SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 97.8%

                 

Communication Services — 7.4%

       

Alphabet Inc, Cl A

    33,918     $ 5,542  

Alphabet Inc, Cl C

    44,436       7,337  

AT&T Inc

    290,314       5,777  

BCE Inc

    64,026       2,241  

Comcast Corp, Cl A

    149,693       5,923  

Fox Corp

    44,900       1,858  

John Wiley & Sons Inc, Cl A

    4,919       238  

Liberty Media Corp-Liberty Formula One, Cl C *

    9,788       764  

Meta Platforms Inc, Cl A

    27,939       14,565  

Netflix Inc *

    4,118       2,888  

News Corp, Cl A

    3,512       99  

Nexstar Media Group Inc, Cl A

    17,322       2,960  

Pinterest Inc, Cl A *

    30,629       981  

Spotify Technology SA *

    8,115       2,782  

TEGNA Inc

    26,800       372  

Trade Desk Inc/The, Cl A *

    10,787       1,128  

Verizon Communications Inc

    102,270       4,273  

Walt Disney Co/The

    31,370       2,835  
                 
              62,563  

Consumer Discretionary — 7.9%

       

Amazon.com Inc *

    99,814       17,817  

AutoNation Inc *

    4,400       783  

AutoZone Inc *

    184       585  

Best Buy Co Inc

    11,067       1,111  

Birkenstock Holding Plc *

    9,198       459  

Booking Holdings Inc

    424       1,657  

Burlington Stores Inc *

    1,535       412  

Capri Holdings Ltd *

    7,200       257  

Carter's Inc

    8,600       567  

Century Communities Inc

    4,872       487  

DoorDash Inc, Cl A *

    2,127       274  

DR Horton Inc

    2,157       407  

DraftKings Inc, Cl A *

    32,431       1,119  

eBay Inc

    26,800       1,584  

Ford Motor Co

    136,245       1,525  

Frontdoor Inc *

    3,434       165  

General Motors Co

    52,425       2,610  

Genuine Parts Co

    19,862       2,845  

Goodyear Tire & Rubber Co/The *

    58,400       515  

Guess? Inc

    18,000       373  

Harley-Davidson Inc

    25,500       955  

Home Depot Inc/The

    8,083       2,979  

Jack in the Box Inc

    5,995       296  

KB Home

    19,900       1,666  

Kohl's Corp

    13,100       254  

Lear Corp

    4,700       548  

Lowe's Cos Inc

    13,614       3,383  

Macy's Inc

    36,200       564  

Marriott International Inc/MD, Cl A

    12,585       2,953  

Mattel Inc *

    33,400       634  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

MercadoLibre Inc *

    572     $ 1,179  

Meritage Homes Corp

    3,944       781  

MGM Resorts International *

    700       26  

Pool Corp

    7,321       2,574  

PulteGroup Inc

    21,866       2,879  

Ross Stores Inc

    29,598       4,458  

SharkNinja Inc

    895       86  

Taylor Morrison Home Corp, Cl A *

    9,805       660  

Tesla Inc *

    1,929       413  

TJX Cos Inc/The

    16,141       1,893  

Tri Pointe Homes Inc *

    12,890       573  

Whirlpool Corp

    9,600       963  

Wingstop Inc

    1,862       719  
                 
              66,988  

Consumer Staples — 6.1%

       

Albertsons Cos Inc, Cl A

    24,900       489  

Altria Group Inc

    70,441       3,788  

Archer-Daniels-Midland Co

    13,492       823  

Bunge Global SA

    6,800       689  

Campbell Soup Co

    21,100       1,049  

Casey's General Stores Inc

    10,413       3,773  

Central Garden & Pet Co, Cl A *

    11,325       387  

Church & Dwight Co Inc

    12,004       1,223  

Coca-Cola Consolidated Inc

    703       944  

Conagra Brands Inc

    25,800       805  

Constellation Brands Inc, Cl A

    10,575       2,546  

Costco Wholesale Corp

    3,732       3,330  

Diageo PLC ADR

    12,008       1,570  

Estee Lauder Cos Inc/The, Cl A

    2,945       270  

Herbalife Ltd *

    15,000       122  

Kellanova

    8,310       670  

Kenvue Inc

    131,867       2,895  

Kimberly-Clark Corp

    5,946       860  

Kraft Heinz Co/The

    41,780       1,480  

Kroger Co/The

    37,700       2,006  

Maplebear Inc *

    9,922       356  

Molson Coors Beverage Co, Cl B

    24,900       1,344  

PepsiCo Inc

    17,139       2,963  

Philip Morris International Inc

    51,183       6,310  

Target Corp

    23,508       3,611  

Unilever PLC ADR

    75,131       4,868  

Walgreens Boots Alliance Inc

    33,500       310  

Walmart Inc

    27,736       2,142  
                 
              51,623  

Energy — 4.4%

       

APA Corp

    14,000       399  

Baker Hughes Co, Cl A

    23,708       834  

Cameco Corp

    11,614       474  

Cheniere Energy Inc

    11,628       2,154  

Chevron Corp

    20,394       3,017  

ConocoPhillips

    26,100       2,970  

Devon Energy Corp

    23,300       1,043  

 

 

 

SEI Institutional Investments Trust

 

1

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Diamondback Energy Inc

    19,284     $ 3,763  

Enterprise Products Partners LP

    29,408       863  

Exxon Mobil Corp

    65,173       7,687  

Golar LNG Ltd

    18,464       615  

Halliburton Co

    17,700       550  

Hess Midstream LP, Cl A

    14,615       546  

HF Sinclair Corp

    23,000       1,130  

Kinder Morgan Inc

    22,704       490  

Kinetik Holdings Inc, Cl A

    33,125       1,465  

Marathon Oil Corp

    46,100       1,321  

Marathon Petroleum Corp

    9,500       1,683  

MPLX LP

    31,913       1,368  

Murphy Oil Corp

    600       22  

Ovintiv Inc

    4,487       192  

Phillips 66

    11,200       1,571  

Plains All American Pipeline LP

    4,503       81  

Scorpio Tankers Inc

    19,955       1,428  

Valero Energy Corp

    6,900       1,012  
                 
              36,678  

Financials — 16.3%

       

Aflac Inc

    18,300       2,020  

Allstate Corp/The

    9,144       1,728  

Ally Financial Inc

    31,200       1,348  

American International Group Inc

    26,600       2,050  

Ameriprise Financial Inc

    12,691       5,704  

Annaly Capital Management Inc

    19,900       401  

Aon PLC, Cl A

    1,833       630  

Bank of America Corp

    131,384       5,354  

Bank of New York Mellon Corp/The

    27,014       1,843  

BankUnited Inc

    13,300       511  

Berkshire Hathaway Inc, Cl B *

    10,540       5,016  

Capital One Financial Corp

    10,126       1,488  

Chubb Ltd

    13,441       3,820  

Cincinnati Financial Corp

    5,119       701  

Citigroup Inc

    122,154       7,652  

Citizens Financial Group Inc

    27,300       1,175  

CME Group Inc, Cl A

    6,830       1,473  

CNA Financial Corp

    13,500       701  

Customers Bancorp Inc *

    7,000       363  

Discover Financial Services

    9,600       1,332  

Essent Group Ltd

    1,245       80  

Everest Group Ltd

    3,400       1,334  

FactSet Research Systems Inc

    4,019       1,699  

Fifth Third Bancorp

    33,500       1,430  

First Horizon Corp

    47,500       788  

Fiserv Inc *

    1,010       176  

Goldman Sachs Group Inc/The

    8,464       4,319  

Hartford Financial Services Group Inc/The

    23,000       2,670  

Intercontinental Exchange Inc

    4,531       732  

JPMorgan Chase & Co

    41,807       9,398  

Kinsale Capital Group Inc

    7,513       3,690  

Lincoln National Corp

    12,100       388  

M&T Bank Corp

    4,300       740  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Marsh & McLennan Cos Inc

    7,979     $ 1,815  

Mastercard Inc, Cl A

    4,820       2,330  

MetLife Inc

    19,200       1,488  

MGIC Investment Corp

    60,500       1,538  

Moody's Corp

    11,018       5,374  

Morgan Stanley

    84,457       8,751  

MSCI Inc, Cl A

    6,720       3,902  

Navient Corp

    52,300       885  

NU Holdings Ltd/Cayman Islands, Cl A *

    59,554       891  

Pagseguro Digital Ltd, Cl A *

    39,170       434  

PayPal Holdings Inc *

    21,332       1,545  

Progressive Corp/The

    3,219       812  

Radian Group Inc

    49,029       1,772  

Regions Financial Corp

    47,800       1,119  

Robinhood Markets Inc, Cl A *

    11,110       224  

Rocket Cos Inc, Cl A *

    5,872       115  

S&P Global Inc

    7,719       3,962  

State Street Corp

    27,200       2,369  

Travelers Cos Inc/The

    17,221       3,928  

Truist Financial Corp

    81,185       3,609  

Unum Group

    23,000       1,276  

Valley National Bancorp

    35,800       311  

Veritex Holdings Inc

    18,300       461  

Visa Inc, Cl A

    38,451       10,627  

Wells Fargo & Co

    62,671       3,664  

Western Union Co/The

    49,400       603  

Willis Towers Watson PLC

    1,424       416  

Wintrust Financial Corp

    5,400       587  
                 
              137,562  

Health Care — 12.2%

       

AbbVie Inc

    6,234       1,224  

Alnylam Pharmaceuticals Inc *

    201       53  

Amgen Inc

    7,070       2,360  

Ascendis Pharma A/S ADR *

    641       89  

Baxter International Inc

    24,900       945  

Boston Scientific Corp *

    21,848       1,787  

Bristol-Myers Squibb Co

    50,236       2,509  

Cardinal Health Inc

    18,800       2,119  

Centene Corp *

    11,050       871  

Cigna Group/The

    4,300       1,556  

Cooper Cos Inc/The

    3,235       342  

CVS Health Corp

    27,000       1,545  

Danaher Corp

    19,353       5,212  

Eli Lilly & Co

    10,553       10,131  

Encompass Health Corp

    2,395       223  

Exelixis Inc *

    24,472       637  

Gilead Sciences Inc

    41,787       3,301  

HCA Healthcare Inc

    8,103       3,205  

Incyte Corp *

    8,900       584  

Inmode Ltd *

    16,300       272  

Insmed Inc *

    426       33  

IQVIA Holdings Inc *

    931       234  

Jazz Pharmaceuticals PLC *

    6,880       798  

 

 

 

2

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Johnson & Johnson

    68,286     $ 11,326  

Madrigal Pharmaceuticals Inc *

    780       193  

McKesson Corp

    2,778       1,559  

Medtronic PLC

    35,416       3,137  

Merck & Co Inc

    58,731       6,957  

Mettler-Toledo International Inc *

    2,947       4,241  

Natera Inc *

    12,896       1,525  

Novartis AG ADR

    30,315       3,665  

Organon & Co

    4,167       93  

Pfizer Inc

    215,278       6,245  

Regeneron Pharmaceuticals Inc *

    511       605  

STERIS PLC

    13,063       3,150  

Stryker Corp

    7,569       2,728  

Tenet Healthcare Corp *

    3,920       650  

Thermo Fisher Scientific Inc

    903       555  

UnitedHealth Group Inc

    12,341       7,284  

Universal Health Services Inc, Cl B

    11,822       2,813  

Vaxcyte Inc *

    5,905       477  

Veeva Systems Inc, Cl A *

    1,391       301  

Viatris Inc

    46,500       562  

Zoetis Inc, Cl A

    25,324       4,647  
                 
              102,743  

Industrials — 10.8%

       

3M Co

    11,983       1,614  

Acuity Brands Inc

    3,400       866  

AGCO Corp

    12,100       1,102  

Allison Transmission Holdings Inc

    18,700       1,734  

AMETEK Inc

    7,236       1,238  

Automatic Data Processing Inc

    13,520       3,730  

Axon Enterprise Inc *

    1,222       446  

Booz Allen Hamilton Holding Corp, Cl A

    2,572       408  

Builders FirstSource Inc *

    3,100       539  

Carrier Global Corp

    11,517       838  

CH Robinson Worldwide Inc

    1,013       105  

Cintas Corp

    2,466       1,985  

Cummins Inc

    8,240       2,578  

Curtiss-Wright Corp

    806       255  

Delta Air Lines Inc

    17,900       761  

Eaton Corp PLC

    5,032       1,545  

Equifax Inc

    9,542       2,931  

Expeditors International of Washington Inc

    555       69  

FedEx Corp

    7,000       2,091  

Ferguson Enterprises Inc

    1,302       268  

FTAI Aviation Ltd

    1,200       153  

General Dynamics Corp

    10,554       3,159  

General Electric Co

    2,384       416  

GFL Environmental Inc

    54,865       2,376  

Griffon Corp

    11,100       735  

GXO Logistics Inc *

    58,169       2,911  

HEICO Corp

    13,241       3,397  

HEICO Corp, Cl A

    9,202       1,841  

Huntington Ingalls Industries Inc

    2,000       566  

Johnson Controls International plc

    49,965       3,640  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Kirby Corp *

    7,005     $ 840  

L3Harris Technologies Inc

    950       225  

Lockheed Martin Corp

    3,000       1,704  

ManpowerGroup Inc

    11,900       880  

Mueller Water Products Inc, Cl A

    4,382       94  

Northrop Grumman Corp

    325       170  

Old Dominion Freight Line Inc

    11,197       2,159  

Oshkosh Corp

    9,100       982  

Otis Worldwide Corp

    31,964       3,027  

Owens Corning

    6,500       1,097  

PACCAR Inc

    10,100       971  

Parker-Hannifin Corp

    73       44  

RTX Corp

    40,067       4,942  

Science Applications International Corp

    3,800       496  

Siemens AG ADR

    33,447       3,150  

Snap-on Inc

    4,900       1,390  

SS&C Technologies Holdings Inc

    3,265       245  

Textron Inc

    19,200       1,751  

Trane Technologies PLC

    4,991       1,805  

TransDigm Group Inc

    5,480       7,525  

TransUnion

    3,090       299  

Uber Technologies Inc *

    2,963       217  

UniFirst Corp/MA

    436       83  

United Airlines Holdings Inc *

    14,900       656  

United Parcel Service Inc, Cl B

    15,133       1,945  

Veralto Corp

    23,109       2,598  

Verisk Analytics Inc, Cl A

    3,400       928  

Vertiv Holdings Co, Cl A

    19,232       1,597  

Waste Connections Inc

    24,308       4,533  

Westinghouse Air Brake Technologies Corp

    3,867       656  
                 
              91,306  

Information Technology — 24.9%

       

Accenture PLC, Cl A

    6,528       2,232  

Adobe Inc *

    9,000       5,170  

Advanced Micro Devices Inc *

    6,989       1,038  

Amphenol Corp, Cl A

    41,894       2,826  

Analog Devices Inc

    11,858       2,785  

Apple Inc

    147,777       33,841  

Applied Materials Inc

    7,800       1,539  

AppLovin Corp, Cl A *

    30,643       2,846  

Arista Networks Inc *

    2,950       1,042  

Arrow Electronics Inc *

    8,200       1,108  

ASML Holding NV, Cl G

    373       337  

Astera Labs Inc *

    15,189       654  

Autodesk Inc *

    1,453       375  

BILL Holdings Inc *

    3,886       212  

Broadcom Inc

    120,271       19,583  

Cadence Design Systems Inc *

    1,944       523  

CDW Corp/DE

    12,106       2,732  

Cirrus Logic Inc *

    174       25  

Cisco Systems Inc

    126,325       6,384  

Datadog Inc, Cl A *

    4,652       541  

Dell Technologies Inc, Cl C

    19,310       2,231  

 

 

 

SEI Institutional Investments Trust

 

3

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

DocuSign Inc, Cl A *

    10,237     $ 606  

Dropbox Inc, Cl A *

    20,000       503  

DXC Technology Co *

    24,600       509  

Fair Isaac Corp *

    93       161  

Fortinet Inc *

    4,764       365  

Gartner Inc *

    2,245       1,104  

Gen Digital Inc

    24,000       635  

GoDaddy Inc, Cl A *

    2,191       367  

Guidewire Software Inc *

    5,390       802  

Hewlett Packard Enterprise Co

    90,800       1,759  

HP Inc

    60,200       2,178  

Intel Corp

    31,486       694  

International Business Machines Corp

    6,594       1,333  

Intuit Inc

    12,874       8,114  

KLA Corp

    599       491  

Lam Research Corp

    350       287  

Marvell Technology Inc

    5,408       412  

Microchip Technology Inc

    28,268       2,323  

Micron Technology Inc

    6,961       670  

Microsoft Corp

    87,382       36,451  

Monolithic Power Systems Inc

    2,775       2,594  

Motorola Solutions Inc

    10,479       4,632  

NetApp Inc

    6,446       778  

NVIDIA Corp

    163,864       19,560  

Okta Inc, Cl A *

    5,408       426  

Oracle Corp

    25,868       3,655  

Palantir Technologies Inc, Cl A *

    4,427       139  

QUALCOMM Inc

    28,097       4,925  

Roper Technologies Inc

    5,437       3,014  

salesforce.com

    24,769       6,264  

SAP SE ADR

    24,670       5,420  

Sapiens International Corp NV

    9,789       356  

Semtech Corp *

    1,059       46  

ServiceNow Inc *

    2,924       2,500  

Synopsys Inc *

    71       37  

Taiwan Semiconductor Manufacturing Co Ltd ADR

    13,194       2,265  

TD SYNNEX Corp

    5,572       677  

Twilio Inc, Cl A *

    11,031       692  

Vishay Intertechnology Inc

    5,700       115  

Western Digital Corp *

    600       39  

Workday Inc, Cl A *

    4,631       1,219  

Xerox Holdings Corp

    46,300       525  

Zebra Technologies Corp, Cl A *

    3,275       1,131  

Zoom Video Communications Inc, Cl A *

    13,412       927  
                 
              209,724  

Materials — 2.8%

       

Avery Dennison Corp

    6,187       1,373  

Berry Global Group Inc

    16,000       1,102  

CF Industries Holdings Inc

    8,100       673  

Chemours Co/The

    23,500       457  

Dow Inc

    57,442       3,078  

Ecolab Inc

    2,668       675  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

International Flavors & Fragrances Inc

    1,199     $ 125  

Linde PLC

    11,792       5,639  

LyondellBasell Industries NV, Cl A

    5,900       582  

Martin Marietta Materials Inc

    885       473  

NewMarket Corp

    1,000       574  

O-I Glass Inc, Cl I *

    39,200       497  

Reliance Inc

    8,996       2,579  

Sherwin-Williams Co/The

    10,446       3,858  

Steel Dynamics Inc

    10,300       1,231  

Sylvamo Corp

    11,800       933  
                 
              23,849  

Real Estate — 2.9%

       

American Tower Corp, Cl A

    22,994       5,152  

AvalonBay Communities Inc

    554       125  

Brixmor Property Group Inc

    37,800       1,035  

CareTrust REIT Inc

    4,097       123  

CBRE Group Inc, Cl A *

    5,089       586  

Crown Castle Inc

    22,327       2,501  

Equinix Inc

    4,521       3,772  

Healthpeak Properties Inc

    124,096       2,765  

Host Hotels & Resorts Inc

    55,300       979  

Iron Mountain Inc

    15,147       1,716  

Public Storage

    1,775       610  

Service Properties Trust

    37,100       174  

VICI Properties Inc, Cl A

    100,635       3,369  

Welltower Inc

    13,336       1,609  
                 
              24,516  

Utilities — 2.1%

       

Brookfield Infrastructure Partners LP

    8,935       287  

Constellation Energy Corp

    9,750       1,918  

Duke Energy Corp

    32,771       3,734  

Exelon Corp

    9,810       374  

NextEra Energy Inc

    82,808       6,667  

NRG Energy Inc

    36,943       3,141  

UGI Corp

    14,800       369  

Vistra Corp

    16,300       1,392  
                 
              17,882  

Total Common Stock

               

(Cost $534,988) ($ Thousands)

            825,434  
                 

CASH EQUIVALENT — 1.8%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    15,431,694       15,432  

Total Cash Equivalent

               

(Cost $15,432) ($ Thousands)

            15,432  

Total Investments in Securities — 99.6%

               

(Cost $550,420) ($ Thousands)

  $ 840,866  
                 
                 

 

 

 

4

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Fund (Concluded)

 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Long Contracts

                                       

S&P 500 Index E-MINI

    31       Sep-2024     $ 8,630     $ 8,774     $ 144  

S&P Mid Cap 400 Index E-MINI

    5       Sep-2024       1,523       1,549       26  
                    $ 10,153     $ 10,323     $ 170  

 

 

 

Percentages are based on Net Assets of $844,035 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

Real Estate Investment Trust.

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

 

 

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Liquidity Fund, LP

  $ 6     $     $ (7 )   $ (1 )   $ 2     $     $     $  

SEI Daily Income Trust, Government Fund,
Institutional Class

    19,730       35,179       (39,477 )                 15,432       225        

Totals

  $ 19,736     $ 35,179     $ (39,484 )   $ (1 )   $ 2     $ 15,432     $ 225     $  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

SEI Institutional Investments Trust

 

5

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Disciplined Equity Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 93.2%

                 

Communication Services — 7.0%

       

Alphabet Inc, Cl A

    99,660     $ 16,282  

Alphabet Inc, Cl C

    48,376       7,987  

AT&T Inc

    361,366       7,191  

Frontier Communications Parent Inc *

    5,976       172  

Liberty Global PLC *

    3,975       78  

Liberty Media Corp-Liberty SiriusXM *

    99,780       2,378  

Meta Platforms Inc, Cl A

    48,744       25,411  

Netflix Inc *

    7,336       5,145  

News Corp, Cl A

    5,852       166  

Nexstar Media Group Inc, Cl A

    28,352       4,845  

Pinterest Inc, Cl A *

    36,165       1,159  

T-Mobile US Inc

    30,540       6,069  

Trade Desk Inc/The, Cl A *

    16,642       1,740  

Verizon Communications Inc

    118,445       4,949  

Walt Disney Co/The

    34,250       3,095  

Warner Bros Discovery Inc *

    386,928       3,033  
                 
              89,700  

Consumer Discretionary — 7.5%

       

ADT Inc

    96,490       703  

Amazon.com Inc *

    119,875       21,398  

Autoliv Inc

    9,370       960  

AutoZone Inc *

    766       2,437  

Best Buy Co Inc

    6,451       648  

Booking Holdings Inc

    1,412       5,520  

Caesars Entertainment Inc *

    18,056       680  

Carnival Corp, Cl A *

    119,740       1,976  

DoorDash Inc, Cl A *

    7,178       924  

DR Horton Inc

    2,576       486  

Expedia Group Inc *

    2,761       384  

Ford Motor Co

    83,525       935  

General Motors Co

    137,635       6,851  

H&R Block Inc

    30,072       1,904  

Home Depot Inc/The

    11,983       4,416  

Magna International Inc, Cl A

    49,090       2,063  

Marriott International Inc/MD, Cl A

    20,598       4,834  

Meritage Homes Corp

    4,544       900  

MGM Resorts International *

    24,176       909  

NIKE Inc, Cl B

    36,379       3,031  

Norwegian Cruise Line Holdings Ltd *

    100,360       1,795  

Pool Corp

    11,983       4,213  

PulteGroup Inc

    11,785       1,551  

PVH Corp

    14,583       1,439  

Ross Stores Inc

    56,509       8,511  

Royal Caribbean Cruises Ltd *

    11,902       1,959  

SharkNinja Inc

    1,523       146  

Taylor Morrison Home Corp, Cl A *

    41,687       2,807  

TJX Cos Inc/The

    41,141       4,825  

Toll Brothers Inc

    40,623       5,853  

Wingstop Inc

    2,540       981  
                 
              96,039  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Consumer Staples — 6.7%

       

Ambev ADR

    814,530     $ 1,849  

Archer-Daniels-Midland Co

    34,220       2,087  

Casey's General Stores Inc

    16,682       6,044  

Church & Dwight Co Inc

    4,546       463  

Coca-Cola Consolidated Inc

    1,566       2,102  

Colgate-Palmolive Co

    22,946       2,444  

Conagra Brands Inc

    93,910       2,930  

Constellation Brands Inc, Cl A

    17,309       4,166  

Costco Wholesale Corp

    6,109       5,452  

Estee Lauder Cos Inc/The, Cl A

    6,290       577  

Kellanova

    24,457       1,971  

Kenvue Inc

    62,630       1,375  

Kimberly-Clark Corp

    27,239       3,940  

Kraft Heinz Co/The

    82,076       2,908  

Kroger Co/The

    165,728       8,818  

Mondelez International Inc, Cl A

    4,308       309  

PepsiCo Inc

    29,282       5,062  

Performance Food Group Co *

    16,491       1,231  

Philip Morris International Inc

    56,232       6,933  

Procter & Gamble Co/The

    34,090       5,848  

Target Corp

    42,109       6,469  

Tyson Foods Inc, Cl A

    56,890       3,659  

Walmart Inc

    120,246       9,287  
                 
              85,924  

Energy — 3.7%

       

Baker Hughes Co, Cl A

    81,632       2,871  

BP PLC ADR

    106,660       3,622  

Canadian Natural Resources Ltd

    56,940       2,062  

Cheniere Energy Inc

    19,032       3,526  

Chevron Corp

    14,060       2,080  

ConocoPhillips

    22,250       2,532  

Devon Energy Corp

    39,180       1,755  

Diamondback Energy Inc

    31,563       6,158  

Energy Transfer LP

    23,186       373  

Enterprise Products Partners LP

    104,801       3,075  

Kinder Morgan Inc

    58,420       1,260  

Kinetik Holdings Inc, Cl A

    79,403       3,513  

MPLX LP

    28,740       1,232  

Murphy Oil Corp

    18,250       680  

Ovintiv Inc

    57,726       2,472  

PBF Energy Inc, Cl A

    1,694       58  

Plains All American Pipeline LP

    100,311       1,800  

Schlumberger NV

    22,484       989  

Shell PLC ADR

    52,420       3,756  

SM Energy Co

    40,237       1,836  

TechnipFMC PLC

    8,069       217  

Williams Cos Inc/The

    29,933       1,370  
                 
              47,237  

Financials — 15.5%

       

Allstate Corp/The

    56,036       10,587  

Ameriprise Financial Inc

    13,079       5,878  

 

 

 

6

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Disciplined Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Annaly Capital Management Inc

    132,210     $ 2,665  

Bank of America Corp

    184,859       7,533  

Bank of New York Mellon Corp/The

    55,676       3,798  

Berkshire Hathaway Inc, Cl B *

    14,265       6,789  

BlackRock Inc, Cl A

    2,160       1,948  

Capital One Financial Corp

    40,147       5,899  

Cincinnati Financial Corp

    3,888       533  

Citigroup Inc

    210,874       13,209  

CME Group Inc, Cl A

    18,608       4,015  

Essent Group Ltd

    1,809       116  

Everest Group Ltd

    6,955       2,728  

FactSet Research Systems Inc

    6,579       2,782  

Fidelity National Financial Inc

    37,467       2,209  

Fidelity National Information Services Inc

    39,645       3,269  

First Horizon Corp

    65,809       1,092  

Global Payments Inc

    80,407       8,926  

Goldman Sachs Group Inc/The

    16,458       8,398  

Intercontinental Exchange Inc

    48,942       7,907  

JPMorgan Chase & Co

    107,290       24,119  

Kinsale Capital Group Inc

    12,296       6,038  

Marsh & McLennan Cos Inc

    20,736       4,718  

Mastercard Inc, Cl A

    8,643       4,178  

MGIC Investment Corp

    63,269       1,609  

Moody's Corp

    3,430       1,673  

Morgan Stanley

    78,409       8,124  

MSCI Inc, Cl A

    11,501       6,677  

Nasdaq Inc

    9,399       677  

PayPal Holdings Inc *

    28,599       2,071  

Popular Inc

    11,783       1,208  

Progressive Corp/The

    5,069       1,278  

Radian Group Inc

    3,663       132  

Robinhood Markets Inc, Cl A *

    45,899       924  

S&P Global Inc

    12,973       6,658  

Synchrony Financial

    66,451       3,340  

Travelers Cos Inc/The

    25,371       5,786  

Visa Inc, Cl A

    25,767       7,121  

Wells Fargo & Co

    113,933       6,662  

Willis Towers Watson PLC

    16,975       4,959  
                 
              198,233  

Health Care — 12.2%

       

AbbVie Inc

    13,188       2,589  

Alnylam Pharmaceuticals Inc *

    3,299       867  

Amgen Inc

    2,114       706  

Baxter International Inc

    53,460       2,028  

Blueprint Medicines Corp *

    1,265       121  

Bristol-Myers Squibb Co

    103,351       5,162  

Centene Corp *

    4,591       362  

Cooper Cos Inc/The

    5,889       623  

CVS Health Corp

    88,560       5,069  

DENTSPLY SIRONA Inc

    95,910       2,425  

Edwards Lifesciences Corp *

    12,346       864  

Eli Lilly & Co

    26,788       25,717  

Exelixis Inc *

    42,450       1,105  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Gilead Sciences Inc

    67,252     $ 5,313  

GSK PLC ADR

    74,900       3,289  

HCA Healthcare Inc

    10,185       4,029  

Illumina Inc *

    4,160       547  

Jazz Pharmaceuticals PLC *

    18,640       2,162  

Johnson & Johnson

    34,616       5,741  

McKesson Corp

    4,335       2,432  

Medtronic PLC

    51,867       4,594  

Merck & Co Inc

    57,697       6,834  

Neurocrine Biosciences Inc *

    7,718       981  

Organon & Co

    69,930       1,563  

Pfizer Inc

    241,235       6,998  

Regeneron Pharmaceuticals Inc *

    263       312  

ResMed Inc

    13,119       3,214  

Royalty Pharma PLC, Cl A

    77,600       2,253  

Sanofi SA ADR

    41,490       2,334  

Sarepta Therapeutics Inc *

    9,502       1,290  

STERIS PLC

    21,381       5,155  

Stryker Corp

    11,606       4,183  

Teleflex Inc

    4,775       1,171  

Tenet Healthcare Corp *

    22,297       3,698  

Thermo Fisher Scientific Inc

    1,380       849  

UnitedHealth Group Inc

    32,945       19,444  

Universal Health Services Inc, Cl B

    27,290       6,494  

Veeva Systems Inc, Cl A *

    4,251       920  

Vertex Pharmaceuticals Inc *

    650       322  

Viatris Inc

    204,540       2,471  

Zoetis Inc, Cl A

    48,404       8,882  
                 
              155,113  

Industrials — 8.7%

       

3M Co

    28,796       3,879  

AerCap Holdings NV

    46,110       4,492  

AGCO Corp

    877       80  

Allison Transmission Holdings Inc

    25,553       2,370  

Automatic Data Processing Inc

    26,902       7,423  

Axon Enterprise Inc *

    1,017       371  

Boeing Co/The *

    17,099       2,971  

Booz Allen Hamilton Holding Corp, Cl A

    4,699       746  

Carrier Global Corp

    13,214       962  

Chart Industries Inc *

    17,650       2,160  

Cintas Corp

    6,449       5,192  

Core & Main Inc, Cl A *

    51,087       2,454  

Cummins Inc

    5,022       1,571  

Delta Air Lines Inc

    100,800       4,283  

Eaton Corp PLC

    12,456       3,823  

Equifax Inc

    7,180       2,205  

Expeditors International of Washington Inc

    2,243       277  

FedEx Corp

    18,383       5,492  

Ferguson Enterprises Inc

    4,160       856  

General Electric Co

    38,011       6,638  

Honeywell International Inc

    4,411       917  

Kirby Corp *

    17,153       2,057  

L3Harris Technologies Inc

    4,430       1,048  

 

 

 

SEI Institutional Investments Trust

 

7

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Disciplined Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Lockheed Martin Corp

    6,728     $ 3,822  

Masco Corp

    23,559       1,874  

Northrop Grumman Corp

    6,729       3,521  

Old Dominion Freight Line Inc

    18,327       3,533  

Otis Worldwide Corp

    52,317       4,954  

Paycom Software Inc

    4,397       716  

RTX Corp

    49,410       6,094  

SS&C Technologies Holdings Inc

    2,894       217  

Textron Inc

    3,002       274  

Trane Technologies PLC

    12,161       4,398  

TransUnion

    33,079       3,202  

United Airlines Holdings Inc *

    20,797       916  

United Rentals Inc

    974       722  

Verisk Analytics Inc, Cl A

    8,297       2,264  

Vertiv Holdings Co, Cl A

    28,777       2,389  

Waste Connections Inc

    39,786       7,420  

WESCO International Inc

    14,214       2,351  
                 
              110,934  

Information Technology — 24.5%

       

Accenture PLC, Cl A

    10,676       3,651  

Adobe Inc *

    3,519       2,021  

Advanced Micro Devices Inc *

    1,371       204  

Apple Inc

    319,047       73,062  

Applied Materials Inc

    19,338       3,815  

Arista Networks Inc *

    6,172       2,181  

Atlassian Corp, Cl A *

    18,307       3,032  

Autodesk Inc *

    6,535       1,689  

BILL Holdings Inc *

    2,768       151  

Broadcom Inc

    124,115       20,208  

Cadence Design Systems Inc *

    914       246  

CDW Corp/DE

    19,815       4,471  

Ciena Corp *

    24,284       1,400  

Cisco Systems Inc

    57,202       2,891  

Crowdstrike Holdings Inc, Cl A *

    1,814       503  

Datadog Inc, Cl A *

    6,072       706  

Dell Technologies Inc, Cl C

    9,665       1,117  

DocuSign Inc, Cl A *

    30,837       1,826  

Dropbox Inc, Cl A *

    28,091       706  

Fair Isaac Corp *

    579       1,002  

Fortinet Inc *

    12,538       962  

Gartner Inc *

    3,112       1,531  

GoDaddy Inc, Cl A *

    4,547       761  

Guidewire Software Inc *

    8,690       1,293  

Hewlett Packard Enterprise Co

    88,876       1,721  

Intel Corp

    214,479       4,727  

International Business Machines Corp

    9,665       1,953  

Intuit Inc

    23,430       14,767  

Jabil Inc

    17,494       1,912  

KLA Corp

    6,399       5,243  

Kyndryl Holdings Inc *

    73,101       1,732  

Lam Research Corp

    5,308       4,358  

Lattice Semiconductor Corp *

    259       12  

Micron Technology Inc

    12,510       1,204  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Microsoft Corp

    147,825     $ 61,664  

Monolithic Power Systems Inc

    4,682       4,376  

Motorola Solutions Inc

    18,379       8,124  

NetApp Inc

    18,516       2,235  

Nutanix Inc, Cl A *

    49,468       3,126  

NVIDIA Corp

    247,593       29,555  

Okta Inc, Cl A *

    16,702       1,315  

ON Semiconductor Corp *

    40,540       3,157  

Oracle Corp

    2,667       377  

QUALCOMM Inc

    29,863       5,235  

Salesforce Inc

    20,822       5,266  

ServiceNow Inc *

    6,161       5,268  

Smartsheet Inc, Cl A *

    43,770       2,136  

Synopsys Inc *

    212       110  

Teradyne Inc

    1,773       242  

Twilio Inc, Cl A *

    18,512       1,162  

UiPath Inc, Cl A *

    232,481       2,994  

Vontier Corp

    65,410       2,291  

Workday Inc, Cl A *

    12,536       3,299  

Zebra Technologies Corp, Cl A *

    4,660       1,609  

Zoom Video Communications Inc, Cl A *

    41,903       2,895  
                 
              313,494  

Materials — 2.2%

       

Alcoa Corp

    24,283       779  

Avery Dennison Corp

    12,055       2,674  

Crown Holdings Inc

    26,830       2,426  

DuPont de Nemours Inc

    6,044       509  

Ecolab Inc

    7,718       1,954  

FMC Corp

    62,690       4,049  

Freeport-McMoRan Inc, Cl B

    76,413       3,384  

International Flavors & Fragrances Inc

    4,317       449  

PPG Industries Inc

    15,489       2,009  

Reliance Inc

    14,724       4,221  

Sherwin-Williams Co/The

    15,382       5,682  
                 
              28,136  

Real Estate — 2.3%

       

Brixmor Property Group Inc

    92,164       2,524  

CBRE Group Inc, Cl A *

    3,923       452  

Equinix Inc

    5,639       4,705  

Howard Hughes Holdings Inc *

    21,390       1,609  

Invitation Homes Inc

    77,307       2,848  

Iron Mountain Inc

    34,570       3,915  

Lamar Advertising Co, Cl A

    14,680       1,846  

Omega Healthcare Investors Inc

    22,375       885  

Simon Property Group Inc

    1,342       225  

Ventas Inc

    51,684       3,210  

Welltower Inc

    57,434       6,931  
                 
              29,150  

Utilities — 2.9%

       

Brookfield Infrastructure Partners LP

    19,479       626  

Constellation Energy Corp

    11,552       2,272  

Dominion Energy Inc

    61,982       3,465  

 

 

 

8

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Disciplined Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Edison International

    48,710     $ 4,239  

Entergy Corp

    18,168       2,193  

Exelon Corp

    83,320       3,174  

FirstEnergy Corp

    80,520       3,537  

National Fuel Gas Co

    14,181       848  

NextEra Energy Inc

    61,403       4,944  

NRG Energy Inc

    63,220       5,374  

PG&E Corp

    172,961       3,407  

Talen Energy Corp *

    1,105       165  

Xcel Energy Inc

    52,200       3,196  
                 
              37,440  

Total Common Stock

               

(Cost $840,967) ($ Thousands)

            1,191,400  
   

Face Amount
(Thousands)

         

U.S. TREASURY OBLIGATION — 2.2%

U.S. Treasury Bill

               

5.020%, 11/29/2024 (A)

  $ 29,000       28,652  
                 

Total U.S. Treasury Obligation

               

(Cost $28,645) ($ Thousands)

    28,652  
                 
                 
   


Shares

         

CASH EQUIVALENT — 4.3%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    54,695,413       54,695  

Total Cash Equivalent

               

(Cost $54,695) ($ Thousands)

            54,695  

Total Investments in Securities — 99.7%

               

(Cost $924,307) ($ Thousands)

  $ 1,274,747  
                 
                 

 

 
 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Long Contracts

                                       

S&P 500 Index E-MINI

    130       Sep-2024     $ 36,066     $ 36,797     $ 731  
                                         

 

A list of the open OTC Swap agreement held by the Fund at August 31, 2024, is as follows:

 

Total Return Swap

Counterparty

 

Reference Entity/ Obligation

   

Fund Pays

   

Fund Receives

   

Payment Frequency

   

Termination Date

   

Currency

   

Notional
Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/
Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 

Bank of America Merrill Lynch

 

Mackenzie Investments Corporation Custom Basket of Securities

      Custom Financing       Basket Return       Annually       09/15/2025       USD       35,667     $ 45     $     $ 45  
                                                            $ 45     $     $ 45  

 

 

 

SEI Institutional Investments Trust

 

9

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Disciplined Equity Fund (Continued)

 

 

The following table represents the top 50 individual stock exposures or those exceeding 1% of the Custom Basket Total Return Swap as of August 31, 2024:

 

United States Custom Basket of Long Securities

 

 

Shares

 

Description

 

Notional Amount (Thousands)

   

Value (Thousands)

      Percentage of Basket  
                                 
    202,507  

NVIDIA CORP

  $ 24,880     $ 24,173       69.8 %
    91,480  

ALPHABET INC

    14,766       14,946       41.4  
    58,926  

AMAZON.COM INC

    10,465       10,518       29.3  
    964  

BOOKING HOLDINGS INC

    3,504       3,768       9.8  
    32,940  

COLGATE-PALMOLIVE CO

    3,341       3,508       9.4  
    38,897  

EDISON INTERNATIONAL

    3,239       3,385       9.1  
    57,287  

WELLS FARGO & CO

    3,126       3,350       8.8  
    19,389  

SIMON PROPERTY GROUP INC

    3,061       3,245       8.6  
    24,284  

PULTEGROUP INC

    2,975       3,197       8.3  
    20,967  

EXPEDIA GROUP INC

    2,772       2,916       7.8  
    84,535  

NEWS CORP

    2,331       2,395       6.5  
    88,462  

DROPBOX INC

    2,017       2,224       5.7  
    30,036  

PURE STORAGE INC

    1,873       1,541       5.3  
    21,436  

MEDTRONIC PLC

    1,793       1,899       5.0  
    2,053  

BLACKROCK INC

    1,789       1,851       5.0  
    29,537  

US FOODS HOLDING CORP

    1,688       1,749       4.7  
    3,302  

S&P GLOBAL INC

    1,628       1,695       4.6  
    18,265  

TEXTRON INC

    1,604       1,666       4.5  
    72,559  

HEWLETT PACKARD ENTERPRISE CO

    1,361       1,405       3.8  
    19,774  

INCYTE CORP

    1,225       1,298       3.4  
    15,521  

PERFORMANCE FOOD GROUP CO

    1,135       1,158       3.2  
    12,671  

AGCO CORP

    1,127       1,154       3.2  
    57,427  

LIBERTY GLOBAL LTD

    1,108       1,130       3.1  
    617  

FAIR ISAAC CORP

    1,079       1,068       3.0  
    2,808  

HCA HEALTHCARE INC

    1,055       1,111       3.0  
    46,547  

AT&T INC

    921       926       2.6  
    24,474  

PBF ENERGY INC

    897       834       2.5  
    6,801  

WELLTOWER INC

    791       821       2.2  
    9,993  

MASCO CORP

    770       795       2.2  
    2,388  

EQUIFAX INC

    712       733       2.0  
    2,718  

TELEFLEX INC

    648       666       1.8  
    5,319  

MERCK & CO INC

    603       630       1.7  
    5,219  

POPULAR INC

    525       535       1.5  
    1,974  

ALNYLAM PHARMACEUTICALS INC

    525       519       1.5  
    532  

ELI LILLY & CO

    505       511       1.4  
    3,468  

ORACLE CORP

    475       490       1.3  
    4,198  

DELL TECHNOLOGIES INC

    463       485       1.3  
    7,221  

TAYLOR MORRISON HOME CORPORATION

    448       486       1.3  
    9,463  

OVINTIV INC

    412       405       1.2  
    3,704  

JABIL INC

    399       405       1.1  
    885  

BERKSHIRE HATHAWAY INC

    390       421       1.1  
    3,101  

PPG INDUSTRIES INC

    379       402       1.1  
    8,960  

OMEGA HEALTHCARE INVESTORS INC

    338       354       0.9  
    2,118  

WESCO INTERNATIONAL INC

    337       350       0.9  
    2,360  

NEUROCRINE BIOSCIENCES INC

    300       300       0.8  
    10,242  

FRONTIER COMMUNICATIONS PARENT INC

    294       295       0.8  
    16,704  

NORWEGIAN CRUISE LINE HOLDINGS LTD

    285       299       0.8  
    4,894  

NUTANIX INC

    254       309       0.7  
    10,225  

MGIC INVESTMENT CORP

    250       260       0.7  
    1,503  

INTERCONTINENTAL EXCHANGE INC

    242       243       0.7  
                                 
                                 
                                 
                                 
                                 
                                 
                                 
                                 
                                 
                                 

 

 

 

10

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Disciplined Equity Fund (Continued)

 

 

United States Custom Basket of Short Securities

 

 

Shares

 

Description

 

Notional Amount (Thousands)

   

Value (Thousands)

      Percentage of Basket  
                                 
    (25,581 )

CF INDUSTRIES HOLDINGS INC

  $ (2,044 )   $ (2,126 )     (5.7 )%
    (5,697 )

POOL CORP

    (1,978 )     (2,003 )     (5.5 )
    (46,503 )

CELSIUS HOLDINGS INC

    (1,897 )     (1,769 )     (5.3 )
    (177,207 )

WALGREENS BOOTS ALLIANCE INC

    (1,894 )     (1,639 )     (5.3 )
    (15,836 )

ENPHASE ENERGY INC

    (1,871 )     (1,917 )     (5.2 )
    (17,302 )

FLOOR & DECOR HOLDINGS INC

    (1,832 )     (1,945 )     (5.1 )
    (24,503 )

COSTAR GROUP INC

    (1,830 )     (1,894 )     (5.1 )
    (92,461 )

ROBINHOOD MARKETS INC

    (1,819 )     (1,860 )     (5.1 )
    (15,154 )

EXPEDITORS INTERNATIONAL OF WASHINGTON

    (1,816 )     (1,870 )     (5.1 )
    (108,418 )

UNITY SOFTWARE INC

    (1,806 )     (1,775 )     (5.1 )
    (178,779 )

AMERICAN AIRLINES GROUP INC

    (1,804 )     (1,899 )     (5.1 )
    (3,729 )

KINSALE CAPITAL GROUP INC

    (1,801 )     (1,831 )     (5.0 )
    (7,747 )

FIRST SOLAR INC

    (1,780 )     (1,761 )     (5.0 )
    (10,979 )

REPLIGEN CORP

    (1,773 )     (1,657 )     (5.0 )
    (7,308 )

FABRINET BEARER

    (1,691 )     (1,781 )     (4.7 )
    (4,211 )

MEDPACE HOLDINGS INC

    (1,617 )     (1,496 )     (4.5 )
    (35,996 )

WAYFAIR INC

    (1,585 )     (1,532 )     (4.4 )
    (7,757 )

CHARLES RIVER LABORATORIES INTERNATIONAL INC

    (1,565 )     (1,534 )     (4.4 )
    (21,511 )

AGREE REALTY CORP

    (1,544 )     (1,571 )     (4.3 )
    (19,255 )

WESTERN ALLIANCE BANCORP

    (1,488 )     (1,573 )     (4.2 )
    (11,010 )

FRESHPET INC

    (1,482 )     (1,497 )     (4.2 )
    (23,902 )

FIRST INDUSTRIAL REALTY TRUST INC

    (1,348 )     (1,356 )     (3.8 )
    (11,054 )

CHART INDUSTRIES INC

    (1,265 )     (1,353 )     (3.5 )
    (4,357 )

RBC BEARINGS INC

    (1,262 )     (1,298 )     (3.5 )
    (5,875 )

ASPEN TECHNOLOGY INC

    (1,253 )     (1,376 )     (3.5 )
    (6,572 )

HEICO CORP

    (1,230 )     (1,315 )     (3.4 )
    (37,880 )

DUTCH BROS INC

    (1,222 )     (1,174 )     (3.4 )
    (13,553 )

PINNACLE FINANCIAL PARTNERS INC

    (1,221 )     (1,349 )     (3.4 )
    (110,482 )

CCC INTELLIGENT SOLUTIONS HOLDINGS INC

    (1,185 )     (1,191 )     (3.3 )
    (29,144 )

FIFTH THIRD BANCORP

    (1,170 )     (1,244 )     (3.3 )
    (2,482 )

ERIE INDEMNITY CO

    (1,164 )     (1,261 )     (3.3 )
    (106,346 )

AMCOR PLC

    (1,156 )     (1,217 )     (3.2 )
    (7,488 )

HOULIHAN LOKEY INC

    (1,134 )     (1,173 )     (3.2 )
    (17,891 )

COMMERCE BANCSHARES INC

    (1,096 )     (1,144 )     (3.1 )
    (10,164 )

MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC

    (1,077 )     (1,110 )     (3.0 )
    (11,721 )

SOUTHSTATE CORPORATION

    (1,055 )     (1,138 )     (3.0 )
    (5,126 )

SPS COMMERCE INC

    (1,014 )     (1,024 )     (2.8 )
    (6,652 )

GENERAC HOLDINGS INC

    (993 )     (1,041 )     (2.8 )
    (6,460 )

RLI CORP

    (962 )     (995 )     (2.7 )
    (5,318 )

NOVANTA INC

    (959 )     (975 )     (2.7 )
    (12,682 )

FIVE BELOW INC

    (958 )     (957 )     (2.7 )
    (234,401 )

AURORA INNOVATION INC

    (872 )     (1,095 )     (2.4 )
    (19,670 )

ESSENTIAL UTILITIES INC

    (779 )     (767 )     (2.2 )
    (9,090 )

VAXCYTE INC

    (713 )     (734 )     (2.0 )
    (1,223 )

TYLER TECHNOLOGIES INC

    (712 )     (719 )     (2.0 )
    (61,599 )

ROIVANT SCIENCES LIMITED

    (699 )     (753 )     (2.0 )
    (5,064 )

BLACKSTONE INC

    (691 )     (721 )     (1.9 )
    (10,192 )

TERRENO REALTY CORP

    (691 )     (704 )     (1.9 )
    (15,894 )

REVOLUTION MEDICINES INC

    (691 )     (678 )     (1.9 )
    (1,766 )

SAIA INC

    (681 )     (664 )     (1.9 )
    (4,411 )

SPX TECHNOLOGIES INC

    (677 )     (720 )     (1.9 )
    (2,747 )

MADRIGAL PHARMACEUTICALS INC

    (673 )     (679 )     (1.9 )
    (1,054 )

SUPER MICRO COMPUTER INC

    (648 )     (461 )     (1.8 )
    (10,463 )

VIKING THERAPEUTICS INC

    (599 )     (671 )     (1.7 )
    (16,784 )

DRAFTKINGS INC

    (573 )     (579 )     (1.6 )
    (14,115 )

SUMMIT MATERIALS INC

    (556 )     (572 )     (1.6 )
    (14,620 )

FIRST FINANCIAL BANKSHARES INC

    (517 )     (535 )     (1.5 )
    (6,385 )

INTRA-CELLULAR THERAPIES INC

    (480 )     (468 )     (1.3 )
    (2,691 )

AUTONATION INC

    (468 )     (479 )     (1.3 )

 

 

 

SEI Institutional Investments Trust

 

11

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Disciplined Equity Fund (Concluded)

 

 
 

Shares

 

Description

 

Notional Amount (Thousands)

   

Value (Thousands)

      Percentage of Basket  
                                 
    (15,781 )

AST SPACEMOBILE INC

  $ (463 )   $ (458 )     (1.3 )%
    (2,612 )

PNC FINANCIAL SERVICES GROUP INC

    (450 )     (483 )     (1.3 )
    (2,908 )

AMERICAN WATER WORKS CO INC

    (413 )     (416 )     (1.2 )
    (5,026 )

LOAR HOLDINGS INC

    (354 )     (373 )     (1.0 )

 

 

 

Percentages are based on Net Assets of $1,278,637 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

Real Estate Investment Trust.

(A)

Interest rate represents the security's effective yield at the time of purchase.

 

 

 

 

 

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Liquidity Fund, LP

  $ 2     $     $ (2 )   $     $     $     $     $  

SEI Daily Income Trust, Government Fund,
Institutional Class

    29,003       100,902       (75,210 )                 54,695       382        

Totals

  $ 29,005     $ 100,902     $ (75,212 )   $     $     $ 54,695     $ 382     $  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

12

 

SEI Institutional Investments Trust

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Index Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 97.8%

                 

Communication Services — 8.3%

       

Alphabet Inc, Cl A

    201,460     $ 32,914  

Alphabet Inc, Cl C

    168,880       27,884  

AT&T Inc

    247,885       4,933  

Charter Communications Inc, Cl A *

    3,197       1,111  

Comcast Corp, Cl A

    133,350       5,277  

Electronic Arts Inc

    9,065       1,376  

Fox Corp

    12,027       484  

Frontier Communications Parent Inc *

    8,300       239  

GCI Liberty - Escrow *

    4,949        

IAC Inc *

    2,232       118  

Interpublic Group of Cos Inc/The

    12,845       419  

Iridium Communications Inc

    5,300       137  

Liberty Broadband Corp, Cl A *

    80       5  

Liberty Broadband Corp, Cl C *

    3,678       229  

Liberty Global Ltd, Cl A *

    6,100       118  

Liberty Global PLC *

    6,300       124  

Liberty Media Corp-Liberty Formula One, Cl A *

    1,200       85  

Liberty Media Corp-Liberty Formula One, Cl C *

    7,300       570  

Liberty Media Corp-Liberty Live, Cl A *

    731       29  

Liberty Media Corp-Liberty Live, Cl C *

    1,892       76  

Liberty Media Corp-Liberty SiriusXM *

    6,321       151  

Liberty Media Corp-Liberty SiriusXM, Cl A *

    2,720       65  

Live Nation Entertainment Inc *

    5,100       498  

Madison Square Garden Sports Corp, Cl A *

    486       102  

Match Group Inc *

    8,996       335  

Meta Platforms Inc, Cl A

    75,100       39,150  

Netflix Inc *

    14,700       10,310  

New York Times Co/The, Cl A

    5,400       297  

News Corp

    3,200       94  

News Corp, Cl A

    12,946       367  

Nexstar Media Group Inc, Cl A

    1,000       171  

Omnicom Group Inc

    6,644       667  

Paramount Global, Cl A

    715       16  

Paramount Global, Cl B

    22,586       236  

Pinterest Inc, Cl A *

    21,000       673  

Playtika Holding Corp

    1,405       11  

ROBLOX Corp, Cl A *

    17,400       765  

Roku Inc, Cl A *

    4,300       291  

Sirius XM Holdings Inc

    29,200       96  

Spotify Technology SA *

    5,000       1,714  

Take-Two Interactive Software Inc *

    5,935       960  

TKO Group Holdings Inc, Cl A

    2,500       296  

T-Mobile US Inc

    16,592       3,297  

Trade Desk Inc/The, Cl A *

    15,000       1,568  

TripAdvisor Inc *

    5,167       75  

Trump Media & Technology Group Corp *

    2,100       41  

Verizon Communications Inc

    144,376       6,032  

Walt Disney Co/The

    62,950       5,689  

Warner Bros Discovery Inc *

    84,836       665  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

ZoomInfo Technologies Inc, Cl A *

    12,100     $ 120  
                 
              150,880  

Consumer Discretionary — 9.7%

       

ADT Inc

    5,483       40  

Advance Auto Parts Inc

    2,208       100  

Airbnb Inc, Cl A *

    15,100       1,771  

Amazon.com Inc *

    318,440       56,842  

Amer Sports Inc *

    4,400       60  

Aptiv PLC *

    9,000       644  

Aramark

    8,900       326  

AutoNation Inc *

    832       148  

AutoZone Inc *

    579       1,842  

Bath & Body Works Inc

    7,557       233  

Best Buy Co Inc

    7,147       718  

Birkenstock Holding Plc *

    1,000       50  

Booking Holdings Inc

    1,178       4,605  

BorgWarner Inc

    7,764       265  

Boyd Gaming Corp

    2,400       144  

Bright Horizons Family Solutions Inc *

    1,900       267  

Brunswick Corp/DE

    2,300       182  

Burlington Stores Inc *

    2,300       617  

Caesars Entertainment Inc *

    7,200       271  

Capri Holdings Ltd *

    3,900       139  

CarMax Inc *

    5,760       487  

Carnival Corp, Cl A *

    34,000       561  

Carter's Inc

    1,400       92  

Carvana Co, Cl A *

    3,600       542  

Cava Group Inc *

    1,900       217  

Chipotle Mexican Grill Inc, Cl A *

    46,950       2,633  

Choice Hotels International Inc

    884       113  

Churchill Downs Inc

    2,500       347  

Columbia Sportswear Co

    900       73  

Coupang Inc, Cl A *

    39,300       871  

Crocs Inc *

    2,100       307  

Darden Restaurants Inc

    4,068       643  

Deckers Outdoor Corp *

    900       863  

Dick's Sporting Goods Inc

    1,858       440  

Dillard's Inc, Cl A

    100       34  

Domino's Pizza Inc

    1,200       497  

DoorDash Inc, Cl A *

    11,700       1,506  

DR Horton Inc

    9,968       1,882  

DraftKings Inc, Cl A *

    15,800       545  

Duolingo Inc, Cl A *

    1,300       276  

Dutch Bros Inc, Cl A *

    3,400       105  

eBay Inc

    16,911       1,000  

Etsy Inc *

    4,300       237  

Expedia Group Inc *

    4,322       601  

Five Below Inc *

    2,200       166  

Floor & Decor Holdings Inc, Cl A *

    3,600       405  

Ford Motor Co

    133,984       1,499  

GameStop Corp, Cl A *

    8,300       194  

Gap Inc/The

    7,721       173  

Garmin Ltd

    5,500       1,008  

 

 

 

SEI Institutional Investments Trust

 

13

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

General Motors Co

    38,900     $ 1,937  

Gentex Corp

    7,764       243  

Genuine Parts Co

    4,711       675  

Grand Canyon Education Inc *

    1,200       174  

H&R Block Inc

    4,725       299  

Harley-Davidson Inc

    4,103       154  

Hasbro Inc

    4,967       339  

Hilton Worldwide Holdings Inc

    8,433       1,852  

Home Depot Inc/The

    33,979       12,521  

Hyatt Hotels Corp, Cl A

    1,700       258  

Kohl's Corp

    5,319       103  

Las Vegas Sands Corp

    12,193       475  

Lear Corp

    1,700       198  

Leggett & Platt Inc

    3,312       42  

Lennar Corp, Cl A

    8,190       1,491  

Lennar Corp, Cl B

    513       87  

Light & Wonder Inc, Cl A *

    3,300       362  

Lithia Motors Inc, Cl A

    900       271  

LKQ Corp

    8,400       349  

Lowe's Cos Inc

    19,610       4,873  

Lucid Group Inc *

    23,800       96  

Lululemon Athletica Inc *

    4,100       1,064  

Macy's Inc

    9,300       145  

Marriott International Inc/MD, Cl A

    7,994       1,876  

Marriott Vacations Worldwide Corp

    1,100       81  

Mattel Inc *

    11,542       219  

McDonald's Corp

    24,680       7,124  

MGM Resorts International *

    8,939       336  

Mohawk Industries Inc *

    1,766       274  

Murphy USA Inc

    600       312  

Newell Brands Inc

    14,293       101  

NIKE Inc, Cl B

    41,168       3,430  

Nordstrom Inc

    3,212       72  

Norwegian Cruise Line Holdings Ltd *

    16,700       299  

NVR Inc *

    104       954  

Ollie's Bargain Outlet Holdings Inc *

    2,400       215  

O'Reilly Automotive Inc *

    2,040       2,305  

Penn Entertainment Inc *

    7,000       130  

Penske Automotive Group Inc

    800       136  

Planet Fitness Inc, Cl A *

    2,700       219  

Polaris Inc

    1,900       161  

Pool Corp

    1,200       422  

PulteGroup Inc

    7,145       941  

PVH Corp

    2,200       217  

QuantumScape Corp, Cl A *

    13,000       76  

Ralph Lauren Corp, Cl A

    1,280       219  

RH *

    500       127  

Rivian Automotive Inc, Cl A *

    26,200       370  

Ross Stores Inc

    11,176       1,683  

Royal Caribbean Cruises Ltd *

    8,100       1,333  

Service Corp International/US

    5,194       407  

SharkNinja Inc

    2,400       230  

Skechers USA Inc, Cl A *

    5,100       349  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Starbucks Corp

    38,812     $ 3,671  

Tapestry Inc

    7,767       318  

Tempur Sealy International Inc

    5,700       299  

Tesla Inc *

    95,255       20,395  

Texas Roadhouse Inc, Cl A

    2,300       388  

Thor Industries Inc

    1,700       182  

TJX Cos Inc/The

    39,116       4,587  

Toll Brothers Inc

    3,551       512  

TopBuild Corp *

    1,100       432  

Tractor Supply Co

    3,700       990  

Travel + Leisure Co

    2,768       123  

Ulta Beauty Inc *

    1,652       583  

Under Armour Inc, Cl A *

    9,700       75  

Under Armour Inc, Cl C *

    6,221       46  

Vail Resorts Inc

    1,400       254  

Valvoline Inc *

    5,304       224  

VF Corp

    11,068       202  

Wayfair Inc, Cl A *

    2,700       115  

Wendy's Co/The

    6,043       102  

Whirlpool Corp

    2,016       202  

Williams-Sonoma Inc

    4,524       608  

Wingstop Inc

    1,000       386  

Wyndham Hotels & Resorts Inc

    2,668       210  

Wynn Resorts Ltd

    3,696       284  

YETI Holdings Inc *

    3,300       133  

Yum! Brands Inc

    9,648       1,302  
                 
              176,830  

Consumer Staples — 5.7%

       

Albertsons Cos Inc, Cl A

    16,000       314  

Altria Group Inc

    58,840       3,164  

Archer-Daniels-Midland Co

    16,579       1,011  

BellRing Brands Inc *

    4,800       268  

BJ's Wholesale Club Holdings Inc *

    4,700       376  

Boston Beer Co Inc/The, Cl A *

    400       109  

Brown-Forman Corp, Cl A

    2,200       101  

Brown-Forman Corp, Cl B

    5,217       238  

Bunge Global SA

    4,600       466  

Campbell Soup Co

    6,478       322  

Casey's General Stores Inc

    1,300       471  

Celsius Holdings Inc *

    5,700       217  

Church & Dwight Co Inc

    8,314       847  

Clorox Co/The

    4,203       665  

Coca-Cola Co/The

    133,040       9,641  

Coca-Cola Consolidated Inc

    200       268  

Colgate-Palmolive Co

    27,950       2,977  

Conagra Brands Inc

    15,276       477  

Constellation Brands Inc, Cl A

    5,431       1,307  

Costco Wholesale Corp

    15,181       13,547  

Coty Inc, Cl A *

    14,322       134  

Darling Ingredients Inc *

    6,100       255  

Dollar General Corp

    7,700       639  

Dollar Tree Inc *

    7,334       620  

elf Beauty Inc *

    1,900       285  

 

 

 

14

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Estee Lauder Cos Inc/The, Cl A

    7,908     $ 725  

Flowers Foods Inc

    5,525       128  

Freshpet Inc *

    1,700       231  

General Mills Inc

    19,092       1,380  

Grocery Outlet Holding Corp *

    4,500       85  

Hershey Co/The

    4,998       965  

Hormel Foods Corp

    10,456       340  

Ingredion Inc

    2,200       296  

J M Smucker Co/The

    3,811       437  

Kellanova

    8,903       718  

Kenvue Inc

    65,412       1,436  

Keurig Dr Pepper Inc

    36,700       1,344  

Kimberly-Clark Corp

    11,418       1,652  

Kraft Heinz Co/The

    30,702       1,088  

Kroger Co/The

    22,646       1,205  

Lamb Weston Holdings Inc

    4,762       295  

Maplebear Inc *

    6,300       226  

McCormick & Co Inc/MD

    8,586       687  

Molson Coors Beverage Co, Cl B

    6,262       338  

Mondelez International Inc, Cl A

    45,806       3,289  

Monster Beverage Corp *

    25,874       1,219  

PepsiCo Inc

    47,152       8,152  

Performance Food Group Co *

    5,200       388  

Philip Morris International Inc

    53,268       6,567  

Pilgrim's Pride Corp *

    500       23  

Post Holdings Inc *

    1,800       208  

Procter & Gamble Co/The

    80,854       13,870  

Reynolds Consumer Products Inc

    2,000       63  

Seaboard Corp

    16       50  

Spectrum Brands Holdings Inc

    1,218       115  

Sysco Corp

    17,048       1,329  

Target Corp

    15,875       2,439  

Tyson Foods Inc, Cl A

    9,165       589  

US Foods Holding Corp *

    7,300       432  

Walgreens Boots Alliance Inc

    27,225       252  

Walmart Inc

    148,737       11,487  
                 
              102,767  

Energy — 3.5%

       

Antero Midstream Corp

    13,500       201  

Antero Resources Corp *

    11,200       302  

APA Corp

    11,159       318  

Baker Hughes Co, Cl A

    34,140       1,201  

Cheniere Energy Inc

    7,900       1,464  

Chesapeake Energy Corp

    4,500       335  

Chevron Corp

    59,067       8,739  

Chord Energy Corp

    2,300       341  

Civitas Resources Inc

    3,700       227  

ConocoPhillips

    40,455       4,603  

Coterra Energy Inc, Cl A

    25,281       615  

Devon Energy Corp

    21,127       946  

Diamondback Energy Inc

    6,017       1,174  

DT Midstream Inc

    3,282       258  

EOG Resources Inc

    19,690       2,537  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

EQT Corp

    13,519     $ 453  

Exxon Mobil Corp

    153,793       18,138  

Halliburton Co

    29,636       921  

Hess Corp

    9,512       1,313  

HF Sinclair Corp

    5,726       281  

Kinder Morgan Inc

    65,622       1,416  

Marathon Oil Corp

    19,476       558  

Marathon Petroleum Corp

    12,019       2,129  

Matador Resources Co

    4,300       244  

New Fortress Energy Inc, Cl A

    1,500       19  

NOV Inc

    14,580       259  

Occidental Petroleum Corp

    21,619       1,232  

ONEOK Inc

    19,858       1,834  

Ovintiv Inc

    9,900       424  

Permian Resources Corp, Cl A

    23,100       329  

Phillips 66

    14,488       2,033  

Range Resources Corp

    9,300       278  

Schlumberger NV

    48,955       2,154  

Southwestern Energy Co *

    37,000       236  

Targa Resources Corp

    7,700       1,131  

TechnipFMC PLC

    15,400       413  

Texas Pacific Land Corp

    668       580  

Valero Energy Corp

    11,136       1,634  

Viper Energy Inc, Cl A

    3,400       162  

Weatherford International PLC

    2,600       273  

Williams Cos Inc/The

    41,496       1,899  
                 
              63,604  

Financials — 13.5%

       

Affiliated Managers Group Inc

    1,120       195  

Affirm Holdings Inc, Cl A *

    8,900       392  

Aflac Inc

    19,612       2,164  

AGNC Investment Corp

    26,859       274  

Allstate Corp/The

    8,925       1,686  

Ally Financial Inc

    9,300       402  

American Express Co

    19,572       5,062  

American Financial Group Inc/OH

    2,214       296  

American International Group Inc

    23,023       1,774  

Ameriprise Financial Inc

    3,380       1,519  

Annaly Capital Management Inc

    15,802       319  

Aon PLC, Cl A

    6,721       2,310  

Apollo Global Management Inc

    17,819       2,062  

Arch Capital Group Ltd *

    12,300       1,391  

Ares Management Corp, Cl A

    6,000       878  

Arthur J Gallagher & Co

    7,387       2,161  

Assurant Inc

    1,793       352  

Assured Guaranty Ltd

    1,700       136  

Axis Capital Holdings Ltd

    2,500       200  

Bank of America Corp

    232,563       9,477  

Bank of New York Mellon Corp/The

    25,509       1,740  

Bank OZK

    3,900       169  

Berkshire Hathaway Inc, Cl B *

    62,700       29,840  

BlackRock Inc, Cl A

    5,085       4,586  

Blackstone Inc

    24,500       3,488  

 

 

 

SEI Institutional Investments Trust

 

15

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Block Inc, Cl A *

    19,000     $ 1,256  

Blue Owl Capital Inc, Cl A

    18,000       318  

BOK Financial Corp

    1,075       113  

Brighthouse Financial Inc *

    2,528       116  

Brown & Brown Inc

    8,148       857  

Capital One Financial Corp

    12,925       1,899  

Carlyle Group Inc/The

    8,300       333  

Cboe Global Markets Inc

    3,600       739  

Charles Schwab Corp/The

    51,040       3,323  

Chubb Ltd

    13,891       3,948  

Cincinnati Financial Corp

    5,186       711  

Citigroup Inc

    66,104       4,141  

Citizens Financial Group Inc

    15,000       646  

CME Group Inc, Cl A

    12,470       2,690  

CNA Financial Corp

    700       36  

Coinbase Global Inc, Cl A *

    6,700       1,229  

Columbia Banking System Inc

    6,732       169  

Comerica Inc

    5,053       289  

Commerce Bancshares Inc/MO

    4,461       285  

Corebridge Financial Inc

    9,000       266  

Corpay Inc *

    2,400       757  

Credit Acceptance Corp *

    200       93  

Cullen/Frost Bankers Inc

    2,268       255  

Discover Financial Services

    8,589       1,191  

East West Bancorp Inc

    4,700       395  

Equitable Holdings Inc

    11,100       472  

Euronet Worldwide Inc *

    1,400       151  

Evercore Inc, Cl A

    1,200       295  

Everest Group Ltd

    1,500       588  

FactSet Research Systems Inc

    1,325       560  

Fidelity National Financial Inc

    8,352       492  

Fidelity National Information Services Inc

    19,048       1,570  

Fifth Third Bancorp

    22,782       973  

First American Financial Corp

    3,800       242  

First Citizens BancShares Inc/NC, Cl A

    400       812  

First Hawaiian Inc

    4,800       117  

First Horizon Corp

    19,156       318  

Fiserv Inc *

    19,974       3,487  

FNB Corp/PA

    11,200       168  

Franklin Resources Inc

    8,749       177  

Global Payments Inc

    8,852       983  

Globe Life Inc

    3,087       324  

Goldman Sachs Group Inc/The

    10,875       5,549  

Hanover Insurance Group Inc/The

    1,093       161  

Hartford Financial Services Group Inc/The

    10,410       1,209  

Houlihan Lokey Inc, Cl A

    1,700       266  

Huntington Bancshares Inc/OH

    49,582       742  

Interactive Brokers Group Inc, Cl A

    3,300       425  

Intercontinental Exchange Inc

    19,500       3,150  

Invesco Ltd

    12,000       205  

Jack Henry & Associates Inc

    2,400       415  

Janus Henderson Group PLC

    5,400       203  

Jefferies Financial Group Inc

    5,706       342  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

JPMorgan Chase & Co

    98,270     $ 22,091  

Kemper Corp

    2,400       150  

KeyCorp

    29,851       509  

Kinsale Capital Group Inc

    700       344  

KKR & Co Inc

    23,100       2,859  

Lazard Inc, Cl A

    3,800       190  

Lincoln National Corp

    6,388       205  

Loews Corp

    6,136       503  

LPL Financial Holdings Inc

    2,600       583  

M&T Bank Corp

    5,657       974  

Markel Group Inc *

    437       699  

MarketAxess Holdings Inc

    1,300       315  

Marsh & McLennan Cos Inc

    16,965       3,860  

Mastercard Inc, Cl A

    28,300       13,679  

MetLife Inc

    20,209       1,566  

MGIC Investment Corp

    10,600       270  

Moody's Corp

    5,427       2,647  

Morgan Stanley

    40,014       4,146  

Morningstar Inc

    1,000       314  

MSCI Inc, Cl A

    2,600       1,510  

Nasdaq Inc

    12,930       932  

Northern Trust Corp

    6,905       630  

NU Holdings Ltd/Cayman Islands, Cl A *

    108,000       1,617  

Old Republic International Corp

    9,290       333  

OneMain Holdings Inc, Cl A

    4,600       227  

PayPal Holdings Inc *

    35,811       2,594  

Pinnacle Financial Partners Inc

    2,600       259  

PNC Financial Services Group Inc/The

    13,722       2,540  

Popular Inc

    2,453       251  

Primerica Inc

    1,200       316  

Principal Financial Group Inc

    7,908       644  

Progressive Corp/The

    20,180       5,089  

Prosperity Bancshares Inc

    3,300       243  

Prudential Financial Inc

    12,163       1,474  

Raymond James Financial Inc

    6,531       781  

Regions Financial Corp

    30,187       707  

Reinsurance Group of America Inc, Cl A

    2,199       485  

RenaissanceRe Holdings Ltd

    1,700       433  

Rithm Capital Corp

    15,500       185  

RLI Corp

    1,400       216  

Robinhood Markets Inc, Cl A *

    22,600       455  

Rocket Cos Inc, Cl A *

    4,300       84  

Ryan Specialty Holdings Inc, Cl A

    3,800       246  

S&P Global Inc

    10,776       5,531  

SEI Investments Co

    3,442       233  

Shift4 Payments Inc, Cl A *

    2,400       199  

SLM Corp

    8,731       193  

SoFi Technologies Inc *

    32,100       256  

Starwood Property Trust Inc

    10,000       208  

State Street Corp

    9,979       869  

Stifel Financial Corp

    3,700       326  

Synchrony Financial

    13,618       684  

Synovus Financial Corp

    5,696       263  

 

 

 

16

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

T Rowe Price Group Inc

    7,530     $ 798  

TFS Financial Corp

    2,500       34  

Toast Inc, Cl A *

    15,000       373  

TPG Inc, Cl A

    2,700       136  

Tradeweb Markets Inc, Cl A

    3,900       461  

Travelers Cos Inc/The

    7,775       1,773  

Truist Financial Corp

    45,563       2,026  

Unum Group

    6,205       344  

US Bancorp

    53,397       2,522  

UWM Holdings Corp

    2,300       22  

Virtu Financial Inc, Cl A

    2,700       83  

Visa Inc, Cl A

    54,000       14,924  

Voya Financial Inc

    3,300       234  

W R Berkley Corp

    11,071       661  

Webster Financial Corp

    5,746       273  

Wells Fargo & Co

    120,066       7,020  

Western Alliance Bancorp

    3,600       294  

Western Union Co/The

    11,528       141  

WEX Inc *

    1,500       287  

White Mountains Insurance Group Ltd

    79       146  

Willis Towers Watson PLC

    3,562       1,040  

Wintrust Financial Corp

    2,400       261  

XP Inc, Cl A

    12,400       228  

Zions Bancorp NA

    5,602       278  
                 
              244,600  

Health Care — 11.8%

       

10X Genomics Inc, Cl A *

    4,400       103  

Abbott Laboratories

    59,237       6,710  

AbbVie Inc

    60,701       11,916  

Acadia Healthcare Co Inc *

    3,500       287  

Agilent Technologies Inc

    9,964       1,424  

Align Technology Inc *

    2,600       617  

Alnylam Pharmaceuticals Inc *

    4,400       1,156  

Amedisys Inc *

    1,200       118  

Amgen Inc

    18,358       6,128  

Apellis Pharmaceuticals Inc *

    4,200       163  

Avantor Inc *

    21,900       566  

Azenta Inc *

    1,800       89  

Baxter International Inc

    17,415       661  

Becton Dickinson & Co

    9,870       2,393  

Biogen Inc *

    5,100       1,044  

BioMarin Pharmaceutical Inc *

    6,400       584  

Bio-Rad Laboratories Inc, Cl A *

    700       236  

Bio-Techne Corp

    5,264       389  

Boston Scientific Corp *

    50,639       4,142  

Bristol-Myers Squibb Co

    69,419       3,467  

Bruker Corp

    3,500       235  

Cardinal Health Inc

    8,329       939  

Catalent Inc *

    6,300       384  

Cencora Inc

    5,724       1,371  

Centene Corp *

    18,058       1,424  

Certara Inc *

    5,700       70  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Charles River Laboratories International Inc *

    1,743     $ 345  

Chemed Corp

    500       293  

Cigna Group/The

    9,602       3,474  

Cooper Cos Inc/The

    6,716       710  

CVS Health Corp

    43,299       2,478  

Danaher Corp

    22,702       6,114  

DaVita Inc *

    1,885       285  

DENTSPLY SIRONA Inc

    7,066       179  

Dexcom Inc *

    13,500       936  

Doximity Inc, Cl A *

    3,700       136  

Edwards Lifesciences Corp *

    20,484       1,433  

Elanco Animal Health Inc *

    16,637       257  

Elevance Health Inc

    8,031       4,472  

Eli Lilly & Co

    29,171       28,005  

Encompass Health Corp

    3,400       316  

Enovis Corp *

    2,166       101  

Envista Holdings Corp *

    4,500       82  

Exact Sciences Corp *

    6,600       407  

Exelixis Inc *

    10,500       273  

Fortrea Holdings Inc *

    3,890       90  

GE HealthCare Technologies Inc

    14,556       1,235  

Gilead Sciences Inc

    42,934       3,392  

Globus Medical Inc, Cl A *

    4,000       291  

GRAIL Inc *

    1,017       14  

HCA Healthcare Inc

    6,600       2,611  

Henry Schein Inc *

    4,568       322  

Hologic Inc *

    7,900       642  

Humana Inc

    4,075       1,444  

IDEXX Laboratories Inc *

    2,804       1,350  

Illumina Inc *

    5,205       684  

Incyte Corp *

    5,900       387  

Inspire Medical Systems Inc *

    1,200       216  

Insulet Corp *

    2,300       466  

Intra-Cellular Therapies Inc *

    3,800       278  

Intuitive Surgical Inc *

    12,115       5,968  

Ionis Pharmaceuticals Inc *

    4,900       234  

IQVIA Holdings Inc *

    6,113       1,538  

Jazz Pharmaceuticals PLC *

    2,300       267  

Johnson & Johnson

    82,700       13,717  

Labcorp Holdings Inc

    2,890       664  

Masimo Corp *

    1,700       200  

McKesson Corp

    4,470       2,508  

Medpace Holdings Inc *

    900       320  

Medtronic PLC

    45,526       4,033  

Merck & Co Inc

    86,943       10,298  

Mettler-Toledo International Inc *

    749       1,078  

Moderna Inc *

    11,400       882  

Molina Healthcare Inc *

    2,000       700  

Natera Inc *

    3,800       449  

Neurocrine Biosciences Inc *

    3,200       407  

Organon & Co

    9,754       218  

Penumbra Inc *

    1,400       283  

 

 

 

SEI Institutional Investments Trust

 

17

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Perrigo Co PLC

    7,800     $ 227  

Pfizer Inc

    194,222       5,634  

Premier Inc, Cl A

    4,400       90  

QIAGEN NV

    7,517       344  

Quest Diagnostics Inc

    3,744       588  

QuidelOrtho Corp *

    1,900       80  

R1 RCM Inc *

    6,500       92  

Regeneron Pharmaceuticals Inc *

    3,542       4,196  

Repligen Corp *

    1,900       287  

ResMed Inc

    5,012       1,228  

Revvity Inc

    4,134       507  

Roivant Sciences Ltd *

    10,300       126  

Royalty Pharma PLC, Cl A

    13,200       383  

Sarepta Therapeutics Inc *

    3,100       421  

Solventum Corp *

    4,715       302  

Sotera Health Co *

    4,500       69  

STERIS PLC

    3,400       820  

Stryker Corp

    12,504       4,507  

Teleflex Inc

    1,640       402  

Tenet Healthcare Corp *

    3,500       580  

Thermo Fisher Scientific Inc

    13,125       8,073  

Ultragenyx Pharmaceutical Inc *

    3,500       199  

United Therapeutics Corp *

    1,400       509  

UnitedHealth Group Inc

    31,520       18,603  

Universal Health Services Inc, Cl B

    1,976       470  

Veeva Systems Inc, Cl A *

    5,200       1,126  

Vertex Pharmaceuticals Inc *

    8,900       4,413  

Viatris Inc

    40,322       487  

Viking Therapeutics Inc *

    3,900       250  

Waters Corp *

    1,973       683  

West Pharmaceutical Services Inc

    2,600       815  

Zimmer Biomet Holdings Inc

    6,925       800  

Zoetis Inc, Cl A

    15,744       2,889  
                 
              214,298  

Industrials — 9.1%

       

3M Co

    18,862       2,541  

A O Smith Corp

    3,800       318  

AAON Inc

    2,500       239  

Acuity Brands Inc

    1,200       306  

Advanced Drainage Systems Inc

    2,300       361  

AECOM

    4,316       432  

AGCO Corp

    2,400       218  

Air Lease Corp, Cl A

    4,100       190  

Alaska Air Group Inc *

    4,900       177  

Allegion plc

    2,766       384  

Allison Transmission Holdings Inc

    3,000       278  

American Airlines Group Inc *

    24,600       261  

AMETEK Inc

    7,928       1,356  

API Group Corp *

    8,400       299  

Armstrong World Industries Inc

    1,700       215  

Automatic Data Processing Inc

    14,092       3,888  

Avis Budget Group Inc

    700       57  

Axon Enterprise Inc *

    2,500       912  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

AZEK Co Inc/The, Cl A *

    4,800     $ 205  

Boeing Co/The *

    19,993       3,474  

Booz Allen Hamilton Holding Corp, Cl A

    4,500       714  

Broadridge Financial Solutions Inc

    4,073       867  

Builders FirstSource Inc *

    4,100       713  

BWX Technologies Inc

    3,150       324  

CACI International Inc, Cl A *

    736       359  

Carlisle Cos Inc

    1,666       706  

Carrier Global Corp

    28,678       2,087  

Caterpillar Inc

    16,747       5,964  

CH Robinson Worldwide Inc

    4,048       419  

Cintas Corp

    2,957       2,381  

Clarivate PLC *

    17,400       119  

Clean Harbors Inc *

    1,800       443  

CNH Industrial NV

    29,600       306  

Comfort Systems USA Inc

    1,300       460  

Concentrix Corp

    1,600       120  

Copart Inc *

    29,744       1,575  

Core & Main Inc, Cl A *

    5,600       269  

Crane Co

    1,800       285  

CSX Corp

    66,888       2,292  

Cummins Inc

    4,648       1,454  

Curtiss-Wright Corp

    1,300       411  

Dayforce Inc *

    5,000       286  

Deere & Co

    8,719       3,363  

Delta Air Lines Inc

    22,000       935  

Donaldson Co Inc

    4,044       294  

Dover Corp

    4,857       904  

Dun & Bradstreet Holdings Inc

    8,900       107  

Eaton Corp PLC

    13,716       4,210  

EMCOR Group Inc

    1,500       590  

Emerson Electric Co

    19,610       2,067  

Equifax Inc

    4,156       1,276  

Esab Corp

    2,166       227  

Expeditors International of Washington Inc

    4,648       574  

Fastenal Co

    19,348       1,321  

FedEx Corp

    7,844       2,344  

Ferguson Enterprises Inc

    6,900       1,419  

Flowserve Corp

    5,200       259  

Fortive Corp

    12,053       897  

Fortune Brands Innovations Inc

    4,220       335  

FTI Consulting Inc *

    1,100       251  

Gates Industrial Corp PLC *

    4,900       89  

GE Vernova Inc *

    9,242       1,858  

Generac Holdings Inc *

    2,000       313  

General Dynamics Corp

    9,472       2,836  

General Electric Co

    37,270       6,508  

Genpact Ltd

    6,800       267  

Graco Inc

    5,672       473  

GXO Logistics Inc *

    3,900       195  

Hayward Holdings Inc *

    5,500       82  

HEICO Corp

    1,410       362  

HEICO Corp, Cl A

    2,621       524  

 

 

 

18

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Hexcel Corp

    3,300     $ 209  

Honeywell International Inc

    22,490       4,676  

Howmet Aerospace Inc

    13,767       1,331  

Hubbell Inc, Cl B

    1,892       757  

Huntington Ingalls Industries Inc

    1,337       378  

IDEX Corp

    2,593       535  

Illinois Tool Works Inc

    10,180       2,577  

Ingersoll Rand Inc

    13,665       1,250  

ITT Inc

    2,751       383  

Jacobs Solutions Inc

    4,284       646  

JB Hunt Transport Services Inc

    3,052       529  

Johnson Controls International plc

    23,166       1,688  

KBR Inc

    4,100       284  

Kirby Corp *

    2,000       240  

Knight-Swift Transportation Holdings Inc, Cl A

    5,300       278  

L3Harris Technologies Inc

    6,434       1,523  

Landstar System Inc

    1,365       249  

Leidos Holdings Inc

    4,573       725  

Lennox International Inc

    1,020       602  

Lincoln Electric Holdings Inc

    1,700       329  

Lockheed Martin Corp

    7,373       4,189  

Lyft Inc, Cl A *

    14,900       174  

ManpowerGroup Inc

    1,484       110  

Masco Corp

    7,479       595  

MasTec Inc *

    2,100       238  

MDU Resources Group Inc

    6,821       175  

Middleby Corp/The *

    1,800       253  

MSA Safety Inc

    1,200       219  

MSC Industrial Direct Co Inc, Cl A

    1,820       150  

Nordson Corp

    1,900       487  

Norfolk Southern Corp

    7,695       1,971  

Northrop Grumman Corp

    4,778       2,500  

nVent Electric PLC

    5,273       358  

Old Dominion Freight Line Inc

    6,700       1,292  

Oshkosh Corp

    2,259       244  

Otis Worldwide Corp

    13,739       1,301  

Owens Corning

    2,900       489  

PACCAR Inc

    17,544       1,687  

Parker-Hannifin Corp

    4,404       2,643  

Parsons Corp *

    1,700       162  

Paychex Inc

    10,907       1,431  

Paycom Software Inc

    1,900       309  

Paycor HCM Inc *

    1,700       24  

Paylocity Holding Corp *

    1,700       274  

Pentair PLC

    5,573       494  

Quanta Services Inc

    4,967       1,367  

RB Global Inc

    6,210       535  

RBC Bearings Inc *

    900       268  

Regal Rexnord Corp

    2,276       382  

Republic Services Inc, Cl A

    6,942       1,445  

Robert Half Inc

    4,076       255  

Rockwell Automation Inc

    3,904       1,062  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Rollins Inc

    10,037     $ 504  

RTX Corp

    45,562       5,620  

Ryder System Inc

    1,706       248  

Saia Inc *

    1,000       376  

Schneider National Inc, Cl B

    3,000       81  

Science Applications International Corp

    1,700       222  

Sensata Technologies Holding PLC

    5,100       197  

Simpson Manufacturing Co Inc

    1,600       293  

SiteOne Landscape Supply Inc *

    1,500       213  

Snap-on Inc

    1,691       480  

Southwest Airlines Co

    20,320       588  

Spirit AeroSystems Holdings Inc, Cl A *

    4,400       155  

SS&C Technologies Holdings Inc

    7,300       548  

Stanley Black & Decker Inc

    5,593       572  

Stericycle Inc *

    3,626       215  

Tetra Tech Inc

    1,700       404  

Textron Inc

    6,222       567  

Timken Co/The

    2,169       183  

Toro Co/The

    3,540       328  

Trane Technologies PLC

    7,800       2,821  

TransDigm Group Inc

    1,893       2,599  

TransUnion

    6,300       610  

Trex Co Inc *

    3,700       236  

Uber Technologies Inc *

    68,800       5,031  

U-Haul Holding Co *

    400       28  

U-Haul Holding Co, Cl B

    3,600       246  

Union Pacific Corp

    21,032       5,386  

United Airlines Holdings Inc *

    10,600       467  

United Parcel Service Inc, Cl B

    25,141       3,232  

United Rentals Inc

    2,300       1,705  

Valmont Industries Inc

    600       171  

Veralto Corp

    8,467       952  

Verisk Analytics Inc, Cl A

    4,800       1,310  

Vertiv Holdings Co, Cl A

    12,500       1,038  

Vestis Corp

    5,150       72  

Waste Management Inc

    13,794       2,925  

Watsco Inc

    1,200       570  

WESCO International Inc

    1,500       248  

Westinghouse Air Brake Technologies Corp

    6,137       1,041  

WillScot Holdings Corp, Cl A *

    6,700       258  

Woodward Inc

    1,900       317  

WW Grainger Inc

    1,487       1,465  

XPO Inc *

    3,600       413  

Xylem Inc/NY

    8,102       1,114  
                 
              165,866  

Information Technology — 29.0%

       

Accenture PLC, Cl A

    21,500       7,352  

Adobe Inc *

    15,302       8,790  

Advanced Micro Devices Inc *

    55,113       8,188  

Akamai Technologies Inc *

    4,818       491  

Allegro MicroSystems Inc *

    2,100       51  

Amdocs Ltd

    4,200       365  

Amkor Technology Inc

    4,100       135  

 

 

 

SEI Institutional Investments Trust

 

