{"id":22024,"date":"2025-04-08T15:33:12","date_gmt":"2025-04-08T07:33:12","guid":{"rendered":"https:\/\/www.syfe.com\/magazine\/?p=22024"},"modified":"2025-05-13T11:24:42","modified_gmt":"2025-05-13T03:24:42","slug":"how-syfe-managed-portfolios-are-positioned-amid-tariff-driven-volatility","status":"publish","type":"post","link":"https:\/\/www.syfe.com\/magazine\/how-syfe-managed-portfolios-are-positioned-amid-tariff-driven-volatility\/","title":{"rendered":"How Syfe Managed Portfolios Are Positioned Amid Tariff-Driven Volatility"},"content":{"rendered":"\n<figure class=\"wp-block-image size-large\"><img loading=\"lazy\" decoding=\"async\" width=\"1024\" height=\"879\" data-attachment-id=\"22028\" data-permalink=\"https:\/\/www.syfe.com\/magazine\/how-syfe-managed-portfolios-are-positioned-amid-tariff-driven-volatility\/gaurav-gupta-pbmddtlt7im-unsplash\/\" data-orig-file=\"https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-scaled.jpg\" data-orig-size=\"2560,2197\" data-comments-opened=\"0\" data-image-meta=\"{&quot;aperture&quot;:&quot;0&quot;,&quot;credit&quot;:&quot;&quot;,&quot;camera&quot;:&quot;&quot;,&quot;caption&quot;:&quot;&quot;,&quot;created_timestamp&quot;:&quot;0&quot;,&quot;copyright&quot;:&quot;&quot;,&quot;focal_length&quot;:&quot;0&quot;,&quot;iso&quot;:&quot;0&quot;,&quot;shutter_speed&quot;:&quot;0&quot;,&quot;title&quot;:&quot;&quot;,&quot;orientation&quot;:&quot;0&quot;}\" data-image-title=\"gaurav-gupta-PbmdDTLT7iM-unsplash\" data-image-description=\"\" data-image-caption=\"\" data-medium-file=\"https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-300x258.jpg\" data-large-file=\"https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-1024x879.jpg\" src=\"https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-1024x879.jpg\" alt=\"\" class=\"wp-image-22028\" srcset=\"https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-1024x879.jpg 1024w, https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-300x258.jpg 300w, https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-768x659.jpg 768w, https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-1536x1318.jpg 1536w, https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-2048x1758.jpg 2048w, https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-489x420.jpg 489w, https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-696x597.jpg 696w, https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-1068x917.jpg 1068w, https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-1920x1648.jpg 1920w\" sizes=\"auto, (max-width: 1024px) 100vw, 1024px\" \/><\/figure>\n\n\n\n<p>The S&amp;P 500 just experienced its sharpest two-day decline since March 2020. The sell-off was triggered by geopolitical tensions and tariff-related concerns, prompting a broad risk-off move across global markets.  In this update, we take a closer look at how Syfe\u2019s managed portfolios have held up, and how they are positioned to navigate the road ahead<\/p>\n\n\n\n<h2 class=\"wp-block-heading\"><strong><a href=\"https:\/\/www.syfe.com\/income-plus\">Income+<\/a>: Strong YTD Performance Amid Market Swings<\/strong><\/h2>\n\n\n\n<figure class=\"wp-block-table\"><table><tbody><tr><td><strong>(Return in SGD)<\/strong><\/td><td><strong>3-Apr<\/strong><\/td><td><strong>YTD<\/strong><strong>(as of 3 April)<\/strong><\/td><\/tr><tr><td><strong>Income Preserve<\/strong><\/td><td>+0.2%<\/td><td>+2.3%<\/td><\/tr><tr><td><strong>Income Enhance<\/strong><\/td><td>-0.1%<\/td><td>+2.1%<\/td><\/tr><tr><td><em>Bloomberg Global Aggregate Total Return Index Hedged SGD<\/em><\/td><td><em>+0.5%<\/em><\/td><td><em>+1.5%<\/em><\/td><\/tr><\/tbody><\/table><figcaption class=\"wp-element-caption\">Source: Syfe Research, Bloomberg, PIMCO. Returns are shown gross of Syfe platform fees. Mutual fund performance is updated with a one-business-day lag. As of 3 April 2025.