Overview

Daily NAV
$11.12
-0.02% ($0.00)
August 1, 2025
  • Inception Date
    May 29, 2023
  • Net Assets
    $490.55 thousand
  • Fund Manager 1
    The Empire Life Insurance Company
  • Secondary Fund Manager
    Canoe Financial LP
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    2.50%
  • Asset class
    Global Fixed Income Balanced
  • Management Fee
    2.15%

Risk: Low

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 capital growth and income through a globally diversified portfolio of equity and fixed income securities and is willing to accept a low to moderate level of risk.

Fund codes

Series Front-end load Low load * No load Deferred Sales Charge *
Class K ECF11001 ECF11201 ECF11301 ECF11501
  • * 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 June 30, 2025

Growth of $10,000

Investment value: $11,214.20 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 Canoe Conservative Protection Portfolio GIF Class K 1.36% 1.37% 2.67% 2.67% 5.75% 5.25%
Series Empire Life Canoe Conservative Protection Portfolio GIF Class K
1 mth 1.36%
3 mths 1.37%
6 mths 2.67%
YTD 2.67%
1 year 5.75%
3 years
5 years
10 years
psi 5.25%

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 Canoe Conservative Protection Portfolio GIF Class K 4.93%
Series Empire Life Canoe Conservative Protection Portfolio GIF Class K
2015
2016
2017
2018
2019
2020
2021
2022
2023
2024 4.93%

Portfolio Allocations As at June 30, 2025

Sector Allocation

Colours Name Weight
Financials 20.51%
Information Technology 18.75%
Industrials 14.05%
Consumer Discretionary 12.61%
Energy 10.27%
Health Care 7.49%
Consumer Staples 6.21%
Communication Services 4.46%
Materials 3.52%
Utilities 1.56%
Real Estate 0.47%
Other 0.12%

Geographic Allocation

Colours Name Weight
United States 56.52%
Canada 40.29%
United Kingdom 2.07%
Japan 1.42%
Switzerland 0.80%
France 0.72%
Taiwan 0.63%
Spain 0.59%
Germany 0.54%
Ireland 0.51%
Other 1.71%

Credit Ratings

Colours Name Weight
AAA 18.67%
AA 8.10%
A 16.78%
BBB 24.68%
BB 2.56%
B 0.53%
NR (Non-rated) 28.69%

Asset Allocation

Colours Name Weight
U.S. Bonds 34.37%
Canadian Bonds 28.27%
U.S. Equity 15.29%
Cash and Equivalents 13.35%
International Equity 7.88%
Canadian Equity 5.54%
International Bond Funds 0.91%
Other 0.19%

Currency Allocation

Colours Name Weight
United States dollar 58.64%
Canadian dollar 39.82%
Euro 2.44%
Pound sterling 1.84%
Japanese yen 1.42%
Swiss franc 0.90%
Brazilian real 0.37%
Danish krone 0.23%
Hong Kong dollar 0.08%
Singapore dollar 0.06%
Other 0.00%

Bond Term Allocation

Colours Name Weight
Between 5 and 10 years 36.98%
More than 20 years 28.20%
Between 1 and 5 years 22.57%
Between 10 and 20 years 12.26%

Top 10 Holdings

Name Weight
United States Treasury Bill, 4.27%, 2025/08/14 4.21%
United States Treasury Bond, 3.63%, 2053/05/15 2.64%
United States Treasury Note, 3.88%, 2034/08/15 2.53%
United States Treasury Note, 4.25%, 2054/08/15 2.17%
United States Treasury Bond, 3.00%, 2052/08/15 2.15%
Fannie Mae, 4%, 9/25/2041 2.14%
BANK OF MONTREAL TD 2.55% 02/07/2025 2.09%
Royal Bank of Canada 1.94%
Federal Home Loan Mortgage Corp Participation Certificates Pool Number SD4175, 6/1/2052 1.72%
Bank of Nova Scotia, 3.93%, 2032/05/03 1.15%