19

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Amphenol Corp, Cl A

    40,536     $ 2,734  

Analog Devices Inc

    17,003       3,993  

ANSYS Inc *

    2,900       932  

Appfolio Inc, Cl A *

    800       186  

Apple Inc

    498,363       114,125  

Applied Materials Inc

    28,455       5,613  

AppLovin Corp, Cl A *

    8,900       827  

Arista Networks Inc *

    8,900       3,145  

Arrow Electronics Inc *

    2,089       282  

Aspen Technology Inc *

    970       227  

Astera Labs Inc *

    800       34  

Atlassian Corp, Cl A *

    5,600       927  

Autodesk Inc *

    7,337       1,896  

Avnet Inc

    3,610       199  

Bentley Systems Inc, Cl B

    5,100       262  

BILL Holdings Inc *

    3,700       202  

Broadcom Inc

    155,880       25,380  

Cadence Design Systems Inc *

    9,363       2,518  

CCC Intelligent Solutions Holdings Inc *

    13,500       146  

CDW Corp/DE

    4,500       1,015  

Ciena Corp *

    4,300       248  

Cirrus Logic Inc *

    1,800       262  

Cisco Systems Inc

    138,927       7,021  

Cloudflare Inc, Cl A *

    10,200       838  

Cognex Corp

    5,800       234  

Cognizant Technology Solutions Corp, Cl A

    16,776       1,305  

Coherent Corp *

    4,183       326  

Confluent Inc, Cl A *

    7,800       165  

Corning Inc

    26,158       1,095  

Crane NXT Co

    2,100       123  

Crowdstrike Holdings Inc, Cl A *

    7,500       2,080  

Datadog Inc, Cl A *

    10,100       1,174  

Dell Technologies Inc, Cl C

    8,400       971  

DocuSign Inc, Cl A *

    7,200       426  

Dolby Laboratories Inc, Cl A

    1,943       139  

DoubleVerify Holdings Inc *

    4,800       95  

Dropbox Inc, Cl A *

    8,300       209  

DXC Technology Co *

    6,636       137  

Dynatrace Inc *

    8,800       445  

Elastic NV *

    2,800       213  

Enphase Energy Inc *

    4,500       545  

Entegris Inc

    5,200       603  

EPAM Systems Inc *

    1,700       341  

F5 Inc *

    1,831       372  

Fair Isaac Corp *

    800       1,384  

First Solar Inc *

    3,600       819  

Five9 Inc *

    2,200       71  

Fortinet Inc *

    21,400       1,642  

Gartner Inc *

    2,610       1,284  

Gen Digital Inc

    19,148       507  

Gitlab Inc, Cl A *

    3,600       171  

GLOBALFOUNDRIES Inc *

    2,700       126  

Globant SA *

    1,400       283  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

GoDaddy Inc, Cl A *

    4,800     $ 804  

Guidewire Software Inc *

    2,800       417  

HashiCorp Inc, Cl A *

    3,900       132  

Hewlett Packard Enterprise Co

    43,470       842  

HP Inc

    33,070       1,196  

HubSpot Inc *

    1,700       848  

Informatica Inc, Cl A *

    1,700       42  

Intel Corp

    147,258       3,246  

International Business Machines Corp

    31,401       6,347  

Intuit Inc

    9,352       5,894  

IPG Photonics Corp *

    800       55  

Jabil Inc

    3,974       434  

Juniper Networks Inc

    10,625       413  

Keysight Technologies Inc *

    6,032       930  

KLA Corp

    4,649       3,810  

Kyndryl Holdings Inc *

    9,059       215  

Lam Research Corp

    4,452       3,655  

Lattice Semiconductor Corp *

    5,200       246  

Littelfuse Inc

    800       218  

Lumentum Holdings Inc *

    2,700       156  

MACOM Technology Solutions Holdings Inc *

    2,000       218  

Manhattan Associates Inc *

    2,000       529  

Marvell Technology Inc

    29,338       2,237  

Microchip Technology Inc

    18,030       1,481  

Micron Technology Inc

    38,116       3,668  

Microsoft Corp

    254,916       106,336  

MicroStrategy Inc, Cl A *

    5,000       662  

MKS Instruments Inc

    2,300       274  

MongoDB Inc, Cl A *

    2,400       698  

Monolithic Power Systems Inc

    1,602       1,497  

Motorola Solutions Inc

    5,614       2,482  

nCino Inc *

    2,900       87  

NetApp Inc

    7,055       852  

Nutanix Inc, Cl A *

    7,800       493  

NVIDIA Corp

    815,240       97,315  

Okta Inc, Cl A *

    5,000       394  

ON Semiconductor Corp *

    14,500       1,129  

Onto Innovation Inc *

    1,800       384  

Oracle Corp

    53,820       7,604  

Palantir Technologies Inc, Cl A *

    68,800       2,166  

Palo Alto Networks Inc *

    10,562       3,831  

Pegasystems Inc

    1,500       106  

Procore Technologies Inc *

    3,100       184  

PTC Inc *

    3,900       698  

Pure Storage Inc, Cl A *

    9,900       508  

Qorvo Inc *

    3,500       406  

QUALCOMM Inc

    38,259       6,707  

RingCentral Inc, Cl A *

    3,100       103  

Roper Technologies Inc

    3,700       2,051  

Salesforce Inc

    32,118       8,123  

SentinelOne Inc, Cl A *

    7,700       181  

ServiceNow Inc *

    7,000       5,985  

Skyworks Solutions Inc

    5,500       603  

 

 

 

20

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Smartsheet Inc, Cl A *

    4,100     $ 200  

Snowflake Inc, Cl A *

    10,700       1,222  

Super Micro Computer Inc *

    1,700       744  

Synopsys Inc *

    5,282       2,744  

TD SYNNEX Corp

    2,500       304  

Teledyne Technologies Inc *

    1,667       721  

Teradata Corp *

    2,989       84  

Teradyne Inc

    5,363       733  

Texas Instruments Inc

    31,208       6,689  

Trimble Inc *

    8,228       466  

Twilio Inc, Cl A *

    5,900       370  

Tyler Technologies Inc *

    1,400       823  

Ubiquiti Inc

    300       58  

UiPath Inc, Cl A *

    15,800       203  

Unity Software Inc *

    12,200       200  

Universal Display Corp

    1,600       310  

VeriSign Inc *

    2,785       512  

Vontier Corp

    5,901       207  

Western Digital Corp *

    11,596       761  

Wolfspeed Inc *

    5,000       49  

Workday Inc, Cl A *

    7,200       1,895  

Zebra Technologies Corp, Cl A *

    1,725       596  

Zoom Video Communications Inc, Cl A *

    8,500       587  

Zscaler Inc *

    3,300       660  
                 
              526,699  

Materials — 2.4%

       

Air Products and Chemicals Inc

    7,594       2,118  

Albemarle Corp

    3,973       359  

Alcoa Corp

    7,100       228  

Amcor PLC

    48,600       556  

AptarGroup Inc

    2,200       337  

Ardagh Metal Packaging SA

    3,000       11  

Ashland Inc

    1,676       150  

ATI Inc *

    4,500       287  

Avery Dennison Corp

    2,710       601  

Axalta Coating Systems Ltd *

    7,400       270  

Ball Corp

    10,600       676  

Berry Global Group Inc

    3,900       269  

Celanese Corp, Cl A

    3,883       507  

CF Industries Holdings Inc

    6,030       501  

Chemours Co/The

    4,300       84  

Cleveland-Cliffs Inc *

    14,100       184  

Corteva Inc

    23,876       1,368  

CRH PLC

    23,400       2,124  

Crown Holdings Inc

    3,951       357  

Dow Inc

    23,776       1,274  

DuPont de Nemours Inc

    14,109       1,189  

Eagle Materials Inc

    1,200       309  

Eastman Chemical Co

    3,928       402  

Ecolab Inc

    8,555       2,166  

Element Solutions Inc

    8,900       238  

FMC Corp

    4,420       285  

Freeport-McMoRan Inc, Cl B

    49,724       2,202  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Graphic Packaging Holding Co

    10,300     $ 308  

Huntsman Corp

    6,029       133  

International Flavors & Fragrances Inc

    8,752       910  

International Paper Co

    11,855       574  

Linde PLC

    16,500       7,891  

Louisiana-Pacific Corp

    2,200       214  

LyondellBasell Industries NV, Cl A

    8,660       855  

Martin Marietta Materials Inc

    2,063       1,102  

Mosaic Co/The

    10,878       311  

MP Materials Corp *

    5,300       68  

NewMarket Corp

    200       115  

Newmont Corp

    39,433       2,105  

Nucor Corp

    8,090       1,229  

Olin Corp

    4,000       175  

Packaging Corp of America

    2,999       628  

PPG Industries Inc

    7,965       1,033  

Reliance Inc

    1,900       545  

Royal Gold Inc

    2,200       308  

RPM International Inc

    4,069       473  

Scotts Miracle-Gro Co/The, Cl A

    1,606       114  

Sealed Air Corp

    4,868       170  

Sherwin-Williams Co/The

    8,011       2,959  

Silgan Holdings Inc

    2,308       121  

Smurfit WestRock PLC

    8,145       386  

Sonoco Products Co

    3,246       184  

Southern Copper Corp

    2,922       297  

Steel Dynamics Inc

    5,100       610  

United States Steel Corp

    7,600       288  

Vulcan Materials Co

    4,557       1,117  

Westlake Corp

    1,300       189  
                 
              44,464  

Real Estate — 2.5%

       

Agree Realty Corp

    3,800       277  

Alexandria Real Estate Equities Inc

    6,000       717  

American Homes 4 Rent, Cl A

    10,700       426  

American Tower Corp, Cl A

    16,112       3,610  

Americold Realty Trust Inc

    9,600       278  

AvalonBay Communities Inc

    4,941       1,115  

Brixmor Property Group Inc

    10,100       277  

BXP Inc

    5,584       420  

Camden Property Trust

    3,247       407  

CBRE Group Inc, Cl A *

    10,417       1,199  

CoStar Group Inc *

    13,900       1,074  

Cousins Properties Inc

    4,300       123  

Crown Castle Inc

    14,796       1,657  

CubeSmart

    7,000       363  

Digital Realty Trust Inc

    10,996       1,667  

EastGroup Properties Inc

    1,600       298  

EPR Properties

    2,800       133  

Equinix Inc

    3,263       2,722  

Equity LifeStyle Properties Inc

    6,400       465  

Equity Residential

    12,577       942  

Essex Property Trust Inc

    2,163       653  

 

 

 

SEI Institutional Investments Trust

 

21

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Extra Space Storage Inc

    7,098     $ 1,256  

Federal Realty Investment Trust

    3,096       356  

First Industrial Realty Trust Inc

    4,600       261  

Gaming and Leisure Properties Inc

    8,835       460  

Healthcare Realty Trust Inc, Cl A

    12,800       228  

Healthpeak Properties Inc

    22,874       510  

Highwoods Properties Inc

    3,900       126  

Host Hotels & Resorts Inc

    22,240       394  

Howard Hughes Holdings Inc *

    1,073       81  

Invitation Homes Inc

    21,200       781  

Iron Mountain Inc

    10,103       1,144  

Jones Lang LaSalle Inc *

    1,500       383  

Kilroy Realty Corp

    4,600       167  

Kimco Realty Corp

    22,371       520  

Lamar Advertising Co, Cl A

    2,940       370  

Medical Properties Trust Inc

    17,800       80  

Mid-America Apartment Communities Inc

    3,950       641  

National Storage Affiliates Trust

    2,200       103  

NNN REIT Inc

    5,500       258  

Omega Healthcare Investors Inc

    7,900       312  

Park Hotels & Resorts Inc

    8,288       127  

Prologis Inc

    31,603       4,039  

Public Storage

    5,368       1,845  

Rayonier Inc

    4,604       142  

Realty Income Corp

    29,454       1,829  

Regency Centers Corp

    5,858       426  

Rexford Industrial Realty Inc

    7,800       397  

SBA Communications Corp, Cl A

    3,732       846  

Seaport Entertainment Group Inc *

    119       4  

Simon Property Group Inc

    10,981       1,838  

STAG Industrial Inc

    6,100       248  

Sun Communities Inc

    4,200       568  

UDR Inc

    10,993       489  

Ventas Inc

    13,792       857  

VICI Properties Inc, Cl A

    35,000       1,172  

Vornado Realty Trust

    7,036       242  

Welltower Inc

    20,283       2,448  

Weyerhaeuser Co

    25,246       770  

WP Carey Inc

    6,900       414  

Zillow Group Inc, Cl A *

    2,143       114  

Zillow Group Inc, Cl C *

    5,386       298  
                 
              46,367  

Utilities — 2.3%

       

AES Corp/The

    24,124       413  

Alliant Energy Corp

    9,152       533  

Ameren Corp

    9,090       750  

American Electric Power Co Inc

    17,950       1,800  

American Water Works Co Inc

    6,500       930  

Atmos Energy Corp

    5,091       666  

Avangrid Inc

    3,094       110  

Brookfield Renewable Corp, Cl A

    5,000       142  

CenterPoint Energy Inc

    21,615       590  

Clearway Energy Inc, Cl A

    1,300       35  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Clearway Energy Inc, Cl C

    3,500     $ 101  

CMS Energy Corp

    9,742       661  

Consolidated Edison Inc

    11,816       1,200  

Constellation Energy Corp

    10,792       2,123  

Dominion Energy Inc

    28,470       1,591  

DTE Energy Co

    7,364       921  

Duke Energy Corp

    26,416       3,010  

Edison International

    13,279       1,156  

Entergy Corp

    7,298       881  

Essential Utilities Inc

    8,546       333  

Evergy Inc

    8,049       476  

Eversource Energy

    12,126       819  

Exelon Corp

    34,176       1,302  

FirstEnergy Corp

    18,727       823  

IDACORP Inc, Cl Rights

    1,700       173  

National Fuel Gas Co

    2,889       173  

NextEra Energy Inc

    70,492       5,675  

NiSource Inc

    14,921       493  

NRG Energy Inc

    7,300       621  

OGE Energy Corp

    7,636       302  

PG&E Corp

    74,018       1,458  

Pinnacle West Capital Corp

    3,892       341  

PPL Corp

    25,526       815  

Public Service Enterprise Group Inc

    16,852       1,361  

Sempra

    21,546       1,771  

Southern Co/The

    37,503       3,240  

UGI Corp

    7,925       197  

Vistra Corp

    11,600       991  

WEC Energy Group Inc

    10,757       1,001  

Xcel Energy Inc

    18,981       1,162  
                 
              41,140  

Total Common Stock

               

(Cost $333,980) ($ Thousands)

            1,777,515  
                 

CASH EQUIVALENT — 2.0%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    36,324,501       36,325  

Total Cash Equivalent

               

(Cost $36,325) ($ Thousands)

            36,325  

Total Investments in Securities — 99.8%

               

(Cost $370,305) ($ Thousands)

  $ 1,813,840  
                 
                 

 

 

 

22

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Large Cap Index Fund (Concluded)

 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Long Contracts

                                       

S&P 500 Index E-MINI

    118       Sep-2024     $ 32,695     $ 33,400     $ 705  

S&P Mid Cap 400 Index E-MINI

    22       Sep-2024       6,684       6,816       132  
                    $ 39,379     $ 40,216     $ 837  

 

 

Percentages are based on Net Assets of $1,818,246 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

Narrow industries are utilized for compliance purposes, whereas broad sectors are utilized for reporting.

Real Estate Investment Trust.

 

 
 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Investments Co

  $ 233     $     $     $     $     $ 233     $ 2     $  

SEI Liquidity Fund, LP

    1                   (7 )     6             1        

SEI Daily Income Trust, Government Fund,
Institutional Class

    31,356       94,513       (89,544 )                 36,325       501        

Totals

  $ 31,590     $ 94,513     $ (89,544 )   $ (7 )   $ 6     $ 36,558     $ 504     $  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

SEI Institutional Investments Trust

 

23

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

S&P 500 Index Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 97.9%

                 

Communication Services — 8.6%

       

Alphabet Inc, Cl A

    526,693     $ 86,051  

Alphabet Inc, Cl C

    438,186       72,349  

AT&T Inc

    642,579       12,787  

Charter Communications Inc, Cl A *

    8,796       3,057  

Comcast Corp, Cl A

    350,755       13,879  

Electronic Arts Inc

    21,811       3,311  

Fox Corp

    34,394       1,385  

Interpublic Group of Cos Inc/The

    33,624       1,097  

Live Nation Entertainment Inc *

    12,683       1,239  

Match Group Inc *

    23,553       877  

Meta Platforms Inc, Cl A

    196,496       102,435  

Netflix Inc *

    38,667       27,119  

News Corp

    11,200       330  

News Corp, Cl A

    33,678       954  

Omnicom Group Inc

    17,464       1,754  

Paramount Global, Cl B

    45,205       473  

Take-Two Interactive Software Inc *

    14,233       2,302  

T-Mobile US Inc

    46,181       9,177  

Verizon Communications Inc

    377,259       15,762  

Walt Disney Co/The

    163,380       14,766  

Warner Bros Discovery Inc *

    198,944       1,560  
                 
              372,664  

Consumer Discretionary — 9.5%

       

Airbnb Inc, Cl A *

    39,869       4,677  

Amazon.com Inc *

    821,130       146,572  

Aptiv PLC *

    24,273       1,736  

AutoZone Inc *

    1,588       5,052  

Bath & Body Works Inc

    21,149       651  

Best Buy Co Inc

    17,135       1,720  

Booking Holdings Inc

    3,037       11,872  

BorgWarner Inc

    21,127       720  

Caesars Entertainment Inc *

    20,566       774  

CarMax Inc *

    14,784       1,250  

Carnival Corp, Cl A *

    90,128       1,487  

Chipotle Mexican Grill Inc, Cl A *

    123,000       6,898  

Darden Restaurants Inc

    10,696       1,692  

Deckers Outdoor Corp *

    2,300       2,206  

Domino's Pizza Inc

    3,236       1,340  

DR Horton Inc

    26,549       5,011  

eBay Inc

    45,210       2,672  

Etsy Inc *

    11,238       619  

Expedia Group Inc *

    11,315       1,574  

Ford Motor Co

    350,887       3,926  

Garmin Ltd

    13,716       2,514  

General Motors Co

    102,121       5,084  

Genuine Parts Co

    12,411       1,778  

Hasbro Inc

    12,320       840  

Hilton Worldwide Holdings Inc

    22,395       4,919  

Home Depot Inc/The

    88,874       32,750  

Las Vegas Sands Corp

    34,020       1,326  

Lennar Corp, Cl A

    21,957       3,998  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

LKQ Corp

    25,126     $ 1,045  

Lowe's Cos Inc

    51,301       12,748  

Lululemon Athletica Inc *

    10,273       2,666  

Marriott International Inc/MD, Cl A

    21,607       5,071  

McDonald's Corp

    64,626       18,655  

MGM Resorts International *

    23,800       895  

Mohawk Industries Inc *

    4,700       729  

NIKE Inc, Cl B

    108,575       9,046  

Norwegian Cruise Line Holdings Ltd *

    40,024       716  

NVR Inc *

    282       2,587  

O'Reilly Automotive Inc *

    5,297       5,985  

Pool Corp

    3,421       1,203  

PulteGroup Inc

    18,754       2,469  

Ralph Lauren Corp, Cl A

    3,830       656  

Ross Stores Inc

    30,026       4,522  

Royal Caribbean Cruises Ltd *

    21,196       3,489  

Starbucks Corp

    101,522       9,601  

Tapestry Inc

    21,932       899  

Tesla Inc *

    248,748       53,259  

TJX Cos Inc/The

    101,473       11,900  

Tractor Supply Co

    9,659       2,584  

Ulta Beauty Inc *

    4,290       1,514  

Wynn Resorts Ltd

    8,932       687  

Yum! Brands Inc

    25,214       3,402  
                 
              411,986  

Consumer Staples — 5.9%

       

Altria Group Inc

    153,883       8,274  

Archer-Daniels-Midland Co

    44,167       2,694  

Brown-Forman Corp, Cl B

    16,548       754  

Bunge Global SA

    13,227       1,341  

Campbell Soup Co

    18,512       920  

Church & Dwight Co Inc

    21,875       2,229  

Clorox Co/The

    11,070       1,753  

Coca-Cola Co/The

    347,528       25,185  

Colgate-Palmolive Co

    73,463       7,824  

Conagra Brands Inc

    42,550       1,328  

Constellation Brands Inc, Cl A

    14,383       3,462  

Costco Wholesale Corp

    39,780       35,499  

Dollar General Corp

    19,648       1,630  

Dollar Tree Inc *

    18,486       1,562  

Estee Lauder Cos Inc/The, Cl A

    20,848       1,911  

General Mills Inc

    50,523       3,652  

Hershey Co/The

    13,193       2,547  

Hormel Foods Corp

    27,660       900  

J M Smucker Co/The

    9,958       1,142  

Kellanova

    23,535       1,897  

Kenvue Inc

    171,306       3,760  

Keurig Dr Pepper Inc

    93,357       3,418  

Kimberly-Clark Corp

    30,156       4,362  

Kraft Heinz Co/The

    70,515       2,498  

Kroger Co/The

    59,882       3,186  

Lamb Weston Holdings Inc

    13,691       848  

McCormick & Co Inc/MD

    22,473       1,799  

 

 

 

24

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

S&P 500 Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Molson Coors Beverage Co, Cl B

    17,370     $ 938  

Mondelez International Inc, Cl A

    120,202       8,632  

Monster Beverage Corp *

    63,381       2,987  

PepsiCo Inc

    123,266       21,310  

Philip Morris International Inc

    139,363       17,182  

Procter & Gamble Co/The

    211,612       36,300  

Sysco Corp

    44,510       3,470  

Target Corp

    41,392       6,359  

Tyson Foods Inc, Cl A

    25,513       1,641  

Walgreens Boots Alliance Inc

    67,685       626  

Walmart Inc

    382,911       29,572  
                 
              255,392  

Energy — 3.4%

       

APA Corp

    33,891       966  

Baker Hughes Co, Cl A

    89,299       3,141  

Chevron Corp

    153,661       22,734  

ConocoPhillips

    104,765       11,921  

Coterra Energy Inc, Cl A

    66,348       1,614  

Devon Energy Corp

    56,446       2,528  

Diamondback Energy Inc

    15,943       3,111  

EOG Resources Inc

    51,512       6,636  

EQT Corp

    52,996       1,776  

Exxon Mobil Corp

    402,205       47,436  

Halliburton Co

    79,129       2,460  

Hess Corp

    24,722       3,413  

Kinder Morgan Inc

    172,726       3,726  

Marathon Oil Corp

    50,325       1,442  

Marathon Petroleum Corp

    31,889       5,648  

Occidental Petroleum Corp

    60,231       3,432  

ONEOK Inc

    52,252       4,826  

Phillips 66

    38,297       5,373  

Schlumberger NV

    129,399       5,692  

Targa Resources Corp

    19,803       2,909  

Valero Energy Corp

    29,311       4,301  

Williams Cos Inc/The

    110,013       5,035  
                 
              150,120  

Financials — 13.0%

       

Aflac Inc

    46,706       5,154  

Allstate Corp/The

    23,827       4,502  

American Express Co

    50,958       13,180  

American International Group Inc

    59,364       4,574  

Ameriprise Financial Inc

    8,858       3,981  

Aon PLC, Cl A

    19,495       6,701  

Arch Capital Group Ltd *

    33,428       3,780  

Arthur J Gallagher & Co

    19,785       5,788  

Assurant Inc

    4,631       909  

Bank of America Corp

    609,910       24,854  

Bank of New York Mellon Corp/The

    66,959       4,568  

Berkshire Hathaway Inc, Cl B *

    162,332       77,257  

BlackRock Inc, Cl A

    12,475       11,250  

Blackstone Inc

    64,026       9,115  

Brown & Brown Inc

    21,145       2,223  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Capital One Financial Corp

    34,505     $ 5,070  

Cboe Global Markets Inc

    9,400       1,931  

Charles Schwab Corp/The

    133,756       8,708  

Chubb Ltd

    36,356       10,332  

Cincinnati Financial Corp

    14,005       1,919  

Citigroup Inc

    170,905       10,705  

Citizens Financial Group Inc

    40,560       1,746  

CME Group Inc, Cl A

    32,291       6,966  

Corpay Inc *

    6,319       1,994  

Discover Financial Services

    22,448       3,114  

Everest Group Ltd

    3,899       1,529  

FactSet Research Systems Inc

    3,351       1,417  

Fidelity National Information Services Inc

    49,759       4,103  

Fifth Third Bancorp

    61,133       2,610  

Fiserv Inc *

    52,439       9,156  

Franklin Resources Inc

    28,577       578  

Global Payments Inc

    22,795       2,530  

Globe Life Inc

    8,082       849  

Goldman Sachs Group Inc/The

    28,857       14,724  

Hartford Financial Services Group Inc/The

    26,488       3,075  

Huntington Bancshares Inc/OH

    129,388       1,937  

Intercontinental Exchange Inc

    51,419       8,307  

Invesco Ltd

    42,270       722  

Jack Henry & Associates Inc

    6,482       1,122  

JPMorgan Chase & Co

    257,454       57,876  

KeyCorp

    84,006       1,433  

KKR & Co Inc

    59,600       7,377  

Loews Corp

    16,157       1,324  

M&T Bank Corp

    14,923       2,568  

MarketAxess Holdings Inc

    3,542       859  

Marsh & McLennan Cos Inc

    44,181       10,052  

Mastercard Inc, Cl A

    73,641       35,594  

MetLife Inc

    53,426       4,139  

Moody's Corp

    14,053       6,854  

Morgan Stanley

    112,109       11,616  

MSCI Inc, Cl A

    7,117       4,132  

Nasdaq Inc

    37,006       2,667  

Northern Trust Corp

    18,287       1,668  

PayPal Holdings Inc *

    93,688       6,786  

PNC Financial Services Group Inc/The

    35,679       6,604  

Principal Financial Group Inc

    19,234       1,566  

Progressive Corp/The

    52,504       13,241  

Prudential Financial Inc

    32,094       3,889  

Raymond James Financial Inc

    16,649       1,991  

Regions Financial Corp

    81,778       1,915  

S&P Global Inc

    28,643       14,701  

State Street Corp

    26,880       2,341  

Synchrony Financial

    35,846       1,802  

T Rowe Price Group Inc

    19,953       2,116  

Travelers Cos Inc/The

    20,452       4,664  

Truist Financial Corp

    120,891       5,375  

US Bancorp

    139,729       6,599  

Visa Inc, Cl A

    141,180       39,018  

 

 

 

SEI Institutional Investments Trust

 

25

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

S&P 500 Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

W R Berkley Corp

    26,975     $ 1,610  

Wells Fargo & Co

    312,530       18,274  

Willis Towers Watson PLC

    9,167       2,678  
                 
              566,309  

Health Care — 11.9%

       

Abbott Laboratories

    155,909       17,660  

AbbVie Inc

    158,268       31,070  

Agilent Technologies Inc

    26,259       3,753  

Align Technology Inc *

    6,220       1,475  

Amgen Inc

    48,050       16,041  

Baxter International Inc

    45,426       1,723  

Becton Dickinson & Co

    25,908       6,280  

Biogen Inc *

    12,988       2,659  

Bio-Rad Laboratories Inc, Cl A *

    1,922       648  

Bio-Techne Corp

    14,731       1,090  

Boston Scientific Corp *

    131,725       10,774  

Bristol-Myers Squibb Co

    181,558       9,069  

Cardinal Health Inc

    21,784       2,455  

Catalent Inc *

    16,074       980  

Cencora Inc

    14,899       3,569  

Centene Corp *

    47,751       3,764  

Charles River Laboratories International Inc *

    4,800       949  

Cigna Group/The

    25,462       9,212  

Cooper Cos Inc/The

    17,780       1,880  

CVS Health Corp

    112,396       6,434  

Danaher Corp

    59,064       15,907  

DaVita Inc *

    4,560       688  

Dexcom Inc *

    35,566       2,466  

Edwards Lifesciences Corp *

    53,879       3,769  

Elevance Health Inc

    20,817       11,593  

Eli Lilly & Co

    71,632       68,768  

GE HealthCare Technologies Inc

    37,981       3,222  

Gilead Sciences Inc

    111,608       8,817  

HCA Healthcare Inc

    17,378       6,875  

Henry Schein Inc *

    11,337       800  

Hologic Inc *

    20,829       1,692  

Humana Inc

    10,779       3,821  

IDEXX Laboratories Inc *

    7,423       3,573  

Incyte Corp *

    13,255       870  

Insulet Corp *

    6,278       1,273  

Intuitive Surgical Inc *

    31,789       15,660  

IQVIA Holdings Inc *

    16,263       4,091  

Johnson & Johnson

    215,720       35,779  

Labcorp Holdings Inc

    7,506       1,726  

McKesson Corp

    11,688       6,558  

Medtronic PLC

    118,973       10,539  

Merck & Co Inc

    227,068       26,896  

Mettler-Toledo International Inc *

    1,898       2,731  

Moderna Inc *

    29,825       2,308  

Molina Healthcare Inc *

    5,210       1,822  

Pfizer Inc

    507,863       14,733  

Quest Diagnostics Inc

    9,897       1,554  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Regeneron Pharmaceuticals Inc *

    9,459     $ 11,206  

ResMed Inc

    13,110       3,212  

Revvity Inc

    11,009       1,349  

Solventum Corp *

    12,946       830  

STERIS PLC

    8,815       2,125  

Stryker Corp

    30,373       10,947  

Teleflex Inc

    4,164       1,021  

Thermo Fisher Scientific Inc

    34,266       21,076  

UnitedHealth Group Inc

    82,557       48,725  

Universal Health Services Inc, Cl B

    5,584       1,329  

Vertex Pharmaceuticals Inc *

    23,121       11,465  

Viatris Inc

    106,008       1,281  

Waters Corp *

    5,294       1,834  

West Pharmaceutical Services Inc

    6,500       2,039  

Zimmer Biomet Holdings Inc

    18,384       2,123  

Zoetis Inc, Cl A

    40,839       7,494  
                 
              518,072  

Industrials — 8.3%

       

3M Co

    49,587       6,679  

A O Smith Corp

    11,251       942  

Allegion plc

    7,799       1,083  

American Airlines Group Inc *

    61,548       654  

AMETEK Inc

    20,696       3,540  

Automatic Data Processing Inc

    36,693       10,124  

Axon Enterprise Inc *

    6,340       2,314  

Boeing Co/The *

    51,745       8,990  

Broadridge Financial Solutions Inc

    10,526       2,241  

Builders FirstSource Inc *

    10,909       1,898  

Carrier Global Corp

    75,752       5,513  

Caterpillar Inc

    43,812       15,601  

CH Robinson Worldwide Inc

    11,025       1,141  

Cintas Corp

    7,776       6,261  

Copart Inc *

    78,272       4,145  

CSX Corp

    175,015       5,998  

Cummins Inc

    12,278       3,841  

Dayforce Inc *

    14,911       852  

Deere & Co

    23,150       8,930  

Delta Air Lines Inc

    57,626       2,449  

Dover Corp

    12,280       2,284  

Eaton Corp PLC

    35,776       10,981  

Emerson Electric Co

    51,790       5,458  

Equifax Inc

    11,090       3,406  

Expeditors International of Washington Inc

    12,638       1,560  

Fastenal Co

    51,223       3,498  

FedEx Corp

    20,247       6,049  

Fortive Corp

    31,424       2,338  

GE Vernova Inc *

    24,706       4,966  

Generac Holdings Inc *

    5,427       850  

General Dynamics Corp

    20,560       6,155  

General Electric Co

    98,127       17,135  

Honeywell International Inc

    58,327       12,127  

Howmet Aerospace Inc

    34,651       3,349  

Hubbell Inc, Cl B

    4,836       1,934  

 

 

 

26

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

S&P 500 Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Huntington Ingalls Industries Inc

    3,527     $ 997  

IDEX Corp

    6,766       1,397  

Illinois Tool Works Inc

    24,555       6,217  

Ingersoll Rand Inc

    36,133       3,304  

Jacobs Solutions Inc

    11,164       1,684  

JB Hunt Transport Services Inc

    7,260       1,257  

Johnson Controls International plc

    60,262       4,390  

L3Harris Technologies Inc

    17,013       4,026  

Leidos Holdings Inc

    12,039       1,908  

Lockheed Martin Corp

    19,183       10,898  

Masco Corp

    19,657       1,564  

Nordson Corp

    5,090       1,306  

Norfolk Southern Corp

    20,423       5,232  

Northrop Grumman Corp

    12,568       6,576  

Old Dominion Freight Line Inc

    15,940       3,073  

Otis Worldwide Corp

    36,186       3,426  

PACCAR Inc

    46,923       4,513  

Parker-Hannifin Corp

    11,623       6,976  

Paychex Inc

    28,689       3,764  

Paycom Software Inc

    4,272       695  

Pentair PLC

    14,756       1,309  

Quanta Services Inc

    13,127       3,612  

Republic Services Inc, Cl A

    18,431       3,838  

Rockwell Automation Inc

    10,224       2,781  

Rollins Inc

    25,058       1,257  

RTX Corp

    119,156       14,697  

Snap-on Inc

    4,650       1,319  

Southwest Airlines Co

    53,327       1,542  

Stanley Black & Decker Inc

    13,741       1,407  

Textron Inc

    16,969       1,548  

Trane Technologies PLC

    20,252       7,324  

TransDigm Group Inc

    5,007       6,876  

Uber Technologies Inc *

    187,300       13,697  

Union Pacific Corp

    54,693       14,006  

United Airlines Holdings Inc *

    29,247       1,288  

United Parcel Service Inc, Cl B

    65,315       8,396  

United Rentals Inc

    5,971       4,426  

Veralto Corp

    19,621       2,206  

Verisk Analytics Inc, Cl A

    12,801       3,492  

Waste Management Inc

    32,654       6,924  

Westinghouse Air Brake Technologies Corp

    15,761       2,673  

WW Grainger Inc

    3,878       3,820  

Xylem Inc/NY

    21,637       2,976  
                 
              359,903  

Information Technology — 30.4%

       

Accenture PLC, Cl A

    56,319       19,258  

Adobe Inc *

    40,153       23,064  

Advanced Micro Devices Inc *

    144,876       21,523  

Akamai Technologies Inc *

    13,589       1,384  

Amphenol Corp, Cl A

    107,598       7,258  

Analog Devices Inc

    44,413       10,430  

ANSYS Inc *

    7,798       2,506  

Apple Inc

    1,292,551       295,994  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Applied Materials Inc

    74,497     $ 14,695  

Arista Networks Inc *

    22,744       8,037  

Autodesk Inc *

    19,269       4,979  

Broadcom Inc

    390,550       63,589  

Cadence Design Systems Inc *

    24,378       6,556  

CDW Corp/DE

    11,979       2,703  

Cisco Systems Inc

    362,893       18,341  

Cognizant Technology Solutions Corp, Cl A

    44,527       3,463  

Corning Inc

    68,936       2,885  

Crowdstrike Holdings Inc, Cl A *

    20,700       5,740  

Enphase Energy Inc *

    12,142       1,470  

EPAM Systems Inc *

    5,449       1,094  

F5 Inc *

    5,252       1,067  

Fair Isaac Corp *

    2,205       3,815  

First Solar Inc *

    9,531       2,167  

Fortinet Inc *

    56,708       4,350  

Gartner Inc *

    6,901       3,395  

Gen Digital Inc

    49,054       1,298  

GoDaddy Inc, Cl A *

    12,600       2,109  

Hewlett Packard Enterprise Co

    116,141       2,250  

HP Inc

    77,157       2,792  

Intel Corp

    381,365       8,405  

International Business Machines Corp

    82,361       16,648  

Intuit Inc

    25,109       15,825  

Jabil Inc

    10,769       1,177  

Juniper Networks Inc

    28,923       1,125  

Keysight Technologies Inc *

    15,600       2,404  

KLA Corp

    12,079       9,898  

Lam Research Corp

    11,759       9,654  

Microchip Technology Inc

    48,344       3,972  

Micron Technology Inc

    99,205       9,548  

Microsoft Corp

    666,490       278,020  

Monolithic Power Systems Inc

    4,357       4,072  

Motorola Solutions Inc

    14,924       6,597  

NetApp Inc

    18,465       2,229  

NVIDIA Corp

    2,205,780       263,304  

NXP Semiconductors NV

    23,129       5,929  

ON Semiconductor Corp *

    38,459       2,995  

Oracle Corp

    142,857       20,184  

Palo Alto Networks Inc *

    28,907       10,485  

PTC Inc *

    10,646       1,907  

Qorvo Inc *

    9,068       1,051  

QUALCOMM Inc

    100,222       17,569  

Roper Technologies Inc

    9,628       5,338  

Salesforce Inc

    87,031       22,010  

Seagate Technology Holdings PLC

    17,420       1,734  

ServiceNow Inc *

    18,380       15,715  

Skyworks Solutions Inc

    14,357       1,573  

Super Micro Computer Inc *

    4,500       1,970  

Synopsys Inc *

    13,616       7,075  

TE Connectivity Ltd

    27,403       4,209  

Teledyne Technologies Inc *

    4,183       1,810  

Teradyne Inc

    13,897       1,900  

 

 

 

SEI Institutional Investments Trust

 

27

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

S&P 500 Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Texas Instruments Inc

    81,562     $ 17,482  

Trimble Inc *

    22,717       1,288  

Tyler Technologies Inc *

    3,765       2,213  

VeriSign Inc *

    7,704       1,417  

Western Digital Corp *

    29,168       1,913  

Zebra Technologies Corp, Cl A *

    4,606       1,591  
                 
              1,320,448  

Materials — 2.2%

       

Air Products and Chemicals Inc

    20,119       5,610  

Albemarle Corp

    11,096       1,001  

Amcor PLC

    128,811       1,474  

Avery Dennison Corp

    7,163       1,589  

Ball Corp

    27,661       1,765  

Celanese Corp, Cl A

    8,952       1,169  

CF Industries Holdings Inc

    17,067       1,418  

Corteva Inc

    62,337       3,572  

Dow Inc

    62,899       3,370  

DuPont de Nemours Inc

    37,392       3,150  

Eastman Chemical Co

    10,419       1,067  

Ecolab Inc

    22,724       5,753  

FMC Corp

    11,747       759  

Freeport-McMoRan Inc, Cl B

    129,959       5,755  

International Flavors & Fragrances Inc

    22,777       2,368  

International Paper Co

    30,975       1,500  

Linde PLC

    43,052       20,590  

LyondellBasell Industries NV, Cl A

    22,975       2,268  

Martin Marietta Materials Inc

    5,465       2,919  

Mosaic Co/The

    28,530       815  

Newmont Corp

    104,225       5,564  

Nucor Corp

    21,420       3,254  

Packaging Corp of America

    7,985       1,673  

PPG Industries Inc

    21,002       2,725  

Sherwin-Williams Co/The

    20,871       7,709  

Smurfit WestRock PLC

    46,391       2,200  

Steel Dynamics Inc

    13,219       1,580  

Vulcan Materials Co

    11,869       2,910  
                 
              95,527  

Real Estate — 2.3%

       

Alexandria Real Estate Equities Inc

    14,054       1,680  

American Tower Corp, Cl A

    41,854       9,378  

AvalonBay Communities Inc

    12,696       2,866  

BXP Inc

    12,836       966  

Camden Property Trust

    9,523       1,192  

CBRE Group Inc, Cl A *

    26,996       3,108  

CoStar Group Inc *

    36,495       2,821  

Crown Castle Inc

    38,893       4,357  

Digital Realty Trust Inc

    28,999       4,397  

Equinix Inc

    8,517       7,106  

Equity Residential

    30,828       2,308  

Essex Property Trust Inc

    5,706       1,722  

Extra Space Storage Inc

    18,917       3,348  

Federal Realty Investment Trust

    6,947       799  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Healthpeak Properties Inc

    62,700     $ 1,397  

Host Hotels & Resorts Inc

    62,708       1,110  

Invitation Homes Inc

    51,411       1,894  

Iron Mountain Inc

    26,198       2,967  

Kimco Realty Corp

    59,510       1,384  

Mid-America Apartment Communities Inc

    10,428       1,693  

Prologis Inc

    82,961       10,604  

Public Storage

    14,242       4,895  

Realty Income Corp

    77,999       4,845  

Regency Centers Corp

    14,652       1,065  

SBA Communications Corp, Cl A

    9,636       2,184  

Simon Property Group Inc

    29,370       4,915  

UDR Inc

    26,975       1,201  

Ventas Inc

    36,188       2,248  

VICI Properties Inc, Cl A

    93,268       3,123  

Welltower Inc

    53,504       6,457  

Weyerhaeuser Co

    65,098       1,985  
                 
              100,015  

Utilities — 2.4%

       

AES Corp/The

    63,279       1,084  

Alliant Energy Corp

    23,967       1,397  

Ameren Corp

    23,854       1,968  

American Electric Power Co Inc

    47,607       4,774  

American Water Works Co Inc

    17,437       2,496  

Atmos Energy Corp

    13,453       1,759  

CenterPoint Energy Inc

    57,086       1,558  

CMS Energy Corp

    26,675       1,810  

Consolidated Edison Inc

    30,894       3,138  

Constellation Energy Corp

    28,475       5,601  

Dominion Energy Inc

    75,024       4,194  

DTE Energy Co

    18,500       2,313  

Duke Energy Corp

    69,125       7,877  

Edison International

    34,353       2,990  

Entergy Corp

    19,036       2,297  

Evergy Inc

    20,486       1,211  

Eversource Energy

    31,510       2,128  

Exelon Corp

    89,605       3,413  

FirstEnergy Corp

    46,250       2,031  

NextEra Energy Inc

    184,176       14,828  

NiSource Inc

    39,991       1,322  

NRG Energy Inc

    18,585       1,580  

PG&E Corp

    191,168       3,766  

Pinnacle West Capital Corp

    10,695       936  

PPL Corp

    65,920       2,103  

Public Service Enterprise Group Inc

    44,713       3,611  

Sempra

    57,093       4,692  

Southern Co/The

    97,953       8,463  

Vistra Corp

    29,200       2,495  

WEC Energy Group Inc

    28,275       2,630  

 

 

 

28

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

S&P 500 Index Fund (Concluded)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Xcel Energy Inc

    49,736     $ 3,045  
                 
              103,510  

Total Common Stock

               

(Cost $1,352,437) ($ Thousands)

            4,253,946  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

CASH EQUIVALENT — 1.9%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    82,392,867     $ 82,393  

Total Cash Equivalent

               

(Cost $82,393) ($ Thousands)

            82,393  

Total Investments in Securities — 99.8%

               

(Cost $1,434,830) ($ Thousands)

  $ 4,336,339  
                 
                 

 

 
 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Long Contracts

                                       

S&P 500 Index E-MINI

    320       Sep-2024     $ 88,765     $ 90,576     $ 1,811  
                                         

 

 

 

Percentages are based on Net Assets of $4,346,597 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Real Estate Investment Trust.

Investment in Affiliated Security.

Narrow industries are utilized for compliance purposes, whereas broad sectors are utilized for reporting.

 

 

 
 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Daily Income Trust, Government Fund,
Institutional Class

  $ 50,967     $ 197,153     $ (165,727 )   $     $     $ 82,393     $ 1,059     $  

 

                                                               

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

SEI Institutional Investments Trust

 

29

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 97.9%

                 

Communication Services — 4.2%

       

Advantage Solutions Inc *

    18,900     $ 73  

AMC Entertainment Holdings Inc, Cl A *

    42,093       203  

AMC Networks Inc, Cl A *

    6,660       66  

Anterix Inc *

    1,400       50  

AST SpaceMobile Inc, Cl A *

    16,200       470  

Atlanta Braves Holdings Inc, Cl A *

    1,803       82  

Atlanta Braves Holdings Inc, Cl C *

    8,905       382  

ATN International Inc

    2,267       61  

Bandwidth Inc, Cl A *

    5,000       86  

Boston Omaha Corp, Cl A *

    4,300       61  

Bumble Inc, Cl A *

    18,100       121  

Cable One Inc

    900       317  

Cardlytics Inc *

    7,100       28  

Cargurus Inc, Cl A *

    15,000       435  

Cars.com Inc *

    10,800       193  

Cinemark Holdings Inc *

    16,640       456  

Clear Channel Outdoor Holdings Inc, Cl A *

    29,100       44  

Cogent Communications Holdings Inc

    7,004       490  

Consolidated Communications Holdings Inc *

    16,612       76  

EchoStar Corp, Cl A *

    19,989       371  

Entravision Communications Corp, Cl A

    14,200       30  

Eventbrite Inc, Cl A *

    16,900       54  

EverQuote Inc, Cl A *

    4,400       109  

EW Scripps Co/The, Cl A *

    13,896       27  

Frontier Communications Parent Inc *

    40,500       1,166  

fuboTV Inc *

    64,800       109  

Gannett Co Inc *

    32,687       173  

GCI Liberty - Escrow *

    23,647        

Getty Images Holdings Inc *

    16,500       63  

Globalstar Inc *

    146,200       183  

Gogo Inc *

    8,900       71  

Gray Television Inc

    19,500       99  

Grindr Inc *

    4,000       48  

IAC Inc *

    12,076       637  

Ibotta Inc, Cl A *

    1,300       74  

IDT Corp, Cl B

    2,500       96  

iHeartMedia Inc, Cl A *

    24,700       39  

IMAX Corp *

    7,000       148  

Integral Ad Science Holding Corp *

    7,600       88  

Iridium Communications Inc

    19,846       512  

John Wiley & Sons Inc, Cl A

    4,972       240  

Liberty Broadband Corp, Cl A *

    2,983       183  

Liberty Broadband Corp, Cl C *

    17,214       1,074  

Liberty Global Ltd, Cl A *

    27,500       532  

Liberty Global PLC *

    28,500       561  

Liberty Latin America Ltd, Cl A *

    8,300       79  

Liberty Latin America Ltd, Cl C *

    19,562       185  

Liberty Media Corp-Liberty Formula One, Cl A *

    4,108       290  

Liberty Media Corp-Liberty Formula One, Cl C *

    31,242       2,438  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Liberty Media Corp-Liberty Live, Cl A *

    3,509     $ 139  

Liberty Media Corp-Liberty Live, Cl C *

    7,699       311  

Liberty Media Corp-Liberty SiriusXM *

    25,122       599  

Liberty Media Corp-Liberty SiriusXM, Cl A *

    9,035       215  

Lions Gate Entertainment Corp, Cl A *

    14,516       113  

Lions Gate Entertainment Corp, Cl B *

    14,375       99  

Lumen Technologies Inc *

    149,700       786  

Madison Square Garden Entertainment Corp, Cl A *

    5,811       245  

Madison Square Garden Sports Corp, Cl A *

    2,979       623  

Magnite Inc *

    16,238       224  

Marcus Corp/The

    5,161       73  

MediaAlpha Inc, Cl A *

    3,537       63  

National CineMedia Inc *

    11,700       81  

New York Times Co/The, Cl A

    25,382       1,394  

Nexstar Media Group Inc, Cl A

    5,144       879  

Nextdoor Holdings Inc *

    29,000       72  

Outbrain Inc *

    5,800       30  

Pinterest Inc, Cl A *

    95,111       3,047  

Playstudios Inc *

    21,200       32  

Playtika Holding Corp

    11,625       88  

PubMatic Inc, Cl A *

    7,100       111  

QuinStreet Inc *

    6,186       118  

Reservoir Media Inc *

    4,100       32  

ROBLOX Corp, Cl A *

    82,000       3,607  

Roku Inc, Cl A *

    20,048       1,359  

Scholastic Corp

    4,367       139  

Shenandoah Telecommunications Co

    5,704       86  

Shutterstock Inc

    2,997       108  

Sinclair Inc

    4,111       57  

Sirius XM Holdings Inc

    102,481       337  

Sphere Entertainment Co *

    4,611       215  

Spok Holdings Inc

    1,500       22  

Spotify Technology SA *

    23,403       8,024  

Stagwell Inc, Cl A *

    13,400       96  

TechTarget Inc *

    4,200       112  

TEGNA Inc

    30,000       416  

Telephone and Data Systems Inc

    17,455       412  

Thryv Holdings Inc *

    6,500       118  

TKO Group Holdings Inc, Cl A

    12,634       1,494  

Trade Desk Inc/The, Cl A *

    71,000       7,422  

TripAdvisor Inc *

    17,100       248  

TrueCar Inc *

    22,900       69  

Trump Media & Technology Group Corp *

    9,500       185  

Vimeo Inc *

    24,346       130  

Vivid Seats Inc, Cl A *

    5,600       26  

WideOpenWest Inc *

    11,700       65  

Yelp Inc, Cl A *

    10,398       363  

Ziff Davis Inc *

    7,357       360  

ZipRecruiter Inc, Cl A *

    15,100       144  

ZoomInfo Technologies Inc, Cl A *

    49,500       490  
                 
              48,851  

 

 

 

30

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Consumer Discretionary — 11.0%

       

1-800-Flowers.com Inc, Cl A *

    5,400     $ 43  

Aaron's Co Inc/The

    6,958       70  

Abercrombie & Fitch Co, Cl A *

    8,000       1,181  

Academy Sports & Outdoors Inc

    11,800       655  

Accel Entertainment Inc, Cl A *

    4,900       57  

Acushnet Holdings Corp

    4,800       322  

Adient PLC *

    13,900       314  

ADT Inc

    42,561       310  

Adtalem Global Education Inc *

    6,081       460  

Advance Auto Parts Inc

    9,600       435  

A-Mark Precious Metals Inc

    3,800       148  

Amer Sports Inc *

    20,100       274  

American Axle & Manufacturing Holdings Inc *

    23,398       150  

American Eagle Outfitters Inc

    29,522       608  

American Public Education Inc *

    2,600       43  

America's Car-Mart Inc/TX *

    1,250       76  

AMMO Inc *

    17,700       28  

Aramark

    42,000       1,538  

Arhaus Inc, Cl A

    8,400       103  

Arko Corp

    14,200       89  

Asbury Automotive Group Inc *

    3,198       786  

AutoNation Inc *

    4,000       712  

Bally's Corp *

    1,228       21  

BARK Inc *

    26,200       44  

Beazer Homes USA Inc *

    3,461       108  

Beyond Inc *

    7,300       72  

Biglari Holdings Inc, Cl B *

    182       33  

Birkenstock Holding Plc *

    5,700       284  

BJ's Restaurants Inc *

    3,142       96  

Bloomin' Brands Inc

    12,950       227  

Boot Barn Holdings Inc *

    4,900       657  

Boyd Gaming Corp

    10,745       645  

Bright Horizons Family Solutions Inc *

    9,135       1,285  

Brinker International Inc *

    6,982       499  

Brunswick Corp/DE

    10,683       845  

Buckle Inc/The

    5,051       212  

Build-A-Bear Workshop Inc, Cl A

    3,200       107  

Burlington Stores Inc *

    10,200       2,736  

Caleres Inc

    5,576       235  

Camping World Holdings Inc, Cl A

    4,900       108  

Capri Holdings Ltd *

    18,600       664  

Carriage Services Inc, Cl A

    3,506       116  

Carter's Inc

    5,770       380  

Carvana Co, Cl A *

    17,000       2,561  

Cava Group Inc *

    12,500       1,426  

Cavco Industries Inc *

    1,431       591  

Century Communities Inc

    4,400       440  

Champion Homes Inc *

    8,700       813  

Cheesecake Factory Inc/The

    7,223       284  

Chegg Inc *

    26,010       56  

Choice Hotels International Inc

    4,777       610  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Churchill Downs Inc

    11,162     $ 1,551  

Chuy's Holdings Inc *

    2,569       96  

Clarus Corp

    6,221       27  

Columbia Sportswear Co

    5,544       448  

Cooper-Standard Holdings Inc *

    1,400       22  

Coupang Inc, Cl A *

    186,500       4,131  

Coursera Inc *

    19,900       161  

Cracker Barrel Old Country Store Inc

    3,244       128  

Cricut Inc, Cl A

    9,500       55  

Crocs Inc *

    9,303       1,360  

Dana Inc

    21,498       243  

Dave & Buster's Entertainment Inc *

    6,200       194  

Denny's Corp *

    6,363       42  

Designer Brands Inc, Cl A

    6,492       43  

Despegar.com Corp *

    10,100       124  

Destination XL Group Inc *

    13,400       37  

Dick's Sporting Goods Inc

    9,135       2,165  

Dillard's Inc, Cl A

    462       157  

Dine Brands Global Inc

    2,572       81  

DoorDash Inc, Cl A *

    55,800       7,182  

Dorman Products Inc *

    4,140       470  

DraftKings Inc, Cl A *

    71,582       2,470  

Dream Finders Homes Inc, Cl A *

    4,700       157  

Duolingo Inc, Cl A *

    5,800       1,233  

Dutch Bros Inc, Cl A *

    15,200       471  

El Pollo Loco Holdings Inc *

    3,900       54  

Ethan Allen Interiors Inc

    1,976       62  

European Wax Center Inc, Cl A *

    8,000       55  

Everi Holdings Inc *

    9,300       121  

EVgo Inc, Cl A *

    17,700       80  

Figs Inc, Cl A *

    24,600       152  

First Watch Restaurant Group Inc *

    2,400       40  

Five Below Inc *

    8,505       642  

Floor & Decor Holdings Inc, Cl A *

    16,800       1,889  

Foot Locker Inc

    11,400       355  

Fox Factory Holding Corp *

    7,700       312  

Frontdoor Inc *

    11,850       570  

Full House Resorts Inc *

    7,000       36  

Funko Inc, Cl A *

    6,000       63  

GameStop Corp, Cl A *

    42,300       991  

Gap Inc/The

    30,200       677  

Genesco Inc *

    2,169       65  

Gentex Corp

    35,590       1,115  

Gentherm Inc *

    4,248       215  

GigaCloud Technology Inc, Cl A *

    3,900       76  

G-III Apparel Group Ltd *

    5,906       156  

Global Business Travel Group I *

    20,600       144  

Golden Entertainment Inc

    4,131       134  

Goodyear Tire & Rubber Co/The *

    44,868       396  

GoPro Inc, Cl A *

    29,300       38  

Graham Holdings Co, Cl B

    500       398  

Grand Canyon Education Inc *

    4,815       698  

Green Brick Partners Inc *

    5,100       402  

 

 

 

SEI Institutional Investments Trust

 

31

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Group 1 Automotive Inc

    2,135     $ 804  

Groupon Inc, Cl A *

    3,800       53  

GrowGeneration Corp *

    12,100       24  

H&R Block Inc

    22,100       1,399  

Hanesbrands Inc *

    58,100       369  

Harley-Davidson Inc

    18,200       681  

Haverty Furniture Cos Inc

    1,563       43  

Helen of Troy Ltd *

    3,348       179  

Hilton Grand Vacations Inc *

    12,270       473  

Holley Inc *

    13,400       43  

Hooker Furnishings Corp

    3,700       59  

Hovnanian Enterprises Inc, Cl A *

    600       130  

Hyatt Hotels Corp, Cl A

    6,927       1,052  

Inspired Entertainment Inc *

    2,000       18  

Installed Building Products Inc

    3,900       867  

International Game Technology PLC

    17,100       383  

iRobot Corp *

    6,202       45  

Jack in the Box Inc

    2,221       110  

Johnson Outdoors Inc, Cl A

    1,400       50  

KB Home

    10,185       853  

Kohl's Corp

    17,700       343  

Kontoor Brands Inc

    8,900       666  

Krispy Kreme Inc

    14,400       162  

Kura Sushi USA Inc, Cl A *

    800       53  

Lands' End Inc *

    2,862       44  

Landsea Homes Corp *

    1,300       16  

Latham Group Inc *

    7,300       46  

Laureate Education Inc, Cl A

    23,400       361  

La-Z-Boy Inc, Cl Z

    7,026       285  

LCI Industries

    3,949       465  

Lear Corp

    8,771       1,023  

Legacy Housing Corp *

    1,400       38  

Leggett & Platt Inc

    21,000       265  

Leslie's Inc *

    29,056       88  

LGI Homes Inc *

    3,200       345  

Life Time Group Holdings Inc *

    8,300       195  

Light & Wonder Inc, Cl A *

    14,562       1,599  

Lincoln Educational Services Corp *

    4,300       54  

Lindblad Expeditions Holdings Inc *

    6,900       68  

Lithia Motors Inc, Cl A

    4,333       1,305  

Lovesac Co/The *

    2,900       67  

Lucid Group Inc *

    139,700       562  

Luminar Technologies Inc, Cl A *

    55,900       57  

M/I Homes Inc *

    4,294       684  

Macy's Inc

    44,400       691  

Malibu Boats Inc, Cl A *

    2,100       76  

Marine Products Corp

    1,800       17  

MarineMax Inc *

    3,561       113  

Marriott Vacations Worldwide Corp

    5,472       405  

MasterCraft Boat Holdings Inc *

    2,100       39  

Mattel Inc *

    53,000       1,006  

Meritage Homes Corp

    5,711       1,131  

Mister Car Wash Inc *

    16,500       107  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Modine Manufacturing Co *

    8,374     $ 1,018  

Monarch Casino & Resort Inc

    1,600       121  

Mondee Holdings Inc, Cl A *

    12,600       25  

Monro Inc

    2,928       79  

Movado Group Inc

    3,520       84  

Murphy USA Inc

    3,000       1,559  

National Vision Holdings Inc *

    11,700       124  

Newell Brands Inc

    68,700       487  

Nordstrom Inc

    16,600       371  

ODP Corp/The *

    4,912       152  

Ollie's Bargain Outlet Holdings Inc *

    10,100       905  

ONE Group Hospitality Inc/The *

    4,200       16  

OneSpaWorld Holdings Ltd

    16,500       262  

OneWater Marine Inc, Cl A *

    2,200       53  

Oxford Industries Inc

    2,654       231  

Papa John's International Inc

    4,142       196  

Patrick Industries Inc

    3,825       494  

Peloton Interactive Inc, Cl A *

    60,535       282  

Penn Entertainment Inc *

    25,000       466  

Penske Automotive Group Inc

    2,788       474  

Perdoceo Education Corp

    11,054       248  

Petco Health & Wellness Co Inc, Cl A *

    19,300       62  

Phinia Inc

    6,800       326  

Planet Fitness Inc, Cl A *

    14,400       1,169  

PlayAGS Inc *

    2,500       28  

Polaris Inc

    8,207       695  

Portillo's Inc, Cl A *

    10,200       126  

Potbelly Corp *

    1,200       10  

Purple Innovation Inc, Cl A *

    10,765       13  

PVH Corp

    9,000       888  

QuantumScape Corp, Cl A *

    52,400       304  

RCI Hospitality Holdings Inc

    1,400       64  

RealReal Inc/The *

    16,100       43  

Red Rock Resorts Inc, Cl A

    7,600       443  

Revolve Group Inc, Cl A *

    8,000       183  

RH *

    2,511       637  

Rivian Automotive Inc, Cl A *

    132,500       1,872  

Rocky Brands Inc

    1,600       52  

Rush Street Interactive Inc *

    13,600       127  

Sabre Corp *

    55,600       170  

Sally Beauty Holdings Inc *

    19,191       250  

Savers Value Village Inc *

    6,200       55  

Service Corp International/US

    22,589       1,768  

Shake Shack Inc, Cl A *

    6,100       606  

SharkNinja Inc

    11,000       1,054  

Shoe Carnival Inc

    1,852       75  

Signet Jewelers Ltd

    7,200       606  

Six Flags Entertainment Corp

    6,994       306  

Skechers USA Inc, Cl A *

    21,546       1,475  

Sleep Number Corp *

    5,009       76  

Smith & Wesson Brands Inc

    6,283       93  

Solid Power Inc *

    28,800       41  

Solo Brands Inc, Cl A *

    2,600       4  

 

 

 

32

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Sonic Automotive Inc, Cl A

    2,364     $ 147  

Sonos Inc *

    18,300       224  

Standard Motor Products Inc

    4,766       154  

Steven Madden Ltd

    11,951       539  

Stitch Fix Inc, Cl A *

    17,800       67  

Stoneridge Inc *

    5,930       85  

Strategic Education Inc

    3,687       356  

Stride Inc *

    6,988       575  

Sturm Ruger & Co Inc

    1,742       73  

Super Group SGHC Ltd

    27,000       93  

Superior Group of Cos Inc

    2,100       30  

Sweetgreen Inc, Cl A *

    16,200       512  

Target Hospitality Corp *

    6,100       59  

Taylor Morrison Home Corp, Cl A *

    15,960       1,075  

Tempur Sealy International Inc

    26,692       1,399  

Texas Roadhouse Inc, Cl A

    10,766       1,817  

Thor Industries Inc

    8,490       911  

ThredUp Inc, Cl A *

    14,000       13  

Tile Shop Holdings Inc *

    6,300       40  

Tilly's Inc, Cl A *

    5,243       28  

Toll Brothers Inc

    16,739       2,412  

TopBuild Corp *

    5,100       2,004  

Topgolf Callaway Brands Corp *

    23,306       234  

Torrid Holdings Inc *

    2,700       18  

Traeger Inc *

    4,800       17  

Travel + Leisure Co

    11,000       487  

Tri Pointe Homes Inc *

    15,373       683  

Udemy Inc *

    17,700       150  

Under Armour Inc, Cl A *

    24,800       191  

Under Armour Inc, Cl C *

    35,800       267  

United Parks & Resorts Inc *

    5,900       290  

Universal Technical Institute Inc *

    7,300       127  

Upbound Group Inc, Cl A

    7,540       251  

Urban Outfitters Inc *

    10,000       363  

Vail Resorts Inc

    6,012       1,092  

Valvoline Inc *

    20,236       854  

VF Corp

    53,700       978  

Victoria's Secret & Co *

    12,000       282  

Vista Outdoor Inc *

    8,373       335  

Visteon Corp *

    4,365       442  

Vizio Holding Corp, Cl A *

    12,900       145  

Warby Parker Inc, Cl A *

    15,200       227  

Wayfair Inc, Cl A *

    15,200       647  

Wendy's Co/The

    26,175       443  

Weyco Group Inc

    1,200       40  

Whirlpool Corp

    8,200       822  

Williams-Sonoma Inc

    20,574       2,764  

Wingstop Inc

    4,800       1,853  

Winmark Corp

    491       177  

Winnebago Industries Inc

    4,435       265  

Wolverine World Wide Inc

    13,096       180  

Worthington Enterprises Inc

    5,702       261  

Wyndham Hotels & Resorts Inc

    12,100       952  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

XPEL Inc *

    3,000     $ 130  

Xponential Fitness Inc, Cl A *

    5,600       72  

YETI Holdings Inc *

    14,000       564  

Zumiez Inc *

    803       22  
                 
              128,058  

Consumer Staples — 2.9%

       

Albertsons Cos Inc, Cl A

    65,700       1,289  

Alico Inc

    1,400       41  

Andersons Inc/The

    5,699       290  

B&G Foods Inc, Cl A

    14,611       124  

Beauty Health Co/The *

    17,700       32  

BellRing Brands Inc *

    20,702       1,158  

Beyond Meat Inc *

    13,000       79  

BJ's Wholesale Club Holdings Inc *

    21,200       1,695  

Boston Beer Co Inc/The, Cl A *

    1,483       403  

BRC Inc, Cl A *

    5,800       26  

Calavo Growers Inc

    4,426       102  

Cal-Maine Foods Inc

    6,728       485  

Casey's General Stores Inc

    6,059       2,195  

Celsius Holdings Inc *

    27,900       1,061  

Central Garden & Pet Co *

    2,600       103  

Central Garden & Pet Co, Cl A *

    7,161       245  

Chefs' Warehouse Inc/The *

    4,621       198  

Coca-Cola Consolidated Inc

    989       1,328  

Coty Inc, Cl A *

    61,800       580  

Darling Ingredients Inc *

    25,057       1,046  

Dole PLC

    10,800       174  

Duckhorn Portfolio Inc/The *

    8,000       51  

Edgewell Personal Care Co

    8,045       324  

elf Beauty Inc *

    8,500       1,273  

Energizer Holdings Inc

    10,945       355  

Flowers Foods Inc

    28,408       660  

Fresh Del Monte Produce Inc

    6,181       181  

Freshpet Inc *

    7,700       1,047  

Grocery Outlet Holding Corp *

    15,500       294  

Hain Celestial Group Inc/The *

    15,660       125  

Herbalife Ltd *

    20,144       164  

HF Foods Group Inc *

    9,900       35  

Ingles Markets Inc, Cl A

    2,645       196  

Ingredion Inc

    10,265       1,379  

Inter Parfums Inc

    2,906       374  

J & J Snack Foods Corp

    2,364       402  

John B Sanfilippo & Son Inc

    1,819       173  

Lancaster Colony Corp

    2,829       483  

Limoneira Co

    3,400       85  

Maplebear Inc *

    28,500       1,023  

Medifast Inc

    1,764       32  

MGP Ingredients Inc

    2,800       251  

Mission Produce Inc *

    9,300       100  

National Beverage Corp

    3,904       176  

Natural Grocers by Vitamin Cottage Inc

    1,085       29  

Nature's Sunshine Products Inc *

    2,937       40  

Nu Skin Enterprises Inc, Cl A

    11,205       100  

 

 

 

SEI Institutional Investments Trust

 

33

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Oil-Dri Corp of America

    1,400     $ 95  

Olaplex Holdings Inc *

    29,300       61  

Performance Food Group Co *

    24,427       1,823  

Pilgrim's Pride Corp *

    6,007       280  

Post Holdings Inc *

    7,569       876  

PriceSmart Inc

    4,423       396  

Primo Water Corp *

    23,700       524  

Reynolds Consumer Products Inc

    8,000       252  

Seaboard Corp

    50       155  

Seneca Foods Corp, Cl A *

    1,262       76  

Simply Good Foods Co/The *

    15,000       474  

SpartanNash Co

    3,336       74  

Spectrum Brands Holdings Inc

    4,887       461  

Sprouts Farmers Market Inc *

    16,100       1,675  

SunOpta Inc *

    17,100       98  

TreeHouse Foods Inc *

    7,809       321  

Turning Point Brands Inc

    3,200       127  

United Natural Foods Inc *

    5,798       88  

Universal Corp/VA

    4,045       220  

US Foods Holding Corp *

    36,400       2,155  

USANA Health Sciences Inc *

    1,532       62  

Utz Brands Inc

    10,700       181  

Vector Group Ltd

    24,191       362  

Village Super Market Inc, Cl A

    1,962       63  

Vita Coco Co Inc/The *

    6,100       159  

Vital Farms Inc *

    5,500       173  

Waldencast plc, Cl A *

    7,000       22  

WD-40 Co

    2,186       575  

Weis Markets Inc

    2,704       183  

Westrock Coffee Co *

    7,900       63  

WK Kellogg Co

    9,700       166  
                 
              34,246  

Energy — 4.5%

       

Amplify Energy Corp *

    4,900       35  

Antero Midstream Corp

    51,900       772  

Antero Resources Corp *

    46,280       1,249  

Archrock Inc

    24,583       497  

Ardmore Shipping Corp

    7,800       147  

Atlas Energy Solutions Inc, Cl A

    11,200       236  

Berry Corp

    7,400       46  

Borr Drilling Ltd

    37,600       228  

Bristow Group Inc *

    3,697       147  

Cactus Inc, Cl A

    10,800       643  

California Resources Corp

    11,200       588  

Centrus Energy Corp, Cl A *

    2,000       79  

ChampionX Corp

    29,100       906  

Cheniere Energy Inc

    36,865       6,830  

Chesapeake Energy Corp

    20,393       1,519  

Chord Energy Corp

    9,730       1,444  

Civitas Resources Inc

    15,634       959  

Clean Energy Fuels Corp *

    29,988       93  

CNX Resources Corp *

    24,600       681  

Comstock Resources Inc

    11,500       122  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

CONSOL Energy Inc

    4,775     $ 488  

Core Laboratories Inc

    9,300       182  

Crescent Energy Co, Cl A

    20,785       248  

CVR Energy Inc

    4,597       117  

Delek US Holdings Inc

    11,390       233  

DHT Holdings Inc

    18,900       205  

Diamond Offshore Drilling Inc *

    16,800       241  

Diversified Energy Co PLC

    7,700       94  

DMC Global Inc *

    5,100       63  

Dorian LPG Ltd

    5,347       208  

Dril-Quip Inc *

    7,987       130  

DT Midstream Inc

    15,400       1,210  

Empire Petroleum Corp *

    1,033       6  

Encore Energy Corp *

    17,800       65  

Energy Fuels Inc/Canada *

    26,600       130  

Excelerate Energy Inc, Cl A

    2,400       44  

Expro Group Holdings NV *

    15,357       305  

FLEX LNG Ltd

    5,800       155  

FutureFuel Corp

    3,876       24  

Golar LNG Ltd

    16,302       543  

Granite Ridge Resources Inc

    8,700       55  

Green Plains Inc *

    11,190       159  

Gulfport Energy Corp *

    2,100       305  

Hallador Energy Co *

    4,400       30  

Helix Energy Solutions Group Inc *

    24,169       271  

Helmerich & Payne Inc

    15,600       509  

HF Sinclair Corp

    25,600       1,258  

HighPeak Energy Inc

    1,100       18  

International Seaways Inc

    5,528       286  

Kinetik Holdings Inc, Cl A

    7,200       319  

Kodiak Gas Services Inc

    2,400       67  

Kosmos Energy Ltd *

    71,775       350  

Liberty Energy Inc, Cl A

    26,300       541  

Magnolia Oil & Gas Corp, Cl A

    26,900       689  

Matador Resources Co

    18,700       1,061  

Murphy Oil Corp

    22,400       835  

Nabors Industries Ltd *

    1,991       150  

NACCO Industries Inc, Cl A

    900       25  

New Fortress Energy Inc, Cl A

    10,000       123  

Newpark Resources Inc *

    18,020       148  

NextDecade Corp *

    19,000       89  

Noble Corp PLC

    17,000       649  

Nordic American Tankers Ltd

    34,377       128  

Northern Oil & Gas Inc

    16,100       640  

NOV Inc

    60,800       1,080  

Oceaneering International Inc *

    15,446       417  

Oil States International Inc *

    16,699       88  

Ovintiv Inc

    42,500       1,820  

Par Pacific Holdings Inc *

    9,986       224  

Patterson-UTI Energy Inc

    59,955       552  

PBF Energy Inc, Cl A

    15,277       520  

Peabody Energy Corp

    21,000       492  

Permian Resources Corp, Cl A

    100,385       1,429  

 

 

 

34

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

ProFrac Holding Corp, Cl A *

    3,000     $ 21  

ProPetro Holding Corp *

    13,100       104  

Range Resources Corp

    37,600       1,123  

REX American Resources Corp *

    1,800       82  

Riley Exploration Permian Inc

    1,200       34  

Ring Energy Inc *

    10,000       18  

RPC Inc

    15,199       98  

Sable Offshore Corp *

    8,300       140  

SandRidge Energy Inc

    8,200       109  

Scorpio Tankers Inc

    7,613       545  

SEACOR Marine Holdings Inc *

    7,300       84  

Seadrill Ltd *

    12,200       526  

Select Water Solutions Inc, Cl A

    17,800       205  

SFL Corp Ltd, Cl B

    18,576       220  

Sitio Royalties Corp, Cl A

    15,221       338  

SM Energy Co

    18,213       831  

Solaris Oilfield Infrastructure Inc, Cl A

    5,400       68  

Southwestern Energy Co *

    182,771       1,166  

Talos Energy Inc *

    22,100       253  

TechnipFMC PLC

    69,100       1,855  

Teekay Corp *

    14,800       123  

Teekay Tankers Ltd, Cl A

    3,300       188  

TETRA Technologies Inc *

    32,100       102  

Texas Pacific Land Corp

    3,000       2,607  

Tidewater Inc *

    7,700       683  

Transocean Ltd *

    119,900       568  

Uranium Energy Corp *

    67,700       354  

Ur-Energy Inc *

    45,200       53  

VAALCO Energy Inc

    15,500       101  

Valaris Ltd *

    9,700       592  

Viper Energy Inc, Cl A

    15,100       719  

Vital Energy Inc *

    3,800       136  

Vitesse Energy Inc

    5,143       133  

W&T Offshore Inc

    21,338       49  

Weatherford International PLC

    11,300       1,186  

World Kinect Corp

    8,341       240  
                 
              52,893  

Financials — 17.9%

       

1st Source Corp

    2,758       169  

ACNB Corp

    1,900       80  

AFC Gamma Inc

    2,800       29  

Affiliated Managers Group Inc

    5,000       869  

Affirm Holdings Inc, Cl A *

    37,600       1,655  

AGNC Investment Corp

    107,921       1,102  

Alerus Financial Corp

    3,400       76  

Ally Financial Inc

    43,500       1,879  

Amalgamated Financial Corp

    3,000       99  

Ambac Financial Group Inc *

    7,800       91  

Amerant Bancorp Inc, Cl A

    5,100       113  

American Coastal Insurance Corp *

    4,000       45  

American Financial Group Inc/OH

    11,253       1,504  

Ameris Bancorp

    10,462       645  

AMERISAFE Inc

    2,633       132  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Angel Oak Mortgage REIT Inc

    1,600     $ 18  

Annaly Capital Management Inc

    74,539       1,503  

Apollo Commercial Real Estate Finance Inc

    23,419       248  

Apollo Global Management Inc

    83,984       9,719  

Arbor Realty Trust Inc

    28,600       389  

Ares Commercial Real Estate Corp

    9,600       68  

Ares Management Corp, Cl A

    28,745       4,208  

ARMOUR Residential REIT Inc

    9,884       202  

Arrow Financial Corp

    3,349       102  

Artisan Partners Asset Management Inc, Cl A

    9,300       387  

AssetMark Financial Holdings Inc *

    2,500       88  

Associated Banc-Corp

    24,036       550  

Assured Guaranty Ltd

    7,987       640  

Atlantic Union Bankshares Corp

    13,590       539  

Atlanticus Holdings Corp *

    1,100       39  

AvidXchange Holdings Inc *

    26,800       216  

Axis Capital Holdings Ltd

    12,768       1,020  

Axos Financial Inc *

    8,736       607  

B Riley Financial Inc

    4,400       22  

Baldwin Insurance Group Inc/The, Cl A *

    10,800       506  

Banc of California Inc

    25,414       361  

BancFirst Corp

    3,250       346  

Banco Latinoamericano de Comercio Exterior SA, Cl E

    3,812       120  

Bancorp Inc/The *

    8,092       424  

Bank First Corp

    1,500       141  

Bank of Hawaii Corp

    6,024       400  

Bank of Marin Bancorp

    3,614       77  

Bank of NT Butterfield & Son Ltd/The

    8,500       325  

Bank OZK

    17,470       757  

BankUnited Inc

    10,996       423  

Bankwell Financial Group Inc

    1,100       34  

Banner Corp

    4,751       283  

Bar Harbor Bankshares

    2,850       91  

BayCom Corp

    3,000       69  

BCB Bancorp Inc

    3,200       40  

Berkshire Hills Bancorp Inc

    8,691       239  

BGC Group Inc, Cl A

    55,936       553  

Blackstone Mortgage Trust Inc, Cl A

    27,500       508  

Block Inc, Cl A *

    89,009       5,882  

Blue Foundry Bancorp *

    6,000       66  

Blue Owl Capital Inc, Cl A

    80,300       1,416  

BOK Financial Corp

    3,782       397  

Bread Financial Holdings Inc

    8,500       494  

Bridgewater Bancshares Inc *

    6,100       88  

Brighthouse Financial Inc *

    9,500       436  

Brightsphere Investment Group Inc

    4,563       111  

BrightSpire Capital Inc, Cl A

    21,794       130  

Brookline Bancorp Inc

    9,933       102  

Burford Capital Ltd

    32,900       444  

Burke & Herbert Financial Services Corp

    1,411       93  

 

 

 

SEI Institutional Investments Trust

 

35

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Business First Bancshares Inc

    4,300     $ 105  

Byline Bancorp Inc

    5,970       166  

Cadence Bank

    29,631       956  

Camden National Corp

    3,058       122  

Cannae Holdings Inc

    9,262       185  

Cantaloupe Inc *

    14,900       103  

Capital Bancorp Inc

    1,900       49  

Capital City Bank Group Inc

    2,861       99  

Capitol Federal Financial Inc

    12,987       78  

Carlyle Group Inc/The

    35,400       1,421  

Carter Bankshares Inc *

    800       14  

Cass Information Systems Inc

    3,154       137  

Cathay General Bancorp

    10,915       480  

Central Pacific Financial Corp

    2,510       69  

Chicago Atlantic Real Estate Finance Inc

    900       14  

Chimera Investment Corp

    12,355       191  

Citizens & Northern Corp

    3,540       71  

City Holding Co

    2,385       283  

Civista Bancshares Inc

    3,400       58  

Claros Mortgage Trust Inc

    14,700       118  

CNA Financial Corp

    3,375       175  

CNB Financial Corp/PA

    1,948       47  

CNO Financial Group Inc

    17,725       619  

Coastal Financial Corp/WA *

    1,900       102  

Cohen & Steers Inc

    3,936       352  

Coinbase Global Inc, Cl A *

    31,900       5,849  

Colony Bankcorp Inc

    3,700       56  

Columbia Banking System Inc

    33,694       848  

Columbia Financial Inc *

    3,600       64  

Comerica Inc

    20,800       1,188  

Commerce Bancshares Inc/MO

    19,021       1,217  

Community Financial System Inc

    8,251       505  

Community Trust Bancorp Inc

    3,393       171  

Community West Bancshares

    2,800       57  

Compass Diversified Holdings

    10,600       235  

ConnectOne Bancorp Inc

    3,983       100  

Corebridge Financial Inc

    42,300       1,250  

Crawford & Co, Cl A

    5,700       60  

Credit Acceptance Corp *

    912       425  

CrossFirst Bankshares Inc *

    7,500       131  

Cullen/Frost Bankers Inc

    9,805       1,100  

Customers Bancorp Inc *

    4,770       247  

CVB Financial Corp

    19,279       355  

Diamond Hill Investment Group Inc

    654       103  

Dime Community Bancshares Inc

    3,329       87  

Donegal Group Inc, Cl A

    2,500       38  

Donnelley Financial Solutions Inc *

    4,332       289  

Dynex Capital Inc

    9,597       121  

Eagle Bancorp Inc

    4,406       96  

East West Bancorp Inc

    22,166       1,863  

Eastern Bankshares Inc

    28,834       489  

Ellington Financial Inc

    13,700       180  

Employers Holdings Inc

    2,874       138  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Enact Holdings Inc

    3,400     $ 121  

Encore Capital Group Inc *

    3,875       194  

Enova International Inc *

    4,366       374  

Enstar Group Ltd *

    1,951       636  

Enterprise Bancorp Inc/MA

    2,848       88  

Enterprise Financial Services Corp

    5,165       273  

Equitable Holdings Inc

    52,200       2,220  

Equity Bancshares Inc, Cl A

    1,200       49  

Esquire Financial Holdings Inc

    1,600       98  

Essent Group Ltd

    16,100       1,035  

Euronet Worldwide Inc *

    7,188       776  

Evercore Inc, Cl A

    5,876       1,444  

EVERTEC Inc

    10,200       349  

F&G Annuities & Life Inc

    3,894       178  

Farmers & Merchants Bancorp Inc/Archbold OH

    3,200       88  

Farmers National Banc Corp

    6,800       106  

FB Financial Corp

    5,802       280  

Federal Agricultural Mortgage Corp, Cl C

    1,288       254  

Fidelis Insurance Holdings Ltd

    10,000       185  

Fidelity D&D Bancorp Inc

    1,600       86  

Fidelity National Financial Inc

    41,366       2,439  

Financial Institutions Inc

    3,243       84  

First American Financial Corp

    15,372       981  

First Bancorp Inc/The

    3,052       85  

First BanCorp/Puerto Rico

    28,616       612  

First Bancorp/Southern Pines NC

    5,045       214  

First Bancshares Inc/The

    4,600       158  

First Bank/Hamilton NJ

    3,700       57  

First Busey Corp

    6,492       176  

First Business Financial Services Inc

    1,800       82  

First Citizens BancShares Inc/NC, Cl A

    1,902       3,862  

First Commonwealth Financial Corp

    18,601       320  

First Community Bankshares Inc

    2,342       103  

First Financial Bancorp

    16,733       443  

First Financial Bankshares Inc

    21,012       768  

First Financial Corp/IN

    2,412       108  

First Foundation Inc

    9,100       64  

First Hawaiian Inc

    20,100       489  

First Horizon Corp

    85,525       1,419  

First Interstate BancSystem Inc, Cl A

    12,916       401  

First Merchants Corp

    9,618       375  

First Mid Bancshares Inc

    3,572       144  

First of Long Island Corp/The

    4,995       64  

First Western Financial Inc *

    1,800       35  

FirstCash Holdings Inc

    6,120       735  

Five Star Bancorp

    2,800       82  

Flushing Financial Corp

    6,070       89  

Flywire Corp *

    18,900       342  

FNB Corp/PA

    53,589       803  

Forge Global Holdings Inc *

    31,460       44  

Franklin BSP Realty Trust Inc

    8,954       122  

Fulton Financial Corp

    30,212       585  

 

 

 

36

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

FVCBankcorp Inc *

    3,375     $ 42  

GCM Grosvenor Inc, Cl A

    10,000       109  

Genworth Financial Inc, Cl A *

    63,600       444  

German American Bancorp Inc

    3,566       143  

Glacier Bancorp Inc

    17,975       850  

Goosehead Insurance Inc, Cl A *

    4,100       346  

Granite Point Mortgage Trust Inc

    10,941       29  

Great Southern Bancorp Inc

    1,099       65  

Green Dot Corp, Cl A *

    9,255       103  

Greene County Bancorp Inc

    1,020       35  

Greenlight Capital Re Ltd, Cl A *

    6,409       90  

Guaranty Bancshares Inc/TX

    1,500       52  

HA Sustainable Infrastructure Capital Inc

    18,500       599  

Hamilton Insurance Group Ltd, Cl B *

    2,700       53  

Hamilton Lane Inc, Cl A

    6,000       917  

Hancock Whitney Corp

    13,914       748  

Hanmi Financial Corp

    6,878       136  

Hanover Insurance Group Inc/The

    5,817       855  

HarborOne Bancorp Inc

    3,020       40  

HBT Financial Inc

    2,200       49  

HCI Group Inc

    1,115       107  

Heartland Financial USA Inc

    6,075       339  

Heritage Commerce Corp

    13,600       138  

Heritage Financial Corp/WA

    3,571       82  

Hilltop Holdings Inc

    7,700       253  

Hingham Institution For Savings The

    300       77  

Hippo Holdings Inc *

    3,484       69  

Home Bancorp Inc

    1,800       80  

Home BancShares Inc/AR

    30,932       861  

HomeStreet Inc

    4,372       70  

HomeTrust Bancshares Inc

    1,002       37  

Hope Bancorp Inc

    19,295       247  

Horace Mann Educators Corp

    6,714       239  

Horizon Bancorp Inc/IN

    9,425       151  

Houlihan Lokey Inc, Cl A

    8,400       1,316  

I3 Verticals Inc, Cl A *

    4,800       109  

Independent Bank Corp

    6,220       394  

Independent Bank Corp/MI

    3,300       112  

Independent Bank Group Inc

    6,002       349  

Interactive Brokers Group Inc, Cl A

    16,627       2,143  

International Bancshares Corp

    8,850       559  

International Money Express Inc *

    5,400       98  

Invesco Mortgage Capital Inc

    8,009       70  

Investors Title Co

    400       90  

Jackson Financial Inc, Cl A

    12,000       1,080  

James River Group Holdings Ltd

    8,200       61  

Janus Henderson Group PLC

    19,700       741  

Jefferies Financial Group Inc

    28,900       1,733  

John Marshall Bancorp Inc

    2,700       54  

Kearny Financial Corp/MD

    10,929       74  

Kemper Corp

    9,673       605  

Kinsale Capital Group Inc

    3,600       1,768  

KKR Real Estate Finance Trust Inc

    12,500       149  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Ladder Capital Corp, Cl A

    15,962     $ 197  

Lakeland Financial Corp

    3,157       215  

Lazard Inc, Cl A

    17,831       894  

Lemonade Inc *

    10,200       189  

LendingClub Corp *

    13,700       166  

LendingTree Inc *

    700       41  

Lincoln National Corp

    26,000       835  

Live Oak Bancshares Inc

    4,800       206  

LPL Financial Holdings Inc

    11,962       2,684  

Markel Group Inc *

    2,043       3,270  

Marqeta Inc, Cl A *

    76,800       409  

MBIA Inc

    10,982       43  

Mercantile Bank Corp

    3,557       164  

Merchants Bancorp/IN

    3,300       151  

Mercury General Corp

    3,878       257  

Metrocity Bankshares Inc

    3,800       116  

Metropolitan Bank Holding Corp *

    2,100       109  

MFA Financial Inc

    16,624       208  

MGIC Investment Corp

    41,318       1,051  

Mid Penn Bancorp Inc

    3,200       97  

Midland States Bancorp Inc

    2,600       59  

MidWestOne Financial Group Inc

    3,169       93  

Moelis & Co, Cl A

    10,600       708  

Moneylion Inc *

    1,400       65  

Morningstar Inc

    4,220       1,324  

Mr Cooper Group Inc *

    10,471       982  

MVB Financial Corp

    2,400       50  

National Bank Holdings Corp, Cl A

    6,400       280  

Navient Corp

    13,300       225  

NB Bancorp Inc *

    6,400       121  

NBT Bancorp Inc

    6,308       309  

NCR Atleos Corp *

    12,941       370  

Nelnet Inc, Cl A

    2,731       316  

NerdWallet Inc, Cl A *

    5,800       75  

New York Community Bancorp Inc

    38,105       413  

New York Mortgage Trust Inc

    7,759       52  

NewtekOne Inc

    4,600       58  

Nexpoint Real Estate Finance Inc

    1,600       27  

NI Holdings Inc *

    2,300       36  

Nicolet Bankshares Inc

    2,200       216  

NMI Holdings Inc, Cl A *

    13,000       534  

Northeast Bank

    1,500       107  

Northfield Bancorp Inc

    10,205       124  

Northrim BanCorp Inc

    900       62  

Northwest Bancshares Inc

    18,579       257  

NU Holdings Ltd/Cayman Islands, Cl A *

    514,700       7,705  

OceanFirst Financial Corp

    9,468       169  

OFG Bancorp

    7,625       351  

Old National Bancorp/IN

    51,733       1,027  

Old Republic International Corp

    39,944       1,433  

Old Second Bancorp Inc

    4,400       75  

OmniAB Inc. *

    2,598        

OneMain Holdings Inc, Cl A

    18,500       914  

 

 

 

SEI Institutional Investments Trust

 

37

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Open Lending Corp, Cl A *

    23,800     $ 137  

Orange County Bancorp Inc

    1,000       57  

Orchid Island Capital Inc, Cl A

    7,420       61  

Origin Bancorp Inc

    5,000       167  

Orrstown Financial Services Inc

    3,000       107  

Oscar Health Inc, Cl A *

    29,500       540  

P10 Inc, Cl A

    8,600       86  

Pacific Premier Bancorp Inc

    14,636       376  

Pagseguro Digital Ltd, Cl A *

    31,200       345  

Palomar Holdings Inc, Cl A *

    4,000       397  

Park National Corp

    2,405       423  

Parke Bancorp Inc

    2,200       45  

Pathward Financial Inc

    4,200       289  

Patria Investments Ltd, Cl A

    10,800       124  

Payoneer Global Inc *

    44,700       332  

Paysafe Ltd *

    6,867       154  

PCB Bancorp

    2,600       50  

Peapack-Gladstone Financial Corp

    3,154       90  

PennyMac Financial Services Inc

    3,900       421  

PennyMac Mortgage Investment Trust

    14,463       206  

Peoples Bancorp Inc/OH

    5,572       178  

Peoples Financial Services Corp

    1,600       76  

Perella Weinberg Partners, Cl A

    8,600       168  

Pinnacle Financial Partners Inc

    12,427       1,237  

Pioneer Bancorp Inc/NY *

    2,700       30  

Piper Sandler Cos

    2,877       785  

PJT Partners Inc, Cl A

    3,700       457  

Popular Inc

    11,656       1,195  

PRA Group Inc *

    7,658       179  

Preferred Bank/Los Angeles CA

    1,537       127  

Premier Financial Corp

    6,876       172  

Primerica Inc

    5,529       1,455  

Primis Financial Corp

    6,000       73  

Priority Technology Holdings Inc *

    1,600       10  

ProAssurance Corp *

    11,625       156  

PROG Holdings Inc

    6,978       326  

Prosperity Bancshares Inc

    14,335       1,055  

Provident Financial Services Inc

    18,120       346  

QCR Holdings Inc

    2,600       201  

Radian Group Inc

    24,048       869  

RBB Bancorp

    2,600       60  

Ready Capital Corp

    29,838       247  

Red River Bancshares Inc

    1,200       64  

Redwood Trust Inc

    27,405       207  

Regional Management Corp

    1,700       57  

Reinsurance Group of America Inc, Cl A

    10,616       2,344  

Remitly Global Inc *

    21,000       287  

RenaissanceRe Holdings Ltd

    8,306       2,116  

Renasant Corp

    9,060       317  

Repay Holdings Corp, Cl A *

    14,200       120  

Republic Bancorp Inc/KY, Cl A

    1,998       128  

Rithm Capital Corp

    75,488       901  

RLI Corp

    6,682       1,030  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Robinhood Markets Inc, Cl A *