&nbsp;<\/figcaption><\/figure>\n\n\n\n<p><strong>Key drivers: <\/strong>Both Income+ portfolios held up well, in <strong>stark contrast to the -10.7% sell-off in the S&amp;P 500 over 3 and 4 April<\/strong>.&nbsp;<\/p>\n\n\n\n<ul class=\"wp-block-list\">\n<li>Demand for safe-haven assets such as US Treasuries drove bond yields lower, supporting fixed income performance.\u00a0<\/li>\n\n\n\n<li>With strong credit quality\u2014<strong>A+ for Preserve and A- for Enhance<\/strong>\u2014the portfolios were well positioned to withstand the risk-off environment.<\/li>\n<\/ul>\n\n\n\n<p><strong>Portfolio positioning:<\/strong> Income+ portfolios maintain a <strong>nimble and active approach<\/strong> to take advantage of market swings.<\/p>\n\n\n\n<ul class=\"wp-block-list\">\n<li><strong>Inflation protection<\/strong> is added to hedge against price pressures from potential tariffs.<\/li>\n\n\n\n<li>The portfolios remain focused on<strong> highly liquid, high-quality assets<\/strong>.<\/li>\n\n\n\n<li>Both portfolios offer attractive yields-to-maturity\u2014<strong>6.5% p.a. for Preserve and 7.0% p.a. for Enhance<\/strong>\u2014while maintaining strong credit quality. This makes them a<strong> strong diversifier for an equity-heavy portfolio, <\/strong>with potential for capital appreciation if the economy slows.<\/li>\n<\/ul>\n\n\n\n<h2 class=\"wp-block-heading\"><strong><a href=\"https:\/\/www.syfe.com\/reit-plus\">REIT+<\/a>: Resilient Performance Amid Equity Market Sell-Off<\/strong><\/h2>\n\n\n\n<figure class=\"wp-block-table\"><table><tbody><tr><td><strong>(Return in SGD)<\/strong><\/td><td><strong>3-Apr<\/strong><\/td><td><strong>4-Apr<\/strong><\/td><td><strong>YTD<\/strong><strong>(as of 4 April)<\/strong><\/td><\/tr><tr><td><strong>REIT100<\/strong><\/td><td>1.5%<\/td><td>-1.0%<\/td><td>3.8%<\/td><\/tr><tr><td><strong>REIT with risk mgmt<\/strong><\/td><td>1.0%<\/td><td>-0.3%<\/td><td>3.6%<\/td><\/tr><tr><td><em>iEdge S-REIT Leaders SGD Index<\/em><\/td><td><em>1.5%<\/em><\/td><td><em>-1.1%<\/em><\/td><td><em>3.5%<\/em><\/td><\/tr><\/tbody><\/table><figcaption class=\"wp-element-caption\">Source: Syfe Research, Bloomberg. Returns are shown gross of Syfe platform fees. As of 4 April 2025.<\/figcaption><\/figure>\n\n\n\n<p><\/p>\n\n\n\n<p><strong>Key drivers: <\/strong>REIT+ portfolios stayed resilient in view of heightened market volatility.&nbsp;<\/p>\n\n\n\n<ul class=\"wp-block-list\">\n<li>Defensive appeal boosted demand, with <strong>institutional investors rotating back into S-REITs<\/strong>.<\/li>\n\n\n\n<li>Over S$71 million in net inflows recorded in March\u2014first positive month after five months of outflows.<\/li>\n<\/ul>\n\n\n\n<p><strong>Portfolio positioning:<\/strong> REIT+ continues to focus on the<strong> top 20 SGD-denominated S-REITs<\/strong>, offering diversification and quality exposure.<\/p>\n\n\n\n<ul class=\"wp-block-list\">\n<li>The overall S-REITs sector is supported by <strong>attractive valuations, strong fundamentals<\/strong>, and a more<strong> favourable interest rate outlook<\/strong>.<\/li>\n\n\n\n<li>The MAS <strong>S$5 billion support programme<\/strong> could further reinforce sentiment and institutional positioning in the S-REIT sector.<\/li>\n<\/ul>\n\n\n\n<h2 class=\"wp-block-heading\"><strong><a href=\"https:\/\/www.syfe.com\/protected-portfolios\">Protected Portfolio<\/a>: Smaller Drawdowns, Smoother Ride<\/strong><\/h2>\n\n\n\n<figure class=\"wp-block-table\"><table><tbody><tr><td><strong>(Return in USD)<\/strong><\/td><td><strong>3-Apr<\/strong><\/td><td><strong>4-Apr<\/strong><\/td><td><strong>YTD as of 4 April<\/strong><\/td><\/tr><tr><td><strong>Protected Portfolio<\/strong><\/td><td>-1.1%<\/td><td>-1.2%<\/td><td>-2.4%<\/td><\/tr><tr><td><em>S&amp;P 500<\/em><\/td><td><em>-4.8%<\/em><\/td><td><em>-6.0%<\/em><\/td><td><em>-13.4%<\/em><\/td><\/tr><\/tbody><\/table><figcaption class=\"wp-element-caption\">Source: Syfe Research, Bloomberg. Returns are shown gross of Syfe platform fees. As of 4 April 2025.