Overview

Daily NAV
$11.57
0.58% $0.07
August 22, 2025
  • Inception Date
    May 29, 2023
  • Net Assets
    $3.49 million
  • Fund Manager 1
    The Empire Life Insurance Company
  • Secondary Fund Manager
    Canoe Financial LP
  • Min. Investment
    $1,000 initial, $50 per fund
  • MER
    3.25%
  • Asset class
    Global Neutral Balanced
  • Management Fee
    2.20%

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 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 M ECF13002 ECF13202 ECF13302 ECF13502
  • * 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 July 31, 2025

Growth of $10,000

Investment value: $11,484.80 at July 31, 2025

Compound Returns 2

Series 1 mth 3 mths 6 mths YTD 1 year 3 years 5 years 10 years psi
Empire Life Canoe Balanced Protection Portfolio GIF Class M -0.07% 3.17% 0.11% 2.14% 3.76% 6.54%
Series Empire Life Canoe Balanced Protection Portfolio GIF Class M
1 mth -0.07%
3 mths 3.17%
6 mths 0.11%
YTD 2.14%
1 year 3.76%
3 years
5 years
10 years
psi 6.54%

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 Balanced Protection Portfolio GIF Class M 8.02%
Series Empire Life Canoe Balanced Protection Portfolio GIF Class M
2015
2016
2017
2018
2019
2020
2021
2022
2023
2024 8.02%

Portfolio Allocations As at July 31, 2025

Sector Allocation

Colours Name Weight
Financials 22.12%
Information Technology 20.11%
Energy 12.28%
Consumer Discretionary 12.26%
Industrials 10.58%
Health Care 6.69%
Communication Services 5.23%
Consumer Staples 4.86%
Materials 4.55%
Utilities 1.32%

Geographic Allocation

Colours Name Weight
United States 57.88%
Canada 33.49%
United Kingdom 3.19%
Japan 2.02%
Taiwan 1.24%
Switzerland 1.24%
France 1.12%
Spain 1.03%
Ireland 0.80%
Germany 0.69%
Other 2.09%

Credit Ratings

Colours Name Weight
AAA 27.83%
AA 8.15%
A 13.57%
BBB 19.64%
BB 3.29%
B 0.71%
NR (Non-rated) 26.79%

Asset Allocation

Colours Name Weight
U.S. Bonds 26.85%
U.S. Equity 25.37%
Canadian Bonds 16.97%
International Equity 12.12%
Cash and Equivalents 11.35%
Canadian Equity 10.92%
International Bond Funds 1.09%
Other 0.11%

Currency Allocation

Colours Name Weight
United States dollar 61.95%
Canadian dollar 32.25%
Euro 3.61%
Pound sterling 2.77%
Japanese yen 2.02%
Swiss franc 1.40%
Brazilian real 0.32%
Danish krone 0.27%
Hong Kong dollar 0.12%
Singapore dollar 0.08%
Other 0.00%

Bond Term Allocation

Colours Name Weight
Between 5 and 10 years 37.43%
More than 20 years 28.24%
Between 1 and 5 years 23.17%
Between 10 and 20 years 11.15%

Top 10 Holdings

Name Weight
United States Treasury Bill, 8/14/2025 3.44%
Microsoft Corp. 1.98%
United States Treasury Note, 4.25%, 2054/08/15 1.74%
Fannie Mae, 4%, 9/25/2041 1.74%
United States Treasury Bond, 3.63%, 2053/05/15 1.51%
United States Treasury Note, 3.88%, 2034/08/15 1.45%
BANK OF MONTREAL TD 2.55% 08/01/2025 1.38%
Federal Home Loan Mortgage Corp Participation Certificates Pool Number SD4175, 6/1/2052 1.38%
Taiwan Semiconductor Manufacturing Co. Ltd., ADR 1.24%
United States Treasury Bond, 3.00%, 2052/08/15 1.23%

Underlying Fund Holdings

Name Weight
Canoe Global Income Fund 19.35%
Empire Life Global Equity GIF 19.33%
Canoe Bond Advantage Fund 19.28%
Canoe Equity Portfolio Class 19.12%
Canoe Global Equity Fund 9.69%
Empire Life Strategic Corporate Bond GIF 9.69%