Underlying Fund Holdings

Name Weight
Canoe Bond Advantage Fund 33.77%
Canoe Global Income Fund 24.11%
Empire Life Global Equity GIF 14.46%
Canoe Equity Portfolio Class 9.66%
Empire Life Strategic Corporate Bond GIF 9.63%
Canoe Global Equity Fund 4.80%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-08-01 $11.1203
2025-07-31 $11.1229
2025-07-30 $11.1257
2025-07-29 $11.1463
2025-07-28 $11.1040
2025-07-25 $11.1211
2025-07-24 $11.0965
2025-07-23 $11.0880
2025-07-22 $11.0936
2025-07-21 $11.0852
2025-07-18 $11.0642
2025-07-17 $11.0647
2025-07-16 $11.0483
2025-07-15 $11.0338
2025-07-14 $11.0778
2025-07-11 $11.0769
2025-07-10 $11.1269
2025-07-09 $11.1252
2025-07-08 $11.0843
2025-07-07 $11.0890
2025-07-04 $11.1167
2025-07-03 $11.1100
2025-07-02 $11.1128
2025-06-30 $11.1274
2025-06-27 $11.0985
2025-06-26 $11.0774
2025-06-25 $11.0548
2025-06-24 $11.0711
2025-06-23 $11.0335
2025-06-20 $11.0034
2025-06-19 $10.9981
2025-06-18 $11.0006
2025-06-17 $10.9899
2025-06-16 $10.9826
2025-06-13 $10.9778
2025-06-12 $11.0409
2025-06-11 $11.0206
2025-06-10 $11.0031
2025-06-09 $10.9897
2025-06-06 $10.9823
2025-06-05 $10.9979
2025-06-04 $11.0129
2025-06-03 $10.9821
2025-06-02 $10.9684
2025-05-30 $10.9779
2025-05-29 $11.0159
2025-05-28 $10.9655
2025-05-27 $10.9817
2025-05-26 $10.9039
2025-05-23 $10.8933
2025-05-22 $10.9140
2025-05-21 $10.9112
2025-05-20 $11.0060
2025-05-16 $11.0205
2025-05-15 $10.9928
2025-05-14 $10.9424
2025-05-13 $10.9549
2025-05-12 $10.9674
2025-05-09 $10.9222
2025-05-08 $10.9080
2025-05-07 $10.9177
2025-05-06 $10.8875
2025-05-05 $10.8796
2025-05-02 $10.8879
2025-05-01 $10.8730
2025-04-30 $10.8813
2025-04-29 $10.8773
2025-04-28 $10.8420
2025-04-25 $10.8164
2025-04-24 $10.8044
2025-04-23 $10.7349
2025-04-22 $10.6943
2025-04-21 $10.6371
2025-04-17 $10.7210
2025-04-16 $10.7490
2025-04-15 $10.7679
2025-04-14 $10.7358
2025-04-11 $10.6503
2025-04-10 $10.6417
2025-04-09 $10.7161
2025-04-08 $10.6000
2025-04-04 $10.7767
2025-04-03 $10.9054
2025-04-02 $11.0172
2025-04-01 $11.0159
2025-03-31 $10.9770
2025-03-28 $10.9424
2025-03-27 $10.9517
2025-03-26 $10.9508
2025-03-25 $10.9868
2025-03-24 $10.9761
2025-03-21 $10.9784
2025-03-20 $10.9922
2025-03-19 $10.9927
2025-03-18 $10.9542
2025-03-17 $10.9524
2025-03-14 $10.9253
2025-03-13 $10.8918
2025-03-12 $10.9102
2025-03-11 $10.9242
2025-03-10 $10.9691
2025-03-07 $10.9823
2025-03-06 $10.9704
2025-03-05 $11.0420
2025-03-04 $11.0488
2025-03-03 $11.0940
2025-02-28 $11.0896
2025-02-27 $11.0426
2025-02-26 $11.0690
2025-02-25 $11.0474
2025-02-24 $10.9988
2025-02-21 $10.9900
2025-02-20 $10.9824
2025-02-19 $10.9888
2025-02-18 $10.9760
