VP CONSERVATIVE STRATEGY FUND

VP CONSERVATIVE STRATEGY FUND is a registered fund series of SEI INSURANCE PRODUCTS TRUST (series S000042062). Net assets $11.9M as of 2020-06-30.

Profile

Advisers

Top holdings (13 reported)

HoldingTickerValue% of fund
SEI Institutional Managed Trust: Multi-Asset Capital Stability Fund; Class Y Shares$2.0M1694.79%
SEI Daily Income Trust: Short-Duration Government Fund; Class Y Shares$1.8M1498.28%
SEI Institutional Managed Trust: Core Fixed Income Fund; Class Y Shares$1.4M1199.60%
SEI Institutional Managed Trust: Global Managed Volatility Fund; Class Y Shares$1.3M1109.94%
SEI Institutional Managed Trust: Conservative Income Fund; Class Y Shares$1.2M998.01%
SEI Institutional Managed Trust: US Managed Volatility Fund; Class Y Shares$846K708.56%
SEI Institutional Managed Trust: Multi-Asset Income Fund; Class Y Shares$713K596.48%
SEI Institutional Managed Trust: Multi-Asset Inflation Managed Fund; Class Y Shares$596K498.96%
SEI Daily Income Trust: Ultra Short Duration Bond Fund; Class Y Shares$477K399.63%
SEI Institutional Managed Trust: Real Return Fund; Class Y Shares$475K397.31%
SEI Institutional Managed Trust: Multi-Asset Accumulation Fund; Class Y Shares$358K300.02%
SEI Institutional International Trust: Emerging Markets Debt Fund; Class Y Shares$357K298.45%
SEI Institutional Managed Trust: High Yield Bond Fund; Class Y Shares$355K297.46%

Net asset history

Report dateNet assets
2020-06-30$11.9M
2020-03-31$11.7M
2019-12-31$12.1M
2019-09-30$12.4M

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