Nvidia Beats Q1 Earnings Forecasts
Semiconductor giant Nvidia delivered better-than-expected performance for Q1 2025 in earnings and returns, boosting sector confidence.
Riding the Rate Storm: Why Syfe Income+ Still Delivers
Bond markets have been anything but calm. Long-term yields have surged, headlines scream volatility, yet Syfe’s Income+ portfolios have quietly held their ground. While popular bond ETFs like TLT fell sharply, Income+ Preserve and Enhance portfolios delivered steady income and positive returns. In this update, we break down what’s...
China Market Revival: Why Now Could Be the Best Time to Invest in Chinese Stocks
In our most recent seminar, we explored the future of China and the US’s economies in a time of tariffs, uncertainty, and shifting power nodes.
Special thanks to our speakers for the session, who shared their takes and perspectives:
Brendan Ahern, Chief Investment Officer at KraneShares
Aman Pujara, Director of Portfolio Construction...
Recession Proof Investments To Consider in 2025
From defensive sectors to safe-haven assets, here are the top recession-proof investments to help safeguard your wealth.
Tencent Soars While Alibaba Stumbles
Chinese multinational technology conglomerate Tencent reported a strong Q1 2025, exceeding analyst expectations on revenue, adjusted net income, and earnings per share. Revenue rose +13% year-over-year to RMB 180 billion (S$32.3 billion), fuelled by impressive growth across domestic and international gaming, value-added services (VAS), and marketing services. The company...
Why China’s Internet Sector Remains Resilient Amid New US Tariffs
The sector is well-positioned to weather this latest round of tariffs, and here are five reasons why.
The latest wave of US tariffs, dubbed “Liberation Day” tariffs, has jolted global markets. Among the targeted countries, China stands out—not just because it’s on the list, but because it has been here...
US-China’s Tariff Deal: What It Means for Markets and Investors
A 90-day tariff truce sparks a global market rally—here’s how Singapore investors can capitalise on the opportunity with a balanced investment strategy.
UK-US Trade Deal Struck as Fed Holds Rates Steady
Optimism grew after a US-UK trade deal eased sector-specific tariffs, though investor sentiment stayed mixed amid concerns over stagflation.
May FOMC Review: Fed Holds Steady Amid Trade Uncertainty
Stagflation risks and trade tensions cloud outlook. Here’s how investors can navigate the volatility.
Key Announcements from the FOMC
The Federal Open Market Committee (FOMC) kept the benchmark federal funds rate unchanged at 4.25%–4.5%, in line with expectations.
The Fed highlighted rising uncertainty around the economic outlook due to ongoing trade tensions...
Is It Time to Shift from Singapore Banks to S-REITs?
Over the last five years, Singapore banks have significantly outperformed S-REITs. We analyse if is it time for investors to pivot from banks to REITs.