Historical Net Asset Values

Start Date

End Date

Effective Date Net Asset Value Distributions
2025-08-22 $11.5712
2025-08-21 $11.5049
2025-08-20 $11.5180
2025-08-19 $11.5077
2025-08-18 $11.4870
2025-08-14 $11.5033
2025-08-13 $11.5109
2025-08-12 $11.4710
2025-08-11 $11.4426
2025-08-08 $11.4468
2025-08-07 $11.4344
2025-08-06 $11.4302
2025-08-05 $11.4290
2025-08-01 $11.3599
2025-07-31 $11.4051
2025-07-30 $11.4261
2025-07-29 $11.4473
2025-07-28 $11.4085
2025-07-25 $11.4307
2025-07-24 $11.4018
2025-07-23 $11.3893
2025-07-22 $11.3811
2025-07-21 $11.3771
2025-07-18 $11.3697
2025-07-17 $11.3799
2025-07-16 $11.3545
2025-07-15 $11.3415
2025-07-14 $11.3947
2025-07-11 $11.3903
2025-07-10 $11.4400
2025-07-09 $11.4340
2025-07-08 $11.3952
2025-07-07 $11.3971
2025-07-04 $11.4267
2025-07-03 $11.4207
2025-07-02 $11.4106
2025-06-30 $11.4127
2025-06-27 $11.3858
2025-06-26 $11.3463
2025-06-25 $11.3225
2025-06-24 $11.3453
2025-06-23 $11.2943
2025-06-20 $11.2647
2025-06-19 $11.2654
2025-06-18 $11.2699
2025-06-17 $11.2586
2025-06-16 $11.2642
2025-06-13 $11.2487
2025-06-12 $11.3269
2025-06-11 $11.3090
2025-06-10 $11.2954
2025-06-09 $11.2801
2025-06-06 $11.2749
2025-06-05 $11.2627
2025-06-04 $11.2803
2025-06-03 $11.2626
2025-06-02 $11.2399
2025-05-30 $11.2392
2025-05-29 $11.2917
2025-05-28 $11.2484
2025-05-27 $11.2667
2025-05-26 $11.1734
2025-05-23 $11.1587
2025-05-22 $11.2061
2025-05-21 $11.2150
2025-05-20 $11.3261
2025-05-16 $11.3225
2025-05-15 $11.2789
2025-05-14 $11.2285
2025-05-13 $11.2382
2025-05-12 $11.2533
2025-05-09 $11.1629
2025-05-08 $11.1483
2025-05-07 $11.1330
2025-05-06 $11.1001
2025-05-05 $11.0994
2025-05-02 $11.1100
2025-05-01 $11.0585
2025-04-30 $11.0547
2025-04-29 $11.0521
2025-04-28 $11.0135
2025-04-25 $10.9932
2025-04-24 $10.9883
2025-04-23 $10.9097
2025-04-22 $10.8507
2025-04-21 $10.7678
2025-04-17 $10.8687
2025-04-16 $10.9019
2025-04-15 $10.9452
2025-04-14 $10.9072
2025-04-11 $10.8189
2025-04-10 $10.7779
2025-04-09 $10.8889
2025-04-08 $10.6647
2025-04-04 $10.8591
2025-04-03 $11.0972
2025-04-02 $11.3046
2025-04-01 $11.2863
2025-03-31 $11.2569
2025-03-28 $11.2051
2025-03-27 $11.2588
2025-03-26 $11.2502
2025-03-25 $11.2902
2025-03-24 $11.2811
2025-03-21 $11.2579
2025-03-20 $11.2711
2025-03-19 $11.2747
2025-03-18 $11.2252
2025-03-17 $11.2288
2025-03-14 $11.1951
2025-03-13 $11.1328
2025-03-12 $11.1749
2025-03-11 $11.1823
2025-03-10 $11.2379
2025-03-07 $11.2896
2025-03-06 $11.2657
2025-03-05 $11.3578
2025-03-04 $11.3453
2025-03-03 $11.4022
2025-02-28 $11.4258
2025-02-27 $11.3673
