Overview

Daily NAV
$15.47
-1.44% ($0.23)
August 1, 2025
  • Inception Date
    October 23, 2019
  • Net Assets
    $66.76 million
  • Fund Manager 1
    The Empire Life Insurance Company
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    1.74%
  • Asset class
    Global Equity
  • Management Fee
    1.35%

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 F-Class/Fee For Service (Nominee Name) F-Class/Fee For Service (Client Name)
Class U ECF11762 ECF11862

    Performance As at June 30, 2025

    Growth of $10,000

    Investment value: $15,418.27 at June 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 U 2.62% 2.22% 0.78% 0.78% 9.71% 14.34% 8.72% 7.92%
    Series Empire Life Multi-Strategy Global Equity GIF Class U
    1 mth 2.62%
    3 mths 2.22%
    6 mths 0.78%
    YTD 0.78%
    1 year 9.71%
    3 years 14.34%
    5 years 8.72%
    10 years
    psi 7.92%

    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 U 7.24% 12.39% -11.54% 13.13% 21.58%
    Series Empire Life Multi-Strategy Global Equity GIF Class U
    2015
    2016
    2017
    2018
    2019
    2020 7.24%
    2021 12.39%
    2022 -11.54%
    2023 13.13%
    2024 21.58%

    Portfolio Allocations As at May 31, 2025

    Sector Allocation

    Colours Name Weight
    Information Technology 18.85%
    Financials 18.64%
    Industrials 13.97%
    Consumer Discretionary 11.92%
    Health Care 10.94%
    Consumer Staples 8.72%
    Communication Services 7.21%
    Materials 3.76%
    Energy 2.46%
    Utilities 2.19%
    Real Estate 1.34%

    Asset Allocation

    Colours Name Weight
    U.S. Equity 49.03%
    International Equity 29.55%
    Canadian Equity 15.48%
    Cash and Equivalents 3.40%
    Canadian Bonds 2.51%

    Underlying Fund Holdings

    Name Weight
    iShares MSCI World ETF 21.69%
    iShares Core MSCI EAFE ETF 17.11%
    PUTNAM FOCUSED LARGE CAP VALUE ETF 8.03%
    CAPITAL GROUP GLOBAL EQUITY SELECT ETF 8.03%
    Vanguard S&P 500 ETF 8.03%
    Mawer Global Equity Fund 7.54%
    JPMORGAN EQUITY FOCUS ETF 7.53%
    Guardian Fundamental Global Equity Fund 7.49%
    TD ACTIVE GLOBAL ENHANCED DIVIDEND ETF 6.05%
    FRANKLIN INTERNATIONAL LOW VOLATILITY H 3.00%

