
SEI Institutional Managed Trust Mid-Cap Portfolio Fund Class F
FundSEMCXNASDAQ0.00 n/a
+0.00%(+0.00)
About
This fund's primary objective is to achieve long-term growth in invested capital. It typically allocates at least 80% of its total net assets—including any funds borrowed for investment purposes—to owning shares of mid-sized companies. The investment strategy involves the sub-advisers seeking out businesses that, while offering attractive valuations (characterized by low price-to-earnings and price-to-book ratios), concurrently exhibit strong, enduring growth prospects and a high likelihood of experiencing positive revisions to their future earnings forecasts.
Key Facts
Expense Ratio
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Assets Under Management
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NAV
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Holdings
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Inception Date
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Asset Class
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Issuer
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Avg. Volume
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Market Cap
$56.28M
Beta
0.94
52-Week Range
$26.87$30.54$33.49
52W LowCurrent52W High
Performance
1 Week
+0.96%
1 Month
+1.23%
3 Months
+10.73%
YTD
+13.41%
1 Year
−1.45%
3 Years
+19.44%
5 Years
−6.12%
Sector Exposure
Sector exposure data isn't available for this fund yet.
Top Holdings
Holdings data isn't available for this fund yet.