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Join date: Apr 30, 2021
Posts (38)
Jul 10, 2026 ∙ 1 min
Chamber Pension Plan Net Asset Value (NAV) Update – May 2026
The Chamber Pension Plan is pleased to share the latest Net Asset Value (NAV) update as of May 31, 2026, providing members with a snapshot of each Lifecycle Fund's performance. NAV represents the per-unit value of each fund and is calculated at the end of each month. It reflects the underlying investment performance of the assets held within the fund and has a direct effect on members’ retirement savings over time. Each member’s contributions are automatically invested into a Lifecycle Fund...
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Mar 1, 2024 ∙ 1 min
National Pensions Act (2024 Revision)
Supplement No. 8 published with Legislation Gazette No. 7 of 8th February 2024.
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Aug 16, 2022 ∙ 1 min
July NAVs Available
The Net Asset Value (NAV) of the Chamber Pension Plan funds as of 31 July 2022 is as follows: Related articles:...
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