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Invest in 1,500+ top global stocks

Core Equity100 is designed for investors who want maximum exposure to stock market opportunities with an extended investment horizon to capture long-term gains
illustration
illustration
illustration
portfolio-icon
portfolio-icon
portfolio-icon

Invest in 1,500+ top global stocks

Core Equity100 is designed for investors who want maximum exposure to stock market opportunities with an extended investment horizon to capture long-term gains
illustration
illustration
illustration
portfolio-icon
portfolio-icon
portfolio-icon

Invest in 1,500+ top global stocks

Core Equity100 is designed for investors who want maximum exposure to stock market opportunities with an extended investment horizon to capture long-term gains
illustration
illustration
illustration
portfolio-icon
portfolio-icon
portfolio-icon

Invest in 1,500+ top global stocks

Core Equity100 is designed for investors who want maximum exposure to stock market opportunities with an extended investment horizon to capture long-term gains
illustration
illustration
illustration
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Annualised Past Returns
(Last 8 Yrs)
8.95%
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No. of stocks
1,500+
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Annual fee
0.35% to 0.65%
As your investment grows
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Risk Rating
4
High Risk
Investments focused on equity markets that seek to provide high levels of capital appreciation over time.
  • 100% equity allocation
  • Invest in the top companies globally
  • Automatic dividend reinvestment
  • No lock-ups and no minimum balance

Over 100,000+ investors trust Syfe to
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Past performance

Annualised Past Returns (last 8 yrs)
Syfe Core Equity100 (Global stocks)

8.95%*

Syfe Core Equity100 (Global stocks)

8.95%*

Syfe Core Equity100 (Global stocks)

8.95%*

MSCI World Index (Global stocks)

7.33%*

MSCI World Index (Global stocks)

7.33%*

MSCI World Index (Global stocks)

7.33%*

*
Source: Syfe internal backtested data, BlackRock, Invesco, Vanguard and StateStreet. Past returns are not a guarantee for future performance.
Last update - 28th Feb 2023 14:30 SGT

ETFs in your Core Equity100 portfolio

Invesco QQQ Trust (QQQ)

  • Tracks the Nasdaq-100 index of the 100 largest nonfinancial companies
  • Market cap - US$ 83.5B
  • Avg. annual return (Last 10 yrs) - 20.4%
Includes stocks in
Apple
Netflix
Amazon
Intel
Facebook

iShares Core S&P 500 UCITS ETF (CSPX)

  • Tracks the S&P 500 index of US-listed stocks
  • Market cap - US$ 35.4B
  • Avg. annual return (Last 10 yrs) - 13.4%
Includes stocks in
Berkshire Hathaway
Microsoft
Visa
JP Morgan Chase
Johnson & Johnson

iShares MSCI EAFE ETF (EFA)

  • Track the performance of large- and mid-cap developed market equities, excluding the U.S. and Canada
  • Market cap - US$ 2.5B
  • Avg. annual return (Last 10 yrs) - 5.4%
Includes stocks in
Nestle
Roche
Novartis
AIA
Toyota
  • 1
  • 2

Invesco QQQ Trust (QQQ)

  • Tracks the Nasdaq-100 index of the 100 largest nonfinancial companies
  • Market cap - US$ 83.5B
  • Avg. annual return (Last 10 yrs) - 20.4%
Includes stocks in
Apple
Netflix
Amazon
Intel
Facebook

iShares Core S&P 500 UCITS ETF (CSPX)

  • Tracks the S&P 500 index of US-listed stocks
  • Market cap - US$ 35.4B
  • Avg. annual return (Last 10 yrs) - 13.4%
Includes stocks in
Berkshire Hathaway
Microsoft
Visa
JP Morgan Chase
Johnson & Johnson

iShares MSCI EAFE ETF (EFA)

  • Track the performance of large- and mid-cap developed market equities, excluding the U.S. and Canada
  • Market cap - US$ 2.5B
  • Avg. annual return (Last 10 yrs) - 5.4%
Includes stocks in
Nestle
Roche
Novartis
AIA
Toyota

Consumer Staples Select Sector SPDR Fund (XLP)

  • An effective representation of the consumer staples sector of the S&P 500 Index
  • Market cap - US$ 12.6B
  • Avg. annual return (Last 10 yrs) - 11.7%
Includes stocks in
Procter & Gamble
Coca-Cola
Walmart
Altria

Invesco QQQ Trust (QQQ)

  • Tracks the Nasdaq-100 index of the 100 largest nonfinancial companies
  • Market cap - US$ 83.5B
  • Avg. annual return (Last 10 yrs) - 20.4%
Includes stocks in
Apple
Netflix
Amazon
Intel
Facebook

iShares Core S&P 500 UCITS ETF (CSPX)

  • Tracks the S&P 500 index of US-listed stocks
  • Market cap - US$ 35.4B
  • Avg. annual return (Last 10 yrs) - 13.4%
Includes stocks in
Berkshire Hathaway
Microsoft
Visa
JP Morgan Chase
Johnson & Johnson

iShares MSCI EAFE ETF (EFA)

  • Track the performance of large- and mid-cap developed market equities, excluding the U.S. and Canada
  • Market cap - US$ 2.5B
  • Avg. annual return (Last 10 yrs) - 5.4%
Includes stocks in
Nestle
Roche
Novartis
AIA
Toyota

Consumer Staples Select Sector SPDR Fund (XLP)

  • An effective representation of the consumer staples sector of the S&P 500 Index
  • Market cap - US$ 12.6B
  • Avg. annual return (Last 10 yrs) - 11.7%
Includes stocks in
Procter & Gamble
Coca-Cola
Walmart
Altria
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Our Investment Strategy

Syfe believes in a passive, long-term investment strategy. We focus on minimising cost and adopt a systematic investing approach that aligns your financial goals and risk appetite to deliver long-term returns.

