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Sei Short Term Bond Class F (0P000076X5)

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9.675 +0.010    +0.06%
23/12 - Delayed Data. Currency in CAD
  • Morningstar Rating:
  • Total Assets: 233.16M
Type:  Fund
Market:  Canada
Issuer:  SEI Investments Canada Company
Asset Class:  Bond
SEI Short Term Bond Class F 9.675 +0.010 +0.06%

0P000076X5 Overview

 
On this page you'll find an in-depth profile of Sei Short Term Bond Class F. Learn about the key management, total assets, investment strategy and contact information of 0P000076X5 among other information.
Category

Canadian Short Term Fixed Income

Total Assets

233.16M

Expenses

Inception Date

May 11, 2006

Investment Strategy

The investment seeks to provide preservation of capital and current income by investing primarily in a diversified portfolio of mainly Canadian fixed-income securities. To achieve the fund’s objective, the fund: • will hold debt instruments issued or guaranteed by the federal, provincial and municipal governments of Canada or foreign governments, Canadian or foreign corporations, including mortgage-backed securities, asset-backed securities and other collateralized debt securities issued by any of the foregoing and also, to some extent, derivatives contracts on such debt instruments; • will give investors exposure to a diversified portfolio of bonds.

Contact Information

Address Suite 1600
Toronto,ON M5J 1S9
Canada
Phone 416-777-9700
Fax 416-777-9093

Top Executives

Name Title Since Until
Scott Gives Portfolio Manager 2006 Now
Biography Mr. Gives (BA, CFA) is responsible for quantitative research, performance modeling, risk analysis and product development for Fixed Income. He brings over 6 years of experience in related industries.
Sunil Shah Portfolio Manager 2017 2021
Biography Sunil is responsible for the management of all Canadian fixed income portfolios. Prior to joining Aviva Investors, Sunil was Managing Director & Head of Fixed Income for Sceptre Investment Counsel, and responsible for the firm's Canadian Core Fixed income portfolio strategy. He also has had analyst roles at rating agency firms Canadian Bond Rating Service and Standard and Poor’s, and was also Director and Head of Canadian Corporate Debt Research for RBC Capital Markets. Prior to joining the asset management industry, Sunil was employed at Ford Motor Company as a profit analyst for two years.
Robert Prospero Portfolio Manager 2017 2021
Biography Mr. Prospero joined Aviva Investors Canada Inc. in 2014 and is an associate portfolio manager for the fixed income portion of the Stone Global Balanced Fund. Prior to joining Aviva Investors, he was an Investment Analyst with Manulife Asset Management where he held various roles in Tactical Investment Management, Canadian Private Placements, Proprietary Investments and Canadian Fixed Income. He holds a Bachelor of Commerce degree from the University of Toronto and he is also a Chartered Financial Analyst charter holder.
Rachel Volynsky Portfolio Manager 2006 2021
Biography Volynsky joined SEI in 2016. Prior to that, Volynsky is the Senior Portfolio Manager of Calvert’s large cap value team. She has been in the industry since 1997, previously working for Invesco, Canada and TD Asset Management. She holds an MBA in International Finance from York University Schulich School of Business, a BA (Criminology) from the University of Toronto and is a CFA charter holder.
William T. Lawrence Managing Director 2006 2021
Biography William T. Lawrence, CFA, serves as Portfolio Manager to the Emerging Markets Debt Fund. Mr. Lawrence joined SEI in 2008 and currently serves as Managing Director and Chief Investment Officer of Traditional Assets. Mr. Williams also serves as a Portfolio Manager for the Investment Management Unit for all equity and fixed income funds and as the lead Portfolio Manager for all emerging markets debt funds. In this role, Mr. Lawrence is responsible for designing Fund strategy, working with Manager Research to identify qualified managers and allocating capital among those managers.
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