Overview

Daily NAV
$13.75
0.07% $0.01
July 4, 2025
  • Inception Date
    October 23, 2019
  • Net Assets
    $69.45 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 May 31, 2025

Growth of $10,000

Investment value: $13,381.41 at May 30, 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 M 3.96% -4.69% -3.68% -2.64% 6.20% 8.90% 5.93% 5.33%
Series Empire Life Multi-Strategy Global Equity GIF Class M
1 mth 3.96%
3 mths -4.69%
6 mths -3.68%
YTD -2.64%
1 year 6.20%
3 years 8.90%
5 years 5.93%
10 years
psi 5.33%

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 M 5.10% 10.12% -13.36% 10.78% 19.03%
Series Empire Life Multi-Strategy Global Equity GIF Class M
2015
2016
2017
2018
2019
2020 5.10%
2021 10.12%
2022 -13.36%
2023 10.78%
2024 19.03%

Portfolio Allocations As at April 30, 2025

Sector Allocation

Colours Name Weight
Financials 19.04%
Information Technology 16.68%
Industrials 13.73%
Health Care 12.66%
Consumer Discretionary 11.79%
Consumer Staples 9.93%
Communication Services 6.62%
Materials 3.69%
Utilities 2.46%
Energy 2.27%
Real Estate 1.14%

Asset Allocation

Colours Name Weight
U.S. Equity 49.25%
International Equity 32.12%
Canadian Equity 8.64%
Canadian Bonds 6.06%
Cash and Equivalents 3.89%