    107,500     $ 2,163  

Rocket Cos Inc, Cl A *

    21,000       413  

Root Inc/OH, Cl A *

    1,400       61  

Ryan Specialty Holdings Inc, Cl A

    16,500       1,066  

S&T Bancorp Inc

    6,232       268  

Safety Insurance Group Inc

    2,431       215  

Sandy Spring Bancorp Inc

    7,010       219  

Seacoast Banking Corp of Florida

    14,981       410  

SEI Investments Co

    15,219       1,029  

Selective Insurance Group Inc

    9,884       899  

Selectquote Inc *

    28,700       117  

ServisFirst Bancshares Inc

    8,100       657  

Shift4 Payments Inc, Cl A *

    10,000       831  

Shore Bancshares Inc

    1,800       26  

Sierra Bancorp

    2,978       90  

Simmons First National Corp, Cl A

    19,253       412  

SiriusPoint Ltd *

    16,300       244  

Skyward Specialty Insurance Group Inc *

    6,100       249  

SLM Corp

    36,820       812  

SmartFinancial Inc

    3,100       91  

SoFi Technologies Inc *

    162,600       1,299  

South Plains Financial Inc

    2,400       84  

Southern First Bancshares Inc *

    1,491       48  

Southern Missouri Bancorp Inc

    1,900       110  

Southside Bancshares Inc

    4,762       163  

SouthState Corp

    12,484       1,212  

Starwood Property Trust Inc

    48,680       1,014  

Stellar Bancorp Inc

    6,340       173  

StepStone Group Inc, Cl A

    8,800       481  

Sterling Bancorp Inc/MI *

    2,158       12  

Stewart Information Services Corp

    4,541       336  

Stifel Financial Corp

    15,773       1,390  

Stock Yards Bancorp Inc

    4,502       273  

StoneCo Ltd, Cl A *

    47,400       629  

StoneX Group Inc *

    4,052       336  

Sunrise Realty Trust Inc *

    933       13  

Synovus Financial Corp

    23,792       1,097  

Texas Capital Bancshares Inc *

    7,623       512  

TFS Financial Corp

    4,943       67  

Third Coast Bancshares Inc *

    800       20  

Tiptree Inc

    5,100       101  

Toast Inc, Cl A *

    71,400       1,775  

Tompkins Financial Corp

    2,705       166  

Towne Bank/Portsmouth VA

    11,567       401  

TPG Inc, Cl A

    13,900       701  

TPG RE Finance Trust Inc

    14,400       130  

Tradeweb Markets Inc, Cl A

    18,800       2,223  

TriCo Bancshares

    4,009       182  

Triumph Financial Inc *

    3,600       302  

Trupanion Inc *

    5,400       247  

TrustCo Bank Corp NY

    4,325       151  

Trustmark Corp

    9,039       301  

Two Harbors Investment Corp

    14,210       201  

 

 

 

38

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

UMB Financial Corp

    6,945     $ 719  

United Bankshares Inc/WV

    21,256       826  

United Community Banks Inc/GA

    18,118       552  

United Fire Group Inc

    4,171       85  

Unity Bancorp Inc

    100       3  

Universal Insurance Holdings Inc

    5,900       126  

Univest Financial Corp

    4,715       134  

Unum Group

    30,400       1,687  

Upstart Holdings Inc *

    10,200       434  

USCB Financial Holdings Inc

    2,200       33  

UWM Holdings Corp

    14,600       137  

Valley National Bancorp

    68,968       599  

Value Line Inc

    300       12  

Velocity Financial Inc *

    1,800       34  

Veritex Holdings Inc

    6,739       170  

Victory Capital Holdings Inc, Cl A

    6,800       371  

Virtu Financial Inc, Cl A

    13,700       421  

Virtus Investment Partners Inc

    1,158       245  

Voya Financial Inc

    16,300       1,155  

WaFd Inc

    11,619       426  

Walker & Dunlop Inc

    5,023       538  

Washington Trust Bancorp Inc

    3,870       127  

Waterstone Financial Inc

    4,000       61  

Webster Financial Corp

    26,829       1,273  

WesBanco Inc

    8,609       277  

West BanCorp Inc

    3,785       76  

Westamerica BanCorp

    4,955       257  

Western Alliance Bancorp

    17,161       1,402  

Western Union Co/The

    52,200       637  

WEX Inc *

    6,676       1,275  

White Mountains Insurance Group Ltd

    362       668  

Wintrust Financial Corp

    10,261       1,116  

WisdomTree Inc

    21,375       217  

World Acceptance Corp *

    476       56  

WSFS Financial Corp

    9,812       537  

XP Inc, Cl A

    65,000       1,197  

Zions Bancorp NA

    22,400       1,110  
                 
              209,398  

Health Care — 11.9%

       

10X Genomics Inc, Cl A *

    15,000       350  

2seventy bio Inc *

    8,200       40  

4D Molecular Therapeutics Inc *

    7,700       116  

89bio Inc *

    12,200       116  

Absci Corp *

    13,100       58  

Acadia Healthcare Co Inc *

    14,987       1,228  

ACADIA Pharmaceuticals Inc *

    19,100       317  

Accolade Inc *

    11,200       49  

Accuray Inc *

    18,400       40  

ACELYRIN Inc *

    8,700       42  

AdaptHealth Corp, Cl A *

    15,400       169  

Adaptive Biotechnologies Corp *

    23,700       111  

Addus HomeCare Corp *

    2,800       372  

ADMA Biologics Inc *

    31,800       550  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Aerovate Therapeutics Inc *

    2,200     $ 4  

Agenus Inc *

    2,865       15  

agilon health Inc *

    42,900       175  

Agios Pharmaceuticals Inc *

    9,400       432  

AirSculpt Technologies Inc *

    1,400       6  

Akero Therapeutics Inc *

    10,400       283  

Akoya Biosciences Inc *

    1,600       4  

Aldeyra Therapeutics Inc *

    9,200       53  

Alector Inc *

    13,000       69  

Alignment Healthcare Inc *

    17,000       153  

Alkermes PLC *

    26,953       767  

Allogene Therapeutics Inc *

    20,200       53  

Alnylam Pharmaceuticals Inc *

    20,389       5,356  

Alphatec Holdings Inc *

    17,300       119  

Altimmune Inc *

    11,800       79  

ALX Oncology Holdings Inc *

    4,300       10  

Amedisys Inc *

    4,771       468  

Amicus Therapeutics Inc *

    42,100       489  

AMN Healthcare Services Inc *

    5,809       308  

Amneal Pharmaceuticals Inc *

    23,588       204  

Amphastar Pharmaceuticals Inc *

    6,900       336  

AnaptysBio Inc *

    1,900       72  

Anavex Life Sciences Corp *

    15,300       92  

AngioDynamics Inc *

    8,570       64  

ANI Pharmaceuticals Inc *

    2,500       159  

Anika Therapeutics Inc *

    3,070       79  

Annexon Inc *

    17,700       101  

Apellis Pharmaceuticals Inc *

    17,400       677  

Apogee Therapeutics Inc *

    6,500       333  

Applied Therapeutics Inc *

    15,800       100  

Arbutus Biopharma Corp *

    16,700       65  

Arcellx Inc *

    6,800       467  

Arcturus Therapeutics Holdings Inc *

    3,100       65  

Arcus Biosciences Inc *

    10,600       181  

Arcutis Biotherapeutics Inc *

    17,500       190  

Ardelyx Inc *

    42,200       261  

Arrowhead Pharmaceuticals Inc *

    20,800       496  

ARS Pharmaceuticals Inc *

    8,100       105  

Artivion Inc *

    4,845       132  

Arvinas Inc *

    8,600       225  

Astrana Health Inc *

    7,100       339  

Astria Therapeutics Inc *

    10,800       132  

Atea Pharmaceuticals Inc *

    15,000       58  

AtriCure Inc *

    9,320       244  

Aura Biosciences Inc *

    2,200       18  

Aurinia Pharmaceuticals Inc *

    26,400       180  

Avadel Pharmaceuticals PLC *

    15,200       231  

Avanos Medical Inc *

    7,800       189  

Avantor Inc *

    108,351       2,800  

Aveanna Healthcare Holdings Inc *

    10,800       61  

Avid Bioservices Inc *

    13,800       145  

Avidity Biosciences Inc *

    16,600       730  

Avita Medical Inc *

    5,000       47  

 

 

 

SEI Institutional Investments Trust

 

39

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Axogen Inc *

    9,085     $ 119  

Axonics Inc *

    7,900       546  

Axsome Therapeutics Inc *

    5,300       471  

Azenta Inc *

    9,603       476  

Beam Therapeutics Inc *

    13,500       360  

BioCryst Pharmaceuticals Inc *

    27,700       241  

Biohaven Ltd *

    12,350       487  

BioLife Solutions Inc *

    3,800       98  

BioMarin Pharmaceutical Inc *

    30,346       2,768  

Biomea Fusion Inc *

    3,900       29  

Bluebird Bio Inc *

    14,400       8  

Blueprint Medicines Corp *

    10,400       994  

Bridgebio Pharma Inc *

    23,135       644  

BrightSpring Health Services Inc *

    5,100       64  

Brookdale Senior Living Inc, Cl A *

    24,509       174  

Bruker Corp

    16,332       1,097  

C4 Therapeutics Inc *

    9,600       61  

Cabaletta Bio Inc *

    7,500       42  

CareDx Inc *

    5,700       175  

Cargo Therapeutics Inc *

    1,200       23  

Caribou Biosciences Inc *

    15,100       33  

Cassava Sciences Inc *

    4,700       135  

Castle Biosciences Inc *

    4,600       136  

Catalyst Pharmaceuticals Inc *

    19,700       399  

Celcuity Inc *

    1,000       16  

Celldex Therapeutics Inc *

    11,500       475  

Century Therapeutics Inc *

    2,500       4  

Certara Inc *

    17,764       218  

Cerus Corp *

    38,497       87  

CG oncology Inc *

    3,000       111  

Chemed Corp

    2,345       1,375  

Codexis Inc *

    13,961       40  

Cogent Biosciences Inc *

    14,000       150  

Coherus Biosciences Inc *

    14,800       21  

Collegium Pharmaceutical Inc *

    4,900       188  

Community Health Systems Inc *

    28,329       154  

CONMED Corp

    4,208       308  

Corbus Pharmaceuticals Holdings Inc *

    1,700       104  

Corcept Therapeutics Inc *

    12,000       424  

CorMedix Inc *

    9,000       56  

CorVel Corp *

    1,534       492  

Crinetics Pharmaceuticals Inc *

    12,800       679  

Cross Country Healthcare Inc *

    7,179       107  

CryoPort Inc *

    9,400       88  

Cullinan Therapeutics Inc *

    6,400       125  

CVRx Inc *

    2,900       29  

Cytek Biosciences Inc *

    23,200       133  

Cytokinetics Inc *

    17,900       1,022  

Day One Biopharmaceuticals Inc *

    8,500       118  

Definitive Healthcare Corp, Cl A *

    7,300       34  

Denali Therapeutics Inc *

    21,100       516  

DENTSPLY SIRONA Inc

    34,300       867  

Design Therapeutics Inc *

    7,800       37  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Dianthus Therapeutics Inc *

    3,900     $ 112  

Disc Medicine Inc, Cl A *

    2,700       137  

DocGo Inc *

    13,700       52  

Doximity Inc, Cl A *

    19,300       710  

Dynavax Technologies Corp, Cl A *

    23,889       268  

Dyne Therapeutics Inc *

    13,000       599  

Edgewise Therapeutics Inc *

    11,900       223  

Editas Medicine Inc, Cl A *

    15,400       58  

Elanco Animal Health Inc *

    81,500       1,261  

Embecta Corp

    6,500       106  

Enanta Pharmaceuticals Inc *

    4,700       61  

Encompass Health Corp

    15,841       1,474  

Enhabit Inc *

    10,870       92  

Enliven Therapeutics Inc *

    4,600       101  

Enovis Corp *

    8,363       390  

Ensign Group Inc/The

    9,136       1,383  

Entrada Therapeutics Inc *

    4,200       74  

Envista Holdings Corp *

    26,400       482  

Erasca Inc *

    14,600       42  

Esperion Therapeutics Inc *

    31,100       57  

Evolent Health Inc, Cl A *

    17,700       566  

Evolus Inc *

    11,000       175  

Exact Sciences Corp *

    29,726       1,834  

Exelixis Inc *

    47,400       1,234  

EyePoint Pharmaceuticals Inc *

    4,500       40  

Fate Therapeutics Inc *

    18,600       68  

Foghorn Therapeutics Inc *

    4,200       35  

Fortrea Holdings Inc *

    14,200       327  

Fulcrum Therapeutics Inc *

    10,200       87  

Fulgent Genetics Inc *

    4,700       106  

GeneDx Holdings Corp, Cl A *

    2,000       64  

Generation Bio Co *

    9,900       26  

Geron Corp *

    98,170       466  

Glaukos Corp *

    7,649       1,024  

Globus Medical Inc, Cl A *

    18,558       1,349  

GRAIL Inc *

    4,633       65  

Guardant Health Inc *

    18,800       481  

Haemonetics Corp *

    8,047       608  

Halozyme Therapeutics Inc *

    19,658       1,255  

Harmony Biosciences Holdings Inc *

    5,300       191  

Harrow Inc *

    5,200       210  

Health Catalyst Inc *

    12,300       88  

HealthEquity Inc *

    13,300       1,058  

HealthStream Inc

    3,964       115  

Heron Therapeutics Inc *

    20,900       40  

HilleVax Inc *

    2,600       5  

Hims & Hers Health Inc *

    31,200       460  

Humacyte Inc *

    14,991       91  

ICU Medical Inc *

    3,127       517  

Ideaya Biosciences Inc *

    12,300       486  

IGM Biosciences Inc *

    1,200       12  

Illumina Inc *

    25,600       3,364  

ImmunityBio Inc *

    20,800       82  

 

 

 

40

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Immunome Inc *

    8,500     $ 129  

Immunovant Inc *

    10,200       315  

Inari Medical Inc *

    8,500       367  

Inmode Ltd *

    12,000       201  

Innovage Holding Corp *

    3,900       25  

Innoviva Inc *

    9,309       180  

Inogen Inc *

    4,100       50  

Inozyme Pharma Inc *

    8,500       47  

Insmed Inc *

    25,500       1,950  

Inspire Medical Systems Inc *

    4,800       863  

Integer Holdings Corp *

    5,530       719  

Integra LifeSciences Holdings Corp *

    11,304       230  

Intellia Therapeutics Inc *

    16,400       368  

Intra-Cellular Therapies Inc *

    17,000       1,246  

Ionis Pharmaceuticals Inc *

    23,594       1,125  

Iovance Biotherapeutics Inc *

    38,300       447  

iRadimed Corp

    1,100       52  

iRhythm Technologies Inc *

    5,600       397  

Ironwood Pharmaceuticals Inc, Cl A *

    27,354       138  

iTeos Therapeutics Inc *

    4,600       78  

Janux Therapeutics Inc *

    4,600       216  

Jasper Therapeutics Inc *

    1,900       41  

Jazz Pharmaceuticals PLC *

    9,700       1,125  

Joint Corp/The *

    3,000       34  

KalVista Pharmaceuticals Inc *

    4,700       63  

Keros Therapeutics Inc *

    4,800       218  

Kiniksa Pharmaceuticals International Plc, Cl A *

    6,700       179  

Kodiak Sciences Inc *

    7,600       19  

Krystal Biotech Inc *

    4,100       800  

Kura Oncology Inc *

    13,700       289  

Kymera Therapeutics Inc *

    7,600       368  

Lantheus Holdings Inc *

    10,700       1,139  

Larimar Therapeutics Inc *

    6,900       55  

LeMaitre Vascular Inc

    3,800       343  

Lexicon Pharmaceuticals Inc *

    17,105       30  

LifeMD Inc *

    5,700       30  

LifeStance Health Group Inc *

    20,600       130  

Ligand Pharmaceuticals Inc *

    2,328       246  

Liquidia Corp *

    10,700       102  

LivaNova PLC *

    8,600       433  

Longboard Pharmaceuticals Inc *

    5,300       191  

Lyell Immunopharma Inc *

    33,800       49  

MacroGenics Inc *

    12,600       44  

Madrigal Pharmaceuticals Inc *

    2,900       717  

MannKind Corp *

    43,600       273  

Maravai LifeSciences Holdings Inc, Cl A *

    13,018       118  

Masimo Corp *

    7,093       834  

MaxCyte Inc *

    20,500       89  

Medpace Holdings Inc *

    4,100       1,457  

MeiraGTx Holdings plc *

    6,700       27  

Merit Medical Systems Inc *

    9,175       887  

Mersana Therapeutics Inc *

    15,600       25  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Mesa Laboratories Inc

    1,100     $ 147  

MiMedx Group Inc *

    13,300       91  

Mind Medicine MindMed Inc *

    11,800       72  

Mineralys Therapeutics Inc *

    4,700       58  

Mirum Pharmaceuticals Inc *

    6,400       276  

ModivCare Inc *

    2,458       71  

Monte Rosa Therapeutics Inc *

    8,900       55  

Myriad Genetics Inc *

    14,226       403  

Nano-X Imaging Ltd, Cl X *

    11,200       71  

Natera Inc *

    18,400       2,176  

National HealthCare Corp

    1,994       273  

National Research Corp, Cl A

    3,212       73  

Nautilus Biotechnology Inc, Cl A *

    6,155       16  

Neogen Corp *

    35,012       604  

NeoGenomics Inc *

    18,300       302  

Neumora Therapeutics Inc *

    13,800       159  

Neurocrine Biosciences Inc *

    16,200       2,058  

Neurogene Inc *

    1,700       64  

Nevro Corp *

    7,800       48  

Nkarta Inc *

    7,474       40  

Novavax Inc *

    23,268       288  

Novocure Ltd *

    15,700       305  

Nurix Therapeutics Inc *

    10,000       252  

Nuvalent Inc, Cl A *

    4,700       400  

Nuvation Bio Inc *

    34,000       109  

Ocugen Inc *

    42,100       55  

Ocular Therapeutix Inc *

    18,400       162  

Olema Pharmaceuticals Inc *

    7,200       85  

OmniAb Inc, Cl W *

    16,797       70  

Omnicell Inc *

    5,812       259  

OPKO Health Inc *

    53,584       90  

OptimizeRx Corp *

    4,000       33  

Option Care Health Inc *

    27,327       875  

OraSure Technologies Inc *

    16,939       76  

Organogenesis Holdings Inc, Cl A *

    12,321       36  

Organon & Co

    41,800       934  

ORIC Pharmaceuticals Inc *

    14,400       149  

Orthofix Medical Inc *

    6,953       121  

OrthoPediatrics Corp *

    2,800       89  

Outlook Therapeutics Inc *

    935       7  

Owens & Minor Inc *

    11,239       175  

Pacific Biosciences of California Inc *

    46,800       64  

Pacira BioSciences Inc *

    6,545       102  

PACS Group Inc *

    4,100       163  

Paragon 28 Inc *

    5,500       46  

Patterson Cos Inc

    13,200       297  

Pediatrix Medical Group Inc *

    17,356       189  

Pennant Group Inc/The *

    3,268       112  

Penumbra Inc *

    6,100       1,234  

PepGen Inc *

    2,600       25  

Perrigo Co PLC

    21,400       623  

Perspective Therapeutics Inc *

    7,700       122  

PetIQ Inc, Cl A *

    4,400       134  

 

 

 

SEI Institutional Investments Trust

 

41

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Phathom Pharmaceuticals Inc *

    5,900     $ 97  

Phibro Animal Health Corp, Cl A

    4,800       101  

Phreesia Inc *

    8,400       216  

Pliant Therapeutics Inc *

    11,200       149  

Praxis Precision Medicines Inc *

    2,800       149  

Precigen Inc *

    21,300       23  

Premier Inc, Cl A

    18,700       381  

Prestige Consumer Healthcare Inc *

    7,979       596  

Prime Medicine Inc *

    7,800       33  

Privia Health Group Inc *

    16,800       338  

PROCEPT BioRobotics Corp *

    7,200       569  

Progyny Inc *

    15,000       352  

ProKidney Corp, Cl A *

    12,200       29  

Protagonist Therapeutics Inc *

    10,100       433  

Prothena Corp PLC *

    7,900       176  

PTC Therapeutics Inc *

    12,600       445  

Pulmonx Corp *

    6,600       48  

QIAGEN NV

    35,307       1,614  

Quanterix Corp *

    7,000       91  

Quantum-Si Inc *

    21,500       20  

QuidelOrtho Corp *

    7,471       316  

R1 RCM Inc *

    24,300       343  

RadNet Inc *

    10,900       723  

RAPT Therapeutics Inc *

    5,700       12  

Recursion Pharmaceuticals Inc, Cl A *

    34,000       248  

REGENXBIO Inc *

    9,300       114  

Relay Therapeutics Inc *

    15,500       105  

Repligen Corp *

    8,922       1,347  

Replimune Group Inc, Cl Rights *

    7,600       77  

Revance Therapeutics Inc *

    15,800       104  

REVOLUTION Medicines Inc *

    25,004       1,066  

Rhythm Pharmaceuticals Inc *

    8,800       416  

Rigel Pharmaceuticals Inc *

    3,706       50  

Rocket Pharmaceuticals Inc *

    11,300       213  

Roivant Sciences Ltd *

    58,100       711  

Royalty Pharma PLC, Cl A

    62,900       1,826  

RxSight Inc *

    5,600       316  

Sage Therapeutics Inc *

    10,700       90  

Sana Biotechnology Inc *

    18,300       111  

Sarepta Therapeutics Inc *

    14,600       1,982  

Savara Inc *

    24,200       103  

Scholar Rock Holding Corp *

    7,400       69  

Schrodinger Inc/United States *

    9,700       204  

Scilex Holding Co *

    12,212       124  

Select Medical Holdings Corp

    15,765       569  

SI-BONE Inc *

    7,300       121  

SIGA Technologies Inc

    10,000       90  

Sight Sciences Inc *

    2,400       16  

Silk Road Medical Inc *

    7,600       206  

Simulations Plus Inc

    1,700       62  

Soleno Therapeutics Inc *

    3,600       176  

Sotera Health Co *

    20,424       315  

SpringWorks Therapeutics Inc *

    12,100       505  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Spyre Therapeutics Inc *

    5,700     $ 164  

STAAR Surgical Co *

    7,378       244  

Standard BioTools Inc *

    49,600       106  

Stoke Therapeutics Inc *

    4,300       63  

Summit Therapeutics Inc *

    14,200       184  

Supernus Pharmaceuticals Inc *

    6,700       236  

Surgery Partners Inc *

    12,000       383  

Surmodics Inc *

    3,044       121  

Sutro Biopharma Inc *

    9,400       43  

Syndax Pharmaceuticals Inc *

    11,200       230  

Tactile Systems Technology Inc *

    4,900       67  

Talkspace Inc *

    20,200       40  

Tandem Diabetes Care Inc *

    9,200       400  

Tango Therapeutics Inc *

    5,100       60  

Tarsus Pharmaceuticals Inc *

    6,000       163  

Taysha Gene Therapies Inc *

    26,300       59  

Teladoc Health Inc *

    30,540       219  

Tenaya Therapeutics Inc *

    3,000       8  

Tenet Healthcare Corp *

    15,600       2,587  

Terns Pharmaceuticals Inc *

    14,200       108  

TG Therapeutics Inc *

    20,500       482  

Theravance Biopharma Inc *

    6,045       50  

Third Harmonic Bio Inc *

    3,300       38  

Tourmaline Bio Inc

    3,800       64  

TransMedics Group Inc *

    5,300       891  

Travere Therapeutics Inc *

    13,800       131  

Treace Medical Concepts Inc *

    6,200       38  

TScan Therapeutics Inc *

    6,300       35  

Twist Bioscience Corp *

    9,900       428  

Tyra Biosciences Inc *

    2,600       59  

UFP Technologies Inc *

    1,200       409  

Ultragenyx Pharmaceutical Inc *

    13,400       761  

United Therapeutics Corp *

    7,064       2,568  

UroGen Pharma Ltd *

    5,900       82  

US Physical Therapy Inc

    2,826       242  

Utah Medical Products Inc

    1,000       68  

Vanda Pharmaceuticals Inc *

    11,800       62  

Varex Imaging Corp *

    8,600       107  

Vaxcyte Inc *

    17,900       1,446  

Veeva Systems Inc, Cl A *

    23,793       5,150  

Ventyx Biosciences Inc *

    9,300       21  

Vera Therapeutics Inc, Cl A *

    6,700       253  

Veracyte Inc *

    12,300       388  

Vericel Corp *

    8,200       424  

Verve Therapeutics Inc *

    10,000       67  

Viemed Healthcare Inc *

    11,500       87  

Viking Therapeutics Inc *

    17,300       1,109  

Vir Biotechnology Inc *

    13,100       108  

Viridian Therapeutics Inc *

    10,300       151  

Voyager Therapeutics Inc *

    10,800       71  

WaVe Life Sciences Ltd *

    16,300       94  

Xencor Inc *

    10,000       175  

Xeris Biopharma Holdings Inc *

    29,100       82  

 

 

 

42

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Y-mAbs Therapeutics Inc *

    8,800     $ 126  

Zentalis Pharmaceuticals Inc *

    10,300       36  

Zimvie Inc *

    4,800       83  

Zymeworks Inc *

    10,600       124  

Zynex Inc *

    4,180       33  
                 
              138,602  

Industrials — 17.0%

       

3D Systems Corp *

    27,947       60  

AAON Inc

    11,075       1,058  

AAR Corp *

    6,229       410  

ABM Industries Inc

    10,455       598  

ACCO Brands Corp

    22,029       121  

Acuity Brands Inc

    4,825       1,229  

ACV Auctions Inc, Cl A *

    24,300       455  

Advanced Drainage Systems Inc

    10,600       1,662  

AECOM

    21,548       2,158  

AeroVironment Inc *

    4,325       881  

AerSale Corp *

    7,700       39  

AGCO Corp

    9,723       885  

Air Lease Corp, Cl A

    16,831       779  

Air Transport Services Group Inc *

    7,736       130  

Alamo Group Inc

    1,535       285  

Alaska Air Group Inc *

    20,600       744  

Albany International Corp, Cl A

    4,898       461  

Alight Inc, Cl A *

    78,100       583  

Allegiant Travel Co, Cl A

    2,050       86  

Allient Inc

    2,650       56  

Allison Transmission Holdings Inc

    14,076       1,306  

Alta Equipment Group Inc

    4,403       30  

Ameresco Inc, Cl A *

    5,279       161  

American Superconductor Corp *

    5,600       113  

American Woodmark Corp *

    2,284       205  

API Group Corp *

    36,900       1,312  

Apogee Enterprises Inc

    3,911       261  

Applied Industrial Technologies Inc

    6,061       1,243  

ArcBest Corp

    3,790       403  

Archer Aviation Inc, Cl A *

    32,200       109  

Arcosa Inc

    7,813       715  

Argan Inc

    1,579       125  

Aris Water Solutions Inc, Cl A

    4,200       71  

Armstrong World Industries Inc

    7,177       910  

Array Technologies Inc *

    28,987       195  

Astec Industries Inc

    2,763       93  

Astronics Corp *

    3,874       87  

Astronics Corp, Cl B *

    2,395       53  

Atkore Inc

    5,700       532  

Atmus Filtration Technologies Inc

    14,500       520  

Avis Budget Group Inc

    2,660       218  

AZEK Co Inc/The, Cl A *

    22,900       976  

AZZ Inc

    3,996       332  

Barnes Group Inc

    7,652       306  

Barrett Business Services Inc

    2,936       107  

Beacon Roofing Supply Inc *

    10,370       940  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Blade Air Mobility Inc *

    12,600     $ 39  

Blink Charging Co *

    8,500       16  

Bloom Energy Corp, Cl A *

    29,400       350  

Blue Bird Corp *

    4,392       225  

BlueLinx Holdings Inc *

    1,000       101  

Boise Cascade Co

    5,970       810  

Booz Allen Hamilton Holding Corp, Cl A

    20,665       3,281  

Bowman Consulting Group Ltd, Cl A *

    3,000       72  

BrightView Holdings Inc *

    9,600       153  

Brink's Co/The

    6,906       766  

Brookfield Business Corp, Cl A

    2,200       50  

BWX Technologies Inc

    14,724       1,517  

CACI International Inc, Cl A *

    3,532       1,724  

Cadre Holdings Inc

    3,700       134  

Carlisle Cos Inc

    7,577       3,211  

Casella Waste Systems Inc, Cl A *

    9,191       991  

CBIZ Inc *

    7,845       577  

CECO Environmental Corp *

    5,900       171  

Centuri Holdings Inc *

    2,200       38  

ChargePoint Holdings Inc *

    55,200       104  

Chart Industries Inc *

    6,572       804  

Cimpress PLC *

    2,299       227  

Clarivate PLC *

    60,600       416  

Clean Harbors Inc *

    8,176       2,010  

CNH Industrial NV

    138,400       1,431  

Columbus McKinnon Corp/NY

    3,665       125  

Comfort Systems USA Inc

    5,591       1,977  

CompX International Inc

    400       12  

Concentrix Corp

    7,081       533  

Concrete Pumping Holdings Inc *

    3,900       25  

Conduent Inc *

    15,000       57  

Construction Partners Inc, Cl A *

    7,400       488  

Core & Main Inc, Cl A *

    27,500       1,321  

CoreCivic Inc *

    20,002       276  

Costamare Inc

    7,100       101  

Covenant Logistics Group Inc, Cl A

    1,400       74  

CRA International Inc

    905       153  

Crane Co

    8,129       1,287  

CSG Systems International Inc

    4,817       234  

CSW Industrials Inc

    2,500       844  

Curtiss-Wright Corp

    6,078       1,920  

Custom Truck One Source Inc *

    14,400       59  

Deluxe Corp

    5,254       108  

Distribution Solutions Group Inc *

    400       15  

DNOW Inc *

    17,300       225  

Donaldson Co Inc

    18,846       1,371  

Douglas Dynamics Inc

    5,222       145  

Driven Brands Holdings Inc *

    12,800       184  

Ducommun Inc *

    2,400       156  

Dun & Bradstreet Holdings Inc

    50,600       607  

DXP Enterprises Inc/TX *

    1,462       80  

Dycom Industries Inc *

    4,707       828  

EMCOR Group Inc

    7,587       2,982  

 

 

 

SEI Institutional Investments Trust

 

43

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Energy Recovery Inc *

    5,800     $ 94  

Energy Vault Holdings Inc *

    13,900       14  

Enerpac Tool Group Corp, Cl A

    7,742       319  

EnerSys

    6,583       667  

Ennis Inc

    5,288       126  

Enovix Corp *

    27,300       260  

Enpro Inc

    3,368       542  

Enviri Corp *

    8,128       97  

Esab Corp

    9,262       972  

ESCO Technologies Inc

    3,977       477  

ExlService Holdings Inc *

    26,315       962  

Exponent Inc

    8,172       885  

Federal Signal Corp

    9,747       921  

Ferguson Enterprises Inc

    32,400       6,665  

First Advantage Corp *

    5,600       107  

Flowserve Corp

    21,600       1,077  

Fluence Energy Inc, Cl A *

    9,400       173  

Fluor Corp *

    27,100       1,357  

Forrester Research Inc *

    2,464       47  

Fortune Brands Innovations Inc

    19,700       1,564  

Forward Air Corp

    5,318       169  

Franklin Covey Co *

    1,404       57  

Franklin Electric Co Inc

    7,481       777  

Frontier Group Holdings Inc *

    9,200       33  

FTAI Aviation Ltd

    16,400       2,096  

FTAI Infrastructure Inc

    19,500       194  

FTI Consulting Inc *

    5,868       1,340  

FuelCell Energy Inc *

    85,700       35  

Gates Industrial Corp PLC *

    33,900       616  

GATX Corp

    5,752       812  

Genco Shipping & Trading Ltd

    7,300       128  

Genpact Ltd

    27,950       1,096  

GEO Group Inc/The *

    21,385       297  

Gibraltar Industries Inc *

    5,560       387  

Global Industrial Co

    2,900       97  

GMS Inc *

    6,600       573  

Golden Ocean Group Ltd

    20,100       247  

Gorman-Rupp Co/The

    3,377       132  

Graco Inc

    26,005       2,168  

GrafTech International Ltd *

    46,100       32  

Graham Corp *

    1,700       54  

Granite Construction Inc

    6,334       476  

Great Lakes Dredge & Dock Corp *

    14,980       149  

Greenbrier Cos Inc/The

    5,023       243  

Griffon Corp

    6,637       439  

GXO Logistics Inc *

    18,090       905  

H&E Equipment Services Inc

    5,525       266  

Hawaiian Holdings Inc *

    4,380       76  

Hayward Holdings Inc *

    20,100       298  

Healthcare Services Group Inc *

    12,139       132  

Heartland Express Inc

    9,772       121  

HEICO Corp

    6,718       1,724  

HEICO Corp, Cl A

    13,482       2,698  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Heidrick & Struggles International Inc

    1,852     $ 71  

Helios Technologies Inc

    5,877       260  

Herc Holdings Inc

    4,567       668  

Hertz Global Holdings Inc *

    26,900       82  

Hexcel Corp

    13,098       829  

Hillenbrand Inc

    11,580       382  

Hillman Solutions Corp *

    33,100       329  

Himalaya Shipping Ltd

    4,900       38  

HNI Corp

    7,762       418  

Hub Group Inc, Cl A

    9,924       468  

Hudson Technologies Inc *

    5,300       44  

Huron Consulting Group Inc *

    2,911       321  

Hyliion Holdings Corp *

    27,400       51  

Hyster-Yale Inc

    2,002       126  

IBEX Holdings Ltd *

    1,200       21  

ICF International Inc

    2,668       442  

IES Holdings Inc *

    1,000       187  

Innodata Inc *

    3,700       64  

Insperity Inc

    5,724       538  

Insteel Industries Inc

    4,141       142  

Interface Inc, Cl A

    7,545       142  

ITT Inc

    13,163       1,833  

Janus International Group Inc *

    23,300       256  

JELD-WEN Holding Inc *

    14,300       204  

JetBlue Airways Corp *

    50,381       256  

Joby Aviation Inc *

    66,100       331  

John Bean Technologies Corp

    5,031       452  

Kadant Inc

    1,925       618  

Karat Packaging Inc

    1,000       25  

KBR Inc

    21,245       1,474  

Kelly Services Inc, Cl A

    3,895       82  

Kennametal Inc

    13,014       337  

Kforce Inc

    3,237       212  

Kirby Corp *

    9,226       1,106  

Knight-Swift Transportation Holdings Inc, Cl A

    24,427       1,279  

Korn Ferry

    8,558       625  

Kratos Defense & Security Solutions Inc *

    24,316       558  

Landstar System Inc

    5,344       976  

Legalzoom.com Inc *

    21,900       148  

Lennox International Inc

    5,029       2,968  

Leonardo DRS Inc *

    11,400       325  

Limbach Holdings Inc *

    900       58  

Lincoln Electric Holdings Inc

    8,733       1,691  

Lindsay Corp

    1,927       239  

Liquidity Services Inc *

    1,422       31  

Loar Holdings Inc *

    1,700       126  

LSI Industries Inc

    7,400       118  

Luxfer Holdings PLC

    7,600       85  

Lyft Inc, Cl A *

    57,200       668  

Manitowoc Co Inc/The *

    7,787       79  

ManpowerGroup Inc

    7,956       588  

Marten Transport Ltd

    9,729       170  

 

 

 

44

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

MasTec Inc *

    9,882     $ 1,118  

Masterbrand Inc *

    22,700       364  

Matrix Service Co *

    4,300       43  

Matson Inc

    5,552       768  

Matthews International Corp, Cl A

    3,213       81  

Maximus Inc

    9,316       859  

McGrath RentCorp

    4,048       438  

MDU Resources Group Inc

    33,032       849  

Mercury Systems Inc *

    8,023       304  

Middleby Corp/The *

    8,325       1,171  

Miller Industries Inc/TN

    2,311       140  

MillerKnoll Inc

    10,207       301  

Montrose Environmental Group Inc *

    5,900       194  

Moog Inc, Cl A

    4,624       913  

MRC Global Inc *

    13,812       182  

MSA Safety Inc

    5,844       1,067  

MSC Industrial Direct Co Inc, Cl A

    6,903       568  

Mueller Industries Inc

    18,316       1,332  

Mueller Water Products Inc, Cl A

    24,112       518  

MYR Group Inc *

    2,379       240  

National Presto Industries Inc

    1,091       85  

NEXTracker Inc, Cl A *

    19,200       781  

NL Industries Inc

    2,000       13  

Northwest Pipe Co *

    2,600       114  

NuScale Power Corp *

    12,800       105  

NV5 Global Inc *

    2,000       192  

nVent Electric PLC

    26,500       1,801  

Omega Flex Inc

    600       28  

OPENLANE Inc *

    16,029       278  

Orion Group Holdings Inc *

    5,000       38  

Oshkosh Corp

    10,217       1,103  

Owens Corning

    13,760       2,322  

Pangaea Logistics Solutions Ltd

    2,100       14  

Park Aerospace Corp

    5,082       69  

Parsons Corp *

    7,600       726  

Paycor HCM Inc *

    10,900       154  

Paylocity Holding Corp *

    7,000       1,130  

Pitney Bowes Inc

    26,400       187  

Planet Labs PBC *

    38,700       104  

Plug Power Inc *

    103,700       195  

Powell Industries Inc

    1,564       262  

Preformed Line Products Co

    690       83  

Primoris Services Corp

    9,147       516  

Proto Labs Inc *

    4,199       128  

Quad/Graphics Inc, Cl A

    6,600       31  

Quanex Building Products Corp

    4,065       112  

Radiant Logistics Inc *

    12,400       79  

RB Global Inc

    29,333       2,526  

RBC Bearings Inc *

    4,495       1,339  

Regal Rexnord Corp

    10,438       1,752  

Resideo Technologies Inc *

    23,300       470  

Resources Connection Inc

    6,981       73  

REV Group Inc

    8,400       267  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Robert Half Inc

    16,000     $ 1,003  

Rocket Lab USA Inc *

    52,300       328  

Rush Enterprises Inc, Cl A

    9,347       493  

Rush Enterprises Inc, Cl B

    1,050       49  

RXO Inc *

    19,190       546  

Ryder System Inc

    6,800       988  

Safe Bulkers Inc

    12,300       63  

Saia Inc *

    4,192       1,575  

Schneider National Inc, Cl B

    7,800       211  

Science Applications International Corp

    7,876       1,029  

Sensata Technologies Holding PLC

    23,400       902  

SES AI Corp *

    24,300       26  

Shoals Technologies Group Inc, Cl A *

    31,600       170  

Shyft Group Inc/The

    7,900       112  

Simpson Manufacturing Co Inc

    6,743       1,234  

SiteOne Landscape Supply Inc *

    7,400       1,050  

SkyWest Inc *

    6,322       490  

Spirit AeroSystems Holdings Inc, Cl A *

    19,175       675  

Spirit Airlines Inc

    22,647       58  

SPX Technologies Inc *

    7,394       1,206  

SS&C Technologies Holdings Inc

    34,218       2,569  

Standex International Corp

    2,129       380  

Steelcase Inc, Cl A

    15,257       216  

Stem Inc *

    32,700       19  

Stericycle Inc *

    14,200       841  

Sterling Check Corp *

    3,600       58  

Sterling Infrastructure Inc *

    4,800       574  

Sun Country Airlines Holdings Inc *

    4,900       54  

Sunrun Inc *

    33,210       681  

Tecnoglass Inc

    3,700       229  

Tennant Co

    3,238       316  

Terex Corp

    10,670       606  

Tetra Tech Inc

    8,542       2,031  

Thermon Group Holdings Inc *

    6,882       216  

Timken Co/The

    10,709       905  

Titan International Inc *

    10,800       90  

Titan Machinery Inc *

    4,312       65  

Toro Co/The

    16,700       1,546  

TPI Composites Inc *

    7,500       32  

Transcat Inc *

    1,600       198  

TransUnion

    30,994       3,001  

Trex Co Inc *

    17,160       1,094  

TriNet Group Inc

    5,151       530  

Trinity Industries Inc

    14,342       473  

Triumph Group Inc *

    10,596       148  

TrueBlue Inc *

    8,328       66  

TTEC Holdings Inc

    4,227       22  

Tutor Perini Corp *

    8,051       193  

UFP Industries Inc

    9,565       1,164  

U-Haul Holding Co *

    500       36  

U-Haul Holding Co, Cl B

    16,600       1,135  

UniFirst Corp/MA

    2,440       463  

Universal Logistics Holdings Inc

    1,900       80  

 

 

 

SEI Institutional Investments Trust

 

45

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Upwork Inc *

    18,600     $ 179  

V2X Inc *

    2,679       152  

Valmont Industries Inc

    3,014       861  

Verra Mobility Corp, Cl A *

    27,400       757  

Vertiv Holdings Co, Cl A

    57,700       4,791  

Vestis Corp

    18,250       257  

Viad Corp *

    4,271       147  

Vicor Corp *

    3,800       146  

Virgin Galactic Holdings Inc *

    2,565       17  

VSE Corp

    2,500       233  

Wabash National Corp

    8,041       156  

Watsco Inc

    5,559       2,643  

Watts Water Technologies Inc, Cl A

    4,156       817  

Werner Enterprises Inc

    10,390       384  

WESCO International Inc

    6,765       1,119  

Willdan Group Inc *

    2,400       91  

WillScot Holdings Corp, Cl A *

    29,211       1,126  

WNS Holdings Ltd *

    7,600       450  

Woodward Inc

    9,842       1,640  

Xometry Inc, Cl A *

    7,000       137  

XPO Inc *

    18,190       2,085  

Zurn Elkay Water Solutions Corp

    24,026       779  
                 
              198,875  

Information Technology — 16.2%

       

8x8 Inc *

    25,314       48  

908 Devices Inc *

    5,300       21  

A10 Networks Inc

    13,400       185  

ACI Worldwide Inc *

    17,312       872  

ACM Research Inc, Cl A *

    7,200       130  

Adeia Inc

    12,450       157  

ADTRAN Holdings Inc *

    15,797       88  

Advanced Energy Industries Inc

    6,019       639  

Aehr Test Systems *

    5,100       78  

Aeva Technologies Inc *

    4,560       15  

Agilysys Inc *

    3,900       441  

Alarm.com Holdings Inc *

    7,700       458  

Alkami Technology Inc *

    6,400       213  

Allegro MicroSystems Inc *

    11,700       287  

Alpha & Omega Semiconductor Ltd *

    3,400       142  

Altair Engineering Inc, Cl A *

    9,000       813  

Ambarella Inc *

    5,745       343  

Amdocs Ltd

    17,868       1,554  

American Software Inc/GA, Cl A

    7,072       81  

Amkor Technology Inc

    17,938       590  

Amplitude Inc, Cl A *

    13,700       121  

Appfolio Inc, Cl A *

    3,600       835  

Appian Corp, Cl A *

    6,000       195  

Applied Digital Corp *

    16,200       59  

Applied Optoelectronics Inc *

    6,100       69  

AppLovin Corp, Cl A *

    42,000       3,901  

Arlo Technologies Inc *

    12,552       147  

Arrow Electronics Inc *

    8,325       1,125  

Asana Inc, Cl A *

    12,000       169  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

ASGN Inc *

    7,069     $ 680  

Aspen Technology Inc *

    4,270       1,000  

Astera Labs Inc *

    3,600       155  

Atlassian Corp, Cl A *

    25,241       4,180  

Aurora Innovation Inc, Cl A *

    138,200       645  

AvePoint Inc *

    20,900       241  

Aviat Networks Inc *

    2,100       58  

Avnet Inc

    13,499       745  

Axcelis Technologies Inc *

    5,250       574  

Badger Meter Inc

    4,824       998  

Bel Fuse Inc, Cl B

    2,100       142  

Belden Inc

    6,623       711  

Benchmark Electronics Inc

    6,630       282  

Bentley Systems Inc, Cl B

    22,200       1,143  

BigCommerce Holdings Inc *

    14,700       86  

BILL Holdings Inc *

    16,977       926  

Bit Digital Inc *

    20,100       65  

Blackbaud Inc *

    6,855       573  

BlackLine Inc *

    9,100       451  

Blend Labs Inc, Cl A *

    38,000       139  

Box Inc, Cl A *

    22,600       737  

Braze Inc, Cl A *

    8,300       372  

C3.ai Inc, Cl A *

    12,700       296  

Calix Inc *

    9,645       359  

CCC Intelligent Solutions Holdings Inc *

    70,800       763  

Cerence Inc *

    8,510       28  

CEVA Inc *

    5,138       123  

Ciena Corp *

    22,886       1,319  

Cipher Mining Inc *

    28,400       100  

Cirrus Logic Inc *

    8,595       1,252  

Cleanspark Inc *

    36,400       389  

Clear Secure Inc, Cl A

    14,000       425  

Clearfield Inc *

    2,600       97  

Clearwater Analytics Holdings Inc, Cl A *

    23,000       570  

Climb Global Solutions Inc

    700       67  

Cloudflare Inc, Cl A *

    48,300       3,967  

Cognex Corp

    27,216       1,099  

Coherent Corp *

    21,201       1,653  

Cohu Inc *

    8,336       224  

CommScope Holding Co Inc *

    31,200       120  

CommVault Systems Inc *

    6,884       1,070  

Confluent Inc, Cl A *

    40,000       849  

Consensus Cloud Solutions Inc *

    3,585       86  

Core Scientific Inc *

    29,300       302  

Corsair Gaming Inc *

    6,200       43  

Couchbase Inc *

    7,800       153  

Crane NXT Co

    7,629       448  

Credo Technology Group Holding Ltd *

    21,200       740  

CS Disco Inc *

    5,000       28  

CTS Corp

    4,045       199  

Daily Journal Corp *

    300       149  

Daktronics Inc *

    4,000       58  

Datadog Inc, Cl A *

    47,955       5,575  

 

 

 

46

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Dave Inc *

    1,300     $ 49  

Dell Technologies Inc, Cl C

    39,900       4,610  

Diebold Nixdorf Inc *

    4,200       188  

Digi International Inc *

    5,701       168  

Digimarc Corp *

    2,876       83  

Digital Turbine Inc *

    20,700       67  

DigitalOcean Holdings Inc *

    10,200       382  

Diodes Inc *

    7,142       498  

DocuSign Inc, Cl A *

    32,580       1,929  

Dolby Laboratories Inc, Cl A

    8,904       635  

Domo Inc, Cl B *

    6,432       48  

DoubleVerify Holdings Inc *

    23,800       469  

Dropbox Inc, Cl A *

    38,400       965  

DXC Technology Co *

    30,100       622  

Dynatrace Inc *

    41,200       2,086  

E2open Parent Holdings Inc *

    23,200       104  

Eastman Kodak Co *

    9,600       51  

eGain Corp *

    4,900       35  

Elastic NV *

    13,500       1,029  

Enfusion Inc, Cl A *

    4,900       41  

Entegris Inc

    24,030       2,784  

Envestnet Inc *

    7,352       461  

ePlus Inc *

    4,276       410  

EverCommerce Inc *

    7,100       76  

Evolv Technologies Holdings Inc *

    18,900       75  

Extreme Networks Inc *

    17,287       272  

Fabrinet *

    5,815       1,417  

FARO Technologies Inc *

    4,508       81  

Fastly Inc, Cl A *

    23,900       144  

Five9 Inc *

    11,600       374  

FormFactor Inc *

    12,719       620  

Freshworks Inc, Cl A *

    33,500       391  

Gitlab Inc, Cl A *

    19,600       929  

GLOBALFOUNDRIES Inc *

    15,500       724  

Globant SA *

    6,900       1,395  

Grid Dynamics Holdings Inc *

    11,600       162  

Guidewire Software Inc *

    13,269       1,974  

Hackett Group Inc/The

    3,700       98  

Harmonic Inc *

    16,994       246  

HashiCorp Inc, Cl A *

    15,900       540  

HubSpot Inc *

    7,873       3,929  

Hut 8 Corp *

    13,200       133  

Ichor Holdings Ltd *

    5,400       167  

iLearningEngines Holdings Inc *

    4,800       7  

Immersion Corp

    8,400       79  

Impinj Inc *

    3,700       622  

indie Semiconductor Inc, Cl A *

    27,400       114  

Infinera Corp *

    24,884       157  

Informatica Inc, Cl A *

    10,600       264  

Information Services Group Inc

    8,000       28  

Insight Enterprises Inc *

    4,398       955  

Instructure Holdings Inc *

    2,600       61  

Intapp Inc *

    6,400       296  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

InterDigital Inc

    3,717     $ 515  

IonQ Inc *

    29,900       222  

IPG Photonics Corp *

    4,700       321  

Itron Inc *

    7,411       758  

Jamf Holding Corp *

    9,600       178  

Kimball Electronics Inc *

    5,693       105  

Knowles Corp *

    15,300       282  

Kulicke & Soffa Industries Inc

    9,000       394  

Kyndryl Holdings Inc *

    37,300       884  

Lattice Semiconductor Corp *

    21,562       1,021  

Lightwave Logic Inc *

    27,900       82  

Littelfuse Inc

    4,031       1,097  

LiveRamp Holdings Inc *

    10,174       264  

Lumentum Holdings Inc *

    11,070       638  

MACOM Technology Solutions Holdings Inc *

    8,725       953  

Manhattan Associates Inc *

    9,780       2,586  

Marathon Digital Holdings Inc *

    44,900       750  

Marvell Technology Inc

    137,812       10,507  

Matterport Inc *

    29,400       133  

MaxLinear Inc, Cl A *

    13,444       204  

MeridianLink Inc *

    5,300       121  

Methode Electronics Inc

    6,784       71  

MicroStrategy Inc, Cl A *

    25,130       3,328  

MicroVision Inc *

    35,100       33  

Mirion Technologies Inc, Cl A *

    35,300       383  

Mitek Systems Inc *

    9,100       85  

MKS Instruments Inc

    10,623       1,267  

MongoDB Inc, Cl A *

    10,900       3,170  

N-able Inc/US *

    11,350       146  

Napco Security Technologies Inc

    5,600       260  

Navitas Semiconductor Corp, Cl A *

    20,200       61  

nCino Inc *

    13,700       410  

NCR Voyix Corp *

    25,883       349  

NETGEAR Inc *

    6,692       109  

NetScout Systems Inc *

    9,058       195  

NextNav Inc *

    12,300       94  

nLight Inc *

    10,600       127  

Novanta Inc *

    5,562       1,019  

Nutanix Inc, Cl A *

    39,200       2,477  

NVE Corp

    900       75  

Okta Inc, Cl A *

    24,704       1,945  

Olo Inc, Cl A *

    22,100       116  

ON24 Inc *

    6,100       39  

OneSpan Inc *

    2,402       39  

Onto Innovation Inc *

    7,772       1,657  

Ooma Inc *

    6,900       72  

OSI Systems Inc *

    2,268       340  

Ouster Inc *

    7,100       50  

Pagaya Technologies Ltd, Cl A *

    6,600       99  

PagerDuty Inc *

    13,915       275  

Palantir Technologies Inc, Cl A *

    323,800       10,193  

PAR Technology Corp *

    5,800       313  

PC Connection Inc

    2,231       163  

 

 

 

SEI Institutional Investments Trust

 

47

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

PDF Solutions Inc *

    5,153     $ 163  

Pegasystems Inc

    7,636       541  

Perficient Inc *

    5,200       391  

Photronics Inc *

    9,129       236  

Plexus Corp *

    4,328       554  

Power Integrations Inc

    8,378       562  

Powerfleet Inc NJ *

    14,900       74  

PowerSchool Holdings Inc, Cl A *

    9,800       223  

Procore Technologies Inc *

    17,400       1,031  

Progress Software Corp

    7,058       410  

PROS Holdings Inc *

    6,599       133  

Pure Storage Inc, Cl A *

    46,600       2,390  

Q2 Holdings Inc *

    9,400       698  

Qualys Inc *

    5,600       701  

Rackspace Technology Inc *

    11,600       27  

Rambus Inc *

    16,810       752  

Rapid7 Inc *

    9,700       367  

Red Violet Inc *

    1,100       32  

Ribbon Communications Inc *

    13,520       46  

Rimini Street Inc *

    10,000       18  

RingCentral Inc, Cl A *

    13,600       453  

Riot Platforms Inc *

    44,600       336  

Rogers Corp *

    3,093       332  

Sanmina Corp *

    9,066       629  

Sapiens International Corp NV

    3,800       138  

ScanSource Inc *

    3,396       173  

SEMrush Holdings Inc, Cl A *

    6,100       84  

Semtech Corp *

    11,575       507  

SentinelOne Inc, Cl A *

    38,000       895  

Silicon Laboratories Inc *

    5,182       613  

SiTime Corp *

    2,900       420  

SkyWater Technology Inc *

    1,700       15  

SMART Global Holdings Inc *

    8,600       178  

SmartRent Inc, Cl A *

    30,500       52  

Smartsheet Inc, Cl A *

    21,100       1,030  

Snowflake Inc, Cl A *

    50,800       5,803  

SolarWinds Corp

    7,850       100  

SoundHound AI Inc, Cl A *

    46,700       228  

SoundThinking Inc *

    1,400       20  

Sprinklr Inc, Cl A *

    17,700       159  

Sprout Social Inc, Cl A *

    8,800       274  

SPS Commerce Inc *

    5,758       1,150  

Squarespace Inc, Cl A *

    9,400       428  

Synaptics Inc *

    6,387       520  

TD SYNNEX Corp

    11,681       1,418  

Tenable Holdings Inc *

    18,700       772  

Teradata Corp *

    16,100       455  

Terawulf Inc *

    37,800       165  

Thoughtworks Holding Inc *

    20,500       89  

TTM Technologies Inc *

    17,487       340  

Tucows Inc, Cl A *

    2,200       47  

Turtle Beach Corp *

    4,000       63  

Twilio Inc, Cl A *

    27,642       1,735  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Ubiquiti Inc

    700     $ 135  

UiPath Inc, Cl A *

    63,700       820  

Ultra Clean Holdings Inc *

    6,352       240  

Unisys Corp *

    15,183       84  

Unity Software Inc *

    48,700       797  

Universal Display Corp

    7,451       1,443  

Varonis Systems Inc, Cl B *

    18,100       1,024  

Veeco Instruments Inc *

    9,110       323  

Verint Systems Inc *

    8,350       263  

Vertex Inc, Cl A *

    8,900       344  

Viant Technology Inc, Cl A *

    2,600       29  

Viasat Inc *

    18,256       287  

Viavi Solutions Inc *

    38,900       335  

Vishay Intertechnology Inc

    20,317       409  

Vishay Precision Group Inc *

    3,164       87  

Vontier Corp

    24,300       851  

Weave Communications Inc *

    2,600       29  

Wolfspeed Inc *

    19,923       194  

Workday Inc, Cl A *

    33,866       8,913  

Workiva Inc, Cl A *

    8,000       625  

Xerox Holdings Corp

    18,000       204  

Xperi Inc *

    9,580       85  

Yext Inc *

    25,100       128  

Zeta Global Holdings Corp, Cl A *

    27,000       713  

Zoom Video Communications Inc, Cl A *

    39,421       2,723  

Zscaler Inc *

    14,700       2,940  

Zuora Inc, Cl A *

    14,700       129  
                 
              189,373  

Materials — 5.1%

       

AdvanSix Inc

    2,100       62  

Alcoa Corp

    40,000       1,284  

Alpha Metallurgical Resources Inc

    1,800       431  

American Vanguard Corp

    6,799       39  

AptarGroup Inc

    10,366       1,588  

Arcadium Lithium PLC *

    167,060       453  

Arch Resources Inc

    2,800       382  

Ardagh Metal Packaging SA

    48,350       173  

Ashland Inc

    8,308       744  

Aspen Aerogels Inc *

    9,600       275  

ATI Inc *

    20,400       1,303  

Avient Corp

    14,832       729  

Axalta Coating Systems Ltd *

    35,000       1,278  

Balchem Corp

    5,188       918  

Berry Global Group Inc

    18,041       1,242  

Cabot Corp

    8,532       897  

Carpenter Technology Corp

    7,801       1,129  

Century Aluminum Co *

    6,197       89  

Chemours Co/The

    24,200       470  

Clearwater Paper Corp *

    2,651       88  

Cleveland-Cliffs Inc *

    77,560       1,013  

Coeur Mining Inc *

    58,261       358  

Commercial Metals Co

    18,241       978  

Compass Minerals International Inc

    7,840       69  

 

 

 

48

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Constellium SE, Cl A *

    23,100     $ 387  

CRH PLC

    110,600       10,039  

Crown Holdings Inc

    18,551       1,677  

Eagle Materials Inc

    5,483       1,413  

Ecovyst Inc *

    19,100       137  

Element Solutions Inc

    37,100       992  

Graphic Packaging Holding Co

    48,617       1,455  

Greif Inc, Cl A

    3,119       195  

Greif Inc, Cl B

    1,300       88  

Hawkins Inc

    2,746       348  

Haynes International Inc

    1,123       68  

HB Fuller Co

    8,733       748  

Hecla Mining Co

    95,068       564  

Huntsman Corp

    27,624       609  

i-80 Gold Corp *

    38,100       40  

Ingevity Corp *

    5,400       213  

Innospec Inc

    4,113       474  

Intrepid Potash Inc *

    1,860       46  

Ivanhoe Electric Inc / US *

    9,500       67  

Kaiser Aluminum Corp

    2,754       205  

Knife River Corp *

    9,083       716  

Koppers Holdings Inc

    2,573       102  

Kronos Worldwide Inc

    5,084       59  

Lifezone Metals Ltd *

    6,000       37  

Louisiana-Pacific Corp

    10,542       1,023  

LSB Industries Inc *

    8,300       66  

Materion Corp

    2,874       334  

Mativ Holdings Inc

    10,288       195  

Metallus Inc *

    5,104       83  

Metals Acquisition Ltd, Cl A *

    8,900       100  

Minerals Technologies Inc

    5,324       411  

MP Materials Corp *

    18,100       234  

Myers Industries Inc

    8,418       129  

NewMarket Corp

    1,097       629  

Novagold Resources Inc *

    42,600       181  

O-I Glass Inc, Cl I *

    24,300       308  

Olin Corp

    18,516       809  

Olympic Steel Inc

    1,927       77  

Orion SA

    10,400       194  

Pactiv Evergreen Inc

    8,700       103  

Perimeter Solutions SA *

    19,300       226  

Piedmont Lithium Inc *

    3,100       26  

PureCycle Technologies Inc *

    17,400       106  

Quaker Chemical Corp

    1,934       327  

Radius Recycling Inc, Cl A

    5,956       90  

Ramaco Resources Inc, Cl A

    5,500       67  

Ramaco Resources Inc, Cl B

    1,100       12  

Ranpak Holdings Corp, Cl A *

    8,300       59  

Rayonier Advanced Materials Inc *

    13,917       111  

Reliance Inc

    9,138       2,619  

Royal Gold Inc

    10,902       1,528  

RPM International Inc

    20,188       2,347  

Ryerson Holding Corp

    4,900       98  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Scotts Miracle-Gro Co/The, Cl A

    7,059     $ 501  

Sealed Air Corp

    23,600       825  

Sensient Technologies Corp

    6,635       516  

Silgan Holdings Inc

    13,560       709  

Sonoco Products Co

    14,921       844  

Southern Copper Corp

    14,356       1,460  

SSR Mining Inc

    24,700       128  

Stepan Co

    3,925       305  

Summit Materials Inc, Cl A *

    19,465       788  

SunCoke Energy Inc

    9,446       85  

Sylvamo Corp

    5,800       459  

Tredegar Corp *

    5,341       33  

TriMas Corp

    6,476       165  

Tronox Holdings PLC

    20,000       279  

United States Lime & Minerals Inc

    2,000       163  

United States Steel Corp

    35,700       1,353  

Universal Stainless & Alloy Products Inc *

    1,400       59  

Valhi Inc

    500       15  

Warrior Met Coal Inc

    8,200       503  

Westlake Corp

    5,310       772  

Worthington Steel Inc

    5,702       202  
                 
              59,327  

Real Estate — 5.6%

       

Acadia Realty Trust

    14,339       323  

Agree Realty Corp

    15,647       1,142  

Alexander & Baldwin Inc

    10,291       204  

Alexander's Inc

    488       112  

American Assets Trust Inc

    7,791       212  

American Healthcare REIT Inc

    10,700       224  

American Homes 4 Rent, Cl A

    53,300       2,120  

Americold Realty Trust Inc

    47,100       1,366  

Anywhere Real Estate Inc *

    23,502       115  

Apartment Investment and Management Co, Cl A *

    23,300       217  

Apple Hospitality REIT Inc

    34,500       498  

Armada Hoffler Properties Inc

    13,800       170  

Braemar Hotels & Resorts Inc

    13,600       42  

Brandywine Realty Trust

    18,539       97  

Brixmor Property Group Inc

    47,700       1,306  

Broadstone Net Lease Inc, Cl A

    31,000       567  

BRT Apartments Corp

    2,400       46  

CareTrust REIT Inc

    21,953       656  

CBL & Associates Properties Inc

    3,700       98  

Centerspace

    2,403       180  

Chatham Lodging Trust

    10,435       89  

City Office REIT Inc

    11,000       65  

Clipper Realty Inc

    3,500       17  

Community Healthcare Trust Inc

    5,400       101  

Compass Inc, Cl A *

    63,100       324  

COPT Defense Properties

    17,730       528  

Cousins Properties Inc

    24,345       694  

CTO Realty Growth Inc

    4,254       81  

CubeSmart

    36,022       1,867  

 

 

 

SEI Institutional Investments Trust

 

49

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Cushman & Wakefield PLC *

    37,600     $ 489  

DiamondRock Hospitality Co

    37,807       332  

DigitalBridge Group Inc

    25,598       320  

Diversified Healthcare Trust

    48,507       169  

Douglas Emmett Inc

    25,085       401  

Easterly Government Properties Inc, Cl A

    12,600       165  

EastGroup Properties Inc

    7,585       1,414  

Elme Communities

    16,513       292  

Empire State Realty Trust Inc, Cl A

    17,400       188  

EPR Properties

    11,851       563  

Equity Commonwealth *

    14,544       295  

Equity LifeStyle Properties Inc

    29,664       2,157  

Essential Properties Realty Trust Inc

    28,800       919  

eXp World Holdings Inc

    13,900       163  

Farmland Partners Inc

    10,300       105  

First Industrial Realty Trust Inc

    20,953       1,189  

Forestar Group Inc *

    3,867       120  

Four Corners Property Trust Inc

    15,119       429  

FRP Holdings Inc *

    2,876       85  

Gaming and Leisure Properties Inc

    41,431       2,155  

Getty Realty Corp

    9,189       292  

Gladstone Commercial Corp

    8,919       136  

Gladstone Land Corp

    7,000       95  

Global Medical REIT Inc

    4,100       38  

Global Net Lease Inc

    33,762       291  

Healthcare Realty Trust Inc, Cl A

    60,205       1,072  

Highwoods Properties Inc

    16,368       527  

Howard Hughes Holdings Inc *

    5,117       385  

Hudson Pacific Properties Inc

    27,870       144  

Independence Realty Trust Inc

    34,701       721  

Industrial Logistics Properties Trust

    10,700       53  

Innovative Industrial Properties Inc, Cl A

    4,400       547  

InvenTrust Properties Corp

    12,100       359  

JBG SMITH Properties

    12,200       212  

Jones Lang LaSalle Inc *

    7,347       1,875  

Kennedy-Wilson Holdings Inc

    21,529       239  

Kilroy Realty Corp

    19,043       691  

Kite Realty Group Trust

    33,321       869  

Lamar Advertising Co, Cl A

    13,897       1,748  

LTC Properties Inc

    5,917       217  

LXP Industrial Trust, Cl B

    45,190       468  

Macerich Co/The

    35,645       569  

Marcus & Millichap Inc

    2,700       107  

Medical Properties Trust Inc

    93,362       420  

National Health Investors Inc

    6,464       526  

National Storage Affiliates Trust

    10,400       486  

NET Lease Office Properties

    2,895       88  

NETSTREIT Corp

    10,100       169  

Newmark Group Inc, Cl A

    18,505       256  

NexPoint Residential Trust Inc

    2,600       123  

NNN REIT Inc

    29,043       1,365  

Omega Healthcare Investors Inc

    39,557       1,564  

One Liberty Properties Inc

    3,662       98  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Opendoor Technologies Inc *

    103,100     $ 222  

Orion Office REIT Inc

    11,900       49  

Outfront Media Inc

    23,709       404  

Paramount Group Inc

    30,300       153  

Park Hotels & Resorts Inc

    30,859       471  

Peakstone Realty Trust

    5,500       73  

Pebblebrook Hotel Trust

    19,625       261  

Phillips Edison & Co Inc

    19,000       702  

Piedmont Office Realty Trust Inc, Cl A

    20,266       198  

Plymouth Industrial REIT Inc

    7,000       168  

Postal Realty Trust Inc, Cl A

    2,600       38  

PotlatchDeltic Corp

    12,642       549  

Rayonier Inc

    24,153       744  

RE/MAX Holdings Inc, Cl A

    4,200       48  

Real Brokerage Inc/The *

    15,600       97  

Redfin Corp *

    23,300       218  

Retail Opportunity Investments Corp

    18,259       279  

Rexford Industrial Realty Inc

    33,800       1,721  

RLJ Lodging Trust

    21,954       209  

RMR Group Inc/The, Cl A

    4,170       106  

Ryman Hospitality Properties Inc

    8,960       931  

Sabra Health Care REIT Inc

    36,820       627  

Safehold Inc

    9,727       244  

Saul Centers Inc

    2,644       108  

Seaport Entertainment Group Inc *

    569       17  

Service Properties Trust

    28,741       135  

SITE Centers Corp

    7,802       471  

SL Green Realty Corp

    10,283       685  

St Joe Co/The

    5,200       309  

STAG Industrial Inc

    28,756       1,167  

Star Holdings *

    2,282       31  

Stratus Properties Inc *

    1,200       31  

Summit Hotel Properties Inc

    23,629       160  

Sun Communities Inc

    19,721       2,667  

Sunstone Hotel Investors Inc

    32,338       337  

Tanger Inc

    16,149       492  

Tejon Ranch Co *

    4,876       87  

Terreno Realty Corp

    15,263       1,054  

UMH Properties Inc

    9,500       185  

Uniti Group Inc

    36,660       160  

Universal Health Realty Income Trust

    3,116       140  

Urban Edge Properties

    19,700       417  

Veris Residential Inc

    12,567       220  

Vornado Realty Trust

    28,900       993  

Whitestone REIT, Cl B

    8,077       108  

WP Carey Inc

    34,400       2,065  

Xenia Hotels & Resorts Inc

    18,000       256  

Zillow Group Inc, Cl A *

    6,791       363  

Zillow Group Inc, Cl C *

    25,797       1,427  
                 
              64,758  

Utilities — 1.6%

       

ALLETE Inc

    8,770       557  

Altus Power Inc, Cl A *

    9,800       31  

 

 

 

50

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

American States Water Co

    5,774     $ 470  

Avangrid Inc

    9,650       344  

Avista Corp

    11,952       462  

Black Hills Corp

    10,802       639  

Brookfield Infrastructure Corp, Cl A

    19,250       783  

Brookfield Renewable Corp, Cl A

    21,316       607  

California Water Service Group

    9,041       500  

Chesapeake Utilities Corp

    3,815       452  

Clearway Energy Inc, Cl A

    3,800       102  

Clearway Energy Inc, Cl C

    12,500       362  

Consolidated Water Co Ltd

    500       14  

Essential Utilities Inc

    41,737       1,627  

Genie Energy Ltd, Cl B

    4,700       79  

Global Water Resources Inc

    2,800       35  

Hawaiian Electric Industries Inc

    15,358       165  

IDACORP Inc, Cl Rights

    8,224       838  

MGE Energy Inc

    5,414       469  

Middlesex Water Co

    2,901       183  

Montauk Renewables Inc *

    11,500       54  

National Fuel Gas Co

    14,488       866  

New Jersey Resources Corp

    15,694       727  

Northwest Natural Holding Co

    7,076       285  

Northwestern Energy Group Inc

    10,146       552  

OGE Energy Corp

    31,876       1,261  

ONE Gas Inc

    8,800       607  

Ormat Technologies Inc

    8,834       658  

Otter Tail Corp

    6,646       562  

Portland General Electric Co

    16,400       789  

Pure Cycle Corp *

    5,900       63  

SJW Group

    4,764       281  

Southwest Gas Holdings Inc

    10,041       730  

Spire Inc

    8,203       541  

Sunnova Energy International Inc *

    19,800       220  

TXNM Energy Inc

    13,617       558  

UGI Corp

    34,396       857  

Unitil Corp

    1,858       112  

York Water Co/The

    2,952       115  
                 
              18,557  

Total Common Stock

               

(Cost $703,054) ($ Thousands)

            1,142,938  
                 

REGISTERED INVESTMENT COMPANY — 0.0%

NexPoint Diversified Real Estate Trust

    6,561       39  

Total Registered Investment Company

               
                 

(Cost $79) ($ Thousands)

            39  
                 
                 
      Number of
Rights
         

RIGHTS — 0.0%

Novartis AG CVR *

    10,960       5  

 

             

Description

    Number of
Rights
   

Market Value
($ Thousands)

 

RIGHTS (continued)

Tobira Therapeutics CVR, Expires 12/31/2028 *(A)

    2,300     $  

Total Rights

               

(Cost $—) ($ Thousands)

            5  
                 
                 
   


Shares

         

CASH EQUIVALENT — 1.9%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    21,989,381       21,989  

Total Cash Equivalent

               

(Cost $21,989) ($ Thousands)

            21,989  

Total Investments in Securities — 99.8%

               

(Cost $725,122) ($ Thousands)

  $ 1,164,971  
                 
                 

 

 

 

SEI Institutional Investments Trust

 

51

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Extended Market Index Fund (Concluded)

 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Long Contracts

                                       

Russell 2000 Index E-MINI

    134       Sep-2024     $ 13,696     $ 14,894     $ 1,198  

S&P 500 Index E-MINI

    11       Sep-2024       2,890       3,114       224  

S&P Mid Cap 400 Index E-MINI

    13       Sep-2024       3,836       4,028       192  
                    $ 20,422     $ 22,036     $ 1,614  

 

 

Percentages are based on Net Assets of $1,167,232 ($ Thousands).

  Investment in Affiliated Security.

*

Non-income producing security.

  Expiration date not available.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

  (A) Level 3 security in accordance with fair value hierarchy.

Real Estate Investment Trust.

     

 

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Investments Co

  $ 1,132     $     $ (54 )   $     $ (49 )   $ 1,029     $ 8     $  

SEI Liquidity Fund, LP

    18                 $       (18 )           13        

SEI Daily Income Trust, Government Fund,
Institutional Class

    26,720       48,640       (53,371 )                 21,989       318        

Totals

  $ 27,870     $ 48,640     $ (53,425 )   $     $ (67 )   $ 23,018     $ 339     $  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

52

 

SEI Institutional Investments Trust

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 98.4%

                 

Communication Services — 1.4%

       

AMC Networks Inc, Cl A *

    9,100     $ 90  

Anterix Inc *

    1,880       67  

AST SpaceMobile Inc, Cl A *

    7,013       204  

Bandwidth Inc, Cl A *

    4,320       74  

Cinemark Holdings Inc *

    10,053       275  

EW Scripps Co/The, Cl A *

    28,250       56  

Gogo Inc *

    18,870       150  

Grindr Inc *

    17,441       210  

IDT Corp, Cl B

    6,960       267  

Lions Gate Entertainment Corp, Cl A *

    31,206       242  

Marcus Corp/The

    6,960       99  

MediaAlpha Inc, Cl A *

    10,890       194  

Nexstar Media Group Inc, Cl A

    3,600       615  

Playstudios Inc *

    36,489       55  

Playtika Holding Corp

    17,700       134  

PubMatic Inc, Cl A *

    20        

Shutterstock Inc

    5,100       183  

Sinclair Inc

    6,360       89  

Spok Holdings Inc

    12,110       180  

Thryv Holdings Inc *

    6,540       119  

United States Cellular Corp *

    3,033       169  

Vimeo Inc *

    57,080       305  

Yelp Inc, Cl A *

    3,530       123  
                 
              3,900  

Consumer Discretionary — 10.3%

       

Aaron's Co Inc/The

    43,518       439  

Academy Sports & Outdoors Inc

    6,900       383  

Accel Entertainment Inc, Cl A *

    6,560       76  

Adtalem Global Education Inc *

    4,600       348  

American Public Education Inc *

    15,691       262  

Arko Corp

    10,240       64  

AutoNation Inc *

    3,270       582  

Biglari Holdings Inc, Cl B *

    1,024       183  

BJ's Restaurants Inc *

    2,860       88  

Bloomin' Brands Inc

    20,000       350  

Boot Barn Holdings Inc *

    1,474       198  

Build-A-Bear Workshop Inc,

    15,060       503  

Cava Group Inc *

    3,303       377  

Century Communities Inc

    2,373       237  

Cooper-Standard Holdings Inc *

    4,794       74  

Cricut Inc, Cl A

    11,570       67  

Crocs Inc *

    3,100       453  

Denny's Corp *

    12,740       83  

Designer Brands Inc, Cl A

    12,590       84  

Destination XL Group Inc *

    23,344       64  

Dillard's Inc, Cl A

    230       78  

Dine Brands Global Inc

    6,020       190  

Dream Finders Homes Inc, Cl A *

    8,730       292  

El Pollo Loco Holdings Inc *

    25,000       347  

Funko Inc, Cl A *

    9,440       99  

Genesco Inc *

    2,190       66  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Gentex Corp

    2,290     $ 72  

G-III Apparel Group Ltd *

    14,600       386  

Goodyear Tire & Rubber Co/The *

    16,500       146  

Graham Holdings Co, Cl B

    110       87  

Grand Canyon Education Inc *

    1,520       220  

Green Brick Partners Inc *

    3,882       306  

Group 1 Automotive Inc

    2,400       904  

H&R Block Inc

    14,240       902  

Harley-Davidson Inc

    6,700       251  

Haverty Furniture Cos Inc

    8,470       232  

Hooker Furnishings Corp

    18,594       295  

Hovnanian Enterprises Inc, Cl A *

    1,392       301  

Inspired Entertainment Inc *

    12,905       117  

Installed Building Products Inc

    2,590       576  

J Jill Inc

    2,410       78  

Latham Group Inc *

    53,177       332  

Laureate Education Inc, Cl A

    8,660       134  

La-Z-Boy Inc,

    10,900       442  

Lear Corp

    1,600       187  

Legacy Housing Corp *

    7,648       206  

Life Time Group Holdings Inc *

    10,674       251  

Lindblad Expeditions Holdings Inc *

    20,568       204  

M/I Homes Inc *

    5,809       926  

Marine Products Corp

    11,117       105  

Marriott Vacations Worldwide Corp

    1,150       85  

MasterCraft Boat Holdings Inc *

    5,450       101  

Meritage Homes Corp

    4,700       931  

Modine Manufacturing Co *

    12,516       1,521  

Movado Group Inc

    2,468       59  

Murphy USA Inc

    655       340  

Nordstrom Inc

    11,100       248  

ODP Corp/The *

    9,100       281  

Ollie's Bargain Outlet Holdings Inc *

    1,865       167  

OneSpaWorld Holdings Ltd

    19,194       305  

Penske Automotive Group Inc

    1,200       204  

Perdoceo Education Corp

    27,469       616  

Playa Hotels & Resorts NV *

    23,800       188  

PlayAGS Inc *

    45,425       514  

Polaris Inc

    2,200       186  

Potbelly Corp *

    38,099       304  

PVH Corp

    5,883       581  

Revolve Group Inc, Cl A *

    2,205       51  

Rocky Brands Inc

    2,215       71  

Rush Street Interactive Inc *

    69,972       656  

Sally Beauty Holdings Inc *

    12,500       163  

SharkNinja Inc

    2,608       250  

Shoe Carnival Inc

    2,400       97  

Signet Jewelers Ltd

    4,900       412  

Standard Motor Products Inc

    2,250       73  

Stitch Fix Inc, Cl A *

    103,525       391  

Stride Inc *

    6,045       498  

Sturm Ruger & Co Inc

    1,260       53  

Sweetgreen Inc, Cl A *

    8,680       274  

 

 

 

SEI Institutional Investments Trust

 

53

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Taylor Morrison Home Corp, Cl A *

    230     $ 15  

Texas Roadhouse Inc, Cl A

    6,490       1,095  

Tri Pointe Homes Inc *

    30,503       1,356  

Universal Technical Institute Inc *

    2,920       51  

Upbound Group Inc, Cl A

    16,890       562  

Wingstop Inc

    2,589       1,000  

Winmark Corp

    245       88  

Winnebago Industries Inc

    5,300       316  

Wyndham Hotels & Resorts Inc

    4,115       324  

Xponential Fitness Inc, Cl A *

    20,164       261  
                 
              28,335  

Consumer Staples — 4.7%

       

Albertsons Cos Inc, Cl A

    7,500       147  

Andersons Inc/The

    2,110       108  

B&G Foods Inc, Cl A

    40,500       343  

Cal-Maine Foods Inc

    2,690       194  

Casey's General Stores Inc

    4,215       1,527  

Central Garden & Pet Co *

    1,840       73  

Central Garden & Pet Co, Cl A *

    3,257       111  

Coca-Cola Consolidated Inc

    267       358  

Dole PLC

    6,030       97  

elf Beauty Inc *

    2,145       321  

Energizer Holdings Inc

    8,500       275  

Flowers Foods Inc

    9,490       221  

Fresh Del Monte Produce Inc

    11,460       335  

Herbalife Ltd *

    24,000       196  

Ingles Markets Inc, Cl A

    8,587       636  

Ingredion Inc

    7,470       1,003  

J & J Snack Foods Corp

    800       136  

John B Sanfilippo & Son Inc

    1,080       103  

Lancaster Colony Corp

    1,010       173  

Lifeway Foods Inc *

    5,000       96  

Natural Grocers by Vitamin Cottage Inc

    21,569       574  

Nature's Sunshine Products Inc *

    1,180       16  

Oil-Dri Corp of America

    460       31  

Performance Food Group Co *

    1,270       95  

Pilgrim's Pride Corp *

    9,530       444  

Post Holdings Inc *

    2,380       276  

PriceSmart Inc

    6,690       599  

Primo Water Corp

    7,270       161  

Reynolds Consumer Products Inc

    3,560       112  

Seaboard Corp

    19       59  

SpartanNash Co

    13,680       302  

Spectrum Brands Holdings Inc

    2,700       255  

Sprouts Farmers Market Inc *

    19,349       2,013  

Turning Point Brands Inc

    10,940       434  

Universal Corp/VA

    2,120       115  

USANA Health Sciences Inc *

    1,020       42  

Village Super Market Inc, Cl A

    19,601       630  

Vital Farms Inc *

    5,730       180  

WD-40 Co

    260       68  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Weis Markets Inc

    1,260     $ 85  
                 
              12,944  

Energy — 4.9%

       

Ardmore Shipping Corp

    3,430       65  

Berry Corp

    84,200       521  

Cactus Inc, Cl A

    6,135       365  

California Resources Corp

    9,149       480  

Centrus Energy Corp, Cl A *

    3,238       128  

Chord Energy Corp

    2,200       326  

Clean Energy Fuels Corp *

    28,070       87  

CNX Resources Corp *

    21,100       584  

CONSOL Energy Inc

    2,900       297  

DHT Holdings Inc

    67,780       734  

DMC Global Inc *

    5,466       68  

Dorian LPG Ltd

    2,444       95  

DT Midstream Inc

    3,728       293  

Excelerate Energy Inc, Cl A

    22,970       419  

FutureFuel Corp

    82,240       513  

Golar LNG Ltd

    6,676       222  

Gulfport Energy Corp *

    4,120       598  

Helmerich & Payne Inc

    15,500       506  

International Seaways Inc

    2,610       135  

Kinetik Holdings Inc, Cl A

    5,868       260  

Liberty Energy Inc, Cl A

    17,700       364  

Matador Resources Co

    18,265       1,036  

Nordic American Tankers Ltd

    15,420       57  

Oceaneering International Inc *

    9,722       262  

Patterson-UTI Energy Inc

    17,600       162  

PBF Energy Inc, Cl A

    12,600       429  

Peabody Energy Corp

    13,800       323  

Ranger Energy Services Inc, Cl A

    28,139       350  

REX American Resources Corp *

    4,887       222  

Riley Exploration Permian Inc

    13,987       399  

Scorpio Tankers Inc

    2,530       181  

SFL Corp Ltd, Cl B

    20,800       247  

SM Energy Co

    6,000       274  

TechnipFMC PLC

    5,499       148  

Teekay Corp *

    77,215       642  

Teekay Tankers Ltd, Cl A

    2,070       118  

VAALCO Energy Inc

    103,010       671  

Viper Energy Inc, Cl A

    5,410       257  

Vitesse Energy Inc

    5,074       131  

World Kinect Corp

    23,500       676  
                 
              13,645  

Financials — 21.1%

       

1st Source Corp

    1,240       76  

Acacia Research Corp *

    27,973       135  

AFC Gamma Inc

    23,165       242  

Affiliated Managers Group Inc

    5,040       876  

AG Mortgage Investment Trust Inc

    48,700       362  

Alerus Financial Corp

    16,356       367  

Amalgamated Financial Corp

    19,937       658  

 

 

 

54

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Ambac Financial Group Inc *

    6,800     $ 80  

American Coastal Insurance Corp *

    2,320       26  

American Financial Group Inc/OH

    2,150       287  

AMERISAFE Inc

    580       29  

Apollo Commercial Real Estate Finance Inc

    18,100       192  

Arbor Realty Trust Inc

    15,600       212  

Artisan Partners Asset Management Inc, Cl A

    620       26  

AssetMark Financial Holdings Inc *

    7,796       274  

Associated Banc-Corp

    30,700       702  

Assurant Inc

    920       181  

Atlanticus Holdings Corp *

    6,906       244  

Axis Capital Holdings Ltd

    3,670       293  

Axos Financial Inc *

    3,775       262  

Baldwin Insurance Group Inc/The, Cl A *

    4,262       200  

Banco Latinoamericano de Comercio Exterior SA, Cl E

    31,343       983  

Bank of NT Butterfield & Son Ltd/The

    2,800       107  

Bank OZK

    14,500       629  

Bank7 Corp

    2,762       111  

BayCom Corp

    5,424       125  

BCB Bancorp Inc

    10,300       128  

Brighthouse Financial Inc *

    3,600       165  

Business First Bancshares Inc

    4,300       105  

Camden National Corp

    9,500       380  

Capital Bancorp Inc

    4,501       115  

Capital City Bank Group Inc

    3,500       121  

Carter Bankshares Inc *

    8,661       150  

Cass Information Systems Inc

    9,529       414  

Cathay General Bancorp

    8,600       378  

Cboe Global Markets Inc

    790       162  

Central Pacific Financial Corp

    1,950       54  

Civista Bancshares Inc

    11,382       193  

CNB Financial Corp/PA

    12,580       306  

CNO Financial Group Inc

    37,500       1,309  

Coastal Financial Corp/WA *

    11,230       603  

Colony Bankcorp Inc

    9,197       138  

Columbia Banking System Inc

    39,800       1,002  

Commerce Bancshares Inc/MO

    4,220       270  

Community Trust Bancorp Inc

    12,090       611  

Crawford & Co, Cl A

    17,504       185  

CrossFirst Bankshares Inc *

    8,671       151  

Customers Bancorp Inc *

    5,300       275  

Diamond Hill Investment Group Inc

    3,830       605  

Dime Community Bancshares Inc

    6,000       156  

Donegal Group Inc, Cl A

    11,319       172  

Donnelley Financial Solutions Inc *

    1,610       107  

Employers Holdings Inc

    12,760       612  

Enact Holdings Inc

    2,410       86  

Enova International Inc *

    4,636       397  

Equity Bancshares Inc, Cl A

    1,500       61  

Esquire Financial Holdings Inc

    9,265       570  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Essent Group Ltd

    4,370     $ 281  

Euronet Worldwide Inc *

    1,790       193  

Evercore Inc, Cl A

    1,096       269  

Everest Group Ltd

    840       329  

EVERTEC Inc

    5,300       182  

Federal Agricultural Mortgage Corp, Cl C

    350       69  

Federated Hermes Inc, Cl B

    11,600       398  

Fidelis Insurance Holdings Ltd

    3,530       65  

Financial Institutions Inc

    13,810       359  

First BanCorp/Puerto Rico

    21,500       460  

First Busey Corp

    9,500       257  

First Business Financial Services Inc

    9,400       426  

First Commonwealth Financial Corp

    12,500       215  

First Community Bankshares Inc

    7,670       338  

First Financial Corp/IN

    10,980       491  

FirstCash Holdings Inc

    1,720       207  

FNB Corp/PA

    20,700       310  

FS KKR Capital Corp

    14,600       295  

Fulton Financial Corp

    27,574       534  

GCM Grosvenor Inc, Cl A

    3,680       40  

Genworth Financial Inc, Cl A *

    44,700       312  

Great Southern Bancorp Inc

    3,250       194  

Greenlight Capital Re Ltd, Cl A *

    2,490       35  

Guaranty Bancshares Inc/TX

    760       26  

Hamilton Insurance Group Ltd, Cl B *

    1,590       31  

Hamilton Lane Inc, Cl A

    11,112       1,698  

Hancock Whitney Corp

    8,300       446  

Hanmi Financial Corp

    22,000       436  

Hanover Insurance Group Inc/The

    1,700       250  

HBT Financial Inc

    26,395       592  

HCI Group Inc

    3,047       292  

HomeTrust Bancshares Inc

    8,029       293  

Hope Bancorp Inc

    26,100       334  

Horace Mann Educators Corp

    2,920       104  

Independent Bank Corp/MI

    24,960       846  

International Bancshares Corp

    3,888       246  

International Money Express Inc *

    30,114       547  

Invesco Mortgage Capital Inc

    7,650       67  

Investors Title Co

    130       29  

Jackson Financial Inc, Cl A

    6,600       594  

James River Group Holdings Ltd

    9,226       68  

Jefferies Financial Group Inc

    5,064       304  

Kinsale Capital Group Inc

    1,100       540  

LendingTree Inc *

    10,241       593  

Mercantile Bank Corp

    16,875       776  

Merchants Bancorp/IN

    1,520       70  

Mercury General Corp

    1,680       111  

Meridian Corp

    11,600       135  

Metrocity Bankshares Inc

    3,136       96  

MGIC Investment Corp

    24,000       610  

Mid Penn Bancorp Inc

    15,309       462  

MidCap Financial Investment Corp

    21,366       298  

Midland States Bancorp Inc

    17,320       394  

 

 

 

SEI Institutional Investments Trust

 

