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Our Performance

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Our Performance

Our investment strategy is designed to deliver a well-balanced and globally diversified portfolio that will maximize sustained long-term returns without incurring undue risk.

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$420.4
Billion

CPP Fund at December 31, 2019

$14.5
Billion

Q3 2020 net income after all CPP Investments costs

$251.9
Billion

Cumulative net income for 10-year period

10.4%

10-year annualized rate of return (net nominal)

10.4%

Five-year annualized rate of return (net nominal)

3.6%

Q3 2020 rate of return (net nominal)

Financial Results

Our Financial results are disclosed through our annual and quarterly reports. We believe in transparency as the foundation of trust with our stakeholders.

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2019 President’s message

Actuary and Special Exams Report

Actuary reports are prepared in compliance with the timing and information requirement of the Canada Pension Plan. Special Examination reports assess our financial, management control, information systems and management practices.

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Sustainability of the CPP

The most recent triennial report by the Chief Actuary of Canada indicated that the CPP is sustainable over a 75-year projection period

Projections of the CPP Fund, being the combined assets of the base and additional CPP accounts, are based on the nominal projections from the 30th Actuarial Report on the Canada Pension Plan as at December 31, 2018

1 Represents actual total Fund assets as at September 30, 2019

2019 Annual Report

Investing for Generations.

fiscal 2019 En@3x
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