    Historical Net Asset Values

    Start Date

    End Date

    Effective Date Net Asset Value Distributions
    2025-08-01 $15.4708
    2025-07-31 $15.6975
    2025-07-30 $15.7492
    2025-07-29 $15.7518
    2025-07-28 $15.7177
    2025-07-25 $15.7823
    2025-07-24 $15.6585
    2025-07-23 $15.6673
    2025-07-22 $15.5197
    2025-07-21 $15.5690
    2025-07-18 $15.5606
    2025-07-17 $15.6118
    2025-07-16 $15.5153
    2025-07-15 $15.4567
    2025-07-14 $15.5215
    2025-07-11 $15.4971
    2025-07-10 $15.5730
    2025-07-09 $15.5698
    2025-07-08 $15.4688
    2025-07-07 $15.4189
    2025-07-04 $15.4768
    2025-07-03 $15.4658
    2025-07-02 $15.4225
    2025-06-30 $15.4195
    2025-06-27 $15.3812
    2025-06-26 $15.2627
    2025-06-25 $15.2185
    2025-06-24 $15.2251
    2025-06-23 $15.0983
    2025-06-20 $14.9758
    2025-06-19 $15.0374
    2025-06-18 $15.0030
    2025-06-17 $14.9180
    2025-06-16 $15.0150
    2025-06-13 $14.9557
    2025-06-12 $15.1598
    2025-06-11 $15.1499
    2025-06-10 $15.1782
    2025-06-09 $15.1375
    2025-06-06 $15.1535
    2025-06-05 $15.0265
    2025-06-04 $15.0716
    2025-06-03 $15.0834
    2025-06-02 $15.0688
    2025-05-30 $15.0259
    2025-05-29 $15.0840
    2025-05-28 $15.0410
    2025-05-27 $15.0883
    2025-05-26 $14.8714
    2025-05-23 $14.8357
    2025-05-22 $15.0007
    2025-05-21 $14.9938
    2025-05-20 $15.2625
    2025-05-16 $15.2396
    2025-05-15 $15.1655
    2025-05-14 $15.0446
    2025-05-13 $15.0910
    2025-05-12 $15.0758
    2025-05-09 $14.7396
    2025-05-08 $14.7021
    2025-05-07 $14.5579
    2025-05-06 $14.5402
    2025-05-05 $14.6425
    2025-05-02 $14.6319
    2025-05-01 $14.4735
    2025-04-30 $14.4286
    2025-04-29 $14.4666
    2025-04-28 $14.3718
    2025-04-25 $14.3480
    2025-04-24 $14.3238
    2025-04-23 $14.1166
    2025-04-22 $13.9703
    2025-04-21 $13.6720
    2025-04-17 $13.9266
    2025-04-16 $13.9264
    2025-04-15 $14.1406
    2025-04-14 $14.0757
    2025-04-11 $13.9708
    2025-04-10 $13.8132
    2025-04-09 $14.3044
    2025-04-08 $13.4276
    2025-04-04 $13.7233
    2025-04-03 $14.3653
    2025-04-02 $15.1074
    2025-04-01 $15.0451
    2025-03-31 $15.0844
    2025-03-28 $14.9676
    2025-03-27 $15.2147
    2025-03-26 $15.1881
    2025-03-25 $15.3598
    2025-03-24 $15.3224
    2025-03-21 $15.2270
    2025-03-20 $15.2378
    2025-03-19 $15.3003
    2025-03-18 $15.1698
    2025-03-17 $15.2422
    2025-03-14 $15.1746
    2025-03-13 $14.9455
    2025-03-12 $15.0791
    2025-03-11 $15.1218
    2025-03-10 $15.1996
    2025-03-07 $15.4353
    2025-03-06 $15.2479
    2025-03-05 $15.5586
    2025-03-04 $15.4829
    2025-03-03 $15.5597
    2025-02-28 $15.6815
    2025-02-27 $15.5483
    2025-02-26 $15.6285
    2025-02-25 $15.5835
    2025-02-24 $15.5261
    2025-02-21 $15.5175
    2025-02-20 $15.7073
    2025-02-19 $15.7940
    2025-02-18 $15.7532
    2025-02-14 $15.6931
    2025-02-13 $15.7599
    2025-02-12 $15.7015
    2025-02-11 $15.7453
    2025-02-10 $15.7387
    2025-02-07 $15.6444
    2025-02-06 $15.7821
    2025-02-05 $15.6990
    2025-02-04 $15.6730
    2025-02-03 $15.8432
    2025-01-31 $15.8602
    2025-01-30 $15.8778
    2025-01-29 $15.7956
    2025-01-28 $15.7889
    2025-01-27 $15.7205
    2025-01-24 $15.7713
    2025-01-23 $15.8279
    2025-01-22 $15.7404
    2025-01-21 $15.6853
    2025-01-20 $15.4969
    2025-01-17 $15.5547
    2025-01-16 $15.4345
    2025-01-15 $15.3697
    2025-01-14 $15.1622
    2025-01-13 $15.2023
    2025-01-10 $15.1900
    2025-01-09 $15.3743
    2025-01-08 $15.3591
    2025-01-07 $15.3051
    2025-01-06 $15.4375
    2025-01-03 $15.4486
    2025-01-02 $15.2986
    2024-12-31 $15.2996
    2024-12-30 $15.3407
    2024-12-27 $15.5192
    2024-12-24 $15.5859
    2024-12-23 $15.4939
    2024-12-20 $15.3681
    2024-12-19 $15.2666
    2024-12-18 $15.2489
    2024-12-17 $15.6480
    2024-12-16 $15.6346
    2024-12-13 $15.6291
    2024-12-12 $15.5977
    2024-12-11 $15.6439
    2024-12-10 $15.5802
    2024-12-09 $15.5875
    2024-12-06 $15.6875
    2024-12-05 $15.5514
    2024-12-04 $15.5943
    2024-12-03 $15.5327
    2024-12-02 $15.5468
    2024-11-29 $15.4362
    2024-11-28 $15.3561
    2024-11-27 $15.3737
    2024-11-26 $15.4112
    2024-11-25 $15.3068
    2024-11-22 $15.2281
    2024-11-21 $15.1233
    2024-11-20 $15.1036
    2024-11-19 $15.0802
    2024-11-18 $15.1341
    2024-11-15 $15.1068
    2024-11-14 $15.1982
    2024-11-13 $15.2231
    2024-11-12 $15.2143
    2024-11-11 $15.3139
    2024-11-08 $15.2551
    2024-11-07 $15.2216
    2024-11-06 $15.1591
    2024-11-05 $14.8943
    2024-11-04 $14.7863
    2024-11-01 $14.8302
    2024-10-31 $14.7863
    2024-10-30 $14.9678
    2024-10-29 $15.0146
    2024-10-28 $15.0209
    2024-10-25 $14.9177
    2024-10-24 $14.9349
    2024-10-22 $15.0001
    2024-10-21 $15.0446
    2024-10-18 $15.0924
    2024-10-16 $15.0126
    2024-10-15 $14.9808
    2024-10-11 $14.9929
    2024-10-10 $14.8854
    2024-10-09 $14.8513
    2024-10-08 $14.7504
    2024-10-07 $14.6264
    2024-10-04 $14.6991
    2024-10-03 $14.5742
    2024-10-02 $14.5756
    2024-10-01 $14.5997
    2024-09-30 $14.6948
    2024-09-27 $14.6587
    2024-09-26 $14.6641
    2024-09-25 $14.5213
    2024-09-24 $14.5845
    2024-09-23 $14.5729
    2024-09-20 $14.6169
    2024-09-19 $14.6859
    2024-09-18 $14.5061
    2024-09-17 $14.5453
    2024-09-16 $14.5768
    2024-09-13 $14.5077
    2024-09-12 $14.4427
    2024-09-11 $14.3600
    2024-09-10 $14.2719
    2024-09-09 $14.2178
    2024-09-06 $14.0645
    2024-09-05 $14.2301
    2024-09-04 $14.2835
    2024-09-03 $14.3431
    2024-08-30 $14.5028
    2024-08-29 $14.4153
    2024-08-28 $14.3696
    2024-08-27 $14.4264
    2024-08-26 $14.4100
    2024-08-23 $14.4861
    2024-08-22 $14.3997
    2024-08-21 $14.4880
    2024-08-20 $14.4419
    2024-08-19 $14.4755
    2024-08-16 $14.4252
    2024-08-15 $14.3749
    2024-08-13 $14.1504
    2024-08-12 $13.9686
    2024-08-09 $13.9764
    2024-08-08 $13.9361
    2024-08-07 $13.6878
    2024-08-06 $13.8057

    Portfolio Manager(s)

    Dave Paterson

    Vice President, Strategic Investment Solutions

    Empire Life Investment Team

    Empire Life Investment Team