55

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Moelis & Co, Cl A

    12,372     $ 826  

Moneylion Inc *

    5,690       264  

Mr Cooper Group Inc *

    7,800       732  

NerdWallet Inc, Cl A *

    5,610       73  

New Mountain Finance Corp

    20,100       247  

New York Mortgage Trust Inc

    25,900       173  

NMI Holdings Inc, Cl A *

    9,583       394  

Northeast Community Bancorp Inc

    12,180       278  

Northrim BanCorp Inc

    9,660       666  

Oak Valley Bancorp

    610       16  

Oaktree Specialty Lending Corp

    13,100       224  

OFG Bancorp

    30,741       1,414  

Old National Bancorp/IN

    14,400       286  

Old Republic International Corp

    15,739       565  

Old Second Bancorp Inc

    14,600       249  

OppFi Inc

    2,800       13  

Orrstown Financial Services Inc

    15,383       551  

Park National Corp

    1,614       284  

Pathward Financial Inc

    1,680       116  

Patria Investments Ltd, Cl A

    4,340       50  

Paysafe Ltd *

    15,956       357  

PCB Bancorp

    10,100       195  

PennantPark Investment Corp

    55,400       391  

Peoples Bancorp Inc/OH

    3,310       106  

Peoples Financial Services Corp

    1,641       78  

Perella Weinberg Partners, Cl A

    3,480       68  

Piper Sandler Cos

    4,073       1,111  

PJT Partners Inc, Cl A

    1,760       217  

Plumas Bancorp

    400       16  

Ponce Financial Group Inc *

    13,051       148  

Popular Inc

    10,510       1,077  

Preferred Bank/Los Angeles CA

    2,954       245  

Princeton Bancorp Inc

    223       8  

Regional Management Corp

    19,565       656  

Reinsurance Group of America Inc, Cl A

    1,640       362  

RenaissanceRe Holdings Ltd

    1,350       344  

Republic Bancorp Inc/KY, Cl A

    8,781       561  

Rithm Capital Corp

    31,400       375  

RLI Corp

    670       103  

Ryan Specialty Holdings Inc, Cl A

    2,070       134  

S&T Bancorp Inc

    5,524       237  

Safety Insurance Group Inc

    1,080       96  

Security National Financial Corp, Cl A *

    3,234       29  

Selective Insurance Group Inc

    1,500       136  

Selectquote Inc *

    100,220       409  

Sezzle Inc *

    1,741       237  

Sierra Bancorp

    11,030       332  

Sixth Street Specialty Lending Inc

    17,500       372  

Skyward Specialty Insurance Group Inc *

    1,830       75  

SmartFinancial Inc

    1,290       38  

South Plains Financial Inc

    1,300       45  

Southern Missouri Bancorp Inc

    2,709       157  

Southern States Bancshares Inc

    1,800       56  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

SouthState Corp

    2,713     $ 263  

Stellar Bancorp Inc

    3,341       91  

StepStone Group Inc, Cl A

    12,326       674  

Stifel Financial Corp

    15,170       1,337  

StoneX Group Inc *

    1,590       132  

Sunrise Realty Trust Inc *

    6,414       90  

Synovus Financial Corp

    5,800       267  

Timberland Bancorp Inc/WA

    800       25  

TPG Inc, Cl A

    700       35  

TPG RE Finance Trust Inc

    37,280       338  

United Fire Group Inc

    12,971       266  

Universal Insurance Holdings Inc

    35,010       749  

Univest Financial Corp

    8,630       246  

Victory Capital Holdings Inc, Cl A

    5,349       292  

Virtu Financial Inc, Cl A

    810       25  

Virtus Investment Partners Inc

    390       83  

Voya Financial Inc

    10       1  

WaFd Inc

    12,800       469  

Waterstone Financial Inc

    5,698       86  

Westamerica BanCorp

    1,290       67  

Western Union Co/The

    4,350       53  

White Mountains Insurance Group Ltd

    122       225  

Wintrust Financial Corp

    2,975       324  

WisdomTree Inc

    14,529       147  

World Acceptance Corp *

    4,246       500  
                 
              58,184  

Health Care — 16.1%

       

ACELYRIN Inc *

    33,159       159  

Addus HomeCare Corp *

    1,010       134  

ADMA Biologics Inc *

    17,458       302  

Agios Pharmaceuticals Inc *

    7,824       359  

Aldeyra Therapeutics Inc *

    72,831       419  

Alector Inc *

    15,183       80  

Alkermes PLC *

    20,690       589  

Altimmune Inc *

    14,540       97  

ALX Oncology Holdings Inc *

    27,030       63  

AMN Healthcare Services Inc *

    3,300       175  

Amphastar Pharmaceuticals Inc *

    2,720       133  

AnaptysBio Inc *

    2,560       98  

ANI Pharmaceuticals Inc *

    5,158       329  

Anika Therapeutics Inc *

    2,900       75  

Arcellx Inc *

    2,220       153  

Arcturus Therapeutics Holdings Inc *

    3,700       78  

Arcus Biosciences Inc *

    3,680       63  

Arcutis Biotherapeutics Inc *

    25,340       276  

ARS Pharmaceuticals Inc *

    23,405       304  

Avidity Biosciences Inc *

    5,811       256  

Axogen Inc *

    5,230       69  

Bioventus Inc, Cl A *

    33,730       339  

Blueprint Medicines Corp *

    6,814       651  

Brookdale Senior Living Inc, Cl A *

    39,583       281  

CareDx Inc *

    16,847       518  

Catalyst Pharmaceuticals Inc *

    31,939       647  

 

 

 

56

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Celcuity Inc *

    1,380     $ 22  

CG oncology Inc *

    2,560       94  

Chemed Corp

    481       282  

Coherus Biosciences Inc *

    62,560       87  

Collegium Pharmaceutical Inc *

    10,160       391  

Community Health Systems Inc *

    117,820       642  

CorVel Corp *

    640       205  

Crinetics Pharmaceuticals Inc *

    3,658       194  

Cross Country Healthcare Inc *

    2,170       32  

Cullinan Therapeutics Inc *

    1,370       27  

Day One Biopharmaceuticals Inc *

    4,250       59  

Dyne Therapeutics Inc *

    6,865       316  

Editas Medicine Inc, Cl A *

    30,780       115  

Embecta Corp

    12,520       205  

Encompass Health Corp

    3,670       341  

Enhabit Inc *

    8,140       69  

Ensign Group Inc/The

    14,629       2,214  

Entrada Therapeutics Inc *

    3,470       61  

Evolus Inc *

    20,023       318  

Exelixis Inc *

    42,080       1,095  

Generation Bio Co *

    79,592       210  

Geron Corp *

    68,439       325  

Glaukos Corp *

    2,779       372  

Haemonetics Corp *

    2,130       161  

Halozyme Therapeutics Inc *

    17,253       1,102  

Harmony Biosciences Holdings Inc *

    16,900       608  

Harrow Inc *

    13,294       538  

Health Catalyst Inc *

    38,340       276  

HealthStream Inc

    6,956       202  

Henry Schein Inc *

    3,050       215  

Heron Therapeutics Inc *

    41,175       79  

Ideaya Biosciences Inc *

    2,850       113  

Innoviva Inc *

    4,890       95  

Insmed Inc *

    16,450       1,258  

Intra-Cellular Therapies Inc *

    3,995       293  

Ionis Pharmaceuticals Inc *

    3,300       157  

iRadimed Corp

    11,193       526  

Ironwood Pharmaceuticals Inc, Cl A *

    50,100       254  

Jazz Pharmaceuticals PLC *

    6,750       783  

Joint Corp/The *

    16,304       184  

Kiniksa Pharmaceuticals International Plc, Cl A *

    15,416       412  

Kodiak Sciences Inc *

    28,330       71  

Krystal Biotech Inc *

    2,221       433  

Kura Oncology Inc *

    2,230       47  

Lantheus Holdings Inc *

    13,560       1,444  

LeMaitre Vascular Inc

    3,659       330  

LifeMD Inc *

    22,634       118  

Ligand Pharmaceuticals Inc *

    930       98  

Longboard Pharmaceuticals Inc *

    7,233       261  

Madrigal Pharmaceuticals Inc *

    490       121  

MannKind Corp *

    27,322       171  

Medpace Holdings Inc *

    430       153  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

MeiraGTx Holdings plc *

    21,494     $ 87  

Merit Medical Systems Inc *

    15,057       1,456  

Mersana Therapeutics Inc *

    42,280       67  

Mesa Laboratories Inc

    730       98  

Mirum Pharmaceuticals Inc *

    6,087       262  

National HealthCare Corp

    1,290       177  

Neurocrine Biosciences Inc *

    1,290       164  

Nurix Therapeutics Inc *

    15,936       402  

Nuvalent Inc, Cl A *

    1,300       111  

Option Care Health Inc *

    6,470       207  

OraSure Technologies Inc *

    73,500       329  

Organogenesis Holdings Inc, Cl A *

    88,844       256  

Organon & Co

    27,000       603  

Pacira BioSciences Inc *

    17,260       269  

PACS Group Inc *

    7,098       282  

Patterson Cos Inc

    9,400       211  

Pennant Group Inc/The *

    9,180       315  

Perrigo Co PLC

    3,000       87  

PetIQ Inc, Cl A *

    10,343       316  

Phathom Pharmaceuticals Inc *

    13,885       229  

Phibro Animal Health Corp, Cl A

    8,820       185  

Premier Inc, Cl A

    24,200       493  

Prestige Consumer Healthcare Inc *

    9,840       734  

PROCEPT BioRobotics Corp *

    3,766       298  

Puma Biotechnology Inc *

    4,200       10  

QIAGEN NV

    3,755       172  

QuidelOrtho Corp *

    2,400       101  

RadNet Inc *

    12,180       807  

RAPT Therapeutics Inc *

    28,172       58  

Relay Therapeutics Inc *

    23,140       157  

Repligen Corp *

    1,325       200  

Replimune Group Inc, *

    15,240       155  

Revance Therapeutics Inc *

    20,520       135  

REVOLUTION Medicines Inc *

    4,577       195  

Rigel Pharmaceuticals Inc *

    10,273       138  

RxSight Inc *

    2,600       147  

Select Medical Holdings Corp

    7,300       263  

SIGA Technologies Inc

    51,122       462  

Simulations Plus Inc

    1,120       41  

Soleno Therapeutics Inc *

    1,560       76  

Solid Biosciences Inc *

    10,800       96  

Stoke Therapeutics Inc *

    21,037       306  

Supernus Pharmaceuticals Inc *

    3,205       113  

Surmodics Inc *

    7,398       293  

Syndax Pharmaceuticals Inc *

    7,370       151  

Tactile Systems Technology Inc *

    36,051       494  

Tandem Diabetes Care Inc *

    3,898       170  

Taysha Gene Therapies Inc *

    29,186       65  

Tenet Healthcare Corp *

    5,297       878  

Terns Pharmaceuticals Inc *

    4,550       35  

TG Therapeutics Inc *

    11,323       266  

Theravance Biopharma Inc *

    5,500       45  

TransMedics Group Inc *

    7,688       1,292  

 

 

 

SEI Institutional Investments Trust

 

57

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Travere Therapeutics Inc *

    16,030     $ 152  

Twist Bioscience Corp *

    4,156       180  

UFP Technologies Inc *

    1,708       583  

Ultragenyx Pharmaceutical Inc *

    3,773       214  

United Therapeutics Corp *

    3,257       1,184  

Universal Health Services Inc, Cl B

    1,530       364  

Utah Medical Products Inc

    7,600       517  

Vanda Pharmaceuticals Inc *

    77,950       412  

Varex Imaging Corp *

    2,490       31  

Vaxcyte Inc *

    6,537       528  

Verve Therapeutics Inc *

    54,010       362  

WaVe Life Sciences Ltd *

    6,300       36  

Waystar Holding Corp *

    8,193       223  
                 
              44,571  

Industrials — 18.3%

       

AAR Corp *

    1,690       111  

ABM Industries Inc

    7,840       448  

ACCO Brands Corp

    49,600       272  

Acuity Brands Inc

    1,160       295  

ACV Auctions Inc, Cl A *

    9,610       180  

AeroVironment Inc *

    6,156       1,254  

AerSale Corp *

    18,010       92  

Alaska Air Group Inc *

    4,200       152  

American Superconductor Corp *

    6,986       141  

American Woodmark Corp *

    7,500       672  

Apogee Enterprises Inc

    9,280       620  

Applied Industrial Technologies Inc

    1,550       318  

ArcBest Corp

    6,600       702  

Argan Inc

    5,713       453  

Aris Water Solutions Inc, Cl A

    26,777       450  

Astronics Corp *

    11,405       256  

Atkore Inc

    6,600       616  

AZEK Co Inc/The, Cl A *

    7,270       310  

AZZ Inc

    1,784       148  

Barrett Business Services Inc

    11,200       409  

Blue Bird Corp *

    3,267       167  

Boise Cascade Co

    3,460       469  

Brady Corp, Cl A

    2,682       199  

BrightView Holdings Inc *

    34,970       558  

Brink's Co/The

    5,288       587  

Brookfield Business Corp, Cl A

    7,696       175  

BWX Technologies Inc

    3,080       317  

CACI International Inc, Cl A *

    1,242       606  

Cadre Holdings Inc

    8,180       297  

Casella Waste Systems Inc, Cl A *

    9,505       1,025  

CECO Environmental Corp *

    7,768       225  

Clean Harbors Inc *

    1,500       369  

Commercial Vehicle Group Inc *

    41,781       152  

Construction Partners Inc, Cl A *

    2,630       174  

Costamare Inc

    38,185       542  

Covenant Logistics Group Inc, Cl A

    1,000       53  

CRA International Inc

    530       89  

Crane Co

    9,666       1,531  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

CSG Systems International Inc

    3,800     $ 184  

Curtiss-Wright Corp

    2,164       684  

Deluxe Corp

    7,700       159  

DNOW Inc *

    7,120       93  

Donaldson Co Inc

    3,760       273  

Ducommun Inc *

    1,220       79  

DXP Enterprises Inc/TX *

    5,088       280  

Dycom Industries Inc *

    1,788       315  

EMCOR Group Inc

    960       377  

Enerpac Tool Group Corp, Cl A

    3,240       134  

EnerSys

    2,150       218  

Ennis Inc

    21,288       509  

Exponent Inc

    4,520       489  

Federal Signal Corp

    12,385       1,170  

Flowserve Corp

    1,610       80  

Franklin Covey Co *

    11,569       466  

Franklin Electric Co Inc

    1,380       143  

Frontier Group Holdings Inc *

    16,600       60  

FTAI Aviation Ltd

    16,297       2,083  

FTI Consulting Inc *

    4,830       1,103  

Gates Industrial Corp PLC *

    30,200       548  

Genco Shipping & Trading Ltd

    13,178       232  

Genpact Ltd

    7,590       298  

Gibraltar Industries Inc *

    1,800       125  

Global Industrial Co

    10,781       361  

GMS Inc *

    5,310       461  

Gorman-Rupp Co/The

    1,690       66  

Graham Corp *

    2,301       73  

Griffon Corp

    160       11  

Heidrick & Struggles International Inc

    5,717       221  

HNI Corp

    2,700       145  

Hudson Technologies Inc *

    26,910       221  

Huntington Ingalls Industries Inc

    1,110       314  

Huron Consulting Group Inc *

    1,160       128  

Hyster-Yale Inc

    3,775       238  

IBEX Holdings Ltd *

    10,878       188  

ICF International Inc

    490       81  

IES Holdings Inc *

    1,719       321  

Interface Inc, Cl A

    33,030       624  

Karat Packaging Inc

    20,721       525  

Kelly Services Inc, Cl A

    24,569       519  

Kforce Inc

    1,980       130  

Kirby Corp *

    4,733       568  

Korn Ferry

    1,340       98  

L B Foster Co, Cl A *

    4,018       81  

Landstar System Inc

    1,340       245  

Limbach Holdings Inc *

    1,320       85  

Lincoln Electric Holdings Inc

    1,120       217  

Loar Holdings Inc *

    3,179       236  

LSI Industries Inc

    21,260       338  

Luxfer Holdings PLC

    13,670       153  

Manitowoc Co Inc/The *

    20,823       210  

Marten Transport Ltd

    5,660       99  

 

 

 

58

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Matson Inc

    4,500     $ 622  

Maximus Inc

    2,850       263  

Miller Industries Inc/TN

    1,010       61  

Moog Inc, Cl A

    2,590       511  

MRC Global Inc *

    6,530       86  

MSA Safety Inc

    1,490       272  

MSC Industrial Direct Co Inc, Cl A

    2,320       191  

Mueller Industries Inc

    29,937       2,177  

Mueller Water Products Inc, Cl A

    13,891       298  

National Presto Industries Inc

    610       48  

Northwest Pipe Co *

    910       40  

Omega Flex Inc

    1,390       66  

PAM Transportation Services Inc *

    4,337       79  

Park Aerospace Corp

    2,600       35  

Park-Ohio Holdings Corp

    18,766       567  

Parsons Corp *

    17,583       1,678  

Powell Industries Inc

    813       136  

Preformed Line Products Co

    1,690       203  

Primoris Services Corp

    8,597       485  

Quad/Graphics Inc, Cl A

    42,000       197  

Radiant Logistics Inc *

    5,150       33  

RBC Bearings Inc *

    1,728       515  

Rush Enterprises Inc, Cl A

    4,220       222  

RXO Inc *

    10,322       294  

Ryder System Inc

    6,100       886  

Safe Bulkers Inc

    145,256       742  

Science Applications International Corp

    2,180       285  

Shyft Group Inc/The

    5,240       74  

Simpson Manufacturing Co Inc

    1,175       215  

Snap-on Inc

    970       275  

SPX Technologies Inc *

    8,352       1,363  

Steelcase Inc, Cl A

    20,440       289  

Sterling Infrastructure Inc *

    2,420       289  

Sun Country Airlines Holdings Inc *

    48,017       527  

Tennant Co

    1,300       127  

Tetra Tech Inc

    1,570       373  

Textron Inc

    3,930       358  

TriNet Group Inc

    410       42  

Tutor Perini Corp *

    21,074       505  

UFP Industries Inc

    2,350       286  

UL Solutions Inc, Cl A

    5,284       288  

UniFirst Corp/MA

    820       156  

Universal Logistics Holdings Inc

    5,900       249  

V2X Inc *

    2,280       129  

Viad Corp *

    5,822       200  

Virco Mfg. Corp

    10,480       163  

Wabash National Corp

    13,147       256  

Watts Water Technologies Inc, Cl A

    1,140       224  

Willdan Group Inc *

    14,584       556  

Willis Lease Finance Corp

    1,130       122  
                 
              50,551  

Information Technology — 12.1%

       

8x8 Inc *

    109,450       206  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

A10 Networks Inc

    7,300     $ 101  

ACI Worldwide Inc *

    7,378       372  

Agilysys Inc *

    7,868       890  

Alarm.com Holdings Inc *

    2,700       161  

Alkami Technology Inc *

    14,579       486  

Alpha & Omega Semiconductor Ltd *

    6,197       259  

Amdocs Ltd

    3,430       298  

American Software Inc/GA, Cl A

    3,000       35  

Amkor Technology Inc

    20,600       678  

Amplitude Inc, Cl A *

    7,710       68  

Appfolio Inc, Cl A *

    910       211  

Arlo Technologies Inc *

    16,139       189  

Arrow Electronics Inc *

    1,270       172  

ASGN Inc *

    2,180       210  

AvePoint Inc *

    30,927       357  

Aviat Networks Inc *

    14,020       385  

Avnet Inc

    13,000       717  

Backblaze Inc, Cl A *

    9,200       56  

Badger Meter Inc

    6,064       1,255  

Bel Fuse Inc, Cl B

    8,280       562  

Benchmark Electronics Inc

    7,384       314  

Blackbaud Inc *

    2,460       206  

Box Inc, Cl A *

    6,120       200  

Camtek Ltd/Israel

    6,395       582  

Cirrus Logic Inc *

    9,925       1,446  

Clearwater Analytics Holdings Inc, Cl A *

    43,379       1,075  

Climb Global Solutions Inc

    590       56  

Coherent Corp *

    2,872       224  

CommVault Systems Inc *

    5,245       815  

Consensus Cloud Solutions Inc *

    16,640       401  

Credo Technology Group Holding Ltd *

    10,861       379  

Daktronics Inc *

    9,680       140  

Digital Turbine Inc *

    38,190       123  

Enfusion Inc, Cl A *

    4,210       35  

ePlus Inc *

    1,820       175  

F5 Inc *

    1,680       341  

Fabrinet *

    1,335       325  

Hackett Group Inc/The

    16,203       429  

Immersion Corp

    71,802       675  

Impinj Inc *

    904       152  

Information Services Group Inc

    28,000       98  

Insight Enterprises Inc *

    1,440       313  

Itron Inc *

    2,524       258  

Kimball Electronics Inc *

    7,600       140  

Kyndryl Holdings Inc *

    2,420       57  

MACOM Technology Solutions Holdings Inc *

    1,392       152  

Manhattan Associates Inc *

    1,360       360  

Methode Electronics Inc

    27,627       288  

N-able Inc/US *

    5,090       65  

Nova Ltd *

    4,405       985  

Novanta Inc *

    4,630       849  

NVE Corp

    540       45  

Olo Inc, Cl A *

    65,320       343  

 

 

 

SEI Institutional Investments Trust

 

59

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

ON24 Inc *

    51,230     $ 330  

OneSpan Inc *

    37,329       602  

OSI Systems Inc *

    540       81  

PC Connection Inc

    5,805       424  

Pegasystems Inc

    2,540       180  

Photronics Inc *

    24,824       642  

Plexus Corp *

    1,560       200  

Progress Software Corp

    3,190       185  

Q2 Holdings Inc *

    21,633       1,605  

Qualys Inc *

    1,840       230  

Red Violet Inc *

    11,369       329  

Ribbon Communications Inc *

    21,240       72  

Rimini Street Inc *

    136,907       241  

Sanmina Corp *

    11,000       763  

Sapiens International Corp NV

    2,740       100  

ScanSource Inc *

    9,180       468  

SEMrush Holdings Inc, Cl A *

    5,070       70  

SiTime Corp *

    1,817       263  

SMART Global Holdings Inc *

    19,900       412  

SolarWinds Corp

    47,760       611  

SPS Commerce Inc *

    5,175       1,034  

TD SYNNEX Corp

    2,300       279  

Teradata Corp *

    650       18  

TTM Technologies Inc *

    24,071       468  

Turtle Beach Corp *

    14,649       229  

Varonis Systems Inc, Cl B *

    14,880       842  

Vertex Inc, Cl A *

    25,110       971  

Vishay Intertechnology Inc

    7,500       151  

Vishay Precision Group Inc *

    1,200       33  

Vontier Corp

    10,400       364  

Yext Inc *

    39,580       201  

Zeta Global Holdings Corp, Cl A *

    45,757       1,208  
                 
              33,320  

Materials — 3.0%

       

AdvanSix Inc

    8,500       251  

American Vanguard Corp

    15,600       90  

Arch Resources Inc

    1,100       150  

Aspen Aerogels Inc *

    6,725       193  

ATI Inc *

    3,800       243  

Balchem Corp

    1,610       285  

Caledonia Mining Corp PLC

    700       9  

Clearwater Paper Corp *

    6,980       232  

Coeur Mining Inc *

    14,680       90  

Commercial Metals Co

    13,200       707  

Compass Minerals International Inc

    2,800       25  

Core Molding Technologies Inc *

    15,391       275  

Greif Inc, Cl A

    11,050       691  

Greif Inc, Cl B

    2,916       197  

Hawkins Inc

    1,840       233  

Haynes International Inc

    3,293       198  

Knife River Corp *

    580       46  

Koppers Holdings Inc

    10,300       408  

Kronos Worldwide Inc

    38,700       447  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Louisiana-Pacific Corp

    2,166     $ 210  

Minerals Technologies Inc

    1,650       127  

NewMarket Corp

    390       224  

O-I Glass Inc, *

    19,200       244  

Olympic Steel Inc

    1,824       73  

Packaging Corp of America

    1,270       266  

Pactiv Evergreen Inc

    11,506       136  

Ranpak Holdings Corp, Cl A *

    28,050       199  

Reliance Inc

    750       215  

Royal Gold Inc

    2,200       308  

Sonoco Products Co

    4,900       277  

SSR Mining Inc

    13,370       69  

SunCoke Energy Inc

    53,583       480  

Sylvamo Corp

    2,100       166  

United States Lime & Minerals Inc

    550       45  

Universal Stainless & Alloy Products Inc *

    12,970       546  
                 
              8,355  

Real Estate — 4.9%

       

Alexander & Baldwin Inc

    5,540       110  

Alexander's Inc

    2,593       594  

Alpine Income Property Trust Inc

    5,532       105  

American Assets Trust Inc

    24,110       657  

American Healthcare REIT Inc

    13,795       289  

Apple Hospitality REIT Inc

    30,900       446  

Braemar Hotels & Resorts Inc

    25,270       79  

Brixmor Property Group Inc

    9,321       255  

Camden Property Trust

    1,670       209  

CareTrust REIT Inc

    8,723       261  

CBL & Associates Properties Inc

    1,950       51  

Centerspace

    1,260       94  

CTO Realty Growth Inc

    2,060       39  

EastGroup Properties Inc

    1,080       201  

EPR Properties

    15,580       740  

Equity Commonwealth *

    6,590       134  

Farmland Partners Inc

    38,027       389  

Forestar Group Inc *

    14,055       435  

FRP Holdings Inc *

    960       28  

Gaming and Leisure Properties Inc

    2,810       146  

Gladstone Commercial Corp

    42,650       652  

Global Medical REIT Inc

    19,500       182  

Highwoods Properties Inc

    14,500       467  

Industrial Logistics Properties Trust

    14,200       70  

Innovative Industrial Properties Inc, Cl A

    3,710       461  

InvenTrust Properties Corp

    4,720       140  

Kilroy Realty Corp

    9,300       337  

Kite Realty Group Trust

    33,500       874  

National Health Investors Inc

    330       27  

NNN REIT Inc

    2,260       106  

One Liberty Properties Inc

    1,870       50  

Orion Office REIT Inc

    103,890       426  

Park Hotels & Resorts Inc

    20,300       310  

Phillips Edison & Co Inc

    3,690       136  

Piedmont Office Realty Trust Inc, Cl A

    22,800       223  

 

 

 

60

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Postal Realty Trust Inc, Cl A

    12,079     $ 175  

Redfin Corp *

    14,410       135  

Regency Centers Corp

    2,584       188  

RLJ Lodging Trust

    35,200       334  

RMR Group Inc/The, Cl A

    20,492       522  

Ryman Hospitality Properties Inc

    840       87  

Sabra Health Care REIT Inc

    41,000       699  

Saul Centers Inc

    7,556       308  

Service Properties Trust

    21,900       103  

Sunstone Hotel Investors Inc

    12,450       130  

Tanger Inc

    5,900       180  

UMH Properties Inc

    4,040       79  

Uniti Group Inc

    34,365       150  

Universal Health Realty Income Trust

    6,510       292  

Vornado Realty Trust

    7,468       257  

Whitestone REIT, Cl B

    5,610       75  

Xenia Hotels & Resorts Inc

    6,850       98  
                 
              13,535  

Utilities — 1.6%

       

American States Water Co

    2,160       176  

Artesian Resources Corp, Cl A

    1,000       36  

Avista Corp

    4,730       183  

Black Hills Corp

    3,810       225  

California Water Service Group

    3,490       193  

Consolidated Water Co Ltd

    1,740       48  

Genie Energy Ltd, Cl B

    2,560       43  

IDACORP Inc,

    1,160       118  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

National Fuel Gas Co

    13,700     $ 819  

New Jersey Resources Corp

    5,190       240  

NiSource Inc

    4,400       146  

Northwest Natural Holding Co

    2,640       106  

Northwestern Energy Group Inc

    3,510       191  

NRG Energy Inc

    1,450       123  

OGE Energy Corp

    7,300       289  

ONE Gas Inc

    790       55  

Otter Tail Corp

    2,330       197  

Pure Cycle Corp *

    6,950       74  

Spire Inc

    3,030       200  

Talen Energy Corp *

    1,718       257  

UGI Corp

    17,100       426  

Unitil Corp

    2,200       133  

York Water Co/The

    1,600       62  
                 
              4,340  

Total Common Stock

               

(Cost $214,596) ($ Thousands)

            271,680  
                 

CASH EQUIVALENT — 1.4%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    3,948,242       3,948  

Total Cash Equivalent

               

(Cost $3,948) ($ Thousands)

            3,948  

Total Investments in Securities — 99.8%

               

(Cost $218,544) ($ Thousands)

  $ 275,628  
                 
                 

 

 
 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Long Contracts

                                       

Russell 2000 Index E-MINI

    23       Sep-2024     $ 2,399     $ 2,557     $ 158  
                                         

 

 

Percentages are based on Net Assets of $276,161 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

Real Estate Investment Trust.

 

 

 

SEI Institutional Investments Trust

 

61

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap Fund (Concluded)

 

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Liquidity Fund, LP

  $ 1     $     $     $     $ (1 )   $     $     $  

SEI Daily Income Trust, Government Fund,
Institutional Class

    6,091       26,222       (28,365 )                 3,948       79        

Totals

  $ 6,092     $ 26,222     $ (28,365 )   $     $ (1 )   $ 3,948     $ 79     $  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

62

 

SEI Institutional Investments Trust

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap II Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 96.0%

                 

Communication Services — 2.4%

       

Anterix Inc *

    1,560     $ 55  

AST SpaceMobile Inc, Cl A *

    8,310       241  

Bandwidth Inc, Cl A *

    3,750       64  

Cinemark Holdings Inc *

    67,915       1,859  

Cogent Communications Holdings Inc

    6,876       481  

EW Scripps Co/The, Cl A *

    26,430       52  

Gogo Inc *

    16,650       133  

Grindr Inc *

    20,660       248  

IDT Corp, Cl B

    4,820       185  

Lions Gate Entertainment Corp, Cl A *

    27,381       213  

Marcus Corp/The

    5,710       81  

MediaAlpha Inc, Cl A *

    9,730       173  

Nexstar Media Group Inc, Cl A

    3,913       669  

Playstudios Inc *

    36,069       55  

Shutterstock Inc

    13,536       486  

Sinclair Inc

    5,500       77  

Spok Holdings Inc

    9,390       140  

Thryv Holdings Inc *

    5,720       104  

United States Cellular Corp *

    3,593       200  

Vimeo Inc *

    50,640       271  

Ziff Davis Inc *

    9,109       445  
                 
              6,232  

Consumer Discretionary — 10.3%

       

Aaron's Co Inc/The

    31,805       321  

Accel Entertainment Inc, Cl A *

    5,760       67  

Advance Auto Parts Inc

    11,943       541  

American Eagle Outfitters Inc

    7,054       145  

American Public Education Inc *

    3,770       63  

Arko Corp

    8,850       55  

Biglari Holdings Inc, Cl B *

    1,141       204  

BJ's Restaurants Inc *

    2,530       78  

Bloomin' Brands Inc

    69,289       1,213  

Boot Barn Holdings Inc *

    1,746       234  

Brinker International Inc *

    13,120       938  

Brunswick Corp/DE

    7,706       609  

Build-A-Bear Workshop Inc, Cl A

    13,090       437  

Carter's Inc

    10,094       665  

Cava Group Inc *

    3,912       446  

Century Communities Inc

    2,811       281  

Cheesecake Factory Inc/The

    10,085       396  

Churchill Downs Inc

    5,254       730  

Cooper-Standard Holdings Inc *

    4,496       69  

Cricut Inc, Cl A

    10,220       59  

Denny's Corp *

    11,160       73  

Designer Brands Inc, Cl A

    11,100       74  

Destination XL Group Inc *

    21,312       59  

Dick's Sporting Goods Inc

    3,303       783  

Dine Brands Global Inc

    2,530       80  

Domino's Pizza Inc

    1,551       642  

Dorman Products Inc *

    6,123       694  

Funko Inc, Cl A *

    8,370       88  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Gentex Corp

    20,252     $ 635  

Goodyear Tire & Rubber Co/The *

    20,712       183  

Green Brick Partners Inc *

    4,599       362  

Hooker Furnishings Corp

    16,320       259  

Hovnanian Enterprises Inc, Cl A *

    1,261       273  

Inspired Entertainment Inc *

    11,345       102  

J Jill Inc

    2,050       67  

Latham Group Inc *

    47,099       294  

Legacy Housing Corp *

    6,745       182  

Life Time Group Holdings Inc *

    11,927       281  

Lindblad Expeditions Holdings Inc *

    18,181       180  

M/I Homes Inc *

    2,024       323  

Marine Products Corp

    9,730       91  

MasterCraft Boat Holdings Inc *

    4,350       81  

Modine Manufacturing Co *

    10,806       1,313  

Movado Group Inc

    2,599       62  

Murphy USA Inc

    2,488       1,293  

Ollie's Bargain Outlet Holdings Inc *

    2,209       198  

OneSpaWorld Holdings Ltd

    16,864       268  

Oxford Industries Inc

    2,698       235  

PlayAGS Inc *

    40,177       455  

Pool Corp

    1,927       678  

Potbelly Corp *

    33,616       268  

Revolve Group Inc, Cl A *

    2,900       66  

Rocky Brands Inc

    2,050       66  

Rush Street Interactive Inc *

    71,491       670  

SharkNinja Inc

    3,086       296  

Steven Madden Ltd

    13,676       617  

Stitch Fix Inc, Cl A *

    91,830       347  

Stride Inc *

    4,152       342  

Sweetgreen Inc, Cl A *

    10,277       325  

Texas Roadhouse Inc, Cl A

    1,241       209  

Topgolf Callaway Brands Corp *

    29,397       296  

Travel + Leisure Co

    13,236       586  

Tri Pointe Homes Inc *

    7,468       332  

Urban Outfitters Inc *

    42,605       1,547  

Valvoline Inc *

    15,878       670  

Whirlpool Corp

    13,095       1,313  

Wingstop Inc

    2,568       992  

Xponential Fitness Inc, Cl A *

    17,820       230  

YETI Holdings Inc *

    5,455       220  
                 
              27,251  

Consumer Staples — 3.3%

       

Casey's General Stores Inc

    2,002       725  

Central Garden & Pet Co *

    1,610       64  

Hain Celestial Group Inc/The *

    18,161       145  

Ingles Markets Inc, Cl A

    2,259       167  

Ingredion Inc

    6,087       818  

Inter Parfums Inc

    2,669       344  

Lancaster Colony Corp

    2,273       388  

Lifeway Foods Inc *

    4,700       90  

MGP Ingredients Inc

    3,693       331  

Natural Grocers by Vitamin Cottage Inc

    18,379       489  

 

 

 

SEI Institutional Investments Trust

 

63

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap II Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Performance Food Group Co *

    10,901     $ 814  

Pilgrim's Pride Corp *

    57,065       2,658  

Sprouts Farmers Market Inc *

    5,580       581  

TreeHouse Foods Inc *

    17,325       712  

Village Super Market Inc, Cl A

    8,846       284  

Vital Farms Inc *

    5,060       159  
                 
              8,769  

Energy — 5.9%

       

Berry Corp

    54,930       340  

Cactus Inc, Cl A

    12,497       744  

Centrus Energy Corp, Cl A *

    2,909       115  

ChampionX Corp

    50,319       1,566  

Chord Energy Corp

    3,077       457  

Civitas Resources Inc

    24,824       1,522  

Clean Energy Fuels Corp *

    24,800       77  

CNX Resources Corp *

    38,342       1,061  

Delek US Holdings Inc

    62,478       1,276  

DMC Global Inc *

    5,020       62  

Dorian LPG Ltd

    2,102       82  

DT Midstream Inc

    4,416       347  

Excelerate Energy Inc, Cl A

    18,730       341  

FutureFuel Corp

    71,750       448  

Golar LNG Ltd

    7,908       263  

HF Sinclair Corp

    10,312       507  

Kinetik Holdings Inc, Cl A

    6,952       308  

Matador Resources Co

    10,659       605  

Northern Oil & Gas Inc

    15,362       611  

Oceaneering International Inc *

    11,520       311  

Permian Resources Corp, Cl A

    68,539       976  

Ranger Energy Services Inc, Cl A

    24,922       310  

REX American Resources Corp *

    4,328       196  

Riley Exploration Permian Inc

    12,259       349  

SFL Corp Ltd, Cl B

    18,375       218  

TechnipFMC PLC

    6,506       175  

Teekay Corp *

    61,493       511  

VAALCO Energy Inc

    59,370       387  

Veren Inc

    147,094       1,063  

Viper Energy Inc, Cl A

    6,427       306  

Vitesse Energy Inc

    2,566       66  
                 
              15,600  

Financials — 21.6%

       

Acacia Research Corp *

    25,723       124  

AFC Gamma Inc

    20,417       214  

Alerus Financial Corp

    14,407       323  

Amalgamated Financial Corp

    16,018       528  

Ambac Financial Group Inc *

    5,400       63  

AssetMark Financial Holdings Inc *

    6,873       242  

Atlanticus Holdings Corp *

    5,975       211  

Axos Financial Inc *

    4,473       311  

Baldwin Insurance Group Inc/The, Cl A *

    5,063       237  

Banco Latinoamericano de Comercio Exterior SA, Cl E

    8,360       262  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Bank7 Corp

    2,585     $ 104  

BayCom Corp

    4,747       109  

Business First Bancshares Inc

    4,000       98  

Capital Bancorp Inc

    3,890       100  

Capital City Bank Group Inc

    1,910       66  

Carter Bankshares Inc *

    7,338       127  

Cass Information Systems Inc

    7,684       334  

Chimera Investment Corp

    25,685       398  

City Holding Co

    3,889       462  

Civista Bancshares Inc

    3,626       62  

CNO Financial Group Inc

    61,900       2,162  

Coastal Financial Corp/WA *

    9,938       533  

Cohen & Steers Inc

    10,083       901  

Colony Bankcorp Inc

    8,394       126  

Columbia Banking System Inc

    124,293       3,130  

Comerica Inc

    14,104       805  

Community Trust Bancorp Inc

    1,570       79  

Crawford & Co, Cl A

    15,468       163  

CrossFirst Bankshares Inc *

    7,354       128  

Diamond Hill Investment Group Inc

    3,140       496  

Donegal Group Inc, Cl A

    8,498       129  

Enova International Inc *

    5,115       439  

Esquire Financial Holdings Inc

    8,088       498  

Evercore Inc, Cl A

    1,289       317  

FactSet Research Systems Inc

    1,301       550  

Financial Institutions Inc

    4,200       109  

First American Financial Corp

    10,137       647  

First Commonwealth Financial Corp

    74,129       1,276  

First Community Bankshares Inc

    6,100       269  

First Financial Corp/IN

    2,010       90  

First Horizon Corp

    55,690       924  

First Interstate BancSystem Inc, Cl A

    28,777       894  

FNB Corp/PA

    88,934       1,332  

Fulton Financial Corp

    14,068       272  

Great Southern Bancorp Inc

    2,920       174  

Hamilton Lane Inc, Cl A

    9,202       1,406  

Hanover Insurance Group Inc/The

    6,735       990  

HBT Financial Inc

    11,739       263  

HCI Group Inc

    2,241       215  

Home BancShares Inc/AR

    27,722       772  

HomeTrust Bancshares Inc

    7,072       258  

Independent Bank Corp

    11,470       726  

Independent Bank Corp/MI

    5,315       180  

International Bancshares Corp

    4,607       291  

International Money Express Inc *

    8,223       149  

Jack Henry & Associates Inc

    3,528       610  

Jackson Financial Inc, Cl A

    26,076       2,346  

James River Group Holdings Ltd

    8,252       61  

Jefferies Financial Group Inc

    6,000       360  

KeyCorp

    80,182       1,368  

Kinsale Capital Group Inc

    1,851       909  

LendingTree Inc *

    9,128       529  

Lincoln National Corp

    59,640       1,914  

 

 

 

64

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap II Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Mercantile Bank Corp

    5,101     $ 235  

Merchants Bancorp/IN

    1,302       60  

Metrocity Bankshares Inc

    2,769       85  

MGIC Investment Corp

    30,541       777  

Midland States Bancorp Inc

    3,390       77  

Moelis & Co, Cl A

    5,174       346  

Moneylion Inc *

    5,180       240  

Morningstar Inc

    2,152       675  

National Bank Holdings Corp, Cl A

    9,976       437  

NerdWallet Inc, Cl A *

    5,170       67  

New York Mortgage Trust Inc

    22,790       152  

NMI Holdings Inc, Cl A *

    20,729       851  

Northrim BanCorp Inc

    3,087       213  

Oak Valley Bancorp

    511       14  

OFG Bancorp

    15,684       721  

Old National Bancorp/IN

    141,178       2,802  

Old Republic International Corp

    8,542       306  

Old Second Bancorp Inc

    12,790       218  

OppFi Inc

    2,600       12  

Orrstown Financial Services Inc

    15,073       540  

Park National Corp

    1,912       336  

Paysafe Ltd *

    14,011       314  

Peoples Bancorp Inc/OH

    2,320       74  

Peoples Financial Services Corp

    1,499       71  

Pinnacle Financial Partners Inc

    10,498       1,045  

Piper Sandler Cos

    1,524       416  

Plumas Bancorp

    500       20  

Ponce Financial Group Inc *

    13,871       157  

Primerica Inc

    2,843       748  

Princeton Bancorp Inc

    223       8  

Prosperity Bancshares Inc

    9,483       698  

Regional Management Corp

    8,964       301  

Republic Bancorp Inc/KY, Cl A

    5,782       369  

S&T Bancorp Inc

    6,545       281  

Security National Financial Corp, Cl A *

    2,981       27  

Selectquote Inc *

    89,000       363  

Sezzle Inc *

    2,068       282  

Sierra Bancorp

    9,340       281  

Southern Missouri Bancorp Inc

    2,572       149  

Southern States Bancshares Inc

    1,700       53  

SouthState Corp

    3,213       312  

Stellar Bancorp Inc

    2,729       74  

StepStone Group Inc, Cl A

    12,745       697  

Sunrise Realty Trust Inc *

    6,137       86  

Timberland Bancorp Inc/WA

    700       22  

TPG RE Finance Trust Inc

    33,200       301  

United Fire Group Inc

    10,050       206  

Universal Insurance Holdings Inc

    23,541       504  

Univest Financial Corp

    25,266       719  

Valley National Bancorp

    83,123       722  

Victory Capital Holdings Inc, Cl A

    4,358       238  

Waterstone Financial Inc

    4,894       74  

Westamerica BanCorp

    7,474       387  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Wintrust Financial Corp

    15,411     $ 1,677  

WisdomTree Inc

    17,185       174  

World Acceptance Corp *

    3,620       427  

Zions Bancorp NA

    25,120       1,245  
                 
              56,851  

Health Care — 13.9%

       

ACELYRIN Inc *

    29,169       140  

ADMA Biologics Inc *

    20,630       357  

Agios Pharmaceuticals Inc *

    5,644       259  

Aldeyra Therapeutics Inc *

    64,559       372  

Alector Inc *

    13,202       70  

Altimmune Inc *

    12,670       85  

ALX Oncology Holdings Inc *

    20,000       46  

ANI Pharmaceuticals Inc *

    3,389       216  

Anika Therapeutics Inc *

    2,490       64  

Arcturus Therapeutics Holdings Inc *

    3,140       66  

Arcutis Biotherapeutics Inc *

    22,460       244  

ARS Pharmaceuticals Inc *

    25,562       332  

Avidity Biosciences Inc *

    6,886       303  

Axogen Inc *

    4,740       62  

Bioventus Inc, Cl A *

    30,650       308  

Blueprint Medicines Corp *

    2,742       262  

Brookdale Senior Living Inc, Cl A *

    35,054       249  

CareDx Inc *

    17,097       525  

Catalyst Pharmaceuticals Inc *

    12,282       249  

CG oncology Inc *

    2,300       85  

Chemed Corp

    1,026       601  

Coherus Biosciences Inc *

    57,240       80  

Collegium Pharmaceutical Inc *

    35,315       1,358  

Community Health Systems Inc *

    104,940       572  

Crinetics Pharmaceuticals Inc *

    4,322       229  

Dyne Therapeutics Inc *

    8,107       374  

Editas Medicine Inc, Cl A *

    27,356       102  

Embecta Corp

    11,040       180  

Encompass Health Corp

    24,591       2,288  

Enhabit Inc *

    7,620       64  

Ensign Group Inc/The

    10,322       1,562  

Entrada Therapeutics Inc *

    1,300       23  

Envista Holdings Corp *

    16,063       293  

Evolus Inc *

    17,872       284  

Generation Bio Co *

    70,699       187  

Geron Corp *

    56,682       269  

Glaukos Corp *

    3,282       439  

Globus Medical Inc, Cl A *

    10,273       747  

Halozyme Therapeutics Inc *

    7,547       482  

Harrow Inc *

    13,585       550  

Health Catalyst Inc *

    34,520       248  

HealthStream Inc

    2,696       78  

Heron Therapeutics Inc *

    36,445       70  

Inmode Ltd *

    64,813       1,083  

Insmed Inc *

    8,228       629  

Integra LifeSciences Holdings Corp *

    41,026       835  

iRadimed Corp

    9,321       438  

 

 

 

SEI Institutional Investments Trust

 

65

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap II Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Joint Corp/The *

    14,612     $ 165  

Kiniksa Pharmaceuticals International Plc, Cl A *

    10,110       270  

Kodiak Sciences Inc *

    25,050       63  

Krystal Biotech Inc *

    2,000       390  

Lantheus Holdings Inc *

    4,052       431  

LeMaitre Vascular Inc

    12,007       1,084  

LifeMD Inc *

    19,831       103  

Longboard Pharmaceuticals Inc *

    8,566       309  

MannKind Corp *

    32,452       203  

MeiraGTx Holdings plc *

    18,953       77  

Merit Medical Systems Inc *

    1,422       138  

Mersana Therapeutics Inc *

    37,470       59  

Mesa Laboratories Inc

    860       115  

Mirum Pharmaceuticals Inc *

    7,210       311  

Nurix Therapeutics Inc *

    17,291       436  

Option Care Health Inc *

    19,016       609  

OraSure Technologies Inc *

    60,420       271  

Organogenesis Holdings Inc, Cl A *

    78,605       226  

Pacira BioSciences Inc *

    15,330       239  

PACS Group Inc *

    8,407       334  

Pennant Group Inc/The *

    7,940       272  

Perrigo Co PLC

    20,870       607  

PetIQ Inc, Cl A *

    9,061       277  

Phathom Pharmaceuticals Inc *

    16,491       273  

Phibro Animal Health Corp, Cl A

    4,510       95  

Prestige Consumer Healthcare Inc *

    17,760       1,326  

PROCEPT BioRobotics Corp *

    4,461       352  

Puma Biotechnology Inc *

    4,000       10  

Quest Diagnostics Inc

    3,928       617  

QuidelOrtho Corp *

    10,089       426  

RadNet Inc *

    4,719       313  

RAPT Therapeutics Inc *

    25,694       53  

Relay Therapeutics Inc *

    20,350       138  

Replimune Group Inc, Cl Rights *

    13,590       138  

Revance Therapeutics Inc *

    18,460       121  

REVOLUTION Medicines Inc *

    5,416       231  

Rigel Pharmaceuticals Inc *

    9,328       125  

RxSight Inc *

    3,071       173  

SIGA Technologies Inc

    25,020       226  

Solid Biosciences Inc *

    9,930       89  

STERIS PLC

    3,228       778  

Stoke Therapeutics Inc *

    19,097       278  

Surmodics Inc *

    6,766       268  

Tactile Systems Technology Inc *

    31,924       437  

Tandem Diabetes Care Inc *

    4,617       201  

Taysha Gene Therapies Inc *

    26,498       59  

Tenet Healthcare Corp *

    2,485       412  

TG Therapeutics Inc *

    13,450       316  

TransMedics Group Inc *

    2,628       442  

Travere Therapeutics Inc *

    14,140       134  

Twist Bioscience Corp *

    4,924       213  

UFP Technologies Inc *

    1,331       454  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Ultragenyx Pharmaceutical Inc *

    4,482     $ 255  

US Physical Therapy Inc

    6,230       533  

Utah Medical Products Inc

    6,392       435  

Vanda Pharmaceuticals Inc *

    69,113       366  

Vaxcyte Inc *

    5,543       448  

Verve Therapeutics Inc *

    47,700       320  

Waystar Holding Corp *

    9,732       265  
                 
              36,668  

Industrials — 18.0%

       

ABM Industries Inc

    20,186       1,154  

ACCO Brands Corp

    70,359       386  

AerSale Corp *

    15,930       81  

Air Lease Corp, Cl A

    15,362       711  

Allison Transmission Holdings Inc

    5,805       538  

American Superconductor Corp *

    8,275       167  

Argan Inc

    4,953       393  

Aris Water Solutions Inc, Cl A

    21,448       361  

Astec Industries Inc

    16,326       552  

Astronics Corp *

    10,090       226  

AZEK Co Inc/The, Cl A *

    7,974       340  

AZZ Inc

    2,109       175  

Barnes Group Inc

    20,919       838  

Barrett Business Services Inc

    7,312       267  

Blue Bird Corp *

    3,870       198  

Booz Allen Hamilton Holding Corp, Cl A

    5,304       842  

Brady Corp, Cl A

    3,177       235  

BrightView Holdings Inc *

    26,880       429  

Brink's Co/The

    2,129       236  

Broadridge Financial Solutions Inc

    3,114       663  

Brookfield Business Corp, Cl A

    6,726       153  

BWX Technologies Inc

    10,744       1,107  

CACI International Inc, Cl A *

    2,822       1,378  

Carlisle Cos Inc

    1,598       677  

CECO Environmental Corp *

    9,178       266  

Clean Harbors Inc *

    5,013       1,233  

Commercial Vehicle Group Inc *

    34,205       124  

Concentrix Corp

    8,582       646  

Construction Partners Inc, Cl A *

    3,109       205  

Costamare Inc

    34,434       489  

Crane Co

    1,296       205  

Curtiss-Wright Corp

    1,150       363  

DXP Enterprises Inc/TX *

    4,613       254  

Dycom Industries Inc *

    2,119       373  

EMCOR Group Inc

    1,173       461  

Enerpac Tool Group Corp, Cl A

    13,151       542  

Ennis Inc

    5,735       137  

Enpro Inc

    5,827       937  

Enviri Corp *

    40,304       482  

ExlService Holdings Inc *

    15,967       583  

Franklin Covey Co *

    9,322       375  

Frontier Group Holdings Inc *

    15,000       54  

FTAI Aviation Ltd

    5,141       657  

Gates Industrial Corp PLC *

    59,446       1,080  

 

 

 

66

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap II Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Genco Shipping & Trading Ltd

    11,172     $ 197  

GFL Environmental Inc

    18,865       817  

Global Industrial Co

    8,413       282  

Graham Corp *

    2,040       65  

Heidrick & Struggles International Inc

    3,253       126  

Hexcel Corp

    18,382       1,163  

Hudson Technologies Inc *

    20,110       165  

Huntington Ingalls Industries Inc

    1,676       474  

Huron Consulting Group Inc *

    9,743       1,076  

Hyster-Yale Inc

    3,377       213  

IBEX Holdings Ltd *

    9,515       164  

IES Holdings Inc *

    1,333       249  

Insperity Inc

    4,379       412  

Interface Inc, Cl A

    14,450       273  

ITT Inc

    8,586       1,195  

Karat Packaging Inc

    11,403       289  

Kelly Services Inc, Cl A

    10,002       211  

Kennametal Inc

    8,238       213  

Korn Ferry

    10,927       798  

L B Foster Co, Cl A *

    3,490       70  

Landstar System Inc

    3,403       621  

Limbach Holdings Inc *

    1,220       79  

Loar Holdings Inc *

    3,776       280  

LSI Industries Inc

    15,910       253  

Luxfer Holdings PLC

    11,930       134  

Manitowoc Co Inc/The *

    17,941       181  

Moog Inc, Cl A

    1,347       266  

Mueller Industries Inc

    5,411       393  

Mueller Water Products Inc, Cl A

    16,454       353  

Nordson Corp

    2,452       629  

Omega Flex Inc

    1,340       63  

PAM Transportation Services Inc *

    3,612       66  

Park-Ohio Holdings Corp

    9,532       288  

Powell Industries Inc

    1,029       172  

Preformed Line Products Co

    1,290       155  

Primoris Services Corp

    3,189       180  

Regal Rexnord Corp

    4,013       673  

RXO Inc *

    12,231       348  

Safe Bulkers Inc

    77,376       395  

Sensata Technologies Holding PLC

    33,377       1,287  

Shyft Group Inc/The

    4,530       64  

SPX Technologies Inc *

    1,898       310  

Standex International Corp

    10,085       1,802  

Steelcase Inc, Cl A

    18,052       255  

Sterling Infrastructure Inc *

    2,869       343  

Sun Country Airlines Holdings Inc *

    20,682       227  

Terex Corp

    12,984       737  

Tetra Tech Inc

    2,856       679  

TransUnion

    6,660       645  

Tutor Perini Corp *

    20,974       503  

UFP Industries Inc

    4,979       606  

UL Solutions Inc, Cl A

    6,258       341  

UniFirst Corp/MA

    2,602       494  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

V2X Inc *

    1,070     $ 61  

Valmont Industries Inc

    5,500       1,572  

Viad Corp *

    5,084       175  

Virco Mfg. Corp

    9,220       143  

WESCO International Inc

    7,283       1,204  

Willdan Group Inc *

    13,068       498  

Willis Lease Finance Corp

    1,040       113  
                 
              47,613  

Information Technology — 9.1%

       

8x8 Inc *

    96,270       181  

ACI Worldwide Inc *

    8,739       440  

Agilysys Inc *

    3,119       353  

Alkami Technology Inc *

    15,164       506  

Alpha & Omega Semiconductor Ltd *

    7,341       307  

Amplitude Inc, Cl A *

    6,660       59  

Arlo Technologies Inc *

    15,103       177  

AvePoint Inc *

    30,811       356  

Aviat Networks Inc *

    4,402       121  

Backblaze Inc, Cl A *

    8,700       53  

Badger Meter Inc

    1,817       376  

Belden Inc

    3,201       343  

Benchmark Electronics Inc

    5,739       244  

Bentley Systems Inc, Cl B

    11,512       593  

Cirrus Logic Inc *

    2,566       374  

Clearfield Inc *

    4,742       177  

Clearwater Analytics Holdings Inc, Cl A *

    13,483       334  

Climb Global Solutions Inc

    300       28  

Cognex Corp

    15,563       628  

Coherent Corp *

    3,402       265  

CommVault Systems Inc *

    3,608       561  

Consensus Cloud Solutions Inc *

    14,550       350  

Credo Technology Group Holding Ltd *

    12,866       449  

Daktronics Inc *

    5,560       80  

Digital Turbine Inc *

    33,340       107  

Diodes Inc *

    6,321       441  

Fabrinet *

    1,581       385  

Hackett Group Inc/The

    10,350       274  

Harmonic Inc *

    86,469       1,249  

Immersion Corp

    38,280       360  

Impinj Inc *

    1,070       180  

Itron Inc *

    2,989       306  

Kulicke & Soffa Industries Inc

    11,334       497  

Littelfuse Inc

    2,177       593  

Lumentum Holdings Inc *

    16,505       951  

MACOM Technology Solutions Holdings Inc *

    1,650       180  

Methode Electronics Inc

    24,523       256  

Olo Inc, Cl A *

    58,020       305  

ON24 Inc *

    45,404       293  

OneSpan Inc *

    32,800       529  

Open Text Corp

    26,585       846  

PC Connection Inc

    3,640       266  

Photronics Inc *

    75,943       1,964  

Power Integrations Inc

    8,707       584  

 

 

 

SEI Institutional Investments Trust

 

67

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap II Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Q2 Holdings Inc *

    5,138     $ 381  

Red Violet Inc *

    10,248       296  

Ribbon Communications Inc *

    19,080       65  

Rimini Street Inc *

    68,666       121  

Rogers Corp *

    5,046       541  

SEMrush Holdings Inc, Cl A *

    4,740       65  

Silicon Laboratories Inc *

    3,915       463  

Silicon Motion Technology Corp ADR

    18,315       1,164  

SiTime Corp *

    2,152       311  

SolarWinds Corp

    36,960       473  

TTM Technologies Inc *

    5,653       110  

Turtle Beach Corp *

    12,904       202  

Universal Display Corp

    3,378       654  

Viavi Solutions Inc *

    74,879       645  

Yext Inc *

    35,170       179  

Zeta Global Holdings Corp, Cl A *

    19,891       525  
                 
              24,116  

Materials — 4.4%

       

American Vanguard Corp

    12,400       71  

Arcadium Lithium PLC *

    93,682       254  

Aspen Aerogels Inc *

    7,948       228  

ATI Inc *

    4,505       288  

Axalta Coating Systems Ltd *

    14,143       516  

Cabot Corp

    10,406       1,094  

Caledonia Mining Corp PLC

    700       9  

Chemours Co/The

    30,895       601  

Clearwater Paper Corp *

    4,860       162  

Commercial Metals Co

    24,782       1,328  

Compass Minerals International Inc

    4,200       37  

Ecovyst Inc *

    21,197       152  

FMC Corp

    29,448       1,902  

Greif Inc, Cl B

    2,554       172  

Haynes International Inc

    3,091       186  

Ingevity Corp *

    8,950       354  

Innospec Inc

    3,820       440  

Kronos Worldwide Inc

    34,215       396  

Louisiana-Pacific Corp

    2,565       249  

O-I Glass Inc, Cl I *

    28,789       365  

Olympic Steel Inc

    1,623       65  

Pactiv Evergreen Inc

    9,427       111  

Quaker Chemical Corp

    3,478       589  

Ranpak Holdings Corp, Cl A *

    24,730       175  

Reliance Inc

    2,952       846  

Silgan Holdings Inc

    7,563       395  

SunCoke Energy Inc

    21,141       189  

Universal Stainless & Alloy Products Inc *

    11,510       485  
                 
              11,659  

Real Estate — 5.5%

       

Agree Realty Corp

    14,468       1,056  

Alexander's Inc

    2,174       498  

Alpine Income Property Trust Inc

    4,734       90  

American Healthcare REIT Inc

    16,387       343  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Braemar Hotels & Resorts Inc

    21,830     $ 68  

Brixmor Property Group Inc

    11,071       303  

CareTrust REIT Inc

    10,362       310  

COPT Defense Properties

    25,523       760  

CubeSmart

    11,960       620  

eXp World Holdings Inc

    34,453       405  

Farmland Partners Inc

    34,168       350  

FirstService Corp

    2,152       387  

Forestar Group Inc *

    13,773       426  

Gladstone Commercial Corp

    20,500       313  

Healthpeak Properties Inc

    14,944       333  

Highwoods Properties Inc

    57,671       1,858  

National Storage Affiliates Trust

    18,160       849  

Newmark Group Inc, Cl A

    83,453       1,154  

Orion Office REIT Inc

    92,400       379  

Postal Realty Trust Inc, Cl A

    8,602       125  

Redfin Corp *

    12,620       118  

RMR Group Inc/The, Cl A

    16,504       421  

Ryman Hospitality Properties Inc

    7,254       754  

Saul Centers Inc

    5,725       234  

STAG Industrial Inc

    23,679       961  

Terreno Realty Corp

    9,658       667  

Universal Health Realty Income Trust

    5,390       242  

Vornado Realty Trust

    8,871       305  

Whitestone REIT, Cl B

    4,840       65  
                 
              14,394  

Utilities — 1.6%

       

Black Hills Corp

    7,444       440  

Brookfield Infrastructure Corp, Cl A

    17,814       725  

Chesapeake Utilities Corp

    4,579       542  

IDACORP Inc, Cl Rights

    5,992       611  

Portland General Electric Co

    24,225       1,166  

Pure Cycle Corp *

    6,030       64  

Spire Inc

    5,412       357  

Talen Energy Corp *

    2,041       305  
                 
              4,210  

Total Common Stock

               

(Cost $191,988) ($ Thousands)

            253,363  
                 

EXCHANGE TRADED FUND — 0.4%

                 

iShares Russell 2000 Value ETF

    6,375       1,069  
                 
                 
                 

Total Exchange Traded Fund

               

(Cost $863) ($ Thousands)

            1,069  

 

 

 

68

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small Cap II Fund (Concluded)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

CASH EQUIVALENT — 3.3%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    8,761,957     $ 8,762  

Total Cash Equivalent

               

(Cost $8,762) ($ Thousands)

            8,762  

Total Investments in Securities — 99.7%

               

(Cost $201,613) ($ Thousands)

  $ 263,194  
                 
                 

 

 
 

 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Long Contracts

                                       

Russell 2000 Index E-MINI

    18       Sep-2024     $ 1,905     $ 2,001     $ 96  
                                         

 

 

Percentages are based on Net Assets of $263,877 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

Real Estate Investment Trust.

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Liquidity Fund, LP

  $ 1     $     $ (3 )   $ (2 )   $ 4     $     $     $  

SEI Daily Income Trust, Government Fund,
Institutional Class

    5,983       20,575       (17,796 )                 8,762       88        

Totals

  $ 5,984     $ 20,575     $ (17,799 )   $ (2 )   $ 4     $ 8,762     $ 88     $  

 

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

SEI Institutional Investments Trust

 

69

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small/Mid Cap Equity Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 97.7%

                 

Communication Services — 2.1%

       

AMC Networks Inc, Cl A *

    22,800     $ 225  

Cinemark Holdings Inc *

    40,800       1,117  

Cogent Communications Holdings Inc

    29,503       2,065  

Fox Corp

    50,600       2,093  

IMAX Corp *

    54,210       1,149  

Madison Square Garden Entertainment Corp, Cl A *

    30,200       1,275  

MediaAlpha Inc, Cl A *

    71,410       1,271  

Nexstar Media Group Inc, Cl A

    27,789       4,749  

Playtika Holding Corp

    56,700       429  

Shutterstock Inc

    78,019       2,799  

TEGNA Inc

    49,300       684  
                 
              17,856  

Consumer Discretionary — 11.5%

       

Abercrombie & Fitch Co, Cl A *

    8,000       1,181  

Academy Sports & Outdoors Inc

    14,800       821  

Adtalem Global Education Inc *

    19,748       1,495  

American Axle & Manufacturing Holdings Inc *

    54,700       352  

American Eagle Outfitters Inc

    46,900       965  

Autoliv Inc

    12,100       1,240  

AutoNation Inc *

    4,700       836  

Bloomin' Brands Inc

    53,700       940  

BorgWarner Inc

    34,400       1,172  

Brinker International Inc *

    16,040       1,147  

Brunswick Corp/DE

    41,088       3,248  

Burlington Stores Inc *

    12,001       3,219  

Capri Holdings Ltd *

    18,100       647  

Carter's Inc

    12,100       797  

Century Communities Inc

    13,400       1,341  

Churchill Downs Inc

    22,560       3,135  

Dick's Sporting Goods Inc

    21,981       5,209  

Domino's Pizza Inc

    6,661       2,759  

Dorman Products Inc *

    10,290       1,167  

Dream Finders Homes Inc, Cl A *

    26,785       896  

Expedia Group Inc *

    5,700       793  

Frontdoor Inc *

    25,500       1,226  

Funko Inc, Cl A *

    107,130       1,122  

G-III Apparel Group Ltd *

    38,500       1,019  

Goodyear Tire & Rubber Co/The *

    71,642       632  

Group 1 Automotive Inc

    8,900       3,353  

Harley-Davidson Inc

    42,300       1,584  

Haverty Furniture Cos Inc

    38,200       1,047  

Installed Building Products Inc

    7,945       1,766  

Jack in the Box Inc

    7,184       355  

JAKKS Pacific Inc *

    15,700       387  

KB Home

    17,200       1,440  

Kohl's Corp

    24,700       479  

M/I Homes Inc *

    6,920       1,103  

Macy's Inc

    43,100       671  

Mattel Inc *

    78,600       1,492  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

MGM Resorts International *

    44,200     $ 1,661  

Modine Manufacturing Co *

    29,671       3,606  

Mohawk Industries Inc *

    7,800       1,210  

Newell Brands Inc

    128,211       909  

ODP Corp/The *

    35,698       1,101  

Ollie's Bargain Outlet Holdings Inc *

    24,123       2,160  

Perdoceo Education Corp

    45,800       1,028  

Phinia Inc

    11,300       542  

Polaris Inc

    8,100       686  

Pool Corp

    16,568       5,826  

PulteGroup Inc

    18,600       2,449  

PVH Corp

    13,300       1,313  

Rush Street Interactive Inc *

    122,750       1,150  

Tapestry Inc

    21,600       885  

Taylor Morrison Home Corp, Cl A *

    17,800       1,198  

Texas Roadhouse Inc, Cl A

    10,825       1,827  

Toll Brothers Inc

    32,400       4,668  

Travel + Leisure Co

    76,230       3,374  

Upbound Group Inc, Cl A

    44,400       1,478  

Whirlpool Corp

    14,400       1,444  

Wingstop Inc

    15,755       6,083  

Winnebago Industries Inc

    11,200       668  

Wyndham Hotels & Resorts Inc

    12,610       992  
                 
              97,294  

Consumer Staples — 3.8%

       

Albertsons Cos Inc, Cl A

    62,300       1,222  

BellRing Brands Inc *

    18,100       1,012  

Bunge Global SA

    12,000       1,216  

Casey's General Stores Inc

    18,699       6,775  

Church & Dwight Co Inc

    25,573       2,605  

Conagra Brands Inc

    38,100       1,189  

Edgewell Personal Care Co

    25,900       1,042  

elf Beauty Inc *

    6,570       984  

Herbalife Ltd *

    77,800       635  

Ingles Markets Inc, Cl A

    7,426       549  

Ingredion Inc

    17,300       2,324  

Inter Parfums Inc

    11,453       1,476  

J & J Snack Foods Corp

    10,833       1,844  

Molson Coors Beverage Co, Cl B

    44,100       2,380  

SpartanNash Co

    18,700       413  

Sprouts Farmers Market Inc *

    54,172       5,637  

Vital Farms Inc *

    25,621       806  
                 
              32,109  

Energy — 4.0%

       

APA Corp

    51,662       1,472  

Ardmore Shipping Corp

    61,600       1,163  

Cactus Inc, Cl A

    18,820       1,120  

California Resources Corp

    22,500       1,181  

ChampionX Corp

    81,432       2,535  

Chord Energy Corp

    13,214       1,961  

Civitas Resources Inc

    34,700       2,128  

CNX Resources Corp *

    44,100       1,220  

 

 

 

70

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small/Mid Cap Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Delek US Holdings Inc

    34,000     $ 694  

Helmerich & Payne Inc

    53,700       1,752  

HF Sinclair Corp

    52,100       2,560  

International Seaways Inc

    22,100       1,145  

Matador Resources Co

    92,376       5,240  

Murphy Oil Corp

    36,000       1,342  

Northern Oil & Gas Inc

    94,322       3,752  

Scorpio Tankers Inc

    35,700       2,554  

SM Energy Co

    19,800       904  

Vitesse Energy Inc

    3,154       82  

World Kinect Corp

    26,900       775  
                 
              33,580  

Financials — 16.3%

       

1st Source Corp

    18,000       1,106  

Affiliated Managers Group Inc

    5,900       1,026  

Ally Financial Inc

    40,300       1,741  

American Financial Group Inc/OH

    5,900       788  

Annaly Capital Management Inc

    20,550       414  

Ares Capital Corp

    35,700       753  

Associated Banc-Corp

    54,400       1,245  

Banco Latinoamericano de Comercio Exterior SA, Cl E

    30,600       959  

BankUnited Inc

    36,900       1,418  

Blue Owl Capital Corp

    69,500       1,054  

Chimera Investment Corp

    20,400       316  

Citizens Financial Group Inc

    77,700       3,345  

CNA Financial Corp

    18,800       976  

CNO Financial Group Inc

    113,090       3,949  

Cohen & Steers Inc

    43,294       3,869  

Comerica Inc

    30,100       1,719  

Corpay Inc *

    3,700       1,168  

Dime Community Bancshares Inc

    20,570       535  

Employers Holdings Inc

    25,650       1,230  

Enact Holdings Inc

    32,400       1,152  

Enova International Inc *

    13,700       1,175  

Enterprise Financial Services Corp

    21,155       1,119  

Equitable Holdings Inc

    15,800       672  

Essent Group Ltd

    17,600       1,132  

Everest Group Ltd

    2,600       1,020  

FactSet Research Systems Inc

    5,586       2,362  

Fifth Third Bancorp

    48,400       2,066  

First BanCorp/Puerto Rico

    58,000       1,240  

First Busey Corp

    27,700       749  

First Financial Bancorp

    45,000       1,191  

First Horizon Corp

    77,900       1,292  

FNB Corp/PA

    81,000       1,213  

FS KKR Capital Corp

    35,800       724  

Fulton Financial Corp

    117,500       2,274  

Globe Life Inc

    1,686       177  

Hamilton Lane Inc, Cl A

    57,958       8,858  

Hancock Whitney Corp

    35,700       1,918  

Hanmi Financial Corp

    62,800       1,244  

HCI Group Inc

    10,900       1,045  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Home BancShares Inc/AR

    119,032     $ 3,314  

Independent Bank Corp

    17,830       1,129  

Jack Henry & Associates Inc

    15,148       2,621  

KeyCorp

    49,300       841  

Kinsale Capital Group Inc

    17,930       8,805  

Lincoln National Corp

    14,100       453  

MarketAxess Holdings Inc

    5,678       1,376  

MGIC Investment Corp

    81,200       2,065  

Moelis & Co, Cl A

    24,555       1,640  

Morningstar Inc

    9,239       2,899  

Mr Cooper Group Inc *

    12,935       1,213  

Navient Corp

    65,200       1,104  

NCR Atleos Corp *

    8,100       232  

NMI Holdings Inc, Cl A *

    30,400       1,249  

Oaktree Specialty Lending Corp

    53,000       908  

OFG Bancorp

    68,200       3,137  

Palomar Holdings Inc, Cl A *

    13,500       1,339  

Park National Corp

    7,300       1,283  

Pathward Financial Inc

    19,930       1,372  

Piper Sandler Cos

    5,910       1,612  

PJT Partners Inc, Cl A

    8,600       1,062  

Popular Inc

    24,900       2,552  

Preferred Bank/Los Angeles CA

    10,240       848  

PROG Holdings Inc

    66,400       3,105  

Prosperity Bancshares Inc

    40,716       2,996  

Radian Group Inc

    40,700       1,471  

Regions Financial Corp

    63,600       1,490  

Reinsurance Group of America Inc, Cl A

    6,200       1,369  

Rithm Capital Corp

    85,300       1,018  

Ryan Specialty Holdings Inc, Cl A

    50,784       3,282  

S&T Bancorp Inc

    27,100       1,164  

Skyward Specialty Insurance Group Inc *

    27,836       1,138  

Stifel Financial Corp

    36,640       3,229  

Synovus Financial Corp

    19,300       890  

Trustmark Corp

    35,000       1,166  

UMB Financial Corp

    11,440       1,185  

Universal Insurance Holdings Inc

    7,500       160  

Unum Group

    39,000       2,164  

Veritex Holdings Inc

    36,500       919  

Victory Capital Holdings Inc, Cl A

    22,000       1,201  

Virtu Financial Inc, Cl A

    41,870       1,286  

Western Union Co/The

    32,400       395  

WisdomTree Inc

    134,000       1,359  

WSFS Financial Corp

    23,500       1,286  

Zions Bancorp NA

    44,500       2,205  
                 
              137,766  

Health Care — 12.4%

       

Addus HomeCare Corp *

    8,308       1,105  

ADMA Biologics Inc *

    67,210       1,163  

Amneal Pharmaceuticals Inc *

    154,000       1,334  

ANI Pharmaceuticals Inc *

    14,210       906  

Baxter International Inc

    48,100       1,825  

Bio-Techne Corp

    33,185       2,455  

 

 

 

SEI Institutional Investments Trust

 

71

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small/Mid Cap Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Blueprint Medicines Corp *

    18,653     $ 1,782  

CareDx Inc *

    33,495       1,029  

Catalyst Pharmaceuticals Inc *

    54,590       1,106  

Certara Inc *

    130,041       1,593  

Chemed Corp

    4,405       2,582  

Collegium Pharmaceutical Inc *

    30,220       1,162  

Corcept Therapeutics Inc *

    32,400       1,144  

DaVita Inc *

    9,700       1,464  

Encompass Health Corp

    44,906       4,179  

Ensign Group Inc/The

    70,407       10,657  

Exelixis Inc *

    65,800       1,713  

Geron Corp *

    63,050       300  

Globus Medical Inc, Cl A *

    30,003       2,181  

Haemonetics Corp *

    9,622       727  

Henry Schein Inc *

    10,300       727  

Incyte Corp *

    9,000       591  

Insmed Inc *

    29,140       2,228  

Intra-Cellular Therapies Inc *

    12,260       898  

Ironwood Pharmaceuticals Inc, Cl A *

    97,700       494  

Jazz Pharmaceuticals PLC *

    19,500       2,262  

Kiniksa Pharmaceuticals International Plc, Cl A *

    51,700       1,383  

Krystal Biotech Inc *

    6,100       1,190  

Lantheus Holdings Inc *

    16,985       1,808  

LeMaitre Vascular Inc

    54,223       4,896  

Ligand Pharmaceuticals Inc *

    12,962       1,371  

Medpace Holdings Inc *

    2,530       899  

Merit Medical Systems Inc *

    47,365       4,579  

NeoGenomics Inc *

    64,510       1,066  

Omnicell Inc *

    26,870       1,195  

Option Care Health Inc *

    55,640       1,782  

Organon & Co

    117,800       2,633  

Perrigo Co PLC

    89,548       2,606  

Premier Inc, Cl A

    49,700       1,012  

Protagonist Therapeutics Inc *

    33,000       1,415  

Quest Diagnostics Inc

    16,866       2,648  

RadNet Inc *

    47,200       3,129  

Repligen Corp *

    21,500       3,245  

Select Medical Holdings Corp

    27,000       974  

STERIS PLC

    13,858       3,341  

Supernus Pharmaceuticals Inc *

    9,820       345  

Syndax Pharmaceuticals Inc *

    22,600       464  

TG Therapeutics Inc *

    56,500       1,327  

TransMedics Group Inc *

    16,765       2,818  

United Therapeutics Corp *

    12,005       4,364  

Universal Health Services Inc, Cl B

    11,300       2,689  

US Physical Therapy Inc

    26,750       2,290  

Veracyte Inc *

    35,830       1,130  

Vericel Corp *

    21,300       1,100  
                 
              105,306  

Industrials — 23.9%

       

AAON Inc

    37,333       3,566  

ABM Industries Inc

    24,600       1,406  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Acuity Brands Inc

    7,400     $ 1,885  

ACV Auctions Inc, Cl A *

    29,465       551  

Advanced Drainage Systems Inc

    18,082       2,835  

AeroVironment Inc *

    18,880       3,847  

AGCO Corp

    24,600       2,240  

Air Lease Corp, Cl A

    65,962       3,052  

Allison Transmission Holdings Inc

    72,224       6,699  

Apogee Enterprises Inc

    26,800       1,790  

ArcBest Corp

    14,700       1,563  

Argan Inc

    13,800       1,094  

Armstrong World Industries Inc

    9,000       1,141  

Atkore Inc

    19,600       1,829  

Axon Enterprise Inc *

    15,424       5,629  

AZEK Co Inc/The, Cl A *

    22,295       950  

AZZ Inc

    13,000       1,081  

Blue Bird Corp *

    21,870       1,119  

Booz Allen Hamilton Holding Corp, Cl A

    22,775       3,616  

Broadridge Financial Solutions Inc

    13,361       2,844  

Builders FirstSource Inc *

    9,300       1,618  

BWX Technologies Inc

    23,312       2,401  

Cadre Holdings Inc

    20,015       726  

Carlisle Cos Inc

    6,875       2,914  

Casella Waste Systems Inc, Cl A *

    21,615       2,331  

CNH Industrial NV

    252,000       2,606  

Comfort Systems USA Inc

    3,288       1,162  

Concentrix Corp

    36,848       2,772  

Construction Partners Inc, Cl A *

    21,500       1,419  

Copart Inc *

    84,755       4,489  

Crane Co

    26,290       4,164  

CSG Systems International Inc

    13,150       638  

Deluxe Corp

    26,200       539  

Douglas Dynamics Inc

    38,780       1,080  

Ennis Inc

    45,100       1,078  

ExlService Holdings Inc *

    118,926       4,346  

Exponent Inc

    56,549       6,123  

Federal Signal Corp

    38,005       3,591  

FTAI Aviation Ltd

    36,625       4,681  

FTI Consulting Inc *

    11,135       2,542  

Gates Industrial Corp PLC *

    52,900       961  

GATX Corp

    8,000       1,129  

GFL Environmental Inc

    81,002       3,508  

Greenbrier Cos Inc/The

    21,000       1,017  

Heidrick & Struggles International Inc

    28,500       1,100  

Hexcel Corp

    41,360       2,618  

HNI Corp

    22,600       1,217  

Huntington Ingalls Industries Inc

    11,898       3,364  

Huron Consulting Group Inc *

    9,454       1,044  

Insperity Inc

    18,800       1,767  

Interface Inc, Cl A

    60,500       1,142  

Kirby Corp *

    14,515       1,741  

Korn Ferry

    16,100       1,176  

Landstar System Inc

    14,610       2,667  

ManpowerGroup Inc

    14,300       1,057  

 

 

 

72

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small/Mid Cap Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Matson Inc

    16,684     $ 2,307  

MillerKnoll Inc

    39,600       1,166  

Moog Inc, Cl A

    8,950       1,767  

Mueller Water Products Inc, Cl A

    63,300       1,359  

Nordson Corp

    10,528       2,701  

Oshkosh Corp

    14,950       1,613  

Owens Corning

    12,000       2,025  

Parsons Corp *

    46,155       4,406  

Powell Industries Inc

    5,744       962  

Primoris Services Corp

    20,390       1,151  

Quad/Graphics Inc, Cl A

    86,600       406  

Quanex Building Products Corp

    29,420       813  

RBC Bearings Inc *

    17,744       5,285  

Rollins Inc

    39,684       1,991  

Rush Enterprises Inc, Cl A

    21,270       1,121  

Ryder System Inc

    15,400       2,237  

Sensata Technologies Holding PLC

    73,768       2,844  

Simpson Manufacturing Co Inc

    3,600       659  

SkyWest Inc *

    14,630       1,134  

Snap-on Inc

    7,400       2,100  

SPX Technologies Inc *

    28,150       4,592  

Standex International Corp

    18,478       3,301  

Terex Corp

    17,600       999  

Tetra Tech Inc

    12,255       2,913  

Textron Inc

    32,800       2,991  

Timken Co/The

    12,700       1,074  

TransUnion

    28,578       2,767  

Trex Co Inc *

    32,299       2,059  

Trinity Industries Inc

    30,630       1,011  

UFP Industries Inc

    21,378       2,601  

UniFirst Corp/MA

    17,233       3,269  

United Airlines Holdings Inc *

    16,200       713  

Valmont Industries Inc

    11,925       3,408  

Watsco Inc

    7,491       3,561  

WESCO International Inc

    17,941       2,967  

Zurn Elkay Water Solutions Corp

    33,600       1,090  
                 
              202,828  

Information Technology — 13.2%

       

ACI Worldwide Inc *

    29,300       1,476  

ACM Research Inc, Cl A *

    50,197       906  

Adeia Inc

    66,900       843  

Agilysys Inc *

    16,060       1,816  

Alarm.com Holdings Inc *

    23,841       1,419  

Amdocs Ltd

    18,200       1,583  

Amkor Technology Inc

    70,800       2,329  

Appfolio Inc, Cl A *

    4,351       1,009  

Arrow Electronics Inc *

    16,000       2,161  

Avnet Inc

    22,000       1,214  

Badger Meter Inc

    19,195       3,972  

Belden Inc

    11,100       1,191  

Bentley Systems Inc, Cl B

    49,396       2,542  

Camtek Ltd/Israel

    19,609       1,785  

Cirrus Logic Inc *

    10,700       1,559  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Clear Secure Inc, Cl A

    40,100     $ 1,219  

Clearwater Analytics Holdings Inc, Cl A *

    98,440       2,439  

Cognex Corp

    66,821       2,698  

CommVault Systems Inc *

    7,480       1,162  

Descartes Systems Group Inc/The *

    27,869       2,812  

Dropbox Inc, Cl A *

    38,700       973  

EPAM Systems Inc *

    6,887       1,383  

Fabrinet *

    4,700       1,145  

Fair Isaac Corp *

    2,336       4,042  

FormFactor Inc *

    24,280       1,184  

Gen Digital Inc

    45,400       1,201  

Intapp Inc *

    24,300       1,123  

InterDigital Inc

    9,900       1,372  

Itron Inc *

    11,000       1,124  

Jabil Inc

    28,300       3,093  

Keysight Technologies Inc *

    19,371       2,985  

Kulicke & Soffa Industries Inc

    48,666       2,132  

Littelfuse Inc

    9,346       2,544  

LiveRamp Holdings Inc *

    26,000       674  

Monolithic Power Systems Inc

    4,079       3,813  

Napco Security Technologies Inc

    22,500       1,044  

NCR Voyix Corp *

    16,200       219  

Nova Ltd *

    13,510       3,020  

Novanta Inc *

    26,025       4,770  

OneSpan Inc *

    74,320       1,198  

Onto Innovation Inc *

    13,318       2,840  

OSI Systems Inc *

    7,400       1,109  

Power Integrations Inc

    37,385       2,509  

Q2 Holdings Inc *

    53,030       3,935  

Sanmina Corp *

    21,400       1,485  

Skyworks Solutions Inc

    5,500       603  

SolarWinds Corp

    79,500       1,017  

SPS Commerce Inc *

    14,420       2,880  

TD SYNNEX Corp

    7,400       898  

Tenable Holdings Inc *

    19,800       817  

TTM Technologies Inc *

    64,600       1,256  

Tyler Technologies Inc *

    7,370       4,333  

Universal Display Corp

    14,503       2,810  

Varonis Systems Inc, Cl B *

    45,625       2,582  

Vertex Inc, Cl A *

    123,164       4,765  

Vishay Intertechnology Inc

    18,300       369  

Xerox Holdings Corp

    43,900       497  

Zeta Global Holdings Corp, Cl A *

    88,820       2,346  
                 
              112,225  

Materials — 3.4%

       

Balchem Corp

    26,144       4,628  

Berry Global Group Inc

    26,700       1,839  

Cabot Corp

    24,204       2,544  

Carpenter Technology Corp

    8,115       1,175  

Chemours Co/The

    26,400       513  

Eastman Chemical Co

    9,800       1,003  

HB Fuller Co

    13,491       1,156  

Ingevity Corp *

    8,900       352  

 

 

 

SEI Institutional Investments Trust

 

73

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small/Mid Cap Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Knife River Corp *

    14,790     $ 1,166  

Mosaic Co/The

    34,700       991  

O-I Glass Inc, *

    54,500       692  

Quaker Chemical Corp

    14,933       2,528  

Reliance Inc

    17,077       4,895  

Ryerson Holding Corp

    17,000       340  

Sealed Air Corp

    28,500       996  

Silgan Holdings Inc

    15,700       821  

Steel Dynamics Inc

    13,000       1,554  

Sylvamo Corp

    14,560       1,151  
                 
              28,344  

Real Estate — 5.0%

       

Acadia Realty Trust

    63,200       1,423  

American Assets Trust Inc

    36,700       1,000  

Apple Hospitality REIT Inc

    67,400       973  

Brandywine Realty Trust

    80,600       421  

Brixmor Property Group Inc

    45,100       1,235  

City Office REIT Inc

    72,700       427  

COPT Defense Properties

    36,400       1,084  

CoStar Group Inc *

    39,065       3,020  

CTO Realty Growth Inc

    36,630       697  

CubeSmart

    51,351       2,661  

EPR Properties

    27,700       1,315  

Essential Properties Realty Trust Inc

    40,500       1,292  

eXp World Holdings Inc

    147,931       1,740  

FirstService Corp

    9,706       1,748  

Franklin Street Properties Corp

    107,000       195  

Getty Realty Corp

    35,660       1,133  

Host Hotels & Resorts Inc

    110,000       1,947  

Industrial Logistics Properties Trust

    35,900       178  

Innovative Industrial Properties Inc, Cl A

    21,500       2,672  

InvenTrust Properties Corp

    38,600       1,146  

Kilroy Realty Corp

    22,400       812  

Kite Realty Group Trust

    29,900       780  

Omega Healthcare Investors Inc

    29,900       1,182  

Piedmont Office Realty Trust Inc, Cl A

    55,300       540  

Plymouth Industrial REIT Inc

    46,190       1,106  

Ryman Hospitality Properties Inc

    31,124       3,236  

Sabra Health Care REIT Inc

    119,520       2,037  

Safehold Inc

    46,620       1,168  

Service Properties Trust

    48,500       227  

Tanger Inc

    21,200       645  

Terreno Realty Corp

    57,468       3,968  

Uniti Group Inc

    71,260       311  
                 
              42,319  

Utilities — 2.1%

       

Black Hills Corp

    20,000       1,182  

Brookfield Infrastructure Corp, Cl A

    76,490       3,113  

Chesapeake Utilities Corp

    19,660       2,328  

National Fuel Gas Co

    15,900       950  

New Jersey Resources Corp

    19,900       922  

NRG Energy Inc

    59,700       5,075  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Otter Tail Corp

    11,200     $ 947  

Portland General Electric Co

    23,700       1,140  

UGI Corp

    22,900       571  

Vistra Corp

    18,800       1,606  
                 
              17,834  

Total Common Stock

               

(Cost $629,682) ($ Thousands)

            827,461  
                 

CASH EQUIVALENT — 2.2%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    18,958,848       18,959  

Total Cash Equivalent

               

(Cost $18,959) ($ Thousands)

            18,959  

Total Investments in Securities — 99.9%

               

(Cost $648,641) ($ Thousands)

  $ 846,420  
                 
                 

 

 

 

74

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Small/Mid Cap Equity Fund (Concluded)

 

 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts Long

   

Expiration Date

   

Notional Amount
(Thousands)

   

Value (Thousands)

   

Unrealized Appreciation (Thousands)

 

Russell 2000 Index E-MINI

    31       Sep-2024     $ 3,414     $ 3,446     $ 32  

S&P Mid Cap 400 Index E-MINI

    11       Sep-2024       3,363       3,408       45  
                    $ 6,777     $ 6,854     $ 77  
                                         

 

  

Percentages are based on Net Assets of $847,445 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security .

Real Estate Investment Trust.

