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Each of the SEI Select ETFs ("Funds") uses an active stock selection investment strategy, which combines SEI’s own proprietary, quantitative-based portfolios engineered towards desired sources of risk return (also known as factors) with model portfolios from one or more sub-advisers to construct each of the Funds' portfolios. 

The blend of fundamental, specialist sub­-advisors with SEI’s factor portfolios is designed to provide long-term capital appreciation and improve expected risk adjusted returns and cost efficiency over each component taken in isolation.

SEI Select ETFs

To determine if this Fund is an appropriate investment for you, carefully consider the fund’s investment objective, risks, and charges and expenses. This and other information can be found in the fund’s prospectus, and if available, the summary prospectus, which can be obtained through the link above. Please read the prospectus carefully prior to investing.

Investing involves risk, including possible loss of principal. There is no guarantee a Fund will achieve its investment objective.  International investments may involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles or from economic or political instability in other nations. Emerging markets involve heightened risks related to the same factors as well as increased volatility and lower trading volume. Narrowly focused investments and smaller companies typically exhibit higher volatility. The Funds are new funds, with a limited operating history, which may result in additional risks for investors, The Funds may trade securities actively, which could increase transaction costs (thereby lowering performance) and could increase the amount of taxes you owe by generating short-term gains, which may be taxed at a higher rate.

The market price returns are based on the official closing price of an ETF share or, if the official price isn’t available, the midpoint between the national best offer (“NBBO”) as of the time the ETF calculates current NAV per share, and do not represent the returns you would receive if you traded at other times. NAVs are calculated using prices as of 4:00pm Eastern Time.

Definition of the 30-day median bid/ask spread: The median percentage by which the Fund’s price exceeds its bid price over the last 30 days.

SEI Investments Management Corporation (SIMC) is the adviser to the Funds, which are distributed by SEI Investments Distribution Co (SIDCO). SIMC and SIDCO are wholly owned subsidiaries of SEI Investments Company (SEI). 

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