${percentage}
%
` ) // create grid of 3 for schedule const getScheduleItemNode = (label, freq, value) => ( `
${label}
${freq}
${value}
%
` ) // composition class with accordian const getCompositionItemNode = (label, description, symbol, percentage) => ( `
${label}
${description}
${symbol}
${percentage}
%
` ) // sector grid const getSectorGridNode = (label, percentage) => ( `
${label}
${percentage}
%
` ) // past performance data const reitPastPerformance = reitPortfolioData && reitPortfolioData.pastPerformance && reitPortfolioData.pastPerformance['syfe'] && reitPortfolioData.pastPerformance['syfe']['15']; // update Past Performace const updatePastPerformance = (list, node) => { if (node) { node.innerHTML = ''; list.forEach(element => { const innerNode = getGrid2ListItem(element.year, element.returns) node.innerHTML += innerNode; }); } } // update Sector tab const updateSectorData = (list, node) => { if (node) { node.innerHTML = ''; list.forEach(element => { const innerNode = getSectorGridNode(element.name, element.percentage) node.innerHTML += innerNode; }); } } // schedule tab const updateScheduleDividend = (list, node) => { if (node) { node.innerHTML = ''; list.forEach(element => { const innerNode = getScheduleItemNode(element.name, element.frequency, element.yield) node.innerHTML += innerNode; }); } } // composition classes const updateCompositionClass = (list, node) => { if (node) { node.innerHTML = ''; list.forEach(element => { const innerNode = getCompositionItemNode(element.name, element.details[0].text, element.symbol, element.percentage) node.innerHTML += innerNode; }); } } // Ann Past Return const reitArPastReturn = reitPastPerformance && reitPastPerformance['annualized return']; // Calender Year Return const reitCyrPastReturn = reitPastPerformance && reitPastPerformance['calendar year return']; // Cumulative Return const reitCrPastReturn = reitPastPerformance && reitPastPerformance['cumulative return']; // Sector tab const reitSectorObjList = getSectorDataList(reitPortfolioData, 15); reitSectorObjList.sort((a, b) => { return b.percentage - a.percentage; }) // Classes const reitETFAllocation = reitPortfolioData && reitPortfolioData.etfAllocation && reitPortfolioData.etfAllocation['15']; const reitETFComposition = reitPortfolioData && reitPortfolioData.etfComposition; // REIT const reitTotalEquityReturns = reitETFComposition['Equity'] const reitEquityReturns = reitTotalEquityReturns.filter(e => reitETFAllocation[e.symbol]).map(e => ({ ...e, percentage: reitETFAllocation[e.symbol] })) reitEquityReturns.sort((a, b) => { return b.percentage - a.percentage; }) // Per year dividend const reitPastDividend = reitPortfolioData && reitPortfolioData.pastDividends && reitPortfolioData.pastDividends['syfe'] && reitPortfolioData.pastDividends['syfe']['15'] && reitPortfolioData.pastDividends['syfe']['15']['calendar year dividend']; // Schedule Dividend const reitDividendSchedule = reitPortfolioData && reitPortfolioData.dividendSchedule; reitDividendSchedule.sort((a, b) => { return b.yield - a.yield; }) // forecast data const forecastData = reitPortfolioData && reitPortfolioData.forecastData; // last update time const reitSectorLastUpdateTime = reitPortfolioData.updateDate.LAST_SECTORS_UPDATE_DATE; const reitPortfolioLastUpdateTime = reitPortfolioData.updateDate.LAST_PORTFOLIO_NUMBERS_UPDATE_DATE;
overviewcompositionperformancefaqs
Invest in Singapore’s
top properties
Designed for passive income, our expertly-curated REIT+ portfolios offer a simple, consistent way to
earn dividends.
developed with
GET STARTED
PASSIVE INCOME
Earn passive income without the hassle of being a landlord.
INSTANT DIVERSIFICATION
Invest in an optimised selection of leading retail, commercial and office Singapore REITs.
INFLATION HEDGE
Make inflation work for you as the property market historically benefits from rising prices.
