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Chamber Pension Plan Net Asset Value (NAV) Update – March 2026
The Chamber Pension Plan is pleased to share the latest Net Asset Value (NAV) update as at 31 March 2026, providing members with a snapshot of how each Lifecycle Fund is performing. As a reminder, the NAV represents the per-unit value of each fund and is calculated at the end of each month. It reflects the underlying performance of the investments held within each fund and directly impacts the value of members’ retirement savings. This month’s update continues to reflect a co
Apr 232 min read
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Chamber Pension Plan Net Asset Value (NAV) Update – March 2026
The Chamber Pension Plan is pleased to share the latest Net Asset Value (NAV) update as at 31 March 2026, providing members with a snapshot of how each Lifecycle Fund is performing. As a reminder, the NAV represents the per-unit value of each fund and is calculated at the end of each month. It reflects the underlying performance of the investments held within each fund and directly impacts the value of members’ retirement savings. This month’s update continues to reflect a co
Apr 232 min read


Chamber Pension Plan Net Asset Value (NAV) Update – February
As part of our commitment to transparency and keeping our Members informed, we provide monthly updates on the performance of our Lifecycle Funds. The NAV reflects the per-unit value of each fund as at the last business day of the month. All contributions and redemptions are processed based on the applicable month-end NAV. Below are the February NAV figures as at 28 February 2026: Our Lifecycle Funds are designed to support Members throughout their retirement journey by aligni
Mar 201 min read


Net Asset Value (NAV) Update for January 2026
As part of our ongoing commitment to transparency and member engagement, we publish monthly NAV figures for each of our Lifecycle Funds. The NAV represents the per-unit value of each fund as at the last business day of the month. All subscriptions and redemptions are processed based on the applicable month-end NAV. Below are the January NAV figures: Our Lifecycle Funds are structured to align with Members’ anticipated retirement dates. As Members progress through their career
Feb 271 min read


Chamber Pension Plan – Net Asset Value (NAV) Update
The Chamber Pension Plan is committed to keeping our Members and Employers informed about the performance of our Lifecycle Funds. Regular updates support confident, long-term retirement planning and help you stay engaged with your savings journey. Below is the latest Net Asset Value (NAV) update as of 31 December 2025 , based on the fund results shown in the accompanying graphic. Each Lifecycle Fund adjusts its investment mix based on Members’ anticipated retirement decade. T
Jan 192 min read


Net Asset Value (NAV) Update
The Chamber Pension Plan is committed to keeping our Members and Employers informed about the performance of our Lifecycle Funds. Regular updates support confident, long-term retirement planning and help you stay engaged with your savings journey. Below is the latest Net Asset Value (NAV) update as of 30 November 2025, based on the fund results shown in the graphic. Each Lifecycle Fund adjusts its investment mix based on Members’ anticipated retirement decade. This ensures th
Dec 22, 20252 min read


PRESS RELEASE
George Town, Grand Cayman, 10 December 2025 – The Cayman Islands Chamber of Commerce Pension Plan (“Plan”) held its Annual General Meeting on December 3rd, where key updates and initiatives were presented. Chairperson Richard Freeme, along with representatives from Mercer Investments LLC and PricewaterhouseCoopers, provided insights into the Plan's performance, governance, and strategic outlook. Plan Performance and Lower All-In Expense Ratio The Plan celebrated another succ
Dec 10, 20252 min read


Chamber Pension Plan – Net Asset Value (NAV) Update
The Chamber Pension Plan is committed to keeping our Members and Employers informed about the performance of our Lifecycle Funds. Regular updates support confident, long-term retirement planning and help you stay engaged with your savings journey. Below is the latest Net Asset Value (NAV) update as of 31 October 2025 , based on the fund results shown in the graphic. Each Lifecycle Fund adjusts its investment mix based on Members’ anticipated retirement decade. This ensures th
Nov 20, 20252 min read


Chamber Pension Plan welcomes the new National Pensions Board
George Town, Grand Cayman – 7 November 2025 — the Cayman Islands Chamber of Commerce Pension Plan (“Chamber Pension Plan” or “CPP”) congratulates the newly appointed National Pensions Board and welcomes the opportunity to collaborate on initiatives that strengthen retirement outcomes across our Islands. As a not‑for‑profit, member‑controlled plan, CPP’s mission is simple: help our members retire with confidence through prudent investing, transparent governance and clear comm
Nov 7, 20251 min read


Chamber Pension Plan Net Asset Value (NAV) Update – 30 September 2025
The Chamber Pension Plan is pleased to share the latest Net Asset Value (NAV) figures as of 30 September 2025. These figures reflect the continued strength, resilience, and professional management of the Plan’s diversified investment portfolio. As at 30 September 2025, the NAVs for each of the Chamber Pension Plan’s Lifecycle Funds are as follows: These results demonstrate steady performance across the Lifecycle range, supported by disciplined investment strategies, global di
Oct 15, 20252 min read
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