INSTITUTIONAL INVESTORS

Knowledge Centre

SEI offers a variety of investment options through our Manager of Managers investment program. For detailed fund information, please review the Prospectus and Other Documents.


Canadian Equity

Canadian Equity Fund 
Canadian Small Company Equity Fund

International Equity

U.S. Large Company Equity Fund 
U.S. Small Company Equity Fund
EAFE Equity Fund
Emerging Markets Equity Fund

    Fixed Income

    Canadian Fixed Income Fund
    U.S. High Yield Bond Fund 
    Long Duration Bond Fund
    Real Return Bond Fund
    Short Term Bond Fund
    Money Market Fund

    Synthetic & Alternatives

    U.S. Large Cap Synthetic Fund
    U.S. MidCap Synthetic Fund

    Futures Index Fund

      Asset Allocation Funds

      Income 100 Fund 
      Income 20/80 Fund  
      Income 30/70 Fund
      Income 40/60 Fund  
      Balanced 50/50 Fund
      Balanced 60/40 Fund
      Growth 70/30 Fund
      Growth 80/20 Fund 
      Growth 100 Fund
      Global Growth 100 Fund   

         Target Date Funds

        2015 Target Date Fund 
        2020 Target Date Fund  
        2025 Target Date Fund
        2030 Target Date Fund    
        2040 Target Date Fund   

        The SEI Funds are managed by SEI Investments Canada Company, a wholly owned subsidiary of SEI Investments Company. For those SEI Funds which employ the 'manager of manager' structure, SEI Investments Canada Company has the ultimate responsibility for the investment performance of the Fund due to its responsibility to oversee the sub-advisers and recommend their hiring, termination and replacement. The Underlying Funds and their weightings in the Target Date Funds and Asset Allocation Funds are subject to change from time to time at the Manager’s discretion. The portfolio managers or the allocations of assets to a particular portfolio manager are subject to change from time to time at the Manager’s discretion.

        Commissions, trailing commissions, management fees and expenses all may be associated with mutual fund investments. Please read the prospectus before investing. Mutual funds are not guaranteed, their values change frequently and past performances may not be repeated.

        Investing in the Target Date Funds is not guaranteed and you may experience losses, including loss of principal near, at or after the target date. The Target Date Fund you choose should not be selected based solely on age or retirement date. There is no guarantee that the Funds will provide adequate income at and through your retirement. In addition to market performance, the amount invested (contribution amount) can be a determinative factor in achieving retirement goals.  

        The information contained herein is for general information purposes only and is not intended to constitute legal, tax, accounting, securities, or investment advice, nor an opinion regarding the appropriateness of any investment. You should not act or rely on the information contained herein without obtaining specific legal, tax, accounting and investment advice from an investment professional.

        These fact sheets are marketing documents, are unaudited and should not be confused with the Fund Facts regulatory documents filed on SEDAR by SEI Investments Canada Company. You may request the regulatory Fund Facts documents from your financial advisor, or review them online on SEI's website at www.seic.com or at www.sedar.com