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Liquidity Fund, LP

  $ 1     $     $     $     $ (1 )   $     $     $  

SEI Daily Income Trust, Government Fund,
Institutional Class

    18,646       53,944       (53,631 )                 18,959       278        

Totals

  $ 18,647     $ 53,944     $ (53,631 )   $     $ (1 )   $ 18,959     $ 278     $  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

SEI Institutional Investments Trust

 

75

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

U.S. Equity Factor Allocation Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 99.0%

                 

Communication Services — 8.6%

       

Alphabet Inc, Cl A

    273,155     $ 44,628  

Alphabet Inc, Cl C

    91,127       15,046  

AT&T Inc

    631,285       12,563  

Cargurus Inc, Cl A *

    56,039       1,624  

Cars.com Inc *

    48,515       865  

Cinemark Holdings Inc *

    78,725       2,155  

Comcast Corp, Cl A

    301,213       11,919  

Electronic Arts Inc

    42,313       6,424  

Fox Corp

    102,770       3,965  

John Wiley & Sons Inc, Cl A

    1,114       54  

Match Group Inc *

    100,309       3,732  

Meta Platforms Inc, Cl A

    66,250       34,537  

Netflix Inc *

    3,208       2,250  

New York Times Co/The, Cl A

    11,393       626  

Omnicom Group Inc

    73,530       7,385  

Pinterest Inc, Cl A *

    80,882       2,591  

ROBLOX Corp, Cl A *

    35,270       1,551  

Spotify Technology SA *

    3,623       1,242  

TEGNA Inc

    42,897       595  

T-Mobile US Inc

    10,671       2,121  

Trade Desk Inc/The, Cl A *

    26,547       2,775  

TripAdvisor Inc *

    63,800       926  

Verizon Communications Inc

    253,845       10,606  

Yelp Inc, Cl A *

    24,023       839  

Ziff Davis Inc *

    33,694       1,647  
                 
              172,666  

Consumer Discretionary — 13.5%

       

Abercrombie & Fitch Co, Cl A *

    15,579       2,299  

Adtalem Global Education Inc *

    37,387       2,831  

Amazon.com Inc *

    161,659       28,856  

AutoZone Inc *

    2,718       8,647  

Booking Holdings Inc

    3,161       12,357  

Boyd Gaming Corp

    9,447       567  

Carnival Corp, Cl A *

    241,457       3,984  

Chipotle Mexican Grill Inc, Cl A *

    20,289       1,138  

Columbia Sportswear Co

    14,858       1,200  

Deckers Outdoor Corp *

    11,356       10,894  

Dick's Sporting Goods Inc

    1,859       441  

Domino's Pizza Inc

    15,222       6,305  

DoorDash Inc, Cl A *

    12,820       1,650  

DR Horton Inc

    20,526       3,875  

eBay Inc

    59,691       3,528  

Expedia Group Inc *

    60,324       8,390  

Ford Motor Co

    185,834       2,079  

Frontdoor Inc *

    55,992       2,692  

Gap Inc/The

    61,252       1,374  

Garmin Ltd

    36,980       6,778  

General Motors Co

    268,572       13,370  

Genuine Parts Co

    3,936       564  

Goodyear Tire & Rubber Co/The *

    133,610       1,178  

Graham Holdings Co, Cl B

    2,828       2,249  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Grand Canyon Education Inc *

    2,071     $ 300  

H&R Block Inc

    165,420       10,473  

Home Depot Inc/The

    25,736       9,484  

International Game Technology PLC

    56,491       1,265  

KB Home

    50,459       4,224  

Kohl's Corp

    50,660       982  

Kontoor Brands Inc

    21,938       1,642  

Las Vegas Sands Corp

    62,413       2,433  

Laureate Education Inc, Cl A

    81,609       1,258  

Lennar Corp, Cl A

    17,495       3,185  

Lennar Corp, Cl B

    10,615       1,792  

Lululemon Athletica Inc *

    21,305       5,528  

M/I Homes Inc *

    6,636       1,058  

McDonald's Corp

    27,794       8,023  

Murphy USA Inc

    427       222  

NIKE Inc, Cl B

    31,651       2,637  

NVR Inc *

    211       1,935  

ODP Corp/The *

    19,557       603  

O'Reilly Automotive Inc *

    8,246       9,318  

Phinia Inc

    9,253       444  

PulteGroup Inc

    47,819       6,295  

PVH Corp

    41,168       4,063  

Ross Stores Inc

    14,989       2,258  

SharkNinja Inc

    16,685       1,599  

Skechers USA Inc, Cl A *

    41,852       2,866  

Stride Inc *

    13,482       1,110  

Tapestry Inc

    48,586       1,991  

Taylor Morrison Home Corp, Cl A *

    86,475       5,822  

Texas Roadhouse Inc, Cl A

    7,349       1,240  

TJX Cos Inc/The

    23,347       2,738  

Toll Brothers Inc

    73,727       10,622  

Tractor Supply Co

    7,645       2,045  

Tri Pointe Homes Inc *

    107,454       4,775  

Ulta Beauty Inc *

    10,953       3,865  

Urban Outfitters Inc *

    36,817       1,337  

Williams-Sonoma Inc

    56,196       7,549  

Wingstop Inc

    24,025       9,276  

Wynn Resorts Ltd

    10,196       784  

Yum! Brands Inc

    60,415       8,151  
                 
              272,438  

Consumer Staples — 7.4%

       

Altria Group Inc

    376,514       20,245  

Andersons Inc/The

    18,430       939  

Archer-Daniels-Midland Co

    9,583       584  

BellRing Brands Inc *

    49,950       2,794  

Bunge Global SA

    70,619       7,159  

Cal-Maine Foods Inc

    24,560       1,769  

Campbell Soup Co

    4,916       244  

Casey's General Stores Inc

    2,623       950  

Church & Dwight Co Inc

    6,575       670  

Coca-Cola Co/The

    126,268       9,151  

Colgate-Palmolive Co

    135,268       14,406  

Conagra Brands Inc

    13,772       430  

 

 

 

76

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

U.S. Equity Factor Allocation Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Costco Wholesale Corp

    3,010     $ 2,686  

Edgewell Personal Care Co

    16,040       645  

Flowers Foods Inc

    5,670       132  

General Mills Inc

    10,163       735  

Ingles Markets Inc, Cl A

    3,077       228  

Ingredion Inc

    51,734       6,948  

J M Smucker Co/The

    3,043       349  

Keurig Dr Pepper Inc

    7,207       264  

Kimberly-Clark Corp

    7,787       1,126  

Kraft Heinz Co/The

    213,710       7,572  

Kroger Co/The

    167,637       8,920  

Lancaster Colony Corp

    1,376       235  

Molson Coors Beverage Co, Cl B

    55,092       2,973  

Monster Beverage Corp *

    12,517       590  

PepsiCo Inc

    43,590       7,536  

Philip Morris International Inc

    86,752       10,696  

Pilgrim's Pride Corp *

    29,641       1,381  

Post Holdings Inc *

    18,189       2,106  

Primo Water Corp

    31,645       699  

Procter & Gamble Co/The

    59,382       10,186  

Sprouts Farmers Market Inc *

    38,611       4,018  

US Foods Holding Corp *

    123,320       7,302  

Vital Farms Inc *

    11,066       348  

Walgreens Boots Alliance Inc

    215,124       1,990  

Walmart Inc

    139,026       10,737  

WD-40 Co

    422       111  
                 
              149,854  

Energy — 1.5%

       

Archrock Inc

    19,931       403  

Chevron Corp

    12,997       1,923  

DT Midstream Inc

    6,882       541  

Exxon Mobil Corp

    27,045       3,190  

International Seaways Inc

    28,815       1,493  

Marathon Petroleum Corp

    4,289       760  

PBF Energy Inc, Cl A

    58,134       1,980  

Scorpio Tankers Inc

    26,575       1,901  

SM Energy Co

    69,121       3,154  

TechnipFMC PLC

    115,493       3,100  

Valero Energy Corp

    28,650       4,204  

Weatherford International PLC

    17,791       1,867  

Williams Cos Inc/The

    104,102       4,765  
                 
              29,281  

Financials — 12.4%

       

Affiliated Managers Group Inc

    21,996       3,824  

Aflac Inc

    66,475       7,336  

Allstate Corp/The

    13,482       2,547  

Ally Financial Inc

    205,861       8,891  

American Express Co

    38,443       9,943  

American Financial Group Inc/OH

    5,086       680  

American International Group Inc

    113,229       8,724  

Axis Capital Holdings Ltd

    45,919       3,668  

Bank of New York Mellon Corp/The

    137,145       9,356  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Bank of NT Butterfield & Son Ltd/The

    28,668     $ 1,097  

Bank OZK

    117,064       5,075  

BankUnited Inc

    31,409       1,207  

Berkshire Hathaway Inc, Cl B *

    1,449       690  

BlackRock Inc, Cl A

    1,918       1,730  

Bread Financial Holdings Inc

    28,747       1,672  

Brighthouse Financial Inc *

    62,910       2,888  

Brown & Brown Inc

    14,328       1,506  

Capital One Financial Corp

    60,973       8,959  

Cboe Global Markets Inc

    15,557       3,195  

Citigroup Inc

    238,827       14,960  

Comerica Inc

    82,634       4,719  

Commerce Bancshares Inc/MO

    12,011       768  

Corebridge Financial Inc

    196,805       5,818  

Corpay Inc *

    4,904       1,547  

Donnelley Financial Solutions Inc *

    21,182       1,412  

East West Bancorp Inc

    24,014       2,019  

Enova International Inc *

    11,029       946  

Fiserv Inc *

    25,730       4,492  

Genworth Financial Inc, Cl A *

    45,121       315  

Goldman Sachs Group Inc/The

    3,671       1,873  

Hamilton Lane Inc, Cl A

    14,828       2,266  

Intercontinental Exchange Inc

    24,506       3,959  

Jackson Financial Inc, Cl A

    55,688       5,010  

Janus Henderson Group PLC

    51,136       1,923  

Mastercard Inc, Cl A

    25,353       12,254  

MFA Financial Inc

    76,815       962  

Moody's Corp

    14,119       6,886  

Mr Cooper Group Inc *

    25,179       2,362  

MSCI Inc, Cl A

    11,301       6,561  

Nasdaq Inc

    67,814       4,888  

Navient Corp

    62,661       1,061  

Nelnet Inc, Cl A

    425       49  

NU Holdings Ltd/Cayman Islands, Cl A *

    80,734       1,209  

Pagseguro Digital Ltd, Cl A *

    118,600       1,313  

Palomar Holdings Inc, Cl A *

    9,383       931  

Pathward Financial Inc

    10,760       741  

Pinnacle Financial Partners Inc

    940       94  

PNC Financial Services Group Inc/The

    19,106       3,536  

Popular Inc

    63,505       6,509  

PROG Holdings Inc

    16,300       762  

Reinsurance Group of America Inc, Cl A

    47,138       10,406  

RenaissanceRe Holdings Ltd

    18,544       4,725  

Rithm Capital Corp

    284,070       3,392  

SiriusPoint Ltd *

    55,289       829  

SLM Corp

    148,076       3,267  

Synchrony Financial

    175,063       8,799  

T Rowe Price Group Inc

    6,159       653  

Tradeweb Markets Inc, Cl A

    7,437       879  

Travelers Cos Inc/The

    4,150       946  

UMB Financial Corp

    14,536       1,506  

Unum Group

    116,035       6,439  

Victory Capital Holdings Inc, Cl A

    8,522       465  

 

 

 

SEI Institutional Investments Trust

 

77

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

U.S. Equity Factor Allocation Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Virtu Financial Inc, Cl A

    31,964     $ 982  

Visa Inc, Cl A

    48,790       13,484  

W R Berkley Corp

    8,934       533  

WaFd Inc

    25,680       942  

Wells Fargo & Co

    37,069       2,167  

Western Union Co/The

    292,637       3,570  
                 
              249,117  

Health Care — 12.1%

       

AbbVie Inc

    80,820       15,866  

Addus HomeCare Corp *

    3,954       526  

Amgen Inc

    1,755       586  

Arvinas Inc *

    15,837       414  

Baxter International Inc

    54,404       2,064  

Boston Scientific Corp *

    93,220       7,624  

Bristol-Myers Squibb Co

    61,141       3,054  

Cardinal Health Inc

    90,694       10,223  

Cencora Inc

    66,869       16,020  

Centene Corp *

    42,070       3,316  

Cigna Group/The

    32,731       11,842  

CVS Health Corp

    91,226       5,222  

DaVita Inc *

    12,971       1,958  

Eli Lilly & Co

    21,557       20,695  

Embecta Corp

    12,750       208  

Ensign Group Inc/The

    23,047       3,488  

Gilead Sciences Inc

    110,579       8,736  

Halozyme Therapeutics Inc *

    8,252       527  

HCA Healthcare Inc

    20,137       7,966  

HealthEquity Inc *

    4,952       394  

Henry Schein Inc *

    3,353       237  

Hims & Hers Health Inc *

    18,471       272  

Hologic Inc *

    29,536       2,400  

ICU Medical Inc *

    3,012       498  

IDEXX Laboratories Inc *

    9,402       4,525  

Intuitive Surgical Inc *

    12,459       6,138  

Jazz Pharmaceuticals PLC *

    13,581       1,575  

Johnson & Johnson

    92,913       15,411  

Labcorp Holdings Inc

    8,297       1,907  

Lantheus Holdings Inc *

    5,154       549  

LeMaitre Vascular Inc

    4,816       435  

McKesson Corp

    29,689       16,658  

Medpace Holdings Inc *

    4,102       1,457  

Medtronic PLC

    66,482       5,889  

Merck & Co Inc

    19,253       2,281  

Merit Medical Systems Inc *

    22,003       2,127  

Mettler-Toledo International Inc *

    4,750       6,836  

Organon & Co

    84,359       1,885  

Pediatrix Medical Group Inc *

    18,629       202  

Premier Inc, Cl A

    43,738       891  

Quest Diagnostics Inc

    25,466       3,997  

Regeneron Pharmaceuticals Inc *

    3,294       3,902  

Royalty Pharma PLC, Cl A

    47,681       1,384  

Sarepta Therapeutics Inc *

    2,763       375  

Solventum Corp *

    12,590       807  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Stryker Corp

    6,722     $ 2,423  

Tenet Healthcare Corp *

    53,762       8,916  

United Therapeutics Corp *

    15,522       5,643  

UnitedHealth Group Inc

    4,727       2,790  

Universal Health Services Inc, Cl B

    36,974       8,799  

Vertex Pharmaceuticals Inc *

    11,736       5,820  

Viatris Inc

    547,085       6,609  
                 
              244,367  

Industrials — 11.0%

       

3M Co

    33,177       4,469  

A O Smith Corp

    8,517       713  

ACCO Brands Corp

    63,934       350  

Allegion plc

    6,198       860  

Allison Transmission Holdings Inc

    94,292       8,746  

American Airlines Group Inc *

    374,450       3,977  

Armstrong World Industries Inc

    3,079       390  

Atmus Filtration Technologies Inc

    24,680       885  

Automatic Data Processing Inc

    2,643       729  

Brink's Co/The

    32,052       3,555  

CACI International Inc, Cl A *

    7,040       3,436  

Carlisle Cos Inc

    8,658       3,669  

CH Robinson Worldwide Inc

    18,763       1,942  

Cintas Corp

    9,735       7,838  

Clean Harbors Inc *

    4,921       1,210  

Costamare Inc

    33,919       481  

CSG Systems International Inc

    951       46  

CSW Industrials Inc

    1,088       367  

CSX Corp

    56,804       1,947  

Cummins Inc

    2,526       790  

Curtiss-Wright Corp

    11,997       3,789  

Delta Air Lines Inc

    204,379       8,684  

Deluxe Corp

    31,932       657  

Donaldson Co Inc

    8,509       619  

Dover Corp

    9,719       1,808  

Eaton Corp PLC

    2,871       881  

EMCOR Group Inc

    1,241       488  

Emerson Electric Co

    18,248       1,923  

Expeditors International of Washington Inc

    10,005       1,235  

Fastenal Co

    112,361       7,672  

Federal Signal Corp

    4,230       400  

FedEx Corp

    12,450       3,720  

Ferguson Enterprises Inc

    9,667       1,989  

Franklin Electric Co Inc

    3,186       331  

FTI Consulting Inc *

    443       101  

Gates Industrial Corp PLC *

    101,161       1,837  

Genpact Ltd

    33,509       1,315  

Graco Inc

    74,438       6,204  

HNI Corp

    18,027       971  

Honeywell International Inc

    10,547       2,193  

Howmet Aerospace Inc

    50,918       4,922  

IDEX Corp

    2,203       455  

Illinois Tool Works Inc

    33,583       8,503  

ITT Inc

    5,839       813  

 

 

 

78

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

U.S. Equity Factor Allocation Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Kirby Corp *

    23,193     $ 2,781  

Landstar System Inc

    2,520       460  

Leidos Holdings Inc

    9,555       1,515  

Lincoln Electric Holdings Inc

    1,759       341  

Lockheed Martin Corp

    14,814       8,416  

ManpowerGroup Inc

    13,003       961  

Masco Corp

    7,097       565  

Masterbrand Inc *

    44,699       717  

Maximus Inc

    32,572       3,005  

MSA Safety Inc

    2,622       479  

MSC Industrial Direct Co Inc, Cl A

    24,940       2,051  

Mueller Industries Inc

    5,136       373  

Otis Worldwide Corp

    23,601       2,235  

Owens Corning

    15,613       2,634  

PACCAR Inc

    20,829       2,003  

Parker-Hannifin Corp

    8,053       4,833  

Parsons Corp *

    15,638       1,493  

Paychex Inc

    57,490       7,543  

Republic Services Inc, Cl A

    21,681       4,514  

Resideo Technologies Inc *

    63,832       1,287  

Robert Half Inc

    58,872       3,689  

Rollins Inc

    114,898       5,766  

Ryder System Inc

    48,435       7,035  

Science Applications International Corp

    9,498       1,240  

SkyWest Inc *

    23,700       1,838  

Snap-on Inc

    24,709       7,011  

SS&C Technologies Holdings Inc

    15,231       1,144  

Trane Technologies PLC

    19,821       7,168  

TriNet Group Inc

    6,364       654  

United Airlines Holdings Inc *

    136,966       6,032  

Verisk Analytics Inc, Cl A

    23,616       6,443  

Verra Mobility Corp, Cl A *

    48,706       1,345  

Waste Management Inc

    3,880       823  

Watts Water Technologies Inc, Cl A

    488       96  

Westinghouse Air Brake Technologies Corp

    24,922       4,226  

WW Grainger Inc

    11,067       10,900  
                 
              221,526  

Information Technology — 29.5%

       

Accenture PLC, Cl A

    3,004       1,027  

Adobe Inc *

    16,293       9,359  

Alkami Technology Inc *

    17,000       567  

Amdocs Ltd

    56,391       4,904  

Amkor Technology Inc

    68,518       2,254  

Amphenol Corp, Cl A

    113,841       7,679  

Analog Devices Inc

    21,592       5,071  

Apple Inc

    461,540       105,693  

Applied Materials Inc

    8,423       1,662  

AppLovin Corp, Cl A *

    21,065       1,956  

Arista Networks Inc *

    14,065       4,970  

Arrow Electronics Inc *

    37,039       5,003  

Autodesk Inc *

    22,793       5,890  

Avnet Inc

    60,506       3,339  

Belden Inc

    17,615       1,890  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Broadcom Inc

    48,258     $ 7,857  

Cadence Design Systems Inc *

    27,382       7,364  

Cisco Systems Inc

    425,479       21,504  

Clear Secure Inc, Cl A

    44,641       1,357  

Cloudflare Inc, Cl A *

    26,723       2,195  

Cognizant Technology Solutions Corp, Cl A

    119,671       9,307  

CommVault Systems Inc *

    9,772       1,519  

Consensus Cloud Solutions Inc *

    11,449       276  

Crane NXT Co

    28,095       1,651  

Crowdstrike Holdings Inc, Cl A *

    2,456       681  

Dell Technologies Inc, Cl C

    76,889       8,884  

Dolby Laboratories Inc, Cl A

    35,921       2,563  

Dropbox Inc, Cl A *

    322,537       8,109  

DXC Technology Co *

    137,012       2,832  

F5 Inc *

    74,945       15,225  

Fair Isaac Corp *

    5,704       9,869  

Fortinet Inc *

    75,416       5,785  

Gartner Inc *

    19,398       9,543  

Gen Digital Inc

    225,712       5,972  

GoDaddy Inc, Cl A *

    59,460       9,954  

Guidewire Software Inc *

    26,246       3,905  

Hewlett Packard Enterprise Co

    443,238       8,585  

HP Inc

    269,666       9,756  

HubSpot Inc *

    3,219       1,606  

Intapp Inc *

    4,863       225  

Intel Corp

    56,223       1,239  

InterDigital Inc

    18,991       2,631  

International Business Machines Corp

    69,474       14,043  

Intuit Inc

    10,985       6,923  

Jabil Inc

    74,789       8,173  

Keysight Technologies Inc *

    4,171       643  

KLA Corp

    473       388  

Manhattan Associates Inc *

    44,093       11,659  

Micron Technology Inc

    2,311       222  

Microsoft Corp

    213,362       89,002  

Motorola Solutions Inc

    32,673       14,443  

NCR Voyix Corp *

    92,840       1,252  

NetApp Inc

    125,964       15,206  

NVIDIA Corp

    573,533       68,463  

ON Semiconductor Corp *

    35,107       2,734  

Oracle Corp

    13,514       1,909  

Progress Software Corp

    28,086       1,633  

QUALCOMM Inc

    50,362       8,828  

Sanmina Corp *

    44,777       3,107  

Skyworks Solutions Inc

    60,396       6,619  

Smartsheet Inc, Cl A *

    6,303       308  

Teradata Corp *

    59,337       1,676  

Texas Instruments Inc

    4,433       950  

Tyler Technologies Inc *

    767       451  

VeriSign Inc *

    33,626       6,184  

Vishay Intertechnology Inc

    72,725       1,465  

Vontier Corp

    84,367       2,955  

Xerox Holdings Corp

    70,180       795  

 

 

 

SEI Institutional Investments Trust

 

79

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

U.S. Equity Factor Allocation Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Zoom Video Communications Inc, Cl A *

    13,244     $ 915  
                 
              592,604  

Materials — 1.7%

       

Alpha Metallurgical Resources Inc

    6,573       1,572  

Amcor PLC

    101,935       1,166  

AptarGroup Inc

    4,678       717  

Avery Dennison Corp

    5,678       1,260  

Axalta Coating Systems Ltd *

    50,402       1,840  

Berry Global Group Inc

    54,455       3,750  

DuPont de Nemours Inc

    19,111       1,610  

International Paper Co

    133,595       6,469  

LyondellBasell Industries NV, Cl A

    11,749       1,160  

Minerals Technologies Inc

    12,704       979  

NewMarket Corp

    152       87  

Newmont Corp

    75,868       4,050  

O-I Glass Inc, Cl I *

    42,188       535  

Packaging Corp of America

    29,971       6,280  

Reliance Inc

    1,720       493  

Silgan Holdings Inc

    2,262       118  

Sonoco Products Co

    6,940       392  

Steel Dynamics Inc

    7,294       872  

Warrior Met Coal Inc

    27,496       1,686  
                 
              35,036  

Real Estate — 0.3%

       

Acadia Realty Trust

    38,040       856  

Iron Mountain Inc

    32,337       3,663  

STAG Industrial Inc

    11,293       458  

Urban Edge Properties

    50,458       1,067  
                 
              6,044  

Utilities — 1.0%

       

Atmos Energy Corp

    5,249       686  

CenterPoint Energy Inc

    15,010       410  

Exelon Corp

    9,459       360  

National Fuel Gas Co

    6,455       386  

NRG Energy Inc

    97,470       8,286  

Vistra Corp

    118,302       10,107  
                 
              20,235  

Total Common Stock

               

(Cost $1,579,827) ($ Thousands)

            1,993,168  
                 

CASH EQUIVALENT — 0.7%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    13,626,083       13,626  

Total Cash Equivalent

               

(Cost $13,626) ($ Thousands)

            13,626  

Total Investments in Securities — 99.7%

               

(Cost $1,593,453) ($ Thousands)

  $ 2,006,794  
                 
                 

 

 

 

 

 

80

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

U.S. Equity Factor Allocation Fund (Concluded)

 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Long Contracts

                                       

S&P 500 Index E-MINI

    50       Sep-2024     $ 13,963     $ 14,152     $ 189  
                                         

 

 

Percentages are based on Net Assets of $2,012,331 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Real Estate Investment Trust.

Investment in Affiliated Security.

Narrow industries are utilized for compliance purposes, whereas broad sectors are utilized for reporting.

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Daily Income Trust, Government Fund,
Institutional Class

  $ 10,111     $ 36,029     $ (32,514 )   $     $     $ 13,626     $ 170     $  

 

                                                               

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

SEI Institutional Investments Trust

 

81

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

U.S. Managed Volatility Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 97.7%

                 

Communication Services — 7.2%

       

AT&T Inc

    479,900     $ 9,550  

Comcast Corp, Cl A

    275,963       10,920  

Electronic Arts Inc

    17,116       2,599  

EverQuote Inc, Cl A *

    1,884       47  

Fox Corp

    111,119       4,511  

IDT Corp, Cl B

    4,070       156  

New York Times Co/The, Cl A

    16,455       904  

Omnicom Group Inc

    24,683       2,479  

Scholastic Corp

    3,081       98  

SK Telecom Co Ltd ADR

    86,124       1,983  

Spok Holdings Inc

    15,130       225  

Spotify Technology SA *

    10,552       3,618  

TEGNA Inc

    148,000       2,054  

T-Mobile US Inc

    14,797       2,940  

Verizon Communications Inc

    305,732       12,774  
                 
              54,858  

Consumer Discretionary — 7.1%

       

AutoZone Inc *

    700       2,227  

BorgWarner Inc

    79,000       2,692  

Canadian Tire Corp Ltd, Cl A

    19,300       2,200  

Coupang Inc, Cl A *

    19,135       424  

eBay Inc

    83,900       4,958  

Gentex Corp

    179,228       5,615  

Genuine Parts Co

    29,276       4,194  

Grand Canyon Education Inc *

    29,200       4,234  

H&R Block Inc

    121,995       7,724  

Honda Motor Co Ltd ADR

    125,100       4,122  

JAKKS Pacific Inc *

    3,464       85  

Murphy USA Inc

    14,699       7,638  

O'Reilly Automotive Inc *

    532       601  

Smith & Wesson Brands Inc

    3,631       54  

Texas Roadhouse Inc, Cl A

    28,355       4,785  

Toyota Motor Corp ADR

    12,200       2,316  
                 
              53,869  

Consumer Staples — 16.6%

       

Altria Group Inc

    107,217       5,765  

Archer-Daniels-Midland Co

    101,031       6,162  

Bunge Global SA

    32,200       3,264  

Cal-Maine Foods Inc

    8,985       647  

Campbell Soup Co

    92,578       4,603  

Central Garden & Pet Co, Cl A *

    4,653       159  

Clorox Co/The

    25,750       4,077  

Coca-Cola Consolidated Inc

    2,797       3,755  

Colgate-Palmolive Co

    64,366       6,855  

Conagra Brands Inc

    165,276       5,157  

Costco Wholesale Corp

    1,215       1,084  

Dole PLC

    40,963       660  

Energizer Holdings Inc

    9,879       320  

Flowers Foods Inc

    212,585       4,940  

Fresh Del Monte Produce Inc

    15,052       440  

General Mills Inc

    120,038       8,678  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Herbalife Ltd *

    2,776     $ 23  

Hormel Foods Corp

    2,266       74  

Ingles Markets Inc, Cl A

    5,719       423  

Ingredion Inc

    49,615       6,664  

J & J Snack Foods Corp

    2,869       488  

John B Sanfilippo & Son Inc

    5,317       504  

Kellanova

    75,800       6,110  

Kimberly-Clark Corp

    19,434       2,811  

Kraft Heinz Co/The

    198,800       7,044  

Kroger Co/The

    161,200       8,577  

Lancaster Colony Corp

    2,435       416  

Loblaw Cos Ltd

    17,500       2,284  

Mama's Creations *

    35,337       283  

Molson Coors Beverage Co, Cl B

    108,600       5,861  

National Beverage Corp

    776       35  

Oil-Dri Corp of America

    3,587       245  

PepsiCo Inc

    5,107       883  

Pilgrim's Pride Corp *

    61,070       2,845  

Post Holdings Inc *

    34,622       4,008  

Procter & Gamble Co/The

    26,343       4,519  

Reynolds Consumer Products Inc

    36,206       1,141  

Seaboard Corp

    604       1,879  

Simply Good Foods Co/The *

    2,866       91  

SpartanNash Co

    11,655       257  

Sprouts Farmers Market Inc *

    4,820       502  

TreeHouse Foods Inc *

    9,120       375  

Tyson Foods Inc, Cl A

    45,428       2,921  

Universal Corp/VA

    6,924       376  

USANA Health Sciences Inc *

    8,286       338  

Vector Group Ltd

    1,428       21  

Village Super Market Inc, Cl A

    10,834       348  

Vita Coco Co Inc/The *

    10,347       270  

Vital Farms Inc *

    8,687       273  

Walmart Inc

    73,932       5,710  

WD-40 Co

    237       62  

Weis Markets Inc

    3,951       267  

WK Kellogg Co

    22,675       389  
                 
              125,883  

Energy — 3.1%

       

Chevron Corp

    51,400       7,604  

CONSOL Energy Inc

    1,140       116  

Dorian LPG Ltd

    481       19  

DT Midstream Inc

    42,100       3,309  

Exxon Mobil Corp

    75,300       8,881  

Gulfport Energy Corp *

    2,659       386  

International Seaways Inc

    919       48  

Marathon Petroleum Corp

    14,200       2,515  

Teekay Corp *

    20,525       170  

Teekay Tankers Ltd, Cl A

    5,062       288  
                 
              23,336  

Financials — 13.1%

       

AFC Gamma Inc

    1,496       16  

 

 

 

82

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

U.S. Managed Volatility Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Aflac Inc

    54,400     $ 6,004  

Allstate Corp/The

    35,362       6,681  

Ameriprise Financial Inc

    5,846       2,627  

Arch Capital Group Ltd *

    7,300       826  

Axis Capital Holdings Ltd

    30,600       2,444  

Banco Latinoamericano de Comercio Exterior SA, Cl E

    7,771       244  

Bank of New York Mellon Corp/The

    147,300       10,049  

Berkshire Hathaway Inc, Cl B *

    11,333       5,394  

Canadian Imperial Bank of Commerce

    50,700       2,963  

Cboe Global Markets Inc

    32,240       6,622  

Chicago Atlantic Real Estate Finance Inc

    7,137       113  

CME Group Inc, Cl A

    18,643       4,022  

Employers Holdings Inc

    46,713       2,240  

Everest Group Ltd

    5,600       2,196  

Federated Hermes Inc, Cl B

    72,000       2,470  

Hanover Insurance Group Inc/The

    4,225       621  

Hartford Financial Services Group Inc/The

    59,500       6,908  

Loews Corp

    51,900       4,253  

Markel Group Inc *

    308       493  

Mercury General Corp

    6,965       461  

MetLife Inc

    25,700       1,991  

Northeast Bank

    1,048       74  

Northeast Community Bancorp Inc

    16,141       369  

OceanFirst Financial Corp

    73,400       1,312  

Old Republic International Corp

    137,100       4,918  

Palomar Holdings Inc, Cl A *

    982       97  

Popular Inc

    6,644       681  

Progressive Corp/The

    11,848       2,988  

Safety Insurance Group Inc

    3,373       299  

Selective Insurance Group Inc

    3,495       318  

Sixth Street Specialty Lending Inc

    104,200       2,213  

Skyward Specialty Insurance Group Inc *

    11,139       455  

Universal Insurance Holdings Inc

    14,982       320  

Unum Group

    2,269       126  

W R Berkley Corp

    20,018       1,195  

Western Union Co/The

    599,021       7,308  

Willis Towers Watson PLC

    23,270       6,797  
                 
              99,108  

Health Care — 17.8%

       

ACADIA Pharmaceuticals Inc *

    13,258       220  

Addus HomeCare Corp *

    2,560       341  

ADMA Biologics Inc *

    12,042       208  

Alkermes PLC *

    19,497       555  

Amgen Inc

    8,100       2,704  

Amphastar Pharmaceuticals Inc *

    2,717       132  

ANI Pharmaceuticals Inc *

    3,707       236  

Anika Therapeutics Inc *

    15,778       405  

Arcellx Inc *

    419       29  

Ardelyx Inc *

    10,047       62  

Boston Scientific Corp *

    3,040       249  

Bristol-Myers Squibb Co

    196,100       9,795  

Cardinal Health Inc

    75,524       8,513  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Catalyst Pharmaceuticals Inc *

    16,956     $ 343  

Cencora Inc

    27,418       6,569  

Cigna Group/The

    29,721       10,753  

Corcept Therapeutics Inc *

    3,423       121  

CVS Health Corp

    109,400       6,262  

Elevance Health Inc

    1,465       816  

Entrada Therapeutics Inc *

    1,654       29  

Exelixis Inc *

    219,937       5,725  

Gilead Sciences Inc

    121,607       9,607  

Haemonetics Corp *

    937       71  

Halozyme Therapeutics Inc *

    7,353       469  

Harmony Biosciences Holdings Inc *

    3,922       141  

HealthStream Inc

    15,342       446  

Hims & Hers Health Inc *

    9,665       142  

Hologic Inc *

    37,176       3,020  

Incyte Corp *

    106,086       6,966  

Innoviva Inc *

    17,797       345  

iRadimed Corp

    4,466       210  

Ironwood Pharmaceuticals Inc, Cl A *

    9,127       46  

Jazz Pharmaceuticals PLC *

    17,000       1,972  

Johnson & Johnson

    43,400       7,198  

Kiniksa Pharmaceuticals International Plc, Cl A *

    10,347       277  

Krystal Biotech Inc *

    1,145       223  

Lantheus Holdings Inc *

    1,458       155  

LeMaitre Vascular Inc

    1,353       122  

Ligand Pharmaceuticals Inc *

    686       73  

McKesson Corp

    17,781       9,977  

Medpace Holdings Inc *

    2,031       722  

Merck & Co Inc

    120,814       14,310  

Mesa Laboratories Inc

    1,080       144  

MiMedx Group Inc *

    31,513       216  

Myriad Genetics Inc *

    775       22  

National HealthCare Corp

    1,075       147  

Neurocrine Biosciences Inc *

    12,583       1,599  

Option Care Health Inc *

    5,776       185  

OraSure Technologies Inc *

    35,008       157  

Organon & Co

    28,260       632  

Pfizer Inc

    58,800       1,706  

Prestige Consumer Healthcare Inc *

    8,014       598  

Protagonist Therapeutics Inc *

    6,491       278  

Quest Diagnostics Inc

    11,300       1,774  

Quipt Home Medical Corp *

    2,637       8  

Regeneron Pharmaceuticals Inc *

    2,350       2,784  

SIGA Technologies Inc

    7,730       70  

Supernus Pharmaceuticals Inc *

    5,375       189  

Tactile Systems Technology Inc *

    6,918       95  

UFP Technologies Inc *

    966       330  

United Therapeutics Corp *

    22,595       8,214  

Utah Medical Products Inc

    272       18  

Vanda Pharmaceuticals Inc *

    34,363       182  

Vertex Pharmaceuticals Inc *

    4,602       2,282  

Viatris Inc

    251,000       3,032  

 

 

 

SEI Institutional Investments Trust

 

83

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

U.S. Managed Volatility Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Zynex Inc *

    2,336     $ 18  
                 
              135,239  

Industrials — 9.2%

       

ABM Industries Inc

    3,346       191  

Allison Transmission Holdings Inc

    65,100       6,038  

Argan Inc

    2,569       204  

Barrett Business Services Inc

    10,666       389  

CSG Systems International Inc

    87,200       4,231  

Cummins Inc

    12,700       3,973  

Donaldson Co Inc

    22,103       1,608  

EMCOR Group Inc

    10,263       4,034  

Enerpac Tool Group Corp, Cl A

    1,655       68  

Expeditors International of Washington Inc

    34,480       4,255  

FTI Consulting Inc *

    1,127       257  

General Dynamics Corp

    10,321       3,090  

Golden Ocean Group Ltd

    10,237       126  

Huntington Ingalls Industries Inc

    7,063       1,997  

Huron Consulting Group Inc *

    1,772       196  

Hyster-Yale Inc

    495       31  

IBEX Holdings Ltd *

    7,280       125  

Landstar System Inc

    12,975       2,369  

Leidos Holdings Inc

    15,178       2,406  

Lockheed Martin Corp

    16,841       9,567  

LSI Industries Inc

    10,029       160  

ManpowerGroup Inc

    23,190       1,714  

Maximus Inc

    2,526       233  

Miller Industries Inc/TN

    2,070       126  

Mueller Industries Inc

    322       23  

National Presto Industries Inc

    481       38  

Northrop Grumman Corp

    12,894       6,746  

PACCAR Inc

    47,700       4,588  

Republic Services Inc, Cl A

    2,917       607  

Snap-on Inc

    11,100       3,150  

Textron Inc

    42,100       3,840  

Trane Technologies PLC

    3,381       1,223  

Waste Management Inc

    9,720       2,061  
                 
              69,664  

Information Technology — 15.4%

       

A10 Networks Inc

    15,777       217  

ACI Worldwide Inc *

    5,409       272  

Akamai Technologies Inc *

    7,525       766  

Amdocs Ltd

    200,145       17,407  

Arrow Electronics Inc *

    38,100       5,147  

Avnet Inc

    95,600       5,275  

Box Inc, Cl A *

    3,207       105  

Canon Inc ADR

    165,400       5,681  

Cirrus Logic Inc *

    1,007       147  

Cisco Systems Inc

    218,300       11,033  

Cognizant Technology Solutions Corp, Cl A

    77,989       6,065  

CommVault Systems Inc *

    3,467       539  

Daktronics Inc *

    6,704       97  

Dell Technologies Inc, Cl C

    32,900       3,801  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Dropbox Inc, Cl A *

    117,800     $ 2,961  

F5 Inc *

    13,000       2,641  

Gartner Inc *

    8,730       4,295  

GoDaddy Inc, Cl A *

    24,813       4,154  

Hackett Group Inc/The

    6,716       178  

Hewlett Packard Enterprise Co

    418,900       8,114  

HP Inc

    151,000       5,463  

InterDigital Inc

    3,277       454  

International Business Machines Corp

    57,500       11,622  

Juniper Networks Inc

    58,000       2,255  

LiveRamp Holdings Inc *

    7,246       188  

Motorola Solutions Inc

    4,131       1,826  

NetApp Inc

    29,900       3,610  

NVE Corp

    1,671       140  

OneSpan Inc *

    2,040       33  

Ooma Inc *

    3,580       37  

Open Text Corp

    46,100       1,467  

Oracle Corp

    12,700       1,794  

OSI Systems Inc *

    148       22  

PC Connection Inc

    5,677       415  

Pegasystems Inc

    7,362       522  

Photronics Inc *

    947       24  

Progress Software Corp

    648       38  

Qorvo Inc *

    9,751       1,130  

QUALCOMM Inc

    7,557       1,325  

Qualys Inc *

    1,546       194  

Sapiens International Corp NV

    563       20  

Skyworks Solutions Inc

    6,714       736  

TD SYNNEX Corp

    33,700       4,092  

Teradata Corp *

    24,546       693  

Weave Communications Inc *

    2,496       28  
                 
              117,023  

Materials — 3.1%

       

Axalta Coating Systems Ltd *

    6,290       229  

Berry Global Group Inc

    25,900       1,783  

CF Industries Holdings Inc

    33,200       2,759  

Core Molding Technologies Inc *

    3,008       54  

Graphic Packaging Holding Co

    75,800       2,269  

LyondellBasell Industries NV, Cl A

    15,500       1,530  

NewMarket Corp

    11,523       6,611  

Packaging Corp of America

    11,770       2,466  

Royal Gold Inc

    9,487       1,330  

Silgan Holdings Inc

    11,749       614  

Sonoco Products Co

    60,600       3,428  

Southern Copper Corp

    4,982       507  
                 
              23,580  

Real Estate — 0.1%

       

Equity Commonwealth *

    23,356       474  

Forestar Group Inc *

    6,180       191  

RMR Group Inc/The, Cl A

    14,553       371  
                 
              1,036  

 

 

 

84

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

U.S. Managed Volatility Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Utilities — 5.0%

       

American Electric Power Co Inc

    32,200     $ 3,229  

American States Water Co

    5,329       434  

Avista Corp

    5,033       195  

Black Hills Corp

    2,891       171  

California Water Service Group

    9,892       547  

Consolidated Edison Inc

    5,619       571  

Consolidated Water Co Ltd

    11,801       328  

Edison International

    376       33  

Entergy Corp

    18,400       2,221  

Evergy Inc

    56,500       3,341  

Genie Energy Ltd, Cl B

    17,911       300  

National Fuel Gas Co

    131,437       7,855  

New Jersey Resources Corp

    4,216       195  

Northwest Natural Holding Co

    6,544       263  

NRG Energy Inc

    49,779       4,232  

ONE Gas Inc

    2,037       140  

Otter Tail Corp

    26,900       2,274  

PG&E Corp

    298,522       5,881  

Portland General Electric Co

    2,769       133  

PPL Corp

    79,700       2,543  

SJW Group

    5,561       328  

Southwest Gas Holdings Inc

    230       17  

Spire Inc

    6,373       420  

Unitil Corp

    516       31  

Vistra Corp

    23,900       2,042  
                 
              37,724  

Total Common Stock

               

(Cost $585,133) ($ Thousands)

            741,320  
                 

CASH EQUIVALENT — 1.9%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    14,702,590       14,703  

Total Cash Equivalent

               

(Cost $14,703) ($ Thousands)

            14,703  

Total Investments in Securities — 99.6%

               

(Cost $599,836) ($ Thousands)

  $ 756,023  
                 
                 

 

 
 

 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Long Contracts

                                       

S&P 500 Index E-MINI

    23       Sep-2024     $ 6,396     $ 6,510     $ 114  
                                         

 

 

 

SEI Institutional Investments Trust

 

85

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

U.S. Managed Volatility Fund (Concluded)

 

 

 

Percentages are based on Net Assets of $759,049 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

Real Estate Investment Trust.

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Daily Income Trust, Government Fund,
Institutional Class

  $ 14,439     $ 44,964     $ (44,700 )   $     $     $ 14,703     $ 183     $  

 

                                                               

 

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

86

 

SEI Institutional Investments Trust

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Global Managed Volatility Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 96.8%

Australia — 0.8%

ANZ Group Holdings Ltd

    145,300     $ 2,997  

Fortescue Ltd

    86,072       1,067  

Origin Energy Ltd

    52,436       354  

Rio Tinto Ltd

    146,415       11,082  
              15,500  
                 

Austria — 0.3%

ANDRITZ AG

    60,900       4,018  

Oberbank AG

    350       27  

Oesterreichische Post AG

    5,364       175  

Telekom Austria AG, Cl A

    38,558       379  

UNIQA Insurance Group AG

    127,457       1,092  
              5,691  
                 

Belgium — 0.4%

Ageas SA/NV

    88,500       4,557  

Colruyt Group N.V

    60,325       3,112  
              7,669  
                 

Canada — 3.3%

AltaGas Ltd

    118,100       3,025  

Atco Ltd/Canada, Cl I

    19,800       668  

Bank of Nova Scotia/The

    56,900       2,840  

Barrick Gold Corp

    171,360       3,460  

Canadian Imperial Bank of Commerce

    62,400       3,647  

Canadian Tire Corp Ltd, Cl A

    29,900       3,408  

CGI Inc, Cl A *

    19,500       2,197  

Cogeco Communications Inc

    58,200       2,788  

Empire Co Ltd, Cl Common Subs. Receipt

    358,180       9,987  

Enbridge

    36,825       1,480  

George Weston Ltd

    41,500       6,749  

Great-West Lifeco Inc, Cl Common Subs. Receipt

    78,800       2,590  

Kinross Gold Corp

    265,200       2,397  

Loblaw Cos Ltd

    86,520       11,291  

Manulife Financial Corp, Cl Common Subs. Receipt

    197,600       5,455  

Metro Inc/CN, Cl A

    48,257       3,031  

Quebecor Inc, Cl B

    102,800       2,553  
              67,566  
                 

China — 0.0%

Fountain SET Holdings Ltd

    174,279       13  
                 

Denmark — 0.3%

Danske Bank A/S

    125,483       3,922  

Novo Nordisk A/S, Cl B

    8,018       1,116  

Schouw & Co A/S

    5,145       443  
              5,481  
                 

Finland — 0.2%

Elisa Oyj, Cl A

    70,515       3,529  
                 

France — 2.8%

Boiron SA

    56       2  

Bouygues SA

    169,200       6,070  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Carrefour SA

    529,666     $ 8,548  

Danone SA

    43,983       3,057  

Engie SA

    259,219       4,571  

Guerbet

    1,186       46  

Legrand SA

    14,604       1,636  

Orange SA

    1,467,041       16,726  

Quadient

    7,664       147  

Societe BIC SA

    77,200       5,230  

TotalEnergies SE

    133,400       9,183  

Vivendi SE

    54,923       617  
              55,833  
                 

Germany — 0.7%

Adtran Networks

    929       20  

Allianz SE

    12,800       3,980  

Bayerische Motoren Werke AG

    45,600       4,231  

Deutsche Telekom AG

    89,100       2,535  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    4,900       2,654  
              13,420  
                 

Hong Kong — 1.4%

Chinney Investments Ltd

    88,000       8  

CK Asset Holdings Ltd

    360,000       1,456  

Dah Sing Banking Group Ltd

    55,711       48  

HK Electric Investments & HK Electric Investments Ltd

    1,627,000       1,105  

HKT Trust & HKT

    5,304,000       6,738  

Jardine Matheson Holdings Ltd

    43,300       1,561  

PCCW Ltd

    2,635,000       1,490  

Power Assets Holdings Ltd

    737,500       5,148  

SmarTone Telecommunications Holdings Ltd

    59,013       29  

Sun Hung Kai Properties Ltd

    239,000       2,342  

Swire Pacific Ltd, Cl A

    230,000       1,952  

Transport International Holdings Ltd

    13,200       14  

VTech Holdings

    62,233       405  

WH Group Ltd

    8,339,000       6,072  

Yue Yuen Industrial Holdings Ltd

    22        
              28,368  
                 

Israel — 1.1%

Check Point Software Technologies Ltd *

    85,880       16,532  

FIBI Holdings Ltd

    5,079       221  

First International Bank Of Israel Ltd/The

    9,892       409  

Ituran Location and Control

    5,080       143  

Nice Ltd *

    8,305       1,451  

Nova Ltd *

    1,384       309  

Radware Ltd *

    48,163       1,050  

Rami Levy Chain Stores Hashikma Marketing 2006 Ltd

    23,983       1,379  

Sapiens International Corp NV

    6,407       233  

Tower Semiconductor *

    32,553       1,439  
              23,166  
                 

 

 

 

SEI Institutional Investments Trust

 

87

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Global Managed Volatility Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Italy — 1.0%

A2A SpA

    2,477,500     $ 5,655  

Edison

    27,405       48  

Eni SpA

    866,200       14,069  

Ferretti

    18,800       57  
              19,829  
                 

Japan — 9.4%

Achilles Corp

    2,300       24  

Aeon Delight Co Ltd

    12,500       347  

Aeon Kyushu

    700       14  

Ahjikan Co Ltd

    5,308       42  

Aichi Electric Co Ltd

    1,000       30  

Aisin Corp

    87,400       3,052  

Alinco

    8,300       58  

Amano Corp

    34,500       1,037  

Anritsu Corp

    279,100       2,247  

Arcs Co Ltd

    59,100       1,034  

Artience

    1,600       41  

Asahi Co Ltd

    28,300       306  

Asante Inc

    10,000       114  

Autobacs Seven Co Ltd

    57,600       594  

Axial Retailing Inc

    24,600       161  

Belc Co Ltd

    5,200       224  

Belluna

    6,200       32  

Bridgestone Corp

    123,700       4,827  

Brother Industries Ltd

    291,700       5,410  

Canon Electronics Inc

    3,800       60  

Canon Inc

    242,100       8,342  

Cawachi Ltd

    34,400       637  

Central Japan Railway Co

    177,900       4,130  

Chubu Electric Power Co Inc

    535,100       6,685  

Chubu Shiryo Co Ltd

    3,100       33  

Citizen Watch Co Ltd

    407,900       2,633  

COLOPL Inc

    9,500       38  

Create Medic Co Ltd

    2,784       19  

Daito Trust Construction Co Ltd

    23,100       2,856  

Daiwa House Industry Co Ltd

    6,600       203  

Doshisha Co Ltd

    6,100       92  

Earth Corp

    31,000       1,126  

Ebara Foods Industry Inc

    1,600       31  

Eco's Co Ltd/Japan

    700       10  

Eiken Chemical Co Ltd

    5,100       80  

ENEOS Holdings Inc

    1,084,400       5,880  

ESTELLE Holdings Co Ltd

    6,000       26  

EXEO Group Inc

    6,200       67  

Ezaki Glico Co Ltd

    52,400       1,490  

FJ Next Holdings Co Ltd

    11,400       96  

Focus Systems

    3,900       32  

FTGroup

    3,900       32  

Fujicco Co Ltd

    11,100       128  

Fujiya Co Ltd

    2,100       38  

Fumakilla

    3,300       24  

Gakken Holdings Co Ltd

    39,100       273  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Gakkyusha Co Ltd

    6,100     $ 85  

Heiwado Co Ltd

    80,400       1,338  

Hogy Medical

    2,200       67  

Hokkaido Coca-Cola Bottling

    3,500       65  

Hokkan Holdings Ltd

    5,800       69  

Hokuto Corp

    24,700       319  

Honda Motor Co Ltd

    699,300       7,627  

House Foods Group Inc

    82,400       1,658  

Idemitsu Kosan Co Ltd

    271,200       1,972  

Inaba Seisakusho

    19,400       231  

ITOCHU Corp

    50,300       2,662  

Itochu Enex Co Ltd

    18,000       198  

Itochu-Shokuhin Co Ltd

    953       48  

Itoham Yonekyu Holdings Inc

    7,920       215  

Japan Tobacco Inc

    528,100       15,244  

J-Oil Mills Inc

    30,400       409  

JSP Corp

    26,800       375  

Kaken Pharmaceutical Co Ltd

    39,400       1,117  

Kakiyasu Honten Co Ltd

    10,200       186  

Kameda Seika Co Ltd

    1,800       55  

Kansai Electric Power Co Inc/The

    69,400       1,232  

Kato Sangyo Co Ltd

    12,700       368  

KDDI Corp

    96,200       3,245  

Kenko Mayonnaise

    3,400       57  

Kewpie Corp

    72,800       1,863  

Key Coffee Inc

    6,400       93  

Kirin Holdings Co Ltd

    67,800       1,026  

Kitano Construction Corp

    1,300       34  

Kobe Electric Railway Co Ltd

    1,500       28  

Komeri Co Ltd

    22,800       583  

K's Holdings Corp

    10,700       115  

Kuriyama Holdings

    8,700       73  

Kyorin Pharmaceutical Co Ltd

    24,100       269  

LAC Co Ltd

    6,600       36  

Lion Corp

    169,700       1,730  

Mandom Corp

    4,100       35  

Marudai Food Co Ltd

    1,300       16  

Maruzen Co Ltd/Taito ward

    1,000       21  

Marvelous Inc

    13,900       58  

McDonald's Holdings Co Japan Ltd

    41,300       1,818  

Megmilk Snow Brand Co Ltd

    63,600       1,155  

MEIJI Holdings Co Ltd

    91,500       2,279  

Ministop Co Ltd

    4,200       47  

Miroku Jyoho Service Co Ltd

    9,400       121  

Mitsubishi Chemical Group Corp

    52,400       305  

Mitsubishi Shokuhin Co Ltd

    7,400       268  

Mitsui DM Sugar Holdings Co Ltd

    5,900       131  

Miyoshi Oil & Fat Co Ltd

    11,518       125  

Mizuho Financial Group Inc

    471,200       9,738  

Mochida Pharmaceutical Co Ltd

    7,200       163  

Morinaga & Co Ltd/Japan

    33,400       631  

Morozoff Ltd

    3,622       113  

MS&AD Insurance Group Holdings Inc

    34,700       797  

 

 

 

88

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Global Managed Volatility Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Nagase Brothers

    2,000     $ 25  

NH Foods Ltd

    16,100       604  

Nihon Chouzai Co Ltd

    17,300       151  

Nihon Denkei Co Ltd

    2,500       32  

Nikko Co Ltd/Hyogo

    7,600       37  

Nintendo Co Ltd

    93,800       5,091  

Nippn Corp

    93,500       1,459  

Nippon Air Conditioning Services Co Ltd

    5,300       39  

Nippon Beet Sugar Manufacturing Co Ltd

    1,900       33  

Nippon Carbon Co Ltd

    10,800       327  

Nippon Ceramic Co Ltd

    19,800       342  

NIPPON EXPRESS HOLDINGS INC

    61,600       3,145  

Nippon Kanzai Holdings

    2,300       42  

Nippon Seisen Co Ltd

    2,000       15  

Nippon Telegraph & Telephone Corp

    3,155,000       3,374  

Nisshin Oillio Group Ltd/The

    14,049       499  

Nitto Denko Corp

    2,500       208  

Nitto Fuji Flour Milling

    700       34  

Nittoc Construction Co Ltd

    10,800       79  

Noevir Holdings

    15,100       589  

Oiles Corp

    6,500       95  

Okaya

    400       21  

Okinawa Cellular Telephone Co

    14,622       418  

Okuwa Co Ltd

    35,200       223  

Oracle Corp Japan

    11,900       1,076  

Osaka Gas Co Ltd

    67,100       1,656  

Otsuka Corp

    3,000       71  

OUG Holdings Inc

    2,682       48  

Ozu Corp

    2,400       27  

Pigeon Corp

    63,600       689  

Prima Meat Packers Ltd

    48,900       775  

Pro-Ship

    3,500       33  

Raito Kogyo Co Ltd

    40,900       611  

SAMTY HOLDINGS

    9,100       164  

San-A Co Ltd, Cl A

    97,400       1,692  

Sanki Engineering Co Ltd

    3,800       61  

Sanyo Chemical Industries Ltd

    21,600       596  

Seiko Epson Corp

    313,800       5,842  

Senko Group Holdings Co Ltd

    463,600       3,792  

SG Holdings Co Ltd

    28,200       306  

Shindengen Electric Manufacturing

    2,400       42  

Showa Sangyo Co Ltd

    33,100       689  

SK Kaken

    500       30  

SKY Perfect JSAT Holdings Inc

    378,000       2,227  

SoftBank Corp

    504,800       7,066  

Sojitz Corp

    293,900       7,014  

SRA Holdings

    8,100       245  

ST Corp

    5,400       58  

Step

    4,400       60  

Studio Alice Co Ltd

    5,900       82  

Sumitomo Electric Industries Ltd

    38,700       640  

Sundrug Co Ltd

    74,800       2,178  

Suzumo Machinery Co Ltd

    1,700       17  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Takamatsu Construction Group Co Ltd

    9,300     $ 190  

Takasago International Corp

    1,300       42  

Takeda Pharmaceutical Co Ltd

    64,100       1,908  

TKC Corp

    10,900       294  

TOKAI Holdings Corp

    95,300       648  

Tokyo Electric Power Co Holdings Inc *

    82,400       393  

Tokyo Individualized Educational Institute Inc

    11,500       32  

Torigoe

    5,400       26  

Trancom Co Ltd

    2,800       135  

Trend Micro Inc/Japan

    123,400       7,399  

Unicafe Inc

    9,700       63  

Unicharm Corp

    7,600       265  

United Super Markets Holdings Inc

    137,200       815  

Uoriki Co Ltd

    1,400       24  

Valor Holdings Co Ltd

    19,400       301  

Vital KSK Holdings Inc

    14,300       123  

Watahan

    2,200       27  

Wowow Inc

    10,676       80  

Yamaguchi Financial Group Inc

    365,000       4,219  

Yamaya Corp

    2,100       44  

Yaoko Co Ltd

    25,200       1,656  

Zaoh Co Ltd

    2,000       34  

Zenkoku Hosho Co Ltd

    6,100       246  

Zenrin Co Ltd

    33,100       199  

ZERIA Pharmaceutical Co Ltd

    7,100       113  
              191,113  
                 

Netherlands — 2.4%

Acomo NV

    1,372       27  

ASR Nederland NV

    48,900       2,395  

Koninklijke Ahold Delhaize NV

    774,702       26,635  

Koninklijke KPN NV

    1,677,050       6,855  

NN Group NV

    100,600       4,932  

Wolters Kluwer NV

    47,195       8,053  
              48,897  
                 

New Zealand — 0.0%

Channel Infrastructure NZ

    23,683       25  

Spark New Zealand Ltd

    233,806       525  
              550  
                 

Norway — 1.1%

AMSC ASA

    83,585       231  

DNB Bank ASA

    137,846       2,916  

Orkla ASA

    1,048,305       9,323  

Sparebank 1 Oestlandet

    17,298       236  

SpareBank 1 SMN

    47,223       700  

SpareBank 1 Sorost-Norge

    1,460       10  

Sparebanken More

    280       2  

Sparebanken Vest

    29,474       368  

Storebrand, Cl A

    55,596       601  

Telenor ASA

    609,329       7,565  

Veidekke ASA

    6,922       81  
              22,033  
                 

 

 

 

SEI Institutional Investments Trust

 

89

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Global Managed Volatility Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Portugal — 0.1%

Jeronimo Martins SGPS SA

    146,419     $ 2,713  

NOS SGPS SA

    36,350       145  
              2,858  
                 

Singapore — 1.6%

DBS Group Holdings Ltd

    105,020       2,929  

Jardine Cycle & Carriage Ltd

    226,586       4,810  

Oversea-Chinese Banking Corp Ltd

    936,100       10,449  

Sheng Siong Group Ltd

    1,456,233       1,687  

Singapore Exchange Ltd

    392,600       3,262  

United Overseas Bank Ltd

    355,100       8,552  
              31,689  
                 

Spain — 1.0%

Aena SME SA

    20,485       4,140  

Ebro Foods SA

    34,992       623  

Iberdrola SA

    22,446       319  

Logista Integral

    272,601       8,389  

Miquel y Costas & Miquel SA

    2,889       40  

Puig Brands, Cl B *

    25,480       715  

Redeia Corp SA

    210,927       4,011  

Repsol SA

    210,200       2,898  
              21,135  
                 

Sweden — 1.5%

Essity AB, Cl B

    258,093       7,853  

Industrivarden AB, Cl C

    49,479       1,780  

Svenska Handelsbanken AB, Cl A

    492,100       5,089  

Swedbank AB, Cl A

    334,500       7,166  

Telefonaktiebolaget LM Ericsson, Cl B

    101,624       759  

Volvo AB, Cl A

    53,484       1,443  

Volvo AB, Cl B

    274,635       7,311  
              31,401  
                 

Switzerland — 2.9%

ABB Ltd

    17,948       1,029  

Basellandschaftliche Kantonalbank

    120       120  

Berner Kantonalbank AG

    1,369       371  

Cie Financiere Tradition SA

    209       37  

Emmi AG

    335       349  

Galderma Group *

    45,428       4,407  

Givaudan SA

    1,372       7,044  

Graubuendner Kantonalbank

    13       26  

Investis Holding SA

    813       105  

Logitech International SA

    1,194       108  

Novartis AG

    279,394       33,628  

Sandoz Group AG

    34,420       1,513  

Schindler Holding AG

    5,535       1,534  

Swatch Group AG/The

    14,331       598  

Swisscom AG

    11,481       7,260  

Walliser Kantonalbank

    687       93  

Zug Estates Holding AG, Cl B

    34       73  
              58,295  
                 

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

United Kingdom — 4.3%

3i Group PLC

    54,900     $ 2,308  

Aferian PLC, Cl A *

    28,544       1  

BAE Systems PLC

    92,086       1,657  

Balfour Beatty

    1,071,100       5,898  

British American Tobacco PLC

    134,300       5,031  

CK Hutchison Holdings Ltd

    1,907,000       10,525  

Coca-Cola Europacific Partners PLC

    16,067       1,293  

HSBC Holdings PLC

    895,000       7,873  

Imperial Brands PLC

    424,262       12,186  

J Sainsbury PLC

    749,575       2,892  

Kingfisher PLC

    1,216,400       4,574  

Odfjell Technology

    214       1  

RELX PLC

    115,628       5,402  

Sage Group PLC/The

    592,274       7,892  

Spirent Communications PLC

    674,657       1,583  

Tesco PLC

    1,026,295       4,789  

Unilever PLC

    84,378       5,474  

Vodafone Group PLC

    7,124,134       6,988  
              86,367  
                 

United States — 60.2%

A O Smith Corp

    9,123       764  

Abbott Laboratories

    41,550       4,706  

AbbVie Inc

    20,495       4,023  

Aflac Inc

    27,600       3,046  

Allison Transmission Holdings Inc

    105,600       9,794  

Allstate Corp/The

    38,490       7,272  

Alphabet Inc, Cl A

    45,303       7,402  

Alphabet Inc, Cl C

    24,805       4,096  

Altria Group Inc

    341,424       18,358  

Amazon.com Inc *

    12,715       2,270  

Amdocs Ltd

    228,956       19,912  

AMETEK Inc

    23,767       4,065  

Amgen Inc

    11,100       3,706  

Amphenol Corp, Cl A

    62,987       4,249  

Apple Inc

    42,485       9,729  

AptarGroup Inc

    47,075       7,211  

Archer-Daniels-Midland Co

    100,900       6,154  

Arrow Electronics Inc *

    49,300       6,659  

AT&T Inc

    1,655,670       32,948  

Automatic Data Processing Inc

    18,705       5,161  

Avnet Inc

    64,600       3,565  

Bank of New York Mellon Corp/The

    306,268       20,894  

Becton Dickinson & Co

    3,219       780  

Berkshire Hathaway Inc, Cl B *

    27,205       12,947  

Berry Global Group Inc

    44,400       3,057  

Blue Owl Capital Corp

    302,500       4,586  

Box Inc, Cl A *

    64,395       2,099  

Bristol-Myers Squibb Co

    277,600       13,866  

CACI International Inc, Cl A *

    5,942       2,900  

Campbell Soup Co

    53,894       2,680  

Cardinal Health Inc

    5,962       672  

Casey's General Stores Inc

    1,231       446  

 

 

 

90

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Global Managed Volatility Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Cboe Global Markets Inc

    55,073     $ 11,312  

Cencora Inc

    40,194       9,629  

Centene Corp *

    76,388       6,022  

CH Robinson Worldwide Inc

    749       78  

Chemed Corp

    12,092       7,088  

Chevron Corp

    58,800       8,699  

Chipotle Mexican Grill Inc, Cl A *

    6,170       346  

Church & Dwight Co Inc

    85,469       8,708  

Cigna Group/The

    31,568       11,422  

Cintas Corp

    11,968       9,636  

Cirrus Logic Inc *

    6,057       882  

Cisco Systems Inc

    559,108       28,257  

Clorox Co/The

    47,862       7,577  

CME Group Inc, Cl A

    10,339       2,231  

Coca-Cola Co/The

    113,830       8,249  

Cognizant Technology Solutions Corp, Cl A

    50,200       3,904  

Colgate-Palmolive Co

    91,656       9,761  

Comcast Corp, Cl A

    615,974       24,374  

CommVault Systems Inc *

    45,263       7,034  

Conagra Brands Inc

    241,434       7,533  

Consolidated Edison Inc

    37,564       3,815  

Costco Wholesale Corp

    19,421       17,331  

CSG Systems International Inc

    46,100       2,237  

Cummins Inc

    10,100       3,160  

CVS Health Corp

    266,187       15,237  

Dell Technologies Inc, Cl C

    30,000       3,466  

Dolby Laboratories Inc, Cl A

    92,279       6,585  

Domino's Pizza Inc

    4,473       1,853  

Dropbox Inc, Cl A *

    104,924       2,638  

DT Midstream Inc

    28,882       2,270  

eBay Inc

    99,999       5,910  

Ecolab Inc

    33,900       8,583  

Electronic Arts Inc

    120,461       18,288  

EMCOR Group Inc

    4,643       1,825  

Entergy Corp

    36,200       4,369  

Everest Group Ltd

    9,981       3,915  

Evergy Inc

    61,200       3,619  

Exelixis Inc *

    152,900       3,980  

Expeditors International of Washington Inc

    29,710       3,667  

Exxon Mobil Corp

    98,400       11,605  

F5 Inc *

    78,557       15,959  

Ford Motor Co

    233,500       2,613  

Fox Corp

    42,699       1,754  

Gen Digital Inc

    221,100       5,850  

General Dynamics Corp

    12,206       3,654  

General Mills Inc

    147,694       10,677  

General Motors Co

    67,700       3,370  

Gilead Sciences Inc

    209,544       16,554  

Golub Capital BDC Inc

    92,718       1,381  

Graco Inc

    31,640       2,637  

Grand Canyon Education Inc *

    11,800       1,711  

Graphic Packaging Holding Co

    109,400       3,274  

GSK PLC

    912,254       19,883  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Haleon PLC

    444,363     $ 2,240  

Hartford Financial Services Group Inc/The

    96,300       11,180  

HealthStream Inc

    2,335       68  

Hewlett Packard Enterprise Co

    348,800       6,756  

Hologic Inc *

    22,597       1,836  

HP Inc

    201,500       7,290  

Huntington Ingalls Industries Inc

    14,221       4,021  

Incyte Corp *

    182,400       11,976  

Ingredion Inc

    75,808       10,182  

Intercontinental Exchange Inc

    2,234       361  

International Business Machines Corp

    146,762       29,665  

Johnson & Johnson

    180,749       29,979  

Kellanova

    100,935       8,136  

Kimberly-Clark Corp

    121,471       17,572  

Kinder Morgan Inc

    217,800       4,698  

Kraft Heinz Co/The

    411,977       14,596  

Kroger Co/The

    309,900       16,490  

Leidos Holdings Inc

    49,332       7,820  

Lockheed Martin Corp

    35,309       20,059  

Loews Corp

    64,100       5,252  

Marsh & McLennan Cos Inc

    42,564       9,684  

Mastercard Inc, Cl A

    94       45  

McKesson Corp

    23,090       12,955  

Medtronic PLC

    42,034       3,723  

Merck & Co Inc

    176,477       20,904  

Meta Platforms Inc, Cl A

    6,092       3,176  

Microsoft Corp

    20,872       8,707  

Molina Healthcare Inc *

    6,171       2,159  

Molson Coors Beverage Co, Cl B

    281,822       15,210  

Mondelez International Inc, Cl A

    50,878       3,654  

Moody's Corp

    1,565       763  

Motorola Solutions Inc

    22,279       9,848  

Murphy USA Inc

    6,400       3,326  

National Fuel Gas Co

    98,400       5,880  

NetApp Inc

    64,484       7,785  

Neurocrine Biosciences Inc *

    19,448       2,471  

NewMarket Corp

    13,000       7,459  

Northrop Grumman Corp

    12,170       6,368  

NRG Energy Inc

    26,460       2,249  

Nuveen Churchill Direct Lending

    5,386       96  

NVIDIA Corp

    65,560       7,826  

Old Republic International Corp

    157,400       5,646  

Oracle Corp

    27,700       3,914  

Organon & Co

    30,990       693  

PACCAR Inc

    124,850       12,008  

PepsiCo Inc

    25,945       4,485  

Pfizer Inc

    129,900       3,768  

Philip Morris International Inc

    69,259       8,539  

Procter & Gamble Co/The

    86,696       14,872  

Progressive Corp/The

    41,379       10,436  

Provident Financial Holdings Inc

    2,655       37  

Regeneron Pharmaceuticals Inc *

    5,250       6,220  

Reliance Inc

    4,480       1,284  

 

 

 

SEI Institutional Investments Trust

 

91

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Global Managed Volatility Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Republic Services Inc, Cl A

    58,331     $ 12,145  

Reynolds Consumer Products Inc

    28,529       899  

Roche Holding AG

    33,403       11,416  

Roper Technologies Inc

    12,140       6,731  

Royal Gold Inc

    31,622       4,432  

Royalty Pharma PLC, Cl A

    37,936       1,101  

RPM International Inc

    8,921       1,037  

Sanmina Corp *

    52,000       3,608  

Sanofi SA

    60,100       6,732  

Service Corp International/US

    4,415       346  

Shell PLC

    255,207       9,052  

Sonoco Products Co

    51,900       2,936  

SS&C Technologies Holdings Inc

    6,612       497  

Stryker Corp

    406       146  

TD SYNNEX Corp

    37,800       4,590  

TE Connectivity Ltd

    23,914       3,673  

TEGNA Inc

    302,600       4,200  

T-Mobile US Inc

    66,219       13,159  

TXNM Energy

    8,010       328  

Tyson Foods Inc, Cl A

    27,077       1,741  

UL Solutions Inc, Cl A

    57,114       3,115  

United Therapeutics Corp *

    33,207       12,072  

Veeva Systems Inc, Cl A *

    6,577       1,424  

Veralto Corp

    18,039       2,028  

Verisk Analytics Inc, Cl A

    2,782       759  

Verizon Communications Inc

    955,441       39,918  

Viatris Inc

    147,050       1,776  

Walmart Inc

    160,537       12,398  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Waste Connections Inc

    28,808     $ 5,373  

Waste Management Inc

    35,324       7,490  

Western Union Co/The

    535,000       6,527  

Willis Towers Watson PLC

    18,896       5,520  

WK Kellogg Co

    27,325       469  
              1,220,434  
                 

Total Common Stock

               

(Cost $1,726,920) ($ Thousands)

            1,960,837  
                 

PREFERRED STOCK — 0.7%

Germany — 0.7%

Bayerische Motoren Werke AG, 6.320%

    10,186       882  

Henkel AG & Co KGaA (A)

    148,745       13,626  
                 

Total Preferred Stock

               

(Cost $12,498) ($ Thousands)

            14,508  
                 
                 

CASH EQUIVALENT — 1.7%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    34,542,980       34,543  

Total Cash Equivalent

               

(Cost $34,543) ($ Thousands)

            34,543  

Total Investments in Securities — 99.2%

               

(Cost $1,773,961) ($ Thousands)

  $ 2,009,888  
                 
                 

 

 
 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Long Contracts

                                       

Euro STOXX 50

    31       Sep-2024     $ 1,696     $ 1,706     $ 20  

FTSE 100 Index

    11       Sep-2024       1,216       1,212       3  

Hang Seng Index

    7       Sep-2024       793       805       12  

S&P 500 Index E-MINI

    35       Sep-2024       9,877       9,907       30  

SPI 200 Index

    12       Sep-2024       1,629       1,638       10  

TOPIX Index

    9       Sep-2024       1,654       1,679       28  
                    $ 16,865     $ 16,947     $ 103  

 

A list of the open forward foreign currency contracts held by the Fund at August 31, 2024, is as follows:

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

Barclays PLC

    09/16/24       EUR       91,664       USD       101,174     $ (359 )

Barclays PLC

    09/16/24       NOK       111,931       USD       10,498       (74 )

Barclays PLC

    09/16/24       SEK       157,951       USD       15,209       (229 )

BNP Paribas

    09/16/24       NZD       2,123       USD       1,278       (49 )

BNP Paribas

    09/16/24       DKK       45,781       USD       6,774       (26 )

Brown Brothers Harriman

    09/16/24       USD       33       NZD       54       1  

 

 

 

92

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Global Managed Volatility Fund (Continued)

 

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

Brown Brothers Harriman

    09/16/24       USD       39       NZD       62     $  

Brown Brothers Harriman

    09/16/24       NZD       86       USD       52       (2 )

Brown Brothers Harriman

    09/16/24       USD       58       DKK       390        

Brown Brothers Harriman

    09/16/24       USD       192       DKK       1,290        

Brown Brothers Harriman

    09/16/24       USD       204       AUD       303       1  

Brown Brothers Harriman

    09/16/24       USD       253       AUD       373        

Brown Brothers Harriman

    09/16/24       USD       16       HKD       122        

Brown Brothers Harriman

    09/16/24       USD       491       HKD       3,825        

Brown Brothers Harriman

    09/16/24       AUD       22       USD       15        

Brown Brothers Harriman

    09/16/24       AUD       536       USD       359       (5 )

Brown Brothers Harriman

    09/16/24       USD       75       NOK       799       1  

Brown Brothers Harriman

    09/16/24       USD       499       NOK       5,248       (3 )

Brown Brothers Harriman

    09/16/24       USD       628       SGD       817        

Brown Brothers Harriman

    09/16/24       USD       595       SEK       6,122       3  

Brown Brothers Harriman

    09/16/24       USD       169       SEK       1,728        

Brown Brothers Harriman

    09/16/24       SGD       201       USD       154        

Brown Brothers Harriman

    09/16/24       SGD       729       USD       556       (4 )

Brown Brothers Harriman

    09/16/24       CHF       221       USD       263       1  

Brown Brothers Harriman

    09/16/24       CHF       856       USD       990       (21 )

Brown Brothers Harriman

    09/16/24       USD       1,007       CHF       855       3  

Brown Brothers Harriman

    09/16/24       USD       318       CHF       269       (1 )

Brown Brothers Harriman

    09/16/24       GBP       462       USD       610       3  

Brown Brothers Harriman

    09/16/24       GBP       893       USD       1,154       (20 )

Brown Brothers Harriman

    09/16/24       USD       490       CAD       664       2  

Brown Brothers Harriman

    09/16/24       USD       1,001       CAD       1,348        

Brown Brothers Harriman

    09/16/24       CAD       392       USD       291        

Brown Brothers Harriman

    09/16/24       CAD       1,588       USD       1,162       (17 )

Brown Brothers Harriman

    09/16/24       DKK       1,083       USD       162       1  

Brown Brothers Harriman

    09/16/24       DKK       925       USD       136       (1 )

Brown Brothers Harriman

    09/16/24       USD       367       GBP       282       3  

Brown Brothers Harriman

    09/16/24       USD       1,763       GBP       1,339       (3 )

Brown Brothers Harriman

    09/16/24       USD       337       EUR       305       1  

Brown Brothers Harriman

    09/16/24       USD       3,369       EUR       3,033       (9 )

Brown Brothers Harriman

    09/16/24       EUR       2,207       USD       2,461       17  

Brown Brothers Harriman

    09/16/24       EUR       1,848       USD       2,033       (14 )

Brown Brothers Harriman

    09/16/24       NOK       2,615       USD       248       1  

Brown Brothers Harriman

    09/16/24       NOK       3,546       USD       332       (4 )

Brown Brothers Harriman

    09/16/24       HKD       6,186       USD       794       1  

Brown Brothers Harriman

    09/16/24       HKD       417       USD       53        

Brown Brothers Harriman

    09/16/24       SEK       2,720       USD       267       1  

Brown Brothers Harriman

    09/16/24       SEK       4,187       USD       399       (10 )

Brown Brothers Harriman

    09/17/24       USD       760       JPY       110,760       3  

Brown Brothers Harriman

    09/17/24       USD       2,562       JPY       371,247       (6 )

Brown Brothers Harriman

    09/17/24       JPY       139,520       USD       966       5  

Brown Brothers Harriman

    09/17/24       JPY       432,776       USD       2,934       (46 )

Standard Chartered

    09/16/24       GBP       41,936       USD       53,876       (1,241 )

Standard Chartered

    09/16/24       HKD       136,251       USD       17,514       34  

Standard Chartered

    09/17/24       JPY       12,479,452       USD       85,363       (562 )

Westpac Banking

    09/16/24       AUD       13,916       USD       9,240       (204 )

Westpac Banking

    09/16/24       SGD       21,794       USD       16,591       (148 )

 

 

 

SEI Institutional Investments Trust

 

93

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Global Managed Volatility Fund (Concluded)

 

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

Westpac Banking

    09/16/24       CHF       32,497       USD       37,823     $ (555 )

Westpac Banking

    09/16/24       CAD       52,687       USD       38,479       (636 )
                                            $ (4,167 )

 

 

Percentages are based on Net Assets of $2,025,781 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

(A)

No interest rate available.

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Liquidity Fund, LP

  $ 13,765     $ 3     $ (13,742 )   $     $ (26 )   $     $ 14     $  

SEI Daily Income Trust, Government Fund,
Institutional Class

    15,279       137,591       (118,327 )                 34,543       356        

Totals

  $ 29,044     $ 137,594     $ (132,069 )   $     $ (26 )   $ 34,543     $ 370     $  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

94

 

SEI Institutional Investments Trust

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 95.1%

Australia — 2.3%

ANZ Group Holdings Ltd

    609,655     $ 12,575  

Aristocrat Leisure Ltd

    689,260       25,586  

Aurelia Metals Ltd *

    381,151       40  

BlueScope Steel Ltd

    1,473,704       20,658  

Brambles Ltd

    282,865       3,499  

CAR Group Ltd

    42,381       1,089  

Cochlear Ltd

    29,604       6,033  

Commonwealth Bank of Australia

    54,345       5,144  

Computershare Ltd

    1,322,122       25,503  

DroneShield Ltd *

    764,899       688  

EBOS Group Ltd

    67,943       1,488  

Evolution Mining Ltd

    207,552       597  

Gold Road Resources Ltd

    848,497       936  

Goodman Group

    223,384       5,062  

Medibank Pvt Ltd

    525,797       1,377  

National Australia Bank Ltd

    165,860       4,295  

NEXTDC Ltd *

    363,232       4,177  

Orica Ltd

    123,060       1,483  

Pro Medicus Ltd

    146,353       14,965  

Qube Holdings Ltd

    711,713       1,864  

REA Group Ltd

    1,301       193  

Red 5 Ltd *

    4,851,006       1,119  

Reece Ltd

    102,043       1,893  

Rio Tinto Ltd

    445,000       33,681  

Sigma Healthcare Ltd

    1,117,269       955  

Westpac Banking Corp

    115,122       2,440  

Whitehaven Coal Ltd

    540,205       2,452  
              179,792  
                 

Austria — 0.1%

CA Immobilien Anlagen AG

    28,962       1,019  

Erste Group Bank AG

    131,787       7,222  

Palfinger AG

    1,123       27  

Raiffeisen Bank International AG

    163,914       3,250  
              11,518  
                 

Belgium — 0.6%

Anheuser-Busch InBev SA/NV

    271,397       16,613  

Colruyt Group N.V

    33,026       1,703  

KBC Group NV

    80,068       6,234  

Lotus Bakeries NV

    85       1,071  

Syensqo SA

    214,956       17,702  

Titan Cement International SA

    1,584       57  

UCB SA

    3,073       557  
              43,937  
                 

Brazil — 2.0%

Ambev SA

    10,789,400       24,481  

Banco BTG Pactual SA

    283,200       1,771  

Banco do Brasil SA

    10,203,100       50,589  

Banco Santander Brasil SA ADR

    46,358       260  

Cia de Saneamento Basico do Estado de Sao Paulo SABESP

    115,900       1,928  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Cia de Saneamento de Minas Gerais Copasa MG

    34,800     $ 144  

Cia De Sanena Do Parana

    233,700       1,180  

Gerdau SA ADR

    718,955       2,344  

JBS S/A

    422,900       2,598  

NU Holdings Ltd/Cayman Islands, Cl A *

    249,760       3,739  

Pagseguro Digital Ltd, Cl A *

    98,064       1,086  

Petroleo Brasileiro SA ADR

    496,980       7,569  

Telefonica Brasil SA

    4,200,000       38,534  

TOTVS SA

    3,575,200       18,876  

Ultrapar Participacoes SA

    452,100       1,865  

VTEX, Cl A *

    11,399       80  

Wheaton Precious Metals Corp

    27,567       1,704  
              158,748  
                 

Burkina Faso — 0.0%

IAMGOLD Corp *

    241,172       1,192  
                 

Canada — 4.1%

ADENTRA Inc

    6,512       198  

Aecon Group Inc

    23,343       320  

Agnico Eagle Mines Limited/Mines Agnico Eagle Limitee

    80,781       6,581  

Alamos Gold Inc, Cl A

    153,122       2,952  

Aritzia Inc *

    4,900       168  

Atco Ltd/Canada, Cl I

    60,808       2,051  

Athabasca Oil Corp *

    321,062       1,291  

Barrick Gold Corp

    2,000,000       40,378  

Brookfield Corp, Cl A

    55,875       2,811  

BRP Inc

    265,744       19,272  

Calfrac Well Services Ltd *

    14,470       44  

Canadian Imperial Bank of Commerce

    318,206       18,595  

Cargojet Inc

    12,033       1,194  

Cascades Inc

    30,453       209  

CCL Industries Inc, Cl B

    48,608       2,779  

Celestica Inc *

    150,305       7,653  

Cenovus Energy Inc

    129,400       2,399  

Centerra Gold Inc

    320,917       2,274  

CES Energy Solutions Corp

    239,803       1,423  

Cogeco Inc

    1,976       79  

Constellation Software (A)

    2,560        

Constellation Software Inc/Canada

    1,567       5,117  

Coveo Solutions Inc *

    19,580       92  

Dollarama Inc

    455,194       46,102  

Dundee Precious Metals Inc

    339,100       3,304  

E-L Financial Corp Ltd

    100       104  

Element Fleet Management Corp

    128,915       2,673  

Empire Co Ltd, Cl A

    104,200       2,905  

Enerflex Ltd

    17,800       105  

Enghouse Systems Ltd

    54,897       1,197  

Evertz Technologies Ltd

    2,800       28  

Fairfax Financial Holdings Ltd

    1,600       1,931  

Fortuna Mining Corp *

    161,698       745  

Galiano Gold Inc *

    88,300       128  

 

 

 

SEI Institutional Investments Trust

 

95

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

George Weston Ltd

    34,500     $ 5,611  

Great-West Lifeco Inc

    119,624       3,932  

Hammond Power Solutions Inc, Cl A

    13,308       1,237  

Hudbay Minerals Inc

    138,464       1,130  

Hydro One Ltd

    34,328       1,167  

iA Financial Corp Inc

    108,225       8,318  

Intact Financial Corp

    6,146       1,157  

Jaguar Mining Inc *

    12,300       43  

Keyera Corp

    43,322       1,298  

Kinross Gold Corp

    319,154       2,884  

Leon's Furniture Ltd

    2,292       50  

Magna International Inc, Cl A

    651,080       27,363  

Manulife Financial Corp

    798,662       22,050  

Martinrea International Inc

    32,475       280  

MEG Energy Corp *

    45,400       904  

Mullen Group Ltd

    13,738       145  

National Bank of Canada

    41,055       3,762  

North West Co Inc/The

    14,729       499  

Onex Corp

    5,921       418  

Paramount Resources Ltd, Cl A

    7,824       161  

Pason Systems Inc

    92,947       987  

Pembina Pipeline Corp

    60,344       2,431  

RB Global Inc

    11,905       1,026  

Secure Energy Services Inc

    358,447       3,301  

Shopify Inc, Cl A *

    20,465       1,516  

Softchoice Corp

    300       5  

Sprott Inc

    2,700       110  

SSR Mining Inc

    111,409       578  

Stella-Jones Inc

    29,542       2,034  

TC Energy Corp

    72,161       3,342  

Thomson Reuters Corp

    41,993       7,192  

TMX Group Ltd

    482,002       15,375  

Torex Gold Resources Inc *

    34,400       664  

Toromont Industries Ltd

    289,062       25,881  

Toronto-Dominion Bank/The

    62,568       3,749  

TransAlta Corp

    104,505       920  

Victoria Gold Corp/Vancouver *

    1,652        

Vitalhub Corp *

    7,366       44  

Winpak Ltd

    2,000       68  
              328,734  
                 

Chile — 0.0%

Banco de Chile

    19,015,956       2,398  
                 

China — 4.9%

Agricultural Bank of China Ltd, Cl H

    42,599,000       18,841  

Alibaba Group Holding Ltd

    3,918,200       40,913  

Alibaba Group Holding Ltd ADR

    24,724       2,061  

Aluminum Corp of China Ltd, Cl H

    1,646,000       1,032  

Anker Innovations Technology Co Ltd, Cl A

    110,370       982  

ANTA Sports Products Ltd

    161,200       1,587  

APT Medical Inc, Cl A

    19,800       964  

Autohome Inc ADR

    15,425       388  

Baidu Inc, Cl A *

    1,237,100       13,155  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Beijing Roborock Technology Co Ltd, Cl A

    31,080     $ 993  

Bilibili Inc, Cl Z *

    29,740       437  

Bosideng International Holdings Ltd

    2,720,000       1,336  

BYD Co Ltd, Cl H

    35,000       1,082  

BYD Electronic International Co Ltd

    241,000       887  

C&D Property Management Group Co Ltd

    77,998       25  

Capital Securities Co Ltd, Cl A

    372,900       1,017  

CGN Power Co Ltd, Cl H

    4,580,000       1,867  

China Coal Energy Co Ltd, Cl H

    1,741,645       2,081  

China Construction Bank Corp, Cl H

    58,221,000       41,200  

China Leon Inspection Holding Ltd

    136,400       23  

China Merchants Bank Co Ltd, Cl H

    2,786,000       11,554  

China Minsheng Banking Corp Ltd, Cl H

    3,148,500       1,134  

China Overseas Land & Investment Ltd

    18,012,500       28,588  

China Taiping Insurance Holdings Co Ltd

    734,800       953  

Chongqing Rural Commercial Bank Co Ltd, Cl H

    492,267       240  

COSCO SHIPPING Holdings Co Ltd, Cl H

    368,000       505  

Dong-E-E-Jiao Co Ltd, Cl A

    166,766       1,173  

Eastroc Beverage Group Co Ltd, Cl A

    83,600       2,688  

Edvantage Group Holdings Ltd

    263,211       75  

FIH Mobile Ltd *

    597,000       63  

GF Securities Co Ltd, Cl H

    6,700,600       5,369  

Haier Smart Home Co Ltd, Cl A

    7,977,000       24,595  

Hello Group Inc ADR

    45,030       299  

Hisense Home Appliances Group Co Ltd, Cl H

    355,810       921  

HUTCHMED China Ltd *

    271,000       964  

Industrial & Commercial Bank of China Ltd, Cl H

    15,942,000       9,176  

Inner Mongolia Furui Medical Science Co Ltd, Cl A *

    195,797       1,166  

Inner Mongolia Xingye Silver&Tin Mining Co Ltd, Cl A

    710,600       1,158  

Innovent Biologics Inc *

    165,500       901  

JD.com Inc, Cl A

    398,950       5,483  

JOYY Inc ADR

    113,942       3,919  

Kuaishou Technology, Cl B *

    1,798,000       9,289  

Kunlun Energy Co Ltd

    192,000       192  

Kweichow Moutai Co Ltd, Cl A

    11,600       2,362  

Lee & Man Chemical Co Ltd

    26,966       12  

Lenovo Group Ltd

    8,910,000       10,954  

Lonking Holdings Ltd

    114,756       21  

Luzhou Laojiao Co Ltd, Cl A

    48,800       821  

Meituan, Cl B *

    135,400       2,052  

Midea Group Co Ltd, Cl A

    107,300       980  

NetDragon Websoft Holdings Ltd

    179,260       242  

NetEase Inc

    37,700       617  

Nongfu Spring Co Ltd, Cl H

    492,200       1,792  

PDD Holdings Inc ADR *

    109,823       10,555  

PetroChina Co Ltd, Cl H

    28,218,320       25,576  

Shanghai Allist Pharmaceuticals Co Ltd, Cl A

    171,672       1,182  

 

 

 

96

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Shenyang Xingqi Pharmaceutical Co Ltd, Cl A

    83,800     $ 1,018  

Sinopec Kantons Holdings Ltd

    37,686       21  

Sinotruk Hong Kong Ltd

    147,500       369  

SITC International Holdings Co Ltd

    1,086,670       2,555  

TCL Electronics Holdings Ltd

    258,000       154  

Tencent Holdings Ltd

    883,000       43,242  

Tencent Music Entertainment Group ADR

    343,530       3,586  

Tonghua Golden-Horse Pharmaceutical Industry Co Ltd, Cl A *

    602,900       1,360  

Trip.com Group Ltd *

    24,400       1,158  

Vipshop Holdings Ltd ADR

    684,540       8,584  

Weichai Power Co Ltd, Cl H

    12,139,000       18,581  

Xiaomi Corp, Cl B *

    1,149,200       2,873  

Xinfengming Group Co Ltd, Cl A

    727,355       1,113  

Xinyi Glass Holdings Ltd

    109,139       99  

Yangzijiang Shipbuilding Holdings Ltd

    2,075,800       3,965  

Zhejiang Akcome New Energy Technology Co Ltd *

    3,175,100       166  

Zhejiang Wanfeng Auto Wheel Co Ltd, Cl A

    716,700       1,346  
              388,632  
                 

Colombia — 0.0%

Aris Mining Corp *

    7,400       34  
                 

Czech Republic — 0.0%

Komercni Banka AS

    2,280       77  
                 

Denmark — 2.9%

ALK-Abello A/S *

    52,362       1,391  

AP Moller - Maersk A/S, Cl B

    32,667       48,793  

Coloplast A/S, Cl B

    191,943       26,211  

Danske Bank A/S

    484,727       15,149  

Demant A/S *

    17,016       721  

DSV A/S

    41,575       7,434  

Genmab A/S *

    19,039       5,293  

NKT A/S *

    10,283       980  

Novo Nordisk A/S ADR

    16       2  

Novo Nordisk A/S, Cl B

    640,522       89,169  

Novonesis (Novozymes) B, Cl B

    16,662       1,157  

Pandora A/S

    137,236       24,052  

ROCKWOOL A/S, Cl B

    18,737       8,130  

Sparekassen Sjaelland-Fyn A/S

    1,153       37  
              228,519  
                 

Finland — 1.5%

Cargotec Oyj, Cl B

    18,126       957  

Kalmar Oyj, Cl B *

    2,389       68  

Kemira Oyj

    42,468       1,043  

Kone Oyj, Cl B

    217,986       11,775  

Nokia Oyj

    20,180,920       88,862  

Nokia Oyj ADR

    1,366,922       6,096  

Nordea Bank Abp

    231,327       2,735  

Revenio Group Oyj

    1,000       37  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Wartsila OYJ Abp, Cl B

