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Financial Highlights |
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For the year ended March 31
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($ billions)
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2000
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2001
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2002
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2003 |
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Investment Income
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1.1
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3.0
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2.3
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(1.1)
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Asset Mix
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Consolidated Assets ($ billions)
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44.5
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48.7
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53.6
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55.6
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Nominal fixed income (%)
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95
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86
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73
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68.7
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Equities (%)
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5
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14
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27
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30.7
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Inflation-sensitive assets (%)
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0
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0
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0
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0.6
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Returns (%)
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CPP Fund
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3.2
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7.0
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4.0
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(1.5)
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