Overview

Daily NAV
$19.22
0.45% $0.09
April 2, 2026
  • Inception Date
    October 23, 2019
  • Net Assets
    $38.24 million
  • Fund Manager 1
    The Empire Life Insurance Company
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    2.53%
  • Asset class
    Canadian Equity
  • Management Fee
    1.25%

Risk: Low to 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 long-term growth through capital appreciation by investing mainly in equity securities of Canadian corporations.

Fund codes

Series F-Class/Fee For Service (Nominee Name) F-Class/Fee For Service (Client Name)
Class W ECF13749 ECF13849

    Performance As at February 28, 2026

    Growth of $10,000

    Investment value: $19,879.90 at February 27, 2026

    Compound Returns 2

    Series 1 mth 3 mths 6 mths YTD 1 year 3 years 5 years 10 years psi
    Empire Life Multi-Strategy Canadian Equity GIF Class W 7.38% 8.81% 17.73% 7.94% 30.69% 17.99% 13.37% 11.39%
    Series Empire Life Multi-Strategy Canadian Equity GIF Class W
    1 mth 7.38%
    3 mths 8.81%
    6 mths 17.73%
    YTD 7.94%
    1 year 30.69%
    3 years 17.99%
    5 years 13.37%
    10 years
    psi 11.39%

    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 2016 2017 2018 2019 2020 2021 2022 2023 2024 2025
    Empire Life Multi-Strategy Canadian Equity GIF Class W 0.36% 19.74% -6.34% 9.10% 17.70% 23.72%
    Series Empire Life Multi-Strategy Canadian Equity GIF Class W
    2016
    2017
    2018
    2019
    2020 0.36%
    2021 19.74%
    2022 -6.34%
    2023 9.10%
    2024 17.70%
    2025 23.72%

    Portfolio Allocations As at January 31, 2026

    Sector Allocation

    Colours Name Weight
    Financials 31.30%
    Materials 18.68%
    Energy 16.42%
    Industrials 9.97%
    Information Technology 8.59%
    Consumer Staples 4.13%
    Consumer Discretionary 4.05%
    Utilities 2.99%
    Communication Services 2.39%
    Real Estate 1.19%
    Health Care 0.29%

    Asset Allocation

    Colours Name Weight
    Canadian Equity 81.39%
    Cash and Equivalents 4.88%
    U.S. Equity 1.34%
    International Equity 0.30%
    Canadian Bonds 0.00%
    Other 0.00%

    Underlying Fund Holdings

    Name Weight
    iShares Core S&P/TSX Cap Composite Index ETF 29.66%
    iShares S&P/TSX 60 Index ETF 19.70%
    RBC Quant Canadian Dividend Leaders ETF 12.31%
    Guardian Canadian Focused Equity Fund 12.23%
    CI First Asset Morningstar Canada Momentum Index ETF 6.89%
    iShares Canadian Growth Index ETF 5.76%
    Fidelity Canadian High Quality Index ETF 4.85%
    Mackenzie GQE Canada Low Volatility ETF 3.98%