    248,677     $ 5,511  
              117,084  
                 

France — 7.5%

Accor SA

    381,477       16,075  

Air Liquide SA

    106,483       19,887  

Amundi SA

    424,413       31,945  

Assystem SA

    3,787       215  

BNP Paribas SA

    38,311       2,654  

Bureau Veritas SA

    12,256       405  

Carrefour SA

    2,400,000       38,733  

Cie de Saint-Gobain SA

    3,965       347  

Cie des Alpes

    5,066       78  

Cie Generale des Etablissements Michelin SCA

    819,016       32,192  

Criteo SA ADR *

    55,976       2,655  

Danone SA

    863,574       60,030  

Dassault Aviation SA

    222,096       47,890  

Engie SA

    418,779       7,384  

Eurazeo SE

    23,489       1,854  

Gaztransport Et Technigaz SA

    4,860       717  

Ipsen SA

    51,269       6,225  

Kering SA

    20,777       5,957  

La Francaise des Jeux SAEM

    17,601       719  

Legrand SA

    241,674       27,072  

LVMH Moet Hennessy Louis Vuitton SE

    68,481       51,113  

Nexans SA

    4,541       587  

Pernod Ricard SA

    150,530       21,461  

Publicis Groupe SA

    144,468       15,899  

Rexel SA

    1,361,481       34,421  

Rubis SCA

    2,430       78  

Sanofi SA

    796,022       89,169  

Seche Environnement SACA

    334       36  

Societe BIC SA

    415,000       28,113  

Societe LDC SADIR

    96       15  

Sodexo SA

    176,220       15,702  

Teleperformance SE

    352,677       38,593  

Ubisoft Entertainment SA *

    28,988       552  

Wavestone

    447       28  

Wendel SE

    4,786       486  
              599,287  
                 

Germany — 6.1%

adidas AG

    60,978       15,659  

BASF SE

    834,355       42,345  

Bayer AG

    2,304,429       71,078  

Continental AG

    935,640       63,258  

Covestro AG *

    838,895       51,443  

CTS Eventim AG & Co KGaA

    32,385       3,043  

Daimler Truck Holding AG

    950,999       36,485  

Deutsche Boerse AG

    27,836       6,252  

Duerr AG

    7,262       159  

DWS Group GmbH & Co KGaA

    38,073       1,472  

E.ON SE

    205,511       2,914  

 

 

 

SEI Institutional Investments Trust

 

97

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Evonik Industries AG

    104,169     $ 2,312  

Fresenius Medical Care AG

    632,891       24,421  

FUCHS SE *

    6,556       225  

Heidelberg Materials AG

    179,516       19,008  

HOCHTIEF AG

    36,041       4,412  

Knorr-Bremse AG

    220,964       18,185  

Krones AG

    2,291       314  

Merck KGaA

    13,576       2,643  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    17,497       9,477  

Nemetschek SE

    24,090       2,513  

Rational AG

    4,327       4,366  

Rheinmetall AG

    3,229       1,937  

SAP SE

    311,129       68,093  

Scout24 SE

    308,890       23,626  

Siemens Energy AG *

    44,827       1,293  

SUSS MicroTec SE

    25,474       1,638  

Talanx AG

    22,361       1,927  

Traton SE

    119,276       3,948  

Vossloh AG

    1,225       65  
              484,511  
                 

Greece — 0.0%

Eurobank Ergasias Services and Holdings SA

    376,057       859  

National Bank of Greece SA

    158,346       1,377  

StealthGas Inc *

    1,595       10  
              2,246  
                 

Guatemala — 0.0%

Millicom International Cellular SA *

    42,621       1,095  
                 

Hong Kong — 1.6%

AIA Group Ltd

    8,152,200       57,951  

Bank of East Asia Ltd/The

    20,516       26  

Chaoda Modern Agriculture Holdings Ltd *

    52,790        

Comba Telecom Systems Holdings Ltd

    12,000       2  

Hang Seng Bank Ltd

    144,000       1,741  

Hong Kong Exchanges & Clearing Ltd

    756,200       23,305  

Perennial Energy Holdings Ltd

    226,998       33  

Pou Sheng International Holdings Ltd

    348,000       26  

Swire Pacific Ltd, Cl A

    4,400,000       37,342  

Techtronic Industries Co Ltd

    334,000       4,500  

United Laboratories International Holdings Ltd/The

    332,000       380  
              125,306  
                 

Hungary — 0.3%

Magyar Telekom Telecommunications PLC

    12,744       37  

MOL Hungarian Oil & Gas PLC

    86,492       657  

OTP Bank Nyrt

    392,451       20,240  
              20,934  
                 

India — 1.9%

ABB India Ltd

    11,028       1,043  

Adani Power Ltd *

    175,445       1,322  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Ahluwalia Contracts India Ltd

    1,606     $ 25  

Alembic Pharmaceuticals Ltd

    2,303       29  

Alkem Laboratories Ltd

    14,854       1,093  

Angel One Ltd

    4,103       127  

Aurobindo Pharma Ltd

    100,255       1,876  

Bajaj Auto Ltd

    10,795       1,402  

Bharat Petroleum Corp Ltd

    1,626,422       6,935  

Bharti Airtel Ltd

    58,414       1,107  

BSE Ltd

    25,788       871  

Central Depository Services India Ltd

    9,330       160  

CG Power & Industrial Solutions Ltd

    136,694       1,134  

Coal India Ltd

    4,119,879       25,786  

Colgate-Palmolive India Ltd

    106,734       4,633  

DB Corp Ltd

    11,535       46  

Dr Reddy's Laboratories Ltd

    57,776       4,844  

GAIL India Ltd

    330,248       936  

Great Eastern Shipping Co Ltd/The

    64,713       1,028  

Gujarat Industries Power Co Ltd

    143,345       415  

Gujarat State Petronet Ltd

    6,258       33  

HDFC Bank Ltd ADR

    567,321       34,669  

Hindustan Aeronautics Ltd

    134,635       7,513  

Hindustan Petroleum Corp Ltd

    554,832       2,772  

ICICI Bank Ltd

    279,835       4,101  

IIFL Securities Ltd

    31,588       104  

Indian Metals & Ferro Alloys Ltd

    27,129       216  

Indian Oil Corp Ltd

    7,006,907       14,785  

Infosys Ltd

    57,811       1,340  

Insolation Energy Ltd *

    900       39  

InterGlobe Aviation Ltd *

    17,329       998  

ITD Cementation India Ltd

    6,569       43  

J Kumar Infraprojects Ltd

    9,170       93  

Jindal Saw Ltd

    144,577       1,173  

Karur Vysya Bank Ltd/The

    790,880       2,095  

Kotak Mahindra Bank Ltd

    96,652       2,052  

Larsen & Toubro Ltd

    22,863       1,010  

Mahanagar Gas Ltd

    38,974       833  

Mahindra & Mahindra Ltd

    28,058       938  

MakeMyTrip Ltd *

    16,293       1,567  

Manappuram Finance Ltd

    640,137       1,648  

Mangalore Refinery & Petrochemicals Ltd

    72,097       178  

Oberoi Realty Ltd

    12,494       264  

Oil & Natural Gas Corp Ltd

    386,990       1,526  

Power Finance Corp Ltd

    541,436       3,548  

REC Ltd

    494,262       3,652  

Sammaan Capital Ltd

    123,727       239  

Shanthi Gears Ltd

    6,532       47  

SP Apparels Ltd

    5,752       60  

State Bank of India

    155,088       1,508  

Trent Ltd

    24,887       2,124  

United Spirits Ltd

    65,640       1,154  

UNO Minda Ltd

    86,602       1,212  

Zensar Technologies Ltd

    7,672       70  
              148,416  
                 

 

 

 

98

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Indonesia — 0.3%

ABM Investama Tbk PT

    129,467     $ 40  

Adaro Energy Indonesia Tbk PT

    9,792,428       2,256  

Bank Central Asia Tbk PT

    2,640,200       1,764  

Bank Rakyat Indonesia Persero Tbk PT

    34,006,800       11,332  

Barito Pacific Tbk PT

    13,670,438       1,013  

Chandra Asri Pacific Tbk PT

    2,845,100       1,836  

Delta Dunia Makmur Tbk PT

    1,462,400       69  

Elnusa Tbk PT

    3,901,400       121  

Panin Financial Tbk PT *

    3,468,300       92  

Prima Andalan Mandiri Tbk PT

    168,379       58  

Surya Semesta Internusa Tbk PT

    1,957,200       152  

Tempo Scan Pacific Tbk PT

    156,400       25  

Triputra Agro Persada PT

    2,698,127       121  

United Tractors Tbk PT

    3,909,975       6,843  
              25,722  
                 

Ireland — 2.4%

Accenture PLC, Cl A

    155,746       53,257  

AerCap Holdings NV

    18,170       1,770  

AIB Group PLC

    6,500,000       39,176  

Aon PLC, Cl A

    142,449       48,963  

Bank of Ireland Group PLC

    2,894,375       33,223  

James Hardie Industries PLC *

    397,026       14,838  
              191,227  
                 

Israel — 1.5%

Camtek Ltd/Israel

    17,951       1,634  

Check Point Software Technologies Ltd *

    370,359       71,294  

CyberArk Software Ltd *

    28,913       8,290  

Isracard Ltd

    18        

Monday.com Ltd *

    30,985       8,239  

Nice Ltd ADR *

    36,985       6,426  

Nova Ltd *

    7,953       1,778  

Teva Pharmaceutical Industries Ltd ADR *

    64,655       1,220  

Wix.com Ltd *

    128,586       21,425  
              120,306  
                 

Italy — 1.8%

A2A SpA

    1,546,139       3,529  

Banca IFIS SpA

    30,308       713  

Banca Mediolanum SpA

    363,132       4,442  

Banca Popolare di Sondrio SPA

    154,556       1,195  

BPER Banca SPA

    898,102       5,030  

Brunello Cucinelli SpA

    19,313       1,897  

Buzzi SpA

    3,439       135  

d'Amico International Shipping SA

    4,250       30  

Danieli & C Officine Meccaniche SpA

    5,930       166  

Enel SpA

    4,279,926       32,518  

Ferrari NV

    7,558       3,741  

Intesa Sanpaolo SpA

    5,874,103       24,477  

Leonardo SpA

    1,086,680       27,618  

Maire SpA

    234,820       2,040  

PRADA SpA

    131,000       936  

UniCredit SpA

    779,833       32,267  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Unipol Gruppo SpA

    176,723     $ 1,874  
              142,608  
                 

Japan — 11.2%

77 Bank Ltd/The

    3,600       103  

ABC-Mart Inc

    74,300       1,526  

Ad-sol Nissin Corp

    1,900       24  

AEON Financial Service Co Ltd

    16,700       153  

Ai Holdings Corp

    17,000       296  

Aisan Industry Co Ltd

    22,900       231  

Alfresa Holdings Corp

    12,400       204  

Alpha Systems Inc

    1,300       26  

AlphaPolis Co Ltd *

    1,600       26  

Anest Iwata Corp

    8,300       72  

Anritsu Corp

    15,400       124  

AOKI Holdings Inc

    9,100       79  

Artner Co Ltd

    2,800       36  

Asahi Group Holdings Ltd

    118,200       4,406  

Asics Corp

    82,300       1,625  

Ateam Inc

    20,100       97  

Atrae Inc *

    19,300       113  

Avant Group Corp

    13,200       166  

Awa Bank Ltd/The

    12,300       219  

Axell Corp

    17,000       148  

Axial Retailing Inc

    2,000       13  

Bank of Iwate Ltd/The

    5,400       92  

Bank of Saga Ltd/The

    1,800       28  

baudroie inc *

    2,400       89  

BIPROGY Inc

    96,000       3,105  

Brother Industries Ltd

    2,078,500       38,549  

Business Brain Showa-Ota Inc

    2,400       32  

Business Engineering Corp

    4,100       120  

Capcom Co Ltd

    240,720       5,246  

Carlit Co Ltd

    11,200       88  

Central Japan Railway Co

    238,000       5,525  

Central Security Patrols Co Ltd

    8,200       153  

Chiba Kogyo Bank Ltd/The

    3,800       27  

Chiyoda Integre Co Ltd

    1,400       34  

Chugai Pharmaceutical Co Ltd

    3,800       193  

Chugin Financial Group Inc

    7,800       82  

COLOPL Inc

    137,300       550  

Comture Corp

    16,300       183  

Concordia Financial Group Ltd

    76,800       433  

Creek & River Co Ltd

    5,300       54  

CTS Co Ltd

    4,400       26  

Cube System Inc

    2,800       21  

CyberAgent Inc

    11,800       82  

Daihatsu Diesel Manufacturing Co Ltd

    22,200       225  

Daiichi Jitsugyo Co Ltd

    1,500       25  

Dai-ichi Life Holdings Inc

    194,000       5,565  

Daiichi Sankyo Co Ltd

    110,900       4,652  

Dainichiseika Color & Chemicals Manufacturing Co Ltd

    6,200       134  

Daisue Construction Co Ltd

    3,500       41  

 

 

 

SEI Institutional Investments Trust

 

99

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Daiwa Industries Ltd

    2,700     $ 27  

Daiwa Securities Group Inc

    611,000       4,507  

Dentsu Group Inc

    1,350,000       41,509  

Digital Arts Inc

    5,900       181  

Digital Information Technologies Corp

    2,400       30  

Doshisha Co Ltd

    1,200       18  

East Japan Railway Co

    271,700       5,228  

Ehime Bank Ltd/The

    6,800       53  

Eiken Chemical Co Ltd

    34,900       550  

Eisai Co Ltd

    16,900       710  

Elecom Co Ltd

    47,500       468  

en Japan Inc

    17,000       287  

ERI Holdings Co Ltd

    3,900       55  

Fabrica Holdings Co Ltd

    2,600       32  

Fast Retailing Co Ltd

    37,100       11,886  

First Bank of Toyama Ltd/The

    4,500       38  

Foster Electric Co Ltd

    8,100       91  

Fuji Corp/Aichi

    7,700       129  

Fuji Oil Co Ltd

    19,400       54  

Fujikura Ltd

    47,500       1,372  

Fujimori Kogyo Co Ltd

    1,500       45  

Fujitsu Ltd

    1,215,400       22,350  

Fukui Computer Holdings Inc

    3,300       59  

Fukuoka Financial Group Inc

    397,600       10,464  

Fukushima Galilei Co Ltd

    2,800       108  

Furuno Electric Co Ltd

    10,300       125  

Future Corp

    10,500       128  

Gakken Holdings Co Ltd

    18,400       129  

Gakujo Co Ltd

    5,500       68  

Goldwin Inc

    17,100       1,057  

GungHo Online Entertainment Inc

    128,800       2,680  

Hakuhodo DY Holdings Inc

    22,400       189  

Hirose Electric Co Ltd

    10,100       1,328  

Hisamitsu Pharmaceutical Co Inc

    1,900       53  

Hitachi Ltd

    151,500       3,717  

Hodogaya Chemical Co Ltd

    1,000       35  

Hokkaido Gas Co Ltd

    1,700       37  

Horiba Ltd

    5,500       366  

Hosokawa Micron Corp

    1,800       54  

Hoya Corp

    217,100       30,708  

Hyakujushi Bank Ltd/The

    13,000       241  

Ichikoh Industries Ltd

    29,600       91  

Idemitsu Kosan Co Ltd

    159,100       1,157  

INFRONEER Holdings Inc

    115,400       968  

Inpex Corp

    62,000       924  

Invincible Investment Corp

    4,712       2,091  

I-PEX Inc

    6,700       80  

ISB Corp

    4,900       51  

Iwaki Co Ltd

    3,900       81  

Iyogin Holdings Inc

    9,000       83  

Japan Exchange Group Inc

    129,800       3,002  

Japan Lifeline Co Ltd

    41,900       323  

Japan Medical Dynamic Marketing Inc

    20,000       106  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Japan Post Bank Co Ltd

    25,300     $ 237  

Japan Post Holdings Co Ltd

    229,000       2,233  

Japan Post Insurance Co Ltd

    187,700       3,539  

JK Holdings Co Ltd

    3,500       24  

Justsystems Corp

    8,600       205  

Kaga Electronics Co Ltd

    4,100       153  

Kamakura Shinsho Ltd

    6,700       20  

Kanaden Corp

    3,400       35  

Kao Corp

    344,800       15,499  

Kato Works Co Ltd

    4,600       41  

KAWADA TECHNOLOGIES Inc

    8,100       150  

KDDI Corp

    342,500       11,552  

Keio Corp

    70,000       1,713  

Keisei Electric Railway Co Ltd

    40,300       1,273  

Kewpie Corp

    89,200       2,283  

Keyence Corp

    61,100       29,210  

Kikkoman Corp

    74,200       837  

Kimura Unity Co Ltd

    4,900       53  

Kitz Corp

    6,100       43  

Koatsu Gas Kogyo Co Ltd

    5,100       32  

Kobe Bussan Co Ltd

    36,900       1,076  

Koito Manufacturing Co Ltd

    2,600,000       38,267  

Komatsu Ltd

    748,000       20,836  

Komatsu Wall Industry Co Ltd

    1,400       30  

Konica Minolta Inc

    102,500       306  

Konishi Co Ltd

    4,000       35  

Kubota Corp

    239,000       3,340  

Kuraray Co Ltd

    42,500       557  

Kyodo Printing Co Ltd

    1,700       42  

Kyoritsu Maintenance Co Ltd

    73,800       1,216  

LAC Co Ltd

    6,400       34  

LIFULL Co Ltd

    47,500       48  

M3 Inc

    1,902,400       18,396  

Maezawa Industries Inc

    3,800       37  

Makita Corp

    488,600       16,339  

MarkLines Co Ltd

    3,400       71  

Maruzen Showa Unyu Co Ltd

    1,200       41  

Matching Service Japan Co Ltd

    10,500       75  

Maxell Ltd

    31,300       391  

Mazda Motor Corp

    604,800       5,076  

MCJ Co Ltd

    12,300       128  

Medical System Network Co Ltd, Cl A

    5,800       19  

Megachips Corp

    11,900       402  

Meidensha Corp

    1,600       38  

Meisei Industrial Co Ltd

    11,900       104  

Micronics Japan Co Ltd

    9,700       320  

MIMAKI ENGINEERING CO LTD

    12,800       154  

MINEBEA MITSUMI Inc

    1,153,700       24,238  

Miroku Jyoho Service Co Ltd

    11,800       152  

Mitani Sangyo Co Ltd

    10,700       24  

Mitsuba Corp

    17,900       128  

Mitsubishi Corp

    19,400       401  

Mitsubishi Electric Corp

    21,400       359  

 

 

 

100

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Mitsubishi Kakoki Kaisha Ltd

    1,800     $ 44  

Mitsubishi Shokuhin Co Ltd

    3,900       141  

Mitsubishi UFJ Financial Group Inc

    310,000       3,253  

Mitsui & Co Ltd

    86,700       1,860  

MIXI Inc

    258,600       4,897  

Mizuho Financial Group Inc

    51,000       1,054  

Moriroku Holdings Co Ltd

    5,600       93  

Morita Holdings Corp

    3,800       49  

MS&AD Insurance Group Holdings Inc

    195,500       4,491  

Murata Manufacturing Co Ltd

    49,400       1,029  

Nagoya Railroad Co Ltd

    73,600       881  

NEC Corp

    174,400       15,409  

NEOJAPAN Inc

    12,800       161  

NET One Systems Co Ltd

    3,100       73  

Nexon Co Ltd

    9,000       177  

Nice Corp

    2,600       34  

Nichirei Corp

    124,600       3,745  

NIDEC CORP

    36,800       1,503  

Nihon Chouzai Co Ltd

    5,600       49  

Nihon Denkei Co Ltd

    4,400       56  

Nihon Trim Co Ltd

    2,800       72  

Nikon Corp

    4,000,000       42,842  

Nippon Concept Corp

    1,900       23  

Nippon Dry-Chemical Co Ltd

    200       4  

Nippon Sanso Holdings Corp

    31,600       1,080  

Nippon Shinyaku Co Ltd

    30,900       745  

Nippon Thompson Co Ltd

    41,300       146  

Nippon Yusen KK

    30,900       1,119  

Nissan Motor Co Ltd

    961,600       2,810  

Nissan Tokyo Sales Holdings Co Ltd

    86,600       285  

Nissei ASB Machine Co Ltd

    2,000       69  

Nissin Corp

    2,100       61  

Nisso Holdings Co Ltd

    8,500       45  

Nissui Corp

    223,200       1,419  

Nitto Kogyo Corp

    3,500       76  

Nitto Kohki Co Ltd

    2,900       51  

Nitto Seiko Co Ltd

    16,700       67  

Nomura Research Institute Ltd

    36,700       1,238  

Noritz Corp

    7,900       106  

NS Solutions Corp

    17,200       439  

OBIC Business Consultants Co Ltd

    39,900       1,954  

Obic Co Ltd

    38,000       6,603  

Ogaki Kyoritsu Bank Ltd/The

    1,800       25  

Ohba Co Ltd

    4,100       29  

OIE Sangyo Co Ltd

    2,000       28  

Okabe Co Ltd

    6,100       32  

Okamoto Industries Inc

    800       28  

Okamura Corp

    11,400       154  

Okinawa Financial Group Inc

    1,400       24  

Okura Industrial Co Ltd

    3,100       56  

Olympus Corp

    694,500       12,685  

Ono Pharmaceutical Co Ltd

    41,400       613  

Optim Corp *

    26,600       114  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Optorun Co Ltd

    12,500     $ 158  

Oracle Corp Japan

    30,500       2,759  

Oro Co Ltd

    5,200       81  

Otsuka Corp

    192,800       4,589  

PAL GROUP Holdings Co Ltd

    9,800       159  

Pasco Corp

    2,300       27  

PCA Corp

    2,600       37  

Persol Holdings Co Ltd

    152,000       297  

Pickles Holdings Co Ltd

    2,700       19  

PR Times Corp *

    7,200       85  

Pronexus Inc

    16,200       139  

Proto Corp

    3,500       35  

Qol Holdings Co Ltd

    6,000       60  

R&D Computer Co Ltd

    4,500       24  

Rasa Corp

    4,500       47  

Rasa Industries Ltd

    1,800       34  

Recruit Holdings Co Ltd

    510,500       31,719  

Resona Holdings Inc

    3,348,200       23,696  

Resonac Holdings Corp

    42,100       1,029  

Rheon Automatic Machinery Co Ltd

    1,622       16  

Ricoh Co Ltd

    126,500       1,321  

Riken Technos Corp

    6,700       47  

Riso Kagaku Corp

    2,300       54  

Rix Corp

    1,400       28  

Sac's Bar Holdings Inc

    6,500       36  

Sakai Heavy Industries Ltd

    1,000       34  

Sakai Moving Service Co Ltd

    2,000       36  

Sakata INX Corp

    4,200       49  

Sanko Metal Industrial Co Ltd

    900       26  

Sansan Inc *

    21,100       317  

Santen Pharmaceutical Co Ltd

    73,600       949  

Sanwa Holdings Corp

    172,200       3,923  

Sanyo Shokai Ltd

    6,400       107  

Sapporo Holdings Ltd

    18,800       936  

Sato Holdings Corp

    4,400       62  

SBI Sumishin Net Bank Ltd

    10,400       222  

SCREEN Holdings Co Ltd

    106,500       7,969  

SCSK Corp

    132,900       2,668  

Seika Corp

    1,500       42  

Seiko Epson Corp

    24,800       462  

Sekisui House Ltd

    60,200       1,552  

SERAKU Co Ltd

    12,200       118  

Seven & i Holdings Co Ltd

    366,100       5,276  

Shibusawa Warehouse Co Ltd/The

    200       4  

Shimamura Co Ltd

    89,500       4,782  

Shimano Inc

    81,100       15,261  

Shinnihonseiyaku Co Ltd

    6,900       89  

Shinsho Corp

    500       27  

Shionogi & Co Ltd

    15,300       715  

Shizuoka Financial Group Inc

    16,200       144  

Shofu Inc

    1,700       60  

SIGMAXYZ Holdings Inc

    2,100       21  

Skylark Holdings Co Ltd

    27,700       425  

 

 

 

SEI Institutional Investments Trust

 

101

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

SMK Corp

    1,400     $ 22  

SMS Co Ltd

    1,512,200       22,770  

SoftBank Group Corp

    10,000       577  

Softcreate Holdings Corp

    2,900       34  

Sompo Holdings Inc

    71,900       1,694  

Sprix Inc

    2,400       13  

Star Micronics Co Ltd

    14,100       189  

Strike Co Ltd

    1,100       34  

Subaru Corp

    140,500       2,664  

Sugi Holdings Co Ltd

    112,500       1,952  

Sumitomo Electric Industries Ltd

    91,100       1,507  

Sumitomo Mitsui Financial Group Inc

    154,300       10,120  

Sumitomo Pharma Co Ltd *

    48,800       224  

Sumitomo Riko Co Ltd

    12,600       134  

Sumitomo Seika Chemicals Co Ltd

    2,000       72  

Suntory Beverage & Food Ltd

    626,300       23,012  

Sun-Wa Technos Corp

    8,400       120  

Suzuken Co Ltd/Aichi Japan

    59,600       2,112  

System Research Co Ltd

    3,200       31  

System Support Inc

    2,300       30  

Systena Corp

    44,900       120  

T RAD Co Ltd

    2,700       70  

T&D Holdings Inc

    138,000       2,321  

Taiho Kogyo Co Ltd, Cl A

    5,300       24  

Takara & Co Ltd

    3,700       73  

Takashimaya Co Ltd

    403,400       3,090  

Takeda Pharmaceutical Co Ltd

    236,700       7,044  

Tanabe Consulting Group Co Ltd

    3,600       30  

TDK Corp

    314,000       21,235  

TechMatrix Corp

    9,400       157  

Teikoku Electric Manufacturing Co Ltd

    8,700       158  

Temairazu Inc

    4,000       105  

Terumo Corp

    239,300       4,420  

TIS Inc

    202,200       5,059  

TKC Corp

    1,500       40  

Toei Animation Co Ltd

    838,900       18,005  

Toho Holdings Co Ltd

    89,100       2,941  

Tohoku Electric Power Co Inc

    106,600       970  

Tokio Marine Holdings Inc

    105,000       3,971  

Tokyo Electron Ltd

    12,300       2,180  

Tokyo Seimitsu Co Ltd

    38,500       2,176  

Tokyu Fudosan Holdings Corp

    617,700       4,429  

Toli Corp

    9,800       26  

Toray Industries Inc

    3,224,000       16,615  

Toshiba TEC Corp

    7,500       179  

Towa Bank Ltd/The

    6,200       27  

Toyo Engineering Corp

    25,300       127  

Toyo Suisan Kaisha Ltd

    39,600       2,471  

Toyokumo Inc

    2,200       31  

Toyota Motor Corp

    414,900       7,863  

Toyota Tsusho Corp

    41,400       794  

Trend Micro Inc/Japan

    208,200       12,484  

Tsubakimoto Chain Co

    6,500       271  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Tsubakimoto Kogyo Co Ltd

    2,700     $ 34  

Tsugami Corp

    22,900       241  

UBE Corp

    48,900       889  

Union Tool Co

    2,200       89  

Unipres Corp

    14,900       124  

USS Co Ltd

    119,800       1,102  

Vital KSK Holdings Inc

    6,300       54  

Wacom Co Ltd

    31,600       151  

Waseda Academy Co Ltd

    3,800       42  

WingArc1st Inc

    5,800       117  

Wowow Inc

    2,300       17  

Xebio Holdings Co Ltd

    15,700       138  

YAMABIKO Corp

    4,300       69  

Yamaha Corp

    1,800,000       43,231  

Yamaha Motor Co Ltd

    143,300       1,247  

Yamaichi Electronics Co Ltd

    10,700       203  

Yamashin-Filter Corp

    19,900       63  

Yokogawa Electric Corp

    119,500       3,355  

Yokowo Co Ltd

    26,400       300  

Yorozu Corp

    4,600       36  

Yossix Holdings Co Ltd

    11,900       264  

Yushin Precision Equipment Co Ltd

    5,700       26  

Zenrin Co Ltd

    4,100       25  

ZERIA Pharmaceutical Co Ltd

    2,400       38  

ZIGExN Co Ltd

    54,700       213  

ZOZO Inc

    27,700       883  
              893,557  
                 

Luxembourg — 0.8%

ArcelorMittal SA

    1,365,437       31,997  

Birkenstock Holding Plc *

    42,124       2,102  

Eurofins Scientific SE

    32,035       1,831  

Spotify Technology SA *

    70,991       24,341  
              60,271  
                 

Macao — 0.7%

Galaxy Entertainment Group Ltd

    5,268,000       20,396  

MGM China Holdings Ltd

    608,000       818  

Sands China Ltd *

    18,750,000       34,229  

Wynn Macau Ltd

    824,400       564  
              56,007  
                 

Malaysia — 0.2%

Alliance Bank Malaysia Bhd

    48,400       48  

AMMB Holdings Bhd

    141,200       170  

Bermaz Auto Bhd

    72,200       42  

Bursa Malaysia Bhd

    479,700       1,026  

CIMB Group Holdings Bhd

    1,041,400       1,976  

Dialog Group Bhd

    4,927,500       2,690  

Jaya Tiasa Holdings BHD

    106,200       27  

MISC Bhd

    1,182,500       2,295  

My EG Services Bhd

    4,273,900       885  

Pantech Group Holdings Bhd

    216,400       51  

Sunway Bhd

    1,199,300       1,138  

Wellcall Holdings Bhd

    110,000       37  

 

 

 

102

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

YTL Power International Bhd

    1,835,300     $ 1,647  
              12,032  
                 

Mexico — 0.1%

Grupo Comercial Chedraui SA de CV

    123,700       943  

Southern Copper Corp

    31,147       3,168  

Ternium SA ADR

    92,923       3,129  
              7,240  
                 

Netherlands — 4.3%

ABN AMRO Bank NV

    427,321       7,327  

Arcadis NV

    26,990       1,981  

Argenx SE ADR *

    2,387       1,235  

ASM International NV

    1,242       840  

ASML Holding NV

    36,829       33,102  

Fugro NV

    50,450       1,260  

IMCD NV

    148,775       24,340  

ING Groep NV

    2,067,530       37,519  

Koninklijke Ahold Delhaize NV

    717,558       24,670  

Koninklijke BAM Groep NV

    228,882       956  

Koninklijke KPN NV

    1,921,414       7,854  

Koninklijke Philips NV *

    549,561       16,552  

Koninklijke Vopak NV

    32,058       1,475  

NN Group NV

    249,412       12,227  

Pluxee NV *

    219,874       5,219  

Randstad NV

    646,491       31,165  

Signify NV

    1,800,000       44,312  

Universal Music Group NV

    913,096       23,883  

Wolters Kluwer NV

    405,744       69,232  
              345,149  
                 

New Zealand — 0.0%

Meridian Energy Ltd

    265,883       1,055  

Xero Ltd *

    14,982       1,452  
              2,507  
                 

Norway — 0.9%

AutoStore Holdings Ltd *

    4,394,977       4,680  

DNB Bank ASA

    138,341       2,927  

Equinor ASA

    1,095,566       29,116  

Gjensidige Forsikring ASA

    1,183,022       20,986  

Hoegh Autoliners ASA

    12,653       142  

Kongsberg Gruppen ASA

    120,645       12,780  

MPC Container Ships ASA

    33,026       69  

Odfjell SE, Cl A

    3,058       43  

Telenor ASA

    270,962       3,364  
              74,107  
                 

Philippines — 0.0%

International Container Terminal Services Inc

    321,130       2,266  

SM Investments Corp

    65,700       1,035  
              3,301  
                 

Poland — 0.2%

Alior Bank SA

    47,125       1,251  

Bank Polska Kasa Opieki SA

    34,410       1,412  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Budimex SA

    5,623     $ 876  

CD Projekt SA

    4,928       234  

Grupa Kety SA

    2,940       591  

Lubelski Wegiel Bogdanka SA

    8,005       50  

Powszechna Kasa Oszczednosci Bank Polski SA

    225,232       3,375  

Powszechny Zaklad Ubezpieczen SA

    906,204       10,944  

Rainbow Tours SA

    4,051       111  
              18,844  
                 

Portugal — 0.0%

Galp Energia SGPS SA, Cl B

    24,043       499  

Navigator Co SA/The

    122,946       502  
              1,001  
                 

Qatar — 0.0%

Gulf International Services QSC

    517,564       466  

Ooredoo QPSC

    654,105       1,980  

Qatar Insurance Co SAQ

    283,249       167  
              2,613  
                 

Saudi Arabia — 0.4%

Al Babtain Power & Telecommunication Co

    49,248       571  

Arab National Bank

    629,648       3,244  

Astra Industrial Group

    118,437       5,418  

Co for Cooperative Insurance/The

    68,042       2,873  

Etihad Etisalat Co

    888,228       11,962  

Saudi Chemical Co Holding

    595,144       1,883  

Saudi Electricity Co

    472,241       2,210  

Zamil Industrial Investment Co *

    20,901       154  
              28,315  
                 

Singapore — 0.4%

DBS Group Holdings Ltd

    287,940       8,032  

Dyna-Mac Holdings Ltd

    114,600       46  

Grab Holdings Ltd, Cl A *

    284,640       917  

Keppel DC REIT

    1,429,900       2,337  

Oversea-Chinese Banking Corp Ltd

    564,100       6,297  

Sea Ltd ADR *

    89,020       6,971  

Singapore Airlines Ltd

    385,400       1,857  

Singapore Exchange Ltd

    861,900       7,161  

Singapore Telecommunications Ltd

    583,400       1,401  
              35,019  
                 

South Africa — 1.0%

ArcelorMittal South Africa Ltd *

    6,024        

Capitec Bank Holdings Ltd

    6,474       1,067  

Clicks Group Ltd

    1,968,161       41,424  

Tiger Brands Ltd

    3,076,111       40,819  
              83,310  
                 

South Korea — 3.7%

BNK Financial Group Inc

    875,082       6,656  

Celltrion Inc

    7,102       1,079  

Daeduck Co Ltd

    8,141       38  

DGB Financial Group Inc

    41,545       261  

Fila Holdings Corp

    1,250,000       39,628  

 

 

 

SEI Institutional Investments Trust

 

103

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Hana Financial Group Inc

    364,941     $ 16,910  

Hanmi Semiconductor Co Ltd

    13,336       1,143  

HD Hyundai Electric Co Ltd

    4,953       1,133  

HLB Inc *

    20,230       1,360  

Hyundai Green Food

    3,202       29  

Hyundai Motor Co

    7,583       1,450  

KB Financial Group Inc

    191,217       12,296  

Kia Corp

    36,176       2,873  

Korea Airport Service Co Ltd

    762       30  

KT&G Corp

    550,000       44,548  

LG Corp

    615,460       36,489  

LG Electronics Inc

    92,780       6,904  

LG H&H Co Ltd

    148,239       39,339  

LigaChem Biosciences Inc *

    20,371       1,473  

Mgame Corp

    3,992       18  

Multicampus Co Ltd

    1,193       27  

NH Investment & Securities Co Ltd

    19,948       204  

Samsung Electronics Co Ltd

    981,446       54,588  

Shinhan Financial Group Co Ltd

    551,878       23,177  

SK Hynix Inc

    28,738       3,737  

Woori Financial Group Inc

    183,363       2,199  
              297,589  
                 

Spain — 2.1%

ACS Actividades de Construccion y Servicios SA

    30,398       1,384  

Aena SME SA

    24,762       5,005  

Amadeus IT Group SA, Cl A

    297,221       20,049  

Banco Bilbao Vizcaya Argentaria SA

    708,938       7,526  

Banco Santander SA

    186,339       927  

Bankinter SA

    112,009       991  

CaixaBank SA

    6,873,977       41,544  

Iberdrola SA

    319,336       4,532  

Industria de Diseno Textil SA

    1,509,554       81,842  

Logista Integral SA

    3,670       113  

Naturgy Energy Group SA

    132,901       3,392  
              167,305  
                 

Sweden — 1.9%

AAK AB

    69,712       2,159  

Alfa Laval AB

    27,126       1,218  

Assa Abloy AB, Cl B

    1,077,957       34,852  

Atlas Copco AB, Cl A

    424,240       7,712  

Castellum AB *

    51,473       706  

Essity AB, Cl B

    340,709       10,367  

Fastighets AB Balder, Cl B *

    296,504       2,331  

H & M Hennes & Mauritz AB, Cl B

    488,356       7,749  

Hexagon AB, Cl B

    2,060,386       21,125  

Mycronic AB

    34,736       1,282  

Securitas AB, Cl B

    2,062,539       24,169  

Skandinaviska Enskilda Banken AB, Cl A

    169,503       2,615  

Skanska AB, Cl B

    115,553       2,339  

Telefonaktiebolaget LM Ericsson ADR

    1,708,102       12,725  

Trelleborg AB, Cl B

    27,464       1,073  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Volvo AB, Cl B

    676,979     $ 18,021  
              150,443  
                 

Switzerland — 6.0%

ABB Ltd

    859,660       49,273  

Accelleron Industries AG

    44,798       2,342  

Alcon Inc

    73,116       7,092  

Belimo Holding AG

    3,729       2,505  

BKW AG

    12,844       2,416  

Givaudan SA

    4,567       23,447  

Holcim AG

    9,881       952  

Julius Baer Group Ltd

    434,974       25,382  

Logitech International SA

    363,431       32,906  

Nestle SA

    189,186       20,296  

Novartis AG

    78,580       9,458  

On Holding AG, Cl A *

    22,662       1,065  

Partners Group Holding AG

    30,760       44,267  

Roche Holding AG

    395,774       133,969  

Schindler Holding AG

    56,646       15,743  

Swatch Group AG/The

    198,984       41,699  

Swissquote Group Holding SA

    5,650       2,020  

UBS Group AG

    1,293,451       39,591  

VAT Group AG

    51,059       26,310  

Ypsomed Holding AG

    2,341       1,145  

Zehnder Group AG

    2,587       165  
              482,043  
                 

Taiwan — 4.0%

ACES Electronic Co Ltd *

    45,000       74  

Arcadyan Technology Corp

    375,000       1,717  

ASROCK Inc

    269,634       1,749  

Asustek Computer Inc

    1,546,000       25,952  

Chicony Electronics Co Ltd

    220,000       1,114  

ChipMOS Technologies Inc

    143,000       171  

Compal Electronics Inc

    4,447,000       4,615  

Cyberlink Corp

    55,000       168  

CyberPower Systems Inc

    700       6  

Elan Microelectronics Corp

    20,000       92  

Ennoconn Corp

    124,000       1,151  

Eva Airways Corp

    1,007,000       1,113  

Evergreen Marine Corp Taiwan Ltd

    2,080,800       12,229  

Everlight Electronics Co Ltd

    943,000       2,329  

Far EasTone Telecommunications Co Ltd

    2,132,000       6,031  

Fortune Electric Co Ltd

    81,400       1,697  

Gemtek Technology Corp

    19,000       25  

General Interface Solution Holding Ltd *

    391,184       753  

General Plastic Industrial Co Ltd

    29,000       33  

Goldsun Building Materials Co Ltd

    872,000       1,494  

Hon Hai Precision Industry Co Ltd

    3,860,000       22,262  

IBF Financial Holdings Co Ltd

    4,028,141       1,983  

International Games System Co Ltd

    440,000       10,715  

ITE Technology Inc

    100,783       457  

Keystone Microtech Corp

    22,000       274  

KGI Financial Holding Co Ltd

    3,308,000       1,665  

 

 

 

104

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Lanner Electronics Inc

    480     $ 1  

Lotes Co Ltd

    283,000       13,535  

Makalot Industrial Co Ltd

    90,000       1,079  

MediaTek Inc

    743,146       28,806  

Novatek Microelectronics Corp

    912,311       15,400  

Pegatron Corp

    415,000       1,330  

Pixart Imaging Inc

    86,000       558  

Pou Chen Corp

    4,686,000       5,090  

Powertech Technology Inc

    344,000       1,565  

Radiant Opto-Electronics Corp

    233,000       1,438  

Raydium Semiconductor Corp

    15,000       167  

Realtek Semiconductor Corp

    1,113,000       18,614  

San Fang Chemical Industry Co Ltd

    123,000       130  

Silicon Motion Technology Corp ADR

    16,889       1,074  

Simplo Technology Co Ltd

    242,000       2,807  

Sitronix Technology Corp

    65,000       475  

Solteam Inc

    40,000       79  

Sunrex Technology Corp

    123,000       230  

Taiwan Semiconductor Manufacturing Co Ltd

    2,628,000       77,550  

Taiwan Semiconductor Manufacturing Co Ltd ADR

    256,075       43,968  

Uni-President Enterprises Corp

    619,000       1,598  

Weblink International Inc

    41,000       73  

WT Microelectronics Co Ltd

    340,000       1,254  

Yang Ming Marine Transport Corp

    1,063,000       2,143  

Yield Microelectronics Corp

    53,146       158  

Youngtek Electronics Corp

    24,000       54  
              319,045  
                 

Thailand — 0.4%

Bangchak Corp PCL NVDR

    457,700       504  

Bangkok Bank PCL NVDR

    2,632,500       10,967  

Bangkok Dusit Medical Services PCL NVDR

    2,190,000       1,796  

Central Pattana PCL NVDR

    662,900       1,165  

PTT Exploration & Production PCL NVDR

    1,461,900       6,112  

SCB X PCL

    2,953,000       9,336  

TMBThanachart Bank PCL NVDR

    9,091,600       497  
              30,377  
                 

Türkiye — 0.0%

Agesa Hayat ve Emeklilik AS

    15,215       44  

BIM Birlesik Magazalar AS

    51,176       811  

Turkcell Iletisim Hizmetleri AS

    378,885       1,094  
              1,949  
                 

United Arab Emirates — 0.5%

Abu Dhabi Commercial Bank PJSC

    3,879,229       9,252  

Abu Dhabi Islamic Bank PJSC

    366,930       1,261  

ADNOC Drilling Co PJSC

    1,811,489       2,170  

Agthia Group PJSC

    28,923       55  

Dubai Islamic Bank PJSC

    302,291       508  

Emaar Development PJSC

    59,629       137  

Emaar Properties PJSC

    8,544,726       19,635  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Emirates Integrated Telecommunications Co PJSC

    4,923     $ 8  

Emirates NBD Bank PJSC

    1,454,867       7,803  

Sharjah Islamic Bank

    64,842       40  
              40,869  
                 

United Kingdom — 12.8%

4imprint Group PLC

    261       18  

Anglo American PLC

    1,400,000       40,869  

Barclays PLC

    20,866,069       63,136  

Barclays PLC ADR

    1,291,842       15,722  

BP PLC

    6,500,000       36,825  

Breedon Group PLC

    38,135       212  

British American Tobacco PLC

    1,200,000       44,950  

Burberry Group PLC

    3,700,000       32,530  

Centrica PLC

    9,726,012       16,526  

Concentric AB

    431       10  

Diageo PLC

    1,609,657       52,584  

Diploma PLC

    374,786       22,090  

Experian PLC

    956,853       46,525  

FDM Group Holdings PLC

    9,669       53  

Ferrexpo PLC *

    788,072       478  

GSK PLC ADR

    79,935       3,510  

Halma PLC

    1,305,645       44,932  

HSBC Holdings PLC

    3,105,967       27,323  

Imperial Brands PLC

    1,500,000       43,085  

Intertek Group PLC

    232,703       15,216  

Investec PLC

    773,765       5,921  

ITV PLC

    41,519,153       43,777  

J Sainsbury PLC

    7,451,442       28,752  

London Stock Exchange Group PLC

    321,218       43,390  

Morgan Sindall Group PLC

    293       11  

NatWest Group PLC

    7,001,734       31,921  

Ninety One PLC

    138,672       306  

Pensionbee Group PLC *

    7,561       17  

Reckitt Benckiser Group PLC

    1,431,013       82,388  

RELX PLC

    909,766       42,326  

Sage Group PLC/The

    366,239       4,880  

Shell PLC

    841,298       29,897  

Smith & Nephew PLC

    1,572,827       24,238  

Smiths News PLC

    201        

Standard Chartered PLC

    2,051,918       21,128  

Subsea 7 SA

    27,929       499  

Tesco PLC

    8,183,677       38,183  

TORM PLC, Cl A

    24,180       887  

Travis Perkins PLC

    759,790       9,057  

Unilever PLC

    1,060,225       68,541  

WPP PLC

    4,000,000       38,343  
              1,021,056  
                 

United States — 1.5%

Envista Holdings Corp *

    2,300,000       41,998  

Harley-Davidson Inc

    1,100,000       41,184  

 

 

 

SEI Institutional Investments Trust

 

105

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Western Union Co/The

    3,100,000     $ 37,820  
              121,002  
                 

Vietnam — 0.2%

Vietnam Dairy Products JSC

    5,341,600       15,869  
                 

Total Common Stock

               

(Cost $6,307,712) ($ Thousands)

            7,593,143  
                 

PREFERRED STOCK — 2.2%

Brazil — 0.6%

Cia De Sanena Do Parana (B)

    24,100       25  

Cia Energetica de Minas Gerais (B)

    9,766,600       20,005  

Itau Unibanco Holding SA (B)

    2,385,500       15,387  

Marcopolo SA (B)

    139,560       181  

Metalurgica Gerdau SA (B)

    199,100       366  

Petroleo Brasileiro SA (B)

    1,524,600       10,569  

Schulz SA (B)

    31,000       36  
              46,569  
                 

Germany — 1.6%

Henkel AG & Co KGaA (B)

    794,819       72,811  

Sartorius AG (B)

    68,739       18,976  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

PREFERRED STOCK (continued)

Volkswagen AG (B)

    350,000     $ 37,262  
              129,049  
                 

Total Preferred Stock

               

(Cost $168,169) ($ Thousands)

            175,618  
                 

EXCHANGE TRADED FUNDS — 0.1%

United States — 0.1%

iShares Core MSCI EAFE ETF

    51,201       3,952  

iShares MSCI Canada ETF

    11,586       469  

iShares MSCI Emerging Markets ETF

    40,711       1,766  
                 

Total Exchange Traded Funds

               

(Cost $6,157) ($ Thousands)

            6,187  
                 

CASH EQUIVALENT — 0.8%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    66,868,117       66,868  

Total Cash Equivalent

               

(Cost $66,868) ($ Thousands)

            66,868  

Total Investments in Securities — 98.2%

               

(Cost $6,548,906) ($ Thousands)

  $ 7,841,816  
                 
                 

 

 
 
 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Long Contracts

                                       

Euro STOXX 50

    304       Sep-2024     $ 16,158     $ 16,728     $ 362  

FTSE 100 Index

    108       Sep-2024       11,461       11,905       143  

Hang Seng Index

    69       Sep-2024       7,796       7,938       140  

S&P TSX 60 Index

    35       Sep-2024       7,042       7,282       112  

SPI 200 Index

    83       Sep-2024       10,732       11,332       300  

TOPIX Index

    87       Sep-2024       15,339       16,226       614  
                    $ 68,528     $ 71,411     $ 1,671  

 

A list of the open OTC Swap agreement held by the Fund at August 31, 2024, is as follows:

 

Total Return Swap

Counterparty

 

Reference Entity/ Obligation

   

Fund Pays

   

Fund Receives

   

Payment Frequency

   

Termination Date

   

Currency

   

Notional
Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/
Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 

Morgan Stanley

 

Custom Basket of International Equity Securities

      CUSTOM FINANCING       BASKET RETURN       Annually       12/31/2049       USD       9,039     $ (2,479 )   $     $ (2,479 )
                                                            $ (2,479 )   $     $ (2,479 )

 

 

 

 

 

 

106

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Continued)

 

The following table represents the top 50 individual stock exposures or those exceeding 1% of the Custom Basket Total Return Swap as of August 31, 2024:

 

 

International Custom Basket of Long Securities

 

 

Shares

 

Description

 

Notional Amount (Thousands)

   

Value (Thousands)

      Percentage of Basket  
                                 
    188,422  

NOVARTIS AG

  $ 19,862     $ 2,584       219.7 %
    15,047  

ASML Holding N.V.

    15,837       (2,491 )     175.2  
    208,700  

ITOCHU CORP

    9,755       1,171       107.9  
    906,100  

JAPAN POST HOLDINGS CO LTD

    8,466       264       93.7  
    200,777  

HALMA PLC

    6,956       (135 )     77.0  
    176,357  

SHELL PLC

    6,096       103       67.4  
    37,146  

ASTRAZENECA PLC

    5,854       591       64.8  
    117,851  

RELX PLC

    5,332       112       59.0  
    46,377  

LOBLAW COS LTD

    5,264       725       58.2  
    329,652  

ENGIE SA

    5,240       541       58.0  
    82,268  

UNILEVER PLC

    4,823       480       53.4  
    182,700  

PAN PACIFIC INTERNATIONAL HOLDINGS CORP

    4,291       309       47.5  
    87,166  

EXPERIAN PLC

    4,080       126       45.1  
    123,028  

IMMOFIN ANLAGE

    3,961       322       43.8  
    940,601  

NATWEST GROUP PLC

    3,822       463       42.3  
    1,536,989  

LONDONMETRIC PROPERTY PLC

    3,769       363       41.7  
    616,227  

ROLLS-ROYCE HOLDINGS PLC

    3,607       369       39.9  
    53,789  

TOTALENERGIES SE

    3,574       133       39.5  
    404,022  

HSBC HOLDINGS PLC

    3,499       38       38.7  
    35,943  

EURONEXT NV

    3,434       367       38.0  
    591,365  

GLENCORE PLC

    3,338       (216 )     36.9  
    83,875  

3I GROUP PLC

    3,245       256       35.9  
    28,272  

NEXT PLC

    3,240       548       35.8  
    157,732  

GSK PLC

    3,200       226       35.4  
    4,106,600  

YTL CORPORATION

    3,185       (472 )     35.2  
    137,200  

HITACHI LTD

    2,907       456       32.2  
    744,275  

MARKS & SPENCER GROUP PLC

    2,793       520       30.9  
    20,154  

GTT

    2,713       360       30.0  
    257,535  

VIVENDI

    2,627       233       29.1  
    65,143  

ACCOR SA

    2,603       104       28.8  
    56,600  

KAO CORP

    2,546       (5 )     28.2  
    174,030  

MEDIOBANCA

    2,540       373       28.1  
    24,009  

INTERCONTINENTAL HOTELS GROUP

    2,477       (102 )     27.4  
    32,682  

COCA-COLA EUROPACIFIC PARTNERS

    2,434       167       26.9  
    28,305  

COMPAGNIE DE SAINT GOBAIN

    2,336       121       25.8  
    33,650  

AMUNDI SA

    2,200       306       24.3  
    1,128,338  

TRITAX BIG BOX REIT PLC

    2,192       220       24.3  
    470,600  

TORAY INDUSTRIES INC

    2,182       231       24.1  
    9,642  

SAFRAN SA

    2,111       (2 )     23.4  
    44,068  

CRITEO SA

    2,090       (8 )     23.1  
    35,900  

TDK CORP

    2,016       388       22.3  
    493,859  

TESCO PLC

    1,923       349       21.3  
    76,000  

IMPERIAL BRANDS PLC

    1,921       255       21.3  
    722,381  

BARCLAYS PLC

    1,877       295       20.8  
    17,668  

PUBLICIS

    1,872       105       20.7  
    7,602  

SCHNEIDER SA

    1,843       81       20.4  
    98,009  

MONDI PLC

    1,814       85       20.1  
    156,254  

UNITE GROUP PLC/THE

    1,789       176       19.8  
    20,550  

KINGSPAN GROUP

    1,785       (17 )     19.7  
    5,567  

ICON PLC

    1,761       10       19.5  
    49,100  

ASAHI GROUP HOLDINGS LTD

    1,742       83       19.3  
    163,704  

AUTO TRADER GROUP PLC

    1,704       135       18.9  
    106,611  

VISTRY GROUP PLC

    1,644       240       18.2  
    749,104  

SERCO GROUP PLC

    1,604       108       17.7  
    32,773  

COVIVIO

    1,571       253       17.4  
    20,364  

UNIBAIL-RODAMCO-WESTFIELD

    1,540       75       17.0  

 

 

 

SEI Institutional Investments Trust

 

107

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Continued)

 

 
 

Shares

 

Description

 

Notional Amount (Thousands)

   

Value (Thousands)

      Percentage of Basket  
                                 
    38,981  

LA FRAN DJ

  $ 1,488     $ 98       16.5 %
    50,048  

RUBIS ET CIE

    1,448       147       16.0  
    47,372  

COMPASS GROUP PLC

    1,434       55       15.9  
    16,200  

SONY GROUP CORP

    1,372       726       15.2  
    303,196  

INTERNATIONAL DISTRIBUTION

    1,344       7       14.9  
    38,801  

COCA-COLA HBC AG-DI

    1,323       99       14.6  
    575  

HERMES INTL

    1,309       69       14.5  
    192,605  

BABCOCK INTL GROUP PLC

    1,288       31       14.3  
    19,461  

RIO TINTO PLC

    1,279       (53 )     14.1  
    30,400  

CHUGAI PHARMACEUTICAL CO LTD

    1,277       261       14.1  
    90,831  

CREDIT AGRICOLE

    1,264       144       14.0  
    9,720  

IPSEN

    1,254       (126 )     13.9  
    167,950  

DARKTRACE PLC

    1,222       56       13.5  
    814,884  

CENTAMIN PLC

    1,171       166       13.0  
    22,311  

DIPLOMA PLC

    1,167       128       12.9  
    67,527  

CARNIVAL ADR

    1,121       (114 )     12.4  
    460,478  

EMERALD RESOURCES NL

    1,063       174       11.8  
    34,535  

KLEPIERRE

    979       65       10.8  
    141,065  

FRESNILLO PLC

    971       29       10.7  
    65,443  

BIG YELLOW GROUP PLC

    971       120       10.7  
    30,346  

ASSOCIATED BRITISH FOODS PLC

    969       22       10.7  
    445,486  

INTL CONSOLIDATED AIRLINE-DI

    933       126       10.3  
    11,569  

LEG IMMOBILIEN SE

    928       204       10.3  
    597,302  

QUILTER PLC

    927       165       10.3  
    35,305  

ANTOFAGASTA PLC

    910       (109 )     10.1  
    14,189  

BNP PARIBAS

    908       102       10.0  
    8,145  

NEXANS

    900       141       10.0  
    163,858  

AIB GROUP

    859       118       9.5  
    38,827  

BAE SYSTEMS PLC

    658       (7 )     7.3  

 

International Custom Basket of Short Securities

 

 

Shares

 

Description

 

Notional Amount (Thousands)

   

Value (Thousands)

      Percentage of Basket  
                                 
    (69,899 )

CGI INC

  $ (6,981 )   $ (822 )     (77.2 )%
    (504,795 )

BRAMBLES LTD

    (4,885 )     (1,323 )     (54.0 )
    (418,200 )

KYOCERA CORP

    (4,799 )     (300 )     (53.1 )
    (450,177 )

HEXAGON

    (4,628 )     27       (51.2 )
    (131,899 )

EMERA INC

    (4,376 )     (615 )     (48.4 )
    (51,357 )

BK OF MONTREAL

    (4,290 )     (19 )     (47.5 )
    (514,900 )

THE CHIBA BANK LTD

    (4,257 )     (70 )     (47.1 )
    (127,600 )

AGC INC

    (4,206 )     130       (46.5 )
    (111,900 )

SUNTORY BEVERAGE FOOD LTD

    (4,029 )     (84 )     (44.6 )
    (122,381 )

SEVERN TRENT PLC

    (3,936 )     (179 )     (43.5 )
    (35,887 )

CDN TIRE CP A

    (3,549 )     (551 )     (39.3 )
    (32,674 )

SPIRAX GROUP PLC

    (3,520 )     252       (38.9 )
    (273,061 )

BURBERRY GROUP PLC

    (3,413 )     905       (37.8 )
    (29,327 )

CANADIAN NATIONAL RAILWAY

    (3,346 )     (95 )     (37.0 )
    (382,100 )

RICOH CO LTD

    (3,287 )     (668 )     (36.4 )
    (67,767 )

ASR NEDERLND AIW

    (3,187 )     (187 )     (35.3 )
    (471,500 )

ASAHI KASEI CORP

    (2,982 )     (329 )     (33.0 )
    (339,020 )

KINNEVIK

    (2,979 )     302       (33.0 )
    (124,500 )

TOTO LTD

    (2,901 )     (1,390 )     (32.1 )
    (63,787 )

QIAGEN NV

    (2,789 )     (97 )     (30.9 )
    (98,821 )

VALMET OYJ

    (2,722 )     (84 )     (30.1 )
    (58,891 )

INTERPUMP GROUP

    (2,582 )     18       (28.6 )
    (159,800 )

ELECTRIC POWER DEVELOPMENT CO LTD

    (2,536 )     (159 )     (28.1 )
    (691,233 )

IGO LTD

    (2,522 )     (71 )     (27.9 )
    (13,330 )

BOYD GROUP SERVICES INC

    (2,509 )     312       (27.8 )
    (131,603 )

SIG GROUP AG

    (2,451 )     (311 )     (27.1 )
    (758,690 )

STOCKLAND

    (2,441 )     (140 )     (27.0 )
    (37,069 )

DCC PLC

    (2,438 )     (163 )     (27.0 )

 

 

 

108

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Continued)

 

 
 

Shares

 

Description

 

Notional Amount (Thousands)

   

Value (Thousands)

      Percentage of Basket  
                                 
    (74,000 )

MITSUBISHI LOGISTICS CORP

  $ (2,420 )   $ (154 )     (26.8 )%
    (507,829 )

SCHRODERS PLC

    (2,378 )     74       (26.3 )
    (243,800 )

SG HOLDINGS CO LTD

    (2,257 )     (366 )     (25.0 )
    (46,500 )

TOKYO SEIMITSU CO LTD

    (2,240 )     (382 )     (24.8 )
    (163,500 )

ROHM CO LTD

    (2,199 )     173       (24.3 )
    (211,100 )

VENTURE CORPORATION LTD

    (2,163 )     (126 )     (23.9 )
    (59,800 )

ZENKOKU HOSHO CO LTD

    (2,151 )     (242 )     (23.8 )
    (227,337 )

TATE & LYLE PLC

    (1,936 )     (104 )     (21.4 )
    (213,500 )

KS HOLDINGS CORP

    (1,906 )     (376 )     (21.1 )
    (12,051 )

BKW SA

    (1,905 )     (342 )     (21.1 )
    (124,400 )

SUMCO CORP

    (1,849 )     429       (20.5 )
    (693,000 )

WHARF REIC

    (1,836 )     (226 )     (20.3 )
    (61,100 )

NH FOODS LTD

    (1,794 )     (481 )     (19.8 )
    (211,105 )

CHARTER HALL GROUP

    (1,791 )     (295 )     (19.8 )
    (83,489 )

SAPUTO GP

    (1,789 )     (61 )     (19.8 )
    (2,451,300 )

FRASERS LOGISTICS AND COMMERCIAL

    (1,730 )     (303 )     (19.1 )
    (61,228 )

YARA INTERNAT

    (1,716 )     (52 )     (19.0 )
    (35,600 )

NIPPON EXPRESS HOLDINGS INC

    (1,686 )     (145 )     (18.6 )
    (1,697,000 )

NEW WORLD DEV

    (1,684 )     (22 )     (18.6 )
    (154,900 )

HASEKO CORP

    (1,678 )     (229 )     (18.6 )
    (58,500 )

SUMITOMO METAL MINING CO LTD

    (1,659 )     21       (18.4 )
    (1,556,000 )

XINYI GLASS

    (1,626 )     226       (18.0 )
    (153,300 )

LIXIL CORP

    (1,611 )     (195 )     (17.8 )
    (444,338 )

LENDLEASE GROUP

    (1,605 )     (445 )     (17.8 )
    (508,483 )

ATLAS ARTERIA

    (1,576 )     (168 )     (17.4 )
    (120,900 )

USHIO INC

    (1,564 )     (142 )     (17.3 )
    (225,000 )

HAZAMA ANDO CORP

    (1,555 )     (214 )     (17.2 )
    (652,792 )

METCASH LTD

    (1,547 )     (64 )     (17.1 )
    (800,000 )

TAYLOR WIMPEY PLC

    (1,508 )     (169 )     (16.7 )
    (569,781 )

SPARK NEW ZEALAND LTD

    (1,498 )     221       (16.6 )
    (7,174 )

SWATCH GROUP I

    (1,485 )     (3 )     (16.4 )
    (30,472 )

HUGO BOSS N

    (1,431 )     170       (15.8 )
    (223,900 )

CITIZEN WATCH CO LTD

    (1,424 )     (7 )     (15.8 )
    (49,100 )

HAMAMATSU PHOTONICS KK

    (1,382 )     87       (15.3 )
    (217,983 )

ELEKTA B

    (1,366 )     (112 )     (15.1 )
    (62,223 )

FLUIDRA S.A.

    (1,365 )     (168 )     (15.1 )
    (93,209 )

INDIVIOR PLC

    (1,353 )     216       (15.0 )
    (99,400 )

ONO PHARMACEUTICAL CO LTD

    (1,349 )     (109 )     (14.9 )
    (172,397 )

HUSQVARNA B

    (1,345 )     193       (14.9 )
    (230,905 )

ALGONQUIN PWR & UTILS CORP

    (1,334 )     70       (14.8 )
    (19,354 )

FISCHER N

    (1,319 )     (202 )     (14.6 )
    (228,596 )

B&M EUROPEAN VALUE RETAIL SA

    (1,303 )     (24 )     (14.4 )
    (103,382 )

TOMRA SYSTEMS

    (1,287 )     (301 )     (14.2 )
    (1,629,900 )

SUNTEC REIT

    (1,277 )     (268 )     (14.1 )
    (85,498 )

SEEK LTD

    (1,263 )     (63 )     (14.0 )
    (25,558 )

RANDSTAD NV

    (1,245 )     24       (13.8 )
    (121,078 )

DAVIDE CAMPARI-MILANO NV

    (1,237 )     131       (13.7 )
    (186,409 )

SUPERIOR PLUS CORP

    (1,226 )     145       (13.6 )
    (117,760 )

INFRASTRUTTURE WIRELESS ITALIANE SPA

    (1,220 )     (178 )     (13.5 )
    (82,102 )

MEDIPAL HOLDINGS CORP

    (1,219 )     (207 )     (13.5 )
    (191,934 )

RENTOKIL INITIAL PLC

    (1,214 )     (3 )     (13.4 )
    (52,346 )

EMPIRE CO CL A

    (1,206 )     (249 )     (13.3 )
    (84,300 )

JFE HOLDINGS INC

    (1,205 )     51       (13.3 )
    (108,668 )

BREMBO N.V.

    (1,203 )     (58 )     (13.3 )
    (11,300 )

NITORI HOLDINGS CO LTD

    (1,200 )     (474 )     (13.3 )
    (2,090 )

SWISSCOM

    (1,162 )     (148 )     (12.9 )
    (38,345 )

KONINKLIJKE AHOLD DELHAIZE NV

    (1,154 )     (173 )     (12.8 )
    (150,183 )

PENNON GROUP PLC

    (1,142 )     (79 )     (12.6 )
    (34,370 )

DIAGEO PLC

    (1,130 )     (1 )     (12.5 )
    (26,882 )

PUMA SE

    (1,114 )     (48 )     (12.3 )
    (137,500 )

LION CORP

    (1,113 )     (290 )     (12.3 )
    (9,531 )

ALTEN

    (1,111 )     35       (12.3 )

 

 

 

SEI Institutional Investments Trust

 

109

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Equity Ex-US Fund (Concluded)

 

 
 

Shares

 

Description

 

Notional Amount (Thousands)

   

Value (Thousands)

      Percentage of Basket  
                                 
    (1,218,300 )

MAPLETREE PAN ASIA COMMERCIAL

  $ (1,098 )   $ (191 )     (12.1 )%
    (71,695 )

UMICORE

    (1,069 )     156       (11.8 )
    (6,384 )

BE SEMICOND

    (1,053 )     231       (11.6 )
    (12,374 )

REMY COINTREAU

    (1,052 )     25       (11.6 )
    (43,400 )

HITACHI CONST MACH CO LTD

    (1,046 )     (11 )     (11.6 )
    (323,700 )

HK LAND HOLDINGS

    (1,042 )     (180 )     (11.5 )
    (19,099 )

FLSMIDTH & CO.

    (1,023 )     56       (11.3 )
    (30,900 )

OMRON CORP

    (1,003 )     (265 )     (11.1 )
    (251,522 )

ILUKA RESOURCES LTD

    (996 )     (50 )     (11.0 )
    (55,490 )

KESKO OYJ B

    (994 )     (140 )     (11.0 )
    (63,123 )

WH SMITH PLC

    (990 )     (67 )     (11.0 )
    (3,628,000 )

PACIFIC BASIN

    (983 )     (15 )     (10.9 )
    (12,603 )

SYENSQO SA

    (975 )     (61 )     (10.8 )
    (50,640 )

PRAIRIESKY ROYAL

    (972 )     (76 )     (10.8 )
    (2,942 )

TECAN HLD

    (969 )     (17 )     (10.7 )
    (104,826 )

WPP PLC

    (969 )     (27 )     (10.7 )
    (16,565 )

JULIUS BAER

    (965 )           (10.7 )
    (17,934 )

SYDBANK

    (965 )     61       (10.7 )
    (30,317 )

ATS CORP

    (958 )     154       (10.6 )
    (22,587 )

SEADRILL LIMITED

    (958 )     (14 )     (10.6 )
    (3,128 )

SONOVA H AG ORD

    (953 )     (128 )     (10.5 )
    (37,900 )

SBI HOLDINGS INC

    (944 )     25       (10.4 )
    (136,671 )

PHOENIX GROUP HOLDINGS PLC

    (940 )     (71 )     (10.4 )
    (26,477 )

SPECTRIS PLC

    (930 )     (97 )     (10.3 )
    (25,100 )

YASKAWA ELECTRIC CORP

    (930 )     109       (10.3 )
    (53,443 )

NORTHLAND POWER INC

    (921 )     100       (10.2 )
    (7,457 )

COLOPLAST B

    (914 )     (95 )     (10.1 )
    (36,632 )

SIGNIFY NV

    (914 )     22       (10.1 )
    (131,800 )

HAKUHODO DY HOLDINGS INC

    (913 )     (192 )     (10.1 )
    (19,600 )

BK NOVA SCOTIA

    (906 )     (78 )     (10.0 )
    (100,246 )

RS GROUP PLC

    (896 )     (126 )     (9.9 )
    (16,041 )

ALIMENT COUC A

    (894 )     (14 )     (9.9 )
    (795,400 )

BUD APAC

    (892 )     (13 )     (9.9 )
    (64,700 )

KOITO MFG CO LTD

    (884 )     (66 )     (9.8 )
    (26,184 )

BROOKFIELD INFRASTRUCTURE-A

    (876 )     (189 )     (9.7 )
    (41,100 )

SUMITOMO HEAVY IND LTD

    (873 )     (79 )     (9.7 )
    (111,300 )

JGC HOLDINGS CORP

    (861 )     (147 )     (9.5 )
    (9,425 )

WENDEL INVESTISSEMENT

    (849 )     (99 )     (9.4 )
    (8,775 )

ELIA GROUP SA/NV

    (837 )     (117 )     (9.3 )
    (12,194 )

DKSH

    (828 )     (140 )     (9.2 )
    (57,600 )

DENKA CO LTD

    (762 )     (126 )     (8.4 )

 

 

Percentages are based on Net Assets of $7,987,356 ($ Thousands).

Real Estate Investment Trust.

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

 

Investment in Affiliated Security.

(A)

Level 3 security in accordance with fair value hierarchy.

(B)

No interest rate available.

 

 
 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Liquidity Fund, LP

  $ 35,680     $ 9     $ (35,607 )   $ (46 )   $ (36 )   $     $ 77     $  

SEI Daily Income Trust, Government Fund,
Institutional Class

    49,270       220,154       (202,556 )                 66,868       1,502        

Totals

  $ 84,950     $ 220,163     $ (238,163 )   $ (46 )   $ (36 )   $ 66,868     $ 1,579     $  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

110

 

SEI Institutional Investments Trust

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 94.2%

Australia — 2.9%

ANZ Group Holdings Ltd

    7,284     $ 150  

Aristocrat Leisure Ltd

    13,422       498  

BlueScope Steel Ltd

    7,542       106  

Capral Ltd

    7,718       48  

CAR Group Ltd

    1,297       33  

Civmec Singapore Ltd

    53,600       39  

Cochlear Ltd

    97       20  

Commonwealth Bank of Australia

    1,818       172  

Computershare Ltd

    30,817       594  

Danakali Ltd (A)

    30,918       9  

DroneShield Ltd *

    24,272       22  

EBOS Group Ltd

    2,156       47  

Fiducian Group Ltd

    2,088       12  

GenusPlus Group Ltd

    13,878       22  

Gold Road Resources Ltd

    26,862       30  

Goodman Group

    7,240       164  

GR Engineering Services Ltd

    86,981       112  

Helloworld Travel Ltd

    20,015       27  

Hipages Group Holdings Ltd *

    6,809       7  

Horizon Oil Ltd

    288,026       37  

Humm Group Ltd

    18,984       9  

Image Resources NL *

    101,423       5  

Macmahon Holdings Ltd

    286,343       65  

Medibank Pvt Ltd

    16,737       44  

National Australia Bank Ltd

    5,302       137  

NEXTDC Ltd *

    11,499       132  

Orica Ltd

    981       12  

Playside Studios Ltd *

    154,041       64  

Pro Medicus Ltd

    4,373       447  

Qube Holdings Ltd

    22,532       59  

Red 5 Ltd *

    153,367       35  

Reece Ltd

    3,235       60  

Regis Healthcare Ltd

    11,886       41  

Rio Tinto Ltd

    14,000       1,060  

Service Stream Ltd

    100,207       100  

Sigma Healthcare Ltd

    35,418       30  

SKS Technologies Group Ltd

    19,139       19  

Tuas Ltd *

    18,094       53  

Universal Store Holdings Ltd

    12,770       60  

Veem Ltd

    28,990       33  

Vysarn Ltd *

    42,249       12  

Westpac Banking Corp

    3,649       77  

XRF Scientific Ltd

    8,970       9  
              4,712  
                 

Austria — 0.1%

CA Immobilien Anlagen AG

    919       32  

Fabasoft AG

    1,487       26  

Porr Ag

    2,068       31  

Raiffeisen Bank International AG

    132       3  

Strabag SE

    389       17  
              109  
                 

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Belgium — 0.5%

Colruyt Group N.V

    617     $ 32  

Jensen-Group NV

    447       22  

KBC Group NV

    2,718       212  

Lotus Bakeries NV

    3       38  

Syensqo SA

    6,861       565  
              869  
                 

Brazil — 2.1%

Allied Tecnologia SA

    7,600       10  

Banco BTG Pactual SA

    9,500       60  

Banco do Brasil SA

    193,794       961  

Cia de Saneamento Basico do Estado de Sao Paulo SABESP

    3,600       60  

Cia De Sanena Do Parana

    7,200       36  

Dexxos Participacoes SA

    6,900       12  

Gerdau SA ADR

    2,578       8  

NU Holdings Ltd/Cayman Islands, Cl A *

    7,035       105  

Pagseguro Digital Ltd, Cl A *

    2,516       28  

Petroleo Brasileiro SA ADR

    22,349       340  

Profarma Distribuidora de Produtos Farmaceuticos SA (Brazil)

    26,300       29  

Telefonica Brasil SA

    135,000       1,239  

TOTVS SA

    81,600       431  

Ultrapar Participacoes SA

    7,800       32  

Wheaton Precious Metals Corp

    878       54  
              3,405  
                 

Burkina Faso — 0.0%

IAMGOLD Corp *

    7,487       37  
                 

Canada — 5.0%

ADENTRA Inc

    3,033       92  

Agnico Eagle Mines Limited/Mines Agnico Eagle Limitee

    3,002       245  

Alamos Gold Inc, Cl A

    5,139       99  

Atco Ltd/Canada, Cl I

    1,512       51  

Athabasca Oil Corp *

    38,290       154  

Barrick Gold Corp

    61,112       1,234  

Black Diamond Group Ltd

    2,900       21  

Brookfield Corp, Cl A

    2,317       117  

Canadian Imperial Bank of Commerce

    10,097       590  

Cargojet Inc

    381       38  

CCL Industries Inc, Cl B

    1,542       88  

Celestica Inc *

    3,665       187  

Centerra Gold Inc

    26,691       189  

CES Energy Solutions Corp

    5,470       32  

Constellation Software (A)

    66        

Constellation Software Inc/Canada

    50       163  

Coveo Solutions Inc *

    4,600       22  

D2L Inc *

    11,129       107  

Dexterra Group Inc

    6,500       30  

Dollarama Inc

    11,500       1,165  

Dorel Industries Inc, Cl B *

    9,000       44  

Dynacor Group Inc

    12,380       46  

 

 

 

SEI Institutional Investments Trust

 

111

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Element Fleet Management Corp

    4,101     $ 85  

Enghouse Systems Ltd

    500       11  

Ensign Energy Services Inc *

    17,287       32  

Extendicare Inc, Cl Trust Units

    6,100       39  

Firan Technology Group Corp *

    2,400       11  

Fortuna Mining Corp *

    17,829       82  

Great-West Lifeco Inc

    4,015       132  

Hammond Power Solutions Inc, Cl A

    199       19  

Hemisphere Energy Corp

    35,000       47  

High Liner Foods Inc

    3,000       30  

Hudbay Minerals Inc

    4,474       37  

Hydro One Ltd

    1,086       37  

iA Financial Corp Inc

    1,718       132  

InPlay Oil Corp, Cl Common Subs. Receipt

    5,300       9  

Intact Financial Corp

    188       35  

K-Bro Linen Inc

    400       11  

Keyera Corp

    1,356       41  

Kinross Gold Corp

    10,723       97  

KITS Eyecare Ltd *

    4,400       36  

Lassonde Industries Inc, Cl Common Subs. Receipt

    700       90  

Lucero Energy Corp *

    226,000       87  

Magellan Aerospace Corp

    1,500       11  

Manulife Financial Corp

    9,527       263  

Martinrea International Inc

    2,400       21  

Melcor Developments Ltd

    2,800       26  

National Bank of Canada

    1,304       120  

Neo Performance Materials Inc

    9,400       58  

Paramount Resources Ltd, Cl A

    700       14  

Pembina Pipeline Corp

    1,993       80  

PHX Energy Services Corp

    12,429       91  

Polaris Renewable Energy Inc

    1,600       14  

RB Global Inc

    377       32  

Reitmans Canada Ltd, Cl A *

    11,814       22  

Rubellite Energy Inc *

    8,700       16  

Secure Energy Services Inc

    3,527       33  

Shopify Inc, Cl A *

    651       48  

Softchoice Corp

    5,400       82  

Sprott Inc

    3,000       122  

Stella-Jones Inc

    935       64  

TC Energy Corp

    2,382       110  

Thinkific Labs Inc *

    25,200       59  

Thomson Reuters Corp

    1,333       228  

Toromont Industries Ltd

    6,597       591  

Toronto-Dominion Bank/The

    1,991       119  

Total Energy Services Inc

    7,500       53  

TransAlta Corp

    4,420       39  

Westaim Corp/The *

    14,449       42  
              8,172  
                 

Chile — 0.0%

Banco de Chile

    601,201       76  
                 

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

China — 3.6%

Agricultural Bank of China Ltd, Cl H

    778,000     $ 344  

Alibaba Group Holding Ltd ADR

    787       66  

Aluminum Corp of China Ltd, Cl H *

    52,000       33  

Anker Innovations Technology Co Ltd, Cl A *

    3,510       31  

ANTA Sports Products Ltd

    5,000       49  

Anton Oilfield Services Group/Hong Kong

    492,000       33  

APT Medical Inc, Cl A

    630       31  

Autohome Inc, Cl A

    1,500       9  

Baidu Inc, Cl A *

    3,200       34  

Beijing Roborock Technology Co Ltd, Cl A

    984       31  

Best Pacific International Holdings Ltd

    118,000       38  

Bilibili Inc, Cl Z *

    1,800       26  

Bosideng International Holdings Ltd

    60,000       29  

BYD Co Ltd, Cl H

    1,000       31  

BYD Electronic International Co Ltd

    7,500       28  

Capital Securities Co Ltd, Cl A

    11,800       32  

CGN Power Co Ltd, Cl H

    148,000       60  

China Boqi Environmental Holding Co Ltd

    121,000       11  

China Coal Energy Co Ltd, Cl H

    79,000       94  

China Construction Bank Corp, Cl H *

    1,509,000       1,068  

COSCO SHIPPING Holdings Co Ltd, Cl H

    21,500       30  

Dong-E-E-Jiao Co Ltd, Cl A

    5,600       39  

Eastroc Beverage Group Co Ltd, Cl A *

    2,700       87  

E-Star Commercial Management Co Ltd

    262,000       39  

Homeland Interactive Technology Ltd

    54,000       8  

HUTCHMED China Ltd *

    8,000       28  

Industrial & Commercial Bank of China Ltd, Cl H *

    158,000       91  

Inner Mongolia Furui Medical Science Co Ltd, Cl A *

    6,200       37  

Inner Mongolia Xingye Silver&Tin Mining Co Ltd, Cl A

    20,600       34  

Innovent Biologics Inc *

    5,000       27  

JD.com Inc, Cl A

    2,200       30  

JOYY Inc ADR

    1,562       54  

Ju Teng International Holdings Ltd *

    59,000       12  

Kuaishou Technology, Cl B *

    45,700       236  

Kweichow Moutai Co Ltd, Cl A

    400       81  

Launch Tech Co Ltd, Cl H

    77,500       50  

Lenovo Group Ltd

    286,000       352  

LexinFintech Holdings Ltd ADR

    4,723       8  

Linmon Media Ltd

    36,500       19  

Luzhou Laojiao Co Ltd, Cl A

    1,600       27  

Meituan, Cl B *

    4,500       68  

Midea Group Co Ltd, Cl A

    3,200       29  

Natural Food International Holding Ltd

    296,000       17  

NetEase Inc

    1,200       20  

New Hope Service Holdings Ltd

    73,000       17  

New Oriental Education & Technology Group Inc ADR *

    344       21  

Nongfu Spring Co Ltd, Cl H

    15,600       57  

PDD Holdings Inc ADR *

    3,415       328  

 

 

 

112

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Qifu Technology Inc ADR

    426     $ 11  

Shanghai Allist Pharmaceuticals Co Ltd, Cl A

    5,494       38  

Shenguan Holdings Group Ltd

    1,030,572       37  

Shenyang Xingqi Pharmaceutical Co Ltd, Cl A *

    2,700       33  

Shenzhen SC New Energy Technology Corp, Cl A

    2,700       18  

SITC International Holdings Co Ltd

    12,000       28  

Tencent Holdings Ltd

    20,700       1,014  

Tencent Music Entertainment Group ADR

    9,551       100  

Tianjin Development Holdings Ltd

    39,427       9  

TK Group Holdings Ltd

    26,374       6  

Tongdao Liepin Group *

    38,600       10  

Tonghua Golden-Horse Pharmaceutical Industry Co Ltd, Cl A *

    19,200       43  

Trip.com Group Ltd *

    850       40  

Vesync Co Ltd

    63,486       35  

Vipshop Holdings Ltd ADR

    18,107       227  

X Financial ADR

    3,785       19  

Xiaomi Corp, Cl B *

    40,000       100  

Xin Point Holdings Ltd

    31,000       14  

Xinfengming Group Co Ltd, Cl A

    23,099       35  

Xingye Alloy Materials Group Ltd *

    57,569       7  

Yangzijiang Shipbuilding Holdings Ltd

    45,900       88  

Zhejiang Akcome New Energy Technology Co Ltd *

    92,600       5  

Zhejiang Wanfeng Auto Wheel Co Ltd, Cl A

    23,200       44  

Zhongzhi Pharmaceutical Holdings Ltd

    69,000       8  
              5,893  
                 

Colombia — 0.0%

Aris Mining Corp *

    9,000       41  
                 

Denmark — 3.1%

ALK-Abello A/S *

    1,663       44  

AP Moller - Maersk A/S, Cl B

    927       1,385  

Coloplast A/S, Cl B

    4,381       598  

Genmab A/S *

    88       24  

MT Hoejgaard Holding A/S *

    349       11  

NKT A/S *

    326       31  

Novo Nordisk A/S ADR

    238       33  

Novo Nordisk A/S, Cl B

    12,986       1,808  

Novonesis (Novozymes) B, Cl B

    489       34  

Pandora A/S

    4,124       723  

ROCKWOOL A/S, Cl A

    943       406  

ROCKWOOL A/S, Cl B

    129       56  

Svitzer Group A/S *

    54       2  
              5,155  
                 

Finland — 1.1%

Cargotec Oyj, Cl B

    351       19  

Consti Oyj

    934       11  

Kemira Oyj

    1,344       33  

Nokia Oyj

    350,000       1,541  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Nordea Bank Abp

    7,475     $ 88  

Raisio Oyj, Cl V

    12,679       31  

Wartsila OYJ Abp, Cl B

    2,143       47  
              1,770  
                 

France — 4.8%

BNP Paribas SA

    4,846       336  

Caisse Regionale de Credit Agricole Mutuel Nord de France

    716       10  

Carrefour SA

    75,000       1,210  

Cie de Saint-Gobain SA

    1,292       113  

Danone SA

    18,000       1,251  

Dassault Aviation SA

    6,000       1,294  

Dassault Systemes SE

    174       7  

Legrand SA

    5,616       629  

LVMH Moet Hennessy Louis Vuitton SE

    1,162       867  

Pernod Ricard SA

    3,507       500  

Publicis Groupe SA

    1,136       125  

Quadient SA

    4        

Societe BIC SA

    15,887       1,076  

SPIE SA

    438       18  

Sword Group

    634       23  

Vente-Unique.Com SA

    674       10  

Veolia Environnement SA

    9,572       317  

VIEL & Cie SA

    2,019       23  
              7,809  
                 

Germany — 4.8%

adidas AG

    666       171  

AlzChem Group AG

    1,715       92  

Bastei Luebbe AG

    2,568       28  

Bayer AG

    40,000       1,234  

Cewe Stiftung & Co KGAA

    400       45  

Continental AG

    19,311       1,306  

Covestro AG

    14,000       858  

CTS Eventim AG & Co KGaA

    372       35  

Deutsche Bank AG

    11,630       190  

Deutsche Boerse AG

    310       70  

DWS Group GmbH & Co KGaA

    1,207       47  

E.ON SE

    6,535       93  

Evonik Industries AG

    3,315       73  

Heidelberg Materials AG

    2,278       241  

Knorr-Bremse AG

    937       77  

KSB SE & Co KGaA

    47       33  

MBB SE

    719       82  

Mercedes-Benz Group AG

    15,228       1,051  

Merck KGaA

    439       85  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    555       301  

Platform Group AG *

    735       7  

Rational AG

    26       26  

Rheinmetall AG

    103       62  

SAP SE

    5,066       1,109  

Scout24 SE

    7,192       550  

 

 

 

SEI Institutional Investments Trust

 

113

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

SUSS MicroTec SE

    984     $ 63  

Traton SE

    1,012       33  
              7,962  
                 

Greece — 0.1%

Eurobank Ergasias Services and Holdings SA

    11,925       27  

National Bank of Greece SA

    5,253       46  

Piraeus Port Authority SA

    1,814       54  

StealthGas Inc *

    1,351       8  
              135  
                 

Guatemala — 0.0%

Millicom International Cellular SA *

    1,323       34  
                 

Hong Kong — 3.3%

AIA Group Ltd

    215,000       1,528  

Ajisen China Holdings Ltd

    417,000       47  

Analogue Holdings Ltd

    39,789       5  

Build King Holdings Ltd

    25,302       3  

Dream International Ltd

    90,000       48  

Hang Seng Bank Ltd

    4,700       57  

Hong Kong Exchanges & Clearing Ltd

    17,200       530  

Jacobson Pharma Corp Ltd

    126,000       10  

Johnson Electric Holdings Ltd

    16,001       22  

Lee's Pharmaceutical Holdings Ltd

    118,220       19  

LH GROUP LTD

    56,000       3  

Midland Holdings Ltd *

    445,994       41  

Nameson Holdings Ltd

    448,000       39  

New Times Corp Ltd *

    578,000       4  

PAX Global Technology Ltd

    137,000       80  

Perennial Energy Holdings Ltd

    374,436       55  

Plover Bay Technologies Ltd

    152,000       76  

Sitoy Group Holdings Ltd

    322,000       22  

Smart-Core Holdings Ltd

    134,000       21  

Solargiga Energy Holdings Ltd *

    260,000       3  

Stella International Holdings Ltd

    34,500       65  

Sundart Holdings Ltd *

    274,000       13  

Swire Pacific Ltd, Cl A

    135,500       1,150  

Techtronic Industries Co Ltd

    15,500       209  

Texwinca Holdings Ltd

    629,257       71  

Tian An China Investment Co Ltd

    14,000       7  

Time Watch Investments Ltd

    263,233       14  

VTech Holdings Ltd

    195,000       1,267  

YTO International Express & Supply Chain Technology Ltd

    132,000       20  
              5,429  
                 

Hungary — 0.1%

AutoWallis Nyrt *

    32,362       13  

MOL Hungarian Oil & Gas PLC

    6,055       46  

OTP Bank Nyrt

    712       37  
              96  
                 

India — 2.5%

ABB India Ltd

    342       32  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Adani Power Ltd *

    5,469     $ 41  

Alkem Laboratories Ltd

    421       31  

Aurobindo Pharma Ltd

    3,356       63  

Authum Investment & Infrastucture Ltd *

    1,308       26  

Bajaj Auto Ltd

    344       45  

Bengal & Assam Co Ltd

    346       41  

Bharat Petroleum Corp Ltd

    22,302       95  

Bharti Airtel Ltd

    1,859       35  

CG Power & Industrial Solutions Ltd

    4,244       35  

Coal India Ltd

    103,581       648  

Colgate-Palmolive India Ltd

    4,386       190  

DB Corp Ltd

    63,687       255  

Dr Reddy's Laboratories Ltd

    1,938       163  

Eco Recycling Ltd *

    4,660       58  

Forbes & Co Ltd *

    242       2  

Forbes Precision Tools & Machicne Parts

    2,152       9  

Great Eastern Shipping Co Ltd/The

    2,091       33  

Gulf Oil Lubricants India Ltd

    16,249       274  

HDFC Bank Ltd ADR

    12,948       791  

Hindustan Aeronautics Ltd

    4,757       265  

ICICI Bank Ltd

    9,572       140  

IIFL Securities Ltd

    43,051       142  

Indraprastha Medical Corp Ltd

    15,048       71  

Infosys Ltd

    1,830       42  

InterGlobe Aviation Ltd *

    552       32  

J Kumar Infraprojects Ltd

    3,373       34  

Kotak Mahindra Bank Ltd

    3,242       69  

Larsen & Toubro Ltd

    724       32  

Mahindra & Mahindra Ltd

    888       30  

MakeMyTrip Ltd *

    519       50  

Oil India Ltd

    14,118       125  

State Bank of India

    4,903       48  

Trent Ltd

    792       68  

United Spirits Ltd

    2,089       37  

UNO Minda Ltd

    2,748       39  
              4,091  
                 

Indonesia — 0.5%

Adira Dinamika Multi Finance Tbk PT

    28,800       21  

Akasha Wira International Tbk PT *

    24,200       15  

Asahimas Flat Glass Tbk PT

    33,200       10  

Asuransi Tugu Pratama Indonesia Tbk PT

    709,700       52  

Bank Central Asia Tbk PT

    87,700       59  

Bank OCBC Nisp Tbk PT

    220,300       19  

Baramulti Suksessarana Tbk PT

    60,207       19  

Barito Pacific Tbk PT

    387,719       29  

BISI International Tbk PT

    370,703       37  

Chandra Asri Pacific Tbk PT

    83,500       54  

Cisadane Sawit Raya Tbk PT

    355,055       16  

Elnusa Tbk PT

    4,519,600       140  

Golden Energy Mines Tbk PT

    42,600       38  

IMC Pelita Logistik TBK PT

    761,997       21  

Japfa Comfeed Indonesia Tbk PT *

    551,583       57  

Jasa Armada Indonesia Tbk PT

    995,800       17  

 