&nbsp;<\/figcaption><\/figure>\n\n\n\n<p><strong>Key drivers: <\/strong>The Protected Portfolio is designed to shield investors from major losses during market downturns.&nbsp;<\/p>\n\n\n\n<ul class=\"wp-block-list\">\n<li>It has demonstrated its effectiveness during the recent sharp market declines. While the <strong>S&amp;P 500 fell nearly -11% over two trading days, the portfolio declined just -2.3% in comparison<\/strong>.<\/li>\n<\/ul>\n\n\n\n<p><strong>Portfolio positioning:&nbsp; <\/strong>The Protected Portfolio currently offers an attractive risk-reward trade-off.<\/p>\n\n\n\n<ul class=\"wp-block-list\">\n<li>The<strong> Estimated Max Loss is at -0.7%<\/strong>, while the <strong>Current Upside Cap is at +13.3%.<\/strong> (*as of 4 April 2025)<\/li>\n\n\n\n<li>For investors looking to <strong>capture potential market rebounds while remaining cautious about further downside<\/strong>, this can be an effective strategy.<\/li>\n<\/ul>\n\n\n\n<h2 class=\"wp-block-heading\"><strong><a href=\"https:\/\/www.syfe.com\/core\">Core Portfolios<\/a>: Navigating Markets with Discipline<\/strong><\/h2>\n\n\n\n<figure class=\"wp-block-table\"><table><tbody><tr><td><strong>(Return in SGD)<\/strong><\/td><td><strong>3-Apr<\/strong><\/td><td><strong>4-Apr<\/strong><\/td><td><strong>YTD<\/strong><strong>(as of 4 April)<\/strong><\/td><\/tr><tr><td><strong>Equity100<\/strong><\/td><td>-4.7%<\/td><td>-4.8%<\/td><td>-11.6%<\/td><\/tr><tr><td><em>MSCI ACWI<\/em><\/td><td><em>-4.0%<\/em><\/td><td><em>-4.7%<\/em><\/td><td><em>-10.3%<\/em><\/td><\/tr><tr><td><em>S&amp;P 500<\/em><\/td><td><em>-5.4%<\/em><\/td><td><em>-5.3%<\/em><\/td><td><em>-14.8%<\/em><\/td><\/tr><tr><td><strong>Growth<\/strong><\/td><td>-3.4%<\/td><td>-3.1%<\/td><td>-7.2%<\/td><\/tr><tr><td><strong>Balanced<\/strong><\/td><td>-2.2%<\/td><td>-1.4%<\/td><td>-2.7%<\/td><\/tr><tr><td><strong>Defensive<\/strong><\/td><td>-1.3%<\/td><td>-0.3%<\/td><td>0.3%<\/td><\/tr><\/tbody><\/table><figcaption class=\"wp-element-caption\">Source: Syfe Research, Bloomberg. Returns are shown gross of Syfe platform fees. As of 4 April 2025.<\/figcaption><\/figure>\n\n\n\n<p><\/p>\n\n\n\n<p><strong>Key drivers:&nbsp; <\/strong>As the market experienced a broad-based sell-off, Core portfolios were not immune.&nbsp;&nbsp;<\/p>\n\n\n\n<ul class=\"wp-block-list\">\n<li>However, their <strong>diversified global exposure and balanced approach<\/strong> helped cushion the impact, resulting in significantly <strong>smaller drawdowns than the S&amp;P 500<\/strong>.<\/li>\n<\/ul>\n\n\n\n<p><strong>Portfolio positioning<\/strong>: Syfe Core portfolios maintain <strong>a systematic, long-term approach<\/strong> to investing amidst market swings.&nbsp;<\/p>\n\n\n\n<ul class=\"wp-block-list\">\n<li>We\u2019ll rebalance portfolios periodically to ensure they remain aligned with their target allocations. This helps <strong>manage risk<\/strong> and <strong>keeps your investments on track <\/strong>through market volatility.<\/li>\n\n\n\n<li>Several indicators suggest the market is currently in a state of<strong> &#8220;extreme fear<\/strong>&#8220;.\u00a0 For investors with a long-term horizon and risk appetite, this could be an opportunity to <strong>dollar-cost average<\/strong> and accumulate quality assets at lower prices.