Canada Pension Plan Investment Board - Company Profile
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Business Description
Canada Pension Plan Investment Board (CPPIB) invests the funds of the Canada Pension Plan (CPP) in public equities, private equities, private debt, bonds, real estate, infrastructure, agriculture, and other areas. As of March 31, 2023, the company reported assets of CAD706,286 million. It had a network of nine offices and 327 external partners. It reported net investments of CAD570,296 million.
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Business Segments
- Active Equities
- Capital Markets and Factor Investing
- Credit investments
- Private Equity
- Real Assets
- Total Fund Management
- Credit Investments
Overview
Offers investments in globally public and soon-to-be public companies, securities that are focused on emerging markets or long term global changes, which could consist of early stage private companies. The segment collaborates with departments across the company to ensure that environmental, social and governance risks and opportunities are incorporated into the company’s investment decision-making and asset management activities.
Performance
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Overview
Offers investments in global public equities, currencies, fixed income securities, commodities and derivatives. Actively engages investment managers and co-investments to invest in public market securities. The segment is also responsible for managing the company’s liquidity concerns.
Performance
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Overview
Offers private equity investments globally, which includes funds, secondaries and direct private equity investments
Performance
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Overview
Includes the company’s investments in the infrastructure, real estate, agriculture, and power and renewables sectors, which are mostly long-term, asset-intensive sectors with growing income streams. Strives to drive growth in target markets and sectors while enhancing global execution capabilities.
Performance
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Overview
Comprises the company’s remaining investment portfolio after the assets of all active programs under other investment segments. Also develops the investment strategies and supports the portfolio construction of the company’s investment portfolio. Focuses on analyzing long-term risk for its strategic portfolio, while balancing asset allocations and factor exposures. Strives to assess fund appetite for public credit, emerging market debt, and other associated risk.
Performance
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Overview
Offer private and public investments globally. Credit investments comprises term loans, structured products, high-yield bonds, mezzanine lending and other credit instruments for borrowers across multiple sectors.
Performance
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