Overview

Daily NAV
$15.37
-0.17% ($0.03)
May 1, 2026
  • Inception Date
    October 23, 2019
  • Net Assets
    $55.03 million
  • Fund Manager 1
    The Empire Life Insurance Company
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    3.85%
  • 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 M ECF13062 ECF13262 ECF13362 ECF13562
  • * 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, 2026

Growth of $10,000

Investment value: $14,563.98 at March 31, 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 Global Equity GIF Class M -4.62% -1.40% -0.67% -1.40% 8.04% 10.13% 5.86% 6.01%
Series Empire Life Multi-Strategy Global Equity GIF Class M
1 mth -4.62%
3 mths -1.40%
6 mths -0.67%
YTD -1.40%
1 year 8.04%
3 years 10.13%
5 years 5.86%
10 years
psi 6.01%

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 Global Equity GIF Class M 5.10% 10.12% -13.36% 10.78% 19.03% 7.47%
Series Empire Life Multi-Strategy Global Equity GIF Class M
2016
2017
2018
2019
2020 5.10%
2021 10.12%
2022 -13.36%
2023 10.78%
2024 19.03%
2025 7.47%

Portfolio Allocations As at February 28, 2026

Sector Allocation

Colours Name Weight
Information Technology 22.90%
Financials 17.31%
Industrials 13.26%
Health Care 9.88%
Communication Services 8.50%
Consumer Discretionary 8.20%
Consumer Staples 6.29%
Materials 5.19%
Energy 4.02%
Utilities 2.80%
Real Estate 1.66%
Other 0.00%

Asset Allocation

Colours Name Weight
U.S. Equity 47.01%
Canadian Equity 25.97%
International Equity 23.46%
Cash and Equivalents 3.53%

