Syfe selects ETFs that are liquid, and with low expense ratios to minimise costs and maximise returns.
Additionally, Equity100 uses a Smart Beta strategy that combines Beta with Growth, Geographical and Volatility factors to deliver better risk-adjusted returns. The portfolio also aims to achieve global diversification by investing in over 3,500 stocks from across the world through broad-based ETFs.
For more details. please refer to our explainer here.