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Investing Highlights

Our asset mix

OMERS assets are diversified by asset type and geography. Data is as at June 30, 2023.

Our asset mix -  7% Bonds, 18% Credit, 24% Public Equity, 18% Private Equity, 21% Infrastructure, 17% Real Estate, -5 Cash and Funding


Geographic diversification

Geographic diversification - 24% Canada, 47% United States, 11% Asia-Pacific, 9% Europe excluding U.K., 7% United Kingdom (U.K.), 2% Rest of the World


Net assets $ billions

(As at June 30, 2023)

Net assets in billions - ,June 30, 2023 $127.4, 2022, 124.2. 2021, 120.7. 2020, 105.4. 2019, 109.2.


Net return history

(As at December 31, 2022)

1-year

2-year

3-year

4-year

5 year

10-year

Net return history

4.2%

9.8%

5.4%

7.0%

6.1%

7.5%

Benchmarks

7.2%

6.9%

6.9%

7.0%

7.1%

7.4%

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