2025-02-26 $11.3984
2025-02-25 $11.3799
2025-02-24 $11.3402
2025-02-21 $11.3357
2025-02-20 $11.3606
2025-02-19 $11.3755
2025-02-18 $11.3522
2025-02-14 $11.3599
2025-02-13 $11.3765
2025-02-12 $11.3208
2025-02-11 $11.3639
2025-02-10 $11.3763
2025-02-07 $11.3451
2025-02-06 $11.4036
2025-02-05 $11.4003
2025-02-04 $11.3466
2025-02-03 $11.3779
2025-01-31 $11.3925
2025-01-30 $11.4192
2025-01-29 $11.3575
2025-01-28 $11.3552
2025-01-27 $11.3454
2025-01-24 $11.3427
2025-01-23 $11.3356
2025-01-22 $11.3281
2025-01-21 $11.3059
2025-01-20 $11.2321
2025-01-17 $11.2342
2025-01-16 $11.1980
2025-01-15 $11.1480
2025-01-14 $11.0583
2025-01-13 $11.0637
2025-01-10 $11.0905
2025-01-09 $11.1847
2025-01-08 $11.1773
2025-01-07 $11.1723
2025-01-06 $11.2145
2025-01-03 $11.2167
2025-01-02 $11.1910
2024-12-31 $11.1656
2024-12-30 $11.1622
2024-12-27 $11.1938
2024-12-24 $11.1998
2024-12-23 $11.1752
2024-12-20 $11.1588
2024-12-19 $11.1184
2024-12-18 $11.1712
2024-12-17 $11.2887
2024-12-16 $11.2903
2024-12-13 $11.3111
2024-12-12 $11.3401
2024-12-11 $11.3700
2024-12-10 $11.3652
2024-12-09 $11.3783
2024-12-06 $11.4018
2024-12-05 $11.3701
2024-12-04 $11.3874
2024-12-03 $11.3705
2024-12-02 $11.3723
2024-11-29 $11.3490
2024-11-28 $11.3106
2024-11-27 $11.3086
2024-11-26 $11.2958
2024-11-25 $11.2784
2024-11-22 $11.2023
2024-11-21 $11.1605
2024-11-20 $11.1401
2024-11-19 $11.1380
2024-11-18 $11.1599
2024-11-15 $11.1384
2024-11-14 $11.1699
2024-11-13 $11.1440
2024-11-12 $11.1537
2024-11-11 $11.2160
2024-11-08 $11.2189
2024-11-07 $11.1995
2024-11-06 $11.1605
2024-11-05 $11.0978
2024-11-04 $11.0759
2024-11-01 $11.0742
2024-10-31 $11.0748
2024-10-30 $11.1324
2024-10-29 $11.1292
2024-10-28 $11.1355
2024-10-25 $11.1320
2024-10-24 $11.1393
2024-10-22 $11.1571
2024-10-21 $11.1733
2024-10-18 $11.2186
2024-10-16 $11.2036
2024-10-15 $11.1895
2024-10-11 $11.1820
2024-10-10 $11.1306
2024-10-09 $11.1199
2024-10-08 $11.0913
2024-10-07 $11.0897
2024-10-04 $11.1125
2024-10-03 $11.1175
2024-10-02 $11.1345
2024-10-01 $11.1579
2024-09-30 $11.1622
2024-09-27 $11.1832
2024-09-26 $11.1440
2024-09-25 $11.1022
2024-09-24 $11.1266
2024-09-23 $11.1198
2024-09-20 $11.1400
2024-09-19 $11.1622
2024-09-18 $11.1135
2024-09-17 $11.1477
2024-09-16 $11.1497
2024-09-13 $11.1203
2024-09-12 $11.0767
2024-09-11 $11.0392
2024-09-10 $11.0219
2024-09-09 $11.0010
2024-09-06 $10.9551
2024-09-05 $11.0019
2024-09-04 $11.0136
2024-09-03 $11.0332
2024-08-30 $11.0612
2024-08-29 $11.0536
2024-08-28 $11.0420
2024-08-27 $11.0533
2024-08-26 $11.0616