Skip to main content

Investing Highlights

Our asset mix

OMERS assets are diversified by asset type and geography. Data is as at June 30, 2022.

Our asset mix - 25% Public Equity, 20% Credit, 8% Bonds, 17% Private Equity, 20% Infrastructure, 17% Real Estate, -7& Cash and Funding


Geographic diversification

Geographic diversification - 28% Canada, 44% United States, 9% Europe excluding U.K., 6% United Kingdom (U.K.), 11% Asia-Pacific, 2% Rest of the World


Net assets $ billions

(As at June 30, 2022)

Net assets in billions - $97.3 at December 31 2018, $109.2 at December 31 2019, $105.4 at December 31 2020, $120.7 at December 31 2021, $119.5 at June 30 2022


Net return history

(As at December 31, 2021)

1-year

3-year

5-year

10-year

Net return history

15.7%

8.0%

7.5%

8.0%

Benchmarks

6.6%

7.0%

7.1%

7.4%

Featured Investing News

No upcoming featured investing news to show.