Portfolios at a glance
REIT+ dynamically tracks the iEdge S-REIT Leaders Index.
Opt for full exposure or add bonds to offset volatility.
100% REITs
popular
High risk
Investments focused on equity markets that seek to provide high levels of capital appreciation over time.
Investments focused on equity markets that seek to provide high levels of capital appreciation over time.
Earn passive income from
Singapore’s largest REITs.
Avg ann return (8Y)
5.67
% p.a.
Dividend yield (2023)
5.67
%
select
REITs with
Risk Management
MODERATEly HIGH RISK
Investments with greater allocation to equities or higher yielding assets that typically aim to provide mostly capital appreciation and/or high income potential.
Investments with greater allocation to equities or higher yielding assets that typically aim to provide mostly capital appreciation and/or high income potential.
All the benefits of REITs, diversified
with bonds to reduce risk.
Avg ann return (8Y)
5.40
% p.a.
Dividend yield (2023)
4.43
%
select
Composition
Gain exposure to multiple REIT sectors and
reap the benefits of diversification.
core equity100
core equity100
sectors
legend 1
100%
legend 1
100%
legend 1
100%
legend 1
100%
others
100%
DETAILS
Source: iEdge S-REIT Leaders Index. Past returns are not a guarantee for future performance.
*Estimated yield: Ratio of best dividend per share forward 12 months and previous day's closing price multiplied by 100.
Last update: 31 May 2023 14:30 SGT
core equity100
core equity100
sectors
legend 1
100%
legend 1
100%
legend 1
100%
legend 1
100%
others
100%
DETAILS
Source: iEdge S-REIT Leaders Index. Past returns are not a guarantee for future performance.
*Estimated yield: Ratio of best dividend per share forward 12 months and previous day's closing price multiplied by 100.
Last update: 31 May 2023 14:30 SGT
Past performance
Enjoy the best of both worlds with attractive
dividend payouts and capital appreciation.
Returns (2023)
7.26
%
DETAILS
Estimated Dividend Yield (2023)*
5.7
%
DETAILS
returns
core equity100
core equity100
DETAILS
Since inception on 30 Apr 2020
Source: Syfe internal backtested data. Past returns shown here are for illustration only. They are calculated before fees and in SGD terms unless otherwise specified. The past returns since inception are based on model portfolio returns which may not fully account for trading costs, tax implications and timing impacts. Past returns before portfolio inception date are based on our internal backtested data and are not a guarantee for future performance.
*Estimated yield: Ratio of best dividend per share forward 12 months and previous day's closing price multiplied by 100.
Last update: 31 May 2023 14:30 SGT
Returns (2023)
6.27
%
DETAILS
Estimated Dividend Yield (2023)*
4.4
%
DETAILS
returns
core equity100
core equity100
DETAILS
Source: iEdge S-REIT Leaders Index. Past returns are not a guarantee for future performance.
*Estimated yield: Ratio of best dividend per share forward 12 months and previous day's closing price multiplied by 100.
Last update: 31 May 2023 14:30 SGT
core equity100
Past returns
period
%
No items found.
period
%
No items found.
period
%
No items found.
core equity100
Composition
period
period
%
Technology Select Sector SPDR Fund
Stocks in US-listed technology companies such as Microsoft, Apple, Visa, Cisco, Intel etc
XLK
2.41 %
iShares Core MSCI EM IMI UCITS ETF
Stocks in US-listed technology companies such as Microsoft, Apple, Visa, Cisco, Intel etc
XLK
2.41 %
Utilities Select Sector SPDR Fund
Stocks in US-listed technology companies such as Microsoft, Apple, Visa, Cisco, Intel etc
XLK
2.41 %
KraneShares CSI China Internet ETF
Stocks in US-listed technology companies such as Microsoft, Apple, Visa, Cisco, Intel etc
XLK
2.41 %
iShares MSCI China ETF
Stocks in US-listed technology companies such as Microsoft, Apple, Visa, Cisco, Intel etc
XLK
2.41 %
period
% of portfolio
Apple Inc (AAPL)
4.56 %
Microsoft Corp (MSFT)
4.48 %
Alphabet Inc (GOOGL)
2.20 %
Nvidia Corp (NVDA)
2.11 %
Amazon.Com Inc (AMZN)
2.02 %
Tencent Holdings Ltd (700 HK)
1.77 %
Pepsi Co. (PEP)
1.39 %
period
%
Information Technology
11.57 %
Consumer Staples
13.81 %
Healthcare
13.16 %
Consumer Discretionary
12.77 %
Communication Services
9.96 %
Financials
8.29 %
Utilities
5.26 %
period
% of portfolio
United States
74.31 %
China
14.82 %
Japan
1.88 %
United Kingdom
1.24 %
France
1.03 %
Projected returns
Let your returns compound over time with
our automatic dividend reinvestment.