Underlying Fund Holdings

Name Weight
iShares MSCI World ETF 32.20%
Mackenzie GQE Global Equity ETF 9.02%
iShares Core MSCI EAFE ETF 8.59%
PUTNAM FOCUSED LARGE CAP VALUE ETF 8.04%
iShares MSCI Global Quality Factor ETF 5.05%
RBC QUANT EAFE DIVIDEND LEADERS ETF 5.04%
CAPITAL GROUP GLOBAL EQUITY SELECT ETF 5.04%
VANGUARD GLOBAL MOMENTUM FACTOR ETF 5.00%
TD ACTIVE GLOBAL ENHANCED DIVIDEND ETF 4.98%
iShares Core S&P/TSX Cap Composite Index ETF 4.08%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2026-05-01 $15.3680
2026-04-30 $15.3947
2026-04-29 $15.2354
2026-04-28 $15.2976
2026-04-27 $15.3078
2026-04-24 $15.3655
2026-04-23 $15.2868
2026-04-22 $15.3351
2026-04-17 $15.4295
2026-04-16 $15.2978
2026-04-15 $15.3282
2026-04-14 $15.2841
2026-04-13 $15.1806
2026-04-10 $15.1019
2026-04-09 $15.0883
2026-04-08 $15.0748
2026-04-07 $14.7204
2026-04-06 $14.7160
2026-04-02 $14.6793
2026-04-01 $14.6511
2026-03-31 $14.5618
2026-03-30 $14.1632
2026-03-27 $14.1754
2026-03-26 $14.3263
2026-03-25 $14.5194
2026-03-24 $14.3820
2026-03-23 $14.3621
2026-03-20 $14.1955
2026-03-19 $14.4449
2026-03-18 $14.4622
2026-03-17 $14.6671
2026-03-16 $14.6012
2026-03-13 $14.4819
2026-03-12 $14.4772
2026-03-11 $14.6731
2026-03-10 $14.6760
2026-03-09 $14.6703
2026-03-06 $14.6118
2026-03-05 $14.8515
2026-03-04 $15.0201
2026-03-03 $14.9435
2026-03-02 $15.2425
2026-02-27 $15.2677
2026-02-26 $15.3619
2026-02-25 $15.4024
2026-02-24 $15.3166
2026-02-23 $15.1999
2026-02-20 $15.3073
2026-02-19 $15.2008
2026-02-18 $15.2194
2026-02-17 $15.1505
2026-02-13 $15.0981
2026-02-12 $15.0337
2026-02-11 $15.2305
2026-02-10 $15.1414
2026-02-09 $15.2060
2026-02-06 $15.1588
2026-02-05 $14.9002
2026-02-04 $15.0720
2026-02-03 $15.0893
2026-02-02 $15.1831
2026-01-30 $14.9655
2026-01-29 $15.0709
2026-01-28 $15.0796
2026-01-27 $15.1547
2026-01-26 $15.1234
2026-01-23 $15.0992
2026-01-22 $15.1548
2026-01-21 $15.0937
2026-01-20 $14.9998
2026-01-19 $15.2556
2026-01-16 $15.3203
2026-01-15 $15.2876
2026-01-14 $15.2339
2026-01-13 $15.2689
2026-01-12 $15.3077
2026-01-09 $15.2897
2026-01-08 $15.1518
2026-01-07 $15.1058
2026-01-06 $15.1366
2026-01-05 $15.0118
2026-01-02 $14.8609
2025-12-31 $14.7691
2025-12-30 $14.8364
2025-12-29 $14.8332
2025-12-24 $14.8754
2025-12-23 $14.8767
2025-12-22 $14.8462
2025-12-19 $14.8082
2025-12-18 $14.6698
2025-12-17 $14.5762
2025-12-16 $14.6870
2025-12-15 $14.7665
2025-12-12 $14.7728
2025-12-11 $14.8986
2025-12-10 $14.9261
2025-12-09 $14.8072
2025-12-08 $14.8146
2025-12-04 $14.9320
2025-12-03 $14.9246
2025-12-02 $14.9067
2025-12-01 $14.8634
2025-11-28 $14.9452
2025-11-27 $14.9546
2025-11-26 $14.9668
2025-11-25 $14.8934
2025-11-24 $14.7363
2025-11-21 $14.5869
2025-11-20 $14.4124
2025-11-19 $14.5890
2025-11-18 $14.5378
2025-11-17 $14.6680
2025-11-14 $14.8187
2025-11-13 $14.8150
2025-11-12 $15.0353
2025-11-11 $14.9997
2025-11-10 $14.9734
2025-11-07 $14.8040
2025-11-06 $14.8442
2025-11-05 $14.9703
2025-11-04 $14.8660
2025-11-03 $15.0159
2025-10-31 $14.9614
2025-10-30 $14.9056
2025-10-29 $14.9484
2025-10-28 $14.9980
2025-10-27 $15.0243
2025-10-24 $14.9214
2025-10-23 $14.8063
2025-10-22 $14.7347
2025-10-21 $14.8173
2025-10-20 $14.8749
2025-10-17 $14.7447
2025-10-16 $14.7194
2025-10-15 $14.7617
2025-10-14 $14.7190
2025-10-10 $14.4863
2025-10-09 $14.8092
2025-10-08 $14.8277
2025-10-07 $14.7525
2025-10-06 $14.8325
2025-10-03 $14.8018
2025-10-02 $14.7856
2025-10-01 $14.7371
2025-09-30 $14.6601
2025-09-29 $14.6162
2025-09-26 $14.5996
2025-09-25 $14.5018
2025-09-24 $14.5436
2025-09-23 $14.5387
2025-09-22 $14.5775
2025-09-19 $14.5060
2025-09-18 $14.4988
2025-09-17 $14.3975
2025-09-16 $14.4170
2025-09-15 $14.4910
2025-09-12 $14.4779
2025-09-11 $14.5030
2025-09-10 $14.3836
2025-09-09 $14.3357
2025-09-08 $14.3071
2025-09-05 $14.2564
2025-09-04 $14.2697
2025-09-03 $14.1126
2025-09-02 $14.0735
2025-08-29 $14.1186
2025-08-28 $14.2294
2025-08-27 $14.2359
2025-08-26 $14.2428
2025-08-25 $14.2132
2025-08-22 $14.3009
2025-08-21 $14.1774
2025-08-20 $14.2008
2025-08-19 $14.1970
2025-08-18 $14.2315
2025-08-14 $14.2126
2025-08-13 $14.1807
2025-08-12 $14.1409
2025-08-11 $14.0046
2025-08-08 $14.0115
2025-08-07 $13.9310
2025-08-06 $13.9165
2025-08-05 $13.8553
2025-08-01 $13.7250
2025-07-31 $13.9270
2025-07-30 $13.9737
2025-07-29 $13.9768
2025-07-28 $13.9474
2025-07-25 $14.0072
2025-07-24 $13.8981
2025-07-23 $13.9068
2025-07-22 $13.7765
2025-07-21 $13.8210
2025-07-18 $13.8160
2025-07-17 $13.8623
2025-07-16 $13.7774
2025-07-15 $13.7262
2025-07-14 $13.7845
2025-07-11 $13.7652
2025-07-10 $13.8335
2025-07-09 $13.8314
2025-07-08 $13.7425
2025-07-07 $13.6989
2025-07-04 $13.7529
2025-07-03 $13.7439
2025-07-02 $13.7062
2025-06-30 $13.7051
2025-06-27 $13.6734
2025-06-26 $13.5689
2025-06-25 $13.5304
2025-06-24 $13.5370
2025-06-23 $13.4250
2025-06-20 $13.3185
2025-06-19 $13.3740
2025-06-18 $13.3442
2025-06-17 $13.2694
2025-06-16 $13.3564
2025-06-13 $13.3060
2025-06-12 $13.4884
2025-06-11 $13.4803
2025-06-10 $13.5063
2025-06-09 $13.4709
2025-06-06 $13.4875
2025-06-05 $13.3752
2025-06-04 $13.4162
2025-06-03 $13.4275
2025-06-02 $13.4153
2025-05-30 $13.3794
2025-05-29 $13.4319
2025-05-28 $13.3944
2025-05-27 $13.4373
2025-05-26 $13.2449
2025-05-23 $13.2154
2025-05-22 $13.3632
2025-05-21 $13.3578
2025-05-20 $13.5980
2025-05-16 $13.5807
2025-05-15 $13.5155
2025-05-14 $13.4085
2025-05-13 $13.4506
2025-05-12 $13.4379
2025-05-09 $13.1404
2025-05-08 $13.1078
2025-05-07 $12.9799
2025-05-06 $12.9649
2025-05-05 $13.0569

Portfolio Manager(s)

Dave Paterson

Vice President, Strategic Investment Solutions

Empire Life Investment Team

Empire Life Investment Team