Powering the future of wealth with enterprise platform solutions and outsourced operations that address complex business challenges.
Connecting investors to what matters most, so they can achieve their goals and make confident decisions.
Perspectives and happenings from our leaders and experts.
The latest news and announcements.
Our perspectives on market challenges and opportunities.
Who we are, what we do, and how we do it.
Building brave futures through the power of connection.
Our experts weigh in on topics and trends in the financial market.
SEI industry experts' perspectives on domestic and global markets.
August 2025 monthly market commentary.
Our monthly market commentary for July 2025.
The optimism among U.S. investors that greeted Trump’s election has been completely unwound.
Today, more than ever, we encourage diversification across geographies as well as across sectors and asset classes.
Central banks navigate fluctuating U.S. trade policy.
The U.S. attack on Iran’s nuclear facilities has significantly increased geopolitical risk.
Global equities, as measured by the MSCI ACWI Index, rose sharply in May despite periods of volatility.
Predicting the future is hard.
Banking on trade policy uncertainty.
Recent weeks have clearly reminded us that we always face the risk of (sometimes severe) market turbulence.
That symbiotic, yet unsustainable, relationship started fraying about 15 years ago in the aftermath of the financial crisis.
Large market swings are not the norm, but they happen somewhat regularly.
Negotiations are in order while trade tensions between the U.S. and China continue to escalate.
Global equity markets, as measured by the MSCI ACWI Index, posted modest losses for the first quarter of 2025.
President Trump’s “liberation day” tariff announcement has been anything but liberating for investors.
Uncertainty is one of the clear certainties of capital markets.
Inflation is the wild card
The possible imposition of tariffs on Canada and Mexico and the actual implementation of a 10% across-the-board tariff on China have the potential to increase prices and lower economic growth.
Our fourth quarter market commentary.
Interval funds are closed-end mutual funds designed to give retail investors access to illiquid assets.