Returns with 100% REITs
S$1,000,000
Versus S$1,090,000 when left uninvested
VIEW RANGE
WITH lump sum Investment OF
S$2,824,251
Compared to S$1,090,000 when you invest on your own
+ $500 monthly investment for 15 years
Edit
This calculator is meant for illustrative purpose only to illustrate the power of compounding if you reinvest the dividends over a period of time. Past performance is not indicative of future results.
100% REITs
Forecast range
To forecast future returns, we use sophisticated techniques such as the forward-looking Monte Carlo simulation to determine a realistic range of return for you.
2023
Optimistic
If the global financial environment is extremely positive then you might see this return. There is only a 5% likelihood your portfolio return will be at or above this number.
S$3,207,874
Median probability
If the global financial environment performs as expected then this is the median expected return. There is a 50% likelihood your portfolio return will be at or above this number.
S$3,207,874
Conservative
If the global financial environment is extremely negative then you might see this return. There is 95% likelihood your return would be at or above this number.
S$3,207,874
100% REITs
Forecast settings
lump sum investment
The amount of money you are looking to pay upfront in one single payment rather than in instalments.
Investments focused on equity markets that seek to provide high level of capital appreciation over time.
S$10,000
monthly investment
The amount of money you are looking to pay in monthly instalments.
Investments focused on equity markets that seek to provide high level of capital appreciation over time.
S$500
DURATION
The number of years you are planning to invest in this portfolio
Investments focused on equity markets that seek to provide high level of capital appreciation over time.
5 years
APPLY
REturns with REITs with Risk management
S$1,000,000
Versus S$1,090,000 when left in a savings account
VIEW RANGE
WITH lumpsum Investment OF
S$2,824,251
Compared to S$1,090,000 when you invest on your own
+ $500 monthly investment for 15 years
Edit
*This calculator is meant to only illustrate the power of compounding if you reinvest the dividends over the period of time shown. Past performance is not indicative of future results.
REITs with Risk management
Forecast range
To forecast future returns, we use sophisticated techniques such as the forward-looking Monte Carlo simulation to determine a realistic range of return for you.
2023
Optimistic
If the global financial environment is extremely positive then you might see this return. There is only a 5% likelihood your portfolio return will be at or above this number.
S$3,207,874
Median probability
If the global financial environment performs as expected then this is the median expected return. There is a 50% likelihood your portfolio return will be at or above this number.
S$3,207,874
Conservative
If the global financial environment is extremely negative then you might see this return. There is 95% likelihood your return would be at or above this number.
S$3,207,874
REITs with Risk management
Forecast settings
lump sum investment
The amount of money you are looking to pay upfront in one single payment rather than in instalments.
Investments focused on equity markets that seek to provide high level of capital appreciation over time.
S$10,000
monthly investment
The amount of money you are looking to pay in monthly instalments.
Investments focused on equity markets that seek to provide high level of capital appreciation over time.
S$500
DURATION
The number of years you are planning to invest in this portfolio
Investments focused on equity markets that seek to provide high level of capital appreciation over time.
