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Global and strategic portfolios

SEI’s global and strategic portfolios provide a core investment solution designed to meet a wide variety of investors’ financial goals. 

Comprised of underlying multi-manager SEI Asset Class Funds, these portfolios are grounded in active management and asset allocation. Each portfolio is highly diversified by asset class, investment style, manager, and geography, with an aim of maximizing returns, limiting volatility, and managing investment risk.    

These portfolios are built with a long-term view in mind—they are managed to their strategic asset allocation over time, and are automatically rebalanced to maintain the target asset allocation that we set. 

Why invest in SEI global and strategic portfolios?

Built using a manager-of-managers framework, these strategies leverage SEI’s investment philosophy and oversight, and provide access to world-class institutional managers not typically available to retail investors.

Benefits for investors:

  • Broad diversification by asset class, investment manager, geography and investment style 
  • Exposure to multiple specialist managers that are typically available only to large institutional investors
  • Ongoing monitoring and oversight of the underlying funds allows for adjustments to suit market conditions
  • Automatic portfolio rebalancing to help investors stay on track toward their goals

Global portfolios

Choose from the six strategies, with a global tilt, ranging from 80% fixed income/20% equity to 100% equity to align with a variety of investor goals.

Conservative Income Moderate Growth & Income Global Core Growth & Income Global Growth & Income Global Growth International Equity *Relative to other SEI Asset Allocation Funds shown. Fixed IncomeForeign EquityCanadian Equity Expected risk* MORE Expected return* LESS MORE
Visit our legal documents page for regulatory fact sheets and reports of fund performance.

A global approach rooted in active asset management.

Our solutions are guided by skilled manager research, driven by asset allocation, and monitored by independent risk management.

Investment solutions provided by SEI Investments Canada Company, the investment fund manager and portfolio manager of the SEI Funds in Canada and wholly owned subsidiary of SEI Investments Company. Investing involves risk including possible loss of principal.