SEI Global Managed Volatility Fund

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
2007 0 0 -2.52 -6.65 0
2008 -10.27 0.64 -5.05 -15.3 -27.38
2009 -11.39 6.65 7.48 1.68 3.27
2010 3.68 -4.65 4.49 3.68 7.1
2011 2.25 2.78 -4.96 4.27 4.14
2012 4.55 0.76 3.32 1.34 11.47
2013 13.15 0.09 0.74 5.16 18.99
2014 3.08 3.64 1.26 4.7 13.27
2015 3.89 0.09 -3.19 4.83 5.52
2016 3.63 3.5 0.53 -0.87 6.9
2017 5.73 3.69 1.91 4.25 16.88
2018 -2.79 2.73 5.16 -9.55 -6.79
2019 9.19 3.29 1.63 -1.79 13.53
2020 -19.29 10.6 2.65 5.16 -3.64
2021 -7.65 17.89 -11.31 8.74 5
2022 -2.52 -7.84 -7.11 -0.22 -16.73
2023 2.16 2.75 -3.29 0.75 1.62
2024 5.74 -1.61 0 0 3.51