We are pleased to share the latest Net Asset Values (NAVs) for our lifecycle funds as of June 30, 2024. This update reflects the robust performance of our diverse portfolio, ensuring your investments are well-positioned for growth and stability.
Lifecycle Funds Performance
Income Conservative Fund
30 June NAV: $3.14370
1-Year Performance: 6.16%
Income Growth Fund
30 June NAV: $3.29850
1-Year Performance: 7.79%
2030 Fund
30 June NAV: $3.53130
1-Year Performance: 10.32%
2040 Fund
30 June NAV: $4.08660
1-Year Performance: 14.11%
2050 Fund
30 June NAV: $4.44430
1-Year Performance: 17.42%
2060 Fund
30 June NAV: $2.37960
1-Year Performance: 19.76%
Investment Insights
The impressive gains across our lifecycle funds underscore our commitment to strategic asset management and market responsiveness. Each fund's performance is driven by our focus on diversification and risk-adjusted returns.
We thank our members for their continued trust and investment. Our team remains dedicated to delivering exceptional value and safeguarding your financial future.
For more detailed insights and updates, visit Chamber Pension Plan.
Stay invested, stay informed.
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