Pricing

SIMT Tax-Managed International Managed Volatility Fund-Class Y (SIMYX)

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Information as of: 2023-09-30
Part of SEI Funds
LEI: 549300LMFI6LKRRM4U86
610-676-1000
1 FREEDOM VALLEY DRIVE
OAKS, US-PA 19456

seic.com/mutual-fund-documentation/prospectuses-and-reports

Taken from NPORT-P filing for 2024-06-30
Total Assets
292,040,725
Total Liabilities
286,979
Net Assets
291,753,746
Month 1 NAV Shares Sold
646,280
Month 1 NAV Shares Reinvested
0
Month 1 NAV Shares Redeemed
6,021,916
Related Share Classes:

SIMT S&P 500 Index Fund-Class I SPIIX

SIMT S&P 500 Index Fund-Class F SSPIX

SIMT Multi-Strategy Alternatives Fund-Class F SMSAX

SIMT Multi-Strategy Alternatives Fund-Class Y SMUYX

SIMT Global Managed Volatility Fund-Class F SVTAX

SIMT Global Managed Volatility Fund-Class Y SGLYX

SIMT Global Managed Volatility Fund-Class I SGMIX

SIMT Tax-Managed International Managed Volatility Fund-Class Y SIMYX

SIMT Tax-Managed International Managed Volatility Fund-Class F SMINX

SIMT Large Cap Value Fund-Class F TRMVX

SIMT Large Cap Value Fund-Class Y SVAYX

SIMT Large Cap Value Fund-Class I SEUIX

SIMT U.S. Managed Volatility Fund-Class Y SUSYX

SIMT U.S. Managed Volatility Fund-Class F SVOAX

SIMT U.S. Managed Volatility Fund-Class I SEVIX

SIMT Small Cap Value Fund-Class Y SPVYX

SIMT Small Cap Value Fund-Class F SESVX

SIMT Small Cap Value Fund-Class I SMVIX

SIMT Tax-Managed Small/Mid Cap Fund-Class F STMSX

SIMT Tax-Managed Small/Mid Cap Fund-Class Y STMPX

SIMT Real Estate Fund-Class I SEIRX

SIMT Real Estate Fund-Class Y SREYX

SIMT Real Estate Fund-Class F SETAX

SIMT Liquid Alternative Fund-Class Y LLOAX

SIMT Liquid Alternative Fund-Class F LLOBX

SIMT Real Return Fund-Class F SRAAX

SIMT Real Return Fund-Class I SSRIX

SIMT Real Return Fund-Class Y SRYRX

SIMT Large Cap Growth Fund-Class Y SLRYX

SIMT Large Cap Growth Fund-Class F SELCX

SIMT Large Cap Growth Fund-Class I SPGIX

SIMT Multi-Asset Income Fund-Class Y SLIYX

SIMT Multi-Asset Income Fund-Class F SIOAX

SIMT Large Cap Fund-Class Y SLYCX

SIMT Large Cap Fund-Class F SLGAX

SIMT Small Cap Growth Fund-Class F SSCGX

SIMT Small Cap Growth Fund-Class Y SMAYX

SIMT Small Cap Growth Fund-Class I SPWIX

SIMT Multi-Asset Accumulation Fund-Class F SAAAX

SIMT Multi-Asset Accumulation Fund-Class Y SMOYX

SIMT Conservative Income Fund-Class Y COIYX

SIMT Conservative Income Fund-Class F COIAX

SIMT Tax-Free Conservative Income Fund-Class Y TFCYX

SIMT Tax-Free Conservative Income Fund-Class F TFCAX

SIMT Mid-Cap Fund-Class F SEMCX

SIMT Mid-Cap Fund-Class I SIPIX

SIMT Mid-Cap Fund-Class Y SFDYX

SIMT Multi-Asset Capital Stability Fund-Class Y SMLYX

SIMT Multi-Asset Capital Stability Fund-Class F SCLAX

SIMT LARGE CAP INDEX FUND-Class F SLGFX

SIMT Tax-Managed Large Cap Fund-Class Y STLYX

SIMT Tax-Managed Large Cap Fund-Class F TMLCX

SIMT Small Cap Fund-Class Y SMYFX

SIMT Small Cap Fund-Class F SLLAX

SIMT High Yield Bond Fund-Class I SEIYX

SIMT High Yield Bond Fund-Class F SHYAX

SIMT High Yield Bond Fund-Class Y SIYYX

SIMT Dynamic Asset Allocation Fund-Class Y SDYYX

SIMT Dynamic Asset Allocation Fund-Class F SDYAX

SIMT Multi-Asset Inflation Managed Fund-Class F SIFAX

SIMT Multi-Asset Inflation Managed Fund-Class Y SLFYX

SIMT Core Fixed Income Fund-Class Y SCFYX

SIMT Core Fixed Income Fund-Class I SCXIX

SIMT Core Fixed Income Fund-Class F TRLVX

SIMT Tax-Managed Managed Volatility Fund-Class F TMMAX

SIMT Tax-Managed Managed Volatility Fund-Class Y STVYX

Taken From Prospectus On: January 31, 2024, as
Expenses: 1.11%
Fund Objective:
Tax-sensitive long-term capital appreciation with less volatility than the broad international equity markets.
Investment Strategy:
The Fund invests at least 80% of its net assets in non-U.S. equity securities, including common stocks and REITs of all capitalization ranges. It invests in securities of issuers located in at least three countries outside of the U.S., primarily in developed countries. The Fund seeks to construct a portfolio of equity securities with lower volatility than the broad international developed equity markets.
All 13F Filers Prior Change Hedge Funds 1 Prior Change
Period of ReportNameSymbolTitleTypeChangeAdditional InfoShares Held or Principal AmtMarket Value% of PortfolioPrevious % of PortfolioRankChange in Shares% ChangeLong/Short
No data available