Skip to main content

Investing Highlights

Our asset mix

OMERS assets are diversified by asset type and geography. Data is as at June 30, 2024.

Asset diversification as at June 30, 2024 - Government Bonds 10%, Public Credit 10%, Private Credit 12%, Public Equities 19%, Infrastructure 22%, Real Estate 14%, Cash and Funding (6)%


Our assets by geography

Geographic Diversification as at June 30, 2024 - Canada 21%, U.S. 51%, Europe 18%, Asia-Pacific and Rest of the World 10%


Net assets $ billions

(As at June 30, 2024)

Net assets $ Billions - December 31, 2021 $105.4, December 31, 2021 $120.7, December 31, 2022 $124.2, December 31, 2023 $128.6, December 31, 2024 $133.6


Investment return history

(As at December 31, 2023)

1-Year

Net Return

4.6%

Benchmark

7.0%

10-Year

Net Return

7.3%

Benchmark

7.3%

1-Year

10-Year

Net Return

4.6%

7.3%

Benchmark

7.0%

7.3%

Featured investing news

No upcoming featured investing news to show.