You can consider Syfe's 7% / 9% Global ARI portfolio. The long-term allocation for both is around 70% bonds and 30% stocks.
If you want some local exposure (because Equity100 is quite US-centric), can consider their REITs with Risk Management portfolio too. It's invested in SG REITs & SG bonds.
Hope this helps :)
Answered 2d ago
Hi there! You can consider getting some bonds exposure via our Global ARI portfolio or through our REITs with Risk Management portfolio. You can include these as part of a core satellite investing strategy. Here's an example of how you can do this.
To find out which portfolio is most suitable for you, please schedule a chat with our wealth experts.
You could buy into bond ETFs or if you prefer to stick with Syfe, you can add another low risk portfolio with more bond allocation. I think they have portfolios with bond allocation. Will be good if you can explore their other portfolios and see if any of those suit your needs.