Each year, the Pension Board issues an Annual Report to provide membership statistics, information on the plan's financial health at the end of the previous year, and other highlights of interest to members. A report is mailed to each member annually in the spring. 

A full list of portfolio holdings for the Balanced Fund and the Defined Retirement Benefit Fund are made available separately from the Annual Report.

The assets are invested with three investment managers. Please refer to the Annual Report for more information. 

Audited financial statements are prepared annually, outlining the financial position of the plan at December 31st of the previous year. These financial statements are posted on this website at the same time as the annual report to members.