Amid the volatility of the financial markets’ performance, the Board of DB & DC Schemes continue to re-align the Schemes’ investments in-order to realize higher returns while protecting members’ benefits.

The following charts provide the distribution of the investments based on portfolio allocation and market value of investments.

DB Scheme

5-Year Trend on Market Value of Investments

The Investment Portfolio closed at Ksh 8.123 billion as of 31 March 2022

db q1 2022

Asset Allocation

Below shows assets allocation in the last quarter: -

DB Q1 2022

The Charts below provide the Scheme’s return versus IPS benchmarks, a standard of measuring performance, as of 31st March 2022.

3-months Performance as of March 31, 2022

DB Q1 2022

One-year Performance as of March 31, 2022

DB Q1 2022

 

DC Scheme

5-Year Trend on Market Value of Investments

The Investment Portfolio closed at Ksh 8.927.05 billion as of 31 March 2022.

dc q1 2022

Asset Allocation

The charts below provide the allocation to different asset classes based on market value of investments.  

DC Q1 2022 2

3-months Performance as of March 31, 2022

DC Q1 2022 3

 

One-year Performance as of March 31, 2022

DC Q1 2022 4

 

Defined Contributions

Learn about Defined Contributions

Defined Benefits

Learn about Defined Benefits