Overview

Daily NAV
$13.89
0.25% $0.03
May 9, 2025
  • Inception Date
    October 23, 2019
  • Net Assets
    $70.20 million
  • Fund Manager 1
    The Empire Life Insurance Company
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    2.83%
  • Asset class
    Global Equity
  • Management Fee
    2.35%

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 corporations located anywhere around the world.

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class K ECF11062 ECF11262 ECF11362 ECF11562
  • * 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: $14,235.24 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 Multi-Strategy Global Equity GIF Class K -3.90% -1.68% 2.08% -1.68% 8.21% 7.76% 9.24% 6.71%
Series Empire Life Multi-Strategy Global Equity GIF Class K
1 mth -3.90%
3 mths -1.68%
6 mths 2.08%
YTD -1.68%
1 year 8.21%
3 years 7.76%
5 years 9.24%
10 years
psi 6.71%

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 Multi-Strategy Global Equity GIF Class K 6.09% 11.25% -12.46% 11.92% 20.24%
Series Empire Life Multi-Strategy Global Equity GIF Class K
2015
2016
2017
2018
2019
2020 6.09%
2021 11.25%
2022 -12.46%
2023 11.92%
2024 20.24%

Portfolio Allocations As at February 28, 2025

Sector Allocation

Colours Name Weight
Information Technology 21.15%
Financials 17.64%
Health Care 12.61%
Consumer Discretionary 11.79%
Industrials 11.73%
Consumer Staples 8.21%
Communication Services 7.75%
Materials 2.96%
Energy 2.68%
Utilities 2.30%
Real Estate 1.17%

Asset Allocation

Colours Name Weight
U.S. Equity 57.80%
International Equity 18.29%
Canadian Bonds 13.66%
Canadian Equity 6.57%
Cash and Equivalents 3.67%