2025-02-14 $10.9982
2025-02-13 $10.9969
2025-02-12 $10.9381
2025-02-11 $10.9869
2025-02-10 $11.0073
2025-02-07 $10.9900
2025-02-06 $11.0427
2025-02-05 $11.0439
2025-02-04 $10.9897
2025-02-03 $11.0028
2025-01-31 $10.9998
2025-01-30 $11.0209
2025-01-29 $10.9734
2025-01-28 $10.9697
2025-01-27 $10.9652
2025-01-24 $10.9427
2025-01-23 $10.9314
2025-01-22 $10.9373
2025-01-21 $10.9314
2025-01-20 $10.8775
2025-01-17 $10.8757
2025-01-16 $10.8522
2025-01-15 $10.8086
2025-01-14 $10.7202
2025-01-13 $10.7241
2025-01-10 $10.7482
2025-01-09 $10.8248
2025-01-08 $10.8202
2025-01-07 $10.8216
2025-01-06 $10.8635
2025-01-03 $10.8663
2025-01-02 $10.8551
2024-12-31 $10.8376
2024-12-30 $10.8394
2024-12-27 $10.8450
2024-12-24 $10.8528
2024-12-23 $10.8386
2024-12-20 $10.8431
2024-12-19 $10.8090
2024-12-18 $10.8614
2024-12-17 $10.9555
2024-12-16 $10.9486
2024-12-13 $10.9599
2024-12-12 $10.9921
2024-12-11 $11.0255
2024-12-10 $11.0354
2024-12-09 $11.0454
2024-12-06 $11.0727
2024-12-05 $11.0423
2024-12-04 $11.0517
2024-12-03 $11.0265
2024-12-02 $11.0365
2024-11-29 $11.0195
2024-11-28 $10.9728
2024-11-27 $10.9713
2024-11-26 $10.9507
2024-11-25 $10.9418
2024-11-22 $10.8596
2024-11-21 $10.8269
2024-11-20 $10.8286
2024-11-19 $10.8374
2024-11-18 $10.8469
2024-11-15 $10.8340
2024-11-14 $10.8550
2024-11-13 $10.8325
2024-11-12 $10.8493
2024-11-11 $10.9088
2024-11-08 $10.9145
2024-11-07 $10.8897
2024-11-06 $10.8420
2024-11-05 $10.8300
2024-11-04 $10.8147
2024-11-01 $10.8016
2024-10-31 $10.8171
2024-10-30 $10.8506
2024-10-29 $10.8429
2024-10-28 $10.8456
2024-10-25 $10.8463
2024-10-24 $10.8578
2024-10-22 $10.8675
2024-10-21 $10.8791
2024-10-18 $10.9311
2024-10-16 $10.9360
2024-10-15 $10.9189
2024-10-11 $10.8983
2024-10-10 $10.8651
2024-10-09 $10.8606
2024-10-08 $10.8474
2024-10-07 $10.8443
2024-10-04 $10.8678
2024-10-03 $10.8959
2024-10-02 $10.9201
2024-10-01 $10.9479
2024-09-30 $10.9400
2024-09-27 $10.9595
2024-09-26 $10.9238
2024-09-25 $10.8998
2024-09-24 $10.9254
2024-09-23 $10.9196
2024-09-20 $10.9328
2024-09-19 $10.9431
2024-09-18 $10.9209
2024-09-17 $10.9501
2024-09-16 $10.9554
2024-09-13 $10.9257
2024-09-12 $10.8930
2024-09-11 $10.8739
2024-09-10 $10.8666
2024-09-09 $10.8422
2024-09-06 $10.8081
2024-09-05 $10.8299
2024-09-04 $10.8281
2024-09-03 $10.8215
2024-08-30 $10.8203
2024-08-29 $10.8243
2024-08-28 $10.8234
2024-08-27 $10.8341
2024-08-26 $10.8409
2024-08-23 $10.8498
2024-08-22 $10.8144
2024-08-21 $10.8547
2024-08-20 $10.8352
2024-08-19 $10.8211
2024-08-16 $10.8043
2024-08-15 $10.7821
2024-08-13 $10.7521
2024-08-12 $10.7004
2024-08-09 $10.6760
2024-08-08 $10.6432
2024-08-07 $10.6183
2024-08-06 $10.6630