    Historical Net Asset Values

    Start Date

    End Date

    Effective Date Net Asset Value Distributions
    2026-04-02 $19.2216
    2026-04-01 $19.1363
    2026-03-31 $19.0404
    2026-03-30 $18.6035
    2026-03-27 $18.6108
    2026-03-26 $18.6055
    2026-03-25 $18.8497
    2026-03-24 $18.6346
    2026-03-23 $18.6465
    2026-03-20 $18.3261
    2026-03-19 $18.6010
    2026-03-18 $18.8491
    2026-03-17 $19.1661
    2026-03-16 $19.1289
    2026-03-13 $18.9251
    2026-03-12 $19.0682
    2026-03-11 $19.2263
    2026-03-10 $19.3122
    2026-03-09 $19.2798
    2026-03-06 $19.2219
    2026-03-05 $19.4907
    2026-03-04 $19.6526
    2026-03-03 $19.5924
    2026-03-02 $19.9863
    2026-02-27 $19.8791
    2026-02-26 $19.9499
    2026-02-25 $19.7531
    2026-02-24 $19.6813
    2026-02-23 $19.5822
    2026-02-20 $19.5903
    2026-02-19 $19.5007
    2026-02-18 $19.4104
    2026-02-17 $19.1465
    2026-02-13 $19.2123
    2026-02-12 $18.8566
    2026-02-11 $19.2504
    2026-02-10 $19.2383
    2026-02-09 $19.1212
    2026-02-06 $18.8474
    2026-02-05 $18.5858
    2026-02-04 $18.8916
    2026-02-03 $18.7509
    2026-02-02 $18.6608
    2026-01-30 $18.5134
    2026-01-29 $19.0543
    2026-01-28 $19.1656
    2026-01-27 $19.1355
    2026-01-26 $19.1598
    2026-01-23 $19.1555
    2026-01-22 $19.0974
    2026-01-21 $19.0476
    2026-01-20 $18.9704
    2026-01-19 $19.1669
    2026-01-16 $19.1391
    2026-01-15 $19.1584
    2026-01-14 $19.1026
    2026-01-13 $19.0829
    2026-01-12 $19.0859
    2026-01-09 $18.9432
    2026-01-08 $18.7900
    2026-01-07 $18.6354
    2026-01-06 $18.7656
    2026-01-05 $18.6614
    2026-01-02 $18.5062
    2025-12-31 $18.4167
    2025-12-30 $18.4899
    2025-12-29 $18.4990
    2025-12-24 $18.5567
    2025-12-23 $18.5742
    2025-12-22 $18.5453
    2025-12-19 $18.4221
    2025-12-18 $18.2657
    2025-12-17 $18.1464
    2025-12-16 $18.1600
    2025-12-15 $18.2711
    2025-12-12 $18.2792
    2025-12-11 $18.3440
    2025-12-10 $18.2625
    2025-12-09 $18.1527
    2025-12-08 $18.1269
    2025-12-04 $18.2912
    2025-12-03 $18.1202
    2025-12-02 $18.0578
    2025-12-01 $18.1132
    2025-11-28 $18.2689
    2025-11-27 $18.1960
    2025-11-26 $18.1692
    2025-11-25 $18.0198
    2025-11-24 $17.8409
    2025-11-21 $17.6181
    2025-11-20 $17.4800
    2025-11-19 $17.6702
    2025-11-18 $17.5573
    2025-11-17 $17.5640
    2025-11-14 $17.7054
    2025-11-13 $17.6542
    2025-11-12 $17.9912
    2025-11-11 $17.7350
    2025-11-10 $17.6781
    2025-11-07 $17.4571
    2025-11-06 $17.4488
    2025-11-05 $17.6153
    2025-11-04 $17.4221
    2025-11-03 $17.6911
    2025-10-31 $17.7028
    2025-10-30 $17.6388
    2025-10-29 $17.6186
    2025-10-28 $17.7900
    2025-10-27 $17.7203
    2025-10-24 $17.7847
    2025-10-23 $17.6964
    2025-10-22 $17.5798
    2025-10-21 $17.5099
    2025-10-20 $17.8034
    2025-10-17 $17.6372
    2025-10-16 $17.8123
    2025-10-15 $17.8819
    2025-10-14 $17.7525
    2025-10-10 $17.4676
    2025-10-09 $17.6895
    2025-10-08 $17.8048
    2025-10-07 $17.7068
    2025-10-06 $17.8276
    2025-10-03 $17.8209
