Premium Pension Fund V
Fund Objective
The Premium Pension Fund V is only for Micro Pension Fund contributors. Maximum exposure to Variable Investment Instruments is 5%.
Fund Performance
YTD |
1 year |
3 year |
5 year |
10 year |
Since Inception |
17.19% |
11.22% |
28.64% |
0.00% |
0.00% |
56.76% |
NAV Returns Volatility
1 year |
3 year |
5 year |
10 year |
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Performance History
Monthly Price Movement
Performance History
Yearly Price Movement
Performance History
Monthly Returns
Performance History
Quarterly Returns
Performance History
Annual Returns