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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


1-Year

Net Return

4.6%

Benchmark

7.0%

10-Year

Net Return

7.3%

Benchmark

7.3%

Investment return history

We emphasize long-term performance, as pensions are paid over decades.

(As at December 31, 2023)


1-Year

10-Year

Net Return

4.6%

7.3%

Benchmark

7.0%

7.3%

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