 

 

114

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Jasuindo Tiga Perkasa Tbk

    1,130,200     $ 20  

Malindo Feedmill Tbk PT *

    474,100       25  

Mitrabahtera Segara Sejati Tbk PT *

    337,947       22  

Mitrabara Adiperdana Tbk PT

    34,214       8  

Ramayana Lestari Sentosa Tbk PT

    336,300       9  

Resource Alam Indonesia Tbk PT

    633,307       27  

Salim Ivomas Pratama Tbk PT

    184,952       5  

Samudera Indonesia Tbk PT

    616,066       14  

Soechi Lines Tbk PT *

    3,302,800       38  

Sunindo Pratama Tbk PT

    195,800       10  

Uni-Charm Indonesia Tbk PT

    168,400       11  
              793  
                 

Ireland — 1.3%

Accenture PLC, Cl A

    2,574       880  

AerCap Holdings NV

    607       59  

AIB Group PLC

    198,592       1,197  
              2,136  
                 

Israel — 1.5%

Camtek Ltd/Israel

    603       55  

Check Point Software Technologies Ltd *

    8,879       1,709  

Nice Ltd ADR *

    810       141  

Nova Ltd *

    252       56  

Teva Pharmaceutical Industries Ltd ADR *

    2,025       38  

Wix.com Ltd *

    3,263       544  
              2,543  
                 

Italy — 1.9%

A2A SpA

    20,230       46  

Banca Popolare di Sondrio SPA

    4,748       37  

BPER Banca SPA

    8,380       47  

Brunello Cucinelli SpA

    611       60  

Enel SpA

    44,669       339  

Ferrari NV

    244       121  

Intesa Sanpaolo SpA

    259,681       1,082  

Leonardo SpA

    13,274       337  

Maire SpA

    7,444       65  

Powersoft SpA

    4,500       73  

PRADA SpA

    4,100       29  

UniCredit SpA

    21,456       888  
              3,124  
                 

Japan — 11.3%

ABC-Mart Inc

    2,300       47  

Ad-sol Nissin Corp

    1,200       15  

Ainavo Holdings Co Ltd

    1,875       17  

AlphaPolis Co Ltd *

    900       15  

Anest Iwata Corp

    5,800       50  

Asics Corp

    1,900       38  

Atled Corp

    1,100       12  

Avant Group Corp

    2,400       30  

Brother Industries Ltd

    71,300       1,322  

Business Brain Showa-Ota Inc

    3,300       44  

Capcom Co Ltd

    492       11  

Central Japan Railway Co

    8,100       188  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Chugai Pharmaceutical Co Ltd

    1,100     $ 56  

CyberAgent Inc

    3,700       26  

Dai-ichi Life Holdings Inc

    7,100       204  

Daiichi Sankyo Co Ltd

    3,800       159  

Daiwa Securities Group Inc

    19,300       142  

Dentsu Group Inc

    42,300       1,301  

Digital Arts Inc

    200       6  

East Japan Railway Co

    9,100       175  

Ebase Co Ltd

    2,300       10  

en Japan Inc

    1,400       24  

ENEOS Holdings Inc

    12,800       69  

Enshu Truck Co Ltd

    600       10  

F&M Co Ltd

    800       9  

Fast Retailing Co Ltd

    400       128  

Freund Corp

    1,700       9  

FTGroup Co Ltd

    5,200       43  

Fuji Furukawa Engineering & Construction Co Ltd

    400       17  

Fujii Sangyo Corp

    600       10  

Fujikura Ltd

    1,500       43  

Fujitsu Ltd

    33,740       620  

Furuno Electric Co Ltd

    1,300       16  

Fuso Pharmaceutical Industries Ltd

    1,000       16  

Goldwin Inc

    500       31  

Hirose Electric Co Ltd

    300       39  

Hirose Tusyo Inc

    900       25  

Hitachi Ltd

    2,500       61  

Hokkaido Gas Co Ltd

    1,000       22  

Hokuriku Gas Co Ltd

    200       5  

Hoya Corp

    5,100       721  

Ichikoh Industries Ltd

    4,500       14  

Idemitsu Kosan Co Ltd

    10,300       75  

INFRONEER Holdings Inc

    3,600       30  

Inpex Corp

    2,000       30  

Invincible Investment Corp

    196       87  

Japan Living Warranty Inc

    500       10  

Jeol Ltd

    300       14  

JFE Systems Inc

    500       10  

Kamakura Shinsho Ltd

    2,200       6  

Kanefusa Corp

    2,300       12  

KDDI Corp

    3,200       108  

Keio Corp

    2,200       54  

Keisei Electric Railway Co Ltd

    1,300       41  

Kewpie Corp

    2,800       72  

Keyence Corp

    1,400       669  

Kikkoman Corp

    2,300       26  

Kimura Unity Co Ltd

    2,700       29  

Kita-Nippon Bank Ltd/The

    1,200       21  

Kobe Bussan Co Ltd

    1,200       35  

Koito Manufacturing Co Ltd

    80,000       1,177  

KOZO KEIKAKU ENGINEERING HOLDINGS Inc

    300       8  

Kubota Corp

    8,100       113  

Kuraray Co Ltd

    1,300       17  

 

 

 

SEI Institutional Investments Trust

 

115

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Kyoritsu Maintenance Co Ltd

    2,200     $ 36  

Kyowa Electronic Instruments Co Ltd

    9,800       28  

Loginet Japan Co Ltd

    500       10  

M3 Inc

    43,000       416  

Matching Service Japan Co Ltd

    2,300       17  

Mazda Motor Corp

    6,600       55  

Mitsubishi Corp

    600       12  

Mitsui & Co Ltd

    2,800       60  

Mizuho Financial Group Inc

    1,600       33  

MS&AD Insurance Group Holdings Inc

    11,400       262  

Murakami Corp

    2,200       68  

Murata Manufacturing Co Ltd

    1,500       31  

Nagoya Railroad Co Ltd

    2,300       28  

NEC Corp

    400       35  

NEOJAPAN Inc

    3,400       43  

Nicca Chemical Co Ltd

    1,500       13  

Nice Corp

    1,700       22  

Nichirei Corp

    3,900       117  

NIDEC CORP

    1,200       49  

Nihon Trim Co Ltd

    1,000       26  

Nikon Corp

    108,700       1,164  

Nippi Inc

    200       8  

Nippon Sanso Holdings Corp

    1,000       34  

Nippon Yusen KK

    1,000       36  

Nissan Motor Co Ltd

    3,000       9  

Nissan Tokyo Sales Holdings Co Ltd

    16,600       55  

Nissui Corp

    7,100       45  

NJS Co Ltd

    1,900       50  

Nomura Research Institute Ltd

    1,200       41  

OBIC Business Consultants Co Ltd

    1,800       88  

Obic Co Ltd

    1,300       226  

Ochi Holdings Co Ltd

    1,200       12  

OIE Sangyo Co Ltd

    700       10  

Onamba Co Ltd

    1,900       16  

Optim Corp *

    4,600       20  

Oracle Corp Japan

    900       81  

Oro Co Ltd

    4,200       65  

Otsuka Corp

    3,400       81  

Otsuka Holdings Co Ltd

    1,800       106  

Persol Holdings Co Ltd

    5,000       10  

PR Times Corp *

    3,000       35  

Recruit Holdings Co Ltd

    14,800       920  

Resonac Holdings Corp

    1,300       32  

Riken Technos Corp

    9,200       65  

Sakata INX Corp

    3,100       36  

Sanwa Holdings Corp

    5,100       116  

Sapporo Holdings Ltd

    600       30  

SCREEN Holdings Co Ltd

    2,400       180  

SCSK Corp

    4,100       82  

Sekisui House Ltd

    1,900       49  

Sekisui Kasei Co Ltd

    6,800       20  

Shimano Inc

    1,800       339  

Shimojima Co Ltd

    4,200       37  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Skylark Holdings Co Ltd

    900     $ 14  

SMK Corp

    500       8  

SMS Co Ltd

    34,100       514  

Sompo Holdings Inc

    600       14  

Sugi Holdings Co Ltd

    3,500       61  

Sumitomo Electric Industries Ltd

    2,900       48  

System Support Inc

    1,100       15  

T&D Holdings Inc

    3,500       59  

Takashimaya Co Ltd

    12,800       98  

Tayca Corp

    34        

Terumo Corp

    7,600       140  

TIS Inc

    6,400       160  

Toei Animation Co Ltd

    19,100       410  

Toell Co Ltd

    2,500       14  

Toho Holdings Co Ltd

    1,600       53  

Tohoku Electric Power Co Inc

    3,300       30  

Tokio Marine Holdings Inc

    2,400       91  

Tokyo Electron Ltd

    1,500       266  

Tokyu Fudosan Holdings Corp

    20,700       148  

Tonami Holdings Co Ltd

    600       26  

Towa Bank Ltd/The

    10,000       43  

Toyo Suisan Kaisha Ltd

    1,300       81  

Toyokumo Inc

    1,200       17  

Toyota Motor Corp

    13,200       250  

Toyota Tsusho Corp

    1,200       23  

Trend Micro Inc/Japan

    5,700       342  

Trinity Industrial Corp

    3,700       27  

Tsubakimoto Kogyo Co Ltd

    2,100       27  

TYK Corp/Tokyo

    6,200       18  

UBE Corp

    1,600       29  

Ubicom Holdings Inc

    1,600       15  

USS Co Ltd

    3,400       31  

Wacom Co Ltd

    4,000       19  

Wadakohsan Corp

    1,800       17  

Yamaha Corp

    60,000       1,441  

Yamaha Motor Co Ltd

    4,600       40  

Yokogawa Electric Corp

    3,800       107  

ZIGExN Co Ltd

    3,100       12  
              18,611  
                 

Luxembourg — 0.7%

Birkenstock Holding Plc *

    1,341       67  

SES SA, Cl A *

    210,000       1,132  
              1,199  
                 

Macao — 0.7%

MGM China Holdings Ltd

    19,200       26  

Sands China Ltd *

    600,000       1,095  

Wynn Macau Ltd

    26,000       18  
              1,139  
                 

Malaysia — 1.0%

Aeon Co M Bhd

    314,800       105  

Allianz Malaysia Bhd

    13,700       65  

Amway Malaysia Holdings Bhd

    16,000       25  

 

 

 

116

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Bursa Malaysia Bhd

    15,200     $ 33  

CB Industrial Product Holding Bhd

    160,100       50  

CCK Consolidated Holdings BHD

    357,700       139  

Chin Well Holdings BHD

    93,700       22  

CIMB Group Holdings Bhd

    33,000       63  

Dayang Enterprise Holdings Bhd

    211,000       127  

Deleum Bhd

    201,400       67  

Dialog Group Bhd

    163,300       89  

Favelle Favco Bhd

    25,000       11  

Gas Malaysia Bhd

    75,400       64  

Innoprise Plantations BHD

    53,500       19  

Kawan Food Bhd

    105,800       41  

Keck Seng Malaysia Bhd

    10,500       14  

Kim Loong Resources Bhd

    164,100       91  

LBS Bina Group Bhd

    186,900       27  

Mah Sing Group Bhd

    301,700       114  

Malayan Flour Mills Bhd

    200,400       34  

MISC Bhd

    38,200       74  

MKH Bhd

    99,700       30  

MKH Oil Palm East Kalimantan Bhd

    14,243       2  

MNRB Holdings Bhd

    24,400       12  

My EG Services Bhd

    135,300       28  

Mynews Holdings Bhd

    94,700       13  

Oriental Food Industries Holdings BHD

    38,100       15  

Panasonic Manufacturing Malaysia BHD

    20,000       93  

Paramount Corp Bhd

    95,200       24  

Petra Energy Bhd

    53,700       18  

Petron Malaysia Refining & Marketing Bhd

    32,400       33  

Sunway Bhd

    38,000       36  

Tambun Indah Land Bhd

    93,800       21  

YTL Power International Bhd

    75,900       68  
              1,667  
                 

Mexico — 0.1%

Grupo Comercial Chedraui SA de CV

    3,900       30  

Southern Copper Corp

    1,045       106  
              136  
                 

Netherlands — 3.4%

ABN AMRO Bank NV

    16,981       291  

Argenx SE ADR *

    76       39  

ASM International NV

    39       26  

ASML Holding NV

    840       755  

Flow Traders Ltd

    70,000       1,353  

Fugro NV

    1,548       39  

IMCD NV

    3,407       557  

ING Groep NV

    37,073       673  

Koninklijke BAM Groep NV

    7,256       30  

Koninklijke KPN NV

    60,830       249  

Koninklijke Vopak NV

    995       46  

NN Group NV

    5,320       261  

Universal Music Group NV

    21,258       556  

Wolters Kluwer NV

    3,795       648  
              5,523  
                 

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

New Zealand — 0.1%

Briscoe Group Ltd

    10,569     $ 29  

Eroad Ltd *

    13,692       11  

Meridian Energy Ltd

    8,463       34  

Steel & Tube Holdings Ltd

    43,347       27  
              101  
                 

Norway — 0.6%

AutoStore Holdings Ltd *

    96,946       103  

Elopak ASA

    24,387       99  

Gjensidige Forsikring ASA

    27,008       479  

Kongsberg Gruppen ASA

    806       85  

Odfjell SE, Cl A

    4,342       61  

Reach Subsea ASA

    55,919       41  

Selvaag Bolig ASA

    4,132       14  

Wallenius Wilhelmsen ASA, Cl B

    3,671       38  

Wilh Wilhelmsen Holding ASA, Cl B

    1,027       39  
              959  
                 

Philippines — 0.0%

Delta Djakarta Tbk PT

    34,500       5  

San Miguel Food and Beverage Inc

    15,780       15  

SM Investments Corp

    2,090       33  
              53  
                 

Poland — 0.4%

AB SA

    3,132       79  

Alior Bank SA

    1,500       40  

Amica SA

    721       12  

Arctic Paper SA

    13,089       69  

Bank Polska Kasa Opieki SA

    862       35  

Budimex SA

    178       28  

Comp SA *

    524       16  

Grupa Kety SA

    94       19  

Powszechna Kasa Oszczednosci Bank Polski SA

    7,567       113  

Rainbow Tours SA

    4,113       113  

Stalprodukt SA *

    672       41  

Sygnity *

    550       9  

Toya SA *

    24,097       48  

VRG SA

    2,427       2  
              624  
                 

Portugal — 0.0%

Banco Comercial Portugues SA, Cl R

    46,746       21  
                 

Qatar — 0.3%

Ooredoo QPSC

    146,969       445  
                 

Russia — 0.0%

Exillon Energy PLC *

    4,819        
                 

Saudi Arabia — 0.1%

Co for Cooperative Insurance/The

    2,151       91  

Saudi Chemical Co Holding

    18,901       60  
              151  
                 

 

 

 

SEI Institutional Investments Trust

 

117

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Singapore — 0.7%

Boustead Singapore Ltd

    35,165     $ 27  

BRC Asia Ltd

    77,500       135  

Centurion Corp Ltd

    101,500       56  

China Aviation Oil Singapore Corp Ltd

    18,900       13  

Credit Bureau Asia Ltd

    23,400       16  

DBS Group Holdings Ltd

    9,110       254  

Grab Holdings Ltd, Cl A *

    8,597       28  

HRnetgroup Ltd

    29,400       16  

IGG Inc *

    62,000       26  

Japfa Ltd

    168,800       45  

Keppel DC REIT

    45,500       74  

OM Holdings Ltd

    93,414       24  

Oversea-Chinese Banking Corp Ltd

    11,000       123  

Pacific Century Regional Developments Ltd

    23,100       6  

Sea Ltd ADR *

    718       56  

Sing Investments & Finance Ltd

    32,550       25  

Singapore Airlines Ltd

    12,200       59  

Singapore Exchange Ltd

    6,000       50  

Singapore Telecommunications Ltd

    18,400       44  

Wee Hur Holdings Ltd

    145,700       25  
              1,102  
                 

South Africa — 2.2%

Altron Ltd, Cl A

    6,201       6  

Anglo American PLC

    43,000       1,255  

Capitec Bank Holdings Ltd

    206       34  

Clicks Group Ltd

    46,621       981  

Combined Motor Holdings Ltd

    8,771       17  

Karooooo Ltd

    688       26  

Premier Group Ltd

    3,801       16  

Tiger Brands Ltd

    100,000       1,327  
              3,662  
                 

South Korea — 4.2%

Celltrion Inc

    202       31  

CROWNHAITAI Holdings Co Ltd

    4,330       19  

Dongwon F&B Co Ltd

    4,550       115  

Eusu Holdings Co Ltd

    11,089       44  

Hana Financial Group Inc

    5,877       272  

Hanmi Semiconductor Co Ltd

    422       36  

Hansol Holdings Co Ltd

    7,879       15  

HD Hyundai Electric Co Ltd

    157       36  

Heungkuk Fire & Marine Insurance Co Ltd *

    3,930       11  

HLB Inc *

    640       43  

Hyundai Motor Co

    256       49  

KB Financial Group Inc

    406       26  

Kia Corp

    1,244       99  

KT&G Corp

    17,000       1,377  

Kukbo Design Co Ltd

    1,270       16  

LG Corp

    20,000       1,186  

LG H&H Co Ltd

    4,905       1,302  

LigaChem Biosciences Inc *

    646       47  

Maeil Holdings Co Ltd

    9,522       60  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

MegaStudy Co Ltd

    4,696     $ 40  

Miwon Chemicals Co Ltd

    184       11  

Muhak Co Ltd

    5,967       27  

Multicampus Co Ltd

    1,160       26  

NICE Holdings Co Ltd

    2,655       22  

Samsung Electronics Co Ltd

    25,115       1,397  

SeAH Holdings Corp

    33       2  

SGC E&C Co Ltd

    907       11  

Shinhan Financial Group Co Ltd

    3,434       144  

Shinsegae Food Co Ltd

    626       17  

SK Hynix Inc

    947       123  

SNT Holdings Co Ltd

    1,440       24  

WiSoL Co Ltd

    5,409       26  

Woori Financial Group Inc

    14,675       176  
              6,830  
                 

Spain — 1.6%

ACS Actividades de Construccion y Servicios SA

    929       42  

Banco Santander SA

    87,232       434  

Bankinter SA

    3,477       31  

CaixaBank SA

    22,744       138  

Grupo Empresarial San Jose SA

    10,474       50  

Iberdrola SA

    10,096       143  

Industria de Diseno Textil SA

    30,282       1,642  

Naturgy Energy Group SA *

    4,206       107  
              2,587  
                 

Sweden — 1.9%

AAK AB

    2,207       68  

Alfa Laval AB

    919       41  

Arla Plast AB

    2,194       11  

Assa Abloy AB, Cl B

    24,602       795  

Atlas Copco AB, Cl A

    13,501       245  

Castellum AB

    1,638       23  

Enea AB *

    2,484       22  

Fastighets AB Balder, Cl B *

    9,409       74  

FM Mattsson AB, Cl B

    67        

Hexagon AB, Cl B

    47,313       485  

ITAB Shop Concept AB

    55,846       146  

Mycronic AB

    972       36  

Prevas AB, Cl B

    1,124       15  

Proact IT Group AB

    4,524       69  

Skandinaviska Enskilda Banken AB, Cl A

    5,837       90  

Skanska AB, Cl B

    3,667       74  

Telefonaktiebolaget LM Ericsson ADR

    46,769       349  

Trelleborg AB, Cl B

    809       32  

Volvo AB, Cl B

    20,977       558  
              3,133  
                 

Switzerland — 4.6%

ABB Ltd

    22,078       1,265  

Accelleron Industries AG

    1,498       78  

Belimo Holding AG

    118       79  

Cicor Technologies Ltd

    331       20  

 

 

 

118

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Givaudan SA

    88     $ 452  

Klingelnberg AG

    428       8  

Logitech International SA

    8,673       785  

Mikron Holding AG

    1,086       24  

Novartis AG

    3,882       467  

On Holding AG, Cl A *

    721       34  

Partners Group Holding AG

    702       1,010  

Phoenix Mecano AG

    35       18  

Sandoz Group AG

    131       6  

Schindler Holding AG

    389       108  

Sika AG

    1,802       578  

Swatch Group AG/The

    5,400       1,132  

Swissquote Group Holding SA

    180       64  

UBS Group AG

    27,147       831  

VAT Group AG

    1,173       605  

Ypsomed Holding AG

    74       36  
              7,600  
                 

Taiwan — 4.3%

104 Corp

    9,000       65  

Asia Tech Image Inc

    43,000       111  

ASROCK Inc

    5,000       32  

Asustek Computer Inc

    35,000       588  

Chicony Electronics Co Ltd

    7,000       35  

Compal Electronics Inc

    18,000       19  

CviLux Corp

    37,000       78  

Ennoconn Corp

    14,000       130  

Eva Airways Corp

    33,000       36  

Evergreen Marine Corp Taiwan Ltd

    20,200       119  

Everlight Electronics Co Ltd

    30,000       74  

Far EasTone Telecommunications Co Ltd

    67,000       190  

Fortune Electric Co Ltd

    2,200       46  

General Plastic Industrial Co Ltd

    34,000       39  

Genesis Technology Inc/Taiwan

    1,001       2  

Global Lighting Technologies Inc

    11,000       21  

Goldsun Building Materials Co Ltd

    28,000       48  

Hon Hai Precision Industry Co Ltd

    16,000       92  

IBF Financial Holdings Co Ltd

    130,427       64  

Insyde Software Corp

    21,600       295  

International Games System Co Ltd

    2,000       49  

KGI Financial Holding Co Ltd

    105,000       53  

Lida Holdings Ltd

    13,000       11  

Lotes Co Ltd

    6,000       287  

Makalot Industrial Co Ltd

    3,000       36  

MediaTek Inc

    18,000       698  

Novatek Microelectronics Corp

    21,000       355  

Powertech Technology Inc

    8,000       36  

Radiant Opto-Electronics Corp

    6,000       37  

Realtek Semiconductor Corp

    23,000       385  

Rich Honour International Designs Co Ltd

    20,000       52  

San Fang Chemical Industry Co Ltd

    17,000       18  

Shih Her Technologies Inc

    15,000       50  

Sonix Technology Co Ltd

    9,000       13  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Taiwan Semiconductor Manufacturing Co Ltd

    50,000     $ 1,475  

Taiwan Semiconductor Manufacturing Co Ltd ADR

    5,846       1,004  

Tofu Restaurant Co Ltd

    6,000       48  

Uni-President Enterprises Corp

    19,000       49  

Univacco Technology Inc

    26,000       48  

Wah Hong Industrial Corp

    22,000       24  

Wan Hai Lines Ltd

    13,000       34  

Well Shin Technology Co Ltd

    38,000       84  

WT Microelectronics Co Ltd

    11,000       41  

X-Legend Entertainment Co Ltd

    9,000       31  

Ya Horng Electronic Co Ltd

    11,000       21  

Yuen Foong Yu Consumer Products Co Ltd

    11,000       17  
              7,040  
                 

Thailand — 0.2%

Bangkok Dusit Medical Services PCL NVDR

    67,300       55  

Central Pattana PCL NVDR

    20,600       36  

Kang Yong Electric PCL

    1,100       9  

Ladprao General Hospital PCL

    22,200       3  

Lanna Resources PCL

    228,300       117  

Lanna Resources PCL NVDR

    121,100       62  

Precise Corp PCL NVDR

    195,200       16  

Thai Oil PCL NVDR

    1,962       3  

Thai Wah PCL NVDR

    16,600       2  

Thantawan Industry PCL

    8,900       7  

Valeura Energy Inc *

    17,600       67  
              377  
                 

Türkiye — 0.0%

BIM Birlesik Magazalar AS

    1,629       26  

Turkcell Iletisim Hizmetleri AS

    11,995       34  
              60  
                 

United Arab Emirates — 0.2%

Abu Dhabi Islamic Bank PJSC

    11,272       39  

Abu Dhabi National Insurance Co PSC

    6,055       10  

ADNOC Drilling Co PJSC

    57,649       69  

Emaar Properties PJSC

    22,199       51  

Emirates NBD Bank PJSC

    31,212       167  

Orascom Construction PLC

    15,067       81  
              417  
                 

United Kingdom — 8.6%

Barclays PLC

    470,000       1,422  

Barclays PLC ADR

    37,845       461  

Burberry Group PLC

    122,000       1,073  

Centrica PLC

    14,532       25  

Costain Group PLC

    104,879       143  

Diageo PLC

    20,416       667  

Diploma PLC

    8,715       514  

Halma PLC

    29,808       1,026  

Hargreaves Services PLC

    5,863       45  

Imperial Brands PLC

    55,000       1,580  

Investec PLC

    72,074       550  

 

 

 

SEI Institutional Investments Trust

 

119

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

ITV PLC

    1,333,564     $ 1,406  

London Stock Exchange Group PLC

    7,333       990  

Mears Group PLC

    59,243       297  

Morgan Sindall Group PLC

    2,919       115  

NatWest Group PLC

    76,682       350  

Norcros PLC

    9,930       30  

Odfjell Technology Ltd

    8,162       42  

Reckitt Benckiser Group PLC

    23,000       1,324  

RELX PLC

    19,558       910  

Severfield PLC

    54,302       59  

Tatton Asset Management PLC

    2,276       21  

TORM PLC, Cl A

    767       28  

WPP PLC

    110,000       1,054  

XPS Pensions Group PLC

    2,585       10  
              14,142  
                 

United States — 7.8%

Alcon Inc

    2,327       226  

Aon PLC, Cl A

    3,251       1,117  

BP PLC

    200,000       1,133  

BRP Inc

    6,189       449  

CyberArk Software Ltd *

    856       245  

Envista Holdings Corp *

    70,000       1,278  

Experian PLC

    17,391       846  

Harley-Davidson Inc

    30,166       1,129  

Holcim AG

    264       25  

James Hardie Industries PLC *

    6,057       226  

JBS S/A

    10,000       61  

Molson Coors Canada Inc, Cl B

    600       32  

Monday.com Ltd *

    834       222  

Roche Holding AG

    4,362       1,477  

Sanofi SA

    11,500       1,288  

Signify NV

    47,833       1,178  

Spotify Technology SA *

    1,872       642  

Titan Cement International SA

    1,868       67  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Western Union Co/The

    89,464     $ 1,092  
              12,733  
                 

Total Common Stock

               

(Cost $137,260) ($ Thousands)

            154,703  
                 

PREFERRED STOCK — 1.3%

Brazil — 0.1%

Banco Mercantil do Brasil SA (B)

    1,400       9  

Cia Energetica de Minas Gerais (B)

    25,900       53  

Itau Unibanco Holding SA (B)

    15,300       99  

Petroleo Brasileiro SA (B)

    1,700       12  
              173  
                 

Germany — 1.2%

Henkel AG & Co KGaA (B)

    17,096       1,566  

Sartorius AG (B)

    1,569       433  
              1,999  
                 

Total Preferred Stock

               

(Cost $2,169) ($ Thousands)

            2,172  
                 

EXCHANGE TRADED FUNDS — 0.1%

United States — 0.1%

iShares Core MSCI EAFE ETF

    882       68  

iShares MSCI Emerging Markets ETF

    659       29  
                 

Total Exchange Traded Funds

               

(Cost $97) ($ Thousands)

            97  
                 

CASH EQUIVALENT — 2.5%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    4,095,350       4,095  

Total Cash Equivalent

               

(Cost $4,095) ($ Thousands)

            4,095  

Total Investments in Securities — 98.1%

               

(Cost $143,621) ($ Thousands)

  $ 161,067  
                 
                 

 

 
 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Long Contracts

                                       

Euro STOXX 50

    20       Sep-2024     $ 1,068     $ 1,100     $ 13  

FTSE 100 Index

    7       Sep-2024       754       771       9  

Hang Seng Index

    4       Sep-2024       453       461       8  

S&P TSX 60 Index

    3       Sep-2024       612       625       6  

SPI 200 Index

    6       Sep-2024       795       819       15  

TOPIX Index

    4       Sep-2024       704       746       37  
                    $ 4,386     $ 4,522     $ 88  

 

 

 

120

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund (Continued)

 

 

A list of the open OTC swap agreement held by the Fund at August 31, 2024, is as follows:

 

Total Return Swap

Counterparty

 

Reference Entity/ Obligation

   

Fund Pays

   

Fund Receives

   

Payment Frequency

   

Termination Date

   

Currency

   

Notional
Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/
Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 

Morgan Stanley

 

U.S. Custom Basket of Securities

      1 Month + 5.33 %  

ASSET RETURN

      Annually       12/31/2049       USD       (181 )   $ (112 )   $     $ (112 )
                                                            $ (112 )   $     $ (112 )

 

The following table represents the top 50 individual stock exposures or those exceeding 1% of the Custom Basket Total Return Swap as of August 31, 2024:

 

United States Custom Basket of Long Securities

 

 

Shares

 

Description

 

Notional Amount (Thousands)

   

Value (Thousands)

      Percentage of Basket  
                                 
    5,965  

NOVARTIS AG

  $ 629     $ 75       348.1 %
    475  

ASML Holding N.V. New York Registry Shar

    500       (82 )     276.8  
    28,800  

JAPAN POST HOLDINGS CO LTD

    269       5       149.0  
    6,327  

HALMA PLC

    219       (6 )     121.4  
    5,880  

SHELL PLC

    203       1       112.5  
    1,182  

ASTRAZENECA PLC

    186       17       103.1  
    3,785  

RELX PLC

    171       1       94.8  
    1,473  

LOBLAW COS LTD

    167       21       92.6  
    10,491  

ENGIE SA

    167       16       92.4  
    5,700  

PAN PACIFIC INTERNATIONAL HOLDINGS CORP

    134       8       74.1  
    2,813  

EXPERIAN PLC

    132       2       72.9  
    3,890  

IMMOFIN ANLAGE

    125       10       69.3  
    49,666  

LONDONMETRIC PROPERTY PLC

    122       10       67.4  
    29,934  

NATWEST GROUP PLC

    122       14       67.3  
    20,043  

ROLLS-ROYCE HOLDINGS PLC

    117       11       65.0  
    13,236  

HSBC HOLDINGS PLC

    115       -       63.5  
    1,143  

EURONEXT NV

    109       10       60.5  
    19,109  

GLENCORE PLC

    108       (8 )     59.7  
    5,293  

GSK PLC

    107       6       59.5  
    2,764  

3I GROUP PLC

    107       7       59.2  
    896  

NEXT PLC

    103       16       56.9  
    131,200  

YTL CORPORATION

    102       (17 )     56.3  
    4,300  

HITACHI LTD

    91       13       50.5  
    23,898  

MARKS & SPENCER GROUP PLC

    90       16       49.7  
    641  

GTT

    86       11       47.7  
    8,269  

VIVENDI

    84       6       46.7  
    2,073  

ACCOR SA

    83       2       45.9  
    1,093  

COCA-COLA EUROPACIFIC PARTNERS

    81       5       45.1  
    5,552  

MEDIOBANCA

    81       11       44.9  
    1,800  

KAO CORP

    81       -       44.8  
    777  

INTERCONTINENTAL HOTELS GROU

    80       (4 )     44.4  
    915  

COMPAGNIE DE SAINT GOBAIN

    76       3       41.8  
    1,130  

AMUNDI SA

    74       9       40.9  
    37,909  

TRITAX BIG BOX REIT PLC

    74       6       40.8  
    14,900  

TORAY INDUSTRIES INC

    69       6       38.2  
    307  

SAFRAN SA

    67       -       37.2  
    1,277  

DIPLOMA PLC

    67       6       37.0  
    1,393  

CRITEO SA

    66       (1 )     36.6  
    619  

PUBLICIS

    66       3       36.3  
    23,904  

BARCLAYS PLC

    62       9       34.4  
    1,100  

TDK CORP

    62       11       34.2  
    15,709  

TESCO PLC

    61       10       33.9  
    2,419  

IMPERIAL BRANDS PLC

    61       7       33.9  
    3,279  

MONDI PLC

    61       2       33.6  
    242  

SCHNEIDER SA

    59       2       32.5  
    4,958  

UNITE GROUP PLC/THE

    57       5       31.4  
    1,600  

ASAHI GROUP HOLDINGS LTD

    57       3       31.4  
                                 

 

 

 

SEI Institutional Investments Trust

 

121

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund (Continued)

 

 
                         
 

Shares

 

Description

 

Notional Amount (Thousands)

   

Value (Thousands)

      Percentage of Basket  
                                 
    177  

ICON PLC

  $ 56     $ -       31.0 %
    5,210  

AUTO TRADER GROUP PLC

    54       4       30.0  
    620  

KINGSPAN GROUP

    54       (1 )     29.8  
    3,343  

VISTRY GROUP PLC

    52       7       28.5  
    23,456  

SERCO GROUP PLC

    50       3       27.8  
    1,040  

COVIVIO

    50       7       27.6  
    639  

UNIBAIL-RODAMCO-WESTFIELD

    48       2       26.8  
    1,232  

LA FRAN DJ

    47       3       26.0  
    1,592  

RUBIS ET CIE

    46       4       25.5  
    1,508  

COMPASS GROUP PLC

    46       2       25.3  
    9,595  

INTERNATIONAL DISTRIBUTION SER

    43       -       23.6  
    500  

SONY GROUP CORP

    42       23       23.4  
    1,000  

CHUGAI PHARMACEUTICAL CO LTD

    42       8       23.3  
    18  

HERMES INTL

    41       2       22.7  
    2,907  

CREDIT AGRICOLE

    40       4       22.4  
    6,040  

BABCOCK INTL GROUP PLC

    40       -       22.4  
    1,173  

COCA-COLA HBC AG-DI

    40       3       22.1  
    309  

IPSEN

    40       (5 )     22.1  
    2,143  

CARNIVAL ADR

    36       (4 )     19.7  
    24,581  

CENTAMIN PLC

    35       5       19.6  
    4,763  

DARKTRACE PLC

    35       1       19.2  
    1,099  

KLEPIERRE

    31       2       17.3  
    966  

ASSOCIATED BRITISH FOODS PLC

    31       1       17.1  
    13,369  

EMERALD RESOURCES NL

    31       5       17.1  
    4,473  

FRESNILLO PLC

    31       1       17.1  
    374  

LEG IMMOBILIEN SE

    30       6       16.6  
    18,970  

QUILTER PLC

    29       5       16.3  
    1,141  

ANTOFAGASTA PLC

    29       (4 )     16.3  
    13,970  

INTL CONSOLIDATED AIRLINE-DI

    29       4       16.2  
    449  

BNP PARIBAS

    29       3       15.9  
    1,933  

BIG YELLOW GROUP PLC

    29       3       15.9  
    253  

NEXANS

    28       4       15.5  
    5,087  

AIB GROUP

    27       3       14.8  
    1,255  

BAE SYSTEMS PLC

    21       (1 )     11.8  

 

The following table represents the individual stock exposures comprising the Net Short Custom Basket Total Return Swap as of August 31, 2024:

 

United States Custom Basket of Short Securities

 

 

Shares

 

Description

 

Notional Amount (Thousands)

   

Value (Thousands)

      Percentage of Basket  
                                 
    (2,215 )

CGI INC

  $ (221 )   $ (24 )     (122.5 )%
    (16,018 )

BRAMBLES LTD

    (155 )     (41 )     (85.8 )
    (14,326 )

HEXAGON B

    (147 )     1       (81.5 )
    (12,800 )

KYOCERA CORP

    (147 )     (8 )     (81.3 )
    (4,200 )

AGC INC

    (138 )     6       (76.7 )
    (16,400 )

THE CHIBA BANK LTD

    (136 )     (2 )     (75.1 )
    (1,619 )

BK OF MONTREAL

    (135 )     1       (74.9 )
    (4,015 )

EMERA INC

    (133 )     (17 )     (73.8 )
    (3,873 )

SEVERN TRENT PLC

    (125 )     (5 )     (69.0 )
    (3,400 )

SUNTORY BEVERAGE FOOD LTD

    (122 )     (1 )     (67.8 )
    (1,025 )

SPIRAX GROUP PLC

    (110 )     9       (61.1 )
    (8,686 )

BURBERRY GROUP PLC

    (109 )     30       (60.1 )
    (1,087 )

CDN TIRE CP A

    (108 )     (16 )     (59.5 )
    (933 )

CANADIAN NATIONAL RAILWAY

    (106 )     (3 )     (58.9 )
    (2,157 )

ASR NEDERLND AIW

    (101 )     (5 )     (56.2 )
    (11,700 )

RICOH CO LTD

    (101 )     (19 )     (55.7 )
    (10,758 )

KINNEVIK B

    (95 )     10       (52.3 )
    (3,900 )

TOTO LTD

    (91 )     (43 )     (50.3 )
    (14,300 )

ASAHI KASEI CORP

    (90 )     (9 )     (50.1 )
                                 

 

 

 

122

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund (Continued)

 

 
                         
 

Shares

 

Description

 

Notional Amount (Thousands)

   

Value (Thousands)

      Percentage of Basket  
                                 
    (3,143 )

VALMET OYJ

  $ (87 )   $ (2 )     (47.9 )%
    (1,951 )

QIAGEN NV

    (85 )     (2 )     (47.2 )
    (1,873 )

INTERPUMP GROUP

    (82 )     1       (45.5 )
    (5,100 )

ELECTRIC POWER DEVELOPMENT CO LTD

    (81 )     (4 )     (44.8 )
    (21,854 )

IGO LTD

    (80 )     (2 )     (44.2 )
    (423 )

BOYD GROUP SERVICES INC

    (80 )     11       (44.1 )
    (4,253 )

SIG GROUP AG

    (79 )     (9 )     (43.9 )
    (2,400 )

MITSUBISHI LOGISTICS CORP

    (78 )     (4 )     (43.5 )
    (24,145 )

STOCKLAND

    (78 )     (4 )     (43.1 )
    (1,172 )

DCC PLC

    (77 )     (5 )     (42.7 )
    (16,077 )

SCHRODERS PLC

    (75 )     3       (41.7 )
    (1,500 )

TOKYO SEIMITSU CO LTD

    (72 )     (12 )     (40.0 )
    (7,600 )

SG HOLDINGS CO LTD

    (70 )     (11 )     (39.0 )
    (5,000 )

ROHM CO LTD

    (67 )     6       (37.2 )
    (6,500 )

VENTURE CORPORATION LTD

    (67 )     (3 )     (36.9 )
    (1,800 )

ZENKOKU HOSHO CO LTD

    (65 )     (7 )     (35.8 )
    (7,129 )

TATE & LYLE PLC

    (61 )     (3 )     (33.6 )
    (383 )

BKW SA

    (61 )     (10 )     (33.5 )
    (22,000 )

WHARF REIC

    (58 )     (7 )     (32.3 )
    (6,500 )

KS HOLDINGS CORP

    (58 )     (11 )     (32.1 )
    (3,900 )

SUMCO CORP

    (58 )     14       (32.1 )
    (6,718 )

CHARTER HALL GROUP

    (57 )     (9 )     (31.6 )
    (2,608 )

SAPUTO GP

    (56 )     (1 )     (30.9 )
    (1,900 )

NH FOODS LTD

    (56 )     (14 )     (30.9 )
    (1,948 )

YARA INTERNAT

    (55 )     (1 )     (30.2 )
    (76,708 )

FRASERS LOGISTICS AND COMMERCIAL

    (54 )     (9 )     (30.0 )
    (1,900 )

SUMITOMO METAL MINING CO LTD

    (54 )     1       (29.8 )
    (54,000 )

NEW WORLD DEV

    (54 )     (1 )     (29.7 )
    (4,900 )

HASEKO CORP

    (53 )     (7 )     (29.4 )
    (50,000 )

XINYI GLASS

    (52 )     8       (28.9 )
    (1,100 )

NIPPON EXPRESS HOLDINGS INC

    (52 )     (4 )     (28.9 )
    (14,219 )

LENDLEASE GROUP

    (51 )     (14 )     (28.4 )
    (16,174 )

ATLAS ARTERIA

    (50 )     (5 )     (27.8 )
    (7,200 )

HAZAMA ANDO CORP

    (50 )     (6 )     (27.6 )
    (3,800 )

USHIO INC

    (49 )     (4 )     (27.2 )
    (20,667 )

METCASH LTD

    (49 )     (2 )     (27.1 )
    (4,600 )

LIXIL CORP

    (48 )     (5 )     (26.8 )
    (25,465 )

TAYLOR WIMPEY PLC

    (48 )     (5 )     (26.6 )
    (18,014 )

SPARK NEW ZEALAND LTD

    (47 )     7       (26.2 )
    (228 )

SWATCH GROUP I

    (47 )     -       (26.1 )
    (968 )

HUGO BOSS N

    (45 )     6       (25.2 )
    (7,100 )

CITIZEN WATCH CO LTD

    (45 )     -       (25.0 )
    (3,012 )

INDIVIOR PLC

    (44 )     7       (24.1 )
    (1,974 )

FLUIDRA S.A.

    (43 )     (5 )     (24.0 )
    (5,571 )

HUSQVARNA B

    (43 )     6       (23.7 )
    (6,767 )

ELEKTA B

    (42 )     (3 )     (23.5 )
    (7,333 )

ALGONQUIN PWR & UTILS CORP

    (42 )     3       (23.5 )
    (1,500 )

HAMAMATSU PHOTONICS KK

    (42 )     3       (23.4 )
    (7,387 )

B&M EUROPEAN VALUE RETAIL SA

    (42 )     -       (23.3 )
    (614 )

FISCHER N

    (42 )     (6 )     (23.2 )
    (3,000 )

ONO PHARMACEUTICAL CO LTD

    (41 )     (3 )     (22.5 )
    (826 )

RANDSTAD NV

    (40 )     1       (22.3 )
    (3,221 )

TOMRA SYSTEMS

    (40 )     (9 )     (22.2 )
    (2,713 )

SEEK LTD

    (40 )     (2 )     (22.1 )
    (3,833 )

DAVIDE CAMPARI-MILANO NV

    (39 )     5       (21.7 )
    (5,930 )

SUPERIOR PLUS CORP

    (39 )     5       (21.6 )
    (6,108 )

RENTOKIL INITIAL PLC

    (39 )     -       (21.4 )
    (3,459 )

BREMBO N.V.

    (38 )     (1 )     (21.2 )
    (1,660 )

EMPIRE CO CL A

    (38 )     (8 )     (21.2 )
    (3,679 )

INFRASTRUTTURE WIRELESS ITALIANE SPA (IT

    (38 )     (5 )     (21.1 )
                                 
                                 

 

 

 

SEI Institutional Investments Trust

 

123

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund (Continued)

 

 
 

Shares

 

Description

 

Notional Amount (Thousands)

   

Value (Thousands)

      Percentage of Basket  
                              %
    (48,600 )

SUNTEC REIT

  $ (38 )   $ (8 )     (21.1 )%
    (2,600 )

JFE HOLDINGS INC

    (37 )     2       (20.6 )
    (2,487 )

MEDIPAL HOLDINGS CORP

    (37 )     (6 )     (20.5 )
    (4,779 )

PENNON GROUP PLC

    (36 )     (2 )     (20.1 )
    (1,200 )

KONINKLIJKE AHOLD DELHAIZE NV

    (36 )     (5 )     (20.0 )
    (1,091 )

DIAGEO PLC

    (36 )     -       (19.9 )
    (855 )

PUMA SE

    (35 )     (1 )     (19.6 )
    (303 )

ALTEN

    (35 )     1       (19.6 )
    (63 )

SWISSCOM N

    (35 )     (4 )     (19.4 )
    (4,200 )

LION CORP

    (34 )     (9 )     (18.8 )
    (2,277 )

UMICORE

    (34 )     5       (18.8 )
    (1,400 )

HITACHI CONST MACH CO LTD

    (34 )     -       (18.7 )
    (37,200 )

MAPLETREE PAN ASIA COMMERCIAL

    (34 )     (5 )     (18.6 )
    (394 )

REMY COINTREAU

    (34 )     1       (18.6 )
    (203 )

BE SEMICOND IND

    (33 )     8       (18.5 )
    (599 )

FLSMIDTH & CO.

    (32 )     2       (17.8 )
    (9,900 )

HK LAND HOLDINGS

    (32 )     (5 )     (17.7 )
    (300 )

NITORI HOLDINGS CO LTD

    (32 )     (12 )     (17.6 )
    (1,762 )

KESKO OYJ B

    (32 )     (4 )     (17.5 )
    (7,960 )

ILUKA RESOURCES LTD

    (32 )     (1 )     (17.5 )
    (2,003 )

WH SMITH PLC

    (31 )     (2 )     (17.4 )
    (115,000 )

PACIFIC BASIN

    (31 )     -       (17.3 )
    (401 )

SYENSQO SA

    (31 )     (2 )     (17.2 )
    (94 )

TECAN HLD N

    (31 )     (1 )     (17.2 )
    (1,606 )

PRAIRIESKY ROYAL

    (31 )     (2 )     (17.1 )
    (3,336 )

WPP PLC

    (31 )     (1 )     (17.1 )
    (527 )

JULIUS BAER N

    (31 )     -       (17.0 )
    (970 )

ATS CORP

    (31 )     5       (17.0 )
    (569 )

SYDBANK

    (31 )     2       (16.9 )
    (719 )

SEADRILL LIMITED

    (30 )     -       (16.9 )
    (1,200 )

SBI HOLDINGS INC

    (30 )     1       (16.6 )
    (4,325 )

PHOENIX GROUP HOLDINGS PLC

    (30 )     (2 )     (16.5 )
    (838 )

SPECTRIS PLC

    (29 )     (3 )     (16.3 )
    (900 )

OMRON CORP

    (29 )     (7 )     (16.2 )
    (237 )

COLOPLAST B

    (29 )     (3 )     (16.1 )
    (624 )

BK NOVA SCOTIA

    (29 )     (2 )     (16.0 )
    (4,100 )

HAKUHODO DY HOLDINGS INC

    (28 )     (6 )     (15.7 )
    (509 )

ALIMENT COUC A

    (28 )     -       (15.7 )
    (25,300 )

BUD APAC

    (28 )     -       (15.7 )
    (92 )

SONOVA H AG ORD

    (28 )     (3 )     (15.5 )
    (833 )

BROOKFIELD INFRASTRUCTURE-A

    (28 )     (6 )     (15.4 )
    (1,300 )

SUMITOMO HEAVY IND LTD

    (28 )     (2 )     (15.3 )
    (2,000 )

KOITO MFG CO LTD

    (27 )     (2 )     (15.1 )
    (1,579 )

NORTHLAND POWER INC

    (27 )     3       (15.1 )
    (3,500 )

JGC HOLDINGS CORP

    (27 )     (4 )     (15.0 )
    (1,072 )

SIGNIFY NV

    (27 )     1       (14.8 )
    (279 )

ELIA GROUP SA/NV

    (27 )     (3 )     (14.7 )
    (295 )

WENDEL INVESTISSEMENT

    (27 )     (3 )     (14.7 )
    (2,000 )

DENKA CO LTD

    (26 )     (4 )     (14.6 )
    (2,928 )

RS GROUP PLC

    (26 )     (3 )     (14.5 )
    (700 )

YASKAWA ELECTRIC CORP

    (26 )     3       (14.4 )

 

 

Percentages are based on Net Assets of $164,187 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

Real Estate Investment Trust.

(A)

Level 3 security in accordance with fair value hierarchy.

(B)

No interest rate available.

 

 

 

124

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Screened World Equity Ex-US Fund (Concluded)

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value

5/31/2023

   

Purchases

at Cost

   

Proceeds

from Sales

   

Realized Gain/(Loss)

   

Change in Unrealized Appreciation/

(Depreciation)

   

Value

8/31/2024

   

Income

   

Capital Gains

 

SEI Daily Income Trust, Government Fund, Institutional Class

  $ 1,680     $ 4,795     $ (2,380 )   $     $     $ 4,095     $ 41     $  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

SEI Institutional Investments Trust

 

125

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Select Equity Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 93.9%

Australia — 0.8%

Computershare Ltd

    15,942     $ 308  

Goodman Group

    31,382       711  

JB Hi-Fi Ltd

    4,674       252  

Pro Medicus Ltd

    1,579       162  

Rio Tinto Ltd

    9,900       749  
              2,182  
                 

Austria — 0.1%

BAWAG Group AG

    2,998       229  

Vienna Insurance Group AG Wiener Versicherung Gruppe

    3,100       107  
              336  
                 

Belgium — 0.2%

Ageas SA/NV

    1,600       82  

Colruyt Group N.V

    4,435       229  

Syensqo SA

    4,803       396  
              707  
                 

Brazil — 0.7%

Banco do Brasil SA

    160,000       793  

Telefonica Brasil SA

    109,500       1,005  

TOTVS SA

    49,100       259  
              2,057  
                 

Canada — 1.6%

Atco Ltd/Canada, Cl I

    800       27  

Barrick Gold Corp

    45,000       908  

Canadian Imperial Bank of Commerce

    1,400       82  

Canadian Tire Corp Ltd, Cl A

    700       80  

CCL Industries Inc, Cl B

    6,342       363  

Celestica Inc *

    4,563       232  

Cogeco Communications Inc

    1,500       72  

Dollarama Inc

    13,116       1,328  

Intact Financial Corp

    538       101  

Loblaw Cos Ltd

    2,144       280  

Magna International Inc, Cl A

    8,623       362  

Quebecor Inc, Cl B

    4,263       106  

TMX Group Ltd

    12,236       390  

Toromont Industries Ltd

    3,982       357  
              4,688  
                 

China — 0.9%

Bank of Communications Co Ltd, Cl H *

    167,000       121  

Beijing Enterprises Holdings Ltd

    24,500       80  

China Railway Signal & Communication Corp Ltd, Cl H

    296,000       107  

China Shenhua Energy Co Ltd, Cl H

    28,000       121  

PDD Holdings Inc ADR *

    10,863       1,044  

People's Insurance Co Group of China Ltd/The, Cl H *

    268,000       101  

PetroChina Co Ltd, Cl H

    168,945       153  

Shougang Fushan Resources Group Ltd

    264,000       88  

Tencent Holdings Ltd

    8,100       397  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Tencent Music Entertainment Group ADR

    32,259     $ 337  
              2,549  
                 

Denmark — 0.7%

AP Moller - Maersk A/S, Cl B

    550       822  

Coloplast A/S, Cl B

    2,636       360  

Novo Nordisk A/S, Cl B

    78       11  

Pandora A/S

    3,511       615  

Scandinavian Tobacco Group A/S

    5,200       82  
              1,890  
                 

Egypt — 0.1%

Commercial International Bank - Egypt (CIB)

    90,076       161  
                 

Finland — 0.4%

Nokia Oyj

    250,000       1,101  
                 

France — 1.9%

Bouygues SA

    2,400       86  

Carrefour SA

    59,100       954  

Credit Agricole SA

    1,212       19  

Danone SA

    13,000       904  

Dassault Aviation SA

    4,300       927  

Legrand SA

    3,329       373  

LVMH Moet Hennessy Louis Vuitton SE

    697       520  

Orange SA

    7,700       88  

Pernod Ricard SA

    2,073       295  

Publicis Groupe SA

    325       36  

Societe BIC SA

    14,800       1,002  

SPIE SA

    3,347       135  

TotalEnergies SE

    1,900       131  
              5,470  
                 

Germany — 1.2%

Bayer AG

    29,000       895  

Continental AG

    14,600       987  

Covestro AG

    10,100       619  

Deutsche Telekom AG

    6,000       171  

SAP SE

    2,607       571  

Scout24 SE

    4,255       325  
              3,568  
                 

Hong Kong — 1.1%

AIA Group Ltd

    165,600       1,177  

Hong Kong Exchanges & Clearing Ltd

    10,400       321  

Sun Hung Kai Properties Ltd

    5,000       49  

Swire Pacific Ltd, Cl A

    94,000       798  

VTech Holdings Ltd

    122,500       796  
              3,141  
                 

India — 1.6%

Bajaj Auto Ltd

    2,565       333  

Bharat Electronics Ltd

    18,619       66  

Cholamandalam Investment and Finance Co Ltd

    10,735       186  

Colgate-Palmolive India Ltd

    5,760       250  

 

 

 

126

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Select Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Cummins India Ltd

    2,902     $ 130  

HDFC Asset Management Co Ltd

    3,393       179  

HDFC Bank Ltd ADR

    7,815       478  

ICICI Bank Ltd

    922       13  

Lupin Ltd

    8,647       231  

Oil India Ltd

    28,000       247  

Power Finance Corp Ltd

    68,170       447  

REC Ltd

    38,730       286  

Shriram Finance Ltd

    10,442       399  

Siemens Ltd

    4,089       336  

Trent Ltd

    7,272       621  

TVS Motor Co Ltd

    3,210       108  

Varun Beverages Ltd

    11,810       211  
              4,521  
                 

Ireland — 0.5%

Accenture PLC, Cl A

    1,548       529  

AIB Group PLC

    151,000       910  
              1,439  
                 

Israel — 0.9%

Camtek Ltd/Israel

    1,227       117  

Check Point Software Technologies Ltd *

    7,542       1,452  

Teva Pharmaceutical Industries Ltd ADR *

    48,307       912  
              2,481  
                 

Italy — 0.2%

Intesa Sanpaolo SpA

    5,387       23  

Mediobanca Banca di Credito Finanziario SpA

    4,007       68  

Prysmian SpA

    4,095       287  

UniCredit SpA

    1,784       74  

Unipol Gruppo SpA

    18,316       194  
              646  
                 

Japan — 4.8%

AEON REIT Investment Corp

    70       64  

Asics Corp

    26,492       523  

Brother Industries Ltd

    51,400       953  

Canon Inc

    29,458       1,015  

Citizen Watch Co Ltd

    12,600       81  

Credit Saison Co Ltd

    6,264       139  

DCM Holdings Co Ltd

    1,000       10  

Dentsu Group Inc

    31,900       981  

Honda Motor Co Ltd

    21,600       236  

Hoya Corp

    2,800       396  

ITOCHU Corp

    1,000       53  

Itochu Enex Co Ltd

    13,300       146  

Japan Post Bank Co Ltd

    63,628       596  

Japan Tobacco Inc

    59,631       1,721  

Kewpie Corp

    4,418       113  

Keyence Corp

    800       382  

Kinden Corp

    5,497       118  

Koito Manufacturing Co Ltd

    56,500       832  

Konami Group Corp

    4,343       392  

K's Holdings Corp

    400       4  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

M3 Inc

    25,400     $ 246  

MIRAIT ONE corp

    8,300       121  

Mitsubishi Heavy Industries Ltd

    17,690       236  

Mizuho Financial Group Inc

    12,300       254  

Nikon Corp

    78,200       837  

Nippon Telegraph & Telephone Corp

    110,000       118  

Sekisui House Ltd

    17,643       455  

Senko Group Holdings Co Ltd

    12,300       101  

Shimano Inc

    1,000       188  

SMS Co Ltd

    20,500       309  

Sumitomo Corp

    900       21  

Toei Animation Co Ltd

    11,500       247  

Tokio Marine Holdings Inc

    21,313       806  

Tomy Co Ltd

    3,730       89  

Yamaha Corp

    40,900       982  

Yamazaki Baking Co Ltd

    4,294       80  
              13,845  
                 

Jersey — 0.0%

JTC PLC

    6,533       93  
                 

Luxembourg — 0.3%

SES SA, Cl A *

    160,000       862  
                 

Macao — 0.3%

Sands China Ltd *

    420,000       767  
                 

Malaysia — 0.1%

RHB Bank Bhd

    82,700       117  

YTL Power International Bhd

    111,022       100  
              217  
                 

Netherlands — 0.7%

ASML Holding NV

    505       454  

IMCD NV

    2,046       335  

Koninklijke Ahold Delhaize NV

    6,600       227  

NN Group NV

    2,200       108  

Universal Music Group NV

    12,578       329  

Wolters Kluwer NV

    2,428       414  
              1,867  
                 

Norway — 0.3%

Austevoll Seafood ASA

    6,400       57  

AutoStore Holdings Ltd *

    60,544       65  

Gjensidige Forsikring ASA

    16,228       288  

Kongsberg Gruppen ASA

    3,327       352  
              762  
                 

Philippines — 0.0%

DMCI Holdings Inc

    438,600       91  
                 

Poland — 0.0%

Budimex SA

    556       87  

CAPITEA SA *

    158,863       22  
              109  
                 

Russia — 0.0%

Detsky Mir PJSC *

    101,061        

 

 

 

SEI Institutional Investments Trust

 

127

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Select Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Evraz PLC *(A)

    21,791     $ 23  

Gazprom Neft PJSC (A)

    7,643        

Gazprom PJSC *(A)

    125,045        

Globaltrans Investment PLC GDR *(A)

    27,819        

GMK Norilskiy Nickel PAO (A)

    354        

Inter RAO UES PJSC

    2,649,312        

Magnit PJSC

    2,567        

Magnitogorsk Iron & Steel Works PJSC

    26,960        

MD Medical Group Investments PLC GDR *

    29,105        

PhosAgro PJSC GDR *(A)

    12,000        

Rosneft Oil Co PJSC (A)

    35,283        

Sberbank of Russia PJSC

    105,050        

X5 Retail Group NV GDR *

    10,491        
              23  
                 

Saudi Arabia — 0.0%

Etihad Etisalat Co

    4,688       63  
                 

Singapore — 0.2%

Best World International Ltd *

    24,994       49  

DBS Group Holdings Ltd

    3,850       108  

Jardine Cycle & Carriage Ltd

    5,900       125  

United Overseas Bank Ltd

    5,900       142  
              424  
                 

South Africa — 0.8%

Anglo American PLC

    30,000       876  

AVI Ltd

    14,080       80  

Clicks Group Ltd

    25,558       538  

Tiger Brands Ltd

    66,000       876  
              2,370  
                 

South Korea — 1.4%

Hanmi Semiconductor Co Ltd

    1,706       146  

HD Hyundai Electric Co Ltd

    347       79  

Industrial Bank of Korea

    14,800       153  

KT Corp

    3,800       110  

KT&G Corp

    12,300       996  

LG Corp

    13,000       771  

LG H&H Co Ltd

    3,250       863  

Samsung Electronics Co Ltd

    14,100       784  

SK Telecom Co Ltd

    2,200       91  
              3,993  
                 

Spain — 0.8%

Indra Sistemas SA

    5,590       105  

Industria de Diseno Textil SA

    39,675       2,151  
              2,256  
                 

Sweden — 0.4%

Assa Abloy AB, Cl B

    14,849       480  

Hemnet Group AB

    3,710       136  

Hexagon AB, Cl B

    28,383       291  

Saab AB, Cl B

    5,384       128  
              1,035  
                 

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Switzerland — 0.9%

Givaudan SA

    94     $ 483  

Novartis AG

    2,900       349  

Partners Group Holding AG

    420       604  

Sandoz Group AG

    580       26  

Swatch Group AG/The

    4,000       838  

VAT Group AG

    689       355  
              2,655  
                 

Taiwan — 0.7%

Chicony Electronics Co Ltd

    39,000       198  

Hon Hai Precision Industry Co Ltd

    38,000       219  

Lotes Co Ltd

    4,000       191  

MediaTek Inc

    3,699       143  

Pou Chen Corp

    79,000       86  

Quanta Computer Inc

    58,742       492  

Taiwan Semiconductor Manufacturing Co Ltd ADR

    3,512       603  

Universal Vision Biotechnology Co Ltd

    798       6  

WPG Holdings Ltd

    69,190       176  
              2,114  
                 

Thailand — 0.1%

Bangkok Bank PCL

    26,500       110  

Kiatnakin Phatra Bank PCL

    46,300       63  
              173  
                 

Türkiye — 0.1%

Akbank TAS

    26,374       45  

BIM Birlesik Magazalar AS

    7,321       116  

Eldorado Gold Corp *

    4,154       72  

Turkcell Iletisim Hizmetleri AS

    18,483       53  
              286  
                 

United Arab Emirates — 0.3%

Aldar Properties PJSC

    162,699       325  

Emaar Properties PJSC

    276,226       635  
              960  
                 

United Kingdom — 4.4%

BAE Systems PLC

    34,294       617  

Barclays PLC

    592,581       1,793  

British American Tobacco PLC

    27,644       1,036  

Burberry Group PLC

    86,000       756  

Cranswick PLC

    1,410       89  

Diageo PLC

    12,350       403  

Diploma PLC

    5,150       304  

Halma PLC

    17,910       616  

Imperial Brands PLC

    35,700       1,025  

Intermediate Capital Group PLC

    3,165       89  

ITV PLC

    850,000       896  

London Stock Exchange Group PLC

    4,406       595  

Marks & Spencer Group PLC

    75,706       342  

Reckitt Benckiser Group PLC

    17,000       979  

RELX PLC

    11,726       545  

Rolls-Royce Holdings PLC *

    89,669       588  

 

 

 

128

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Select Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Serco Group PLC

    32     $  

TechnipFMC PLC

    16,226       436  

Tesco PLC

    24,000       112  

Unilever PLC

    8,106       523  

WPP PLC

    90,000       863  
              12,607  
                 

United States — 64.4%

Abercrombie & Fitch Co, Cl A *

    1,784       263  

Adient PLC *

    14,367       325  

Adobe Inc *

    2,484       1,427  

Adtalem Global Education Inc *

    1,768       134  

Advance Auto Parts Inc

    7,060       320  

Aflac Inc

    1,500       166  

Allison Transmission Holdings Inc

    6,245       579  

Allstate Corp/The

    15,800       2,985  

Ally Financial Inc

    47,835       2,066  

Alpha Metallurgical Resources Inc

    928       222  

Alphabet Inc, Cl A

    24,386       3,984  

Altria Group Inc

    4,000       215  

Amdocs Ltd

    2,500       217  

American Axle & Manufacturing Holdings Inc *

    51,860       333  

American International Group Inc

    7,200       555  

Amgen Inc

    300       100  

Amphenol Corp, Cl A

    23,644       1,595  

Analog Devices Inc

    6,205       1,457  

Aon PLC, Cl A

    1,956       672  

Appfolio Inc, Cl A *

    518       120  

Apple Inc

    3,842       880  

Applied Materials Inc

    154       30  

AppLovin Corp, Cl A *

    2,287       212  

Arch Capital Group Ltd *

    561       63  

Archer-Daniels-Midland Co

    2,600       159  

Arista Networks Inc *

    2,070       732  

Arrow Electronics Inc *

    3,890       525  

Asbury Automotive Group Inc *

    1,960       481  

AT&T Inc

    142,600       2,838  

AutoNation Inc *

    2,026       361  

AutoZone Inc *

    1,028       3,271  

Avnet Inc

    13,510       746  

Axon Enterprise Inc *

    1,391       508  

Bank of New York Mellon Corp/The

    3,200       218  

Becton Dickinson & Co

    4,098       993  

Berkshire Hathaway Inc, Cl B *

    300       143  

Berry Global Group Inc

    1,400       96  

Blue Owl Capital Corp

    6,200       94  

BlueLinx Holdings Inc *

    2,270       228  

Boston Scientific Corp *

    20,958       1,714  

BP PLC

    137,000       776  

Bristol-Myers Squibb Co

    5,200       260  

Broadcom Inc

    5,490       894  

Brown & Brown Inc

    9,992       1,050  

BRP Inc

    3,660       265  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Bunge Global SA

    1,200     $ 122  

Carrier Global Corp

    20,217       1,471  

Cencora Inc

    9,400       2,252  

Chevron Corp

    16,400       2,426  

Chubb Ltd

    81       23  

Cigna Group/The

    180       65  

Cintas Corp

    25       20  

Cisco Systems Inc

    4,400       222  

Citigroup Inc

    29,900       1,873  

Cleveland-Cliffs Inc *

    35,990       470  

CME Group Inc, Cl A

    6,696       1,445  

Cognizant Technology Solutions Corp, Cl A

    1,600       124  

Colgate-Palmolive Co

    18,667       1,988  

Comcast Corp, Cl A

    7,300       289  

Comfort Systems USA Inc

    972       344  

Conagra Brands Inc

    4,300       134  

CRH PLC

    24,460       2,185  

Crowdstrike Holdings Inc, Cl A *

    1,610       446  

CSG Systems International Inc

    2,200       107  

Cummins Inc

    600       188  

CVR Energy Inc

    15,493       394  

CVS Health Corp

    43,400       2,484  

Dana Inc

    34,681       392  

Deckers Outdoor Corp *

    1,100       1,055  

Delek US Holdings Inc

    17,217       352  

Dell Technologies Inc, Cl C

    6,721       777  

Dollar Tree Inc *

    17,800       1,504  

Dominion Energy Inc

    47,400       2,650  

Dow Inc

    42,600       2,283  

DR Horton Inc

    800       151  

DXC Technology Co *

    20,220       418  

Eaton Corp PLC

    21       6  

eBay Inc

    2,200       130  

Eli Lilly & Co

    1,321       1,268  

Employers Holdings Inc

    2,200       106  

Enova International Inc *

    1,207       104  

Entergy Corp

    800       97  

Envista Holdings Corp *

    52,000       950  

Equitable Holdings Inc

    71,900       3,057  

Everest Group Ltd

    200       78  

Evergy Inc

    1,500       89  

Exelixis Inc *

    3,500       91  

Experian PLC

    9,009       438  

Exxon Mobil Corp

    2,400       283  

FactSet Research Systems Inc

    2,427       1,026  

Fair Isaac Corp *

    39       68  

Federated Hermes Inc, Cl B

    2,800       96  

FedEx Corp

    6,700       2,002  

Fidelity National Information Services Inc

    19,300       1,591  

Fiserv Inc *

    2,229       389  

Foot Locker Inc

    15,532       484  

Ford Motor Co

    5,900       66  

Fox Corp

    2,500       103  

 

 

 

SEI Institutional Investments Trust

 

129

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Select Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Frontier Group Holdings Inc *

    49,989     $ 181  

General Mills Inc

    1,500       108  

G-III Apparel Group Ltd *

    12,486       331  

Gilead Sciences Inc

    2,700       213  

Global Payments Inc

    5,400       599  

Goldman Sachs Group Inc/The

    92       47  

Goodyear Tire & Rubber Co/The *

    28,780       254  

Graco Inc

    13,312       1,110  

Graphic Packaging Holding Co

    2,100       63  

GSK PLC

    93,384       2,035  

Guidewire Software Inc *

    2,946       438  

H&R Block Inc

    2,100       133  

Harley-Davidson Inc

    25,000       936  

Hartford Financial Services Group Inc/The

    2,900       337  

HCA Healthcare Inc

    1,733       686  

Hewlett Packard Enterprise Co

    8,800       170  

HF Sinclair Corp

    11,070       544  

Hilton Worldwide Holdings Inc

    4,200       923  

Holcim AG

    985       95  

Howmet Aerospace Inc

    14,688       1,420  

HP Inc

    5,400       195  

HubSpot Inc *

    1,283       640  

Incyte Corp *

    1,200       79  

Insight Enterprises Inc *

    600       130  

Intel Corp

    36,800       811  

International Business Machines Corp

    13,700       2,769  

Intuit Inc

    78       49  

Intuitive Surgical Inc *

    2,196       1,082  

J M Smucker Co/The

    600       69  

Janus Henderson Group PLC

    5,715       215  

Jazz Pharmaceuticals PLC *

    600       70  

JELD-WEN Holding Inc *

    19,175       273  

Johnson & Johnson

    10,816       1,794  

Kellanova

    2,700       218  

Kinder Morgan Inc

    5,200       112  

KLA Corp

    94       77  

Kraft Heinz Co/The

    74,900       2,654  

Kroger Co/The

    5,400       287  

Las Vegas Sands Corp

    32,900       1,283  

LeMaitre Vascular Inc

    872       79  

Lennox International Inc

    1,220       720  

Liberty Energy Inc, Cl A

    24,800       511  

Linde PLC

    3,988       1,907  

Lockheed Martin Corp

    400       227  

Loews Corp

    177       15  

Lowe's Cos Inc

    7,283       1,810  

LPL Financial Holdings Inc

    2,600       583  

Macy's Inc

    21,611       337  

Manhattan Associates Inc *

    1,586       419  

Marsh & McLennan Cos Inc

    487       111  

Mastercard Inc, Cl A

    5,065       2,448  

McKesson Corp

    1,865       1,046  

Medpace Holdings Inc *

    943       335  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Merck & Co Inc

    22,300     $ 2,641  

Merit Medical Systems Inc *

    2,269       219  

Meta Platforms Inc, Cl A

    5,871       3,061  

Mettler-Toledo International Inc *

    819       1,179  

Microsoft Corp

    12,069       5,034  

Middleby Corp/The *

    3,043       428  

Molson Coors Beverage Co, Cl B

    4,500       243  

Moody's Corp

    6,831       3,332  

Motorola Solutions Inc

    2,070       915  

MSCI Inc, Cl A

    2,379       1,381  

Murphy Oil Corp

    30,500       1,137  

Murphy USA Inc

    150       78  

Nasdaq Inc

    1,062       77  

National Fuel Gas Co

    45,500       2,719  

NetApp Inc

    900       109  

NewMarket Corp

    340       195  

NIKE Inc, Cl B

    8,778       731  

NVIDIA Corp

    40,736       4,863  

Oaktree Specialty Lending Corp

    2,700       46  

Old Republic International Corp

    4,400       158  

Oracle Corp

    13,112       1,853  

Organon & Co

    690       15  

Otis Worldwide Corp

    12,787       1,211  

Owens & Minor Inc *

    19,634       305  

Owens Corning

    2,469       417  

Packaging Corp of America

    3,752       786  

Palomar Holdings Inc, Cl A *

    1,100       109  

Par Pacific Holdings Inc *

    21,490       482  

Parker-Hannifin Corp

    1,291       775  

PBF Energy Inc, Cl A

    9,026       307  

PepsiCo Inc

    9,689       1,675  

Petco Health & Wellness Co Inc, Cl A *

    146,040       466  

Pfizer Inc

    3,400       99  

Premier Inc, Cl A

    3,800       77  

PROG Holdings Inc

    1,673       78  

ProPetro Holding Corp *

    59,310       471  

Republic Services Inc, Cl A

    2,541       529  

Ryerson Holding Corp

    11,087       222  

Sanofi SA

    10,400       1,165  

Sealed Air Corp

    900       31  

Sensata Technologies Holding PLC

    46,100       1,777  

Shell PLC

    4,700       167  

Sherwin-Williams Co/The

    5,363       1,981  

Signify NV

    40,000       985  

Snap-on Inc

    300       85  

Sonic Automotive Inc, Cl A

    6,400       399  

Sonoco Products Co

    2,500       141  

Southwest Airlines Co

    15,110       437  

Sprouts Farmers Market Inc *

    3,918       408  

Stryker Corp

    27       10  

Sun Communities Inc

    9,700       1,312  

Synchrony Financial

    295       15  

Tapestry Inc

    29,200       1,196  

 

 

 

130

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Select Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

TD SYNNEX Corp

    900     $ 109  

TEGNA Inc

    5,900       82  

Tenet Healthcare Corp *

    3,308       549  

Texas Roadhouse Inc, Cl A

    2,954       499  

TJX Cos Inc/The

    15,963       1,872  

T-Mobile US Inc

    500       99  

Toll Brothers Inc

    4,726       681  

Trane Technologies PLC

    6,524       2,360  

Tyson Foods Inc, Cl A

    50,650       3,257  

UMB Financial Corp

    2,051       212  

Under Armour Inc, Cl A *

    58,630       451  

United Airlines Holdings Inc *

    9,790       431  

United Natural Foods Inc *

    18,255       276  

United Therapeutics Corp *

    8,700       3,163  

UnitedHealth Group Inc

    4,541       2,680  

Universal Health Services Inc, Cl B

    2,586       615  

Unum Group

    2,900       161  

Verizon Communications Inc

    8,000       334  

Vertiv Holdings Co, Cl A

    9,375       778  

Virtu Financial Inc, Cl A

    3,345       103  

Vishay Intertechnology Inc

    84,900       1,711  

Vontier Corp

    2,800       98  

Walmart Inc

    25,659       1,982  

Western Union Co/The

    82,300       1,004  

Westinghouse Air Brake Technologies Corp

    6,293       1,067  

Williams-Sonoma Inc

    5,042       677  

Wingstop Inc

    1,210       467  

WK Kellogg Co

    675       12  

Zumiez Inc *

    11,090       308  
              184,996  
                 

Total Common Stock

               

(Cost $209,718) ($ Thousands)

            269,505  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

PREFERRED STOCK — 0.7%

Germany — 0.7%

Henkel AG & Co KGaA (B)

    9,150     $ 838  

Sartorius AG (B)

    944       261  

Volkswagen AG (B)

    7,500       799  
              1,898  
                 

Russia — 0.0%

Sberbank of Russia PJSC (B)

    147,000        
                 

Total Preferred Stock

               

(Cost $2,521) ($ Thousands)

            1,898  
      Number of
Warrants
         

WARRANTS — 0.0%

Thailand — 0.0%

       

Kiatnakin Phatra Bank PCL, Expires 01/03/2027 *

    3,858        
                 
                 

Total Warrants

               

(Cost $—) ($ Thousands)

             
                 
                 
   


Shares

         

CASH EQUIVALENT — 2.3%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    6,666,484       6,666  

Total Cash Equivalent

               

(Cost $6,666) ($ Thousands)

            6,666  

Total Investments in Securities — 96.9%

               

(Cost $218,905) ($ Thousands)

  $ 278,069  
                 
                 

 

 
 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation
(Depreciation)(Thousands)

 

Long Contracts

                                       

Euro STOXX 50

    38       Sep-2024     $ 2,042     $ 2,091     $ 22  

FTSE 100 Index

    6       Sep-2024       633       661       13  

Hang Seng Index

    1       Sep-2024       113       115       2  

MSCI Emerging Markets

    36       Sep-2024       2,001       1,980       (21 )

MSCI Singapore Index

    2       Sep-2024       49       49        

OMX Stockholm 30

    6       Sep-2024       144       153       6  

S&P 500 Index E-MINI

    7       Sep-2024       1,976       1,982       6  

S&P TSX 60 Index

    3       Sep-2024       576       624       38  

SPI 200 Index

    3       Sep-2024       405       409       3  

TOPIX Index

    6       Sep-2024       1,059       1,119       51  
                    $ 8,998     $ 9,183     $ 120  

 

 

 

 

 

SEI Institutional Investments Trust

 

131

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Select Equity Fund (Continued)

 

A list of the open forward foreign currency contracts held by the Fund at August 31, 2024, is as follows:

 

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

Barclays PLC

    09/16/24       USD       4,566       AUD       6,877     $ 101  

Barclays PLC

    09/16/24       NOK       7,683       USD       721       (5 )

Barclays PLC

    09/16/24       SEK       10,343       USD       996       (14 )

Barclays PLC

    09/16/24       USD       21,782       EUR       19,735       74  

Barclays PLC

    09/16/24       EUR       22,272       USD       24,583       (83 )

BNP Paribas

    09/16/24       USD       1,074       HKD       8,358       (2 )

BNP Paribas

    09/16/24       DKK       19,560       USD       2,894       (10 )

Brown Brothers Harriman

    09/16/24       SGD       17       USD       13        

Brown Brothers Harriman

    09/16/24       SGD       24       USD       19        

Brown Brothers Harriman

    09/16/24       USD       12       NOK       131        

Brown Brothers Harriman

    09/16/24       USD       38       NOK       405        

Brown Brothers Harriman

    09/16/24       USD       43       SGD       57        

Brown Brothers Harriman

    09/16/24       USD       21       SGD       28        

Brown Brothers Harriman

    09/16/24       USD       108       HKD       843        

Brown Brothers Harriman

    09/16/24       USD       85       SEK       890       2  

Brown Brothers Harriman

    09/16/24       USD       87       SEK       885        

Brown Brothers Harriman

    09/16/24       CHF       52       USD       62        

Brown Brothers Harriman

    09/16/24       CHF       134       USD       157       (2 )

Brown Brothers Harriman

    09/16/24       USD       68       DKK       463       1  

Brown Brothers Harriman

    09/16/24       USD       161       DKK       1,076       (1 )

Brown Brothers Harriman

    09/16/24       AUD       30       USD       21        

Brown Brothers Harriman

    09/16/24       AUD       258       USD       173       (2 )

Brown Brothers Harriman

    09/16/24       USD       385       AUD       573       4  

Brown Brothers Harriman

    09/16/24       USD       17       AUD       25        

Brown Brothers Harriman

    09/16/24       USD       320       CHF       275       5  

Brown Brothers Harriman

    09/16/24       USD       160       CHF       135        

Brown Brothers Harriman

    09/16/24       CAD       154       USD       114        

Brown Brothers Harriman

    09/16/24       CAD       381       USD       279       (4 )

Brown Brothers Harriman

    09/16/24       USD       448       CAD       611       6  

Brown Brothers Harriman

    09/16/24       USD       206       CAD       277        

Brown Brothers Harriman

    09/16/24       NOK       303       USD       29        

Brown Brothers Harriman

    09/16/24       NOK       356       USD       33        

Brown Brothers Harriman

    09/16/24       GBP       273       USD       361       2  

Brown Brothers Harriman

    09/16/24       GBP       492       USD       637       (10 )

Brown Brothers Harriman

    09/16/24       SEK       454       USD       44        

Brown Brothers Harriman

    09/16/24       SEK       454       USD       44       (1 )

Brown Brothers Harriman

    09/16/24       USD       596       GBP       460       8  

Brown Brothers Harriman

    09/16/24       USD       407       GBP       308       (2 )

Brown Brothers Harriman

    09/16/24       DKK       915       USD       137       1  

Brown Brothers Harriman

    09/16/24       DKK       679       USD       100       (1 )

Brown Brothers Harriman

    09/16/24       EUR       1,095       USD       1,220       7  

Brown Brothers Harriman

    09/16/24       EUR       559       USD       615       (4 )

Brown Brothers Harriman

    09/16/24       USD       678       EUR       615       3  

Brown Brothers Harriman

    09/16/24       USD       1,315       EUR       1,179       (9 )

Brown Brothers Harriman

    09/16/24       HKD       1,887       USD       242        

Brown Brothers Harriman

    09/16/24       HKD       118       USD       15        

Brown Brothers Harriman

    09/17/24       USD       650       JPY       95,231       6  

Brown Brothers Harriman

    09/17/24       USD       614       JPY       88,565       (5 )

Brown Brothers Harriman

    09/17/24       JPY       56,887       USD       393       2  

 

 

 

132

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

World Select Equity Fund (Concluded)

 

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

Brown Brothers Harriman

    09/17/24       JPY       89,981       USD       611     $ (8 )

Standard Chartered

    09/16/24       USD       2,041       SEK       21,209       31  

Standard Chartered

    09/16/24       USD       2,229       DKK       15,066       8  

Standard Chartered

    09/16/24       USD       9,105       GBP       7,087       210  

Standard Chartered

    09/16/24       GBP       12,343       USD       15,858       (365 )

Standard Chartered

    09/16/24       HKD       28,279       USD       3,635       8  

Standard Chartered

    09/17/24       USD       13,698       JPY       2,002,367       81  

Standard Chartered

    09/17/24       JPY       1,725,846       USD       11,805       (71 )

Westpac Banking

    09/16/24       USD       349       NOK       3,724       2  

Westpac Banking

    09/16/24       SGD       538       USD       409       (4 )

Westpac Banking

    09/16/24       USD       833       SGD       1,094       7  

Westpac Banking

    09/16/24       CHF       2,237       USD       2,604       (37 )

Westpac Banking

    09/16/24       AUD       3,148       USD       2,091       (46 )

Westpac Banking

    09/16/24       USD       6,043       CHF       5,192       85  

Westpac Banking

    09/16/24       CAD       6,443       USD       4,705       (77 )

Westpac Banking

    09/16/24       USD       7,413       CAD       10,150       121  
                                            $ 12  

 

 

Percentages are based on Net Assets of $287,055 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Real Estate Investment Trust.

Investment in Affiliated Security.

(A)

Level 3 security in accordance with fair value hierarchy.

(B)

No interest rate available.