Underlying Fund Holdings

Name Weight
iShares MSCI World ETF 18.15%
iShares Core MSCI EAFE ETF 18.13%
Guardian Fundamental Global Equity Fund 10.12%
Mawer Global Equity Fund 10.04%
PUTNAM FOCUSED LARGE CAP VALUE ETF 8.04%
JPMORGAN EQUITY FOCUS ETF 7.54%
CAPITAL GROUP GLOBAL EQUITY SELECT ETF 7.07%
iShares S&P 500 3% Capped Index ETF 6.06%
iShares MSCI USA Min Vol Factor ETF 5.11%
FRANKLIN INTERNATIONAL LOW VOLATILITY H 4.06%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
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
2025-05-02 $13.0498
2025-05-01 $12.9092
2025-04-30 $12.8699
2025-04-29 $12.9045
2025-04-28 $12.8207
2025-04-25 $12.8017
2025-04-24 $12.7808
2025-04-23 $12.5967
2025-04-22 $12.4668
2025-04-21 $12.2013
2025-04-17 $12.4315
2025-04-16 $12.4320
2025-04-15 $12.6240
2025-04-14 $12.5668
2025-04-11 $12.4753
2025-04-10 $12.3352
2025-04-09 $12.7747
2025-04-08 $11.9923
2025-04-04 $12.2593
2025-04-03 $12.8336
2025-04-02 $13.4973
2025-04-01 $13.4425
2025-03-31 $13.4784
2025-03-28 $13.3763
2025-03-27 $13.5980
2025-03-26 $13.5750
2025-03-25 $13.7293
2025-03-24 $13.6966
2025-03-21 $13.6137
2025-03-20 $13.6242
2025-03-19 $13.6809
2025-03-18 $13.5649
2025-03-17 $13.6305
2025-03-14 $13.5724
2025-03-13 $13.3683
2025-03-12 $13.4886
2025-03-11 $13.5275
2025-03-10 $13.5979
2025-03-07 $13.8112
2025-03-06 $13.6443
2025-03-05 $13.9232
2025-03-04 $13.8563
2025-03-03 $13.9258
2025-02-28 $14.0373
2025-02-27 $13.9189
2025-02-26 $13.9915
2025-02-25 $13.9520
2025-02-24 $13.9014
2025-02-21 $13.8961
2025-02-20 $14.0669
2025-02-19 $14.1454
2025-02-18 $14.1097
2025-02-14 $14.0592
2025-02-13 $14.1199
2025-02-12 $14.0683
2025-02-11 $14.1084
2025-02-10 $14.1033
2025-02-07 $14.0212
2025-02-06 $14.1455
2025-02-05 $14.0718
2025-02-04 $14.0494
2025-02-03 $14.2027
2025-01-31 $14.2205
2025-01-30 $14.2371
2025-01-29 $14.1642
2025-01-28 $14.1590
2025-01-27 $14.0985
2025-01-24 $14.1466
2025-01-23 $14.1982
2025-01-22 $14.1205
2025-01-21 $14.0719
2025-01-20 $13.9036
2025-01-17 $13.9580
2025-01-16 $13.8510
2025-01-15 $13.7936
2025-01-14 $13.6082
2025-01-13 $13.6450
2025-01-10 $13.6363
2025-01-09 $13.8026
2025-01-08 $13.7897
2025-01-07 $13.7421
2025-01-06 $13.8618
2025-01-03 $13.8741
2025-01-02 $13.7402
2024-12-31 $13.7426
2024-12-30 $13.7803
2024-12-27 $13.9431
2024-12-24 $14.0056
2024-12-23 $13.9236
2024-12-20 $13.8129
2024-12-19 $13.7225
2024-12-18 $13.7074
2024-12-17 $14.0671
2024-12-16 $14.0557
2024-12-13 $14.0532
2024-12-12 $14.0259
2024-12-11 $14.0682
2024-12-10 $14.0117
2024-12-09 $14.0192
2024-12-06 $14.1115
2024-12-05 $13.9899
2024-12-04 $14.0293
2024-12-03 $13.9747
2024-12-02 $13.9882
2024-11-29 $13.8910
2024-11-28 $13.8198
2024-11-27 $13.8365
2024-11-26 $13.8710
2024-11-25 $13.7779
2024-11-22 $13.7094
2024-11-21 $13.6158
2024-11-20 $13.5989
2024-11-19 $13.5786
2024-11-18 $13.6279
2024-11-15 $13.6057
2024-11-14 $13.6888
2024-11-13 $13.7120
2024-11-12 $13.7049
2024-11-11 $13.7954
2024-11-08 $13.7449
2024-11-07 $13.7155
2024-11-06 $13.6600
2024-11-05 $13.4221
2024-11-04 $13.3255
2024-11-01 $13.3674
2024-10-31 $13.3286
2024-10-30 $13.4930
2024-10-29 $13.5360
2024-10-28 $13.5424
2024-10-25 $13.4518
2024-10-24 $13.4680
2024-10-22 $13.5284
2024-10-21 $13.5693
2024-10-18 $13.6149
2024-10-16 $13.5444
2024-10-15 $13.5165
2024-10-11 $13.5306
2024-10-10 $13.4344
2024-10-09 $13.4043
2024-10-08 $13.3140
2024-10-07 $13.2029
2024-10-04 $13.2708
2024-10-03 $13.1588
2024-10-02 $13.1608
2024-10-01 $13.1833
2024-09-30 $13.2700
2024-09-27 $13.2396
2024-09-26 $13.2453
2024-09-25 $13.1171
2024-09-24 $13.1749
2024-09-23 $13.1652
2024-09-20 $13.2073
2024-09-19 $13.2704
2024-09-18 $13.1086
2024-09-17 $13.1449
2024-09-16 $13.1741
2024-09-13 $13.1139
2024-09-12 $13.0558
2024-09-11 $12.9818
2024-09-10 $12.9029
2024-09-09 $12.8548
2024-09-06 $12.7183
2024-09-05 $12.8688
2024-09-04 $12.9178
2024-09-03 $12.9725
2024-08-30 $13.1199
2024-08-29 $13.0415
2024-08-28 $13.0009
2024-08-27 $13.0531
2024-08-26 $13.0390
2024-08-23 $13.1102
2024-08-22 $13.0327
2024-08-21 $13.1134
2024-08-20 $13.0724
2024-08-19 $13.1036
2024-08-16 $13.0603
2024-08-15 $13.0156
2024-08-13 $12.8137
2024-08-12 $12.6498
2024-08-09 $12.6590
2024-08-08 $12.6232
2024-08-07 $12.3990
2024-08-06 $12.5066
2024-08-01 $12.9403
2024-07-31 $13.1037
2024-07-30 $12.9864
2024-07-29 $12.9961
2024-07-26 $12.9979
2024-07-25 $12.8357
2024-07-24 $12.8649
2024-07-23 $13.0551
2024-07-22 $13.0913
2024-07-18 $12.9883
2024-07-17 $13.0897
2024-07-16 $13.2114
2024-07-15 $13.0903
2024-07-12 $13.0562
2024-07-11 $12.9527
2024-07-10 $12.9838
2024-07-09 $12.8775
2024-07-08 $12.8839

Portfolio Manager(s)

Dave Paterson

Vice President, Strategic Investment Solutions

Empire Life Investment Team

Empire Life Investment Team