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SEI Stable Asset Fund

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					SEI Stable Asset Fund                                                                                                                                                                                                                                             As of 03/31/2011


KEY STATISTICS 1                                                                           INVESTMENT PERFORMANCE 2
                                                                                            Image description.
                                                                                                           6 groups with
                                                                                           Bar chart withScale label. 3 items per group.
                                                                                           X scale titled Rate of Return (%).
                                                                                           Y scale titled

                                                                                                                    4
                                                                                           Group 1, 1 Month. Asset Fund 0.04.
                                                                                           Item 1, SEI Stable Asset Fund (Net) 0.02.
                                                                                           Item 2, SEI Stable


 Fund Balance:                                                            $3.956 Billion
                                                                                           Item 3, MFR Money
                                                                                           Group SEI Stable Market Index 0.
                                                                                           Item 1,2, 3 Month. Asset Fund 0.17. 0.09.
                                                                                           Item 2, SEI Stable Asset Fund (Net)
                                                                                           Item 3, MFR Money Market Index 0.01.
                                                                                           Group
                                                                                           Item 1,3, 1 Year. Asset Fund 0.87. 0.57.
                                                                                           Item 2, SEI Stable Asset Fund (Net)
                                                                                           Item 3, SEI Stable Market Index 0.04.
                                                                                                   MFR Money
                                                                                           Group 4, 3 Year Annualized. 1.89.

                                                                                                                                                                                                                                                                  3.96 3.65
                                                                                           Item 1, SEI Stable Asset Fund (Net) 1.59.
                                                                                           Item 2, SEI Stable Asset Fund
                                                                                           Item 3, MFR Money Market Index 0.49.
                                                                                           Group 5, 5 Year Annualized. 2.94.
                                                                                           Item 1, SEI Stable Asset Fund (Net) 2.64.
                                                                                           Item 2, SEI Stable Asset Fund
                                                                                                   MFR Money Market Index 2.08.
                                                                                           Item 3,6, 10 Year Annualized.
                                                                                           Group SEI Stable Asset Fund 3.96.
                                                                                           Item 1, SEI Stable Asset Fund (Net) 3.65.
                                                                                           Item 2, MFR Money Market Index 1.9.
                                                                                           Item 3,
                                                                                            End of image description.


 Current Spot Yield:                                                            0.46%
 Duration:                                                                  1.67 Years
                                                                                                                    3                                                                                                                        2.94
 Average Credit Quality:                                                      AAA/Aaa




                                                                                               Rate of Return (%)
                                                                                                                                                                                                                                                    2.64
 Share Price (NAV):                                                              $1.00
                                                                                                                                                                                                                                                           2.08
                                                                                                                    2                                                                               1.89                                                                      1.90
OBJECTIVE                                                                                                                                                                                                           1.59
 Preservation of principal, stable market value
 Earn current income while tracking intermediate-
                                                                                                                    1                                                      0.87
 term interest rates
                                                                                                                                                                                  0.57                                               0.49
                                                                                                                                                        0.17 0.09
STRATEGY                                                                                                                      0.04 0.02 0.00                        0.01                 0.04
                                                                                                                    0
 Invests in a diversified portfolio of high quality                                                                                    1 Month            3 Month             1 Year                   3 Year                                   5 Year             10 Year
 investments to reduce risk                                                                                                                                                                          Annualized                               Annualized          Annualized
 Utilizes wrapped fixed income investments to                                                                                                                                                   o
                                                                                                                                      SEI Stable Asset Fund                SEI Stable Asset Fund (Net)                                      MFR Money Market Index
 enhance credit quality and diversification

DISTRIBUTION DETAIL
STABLE VALUE SECTORS                                                                       CREDIT QUALITY                                                                                           DURATION
 Image description.                                                                          Image description.                                                                                      Image description.
Pie chart with 3 items.                                                                     Pie chart with 6 items.                                                                                 Pie chart with 5 items. 51.5%.
Item 1, Cash/Cash Equivalents 97% 97.5%.
Item 2, Wrapped Broad Market 2% 2.5%.
Item 3, Wrapped GIC 0% 0.1%.
                                                                                            Item 1, Govt/Agency 36% 0.35%.
                                                                                            Item 2, AAA 51% 0.51%.
                                                                                            Item 3, AA 2% 0.01%.
                                                                                                                                                                                                    Item 1, 0-1 Years 52% 26.8%.
                                                                                                                                                                                                    Item 2, 1-3 Years 27% 15%.
                                                                                                                                                                                                    Item 3, 3-5 Years 15%
 End of image description.                                                                  Item 5, BBB 0.05%. 0%.
                                                                                            Item 4, A 6%5% 0.04%.                                                                                   Item 4, 5-7Years 3% 2.9%.
                                                                                                                                                                                                    Item 5, 7+ Years 4% 3.7%.
                                                                                            Item 6, Below BBB 0%                                                                                     End of image description.
                                                                                             End of image description.


