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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
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The Chamber Pension Plan is pleased to share the Net Asset Value (NAV) figures for December 2024, showcasing robust growth across our...
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The Chamber Pension Plan continues to deliver strong performance across its Lifecycle Funds, providing our members with competitive...
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