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SEI US Small Company Equity Class F(0P000076X3)

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10.636 -0.080    -0.74%
20/09 - 關閉. CAD 貨幣 ( 免責聲明 )
種類:  基金
市場:  加拿大
資產類別:  股票
  • 晨星評級:
  • 總資產: 161.97M
SEI US Small Company Equity Class F 10.636 -0.080 -0.74%

0P000076X3綜觀

 
你可在本頁找到深入的SEI US Small Company Equity Class F公司檔案,包括0P000076X3的主要管理層、總資產、投資策略及聯絡資料,以及各類其他資訊。
類別

US Small/Mid Cap Equity

總資產

161.97M

費用

基金成立

2006年4月17日

聯絡資訊

地址 Suite 1600
Toronto,ON M5J 1S9
Canada
電話 416-777-9700
傳真 416-777-9093
網絡 www.seic.ca

主要管理層

名稱 主旨 成立於 直至
Stephen C. Dolce Portfolio Manager 2005 now
自傳 Steven C. Dolce, CFA, serves as Portfolio Manager at SEI Investments Management Corporation. Prior to joining SEI, Mr. Dolce was Partner, Portfolio Manager, Analyst and Investment Committee Member at Philadelphia International Advisors LP (PIA). Previously, Mr. Dolce was a Sector Portfolio Manager and Senior Analyst at DuPont Capital Management (DCM). Mr. Dolce also served as a Global Equity and Derivatives Trader at Grantham, Mayo & Van Otterloo & Co. LLC (GMO) in Boston. Mr. Dolce received his Bachelor of Science from Boston College, Carroll School of Management with a concentration in econo
Jacques A. Friedman Portfolio Manager 2016 2021
自傳 Jacques is the head of AQR’s Global Stock Selection team and is involved in all aspects of research, portfolio management and strategy development for the firm’s equity products and strategies. Prior to AQR, he developed quantitative stock-selection strategies for the Asset Management Division of Goldman, Sachs & Co. Jacques earned a B.S. in applied mathematics from Brown University and an M.S. in applied mathematics from the University of Washington. Before joining Goldman, he was pursuing a Ph.D. in applied mathematics at Washington.
Clifford S. Asness CEO 2016 2021
自傳 Dr. Asness is a Founder, Managing Principal and Chief Investment Officer at AQR Capital Management. He is an research notable for its relevance and enduring value to investment professionals. Prior to co-founding AQR Capital Management, he was a Managing Director and Director of Quantitative Research for the Asset Management Division of Goldman, Sachs & Co. Dr. Asness is on the editorial board of The Journal of Portfolio Management, the governing board of the Courant Institute of Mathematical Finance at NYU, the Board of Directors of the Q-Group.
Robert B. Kirkpatrick Managing Director 2016 2021
自傳 Robert B. Kirkpatrick, CFA is a managing partner of Cardinal Capital. He is responsible for investment research and portfolio management. He has been in the investment industry since 1985. Prior to joining Cardinal in 2000, Robert was a partner at Breeco Management, a $125 million equity hedge fund for three years. Previously, he held senior equity portfolio management positions with Unifund S.A., a Swiss-based global private investment company with over $1 billion in capital. Robert also served for six years as a managing director at Bigler/Crossroads, a $700 million venture capital and small
Eugene Fox Managing Director 2016 2021
自傳 Eugene Fox, III is a managing partner of Cardinal Capital. He is responsible for investment research and portfolio management. He has been in the investment industry since 1987. Before leaving for Cardinal in 1995, Eugene was a managing director of Deltec Asset Management where he and Amy Minella, a retired partner, built the value equity investment management business. Eugene joined Deltec from D.S. Kennedy & Co., a small cap value equity firm, where he was an investment analyst and previously held financial positions at FMC Corporation from 1984 to 1991. These included five years as the dire
Gregory Baxter Portfolio Manager 2015 2021
自傳 Joined CastleArk in 2007 Investment Experience since 2002 University of Wisconsin-Oshkosh, BBA: 1994 University of Wisconsin-Oshkosh, MBA, Real Estate & Finance: 2000 University of Wisconsin, MS, Finance Investments & Banking: 2004 Greg began his investment career as a portfolio manager and analyst in the University of Wisconsin’s Applied Security Analysis program while earning his graduate degree. Upon graduation, he joined Strong Capital Management as an analyst on the small cap growth team. In 2005, he joined Jim Stark at M&I Investment Management as an analyst on the small cap g
James A. Stark Co-Portfolio Manager 2015 2021
自傳 Joined CastleArk in 2007 Investment Experience since 1987 University of Wisconsin, BBA, Finance: 1983 Northwestern University, MBA, Finance & Marketing: 1987 Jim began his career as an equity analyst at Investment & Capital Management in 1987. He then joined Kemper Financial Services as a research analyst supporting the portfolio managers, two of whom were Jerry Castellini and Bob Takazawa. In 1993, Jim joined American Century as a small cap growth portfolio manager. After 12 years managing small cap growth portfolios, Jim teamed with Greg Baxter at M&I Investment Management.
Rachel Volynsky Portfolio Manager 1999 2021
自傳 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.
Scott Gives Portfolio Manager 1999 2021
自傳 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.
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