About Us
Investments
Results
Fixed Income Holdings
Inflation-Sensitive Asset Holdings
Private Equity Holdings
Public Equity Holdings
Responsible Investing
News Room
Publications
Print Small Font Medium Font Large Font Send Page to a Friend
Financial Highlights

Historical information on the performance of assets available to the Canada Pension Plan, and financial statements of the CPP Investment Board, can be found under Quarterly Reports and Annual Reports.

Q1 FISCAL 2011 - NEWS RELEASE
Q1 FISCAL 2011 - FINANCIAL STATEMENTS (112 Kb)

The CPP Fund holdings summarized below are stated at fair value. Holdings are based on the Consolidated Statement of Investment Asset Mix contained in the CPP Investment Board's financial statements. These investments have been grouped based on the intent of the investment strategies of the underlying portfolios after allocating derivative contracts, associated money market securities and other investment receivables and liabilities to the asset classes to which they relate.

For the year ended March 31
Financial Overview
($ billions)
 
YTD F2011*
 2010 2009 2008 2007 2006
CPP Fund** 129.7  127.6 105.5 122.7 116.6 98.0
Net contributions  3.8  6.1 6.6 6.5 5.6 3.6
Investment income net of operating expenses****  (1.7) 16.0 (23.8) (0.4) 13.0 13.1
Investment Performance
(%) ***
 YTD F2011*   2010 2009 2008 2007 2006
Annual  (1.3) 14.9 (18.6) (0.3) 12.9 15.5
Five-year
annualized
rate of return
 3.0 4.0
2.8
10.7
10.4
8.6
Ten-year
annualized
rate of return 
 5.1  5.5  4.3  -  -  -
Investment Portfolio
($ billions)
 YTD F2011*  2010 2009 2008 2007 2006
Equities            
  Canada  17.6  18.5 15.6 28.9 29.2 29.0
  Foreign developed
  markets
 46.0  46.2 40.4 47.5    46.1 32.7
  Emerging markets  6.3  6.5 4.6 0.7 - -
Fixed income            
  Bonds  36.1 36.8 28.4 30.2 29.2 27.2
  Other debt  4.3 3.5 1.8 1.1 - -
  Money market
  securities
 2.4 0.3 (0.8) - 0.4 0.6
  Debt financing
  liabilities
 (1.3)  (1.3)  -  -  -  -
Inflation-sensitive
assets
           
  Real estate  7.9 7.0 6.9 6.9 5.7 4.2
  Infrastructure  6.1 5.8 4.6 2.8 2.2 0.3
  Inflation-linked
  bonds
 4.3 4.4 4.1 4.7 3.8 4.0
  Investment
  Portfolio
 129.7 127.7 105.6 122.8 116.6 98.0

*YTD F2011 = April 1 - June 30, 2010
** Includes non-investment assets such as premises and equipment and non-investment liabilities.
*** Commencing in fiscal 2007, the rate of return reflects the performance of the investment portfolio, which excludes the Cash for Benefits portfolio.
**** The CPP Fund includes the non-marketable government bonds that predate the creation of the CPP Investment Board. We take these bonds into account when making investment decisions. Accordingly this financial highlights table for the CPP Fund includes the performance of these non-marketable government bonds.

Financial Highlights:

2000 :: 2001 :: 2002 :: 2003 :: 2004 :: 2005

Quick Links

Total Portfolio View

Independence. Accountability. Performance.

Home