<\/li>\n<\/ul>\n\n\n\n<p><strong>Read More: <\/strong><\/p>\n\n\n\n<p><strong><a href=\"https:\/\/www.syfe.com\/magazine\/putting-the-tariff-selloff-into-perspective\/\">Putting the Tariff Selloff into Perspective<\/a><\/strong><\/p>\n\n\n\n<p><strong><a href=\"https:\/\/www.syfe.com\/magazine\/enhanced-dollar-cost-averaging\/\">A Smarter Way to Navigate Market Downturn: Enhanced Dollar Cost Averaging<\/a><\/strong><\/p>\n","protected":false},"excerpt":{"rendered":"<p>The S&amp;P 500 just experienced its sharpest two-day decline since March 2020. The sell-off was triggered by geopolitical tensions and tariff-related concerns, prompting a broad risk-off move across global markets. In this update, we take a closer look at how Syfe\u2019s managed portfolios have held up, and how they are positioned to navigate the road [&hellip;]<\/p>\n","protected":false},"author":3,"featured_media":22028,"comment_status":"closed","ping_status":"closed","sticky":false,"template":"","format":"standard","meta":{"_acf_changed":false,"_jetpack_memberships_contains_paid_content":false,"footnotes":""},"categories":[16,289],"tags":[],"class_list":{"0":"post-22024","1":"post","2":"type-post","3":"status-publish","4":"format-standard","5":"has-post-thumbnail","7":"category-grow-wealth","8":"category-market-insights"},"acf":{"readingTime":"","authorName":"","authorThumbnail":"https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-scaled.jpg","BLUE_TIER":"0","BLACK_TIER":"0","GOLD_TIER":"0","PRIVATE_WEALTH_TIER":"0","PRE_AML":"0","POST_AML":"0","NO_GLOBAL_PORTFOLIO":"0","NO_REITS_PORTFOLIO":"0","NO_EQUITY_PORTFOLIO":"0","NO_CASH_PORTFOLIO":"0","HAS_ADVISOR":"0","INVESTMENT_PORTFOLIO_AUM":"0","AFTER_AML_DATE":"","AFTER_ACCOUNT_CREATED_DATE":""},"yoast_head":"<!-- This site is optimized with the Yoast SEO Premium plugin v27.1 (Yoast SEO v27.1.1) - https:\/\/yoast.com\/product\/yoast-seo-premium-wordpress\/ -->\n<title>How Syfe Managed Portfolios Are Positioned Amid Tariff-Driven Volatility<\/title>\n<meta name=\"description\" content=\"In this update, we take a closer look at how Syfe\u2019s managed portfolios have held up, and how they are positioned to navigate the road ahead.\" \/>\n<meta name=\"robots\" content=\"index, follow, max-snippet:-1, max-image-preview:large, max-video-preview:-1\" \/>\n<link rel=\"canonical\" href=\"https:\/\/www.syfe.com\/magazine\/how-syfe-managed-portfolios-are-positioned-amid-tariff-driven-volatility\/\" \/>\n<meta property=\"og:locale\" content=\"en_US\" \/>\n<meta property=\"og:type\" content=\"article\" \/>\n<meta property=\"og:title\" content=\"How Syfe Managed Portfolios Are Positioned Amid Tariff-Driven Volatility\" \/>\n<meta property=\"og:description\" content=\"The S&amp;P 500 just experienced its sharpest two-day decline since March 2020. The sell-off was triggered by geopolitical tensions and tariff-related\" \/>\n<meta property=\"og:url\" content=\"https:\/\/www.syfe.com\/magazine\/how-syfe-managed-portfolios-are-positioned-amid-tariff-driven-volatility\/\" \/>\n<meta property=\"og:site_name\" content=\"Connect\" \/>\n<meta property=\"article:published_time\" content=\"2025-04-08T07:33:12+00:00\" \/>\n<meta property=\"article:modified_time\" content=\"2025-05-13T03:24:42+00:00\" \/>\n<meta property=\"og:image\" content=\"https:\/\/www.syfe.com\/magazine\/wp-content\/uploads\/2025\/04\/gaurav-gupta-PbmdDTLT7iM-unsplash-scaled.jpg\" \/>\n\t<meta property=\"og:image:width\" content=\"2560\" \/>\n\t<meta property=\"og:image:height\" content=\"2197\" \/>\n\t<meta property=\"og:image:type\" content=\"image\/jpeg\" \/>\n<meta name=\"author\" content=\"Syfe Singapore\" \/>\n<meta name=\"twitter:card\" content=\"summary_large_image\" \/>\n<meta name=\"twitter:label1\" content=\"Written by\" \/>\n\t<meta name=\"twitter:data1\" 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