5 years
APPLY
Featured REITs in
your portfolio
CapitaLand Ascendas REIT (CLAR)
Invest in business parks and industrial real estate
Est. Dividend Yield (2023)
6.2
%
Changi Business Park
one-north
Logis Hub @ Clementi
Mapletree Pan Asia Commercial Trust (MPACT)
Invest in office and retail real estate
Est. Dividend Yield (2023)
6.6
%
vivo city
maple tree business city
mapletree anson
Capitaland Integrated Commerical Trust (CICT)
Invest in office and retail real estate
Est. Dividend Yield (2023)
6.3
%
Raffles city
plaza singapura
bugis junction
Source: Relevant REIT trust. Past returns are not a guarantee of future performance.
view more data
REIT+ aims to provide a combination of income and growth by investing in the top 20 REITs in Singapore. Investors have the choice to invest in a 100% REITs portfolio or a risk-managed one which diversifies REITs exposure with Singapore government bonds.
learn more
Comparing our REITs portfolios
Compare between our 100% REITs and REITs with Risk Management portfolios.
100% REITS
REITS with risk MGMT
objective
Higher yield with
capital appreciation
Steady yield with capital appreciation
Estimated
dividend yield
(2023)
Weighted average estimated forward 12 month dividend yield of each underlying REIT constituent.
Weighted average estimated forward 12 month dividend yield of each underlying REIT constituent.
5.7
%
4.4
%
Returns
(2023)
Year to date total returns of portfolio, assuming reinvestment of dividends
Year to date total returns of portfolio, assuming reinvestment of dividends
7.3
%
6.3
%
asset allocation
100% REITs
Minimum 50% REITs. Remaining in Singapore Government Bonds.
RISK rating
High
Moderately high
Why invest with Syfe?
How our REIT+ portfolios stack against other property investment options in the market.
SYFE REIT+
reit etfs
cdp and brokerage account
Not required
Required
automatic dividend reinvestment
biannual rebalancing
management fees
All-inclusive fee at 0.25% to 0.65%
Commission and brokerage fees payable per trade
TIME REQUIRED
Low
Significant
RISK MANAGEMENT
Automated
Self-directed
Low fees from
view pricing
Related articles
FAQs
How does REIT+ work?
REIT+ is a Singapore REIT portfolio that tracks the SGX’s iEdge S-REIT Leaders Index. The index measures the performance of the most liquid REIT in Singapore.
REIT+ invests in 20 of Singapore’s largest REIT. Designed for investors seeking passive income, you’ll get exposure to REIT like Mapletree Commercial Trust, CapitaLand Integrated Commercial Trust, Ascendas REIT and more.
More information about the portfolio can be found
here
What portfolios can I choose within REIT+?
Investors considering REIT+ have two options: a 100% REIT portfolio or a risk-managed portfolio that combines REIT with Singapore government bonds (via the ABF Singapore Bond Index Fund).
The risk managed portfolio is designed for investors who feel more comfortable with portfolios that don’t fluctuate too wildly based on market conditions. The 100% REIT portfolio is designed for investors who want full exposure to Singapore REIT, and who with a higher risk appetite and longer investment horizon.
Learn more about the two options here:
https://www.syfe.com/magazine/understanding-our-syfe-reit-strategy/
What investments are included in the 100% REIT portfolio?
The portfolio holds 20 of Singapore’s largest REIT and tracks the performance of the SGX iEdge S-REIT Leaders Index. In short, you’ll own high-quality REIT like CapitaLand Integrated Commercial Trust, Mapletree Commercial Trust, Ascendas REIT, Keppel REIT and more, all within one portfolio.
Following the latest portfolio rebalancing in March 2021, please click
hereto view the portfolio holdings.
What investments are included in REIT with Risk Management?
The REIT with Risk Management portfolio combines Singapore REIT with Singapore Government Bonds (via the ABF Singapore Bond Index Fund).
The REIT component in this portfolio also tracks the SGX's iEdge S-REIT Leaders index.
Your REIT with Risk Management portfolio will always have a REIT allocation of at least 50%. In other words, there is a minimum of 50% REIT for this portfolio.
There is no maximum REIT allocation, i.e. your REIT allocation may even form 100% of your portfolio if market conditions are extremely favourable.