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Country exposure

Singapore +0.00pp 7D

10 funds with Singapore exposure · weighted average allocation 20% · 60th largest country allocation

Funds
10
Avg weight
20%
MAS rate
3.68%
ETF YTD
Country Signals · Singapore Rule-based · derived from FMP & FE data
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Top Singapore-exposed funds

Sorted by Singapore weight · 10 funds total
Fund
Manager
SINGAPOR weight
1Y return
AP
Asia Pacific REIT Fund
LU1813981328
Manulife
67.9%
+0.6%
UM
UBS MSCI Pacific ex Japan IMI Socially Responsible UCITS ETF
IE000BAF6X29
UBS
19.7%
+3%
AS
Asia Select Bond Fund
LU2068974737
Eastspring Investments
17.9%
+2.5%
VP
Vanguard Pacific ex-Japan Stock Index Fund
IE00B523L313
Vanguard
17.1%
+16.1%
JA
Jupiter Asian Income Fund
GB00BJJQ4659
Jupiter Asset Management
16.9%
+50.5%
IP
iShares Pacific ex Japan Equity ESG Screened and Optimised Index Fund (UK)
GB00BN090H46
BlackRock
16%
+15.8%
L&
Legal & General Future World ESG Tilted and Optimised Asia Pacific Index Fund
GB00BL693H58
Legal & General
12.9%
+11.4%
SA
Schroder Asian Income Fund
GB00BS0LGD37
Schroders
11.2%
+47.8%
CG
Coronation GOF - Global Emerging Markets Fund
IE00B433GD87
Coronation
10.7%
+8.4%
AT
Asian Total Return
LU0326949004
Schroders
9.7%
+55.4%
All Funds with Singapore Exposure (98)

Funds on Funds Benchmark with exposure to Singapore. Open any fund for its full holdings, performance and allocation breakdown.

Top Singapore Holdings Across Funds
TAIWAN SEMICONDUCTOR MANUFACTURING COMPANY LIMITED
Unknown
9.77%
in 2 funds
TAIWAN SEMICONDUCTOR CO
Unknown
9.7%
in 1 funds
LINK REAL ESTATE INVESTMENT TRUST UNITS
Unknown
9.57%
in 1 funds
CAPITALAND INTEGRATED COMMERCIAL TRUST MANAGEMENT LIMITED REIT
Unknown
9.31%
in 1 funds
TSMC (TAIWAN)
Unknown
9%
in 1 funds
SAMSUNG ELECTRONICS CO., LTD
Unknown
8.98%
in 2 funds
SAMSUNG ELECTRONICS CO., LTD
Unknown
8.76%
in 1 funds
CAPITALAND ASCENDAS REIT
Unknown
8.61%
in 1 funds
Sector Breakdown (Singapore ISINs)
Aggregated across all funds with Singapore exposure
Financials
22.5%
Technology
12.6%
Industrials
7.5%
Consumer Discretionary
7.2%
Materials
6%
Communication Services
5.4%
Real Estate
3.8%
Banks (Equity)
3.4%
Performance Chart
Top 10-fund composite (rebased to 100, equal-weighted) EWS ETF (benchmark) Real fund NAV data 2025-09-08 → 2026-08-31
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