SEI US Managed Volatility Fund

Quarterly Returns (%)
Years Q1 Q2 Q3 Q4 Annual
2004 0 -100 -100 8.15 0
2005 -1.2 3.09 3.54 -1.93 3.42
2006 4.45 -0.34 3.56 6.14 14.28
2007 4.26 5.82 -1.18 -2.5 8.3
2008 -8.65 1.47 -3.95 -20.36 -29.09
2009 -11.19 10.42 11.53 6.27 16.23
2010 4.71 -6.68 9.41 7.46 14.88
2011 6.89 3.58 -9.55 9.55 9.71
2012 6.62 1.65 2.65 -0.43 12.41
2013 13.34 1.43 3.16 8.9 29.23
2014 4.13 4.29 0.27 6.95 16.46
2015 2.45 -1.11 -3.42 3.2 0.98
2016 4.93 3.55 -0.1 3.21 12.03
2017 4.42 1.44 2.29 4.75 14.05
2018 -1.86 3.91 6.09 -8.28 -2.75
2019 10.97 2.41 1.83 1.41 18.46
2020 -23.18 12.2 -5.73 8.27 -3.77
2021 7.59 5.23 -11.25 7.7 -0.29
2022 1.73 -7.61 -7.75 2.87 -10.81
2023 -0.52 0.26 -3.31 -4.68 -8.88
2024 8.46 -2.63 0 0 -1.07