Inflation-sensitive investments provide exposure to markets where investment income is generally indexed to inflation. This can partly hedge the inflation risk associated with the financial obligations of many of the Caisse's depositors.
As at December 31, 2011, the Inflation-Sensitive Investments class consisted of three specialized portfolios with a total of $25.24 billion in net assets.
| Inflation-Sensitive Investments | Depositors' net assets |
| Total | $25.24 billion |
| Real Return Bonds 1 | $1.29 billion |
| Infrastructure | $5.75 billion |
| Real Estate | $18.2 billion |
1 Index-managed portfolio.

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