CPP Investments is committed to timely and continuous disclosure of significant new investments and asset sales.

In addition, we publish an annual list of market exposures obtained through derivatives linked to market indexes. Derivatives are types of financial contracts where the value of that contract is dependent on an underlying asset or benchmark, such as an index.

This represents a point-in-time snapshot. These index exposures are comprised of many individual derivatives contracts (swaps, options, futures) that are constantly maturing and being renewed or changed. However, we believe that this form of disclosure best represents the Fund’s investment exposures at fiscal year-end.

KEY DISCLOSURE ELEMENTS

> Includes exposures to derivative securities that reference an index. These exposures are often referred to as synthetic. Voting rights are typically not attached to economic exposure attained through such derivative investments.

> Does not include positions managed by a third-party investment manager for which CPP Investments has no discretionary investment authority.

> Does not include exchange-traded funds (i.e. ETFs or Public Funds) which have been reported in the list on a direct basis.

Global Equity Index Exposure

As of March 31, 2024

Index ExposureMarket Value (CAD $ millions)
MSCI Emerging Net Total Return USD Index 16,764
MSCI Japan Net Total Return USD Index 7,375
MSCI Emerging Markets Taiwan Net Total Return USD Index 2,959
CSI 500 Net Total Return Index 2,044
MSCI Emerging Markets Korea Net Total Return USD Index 1,359
MSCI Brazil Net Total Return USD Index 1,339
S&P 500 INDEX 1,283
CSI 300 Net Return Index 1,001
MSCI Emerging Markets Mexico Net Total Return USD Index 770
MSCI Emerging Markets Indonesia Net Total Return USD Index 639
MSCI Malaysia Net Total Return USD Index 595
MSCI Emerging Markets Thailand Net Total Return USD Index 578
FTSE Taiwan RIC Capped Net Tax Index 567
MSCI Hong Kong Net Total Return USD Index 549
Deutsche Boerse AG German Stock Index DAX 526
MSCI Singapore Net Total Return USD Index 465
MSCI Singapore Free Index 393
S&P/ASX 200 373
FTSE 100 Index 372
EURO STOXX 50 Price EUR 360
Dow Jones Industrial Average 301
MSCI Daily TR Net Emerging Markets Philippines USD 260
MSCI USA LOW CARBON TARGET 220
MSCI USA Low Carbon Leaders Gross USD Index 220
S&P 500 Carbon Efficient Index (USD) TR 219
S&P/TSX 60 Index 184
MSCI New Zealand Net Total Return USD Index 80
FTSE/JSE Africa Top40 Tradeable Index 77
FTSE China A50 Index 59
MSCI Ireland Gross Return EUR Index 58
IBEX 35 Index 50
Tokyo Stock Exchange Tokyo Stock Price Index TOPIX 25