Skip to main content

Investing Highlights

With a net return of 8.8%, results during the first six months of 2021 were driven by strong performance across each of our asset classes and by the commitment of our global teams. For more on the mid-year investment update, or annual results from previous years, please see our reports.


Our mid-year investment update provides an annualized return as at June 30, 2021.

18.2%

5.8%

7.6%

1-Year

3-Year avg

5-Year avg

July 1, 2020 - June 30, 2021

July 1, 2018 - June 30, 2021

July 1, 2016 - June 30, 2021

For more on the mid-year investment update, or annual results from previous years, please see our reports.


Our asset mix

OMERS assets are diversified by asset type and geography. Data is as at December 31, 2020.

2020 Asset mix pie chart showing Cash & Short-term Instruments (2)%, Public Equity 31%, Credit 17%, Bonds 6%, Private Equity 14%, Infrastructure 20%, Real Estate 14%.


2020 geographic distribution

2020 Assets by Geography pie chart showing Canada 31%, U.S. 40%, Europe 16%, Asia-Pacific 10% and the rest of the world 3%.


Net assets $ billions

(as at June 30, 2021)

Net Asset Billions - 2017 $95, 2018 $97, 2019 $109, 2020 $105, June 30 2021 $114.


Net return history

Net return history

1-year

3-year

5-year

10-year

20-year

-2.7%

3.7%

6.5%

6.7%

6.0%

Featured Investing News

No upcoming featured investing news to show.