SEIE

SEI Select International Equity ETF

International / EmergingNASDAQ-GMSEI ETF
$37.22
$0.14 (+0.38%)
Real-time · Aug 13, 2026 10:41 AM ET

Key Statistics

Net Assets (AUM)
$1.29B
Expense Ratio
See prospectus
Previous Close
$37.08
Day Range
$37.12 – $37.23
52-Week Range
$29.49 – $37.25
Volume
23.55K
Avg Vol (50D)
-
Beta
0.47

Historical Performance

1M
+5.16%
3M
+6.42%
6M
+6.57%
YTD
+15.87%
1Y
+26.41%
3Y
5Y

Total return including reinvested distributions, from adjusted closing prices.

Price History

Price history is being compiled for this fund.

Top Holdings

HSBC HOLDINGS PLC 1.89%
GSK PLC 1.40%
Novartis AG 1.32%
ASML Holding N.V. 1.16%
EQUINOR ASA 1.15%
Murata Manufacturing Co., Ltd. 1.12%
ASTRAZENECA PLC 1.08%
ING Groep N.V. 1.07%
Roche Holding AG 0.94%
BARCLAYS PLC 0.93%
BANK OF IRELAND GROUP PUBLIC LIMITED COMPANY 0.92%
STANDARD CHARTERED PLC 0.91%
Repsol S.A. 0.83%
Siemens Energy AG 0.83%
ArcelorMittal SA 0.83%
AIB GROUP PUBLIC LIMITED COMPANY 0.82%
TESCO PLC 0.81%
COMPAGNIE FINANCIERE RICHEMONT SA 0.81%
NATWEST GROUP PLC 0.81%
UNICREDIT, SOCIETA PER AZIONI 0.81%
SHELL PLC 0.80%
TOTALENERGIES SE 0.79%
BANK LEUMI LE ISRAEL B.M. 0.75%
Banco Santander, S.A. 0.71%
LVMH MOET HENNESSY LOUIS VUITTON SE 0.71%

Top 25 holdings as of Mar 31, 2026 · source: SEC N-PORT. Full holdings & prospectus →

About SEIE

Under normal circumstances, the SEI Select International Equity ETF (the Fund) will invest at least 80% of its net assets (plus the amount of any borrowings for investment purposes) in equity securities.Equity securities may include common stocks, participation notes and depositary receipts. The Fund will invest primarily in equity securities of issuers of all capitalization ranges that are located in at least three countries other than the U.S. It is expected that at least 40% of the Fund's assets will be invested outside the U.S. The Fund will invest primarily in companies located in developed countries, but may also invest in companies located in emerging markets.The Fund will utilize an integrated management approach where SEI Investments Management Corporation (SIMC or the Adviser) will combine its own proprietary quantitative-based, active stock portfolio, with model portfolios from one or more Sub-Advisers to construct the Fund's portfolio.SIMC's quantitative model evaluates all of the securities in the investment universe of international issuers based on certain characteristics (Factors) that are determined by the Adviser, such as Value, Momentum, Quality and Low Volatility. Each of these factor families are described in further detail in the "More Information About the Funds — Factors" section. The Adviser uses its own judgment and model-based systems to assess which Factors to use and to determine what portion of the Fund's assets should be invested in each security identified. However, based on perceived market opportunities, the Adviser may reallocate the Fund's assets to tilt in favor of one or more Factors. The Adviser may add, remove or modify certain Factors in its model based on investment research or in response to changes in market conditions.SIMC will select Sub-Advisers who on an ongoing basis provide a model portfolio composed of the Sub-Adviser's recommendations as to the securities to be purchased, sold or retained by the Fund (the Sub-Adviser's securities list). Taking into account the investment objective of the Fund, SIMC may incorporate the recommendations contained in the Sub-Adviser's securities list, in whole or in part, when it trades securities within the Fund in the aggregate. Securities recommended or suggested for purchase within the Sub-Adviser's securities list are assessed by SIMC and considered alongside securities identified by SIMC for purchase or sale in the Fund. SIMC will determine the constituents and weightings of securities held by the Fund and the securities held within the Fund may not have the same weightings of securities as those contained within the Sub-Adviser's securities list as SIMC may choose, whether substantially or entirely to disregard the Sub-Adviser's securities list when implementing trades in aggregate within the Fund. The Adviser may adjust the securities in the Fund to implement its forward-looking views regarding various portfolio characteristics, or for risk management purposes.

Data for SEIE is aggregated from third-party providers (Tiingo, Nasdaq, Finnhub) and SEC filings, may be delayed at least 20 minutes, and may be incomplete or contain errors. Nothing here is investment advice. Verify with the official prospectus before investing.