SEI Investments Follows Up Earnings Conference Call With

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SEI Investments Follows Up Earnings Conference Call With Powered By Docstoc
					For Immediate Release

Contact:   Mark Samuels, SVP       Murray Louis, VP    Larry Wexler
Voice:     610.676.2024            610.676.1932        610.676.1440
E-Mail:    msamuels@seic.com       mlouis@seic.com     lwexler@seic.com
Pages:     Two


         SEI Investments Follows Up Earnings Conference Call
                 With Historical Asset Balances Report
                 ____________________________________________
Oaks, PA—July 20, 2001— In response to inquiries made earlier today
during its quarterly earnings conference call, SEI Investments
Company (NASDAQ:SEIC) is providing additional details to assist
investors in understanding its new financial reporting format.

SEI began reporting its financial results in a new format for the
quarter ending June 30, 2001. The company now reports operating
results in five segments – Private Banking & Trust, Investment
Advisors, Enterprises, Money Managers, and Investments in New
Businesses - rather than the four historically used – Technology
Services, Asset Management, Mutual Fund Services, and Investment in
New Business.

The attached Schedule C provides ending asset balances for the past
six calendar quarters. This schedule should be used in conjunction
with the information contained in the company’s press release
entitled SEI Investments Reports Record Quarterly Revenue and
Earnings dated July 19, 2001.

About SEI
SEI Investments (NASDAQ:SEIC) is a leading global provider of asset
management and investment technology solutions. The company’s
innovative solutions help corporations, financial institutions,
financial advisors, and affluent families create and manage wealth.
SEI (as of 6-30-01) processes over $1.5 trillion of investment
transactions daily, administers more than $300 billion in mutual
fund and pooled assets, manages almost $80 billion in assets and
operates 25 offices in 11 countries. For more information, visit
www.seic.com.




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Schedule C                          SEI INVESTMENTS COMPANY
                                        ASSET BALANCES
                                           (In millions)


                               Mar. 31,   June 30,    Sept. 30,   Dec. 31,    Mar. 31,   June 30,
                                2000        2000       2000        2000        2001        2001
Private Banking & Trust
  Equity/Fixed Income prgms.     $3,909      $3,756      $3,699      $3,586     $3,165     $3,155
  Liquidity funds                15,951      16,103      16,668      15,886     17,893     15,143
  Total assets under mgmt.       19,860      19,859      20,367      19,472     21,058     18,298

 Client assets under admin.     136,758    126,564      127,961    133,829     133,048    141,430
 Total assets under admin.     $156,618   $146,423     $148,328   $153,301    $154,106   $159,728

Investment Advisors
  Equity/Fixed Income prgms.    $20,445    $21,673      $23,481    $22,885     $22,051    $25,186
  Liquidity funds                   974        857          928      1,215       1,459      1,449
  Total assets under mgmt.      $21,419    $22,530      $24,409    $24,100     $23,510    $26,635

Enterprises
 Equity/Fixed Income prgms.     $10,289    $11,413      $12,003    $11,793     $11,452    $12,357
 Liquidity funds                  3,445      3,774        3,722      4,308       5,550      5,245
 Total assets under mgmt.       $13,734    $15,187      $15,725    $16,101     $17,002    $17,602

Money Managers
 Equity/Fixed Income prgms.      $1,506      $1,587      $1,769      $1,875     $2,071     $2,073
 Liquidity funds                  1,794       2,437       3,354       2,941      1,618      1,732
 Total assets under mgmt.         3,300       4,024       5,123       4,816      3,689      3,805

 Client assets under admin.      59,816     59,736       66,064     64,376      56,942     76,241
 Total assets under admin.      $63,116    $63,760      $71,187    $69,192     $60,631    $80,046

Investments in New
 Businesses
  Equity/Fixed Income prgms.     $5,205      $5,604      $5,897      $6,288     $6,969     $7,270
  Liquidity funds                    13         241         225         131        171        141
  Total assets under mgmt.        5,218       5,845       6,122       6,419      7,140      7,411

 Client assets under admin.         902         959       1,674       1,908      2,228      2,432
 Total assets under admin.       $6,120      $6,804      $7,796      $8,327     $9,368     $9,843

Unconsolidated Affiliate
 Equity/Fixed Income             $4,390      $4,245      $4,949      $5,424     $5,676     $6,155

Consolidated
 Equity/Fixed Income prgms.     $45,744    $48,278      $51,798    $51,851     $51,384    $56,196
 Liquidity funds                 22,177     23,412       24,897     24,481      26,691     23,710
 Total assets under mgmt.        67,921     71,690       76,695     76,332      78,075     79,906

 Client assets under admin.     197,476    187,259      195,699    200,113     192,218    220,103
 Total assets under admin.     $265,397   $258,949     $272,394   $276,445    $270,293   $300,009




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