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Chamber Pension Plan Net Asset Value (NAV) Update – February

  • 1 day ago
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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 aligning investment strategies with their expected retirement dates. As Members move closer to retirement, the funds automatically adjust to reflect a more conservative investment approach.


We encourage all Members to review their pension statements regularly and ensure their selected fund continues to align with their retirement goals and time horizon.


The Chamber Pension Plan remains committed to prudent investment management, strong governance, and delivering long-term value for our Members.


For more information about the Chamber Pension Plan and our investment options, please visit www.chamberpension.ky or contact our team directly.

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