                                                           Cash/Cash Equivalents    2.5%                                                            Govt/Agency                      35.6%                                                            0-1 Years                       51.5%

                                                           Wrapped Broad Market    97.5%                                                            AAA                              51.3%                                                            1-3 Years                       26.8%

                                                           Wrapped GIC              0.1%                                                            AA                                   1.9%                                                         3-5 Years                       15.0%

                                                                                                                                                    A                                    5.8%                                                         5-7 Years                        3.7%

                                                                                                                                                    BBB                                  4.9%                                                         7+ Years                         2.9%

                                                                                                                                                    Below BBB                            0.4%


1. Duration is calculated using actual, benchmark or target duration as applicable. Credit Quality Allocation is presented using S&P rating nomenclature. Depending on the fund in which the securities are held, these
ratings may be a calculated composite of the available ratings at the individual security level from S&P, Moody's and /or Fitch rating agencies.
2. Past performance is not a guarantee of future results. Returns are presented before fees (gross) unless otherwise indicated, are shown on an annualized basis for periods above 1 year, and include the
reinvestment of interest income. Fees, which will reduce actual client returns, may vary among clients. A fee schedule is available upon request. Net returns shown for the SEI Stable Asset Fund reflect the deduction
of trustee and investment advisory fees at an assumed annual rate of 30 bps. The MFR Money Market Index is the all-taxable money fund report average, a product of iMoneyNet, Inc. and is presented net of certain
fees and expenses.




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SEI Stable Asset Fund                                                                                                                                                                     As of 03/31/2011


STABLE VALUE SECTOR DETAIL                                                                                        FIXED INCOME SECTOR DETAIL1
 Image description.                                                                                                Image description.
Item 1, Cash 8 items.0% 5.3%.
Pie chart with2% 0.02%.                                                                                           Item 1, Treasury items.
                                                                                                                  Pie chart with 10 6% 6.2%.
Item 2, Wrapped GIC
Item 3, SEI Stable Value Bond Portfolio - AEGON 16% 0.16%.                                                        Item 2, Agency 24% 23.7%.
                                                                                                                  Item 3, MBS 6% 5.6%.
Item 4, SEI Stable Value Bond Portfolio - AIG 16% 0.16%.
Item 5, SEI Stable Value Bond Portfolio - Natixis16% 0.16%.
                         Bond Portfolio - BOFA 16% 0.16%.                                                         Item 5, ABS 5% 5.1%.
                                                                                                                  Item 4, CMO7% 7.4%.
Item 6, SEI Stable Value Bond Portfolio - RABO 16% 0.16%.
Item 7, SEI Stable Value Bond Portfolio - RBC 16% 0.16%.                                                          Item 6, CMBS 11% 10.9%. 18% 17.9%.
                                                                                                                  Item 7, Invest. Grade Corp.
Item 8, SEI Stable Value                                                                                          Item 9, Wrapped GIC 0%2% 1.9%. 21.4%.
                                                                                                                  Item 8, Non-Corp. Credit 0.1%.

                                                              Cash                                        2.5%                                              Treasury                                  6.2%
 End of image description.                                                                                        Item 10, Cash/Cash Equivalents 21%
                                                                                                                   End of image description.




                                                              Wrapped GIC                                 0.1%                                              Agency                                   23.7%

                                                              Wrapped Broad Market                                                                          MBS                                       5.6%

                                                              SEI Stable Value Bond Portfolio - AEGON     16.2%                                             CMO                                       5.1%

                                                              SEI Stable Value Bond Portfolio - AIG       16.3%                                             ABS                                       7.4%

                                                              SEI Stable Value Bond Portfolio - BOFA      16.2%                                             CMBS                                     10.9%

                                                              SEI Stable Value Bond Portfolio - Natixis   16.3%                                             Invest. Grade Corp.                      17.9%

                                                              SEI Stable Value Bond Portfolio - RABO      16.3%                                             Non-Corp. Credit                          1.9%

                                                              SEI Stable Value Bond Portfolio - RBC       16.2%                                             Wrapped GIC                               0.1%

                                                                                                                                                            Cash/Cash Equivalents                    21.4%


STABLE VALUE ISSUER DETAIL
    Wrap Issuers:
    Issuer                                                        S&P/Moody's
    AIG FP                                                             A-/Baa1
    Bank of America                                                     A+/Aa3
    Monumental - AEGON                                                  AA-/A1
    NATIXIS Financial Products - CDC                                    A+/Aa3
    Rabobank                                                          AAA/Aaa
    Royal Bk of CA                                                     AA-/Aa1
    State Street Bank                                                  AA-/Aa2


1. Cash/cash equivalents represents cash and fixed income securities with a duration of one year or less. Allocations to Treasury and Cash/Cash Equivalents sectors presented reflect net Treasury positions.




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