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Performance

performance chart
    1y 3y 5y 12m-24m 24m-36m 36m-48m 48m-60m
+17.8 +53.7 +96.8 +25.6 +3.9 +7.1 +19.6
  EQUITY - INTERNATIONAL +15.9+44.1+85.4+20.8+2.9+7.6+19.5
Price
 Bid OfferCurrency+/-YieldCiticodeSEDOLISINCodeWKNDate
SEI GLOBAL EQUITY INST GBP 23.70 GBP 0.04 - BT26 0061870 IE0000618706 n/a 23-Aug-2017
SEI GLOBAL EQUITY WEALTH A DIS GBP 21.62 GBP 0.03 - GVB3 B3BPR92 IE00B3BPR929 n/a 23-Aug-2017
SEI GLOBAL EQUITY INST DIS GBP 20.08 GBP 0.04 - K0M0 B4R28T1 IE00B4R28T18 n/a 23-Aug-2017
SEI GLOBAL EQUITY WEALTH A USD 12.07 USD -0.01 - KJAP BN1GPM4 IE00BN1GPM40 n/a 23-Aug-2017
SEI GLOBAL EQUITY WEALTH A DIS USD 11.63 USD -0.02 - KJAQ BN1GPN5 IE00BN1GPN56 n/a 23-Aug-2017
SEI GLOBAL EQUITY INST H USD 14.15 USD -0.02 - QW57 B040N39 IE00B040N397 n/a 23-Aug-2017
SEI GLOBAL EQUITY INST+ H ACC GBP 20.42 GBP 0.04 - QW58 B040N73 IE00B040N736 n/a 23-Aug-2017
SEI GLOBAL EQUITY A INST ACC EUR 22.17 EUR -0.13 - QW59 3065824 IE0030658243 n/a 23-Aug-2017
SEI GLOBAL EQUITY INST+ H USD 13.53 USD -0.02 - QW60 B040N40 IE00B040N405 n/a 23-Aug-2017
SEI GLOBAL EQUITY INST+ H DIS GBP 19.68 GBP 0.03 - QW61 B040N84 IE00B040N843 n/a 23-Aug-2017
SEI GLOBAL EQUITY INST H DIS GBP 18.66 GBP 0.03 - QW62 B040N62 IE00B040N629 n/a 23-Aug-2017
SEI GLOBAL EQUITY HEDGED INST EUR 12.37 EUR -0.03 - R959 B1S8JV6 IE00B1S8JV61 n/a 23-Aug-2017
SEI GLOBAL EQUITY INST ACC USD 15.91 USD -0.02 - ST76 0061858 IE0000618581 n/a 23-Aug-2017
SEI GLOBAL EQUITY INST H ACC GBP 26.73 GBP 0.04 - WV39 B040N51 IE00B040N512 n/a 23-Aug-2017
SEI GLOBAL EQUITY A INST DIS EUR 14.95 EUR -0.09 - WV99 B01J782 IE00B01J7822 n/a 23-Aug-2017
SEI GLOBAL EQUITY INST DIS USD 13.82 USD -0.02 - WW63 B062YC9 IE00B062YC92 n/a 23-Aug-2017
SEI GLOBAL EQUITY B INST ACC EUR 13.45 EUR -0.08 - WW97 3065846 IE0030658466 n/a 23-Aug-2017
Peer groups
Region Asset Class Sector
Ireland Equity Equity - International

Price total return performance figures are calculated on a bid price to bid price basis (mid to mid where applicable) with gross income (dividends) reinvested. Performance figures are shown in Pound Sterling (GBP). You can switch the fund’s native currency using the currency selector towards the top of this page.

 
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Data provided by FE. Care has been taken to ensure that the information is correct, but FE neither warrants, represents nor guarantees the contents of information, nor does it accept any responsibility for errors, inaccuracies, omissions or any inconsistencies herein. Past performance does not predict future performance, it should not be the main or sole reason for making an investment decision. The value of investments and any income from them can fall as well as rise.

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