London Borough of Lambeth Pension Fund - fund management

The documents below provide information on how the Lambeth Pension Fund is managed.

Funding Strategy Statement (FSS)

Find out how the money in the fund will be invested.

Statement of Accounts

The annual Statement of Accounts for the Lambeth Pension Fund.

Statement of Investment Principles (SIP)

The SIP outlines how the money in the fund is invested.

Triennial Actuarial Valuation

The triennial actuarial valuation determines the rate at which employers in the Fund should contribute in the future to ensure that the existing assets and future contributions will be sufficient to meet future benefit payments.

Communications Policy Strategy

The fund aims to provide all interested groups with as much information as possible concerning the operation of the Local Government Pension Scheme and the way in which any changes to the scheme will affect members' benefits.

Governance Policy Statement

Statement about the governance policy for the London Borough of Lambeth Pension Fund.