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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
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Chamber Pension Plan: January 2025 Net Asset Value Performance
The Chamber Pension Plan is pleased to present the latest Net Asset Value (NAV) figures for January 2025 . These results showcase...
Mar 4, 20251 min read


Net Asset Value (NAV) for December 2024
The Chamber Pension Plan is pleased to share the Net Asset Value (NAV) figures for December 2024, showcasing robust growth across our...
Jan 20, 20251 min read


Updated Note on Net Asset Value (NAV) for November 2024
The Chamber Pension Plan continues to deliver strong performance across its Lifecycle Funds, providing our members with competitive...
Dec 18, 20242 min read
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