The 100% REITs portfolio tracks the iEdge S-REIT Leaders Index and is benchmarked to it.
REITs with Risk Management is a unique offering which holds both REITs and Singapore government bonds (via the ABF Bond Index Fund). The portfolio increases or decreases your allocation to Singapore government bonds according to the risk environment. Using our risk management methodology, we will reduce your REITs allocation and increase your bond allocation during periods of increased volatility. When volatility subsides, we will increase again increase your REITs allocation to capture the market recovery.