Underlying Fund Holdings

Name Weight
iShares MSCI World ETF 25.53%
iShares S&P 500 3% Capped Index ETF 13.66%
PUTNAM FOCUSED LARGE CAP VALUE ETF 9.08%
JPMORGAN EQUITY FOCUS ETF 7.49%
Mawer Global Equity Fund 6.95%
Guardian Fundamental Global Equity Fund 6.84%
iShares Edge MSCI USA Quality Factor ETF 6.01%
FRANKLIN INTERNATIONAL LOW VOLATILITY H 6.00%
iShares MSCI USA Min Vol Factor ETF 5.08%
CAPITAL GROUP GLOBAL EQUITY SELECT ETF 5.04%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-05-09 $13.8912
2025-05-08 $13.8563
2025-05-07 $13.7208
2025-05-06 $13.7045
2025-05-05 $13.8014
2025-05-02 $13.7927
2025-05-01 $13.6438
2025-04-30 $13.6018
2025-04-29 $13.6380
2025-04-28 $13.5491
2025-04-25 $13.5279
2025-04-24 $13.5054
2025-04-23 $13.3105
2025-04-22 $13.1729
2025-04-21 $12.8921
2025-04-17 $13.1338
2025-04-16 $13.1339
2025-04-15 $13.3364
2025-04-14 $13.2756
2025-04-11 $13.1778
2025-04-10 $13.0295
2025-04-09 $13.4934
2025-04-08 $12.6666
2025-04-04 $12.9472
2025-04-03 $13.5533
2025-04-02 $14.2539
2025-04-01 $14.1956
2025-03-31 $14.2331
2025-03-28 $14.1241
2025-03-27 $14.3578
2025-03-26 $14.3331
2025-03-25 $14.4956
2025-03-24 $14.4607
2025-03-21 $14.3720
2025-03-20 $14.3826
2025-03-19 $14.4421
2025-03-18 $14.3193
2025-03-17 $14.3881
2025-03-14 $14.3256
2025-03-13 $14.1098
2025-03-12 $14.2363
2025-03-11 $14.2771
2025-03-10 $14.3510
2025-03-07 $14.5749
2025-03-06 $14.3983
2025-03-05 $14.6922
2025-03-04 $14.6212
2025-03-03 $14.6941
2025-02-28 $14.8105
2025-02-27 $14.6852
2025-02-26 $14.7614
2025-02-25 $14.7193
2025-02-24 $14.6655
2025-02-21 $14.6587
2025-02-20 $14.8385
2025-02-19 $14.9209
2025-02-18 $14.8828
2025-02-14 $14.8278
2025-02-13 $14.8914
2025-02-12 $14.8366
2025-02-11 $14.8785
2025-02-10 $14.8727
2025-02-07 $14.7849
2025-02-06 $14.9155
2025-02-05 $14.8375
2025-02-04 $14.8134
2025-02-03 $14.9746
2025-01-31 $14.9921
2025-01-30 $15.0092
2025-01-29 $14.9319
2025-01-28 $14.9261
2025-01-27 $14.8619
2025-01-24 $14.9113
2025-01-23 $14.9652
2025-01-22 $14.8829
2025-01-21 $14.8312
2025-01-20 $14.6535
2025-01-17 $14.7095
2025-01-16 $14.5964
2025-01-15 $14.5355
2025-01-14 $14.3397
2025-01-13 $14.3782
2025-01-10 $14.3678
2025-01-09 $14.5426
2025-01-08 $14.5286
2025-01-07 $14.4780
2025-01-06 $14.6037
2025-01-03 $14.6155
2025-01-02 $14.4741
2024-12-31 $14.4759
2024-12-30 $14.5152
2024-12-27 $14.6854
2024-12-24 $14.7500
2024-12-23 $14.6633
2024-12-20 $14.5455
2024-12-19 $14.4499
2024-12-18 $14.4336
2024-12-17 $14.8119
2024-12-16 $14.7996
2024-12-13 $14.7957
2024-12-12 $14.7665
2024-12-11 $14.8106
2024-12-10 $14.7508
2024-12-09 $14.7582
2024-12-06 $14.8541
2024-12-05 $14.7258
2024-12-04 $14.7668
2024-12-03 $14.7089
2024-12-02 $14.7228
2024-11-29 $14.6192
2024-11-28 $14.5439
2024-11-27 $14.5610
2024-11-26 $14.5969
2024-11-25 $14.4985
2024-11-22 $14.4253
2024-11-21 $14.3264
2024-11-20 $14.3082
2024-11-19 $14.2865
2024-11-18 $14.3379
2024-11-15 $14.3134
2024-11-14 $14.4004
2024-11-13 $14.4245
2024-11-12 $14.4165
2024-11-11 $14.5114
2024-11-08 $14.4570
2024-11-07 $14.4257
2024-11-06 $14.3669
2024-11-05 $14.1164
2024-11-04 $14.0144
2024-11-01 $14.0573
2024-10-31 $14.0161
2024-10-30 $14.1886
2024-10-29 $14.2334
2024-10-28 $14.2398
2024-10-25 $14.1433
2024-10-24 $14.1600
2024-10-22 $14.2226
2024-10-21 $14.2653
2024-10-18 $14.3119
2024-10-16 $14.2371
2024-10-15 $14.2074
2024-10-11 $14.2206
2024-10-10 $14.1191
2024-10-09 $14.0871
2024-10-08 $13.9918
2024-10-07 $13.8746
2024-10-04 $13.9449
2024-10-03 $13.8269
2024-10-02 $13.8285
2024-10-01 $13.8518
2024-09-30 $13.9425
2024-09-27 $13.9095
2024-09-26 $13.9150
2024-09-25 $13.7800
2024-09-24 $13.8403
2024-09-23 $13.8297
2024-09-20 $13.8728
2024-09-19 $13.9387
2024-09-18 $13.7684
2024-09-17 $13.8061
2024-09-16 $13.8364
2024-09-13 $13.7720
2024-09-12 $13.7107
2024-09-11 $13.6326
2024-09-10 $13.5493
2024-09-09 $13.4984
2024-09-06 $13.3540
2024-09-05 $13.5117
2024-09-04 $13.5627
2024-09-03 $13.6198
2024-08-30 $13.7731
2024-08-29 $13.6904
2024-08-28 $13.6474
2024-08-27 $13.7018
2024-08-26 $13.6866
2024-08-23 $13.7602
2024-08-22 $13.6785
2024-08-21 $13.7627
2024-08-20 $13.7194
2024-08-19 $13.7517
2024-08-16 $13.7052
2024-08-15 $13.6578
2024-08-13 $13.4453
2024-08-12 $13.2729
2024-08-09 $13.2815
2024-08-08 $13.2436
2024-08-07 $13.0080
2024-08-06 $13.1205
2024-08-01 $13.5737
2024-07-31 $13.7446
2024-07-30 $13.6212
2024-07-29 $13.6310
2024-07-26 $13.6318
2024-07-25 $13.4613
2024-07-24 $13.4916
2024-07-23 $13.6906
2024-07-22 $13.7283
2024-07-18 $13.6188
2024-07-17 $13.7247
2024-07-16 $13.8519
2024-07-15 $13.7246
2024-07-12 $13.6877
2024-07-11 $13.5788
2024-07-10 $13.6111
2024-07-09 $13.4993
2024-07-08 $13.5055
2024-07-05 $13.5178
2024-07-04 $13.4455
2024-07-03 $13.4529
2024-07-02 $13.4398
2024-06-28 $13.3734
2024-06-27 $13.4194
2024-06-26 $13.4153
2024-06-25 $13.4211
2024-06-24 $13.4005
2024-06-21 $13.4141
2024-06-20 $13.4415
2024-06-19 $13.4485
2024-06-18 $13.4725
2024-06-17 $13.4701
2024-06-14 $13.3866
2024-06-13 $13.4351
2024-06-12 $13.4267
2024-06-11 $13.3971
2024-06-10 $13.4320
2024-06-07 $13.3919
2024-06-06 $13.4189
2024-06-05 $13.4073
2024-06-04 $13.2703
2024-06-03 $13.2087
2024-05-31 $13.1925
2024-05-30 $13.1259
2024-05-29 $13.1656
2024-05-28 $13.2488
2024-05-27 $13.2788
2024-05-24 $13.3101
2024-05-23 $13.2674
2024-05-22 $13.3309
2024-05-21 $13.3568
2024-05-17 $13.3074
2024-05-16 $13.2984
2024-05-15 $13.3342
2024-05-14 $13.2141
2024-05-13 $13.1789

Portfolio Manager(s)

Dave Paterson

Vice President, Strategic Investment Solutions

Empire Life Investment Team

Empire Life Investment Team