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Our Investment Strategy

Syfe believes in a passive, long-term investment strategy. We focus on minimising cost and adopt a systematic investing approach that aligns your financial goals and risk appetite to deliver long-term returns.

illustration
illustration

Our Investment Strategy

Syfe believes in a passive, long-term investment strategy. We focus on minimising cost and adopt a systematic investing approach that aligns your financial goals and risk appetite to deliver long-term returns.

Simple, all-inclusive fee from 0.35%

Simple, all-inclusive fee from 0.35%

Simple, all-inclusive fee from 0.35%

In July 2021, Syfe closed Series B funding round led by Valar Ventures, bringing total funding round to date to over US$52 million
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Frequently asked questions

What is Core Equity100?

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Core Equity100 is 100% allocated to global equities. The portfolio holds equity ETFs which collectively invest in over 3,500 stocks of the world’s top companies. Learn more here.

What ETFs are included in the Equity100 portfolio?
You can view the entire list after completing your Risk Analysis via the 'Get started’ button on our website or the ‘Add portfolio’ button on the Syfe client dashboard.

What is the risk of the Equity100 portfolio?
This portfolio carries the same risk as investing directly in equities. Your portfolio may be subject to significant losses during a market downturn.

Will the Equity100 portfolio include asset classes other than equities?
No. The Equity100 portfolio will maintain a long-term strategic asset allocation to 100% equity ETFs.

Is Core Equity100 suitable for me?

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Core Equity100 portfolio is designed for investors who want maximum exposure to global equities, and who are willing to take on higher systematic risks to potentially generate better returns relative to a traditional passive indexing strategy.
For investors seeking low-risk investments, this portfolio may not be appropriate. To understand whether the Equity100 portfolio is suitable for you, please book an complimentary appointment with our wealth experts.

How are the ETFs in Core Equity100 chosen?

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Syfe selects ETFs that are liquid, and with low expense ratios to minimise costs and maximise returns.
Additionally, Core Equity100 uses a Smart Beta strategy that takes into consideration the following factors: growth and value, volatility and country exposure. The portfolio also aims to achieve global diversification by investing in over 1,500 stocks from across the world through broad-based ETFs.
For more details. please refer to our explainer here.

Can I customize the ETFs in my Equity100 portfolio?

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The ETFs in Core Equity100 have been selected to offer you the most efficient portfolio allocation and to to optimize your risk-adjusted returns. Changing the constituents may result in less than optimal returns.
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Why the name Syfe?
In Japanese, the word Saifu means wallet and to be closely associated with our most important attribute - which is the word safe
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This website is developed and operated by Syfe Pte. Ltd. (“Syfe”), which holds a Capital Markets Services Licence and is regulated by the Monetary Authority of Singapore (Co. Reg. No. 201834952H). The information contained herein is provided for general information only and should not be used as a basis for making any investment or business decisions. Past performances are not necessarily indicative of future performances. Investment involves various risks, and you should ensure that you fully understand the risks, characteristics, and restrictions by reading the Risk Disclosure Statement, and determine if the investment products are suitable for your financial situation, investment objective, and risk tolerance before making any investment decisions. You are recommended to obtain independent professional advice where appropriate. All return figures shown are presented for informational purposes only and are not indications, predictions, forecasts, nor guarantees of future performance results, or the quality of an investment, are subject to change without notice and may differ or be contrary to opinions expressed by others. Syfe does not take responsibility for the calculation of assumed target returns, no representation or warranty is given as to the adequacy or reasonableness of the methodologies or assumptions used in calculating assumed target returns, and no reliance should be placed on any assumed target return. All rights reserved. Use of this website is governed by the Terms of Use. The content contained on this site is provided to users “as-is” without any express or implied warranty. Any third-party trademarks (including logos and icons) referenced in this website or the Syfe application are and remain the property of their respective owners and do not represent endorsements of any kind. Unless specifically identified, the use of third-party trademarks by Syfe and/or its affiliates does not indicate any relationship, sponsorship, or endorsement between Syfe and/or its affiliates and the owners of the trademarks and/or their respective affiliates. Any references by Syfe to third-party trademarks are intended to identify the corresponding third-party goods, services, and/or entities for informational and identification purposes. Any notification from the Syfe application is not a product advertisement that has been reviewed by the Monetary Authority of Singapore. This advertisement has not been reviewed by the Monetary Authority of Singapore.
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