-16 $11.4350
2025-01-15 $11.4225
2025-01-14 $11.3796
2025-01-13 $11.3831
2025-01-10 $11.3983
2025-01-09 $11.4244
2025-01-08 $11.4235
2025-01-07 $11.4265
2025-01-06 $11.4464
2025-01-03 $11.4419
2025-01-02 $11.4366
2024-12-31 $11.4314
2024-12-30 $11.4279
2024-12-27 $11.4150
2024-12-24 $11.3784
2024-12-23 $11.4143
2024-12-20 $11.4180
2024-12-19 $11.4012
2024-12-18 $11.4301
2024-12-17 $11.4576
2024-12-16 $11.4588
2024-12-13 $11.4564
2024-12-12 $11.4691
2024-12-11 $11.4842
2024-12-10 $11.4902
2024-12-09 $11.4918
2024-12-06 $11.4998
2024-12-05 $11.4777
2024-12-04 $11.4786
2024-12-03 $11.4664
2024-12-02 $11.4694
2024-11-29 $11.4645
2024-11-28 $11.4389
2024-11-27 $11.4338
2024-11-26 $11.4231
2024-11-25 $11.4208
2024-11-22 $11.3871
2024-11-21 $11.3831
2024-11-20 $11.3929
2024-11-19 $11.4002
2024-11-18 $11.3996
2024-11-15 $11.3951
2024-11-14 $11.4017
2024-11-13 $11.4022
2024-11-12 $11.4044
2024-11-11 $11.4200
2024-11-08 $11.4203
2024-11-07 $11.4098
2024-11-06 $11.3805
2024-11-05 $11.3921
2024-11-04 $11.3925
2024-11-01 $11.3797
2024-10-31 $11.3898
2024-10-30 $11.3931
2024-10-29 $11.3924
2024-10-28 $11.3943
2024-10-25 $11.3750
2024-10-24 $11.3784
2024-10-22 $11.3783
2024-10-21 $11.3827
2024-10-18 $11.4048
2024-10-16 $11.4085
2024-10-15 $11.3986
2024-10-11 $11.3785
2024-10-10 $11.3737
2024-10-09 $11.3665
2024-10-08 $11.3709
2024-10-07 $11.3697
2024-10-04 $11.3858
2024-10-03 $11.4107
2024-10-02 $11.4253
2024-10-01 $11.4408
2024-09-30 $11.4318
2024-09-27 $11.4306
2024-09-26 $11.4085
2024-09-25 $11.4088
2024-09-24 $11.4203
2024-09-23 $11.4181
2024-09-20 $11.4182
2024-09-19 $11.4232
2024-09-18 $11.4114
2024-09-17 $11.4182
2024-09-16 $11.4197
2024-09-13 $11.4084
2024-09-12 $11.3951
2024-09-11 $11.3865
2024-09-10 $11.3948
2024-09-09 $11.3877
2024-09-06 $11.3840
2024-09-05 $11.3890
2024-09-04 $11.3797
2024-09-03 $11.3585
2024-08-30 $11.3505
2024-08-29 $11.3579
2024-08-28 $11.3658
2024-08-27 $11.3760
2024-08-26 $11.3738
2024-08-23 $11.3674
2024-08-22 $11.3476
2024-08-21 $11.3556
2024-08-20 $11.3491
2024-08-19 $11.3343
2024-08-16 $11.3144
2024-08-15 $11.3120
2024-08-13 $11.3213
2024-08-12 $11.3084
2024-08-09 $11.3029
2024-08-08 $11.2927
2024-08-07 $11.2955
2024-08-06 $11.2950
2024-08-01 $11.3038
2024-07-31 $11.2906
2024-07-30 $11.2716
2024-07-29 $11.2683
2024-07-26 $11.2651
2024-07-25 $11.2549
2024-07-24 $11.2489
2024-07-23 $11.2518
2024-07-22 $11.2478
2024-07-18 $11.2542
2024-07-17 $11.2593
2024-07-16 $11.2553
2024-07-15 $11.2408
2024-07-12 $11.2347
2024-07-11 $11.2229
2024-07-10 $11.2028
2024-07-09 $11.1966
2024-07-08 $11.1999
2024-07-05 $11.1887
2024-07-04 $11.1655
2024-07-03 $11.1670
2024-07-02 $11.1523
2024-06-28 $11.1675
2024-06-27 $11.1673
2024-06-26 $11.1750
2024-06-25 $11.1919
2024-06-24 $11.1943
2024-06-21 $11.1895
2024-06-20 $11.1845
2024-06-19 $11.1921
2024-06-18 $11.1929
2024-06-17 $11.1806
2024-06-14 $11.1868
2024-06-13 $11.1873
2024-06-12 $11.1837
2024-06-11 $11.1529
2024-06-10 $11.1496
2024-06-07 $11.1607
2024-06-06 $11.1787
2024-06-05 $11.1796
2024-06-04 $11.1654
2024-06-03 $11.1510
2024-05-31 $11.1250
2024-05-30 $11.1064
2024-05-29 $11.0991
2024-05-28 $11.1189
2024-05-27 $11.1226
2024-05-24 $11.1213
2024-05-23 $11.1200
2024-05-22 $11.1284
2024-05-21 $11.1394
2024-05-17 $11.1276
2024-05-16 $11.1325
2024-05-15 $11.1287
2024-05-14 $11.1072
2024-05-13 $11.1009
2024-05-10 $11.0962
2024-05-09 $11.1034
2024-05-08 $11.0966

Portfolio Manager(s)

Albert Ngo

Senior Portfolio Manager, Fixed Income

Empire Life Investment Team

Empire Life Investment Team