Time-Tested, Data-Verified
Systematic portfolio construction for Singapore investors.
Verified Data as of
Investment Models
Comprehensive Comparison
| Portfolio Strategy | Risk Level | Annual Return | Volatility | Sharpe Ratio | Availability |
|---|
Selection Criteria
Specialized Option
+% p.a. ( track record)
Our Philosophy
We don't chase the "next big thing." We rely on **backtested historical data** to identify fund combinations that have proven resilient across market cycles.
By excluding sector-specific and country-specific funds, we prioritize **global diversification**—ensuring your wealth isn't tied to the fate of a single industry or nation.
Note on Sharpe Ratio: All risk-adjusted returns are calculated using a 4.01% benchmark (equivalent to the current CPF Special Account rate), providing a realistic comparison for Singaporean investors.
Which portfolio fits your timeline?
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