    2025-10-02 $17.6488
    2025-10-01 $17.6223
    2025-09-30 $17.5644
    2025-09-29 $17.5439
    2025-09-26 $17.4210
    2025-09-25 $17.4189
    2025-09-24 $17.4421
    2025-09-23 $17.4822
    2025-09-22 $17.5753
    2025-09-19 $17.4645
    2025-09-18 $17.3009
    2025-09-17 $17.2238
    2025-09-16 $17.2237
    2025-09-15 $17.2841
    2025-09-12 $17.2158
    2025-09-11 $17.2814
    2025-09-10 $17.1753
    2025-09-09 $17.1191
    2025-09-08 $17.0938
    2025-09-05 $17.1541
    2025-09-04 $17.0826
    2025-09-03 $16.9864
    2025-09-02 $16.9010
    2025-08-29 $16.8854
    2025-08-28 $16.8090
    2025-08-27 $16.8074
    2025-08-26 $16.7606
    2025-08-25 $16.6885
    2025-08-22 $16.7884
    2025-08-21 $16.6425
    2025-08-20 $16.5546
    2025-08-19 $16.5255
    2025-08-18 $16.5765
    2025-08-14 $16.5282
    2025-08-13 $16.5923
    2025-08-12 $16.5544
    2025-08-11 $16.4855
    2025-08-08 $16.4819
    2025-08-07 $16.4629
    2025-08-06 $16.5604
    2025-08-05 $16.4057
    2025-08-01 $16.1397
    2025-07-31 $16.2574
    2025-07-30 $16.3388
    2025-07-29 $16.4449
    2025-07-28 $16.3671
    2025-07-25 $16.4286
    2025-07-24 $16.3667
    2025-07-23 $16.4011
    2025-07-22 $16.3696
    2025-07-21 $16.3474
    2025-07-18 $16.3560
    2025-07-17 $16.3894
    2025-07-16 $16.2510
    2025-07-15 $16.1820
    2025-07-14 $16.2727
    2025-07-11 $16.1723
    2025-07-10 $16.2169
    2025-07-09 $16.1604
    2025-07-08 $16.1251
    2025-07-07 $16.1690
    2025-07-04 $16.1858
    2025-07-03 $16.1716
    2025-07-02 $16.0756
    2025-06-30 $16.0649
    2025-06-27 $15.9604
    2025-06-26 $15.9889
    2025-06-25 $15.9123
    2025-06-24 $16.0003
    2025-06-23 $15.9391
    2025-06-20 $15.8901
    2025-06-19 $15.8913
    2025-06-18 $15.9115
    2025-06-17 $15.8879
    2025-06-16 $15.9125
    2025-06-13 $15.8748
    2025-06-12 $15.9373
    2025-06-11 $15.8667
    2025-06-10 $15.8218
    2025-06-09 $15.7621
    2025-06-06 $15.7884
    2025-06-05 $15.7493
    2025-06-04 $15.7600
    2025-06-03 $15.8232
    2025-06-02 $15.7982
    2025-05-30 $15.6979
    2025-05-29 $15.7066
    2025-05-28 $15.7339
    2025-05-27 $15.7378
    2025-05-26 $15.6266
    2025-05-23 $15.5184
    2025-05-22 $15.5226
    2025-05-21 $15.5154
    2025-05-20 $15.6401
    2025-05-16 $15.5959
    2025-05-15 $15.5386
    2025-05-14 $15.4055
    2025-05-13 $15.3898
    2025-05-12 $15.3541
    2025-05-09 $15.2584
    2025-05-08 $15.2153
    2025-05-07 $15.1184
    2025-05-06 $15.0159
    2025-05-05 $15.0006
    2025-05-02 $15.0343
    2025-05-01 $14.9341
    2025-04-30 $14.9696
    2025-04-29 $14.9613
    2025-04-28 $14.9174
    2025-04-25 $14.8813
    2025-04-24 $14.8795
    2025-04-23 $14.7460
    2025-04-22 $14.6717
    2025-04-21 $14.5092
    2025-04-17 $14.5984
    2025-04-16 $14.5263
    2025-04-15 $14.5167
    2025-04-14 $14.4258
    2025-04-11 $14.2581
    2025-04-10 $13.9439
    2025-04-09 $14.3420
    2025-04-08 $13.6992

    Portfolio Manager(s)

    Dave Paterson

    Vice President, Strategic Investment Solutions

    Empire Life Investment Team

    Empire Life Investment Team