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Daily Income Trust, Government Fund,
Institutional Class

  $ 1,651     $ 12,330     $ (7,315 )   $     $     $ 6,666     $ 53     $  

 

                                                               

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

SEI Institutional Investments Trust

 

133

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Equity Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 95.5%

Argentina — 0.9%

Corp America Airports SA *

    135,260     $ 2,037  

Despegar.com Corp *

    91,057       1,119  

Loma Negra Cia Industrial Argentina SA ADR *

    160,349       1,137  

Telecom Argentina SA ADR *

    380,897       2,655  

YPF SA ADR *

    40,594       962  
              7,910  
                 

Australia — 0.1%

SolGold PLC *

    6,774,749       856  
                 

Bangladesh — 0.3%

BRAC Bank PLC

    6,471,066       2,891  
                 

Belgium — 0.2%

Cenergy Holdings SA

    142,616       1,531  
                 

Brazil — 6.4%

Adecoagro SA

    31,300       345  

Afya Ltd, Cl A *

    15,724       256  

Banco do Brasil SA

    340,308       1,687  

C&A MODAS SA *

    862,400       1,544  

Cia Brasileira de Aluminio *

    724,500       637  

Cia de Saneamento Basico do Estado de Sao Paulo SABESP

    219,971       3,660  

Cia de Saneamento de Minas Gerais Copasa MG

    86,200       357  

CPFL Energia SA

    285,200       1,676  

Cury Construtora e Incorporadora SA

    93,600       391  

Embraer SA *

    354,400       2,902  

Embraer SA ADR *

    46,784       1,555  

Grupo SBF SA

    402,700       1,226  

Hapvida Participacoes e Investimentos S/A *

    1,134,000       847  

Itau Unibanco Holding SA ADR

    1,500,172       9,781  

Localiza Rent a Car SA

    172,246       1,252  

Neoenergia SA

    17,500       62  

NU Holdings Ltd/Cayman Islands, Cl A *

    473,681       7,091  

Pagseguro Digital Ltd, Cl A *

    120,467       1,334  

Petroleo Brasileiro SA ADR, Cl A

    546,297       7,615  

Santos Brasil Participacoes SA *

    551,000       1,281  

Sendas Distribuidora S/A

    1,288,900       2,153  

Sigma Lithium Corp *

    27,976       298  

Suzano SA

    55,500       539  

TIM SA/Brazil

    1,513,800       4,763  

TOTVS SA

    419,400       2,214  

Vibra Energia SA

    177,000       799  
              56,265  
                 

Canada — 1.3%

Capstone Copper Corp *

    192,296       1,380  

Celestica Inc *

    82,515       4,202  

Ivanhoe Mines Ltd, Cl A *

    320,719       4,276  

Pan American Silver Corp

    84,091       1,699  
              11,557  
                 

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Cayman Islands — 0.1%

Theon International PLC

    57,080     $ 729  
                 

Chiina — 0.1%

Sunny Optical Technology Group Co Ltd

    91,200       565  
                 

Chile — 0.7%

Banco Santander Chile ADR

    97,984       2,023  

Enel Chile SA

    13,717,228       741  

Parque Arauco SA

    2,272,217       3,734  
              6,498  
                 

China — 13.8%

3SBio Inc

    167,000       130  

Agricultural Bank of China Ltd, Cl H

    2,300,000       1,017  

Airtac International Group

    8,700       235  

Alibaba Group Holding Ltd

    1,338,100       13,972  

Alibaba Group Holding Ltd ADR

    20,136       1,678  

Baidu Inc ADR *

    78,712       6,661  

Brilliance China Automotive Holdings Ltd

    660,000       275  

China Construction Bank Corp, Cl H *

    5,630,000       3,984  

China Everbright Environment Group Ltd

    513,000       235  

China Galaxy Securities Co Ltd, Cl H *

    843,000       446  

China Pacific Insurance Group Co Ltd, Cl H

    227,800       594  

China Railway Group Ltd, Cl H

    1,993,000       925  

China Resources Land Ltd

    1,604,500       4,556  

China Resources Pharmaceutical Group Ltd

    497,000       350  

China State Construction International Holdings Ltd

    274,000       391  

China Taiping Insurance Holdings Co Ltd

    311,200       404  

CITIC Ltd

    788,000       787  

Contemporary Amperex Technology Co Ltd, Cl A

    222,848       5,796  

COSCO SHIPPING Holdings Co Ltd, Cl H

    1,104,550       1,515  

Daqin Railway Co Ltd, Cl A *

    275,745       238  

FinVolution Group ADR

    56,408       299  

First Tractor Co Ltd, Cl H

    762,000       770  

Full Truck Alliance Co Ltd ADR

    145,258       1,053  

Gree Electric Appliances Inc of Zhuhai, Cl A

    110,500       619  

Guangdong Xinbao Electrical Appliances Holdings Co Ltd, Cl A

    152,600       278  

Haier Smart Home Co Ltd, Cl A

    2,207,400       6,806  

Hello Group Inc ADR

    39,380       261  

iQIYI Inc ADR *

    1,176,987       2,531  

JD.com Inc ADR

    34,642       935  

Jiangxi Copper Co Ltd, Cl H

    248,000       418  

Kanzhun Ltd ADR

    91,868       1,145  

Kuaishou Technology, Cl B *

    105,100       543  

Kunlun Energy Co Ltd

    2,960,000       2,964  

Kweichow Moutai Co Ltd, Cl A

    8,475       1,726  

Meituan, Cl B *

    290,200       4,397  

Midea Group Co Ltd, Cl A

    31,400       287  

NARI Technology Co Ltd, Cl A *

    793,200       2,755  

PDD Holdings Inc ADR *

    22,426       2,155  

 

 

 

134

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

People's Insurance Co Group of China Ltd/The, Cl H *

    806,000     $ 305  

PetroChina Co Ltd, Cl H

    810,000       734  

PICC Property & Casualty Co Ltd *

    3,776,000       4,889  

Ping An Insurance Group Co of China Ltd, Cl H

    1,469,500       7,046  

Q Technology Group Co Ltd

    811,000       494  

Qifu Technology Inc ADR

    32,492       861  

Sinopharm Group Co Ltd, Cl H

    170,800       398  

Sinotruk Hong Kong Ltd

    747,500       1,869  

TAL Education Group ADR *

    117,336       943  

Tencent Holdings Ltd

    298,753       14,631  

Tencent Music Entertainment Group ADR

    25,107       262  

Tongcheng Travel Holdings Ltd

    274,400       512  

TravelSky Technology Ltd, Cl H

    1,111,000       1,380  

Trip.com Group Ltd ADR *

    37,770       1,780  

Vipshop Holdings Ltd ADR

    440,385       5,522  

Weibo Corp ADR

    49,722       372  

Wuliangye Yibin Co Ltd, Cl A

    15,879       276  

Xinyi Glass Holdings Ltd

    674,000       610  

Xinyi Solar Holdings Ltd

    2,471,000       966  

Yangzijiang Shipbuilding Holdings Ltd

    712,700       1,361  

Yihai International Holding Ltd

    334,000       501  

Zhejiang Semir Garment Co Ltd, Cl A

    249,692       160  

ZJLD Group Inc

    818,200       759  

ZTE Corp, Cl H

    248,600       501  
              121,263  
                 

Colombia — 0.3%

Gran Tierra Energy Inc *

    392,799       2,906  
              2,906  
                 

Czechia — 0.2%

WAG Payment Solutions PLC *

    1,509,678       1,349  
                 

Egypt — 0.4%

Commercial International Bank - Egypt GDR

    2,175,279       3,415  
                 

France — 0.1%

Eramet SA

    8,295       653  
                 

Georgia — 0.2%

TBC Bank Group PLC

    44,493       1,842  
                 

Ghana — 0.2%

Tullow Oil PLC *

    4,509,267       1,593  
                 

Greece — 1.5%

Alpha Services and Holdings SA

    274,141       469  

Eurobank Ergasias Services and Holdings SA

    2,281,611       5,213  

National Bank of Greece SA

    299,724       2,607  

OPAP SA

    44,743       774  

Piraeus Financial Holdings SA

    949,169       4,106  
              13,169  
                 

Hong Kong — 0.4%

Orient Overseas International Ltd

    34,500       480  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Pacific Basin Shipping Ltd

    1,268,000     $ 349  

Techtronic Industries Co Ltd

    204,000       2,749  
              3,578  
                 

Hungary — 0.8%

OTP Bank Nyrt

    99,007       5,106  

Richter Gedeon Nyrt *

    77,722       2,360  
              7,466  
                 

Iceland — 0.4%

Islandsbanki HF

    5,329,133       3,935  
                 

India — 12.9%

Adani Ports & Special Economic Zone Ltd

    29,270       517  

Ashok Leyland Ltd

    151,099       462  

Ashoka Buildcon Ltd *

    609,560       1,697  

Aster DM Healthcare Ltd

    219,471       1,064  

Aurobindo Pharma Ltd

    95,830       1,793  

Bajaj Auto Ltd

    11,396       1,480  

Bharat Electronics Ltd

    1,117,851       3,989  

Bharat Petroleum Corp Ltd

    279,830       1,193  

Brigade Enterprises Ltd

    142,198       2,042  

Canara Bank

    746,465       993  

Chambal Fertilisers and Chemicals Ltd

    47,211       293  

Chennai Petroleum Corp Ltd

    58,695       683  

Coal India Ltd

    201,717       1,263  

Colgate-Palmolive India Ltd

    19,472       845  

Computer Age Management Services Ltd

    36,027       1,830  

CreditAccess Grameen Ltd

    60,914       887  

Dixon Technologies India Ltd

    2,384       374  

Dr Reddy's Laboratories Ltd

    9,647       809  

Emami Ltd

    197,543       1,915  

Exide Industries Ltd

    367,376       2,159  

Federal Bank Ltd

    767,285       1,781  

GAIL India Ltd

    403,084       1,142  

Genus Power Infrastructures Ltd

    521,074       2,835  

HCL Technologies Ltd

    198,730       4,154  

HDFC Asset Management Co Ltd

    5,880       310  

HDFC Bank Ltd

    225,090       4,393  

HDFC Bank Ltd ADR

    12,398       758  

Hindalco Industries Ltd

    134,769       1,127  

Hindustan Aeronautics Ltd

    13,728       766  

ICICI Bank Ltd

    307,287       4,504  

ICICI Bank Ltd ADR

    235,296       6,897  

Indus Towers Ltd *

    118,388       647  

Info Edge India Ltd

    9,126       836  

Intellect Design Arena Ltd

    158,277       1,874  

InterGlobe Aviation Ltd *

    21,196       1,221  

IRB Infrastructure Developers Ltd

    1,445,479       1,092  

ITD Cementation India Ltd

    75,370       498  

Jyothy Labs Ltd

    250,815       1,614  

Kotak Mahindra Bank Ltd

    142,572       3,027  

KPIT Technologies Ltd

    64,910       1,405  

Lemon Tree Hotels Ltd *

    326,093       523  

LIC Housing Finance Ltd

    82,618       664  

 

 

 

SEI Institutional Investments Trust

 

135

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Lupin Ltd

    11,251     $ 301  

Mahindra & Mahindra Ltd

    35,933       1,202  

Manappuram Finance Ltd

    215,257       554  

Mrs Bectors Food Specialities Ltd *

    102,589       1,967  

Muthoot Finance Ltd

    20,055       470  

Narayana Hrudayalaya Ltd

    79,690       1,206  

Natco Pharma Ltd

    39,574       726  

NCC Ltd/India

    223,786       851  

Nippon Life India Asset Management Ltd

    44,504       357  

Oil & Natural Gas Corp Ltd

    326,697       1,288  

PB Fintech Ltd *

    124,135       2,623  

Petronet LNG Ltd

    604,496       2,647  

Phoenix Mills Ltd/The

    145,885       6,556  

PNC Infratech Ltd *

    315,621       1,692  

Power Grid Corp of India Ltd

    209,801       844  

REC Ltd

    416,179       3,075  

Shriram Finance Ltd

    129,451       4,946  

Sobha Ltd

    49,941       950  

Strides Pharma Science Ltd

    25,259       404  

Tata Motors Ltd

    88,354       1,171  

Thermax Ltd

    33,990       1,772  

Trent Ltd

    14,666       1,252  

VA Tech Wabag Ltd *

    98,582       1,496  

Varun Beverages Ltd

    165,312       2,958  

Vedanta Ltd

    97,844       547  

Voltamp Transformers Ltd

    1,598       269  

Zomato Ltd *

    955,383       2,854  

Zydus Lifesciences Ltd

    37,804       508  
              113,842  
                 

Indonesia — 5.0%

Adaro Energy Indonesia Tbk PT

    2,478,800       571  

Aspirasi Hidup Indonesia Tbk PT

    24,208,500       1,120  

Astra International Tbk PT

    1,863,200       615  

Bank Central Asia Tbk PT

    5,163,600       3,450  

Bank Mandiri Persero Tbk PT

    4,805,600       2,215  

Bank Rakyat Indonesia Persero Tbk PT

    27,302,576       9,098  

Bank Syariah Indonesia Tbk PT

    5,496,200       942  

Cisarua Mountain Dairy PT TBK

    12,400,900       3,964  

First Pacific Co Ltd

    7,750,000       4,143  

Indo Tambangraya Megah Tbk PT

    121,300       214  

Indosat Tbk PT

    2,392,800       1,606  

Jasa Marga Persero Tbk PT

    3,883,900       1,345  

Medikaloka Hermina Tbk PT

    52,722,900       4,435  

Pakuwon Jati Tbk PT

    89,667,684       2,762  

Perusahaan Gas Negara Tbk PT

    2,812,700       280  

Trimegah Bangun Persada Tbk PT

    55,861,139       3,289  

Ultrajaya Milk Industry & Trading Co Tbk PT

    27,622,400       3,324  

United Tractors Tbk PT

    180,500       316  
              43,689  
                 

Isreal — 0.7%

Energean PLC

    469,697       6,003  
                 

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Jordan — 0.0%

Hikma Pharmaceuticals PLC

    8,624     $ 226  
                 

Kazakhstan — 2.2%

Air Astana JSC GDR *

    542,507       3,716  

Halyk Savings Bank of Kazakhstan JSC GDR

    443,219       7,756  

Kaspi.KZ JSC ADR

    13,006       1,703  

NAC Kazatomprom JSC GDR

    168,251       6,113  
              19,288  
                 

Kenya — 0.3%

ARM Cement Ltd *

    10        

Equity Group Holdings PLC/Kenya

    9,178,063       2,926  
              2,926  
                 

Luxembourg — 0.3%

Alvotech SA *

    257,154       3,025  
                 

Macao — 0.1%

MGM China Holdings Ltd

    705,200       949  
                 

Malaysia — 0.6%

CIMB Group Holdings Bhd

    288,400       547  

Dayang Enterprise Holdings Bhd

    1,526,300       918  

Econpile Holdings Bhd *

    3,941,600       360  

Gamuda Bhd

    733,100       1,272  

Genting Bhd

    359,700       360  

Mah Sing Group Bhd

    1,937,200       731  

My EG Services Bhd

    1,367,500       283  

Sime Darby Bhd

    608,400       349  

YTL Corp Bhd

    438,900       294  
              5,114  
                 

Mexico — 1.7%

BBB Foods Inc, Cl A *

    53,308       1,694  

Controladora Vuela Cia de Aviacion SAB de CV ADR *

    149,270       852  

Corp Inmobiliaria Vesta SAB de CV

    222,600       612  

Grupo Aeroportuario del Pacifico SAB de CV, Cl B

    145,274       2,572  

Grupo Financiero Banorte SAB de CV, Cl O

    821,700       5,712  

Grupo Traxion SAB de CV, Cl A *

    272,141       280  

Qualitas Controladora SAB de CV

    252,000       2,023  

Wal-Mart de Mexico SAB de CV

    451,890       1,442  
              15,187  
                 

Netherlands — 0.1%

SBM Offshore NV

    27,176       513  
                 

Nigeria — 1.3%

Guaranty Trust Holding Co PLC

    106,821,646       3,033  

SEPLAT Energy PLC

    2,641,092       6,491  

Zenith Bank PLC

    89,481,036       2,136  
              11,660  
                 

Pakistan — 0.6%

United Bank Ltd/Pakistan

    6,175,348       5,615  
                 

 

 

 

136

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Peru — 1.7%

Auna SA, Cl A *

    442,896     $ 2,914  

Credicorp Ltd

    34,968       6,237  

Hochschild Mining PLC

    2,656,117       6,017  
              15,168  
                 

Philippines — 2.6%

Ayala Corp

    309,759       3,338  

Ayala Land Inc

    5,943,100       3,736  

BDO Unibank Inc

    1,342,470       3,653  

Century Pacific Food Inc

    1,180,400       771  

GT Capital Holdings Inc

    387,410       4,305  

OceanaGold Philippines Inc

    14,448,200       3,376  

Robinsons Land Corp

    14,277,300       3,804  
              22,983  
                 

Poland — 0.9%

Allegro.eu SA *

    115,864       1,142  

CCC SA *

    33,862       1,360  

InPost SA *

    94,593       1,744  

KGHM Polska Miedz SA

    52,833       1,899  

ORLEN SA

    46,967       783  

Powszechny Zaklad Ubezpieczen SA

    50,757       613  
              7,541  
                 

Qatar — 0.0%

Ooredoo QPSC

    85,906       260  
                 

Russia — 0.0%

Gazprom PJSC ADR *(A)

    503,042        

LUKOIL PJSC ADR *

    107,182        

Mobile TeleSystems PJSC ADR *

    556,416        

Moscow Exchange MICEX-RTS PJSC *

    945,410        

Ozon Holdings PLC ADR *

    30,008        

Sberbank of Russia PJSC ADR *(A)

    93,380        

Surgutneftegas PJSC ADR *

    416,721        
               
                 
               

Saudi Arabia — 0.8%

AlKhorayef Water & Power Technologies Co *

    11,113       542  

Arab National Bank

    84,383       435  

Bupa Arabia for Cooperative Insurance Co

    40,883       2,532  

Etihad Etisalat Co

    42,212       569  

Riyadh Cables Group Co

    26,315       783  

Saudi Ground Services Co

    46,660       668  

Savola Group/The

    61,380       436  

United Electronics Co

    33,799       821  
              6,786  
                 

Singapore — 0.8%

Grab Holdings Ltd, Cl A *

    736,282       2,371  

Sea Ltd ADR *

    54,993       4,306  
              6,677  
                 

Slovenia — 0.9%

Nova Ljubljanska Banka dd GDR

    306,187       8,215  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

South Africa — 2.3%

Aspen Pharmacare Holdings Ltd

    113,889     $ 1,539  

Capitec Bank Holdings Ltd

    21,062       3,471  

Foschini Group Ltd/The

    165,993       1,355  

Naspers Ltd, Cl N

    58,797       12,179  

Nedbank Group Ltd

    76,235       1,274  

Sasol Ltd

    99,086       768  
              20,586  
                 

South Korea — 10.0%

BH Co Ltd

    20,172       360  

BNK Financial Group Inc

    46,640       355  

CJ CheilJedang Corp

    7,358       1,774  

Classys Inc

    46,778       1,761  

Coupang Inc, Cl A *

    112,754       2,497  

Coway Co Ltd

    40,016       2,013  

DB Insurance Co Ltd

    7,193       625  

DL E&C Co Ltd

    8,288       205  

Doosan Bobcat Inc

    11,623       346  

Eo Technics Co Ltd

    9,569       1,231  

Eugene Technology Co Ltd

    34,900       1,199  

GS Holdings Corp

    12,565       425  

Hana Financial Group Inc

    226,210       10,482  

Hana Materials Inc

    15,501       400  

Hankook Tire & Technology Co Ltd

    10,042       326  

HD Hyundai Electric Co Ltd

    2,680       613  

Hyundai Glovis Co Ltd

    5,880       493  

Hyundai Marine & Fire Insurance Co Ltd

    13,014       339  

Hyundai Motor Co

    3,776       722  

Hyundai Rotem Co Ltd

    39,021       1,577  

Kia Corp

    144,532       11,479  

KIWOOM Securities Co Ltd

    3,072       311  

Korea Investment Holdings Co Ltd

    7,779       424  

Korean Air Lines Co Ltd

    32,084       530  

KT Corp

    17,088       494  

LG Chem Ltd

    9,120       2,195  

LG Electronics Inc

    71,342       5,308  

LG Innotek Co Ltd

    4,819       1,003  

LX INTERNATIONAL CORP

    13,188       316  

NH Investment & Securities Co Ltd

    192,764       1,971  

OCI Holdings Co Ltd

    5,826       311  

Poongsan Corp

    40,401       1,948  

Samsung Electronics Co Ltd

    335,991       18,688  

Samsung Securities Co Ltd

    11,454       405  

Shinhan Financial Group Co Ltd

    89,006       3,738  

Shinsegae Inc

    1,934       218  

SK Hynix Inc

    41,827       5,439  

SK Square Co Ltd *

    56,975       3,348  

SOOP Co Ltd

    4,976       382  

Soulbrain Co Ltd

    2,441       433  

TSE Co Ltd

    19,075       695  

WONIK IPS Co Ltd

    37,037       947  

 

 

 

SEI Institutional Investments Trust

 

137

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Youngone Corp

    8,726     $ 248  
              88,574  
                 

Taiwan — 13.9%

Acer Inc

    431,000       589  

Alchip Technologies Ltd

    12,700       1,052  

Arcadyan Technology Corp

    191,000       875  

Asia Vital Components Co Ltd

    195,686       3,707  

ASPEED Technology Inc

    14,230       2,193  

Asustek Computer Inc

    52,000       873  

Cathay Financial Holding Co Ltd

    278,000       552  

Chicony Electronics Co Ltd

    36,000       182  

Compal Electronics Inc

    232,000       241  

CTBC Financial Holding Co Ltd

    5,293,000       5,402  

E Ink Holdings Inc

    115,000       1,096  

Elan Microelectronics Corp *

    339,000       1,558  

Elite Material Co Ltd

    107,000       1,555  

Ennoconn Corp

    149,000       1,383  

Eva Airways Corp

    667,000       737  

Evergreen Marine Corp Taiwan Ltd

    181,800       1,068  

Fortune Electric Co Ltd

    11,000       229  

Fositek Corp

    32,000       801  

Gold Circuit Electronics Ltd

    214,000       1,412  

Hon Hai Precision Industry Co Ltd

    574,912       3,316  

Ingentec Corp

    136,500       934  

Insyde Software Corp

    42,000       574  

International Games System Co Ltd

    51,000       1,242  

Jentech Precision Industrial Co Ltd

    77,000       3,262  

Johnson Health Tech Co Ltd

    249,000       957  

King Yuan Electronics Co Ltd

    551,000       2,084  

Kinik Co

    192,000       2,029  

Lotes Co Ltd

    9,000       430  

Macronix International Co Ltd

    1,745,000       1,511  

MediaTek Inc

    108,298       4,198  

Micro-Star International Co Ltd

    557,000       3,195  

Pou Chen Corp

    331,000       360  

Primax Electronics Ltd

    76,000       213  

Quanta Computer Inc

    92,000       771  

Radiant Opto-Electronics Corp

    80,000       494  

Raydium Semiconductor Corp *

    14,000       156  

Sitronix Technology Corp

    34,000       249  

Sports Gear Co Ltd

    365,000       987  

Synnex Technology International Corp

    135,000       304  

Taiwan Paiho Ltd

    270,000       519  

Taiwan Semiconductor Manufacturing Co Ltd

    1,958,000       57,779  

Taiwan Semiconductor Manufacturing Co Ltd ADR

    13,608       2,337  

Taiwan Surface Mounting Technology Corp

    25,000       91  

United Microelectronics Corp

    393,000       682  

Universal Microwave Technology Inc

    127,000       1,386  

Visual Photonics Epitaxy Co Ltd

    332,000       1,474  

Voltronic Power Technology Corp

    20,950       1,307  

Wisdom Marine Lines Co Ltd

    222,000       466  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Wistron Corp

    231,000     $ 733  

Wiwynn Corp *

    32,000       1,901  

Yang Ming Marine Transport Corp

    442,000       891  
              122,337  
                 

Thailand — 0.9%

Bumrungrad Hospital PCL

    87,900       636  

Kasikornbank PCL

    120,300       508  

Kasikornbank PCL NVDR

    1,287,300       5,439  

Krung Thai Bank PCL

    872,200       472  

Muangthai Capital PCL NVDR

    439,900       569  

Sansiri PCL

    2,993,200       151  
              7,775  
                 

Türkiye — 0.8%

AG Anadolu Grubu Holding AS, Cl A

    53,643       519  

Anadolu Efes Biracilik Ve Malt Sanayii AS

    70,827       463  

Dogus Otomotiv Servis ve Ticaret AS

    64,376       450  

Haci Omer Sabanci Holding AS

    463,929       1,198  

KOC Holding AS

    181,286       992  

Mavi Giyim Sanayi Ve Ticaret AS, Cl B

    112,317       349  

MLP Saglik Hizmetleri AS, Cl B *

    136,294       1,319  

TAB Gida Sanayi Ve Ticaret AS

    46,221       217  

Turk Hava Yollari AO *

    107,289       946  

Ulker Biskuvi Sanayi AS

    56,254       244  
              6,697  
                 

United Arab Emirates — 2.4%

Alef Education Holding PLC

    9,481,277       3,201  

Bayanat AI PLC *

    530,631       334  

Burjeel Holdings PLC

    1,433,603       960  

Emaar Development PJSC

    2,621,677       6,003  

Emaar Properties PJSC

    4,257,756       9,784  

Emirates NBD Bank PJSC

    125,931       675  
              20,957  
                 

United Kingdom — 0.0%

Anglogold Ashanti PLC

    15,008       447  
                 

United States — 0.4%

Globant SA *

    14,185       2,869  

JBS S/A

    47,500       292  

Laureate Education Inc, Cl A

    10,275       158  
              3,319  
                 

Vietnam — 2.4%

Ho Chi Minh City Development Joint Stock Commercial Bank

    2,824,212       3,145  

Hoa Phat Group JSC *

    2,540,761       2,605  

Military Commercial Joint Stock Bank

    6,415,731       6,409  

SSI Securities Corp *

    1,010,000       1,368  

Vietnam Technological & Commercial Joint Stock Bank

    3,225,040       3,027  

Vincom Retail JSC *

    1,905,059       1,471  

Vinhomes JSC

    1,825,800       3,046  
              21,071  
                 

 

 

 

138

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Equity Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Zambia — 0.5%

First Quantum Minerals Ltd

    345,961     $ 4,356  
                 

Total Common Stock

               

(Cost $725,366) ($ Thousands)

            841,757  
                 

PREFERRED STOCK — 2.2%

Brazil — 0.5%

Bradespar SA (B)

    210,800       725  

Cia Energetica de Minas Gerais (B)

    307,811       630  

Marcopolo SA (B)

    2,017,900       2,612  
              3,967  
                 

Colombia — 0.1%

Banco Davivienda SA (B)

    215,784       902  
                 

South Korea — 1.6%

Hyundai Motor Co (B)

    45,119       6,189  

LG Chem Ltd (B)

    5,906       957  

LG Electronics Inc (B)

    25,035       905  

Samsung Electronics Co Ltd (B)

    137,904       6,194  
              14,245  
                 

Total Preferred Stock

               

(Cost $19,657) ($ Thousands)

            19,114  
      Number of
Rights
         

RIGHTS — 0.0%

Saudi Arabia — 0.0%

       

Savola Group/The, Expires 09/20/2024 *

    83,464       354  

Total Rights

               

(Cost $365) ($ Thousands)

            354  
                 
                 
   


Shares

         

CASH EQUIVALENT — 0.9%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    7,663,232       7,663  

Total Cash Equivalent

               

(Cost $7,663) ($ Thousands)

            7,663  

Total Investments in Securities — 98.6%

               

(Cost $753,051) ($ Thousands)

  $ 868,888  
                 
                 

 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

 

 
 

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Long Contracts

                                       

MSCI Emerging Markets

    144       Sep-2024     $ 7,748     $ 7,920     $ 172  
                                         

 

 

  Percentages are based on Net Assets of $881,120 ($ Thousands).   Investment in Affiliated Security.  
* Non-income producing security.   (A) Level 3 security in accordance with fair value hierarchy.  
** The rate reported is the 7-day effective yield as of August 31, 2024.   (B) No interest rate available.  

 

SEI Institutional Investments Trust

 

139

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Equity Fund (Concluded)

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Daily Income Trust, Government Fund,
Institutional Class

  $ 7,016     $ 37,741     $ (37,094 )   $     $     $ 7,663     $ 176     $  

 

                                                               

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

140

 

SEI Institutional Investments Trust

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS — 31.3%

Aerospace & Defense — 0.6%

       

Bleriot US Bidco Inc., 2023 Term Loan, 1st Lien

               

8.572%, CME Term SOFR + 3.250%, 10/30/2028 (A)(B)

  $     $  

Cobham Ultra SeniorCo S.a r.l., Facility B (USD), 1st Lien

               

9.245%, CME Term SOFR + 3.500%, 08/03/2029 (A)

    1,156       1,135  

TransDigm Inc., New Tranche J Term Loan, 1st Lien

               

7.843%, CME Term SOFR + 2.500%, 02/28/2031 (A)

    315       315  

TransDigm Inc., Tranche K Term Loan, 1st Lien

               

8.085%, CME Term SOFR + 2.750%, 03/22/2030 (A)

    638       640  
              2,090  
                 

Air Transport — 0.3%

       

AAdvantage Loyality IP Ltd. (American Airlines, Inc.), Initial Term Loan, 1st Lien

               

10.294%, CME Term SOFR + 4.750%, 04/20/2028 (A)

    894       924  
                 
                 

Automotive — 1.5%

       

American Auto Auction Group LLC/XLerate, Term Loan, 1st Lien

               

10.485%, 12/30/2027

    285       285  

Autokiniton US Holdings, Inc., 2024 Replacement Term B Loan

               

9.458%, 04/06/2028

    246       247  

Belron Finance 2019 LLC, Dollar Second Incremental Loan, 1st Lien

               

7.767%, SOFRRATE + 2.500%, 10/30/2026 (A)

    570       572  

Belron Finance US LLC, First Incremental Term Loan, 1st Lien

               

7.624%, 11/13/2025

    727       728  

Clarios Global LP, Amendment No. 5 Dollar Term Loan, 1st Lien

               

7.747%, CME Term SOFR + 2.500%, 05/06/2030 (A)

    898       899  

Hertz Corporation, The, Initial Term B Loan, 1st Lien

               

8.859%, CME Term SOFR + 3.250%, 06/30/2028 (A)(B)

    287       258  

Hertz Corporation, The, Initial Term C Loan, 1st Lien

               

8.859%, CME Term SOFR + 3.250%, 06/30/2028 (A)(B)

    56       50  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

LS Group Opco Acquisition LLC (LS Group PropCo Acquisition LLC), Term B Loan, 1st Lien

               

8.344%, CME Term SOFR + 3.000%, 04/23/2031 (A)

  $ 976     $ 975  

Wand Newco 3, Inc., Tranche B-1 Term Loan, 1st Lien

               

8.497%, CME Term SOFR + 3.250%, 01/30/2031 (A)

    868       868  
              4,882  
                 

Building & Development — 1.0%

       

Artera Services, LLC, Tranche C Term Loan, 1st Lien

               

9.835%, 02/15/2031

    499       494  

CP Atlas Buyer, Inc., Term B Loan, 1st Lien

               

9.097%, CME Term SOFR + 3.750%, 11/23/2027 (A)

    253       244  

Forest City Enterprises, L.P., Replacement Term Loan, 1st Lien

               

8.962%, CME Term SOFR + 3.500%, 12/08/2025 (A)

    833       796  

Gulfside Supply INC, Term Loan

               

8.286%, SOFR + 3.500%, 05/29/2031 (A)(C)

    295       295  

Summit Materials, LLC, Incremental Cov-Lite TLB

               

7.804%, CME Term SOFR + 2.500%, 01/12/2029 (A)

    499       501  

Tutor Perini Corp., Term Loan, 1st Lien

               

10.208%, SOFRRATE + 3.500%, 08/18/2027 (A)

    984       981  

Wrench Group LLC, Initial Term Loan, 1st Lien

               

9.596%, 04/30/2026

    205       205  
              3,516  
                 

Business Equipment & Services — 5.0%

       

Access CIG, LLC, 2023 Refinancing Term Loan, 1st Lien

               

10.252%, CME Term SOFR + 5.000%, 08/18/2028 (A)

    1,163       1,167  

Albion Financing 3 S.a r.l. (Albion Financing LLC), 2024 Amended U.S. Dollar Term Loan, 1st Lien

               

9.826%, CME Term SOFR + 4.250%, 08/17/2029 (A)(B)

    265       266  

AlixPartners LLP, Initial Dollar Term Loan, 1st Lien

               

7.861%, 02/04/2028

    873       876  

Asplundh Tree Expert, LLC, 2024 Incremental Term Loan

               

7.094%, CME Term SOFR + 1.750%, 05/08/2031 (A)

    475       476  

 

 

 

SEI Institutional Investments Trust

 

141

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

AVSC Holding Corp., 2020 B-1 Term Loan, 1st Lien

               

8.944%, CME Term SOFR + 3.250%, 03/03/2025 (A)

  $ 480     $ 478  

AVSC Holding Corp., 2020 B-2 Term Loan, 1st Lien

               

10.944%, CME Term SOFR + 4.500%, 10/15/2026 (A)

    270       270  

AVSC Holding Corp., Initial Term Loan, 2nd Lien

               

12.708%, LIBOR + 3.500%, 09/01/2025 (A)

    415       408  

Boost Newco Borrower, LLC, USD Term B-1 Loan, 1st Lien

               

7.748%, CME Term SOFR + 2.500%, 01/31/2031 (A)

    405       405  

BW Holding Inc., Initial Term Loan, 1st Lien

               

9.497%, CME Term SOFR + 4.000%, 12/14/2028 (A)

    635       568  

Chart Industries, Amendment No. 7 Term Loan

               

7.825%, 03/15/2030

    779       781  

Corporation Service Company, Initial Tranche B USD Term Loan, 1st Lien

               

7.844%, 11/02/2029

    225       226  

Electron Bidco Inc., Initial Term Loan, 1st Lien

               

8.458%, CME Term SOFR + 3.000%, 11/01/2028 (A)

    1,342       1,345  

Ensono, Inc., Initial Term Loan, 1st Lien

               

9.458%, CME Term SOFR + 4.000%, 05/26/2028 (A)

    80       80  

9.361%, CME Term SOFR + 4.000%, 05/26/2028 (A)

    763       758  

Grant Thornton, Cov-Lite Term Loan B, 1st Lien

               

8.597%, 05/16/2031

    450       451  

Iqvia Inc., Incremental Term B-4 Dollar Loan

               

7.335%, CME Term SOFR + 2.000%, 01/02/2031 (A)

    577       580  

Lei Finco US LLC, Term Loan

               

0.000%, 07/02/2031 (A)(B)(D)

    425       421  

Medline Borrower, LP, Refinancing Term Loan, 1st Lien

               

7.847%, CME Term SOFR + 2.750%, 10/23/2028 (A)

    414       414  

Mermaid Bidco

               

8.492%, CME Term SOFR + 3.250%, 07/03/2031 (A)(B)

    240       241  

Project Castle Inc., Initial Term Loan, 1st Lien

               

10.835%, CME Term SOFR + 5.500%, 06/01/2029 (A)

    42       38  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

10.832%, CME Term SOFR + 5.500%, 06/01/2029 (A)

  $ 767     $ 691  

R1 RCM Inc., Initial Term B Loan, 1st Lien

               

8.344%, 06/21/2029 (A)

    401       402  

Sedgwick Claims Management Services Inc., 2023 Term Loan, 1st Lien

               

8.252%, CME Term SOFR + 3.750%, 02/24/2028 (A)

    1,146       1,147  

Service Logic Acquisition Inc., Closing Date Initial Term Loan, 1st Lien

               

9.514%, CME Term SOFR + 4.000%, 10/29/2027 (A)

    1,098       1,097  

9.458%, CME Term SOFR + 4.000%, 10/29/2027 (A)

    3       3  

Sharp Services, LLC, Tranche C Term Loan, 1st Lien

               

9.085%, CME Term SOFR + 3.750%, 12/31/2028 (A)

    1,012       1,012  

Tempo Acquisition, LLC, Sixth Incremental Term Loan, 1st Lien

               

7.497%, CME Term SOFR + 2.250%, 08/31/2028 (A)

    304       305  

TK Elevator Midco GmbH, Facility B2 (USD), 1st Lien

               

8.588%, CME Term SOFR + 3.500%, 04/30/2030 (A)

    517       519  

United Talent Agency, LLC, 2024 Refinancing Term Loan

               

9.040%, 07/07/2028 (A)(C)

    1,067       1,068  

Waystar Technologies, Inc., Initial Term Loan, 1st Lien

               

7.997%, CME Term SOFR + 2.750%, 10/22/2029 (A)

    590       592  

William Morris Endeavor Entertainment, LLC (IMG Worldwide Holdings, LLC), Term B-1 Loan, 1st Lien

               

8.208%, CME Term SOFR + 2.750%, 05/18/2025 (A)

    1,175       1,175  
              18,260  
                 

Cable & Satellite Television — 1.2%

       

Altice France S.A., USD TLB-[14] Loan, 1st Lien

               

10.801%, CME Term SOFR + 5.500%, 08/15/2028 (A)

    1,128       855  

Creative Artists Agency, LLC, Incremental Term B-2 Loan, 1st Lien

               

8.594%, CME Term SOFR + 3.250%, 11/27/2028 (A)

    824       827  

E.W. Scripps Company, The, Tranche B-3 Term Loan, 2nd Lien

               

3.750%, LIBOR + 3.000%, 01/07/2028 (A)

    94       80  

 

 

 

142

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

E.W. Scripps Company, Tranche B-2 Term Loan, 1st Lien

               

7.924%, 05/01/2026 (A)(B)

  $ 271     $ 259  

Gray Television Inc., Term D Loan, 1st Lien

               

8.457%, 12/01/2028

    80       73  

Gray Television, Inc., Term Loan B

               

10.592%, 05/23/2029

    260       248  

NEP Group, Inc., Extended Initial Dollar Term Loan, 1st Lien

               

10.208%, CME Term SOFR + 3.250%, 08/19/2026 (A)

    1,227       1,152  

Numericable U.S. LLC, USD TLB-11 Term Loan, 1st Lien

               

8.264%, LIBOR + 2.750%, 07/31/2025 (A)

    28       25  

Virgin Media Bristol LLC, Facility Y, 1st Lien

               

8.656%, CME Term SOFR + 3.250%, 03/31/2031 (A)

    350       335  

Virgin Media Bristol LLC, N Facility, 1st Lien

               

7.951%, CME Term SOFR + 2.500%, 01/31/2028 (A)

    646       623  
              4,477  
                 

Chemicals & Plastics — 1.1%

       

Aruba Investments Holdings LLC, Initial Dollar Term Loan, 1st Lien

               

9.444%, CME Term SOFR + 4.000%, 11/24/2027 (A)

    50       49  

Aruba Investments Holdings LLC, Initial Term Loan, 2nd Lien

               

13.194%, CME Term SOFR + 7.750%, 11/24/2028 (A)

    95       91  

Cambrex Corporation, Tranche B-2 Dollar Term Loan, 1st Lien

               

8.944%, CME Term SOFR + 3.500%, 12/04/2026 (A)

    657       652  

Flexsys Holdings, Inc., Initial Term Loan, 1st Lien

               

10.846%, CME Term SOFR + 4.000%, 11/01/2028 (A)

    677       528  

LTI Holdings, Inc., 2024 Term Loan, 1st Lien

               

9.997%, CME Term SOFR + 4.750%, 07/29/2029 (A)

    547       538  

Schenectady International Group, Inc., Initial Term Loan, 1st Lien

               

10.136%, CME Term SOFR + 4.750%, 10/15/2025 (A)

    524       438  

SCIH Salt Holdings Inc., Incremental Term B-1 Loan, 1st Lien

               

8.755%, CME Term SOFR + 4.000%, 03/16/2027 (A)

    1,262       1,262  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

Wilsonart LLC, Initial Term Loan, 1st Lien

               

9.492%, CME Term SOFR + 4.250%, 08/05/2031 (A)

  $ 485     $ 478  
              4,036  
                 

Conglomerates — 0.5%

       

Curian Global Inc., 2021 Term Loan, 1st Lien

               

9.194%, 08/30/2026

    3       3  

9.102%, 08/30/2026

    1,082       991  

VeriFone Systems, Inc., Initial Term Loan, 1st Lien

               

9.333%, CME Term SOFR + 4.000%, 08/20/2025 (A)

    636       573  
              1,567  
                 

Containers & Glass Products — 1.0%

       

Charter Next Generation, Inc., Initial Term Loan (2024), 1st Lien

               

8.597%, 12/01/2027

    747       748  

Pregis TopCo LLC, Initial Term Loan, 1st Lien

               

9.344%, CME Term SOFR + 3.750%, 07/31/2026 (A)

    1,188       1,188  

Pretium PKG Holdings, Inc., Initial Third Amendment Tranche A-1 Term Loan, 1st Lien

               

9.848%, CME Term SOFR + 3.197%, 10/02/2028 (A)

    1,053       866  

Pretium PKG Holdings, Inc., Third Amendment Tranche A Term Loan, 1st Lien

               

10.248%, CME Term SOFR + 2.500%, 10/02/2028 (A)

    410       414  

Trident TPI Holdings, Inc., Tranche B-6 Initial Term Loan, 1st Lien

               

9.332%, CME Term SOFR + 4.000%, 09/15/2028 (A)

    740       742  
              3,958  
                 

Ecological Services & Equipment — 0.2%

       

Esdec Solar Group B.V., Initial Term Loan, 1st Lien

               

10.596%, CME Term SOFR + 5.000%, 08/30/2028 (A)(C)

    178       168  

GFL Environmental Inc., 2024 Refinancing Term Loan

               

7.321%, CME Term SOFR + 2.000%, 09/20/2030 (A)

    445       445  

Win Waste Innovations Holdings Inc., Initial Term Loan, 1st Lien

               

8.208%, CME Term SOFR + 2.750%, 03/24/2028 (A)

    492       460  
              1,073  
                 

 

 

 

SEI Institutional Investments Trust

 

143

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

Electronics/Electrical — 4.1%

       

Applied Systems, Inc., Initial Term Loan (2024), 1st Lien

               

8.286%, CME Term SOFR + 3.500%, 02/24/2031 (A)

  $ 868     $ 872  

Cloud Software Group, Inc., Fourth Amendment Incremental Term Loan

               

9.335%, CME Term SOFR + 4.000%, 03/30/2029 (A)

    1,135       1,134  

Cloud Software Group, Inc., Fourth Amendment Incremental Term Loan, 1st Lien

               

9.335%, CME Term SOFR + 4.000%, 03/30/2029 (A)

    3       3  

CommerceHub, Inc., Initial Term Loan, 1st Lien

               

9.439%, CME Term SOFR + 4.000%, 12/29/2027 (A)

    213       197  

Conservice Midco, LLC, Ninth Amendment Refinancing Term Loan (First Lien)

               

8.844%, 05/13/2027

    402       402  

Delta Topco, Inc., Second Amendment Refinancing Term Loan, 2nd Lien

               

10.596%, CME Term SOFR + 5.250%, 11/29/2030 (A)

    277       279  

ECL Entertainment, LLC, 2024 Refinancing Term B Loan, 1st Lien

               

9.344%, CME Term SOFR + 4.000%, 08/31/2030 (A)

    931       934  

Ellucian Holdings Inc., Term B-1 Loan, 1st Lien

               

8.944%, CME Term SOFR + 3.500%, 10/09/2029 (A)

    764       765  

Epicor Software Corporation (fka Eagle Parent Inc.), 2024 Delayed Draw Term Loan

               

0.000%, 05/30/2031 (A)(D)

    98       99  

Epicor Software Corporation (fka Eagle Parent Inc.), Term E Loan, 1st Lien

               

8.497%, CME Term SOFR + 3.250%, 05/30/2031 (A)

    838       841  

Idemia Group S.A.S. Facility B5 (USD) Term Loan

               

9.585%, 09/30/2028

    77       77  

Imprivata, Inc., 2024 Refinancing Term Loan, 1st Lien

               

8.752%, CME Term SOFR + 3.500%, 12/01/2027 (A)

    484       485  

Indemia Group S.A.S, Facility B5

               

9.585%, 09/30/2028

    497       498  

Instructure Holdings, Inc., Initial Term Loan, 1st Lien

               

8.355%, CME Term SOFR + 2.750%, 10/30/2028 (A)

    743       744  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

Isolved, Inc., Term B-1 Loan

               

8.844%, 10/15/2030

  $ 721     $ 724  

MH Sub I, LLC (Micro Holding Corp.), 2023 May Incremental Term Loan, 1st Lien

               

9.497%, CME Term SOFR + 4.250%, 05/03/2028 (A)

    402       400  

Motus Group LLC, Initial Term Loan, 1st Lien

               

9.185%, CME Term SOFR + 3.750%, 12/11/2028 (A)

    936       938  

Open Text Corporation, 2023 Replacement Term Loan, 1st Lien

               

7.594%, CME Term SOFR + 2.250%, 01/31/2030 (A)

    871       875  

Polaris Newco LLC, Dollar Term Loan, 1st Lien

               

9.514%, CME Term SOFR + 4.000%, 06/02/2028 (A)

    218       216  

Project Boost Purchaser, LLC, Initial Term Loan, 1st Lien

               

8.786%, CME Term SOFR + 3.500%, 07/16/2031 (A)

    1,537       1,540  

Proofpoint, Inc., 2024 Refinancing Term Loan, 1st Lien

               

8.344%, CME Term SOFR + 3.000%, 08/31/2028 (A)(B)

    844       845  

Pushpay USA Inc., Term Loan

               

9.839%, 08/08/2031

    260       258  

Quest Software US Holdings Inc., Initial Term Loan, 1st Lien

               

9.652%, CME Term SOFR + 4.250%, 02/01/2029 (A)

    1,022       748  

Sophia L.P., Closing Date Loan, 2nd Lien

               

9.344%, CME Term SOFR + 3.000%, 10/09/2028 (A)(C)

    468       468  

Zelis Cost Management Buyer, Inc., Term Loan B-2, 1st Lien

               

8.094%, CME Term SOFR + 2.750%, 09/28/2029 (A)

    906       906  
              15,248  
                 

Financial Intermediaries — 1.1%

       

DS Admiral Bidco, LLC, Initial Term Loan, 1st Lien

               

9.591%, CME Term SOFR + 4.250%, 06/26/2031 (A)

    125       121  

Edelman Financial Engines Center, LLC, Term Loan, 2nd Lien

               

10.594%, 10/20/2028

    484       481  

HighTower Holding, LLC, Amendment No. 7 Term Loan, 1st Lien

               

8.748%, CME Term SOFR + 3.500%, 04/21/2028 (A)

    742       743  

Husky Injection Molding Systems Ltd.

               

10.326%, 02/15/2029

    492       488  

 

 

 

144

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

Modena Buyer LLC, Initial Term Loan

               

9.832%, CME Term SOFR + 4.500%, 07/01/2031 (A)(B)

  $     $  

Quirch Foods Holdings LLC, 2022-1 Incremental Term Loan, 1st Lien

               

10.637%, CME Term SOFR + 5.000%, 10/27/2027 (A)

    1,087       1,023  

Rohm Holding GmbH, Facility B (USD), 1st Lien

               

0.000%, 07/31/2026 (B)(D)

    183       176  

Spring Education Group, Inc., Initial Term Loan

               

9.335%, CME Term SOFR + 4.500%, 10/04/2030 (A)

    677       681  

Victory Buyer LLC, Initial Term Loan, 1st Lien

               

9.142%, CME Term SOFR + 3.750%, 11/19/2028 (A)

    684       653  
              4,366  
                 

Food Service — 1.0%

       

8th Avenue Food & Provisions, Inc., 2021 Incremental Term Loan, 1st Lien

               

10.208%, 10/01/2025 (A)

    829       786  

8th Avenue Food & Provisions, Inc., Term Loan, 1st Lien

               

9.208%, CME Term SOFR + 3.750%, 10/01/2025 (A)

    188       179  

Aramark Intermediate HoldCo Corporation, U.S. Term B-8 Loan, 1st Lien

               

7.344%, CME Term SOFR + 2.000%, 06/22/2030 (A)

    919       922  

Chobani LLC, 2020 New Term Loan, 1st Lien

               

8.708%, 10/25/2027

    570       572  

IRB Holding Corp., 2024 Replacement Term B Loan, 1st Lien

               

8.194%, CME Term SOFR + 2.750%, 12/15/2027 (A)

    866       867  

Sigma Holdco B.V., Facility B7 (USD), 1st Lien

               

10.310%, SOFR + 4.750%, 01/02/2028 (A)(B)

           
              3,326  
                 

Food/Drug Retailers — 0.2%

       

Eagle Parent Corp., Initial Term Loan, 1st Lien

               

9.585%, CME Term SOFR + 4.250%, 04/02/2029 (A)

    205       194  

US Foods Inc., Incremental B-2019 Term Loan, 1st Lien

               

7.458%, CME Term SOFR + 2.000%, 09/13/2026 (A)

    348       349  
              543  
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

Health Care — 4.8%

       

Bach Finance Limited, Existing Dollar Term Loan, 1st Lien

               

9.347%, CME Term SOFR + 4.000%, 01/31/2028 (A)

  $ 807     $ 811  

Barentz Midco B.V., Facility B2 (USD)

               

9.435%, 03/03/2031

    750       754  

Bausch + Lomb Corp., First Incremental Term Loan

               

9.344%, CME Term SOFR + 4.000%, 09/29/2028 (A)

    313       309  

Bausch + Lomb Corp., Initial Term Loan, 1st Lien

               

8.661%, 05/10/2027 (A)

    613       604  

Bracket Intermediate Holding Corp., 2023 Refinancing Term Loan, 1st Lien

               

10.435%, CME Term SOFR + 5.000%, 05/08/2028 (A)

    1,279       1,283  

Charlotte Buyer, Inc., First Refinancing Term Loan, 1st Lien

               

10.077%, CME Term SOFR + 4.750%, 02/11/2028 (A)

    928       933  

CNT Holdings I Corp, Initial Term Loan, 2nd Lien

               

8.752%, CME Term SOFR + 3.500%, 11/08/2027 (A)

    698       699  

Concentra Health Services, Inc., Initial Term Loan, 1st Lien

               

7.497%, CME Term SOFR + 2.250%, 07/26/2031 (A)

    65       65  

Confluent Medical Technologies, Inc., Closing Date Term Loan, 1st Lien

               

9.085%, CME Term SOFR + 3.750%, 02/16/2029 (A)

    1,128       1,129  

eResearchTechnology, Inc., Tranche B-1 Term Loan, 1st Lien

               

9.344%, CME Term SOFR + 4.000%, 02/04/2027 (A)

    1,641       1,649  

Fortrea Holdings Inc., Initial Term B Loan, 1st Lien

               

9.094%, CME Term SOFR + 3.750%, 07/01/2030 (A)

    81       81  

Gainwell Acquisition Corp., Term B Loan, 1st Lien

               

9.435%, CME Term SOFR + 4.000%, 10/01/2027 (A)(B)

    37       34  

Gainwell Acquisition Corp., Term B Loan, 2nd Lien

               

13.414%, CME Term SOFR + 8.000%, 10/02/2028 (A)(B)(C)

    265       215  

Global Medical Response, Inc., 2024 Extended Term Loan, 1st Lien

               

10.844%, CME Term SOFR + 6.000%, 10/31/2028 (A)(C)

    1,180       1,171  

 

 

 

SEI Institutional Investments Trust

 

145

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

Grifols Worldwide Operations Limited, Dollar Tranche B Term Loan, 1st Lien

               

7.402%, CME Term SOFR + 2.000%, 11/15/2027 (A)(B)

  $ 124     $ 121  

LifePoint Health, Inc., 2024 Refinancing Term Loan, 1st Lien

               

10.316%, 11/16/2028 (A)

    872       874  

Mamba Purchaser, Inc., Third Amendment Term Loan, 1st Lien

               

8.587%, CME Term SOFR + 3.250%, 10/16/2028 (A)

    500       499  

Maravai Intermediate Holdings, LLC, Tranche B Term Loan, 1st Lien

               

8.280%, CME Term SOFR + 3.000%, 10/19/2027 (A)(B)(C)

    808       802  

Option Care Health Inc., 2021 Refinancing Term Loan, 1st Lien

               

7.594%, CME Term SOFR + 2.750%, 10/27/2028 (A)

    1,137       1,142  

Pluto Acquisition I, Inc., Tranche B Term Loan, 1st Lien

               

9.132%, CME Term SOFR + 4.000%, 09/20/2028 (A)(C)

    354       322  

Radnet Management, Inc., Initial Term Loan, 1st Lien

               

7.779%, CME Term SOFR + 2.500%, 04/18/2031 (A)

    640       641  

Select Medical Corporation, Tranche B-1 Term Loan, 1st Lien

               

8.344%, CME Term SOFR + 3.000%, 03/06/2027 (A)

    46       47  

Surgery Center Holdings, Inc., 2024 Refinancing Term Loan, 1st Lien

               

8.062%, CME Term SOFR + 2.750%, 12/19/2030 (A)

    621       622  

Team Health Holdings, Inc., Extended Term Loan, 1st Lien

               

10.594%, CME Term SOFR + 5.250%, 03/02/2027 (A)

    3       3  

10.502%, CME Term SOFR + 5.250%, 03/02/2027 (A)

    1,070       1,018  

TEAM Services Group, LLC, Incremental Term Loan, 1st Lien

               

0.000%, 12/20/2027 (B)(D)

    225       221  

WCG Purchaser Corp., 2024 Refinancing Term Loan, 1st Lien

               

8.747%, CME Term SOFR + 3.500%, 01/08/2027 (A)

    1,193       1,194  
              17,243  
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

Home Furnishings — 0.2%

       

Hunter Douglas Holdings B.V., Tranche B-1 Term Loan, 1st Lien

               

8.571%, CME Term SOFR + 3.500%, 02/26/2029 (A)

  $ 410     $ 407  

Weber-Stephen Products LLC, Initial Term B Loan

               

8.708%, 10/20/2027 (A)(B)

    241       223  
              630  
                 

Industrial Equipment — 0.6%

       

Alliance Laundry Systems LLC, Initial Term B Loan

               

8.842%, CME Term SOFR + 3.500%, 08/19/2031 (A)

    488       489  

Gates Corporation, Initial B-5 Dollar Term Loan

               

7.594%, 05/22/2031

    237       237  

Gates Global LLC, Initial B-4 Dollar Term Loan, 1st Lien

               

7.594%, CME Term SOFR + 3.000%, 11/16/2029 (A)

    94       94  

TMK Hawk Parent, Corp., Initial Tranche B Loan

               

10.561%, 06/30/2029 (C)

    530       344  

TMK Hawk Parent, Corp., Term Loan (PIK)

               

11.000%, 12/15/2031 (C)

    17       17  

WEC US Holdings Ltd., Initial Term Loan, 1st Lien

               

7.997%, CME Term SOFR + 2.750%, 01/27/2031 (A)

    1,020       1,020  
              2,201  
                 

Insurance — 0.6%

       

Acrisure, LLC, 2024 Refinancing Term B Loan, 1st Lien

               

8.344%, CME Term SOFR + 3.000%, 02/15/2027 (A)

    885       881  

Asurion, LLC, New B-8 Term Loan, 1st Lien

               

8.708%, CME Term SOFR + 3.250%, 12/23/2026 (A)

    863       859  

HIG Finance 2 Limited

               

8.741%, 04/18/2030

    476       477  

Ryan Specialty Group LLC, Initial Term Loan, 1st Lien

               

8.094%, 09/01/2027

    247       248  
              2,465  
                 

Leisure Goods/Activities/Movies — 1.6%

       

Alterra Mountain Company, Series B-5 Term Loan

               

8.844%, 05/31/2030

    195       196  

 

 

 

146

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

ClubCorp Holdings, Inc., Term B-2 Loan, 1st Lien

               

10.596%, CME Term SOFR + 5.000%, 09/18/2026 (A)

  $ 933     $ 934  

Formula One Management Limited, Facility B Loan, 1st Lien

               

7.585%, CME Term SOFR + 2.250%, 01/15/2030 (A)

    1,107       1,111  

Hard Rock Northern Indiana, Term Loan B, 1st Lien

               

9.735%, 12/11/2028

    225       223  

Life Time, Inc., New 2023 Refinancing Term Loan, 1st Lien

               

9.514%, CME Term SOFR + 4.000%, 01/15/2026 (A)

    359       360  

Recess Holdings, Inc., Amendment No. 3 Term Loan, 1st Lien

               

9.752%, CME Term SOFR + 4.500%, 02/21/2030 (A)

    907       909  

UFC Holdings LLC, Term B-3 Loan, 1st Lien

               

8.291%, SOFRRATE + 3.750%, 04/29/2026 (A)

    1,264       1,267  
              5,000  
                 

Lodging & Casinos — 1.0%

       

Caesars Entertainment Inc., 2023 Incremental Term B Loan, 1st Lien

               

8.097%, CME Term SOFR + 2.750%, 02/06/2030 (A)

    1,099       1,099  

Four Seasons Holdings Inc., 2024 Repricing Term Loan, 1st Lien

               

7.344%, 11/30/2029

    591       592  

Ontario Gaming GTA Limited Partnership, Term B Loan, 1st Lien

               

9.585%, CME Term SOFR + 4.250%, 08/01/2030 (A)

    826       826  

Station Casinos LLC, Term B Facility, 1st Lien

               

7.594%, CME Term SOFR + 2.250%, 03/14/2031 (A)

    897       896  
              3,413  
                 

Oil & Gas — 0.8%

       

CQP Holdco LP, Amendment No.5 Refinancing Term Loan, 1st Lien

               

7.585%, CME Term SOFR + 2.250%, 12/31/2030 (A)

    244       244  

Freeport LNG Investments, LLLP, Term Loan, 1st Lien

               

8.544%, 11/16/2026 (B)

    350       349  

ITT Holdings LLC, Refinancing Term Loan

               

8.444%, 10/11/2030

    571       572  

PG Investment Company 59 S.a r.l., Term Loan B

               

8.835%, 03/26/2031

    575       576  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

Prairie Acquiror LP, Initial Term B-2 Loan

               

10.094%, 08/01/2029

  $ 820     $ 819  
              2,560  
                 

Publishing — 0.5%

       

Century De Buyer LLC, Initial Term Loan, 1st Lien

               

9.255%, CME Term SOFR + 4.000%, 10/30/2030 (A)

    1,197       1,199  

Summer (BC) Bidco B LLC, Extended Facility B (USD), 1st Lien

               

10.595%, CME Term SOFR + 5.000%, 02/05/2029 (A)

    580       582  
              1,781  
                 

Retailers (Except Food & Drug) — 0.4%

       

Belfor Holdings Inc., Initial Tranche B-1 Term Loan, 1st Lien

               

9.094%, CME Term SOFR + 3.750%, 11/01/2030 (A)

    763       764  

LBM Acquisition, LLC, Incremental Term Loan

               

9.140%, 05/30/2031 (C)

    665       645  
              1,409  
                 

Software & Service — 0.5%

       

CCC Information Services Inc., Initial Term Loan, 1st Lien

               

7.708%, 09/21/2028

    741       741  

Mosel Bidco SE, Facility B (USD), 1st Lien

               

9.835%, CME Term SOFR + 4.750%, 09/16/2030 (A)(C)

    1,148       1,155  
              1,896  
                 

Surface Transport — 0.4%

       

Dynasty Acquisition Co., Inc., 2024 Specified Refinancing Term B-1 Loan, 1st Lien

               

8.844%, CME Term SOFR + 3.500%, 08/24/2028 (A)

    689       691  

Dynasty Acquisition Co., Inc., 2024 Specified Refinancing Term B-2 Loan, 1st Lien

               

8.844%, CME Term SOFR + 3.500%, 08/24/2028 (A)

    266       267  

Genesee & Wyoming Inc., Initial Term Loan, 1st Lien

               

7.335%, CME Term SOFR + 2.000%, 04/10/2031 (A)

    315       315  
              1,273  
                 

Telecommunications — 1.0%

       

Avaya Inc., Initial Term Loan, 1st Lien

               

12.747%, CME Term SOFR + 1.500%, 08/01/2028 (A)

    1,211       1,071  

 

 

 

SEI Institutional Investments Trust

 

147

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

Genesys Cloud Services Holdings I, LLC, 2024 Incremental No. 2 Dollar Term Loan, 1st Lien

               

8.844%, CME Term SOFR + 3.500%, 12/01/2027 (A)

  $ 743     $ 746  

Iridium Satellite LLC, Term B-4 Loan, 1st Lien

               

7.497%, CME Term SOFR + 2.250%, 09/20/2030 (A)

    710       707  

Lumen Technologies Inc., Term A Loan

               

11.344%, 06/01/2028

    106       95  

Zayo Group Holdings, Inc., Initial Dollar Term Loan, 1st Lien

               

8.361%, CME Term SOFR + 3.000%, 03/09/2027 (A)

    1,039       958  
              3,577  
                 

Utilities — 0.1%

       

South Field Energy LLC, Term Loan B Advance

               

9.002%, CME Term SOFR + 3.750%, 08/29/2031 (A)(B)

    316       316  

South Field Energy LLC, Term Loan C Advance

               

9.002%, CME Term SOFR + 3.750%, 08/29/2031 (A)(B)

    19       19  
              335  
                 
                 

Total Loan Participations

               

(Cost $112,409) ($ Thousands)

            112,049  
                 
                 
                 

MORTGAGE-BACKED SECURITIES — 30.4%

Agency Mortgage-Backed Obligations — 4.3%

       

Connecticut Avenue Securities Trust, Ser 2023-R03, Cl 2M1

               

7.849%, SOFR30A + 2.500%, 04/25/2043(A)(E)

    2,132       2,170  

Connecticut Avenue Securities Trust, Ser 2023-R04, Cl 1M1

               

7.648%, SOFR30A + 2.300%, 05/25/2043(A)(E)

    2,363       2,413  

Connecticut Avenue Securities Trust, Ser 2023-R05, Cl 1M1

               

7.248%, SOFR30A + 1.900%, 06/25/2043(A)(E)

    1,826       1,849  

FHLMC ARM

               

7.299%, H15T1Y + 2.250%, 06/01/2035(A)

    255       264  

6.989%, RFUCCT1Y + 2.470%, 03/01/2036(A)

    395       403  

FHLMC REMIC CMO, Ser 2011-3786, Cl ED

               

4.000%, 09/15/2039

    255       253  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC STACR REMIC Trust, Ser 2021-DNA5, Cl M2

               

6.999%, SOFR30A + 1.650%, 01/25/2034(A)(E)

  $ 124     $ 125  

FHLMC STACR REMIC Trust, Ser 2022-DNA1, Cl M1B

               

7.199%, SOFR30A + 1.850%, 01/25/2042(A)(E)

    943       954  

FHLMC STACR REMIC Trust, Ser 2023-DNA2, Cl M1A

               

7.448%, SOFR30A + 2.100%, 04/25/2043(A)(E)

    877       893  

FHLMC STACR REMIC Trust, Ser 2023-HQA1, Cl M1A

               

7.349%, SOFR30A + 2.000%, 05/25/2043(A)(E)

    1,440       1,455  

FHLMC STACR REMIC Trust, Ser 2023-HQA1, Cl M1B

               

8.849%, SOFR30A + 3.500%, 05/25/2043(A)(E)

    2,000       2,126  

FNMA

               

6.000%, 09/01/2039 to 04/01/2040

    179       188  

3.000%, 12/01/2030

    193       188  

FNMA ACES, Ser 2017-M13, Cl FA

               

5.858%, SOFR30A + 0.514%, 10/25/2024(A)

    31       31  

FNMA ARM

               

7.550%, RFUCCT1Y + 1.800%, 05/01/2034(A)

    72       74  

7.331%, RFUCCT6M + 1.580%, 07/01/2034(A)

    45       46  

7.243%, H15T1Y + 2.220%, 08/01/2034(A)

    337       349  

7.020%, RFUCCT6M + 1.433%, 03/01/2035(A)

    125       127  

6.915%, RFUCCT1Y + 1.665%, 04/01/2033(A)

    85       85  

6.889%, RFUCCT1Y + 1.777%, 09/01/2034(A)

    222       223  

6.810%, H15T1Y + 2.205%, 05/01/2035(A)

    77       80  

6.705%, RFUCCT1Y + 1.872%, 10/01/2033(A)

    71       73  

6.597%, H15T1Y + 2.184%, 07/01/2036(A)

    220       228  

6.581%, RFUCCT1Y + 1.565%, 05/01/2037(A)

    167       173  

6.453%, H15T1Y + 2.332%, 04/01/2034(A)

    187       194  

6.313%, H15T1Y + 2.141%, 10/01/2033(A)

    163       166  

6.020%, RFUCCT1Y + 1.770%, 10/01/2033(A)

    26       26  

 

 

 

148

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

5.815%, RFUCCT1Y + 1.490%, 10/01/2035(A)

  $ 265     $ 272  

FNMA REMIC CMO, Ser 2010-83, Cl BA

               

5.000%, 08/25/2040

    79       81  

FNMA REMIC CMO, Ser 2012-137, Cl UE

               

1.750%, 09/25/2041

    69       65  
                 
                 
              15,574  

Non-Agency Mortgage-Backed Obligations — 26.1%

       

Angel Oak Mortgage Trust, Ser 2020-1, Cl A1

               

2.466%, 12/25/2059(A)(E)

    9       8  

Angel Oak Mortgage Trust, Ser 2020-2, Cl A1A

               

2.531%, 01/26/2065(A)(E)

    63       58  

Angel Oak Mortgage Trust, Ser 2020-3, Cl A1

               

1.691%, 04/25/2065(A)(E)

    68       63  

Angel Oak Mortgage Trust, Ser 2020-4, Cl A1

               

1.469%, 06/25/2065(A)(E)

    26       24  

Angel Oak Mortgage Trust, Ser 2020-5, Cl A1

               

1.373%, 05/25/2065(A)(E)

    248       233  

Angel Oak Mortgage Trust, Ser 2020-R1, Cl A1

               

0.990%, 04/25/2053(A)(E)

    40       38  

Angel Oak Mortgage Trust, Ser 2021-1, Cl A1

               

0.909%, 01/25/2066(A)(E)

    139       120  

Angel Oak Mortgage Trust, Ser 2021-3, Cl A1

               

1.068%, 05/25/2066(A)(E)

    124       106  

Arroyo Mortgage Trust, Ser 2019-1, Cl A1

               

3.805%, 01/25/2049(A)(E)

    76       74  

Arroyo Mortgage Trust, Ser 2019-3, Cl A1

               

2.962%, 10/25/2048(A)(E)

    26       24  

Arroyo Mortgage Trust, Ser 2021-1R, Cl A1

               

1.175%, 10/25/2048(A)(E)

    787       697  

Ashford Hospitality Trust, Ser 2018-ASHF, Cl B

               

6.759%, TSFR1M + 1.422%, 04/15/2035(A)(E)

    500       496  

BAMLL Commercial Mortgage Securities Trust, Ser 2017-SCH, Cl AL

               

6.284%, TSFR1M + 0.947%, 11/15/2032(A)(E)

    500       499  

Banc of America Funding, Ser 2005-F, Cl 4A1

               

5.412%, 09/20/2035(A)

    22       18  

Banc of America Funding, Ser 2006-D, Cl 3A1

               

5.199%, 05/20/2036(A)

    25       23  

Banc of America Funding, Ser 2006-I, Cl 1A1

               

6.492%, 12/20/2036(A)

    856       841  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Banc of America Mortgage Trust, Ser 2003-K, Cl 2A1

               

5.653%, 12/25/2033(A)

  $ 472     $ 453  

Banc of America Mortgage Trust, Ser 2004-A, Cl 2A2

               

5.587%, 02/25/2034(A)

    426       419  

Banc of America Mortgage Trust, Ser 2004-D, Cl 2A1

               

6.437%, 05/25/2034(A)

    129       124  

Banc of America Mortgage Trust, Ser 2005-A, Cl 2A1

               

4.979%, 02/25/2035(A)

    7       7  

BANK, Ser 2018-BN12, Cl A2

               

4.074%, 05/15/2061

    540       530  

Bear Stearns Alt-A Trust, Ser 2003-5, Cl 2A1

               

5.988%, 12/25/2033(A)

    492       471  

Bear Stearns Alt-A Trust, Ser 2004-7, Cl 2A1

               

6.389%, 08/25/2034(A)

    702       674  

Bear Stearns ARM Trust, Ser 2003-8, Cl 4A1

               

6.305%, 01/25/2034(A)

    1,039       1,031  

Bear Stearns ARM Trust, Ser 2004-1, Cl 21A1

               

6.316%, 04/25/2034(A)

    130       128  

Bear Stearns ARM Trust, Ser 2004-2, Cl 12A2

               

4.375%, 05/25/2034(A)

    641       586  

Bear Stearns ARM Trust, Ser 2004-3, Cl 2A

               

4.956%, 07/25/2034(A)

    472       438  

Bear Stearns ARM Trust, Ser 2004-5, Cl 2A

               

4.353%, 07/25/2034(A)

    442       408  

Bellemeade Re, Ser 2022-1, Cl M1A

               

7.099%, SOFR30A + 1.750%, 01/26/2032(A)(E)

    83       83  

BPR Trust, Ser 2022-OANA, Cl A

               

7.235%, TSFR1M + 1.898%, 04/15/2037(A)(E)

    595       596  

BRAVO Residential Funding Trust, Ser 2020-NQM1, Cl A1

               

1.449%, 05/25/2060(A)(E)

    27       26  

BRAVO Residential Funding Trust, Ser 2021-NQM1, Cl A1

               

0.941%, 02/25/2049(A)(E)

    55       50  

BRAVO Residential Funding Trust, Ser 2021-NQM2, Cl A1

               

0.970%, 03/25/2060(A)(E)

    46       44  

BRAVO Residential Funding Trust, Ser 2021-NQM3, Cl A1

               

1.699%, 04/25/2060(A)(E)

    103       94  

BSPRT Issuer, Ser 2022-FL8, Cl A

               

6.854%, SOFR30A + 1.500%, 02/15/2037(A)(E)

    262       262  

Bunker Hill Loan Depositary Trust, Ser 2020-1, Cl A1

               

1.724%, 02/25/2055(A)(E)

    21       20  

 

 

 

SEI Institutional Investments Trust

 

149

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

BWay Mortgage Trust, Ser 2013-1515, Cl A1

               

2.809%, 03/10/2033(E)

  $ 24     $ 24  

BX Commercial Mortgage Trust, Ser 2021-VINO, Cl A

               

6.104%, TSFR1M + 0.767%, 05/15/2038(A)(E)

    173       171  

BX Commercial Mortgage Trust, Ser 2021-VOLT, Cl A

               

6.151%, TSFR1M + 0.814%, 09/15/2036(A)(E)

    195       193  

BX Trust, Ser 2021-SDMF, Cl B

               

6.190%, TSFR1M + 0.852%, 09/15/2034(A)(E)

    942       917  

BX Trust, Ser 2022-LBA6, Cl A

               

6.337%, TSFR1M + 1.000%, 01/15/2039(A)(E)

    210       208  

BX Trust, Ser 2023-DELC, Cl A

               

8.027%, TSFR1M + 2.690%, 05/15/2038(A)(E)

    1,000       1,001  

BX Trust, Ser 2024-BIO, Cl A

               

6.979%, TSFR1M + 1.642%, 02/15/2041(A)(E)

    896       890  

BX, Ser 2021-MFM1, Cl C

               

6.652%, TSFR1M + 1.314%, 01/15/2034(A)(E)

    700       692  

Chase Mortgage Finance Trust, Ser 2007-A1, Cl 7A1

               

7.612%, 02/25/2037(A)

    44       45  

Chase Mortgage Finance Trust, Ser 2007-A2, Cl 2A3

               

6.330%, 06/25/2035(A)

    216       214  

CHL Mortgage Pass-Through Trust, Ser 2004-8, Cl 2A1

               

4.500%, 06/25/2019

    6        

COLT Funding LLC, Ser 2021-3R, Cl A1

               

1.051%, 12/25/2064(A)(E)

    72       64  

COLT Mortgage Loan Trust, Ser 2020-2R, Cl A1

               

1.325%, 10/26/2065(A)(E)

    33       30  

COLT Mortgage Loan Trust, Ser 2020-3, Cl A1

               

1.506%, 04/27/2065(A)(E)

    14       14  

COLT Mortgage Loan Trust, Ser 2021-1, Cl A1

               

0.910%, 06/25/2066(A)(E)

    107       91  

COLT Mortgage Loan Trust, Ser 2021-2, Cl A1

               

0.924%, 08/25/2066(A)(E)

    198       164  

COLT Mortgage Loan Trust, Ser 2021-2R, Cl A1

               

0.798%, 07/27/2054(E)

    45       40  

COLT Mortgage Loan Trust, Ser 2021-4, Cl A1

               

1.397%, 10/25/2066(A)(E)

    283       238  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

COLT Mortgage Loan Trust, Ser 2021-4, Cl A2

               

1.500%, 10/25/2066(A)(E)

  $ 1,414     $ 1,188  

COLT Mortgage Loan Trust, Ser 2021-5, Cl A1

               

1.726%, 11/26/2066(A)(E)

    666       588  

COLT Mortgage Loan Trust, Ser 2021-HX1, Cl A1

               

1.110%, 10/25/2066(A)(E)

    291       246  

COLT Mortgage Loan Trust, Ser 2022-7, Cl A1

               

5.162%, 04/25/2067(E)(F)

    747       741  

COLT Mortgage Pass-Through Certificates, Ser 2021-1R, Cl A1

               

0.857%, 05/25/2065(A)(E)

    96       83  

Connecticut Avenue Securities Trust, Ser 2022-R03, Cl 1M1

               

7.449%, SOFR30A + 2.100%, 03/25/2042(A)(E)

    552       560  

Connecticut Avenue Securities Trust, Ser 2022-R04, Cl 1M1

               

7.349%, SOFR30A + 2.000%, 03/25/2042(A)(E)

    756       767  

Connecticut Avenue Securities Trust, Ser 2022-R05, Cl 2M1

               

7.249%, SOFR30A + 1.900%, 04/25/2042(A)(E)

    215       216  

Connecticut Avenue Securities Trust, Ser 2022-R07, Cl 1M1

               

8.298%, SOFR30A + 2.950%, 06/25/2042(A)(E)

    873       901  

Connecticut Avenue Securities Trust, Ser 2023-R01, Cl 1M1

               

7.748%, SOFR30A + 2.400%, 12/25/2042(A)(E)

    954       983  

Connecticut Avenue Securities Trust, Ser 2023-R06, Cl 1M1

               

7.049%, SOFR30A + 1.700%, 07/25/2043(A)(E)

    507       510  

Connecticut Avenue Securities Trust, Ser 2023-R07, Cl 2M1

               

7.298%, SOFR30A + 1.950%, 09/25/2043(A)(E)

    785       789  

Connecticut Avenue Securities Trust, Ser 2024-R04, Cl 1M2

               

6.999%, SOFR30A + 1.650%, 05/25/2044(A)(E)

    600       601  

Cross Mortgage Trust, Ser 2023-H1, Cl A1

               

6.615%, 03/25/2068(E)(F)

    1,587       1,615  

Cross Mortgage Trust, Ser 2024-H1, Cl A3

               

6.490%, 12/25/2068(E)(F)

    758       767  

Cross Mortgage Trust, Ser 2024-H2, Cl A3

               

6.518%, 04/25/2069(E)(F)

    776       783  

 

 

 

150

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

CSFB Mortgage-Backed Pass-Through Certificates, Ser 2004-AR5, Cl 6A1

               

6.340%, 06/25/2034(A)

  $ 784     $ 770  

CSMC Trust, Ser 2021-AFC1, Cl A1

               

0.830%, 03/25/2056(A)(E)

    121       100  

CSMC, Ser 2021-NQM1, Cl A1

               

0.809%, 05/25/2065(A)(E)

    105       94  

DBCG Mortgage Trust, Ser 2017-BBG, Cl C

               

8.500%, PRIME + 0.000%, 06/15/2034(A)(E)

    1,100       1,100  

Deephaven Residential Mortgage Trust, Ser 2021-1, Cl A1

               

0.715%, 05/25/2065(A)(E)

    29       28  

Deephaven Residential Mortgage Trust, Ser 2021-2, Cl A1

               

0.899%, 04/25/2066(A)(E)

    269       236  

Deephaven Residential Mortgage Trust, Ser 2021-2, Cl A3

               

1.260%, 04/25/2066(A)(E)

    430       380  

Ellington Financial Mortgage Trust, Ser 2019-2, Cl A2

               

2.892%, 11/25/2059(A)(E)

    264       255  

Ellington Financial Mortgage Trust, Ser 2020-2, Cl A1

               

1.178%, 10/25/2065(A)(E)

    364       338  

Ellington Financial Mortgage Trust, Ser 2021-1, Cl A1

               

0.797%, 02/25/2066(A)(E)

    573       489  

Ellington Financial Mortgage Trust, Ser 2021-2, Cl A1

               

0.931%, 06/25/2066(A)(E)

    79       66  

ELP Commercial Mortgage Trust, Ser 2021-ELP, Cl A

               

6.153%, TSFR1M + 0.815%, 11/15/2038(A)(E)

    350       345  

FHLMC STACR REMIC Trust, Ser 2022-DNA2, Cl M1B

               

7.749%, SOFR30A + 2.400%, 02/25/2042(A)(E)

    1,000       1,024  

FHLMC STACR REMIC Trust, Ser 2022-HQA1, Cl M1B

               

8.849%, SOFR30A + 3.500%, 03/25/2042(A)(E)

    1,000       1,050  

FHLMC STACR REMIC Trust, Ser 2022-HQA1, Cl M1A

               

7.449%, SOFR30A + 2.100%, 03/25/2042(A)(E)

    888       895  

FHLMC STACR REMIC Trust, Ser 2022-HQA2, Cl M1A

               

7.999%, SOFR30A + 2.650%, 07/25/2042(A)(E)

    152       157  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC STACR REMIC Trust, Ser 2022-HQA2, Cl M1B

               

9.349%, SOFR30A + 4.000%, 07/25/2042(A)(E)

  $ 1,000     $ 1,066  

FHLMC STACR REMIC Trust, Ser 2023-DNA1, Cl M1B

               

8.448%, SOFR30A + 3.100%, 03/25/2043(A)(E)

    2,000       2,104  

FHLMC STACR REMIC Trust, Ser 2023-DNA2, Cl M1B

               

8.598%, SOFR30A + 3.250%, 04/25/2043(A)(E)

    1,000       1,057  

FHLMC STACR REMIC Trust, Ser 2023-HQA2, Cl M1A

               

7.349%, SOFR30A + 2.000%, 06/25/2043(A)(E)

    705       707  

FHLMC STACR REMIC Trust, Ser 2023-HQA3, Cl A1

               

7.199%, SOFR30A + 1.850%, 11/25/2043(A)(E)

    961       972  

FHLMC STACR REMIC Trust, Ser 2024-HQA1, Cl M2

               

7.349%, SOFR30A + 2.000%, 03/25/2044(A)(E)

    250       252  

FHLMC STACR REMIC Trust, Ser 2024-HQA1, Cl A1

               

6.599%, SOFR30A + 1.250%, 03/25/2044(A)(E)

    1,826       1,831  

FHLMC STACR Trust, Ser 2018-DNA2, Cl M2AS

               

6.413%, SOFR30A + 1.064%, 12/25/2030(A)(E)

    526       526  

FNMA Connecticut Avenue Securities, Ser 2016-C03, Cl 2M2

               

11.363%, SOFR30A + 6.014%, 10/25/2028(A)

    71       74  

GCAT Trust, Ser 2020-NQM2, Cl A1

               

2.555%, 04/25/2065(E)(F)

    35       33  

GCAT Trust, Ser 2021-CM1, Cl A

               

2.469%, 04/25/2065(A)(E)

    124       118  

GCAT Trust, Ser 2021-NQM1, Cl A1

               

0.874%, 01/25/2066(A)(E)

    610       525  

GCAT Trust, Ser 2021-NQM5, Cl A1

               

1.262%, 07/25/2066(A)(E)

    431       358  

GS Mortgage Securities Trust, Ser 2020-DUNE, Cl B

               

6.955%, TSFR1M + 1.614%, 12/15/2036(A)(E)

    500       496  

GS Mortgage Securities Trust, Ser 2021-STAR, Cl B

               

6.855%, TSFR1M + 1.514%, 12/15/2036(A)(E)

    1,000       983  

 

 

 

SEI Institutional Investments Trust

 

151

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

GS Mortgage-Backed Securities Trust, Ser 2021-NQM1, Cl A2

               

1.275%, 07/25/2061(A)(E)

  $ 669     $ 595  

GSR Mortgage Loan Trust, Ser 2005-AR1, Cl 1A1

               

6.310%, 01/25/2035(A)

    35       33  

GSR Mortgage Loan Trust, Ser 2005-AR2, Cl 1A2

               

4.329%, 04/25/2035(A)

    112       104  

GWT 2024-WLF2, Ser WLF2, Cl B

               

7.478%, TSFR1M + 2.141%, 05/15/2041(A)(E)

    1,000       999  

HarborView Mortgage Loan Trust, Ser 2004-6, Cl 4A

               

6.489%, 08/19/2034(A)

    621       607  

Hawaii Hotel Trust, Ser 2019-MAUI, Cl E

               

7.794%, TSFR1M + 2.457%, 05/15/2038(A)(E)

    1,000       993  

HILT COMMERCIAL MORTGAGE TRUST, Ser ORL, Cl B

               

7.278%, TSFR1M + 1.941%, 05/15/2037(A)(E)

    1,000       994  

HPLY Trust, Ser 2019-HIT, Cl B

               

6.792%, TSFR1M + 1.464%, 11/15/2036(A)(E)

    375       373  

Imperial Fund Mortgage Trust, Ser 2021-NQM1, Cl A1

               

1.071%, 06/25/2056(A)(E)

    159       137  

Imperial Fund Mortgage Trust, Ser 2021-NQM2, Cl A1

               

1.073%, 09/25/2056(A)(E)

    129       108  

Imperial Fund Mortgage Trust, Ser 2021-NQM3, Cl A1

               

1.595%, 11/25/2056(A)(E)

    128       108  

Imperial Fund Mortgage Trust, Ser 2022-NQM5, Cl A3

               

6.250%, 08/25/2067(E)(F)

    316       314  

Intown Mortgage Trust, Ser 2022-STAY, Cl A

               

7.826%, TSFR1M + 2.489%, 08/15/2039(A)(E)

    1,500       1,501  

JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2020-ACE, Cl A

               

3.287%, 01/10/2037(E)

    1,000       988  

JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2020-NNN, Cl XAFX, IO

               

2.032%, 01/16/2037(A)(E)

    12,500       79  

JPMorgan Mortgage Trust, Ser 2005-A3, Cl 6A2

               

5.673%, 06/25/2035(A)

    135       135  

JPMorgan Mortgage Trust, Ser 2005-A4, Cl 4A2

               

7.275%, 07/25/2035(A)

    177       179  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

JPMorgan Mortgage Trust, Ser 2006-A2, Cl 5A3

               

6.255%, 11/25/2033(A)

  $ 36     $ 35  

JPMorgan Mortgage Trust, Ser 2007-A1, Cl 1A1

               

6.846%, 07/25/2035(A)

    243       241  

JPMorgan Mortgage Trust, Ser 2007-A1, Cl 5A2

               

5.638%, 07/25/2035(A)

    209       210  

JPMorgan Mortgage Trust, Ser 2007-A4, Cl 1A1

               

4.760%, 06/25/2037(A)

    22       17  

JPMorgan Mortgage Trust, Ser 2018-7FRB, Cl A2

               

6.142%, TSFR1M + 0.864%, 04/25/2046(A)(E)

    54       53  

Life Mortgage Trust, Ser 2022-BMR2, Cl A1

               

6.632%, TSFR1M + 1.295%, 05/15/2039(A)(E)

    1,000       978  

MASTR Adjustable Rate Mortgages Trust, Ser 2005-6, Cl 5A1

               

3.500%, 07/25/2035(A)

    18       16  

Mellon Residential Funding, Ser 1999-TBC3, Cl A2

               

6.134%, 10/20/2029(A)

    67       68  

Merrill Lynch Mortgage Investors Trust, Ser 2004-1, Cl 2A1

               

5.681%, 12/25/2034(A)

    331       312  

Merrill Lynch Mortgage Investors Trust, Ser 2005-A2, Cl A3

               

5.520%, 02/25/2035(A)

    318       280  

Merrill Lynch Mortgage Investors Trust, Ser 2005-A2, Cl A5

               

5.520%, 02/25/2035(A)

    236       222  

Merrill Lynch Mortgage Investors Trust, Ser 2005-A4, Cl 1A

               

5.447%, 07/25/2035(A)

    227       98  

Merrill Lynch Mortgage Investors Trust, Ser 2007-1, Cl 2A1

               

6.200%, 01/25/2037(A)

    366       372  

MetLife Securitization Trust, Ser 2017-1A, Cl A

               

3.000%, 04/25/2055(A)(E)

    98       93  

MF1, Ser 2022-FL8, Cl A

               

6.686%, TSFR1M + 1.350%, 02/19/2037(A)(E)

    242       241  

MFA Trust, Ser 2020-NQM1, Cl A1

               

2.479%, 03/25/2065(A)(E)

    402       384  

MFA Trust, Ser 2020-NQM1, Cl A3

               

3.300%, 08/25/2049(A)(E)

    615       573  

MFA Trust, Ser 2020-NQM3, Cl A1

               

1.014%, 01/26/2065(A)(E)

    30       27  

MFA Trust, Ser 2021-INV1, Cl A1

               

0.852%, 01/25/2056(A)(E)

    42       40  

 

 

 

152

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

MFA Trust, Ser 2021-NQM1, Cl A1

               

1.153%, 04/25/2065(A)(E)

  $ 75     $ 70  

MFA Trust, Ser 2021-NQM2, Cl A1

               

1.029%, 11/25/2064(A)(E)

    934       820  

MHP, Ser 2021-STOR, Cl A

               

6.152%, TSFR1M + 0.814%, 07/15/2038(A)(E)

    105       104  

MHP, Ser 2022-MHIL, Cl B

               

6.451%, TSFR1M + 1.114%, 01/15/2027(A)(E)

    912       896  

MHP, Ser 2022-MHIL, Cl A

               

6.152%, TSFR1M + 0.815%, 01/15/2027(A)(E)

    123       121  

Mill City Mortgage Loan Trust, Ser 2017-3, Cl A1

               

2.750%, 01/25/2061(A)(E)

    29       28  

Mill City Mortgage Loan Trust, Ser 2021-NMR1, Cl A1

               

1.125%, 11/25/2060(A)(E)

    58       55  

Morgan Stanley Mortgage Loan Trust, Ser 2004-10AR, Cl 1A

               

5.378%, 11/25/2034(A)

    530       503  

Morgan Stanley Mortgage Loan Trust, Ser 2004-5AR, Cl 3A1

               

5.831%, 07/25/2034(A)

    195       193  

Morgan Stanley Mortgage Loan Trust, Ser 2004-8AR, Cl 4A2

               

5.988%, 10/25/2034(A)

    382       369  

Neighborly Issuer LLC, Ser 2023-1A, Cl A2

               

7.308%, 01/30/2053(E)

    985       1,008  

New Residential Mortgage Loan Trust, Ser 2017-3A, Cl A1

               

4.000%, 04/25/2057(A)(E)

    99       95  

New Residential Mortgage Loan Trust, Ser 2017-5A, Cl A1

               

6.892%, TSFR1M + 1.614%, 06/25/2057(A)(E)

    784       793  

New Residential Mortgage Loan Trust, Ser 2017-6A, Cl A1

               

4.000%, 08/27/2057(A)(E)

    253       245  

New Residential Mortgage Loan Trust, Ser 2018-1A, Cl A1A

               

4.000%, 12/25/2057(A)(E)

    381       369  

New Residential Mortgage Loan Trust, Ser 2018-4A, Cl B1

               

6.442%, TSFR1M + 1.164%, 01/25/2048(A)(E)

    1,645       1,624  

New Residential Mortgage Loan Trust, Ser 2018-4A, Cl A1M

               

6.292%, TSFR1M + 1.014%, 01/25/2048(A)(E)

    782       765  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

New Residential Mortgage Loan Trust, Ser 2018-4A, Cl A1S

               

6.142%, TSFR1M + 0.864%, 01/25/2048(A)(E)

  $ 1,264     $ 1,235  

New Residential Mortgage Loan Trust, Ser 2020-NQM1, Cl A1

               

2.464%, 01/26/2060(A)(E)

    56       53  

New Residential Mortgage Loan Trust, Ser 2020-NQM2, Cl A1

               

1.650%, 05/24/2060(A)(E)

    22       21  

New Residential Mortgage Loan Trust, Ser 2021-NQ2R, Cl A1

               

0.941%, 10/25/2058(A)(E)

    40       37  

New Residential Mortgage Loan Trust, Ser 2021-NQM3, Cl A1

               

1.156%, 11/27/2056(A)(E)

    207       177  

Oaktown Re VII, Ser 2021-2, Cl M1A

               

6.949%, SOFR30A + 1.600%, 04/25/2034(A)(E)

    241       242  

OBX Trust, Ser 2018-1, Cl A2

               

6.042%, TSFR1M + 0.764%, 06/25/2057(A)(E)

    579       563  

OBX Trust, Ser 2020-INV1, Cl A11

               

6.000%, TSFR1M + 1.014%, 12/25/2049(A)(E)

    287       272  

OBX Trust, Ser 2023-NQM8, Cl A1

               

7.045%, 09/25/2063(E)(F)

    214       218  

OBX Trust, Ser 2024-NQM3, Cl A3

               

6.433%, 12/25/2063(E)(F)

    652       657  

OPG Trust, Ser 2021-PORT, Cl D

               

6.583%, TSFR1M + 1.245%, 10/15/2036(A)(E)

    650       632  

PRPM LLC, Ser 2021-RPL1, Cl A1

               

1.319%, 07/25/2051(E)(F)

    68       62  

Residential Asset Securitization Trust, Ser 2007-A8, Cl 3A1

               

6.234%, 12/25/2038(A)

    411       166  

Residential Mortgage Loan Trust, Ser 2020-1, Cl A1

               

2.376%, 01/26/2060(A)(E)

    10       9  

Sequoia Mortgage Trust, Ser 2004-3, Cl A

               

6.228%, TSFR6M + 0.928%, 05/20/2034(A)

    52       52  

Sequoia Mortgage Trust, Ser 2004-5, Cl A1

               

5.265%, 06/20/2034(A)

    612       546  

SG Residential Mortgage Trust, Ser 2021-2, Cl A1

               

1.737%, 12/25/2061(A)(E)

    1,474       1,239  

STAR Trust, Ser 2021-1, Cl A1

               

1.219%, 05/25/2065(A)(E)

    72       65  

Starwood Mortgage Residential Trust, Ser 2020-1, Cl A1

               

2.275%, 02/25/2050(A)(E)

    7       6  

 

 

 

SEI Institutional Investments Trust

 

153

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Starwood Mortgage Residential Trust, Ser 2020-3, Cl A1

               

1.486%, 04/25/2065(A)(E)

  $ 284     $ 273  

Starwood Mortgage Residential Trust, Ser 2021-2, Cl A1

               

0.943%, 05/25/2065(A)(E)

    35       32  

Starwood Mortgage Residential Trust, Ser 2021-3, Cl A1

               

1.127%, 06/25/2056(A)(E)

    136       116  

Structured Adjustable Rate Mortgage Loan Trust, Ser 2005-7, Cl 1A3

               

5.036%, 04/25/2035(A)

    495       450  

Thornburg Mortgage Securities Trust, Ser 2005-1, Cl A3

               

5.568%, 04/25/2045(A)

    528       509  

Toorak Mortgage Trust, Ser 2024-RRTL1, Cl A1

               

6.597%, 02/25/2039(E)(F)

    1,200       1,213  

Toorak Mortgage, Ser 2021-INV1, Cl A1

               

1.153%, 07/25/2056(A)(E)

    1,112       975  

Towd Point Mortgage Trust, Ser 2017-4, Cl A1

               

2.750%, 06/25/2057(A)(E)

    44       42  

Towd Point Mortgage Trust, Ser 2017-5, Cl A1

               

5.992%, TSFR1M + 0.714%, 02/25/2057(A)(E)

    196       201  

Towd Point Mortgage Trust, Ser 2017-6, Cl A1

               

2.750%, 10/25/2057(A)(E)

    98       95  

Towd Point Mortgage Trust, Ser 2019-HY2, Cl M2

               

7.292%, TSFR1M + 2.014%, 05/25/2058(A)(E)

    3,000       3,088  

Towd Point Mortgage Trust, Ser 2021-SJ2, Cl A1A

               

2.250%, 12/25/2061(A)(E)

    761       732  

Towd Point Mortgage Trust, Ser 2024-1, Cl A1

               

4.478%, 03/25/2064(A)(E)

    938       965  

Velocity Commercial Capital Loan Trust, Ser 2020-1, Cl AFX

               

2.610%, 02/25/2050(A)(E)

    534       488  

Velocity Commercial Capital Loan Trust, Ser 2021-1, Cl A

               

1.400%, 05/25/2051(A)(E)

    607       520  

Verus Securitization Trust, Ser 2019-4, Cl A1

               

3.642%, 11/25/2059(E)(F)

    13       13  

Verus Securitization Trust, Ser 2019-INV3, Cl A1

               

3.692%, 11/25/2059(A)(E)

    18       18  

Verus Securitization Trust, Ser 2020-1, Cl A1

               

3.417%, 01/25/2060(E)(F)

    8       8  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Verus Securitization Trust, Ser 2020-4, Cl A1

               

2.502%, 05/25/2065(E)(F)

  $ 17     $ 16  

Verus Securitization Trust, Ser 2020-5, Cl A3

               

1.733%, 05/25/2065(E)(F)

    692       657  

Verus Securitization Trust, Ser 2021-1, Cl A2

               

1.052%, 01/25/2066(A)(E)

    128       114  

Verus Securitization Trust, Ser 2021-1, Cl A1

               

0.815%, 01/25/2066(A)(E)

    627       561  

Verus Securitization Trust, Ser 2021-2, Cl A1

               

1.031%, 02/25/2066(A)(E)

    77       68  

Verus Securitization Trust, Ser 2021-4, Cl A1

               

0.938%, 07/25/2066(A)(E)

    114       97  

Verus Securitization Trust, Ser 2021-4, Cl A2

               

1.247%, 07/25/2066(A)(E)

    584       496  

Verus Securitization Trust, Ser 2021-R1, Cl A1

               

0.820%, 10/25/2063(A)(E)

    65       61  

Verus Securitization Trust, Ser 2021-R2, Cl A1

               

0.918%, 02/25/2064(A)(E)

    634       576  

Verus Securitization Trust, Ser 2021-R3, Cl A1

               

1.020%, 04/25/2064(A)(E)

    64       58  

Verus Securitization Trust, Ser 2022-5, Cl A1

               

3.800%, 04/25/2067(E)(F)

    636       610  

Verus Securitization Trust, Ser 2023-3, Cl A1

               

5.930%, 03/25/2068(E)(F)

    749       750  

Verus Securitization Trust, Ser 2024-2, Cl A3

               

6.501%, 02/25/2069(E)(F)

    765       772  

Visio Trust, Ser 2020-1, Cl A3

               

3.521%, 08/25/2055(A)(E)

    230       213  

Visio Trust, Ser 2020-1R, Cl A2

               

1.567%, 11/25/2055(E)

    263       242  

Visio Trust, Ser 2021-1R, Cl A1

               

1.280%, 05/25/2056(E)

    797       725  

WaMu Mortgage Pass-Through Certificates, Ser 2003-AR10, Cl A7

               

5.828%, 10/25/2033(A)

    432       413  

WaMu Mortgage Pass-Through Certificates, Ser 2003-AR7, Cl A7

               

6.762%, 08/25/2033(A)

    453       452  

WaMu Mortgage Pass-Through Certificates, Ser 2003-AR9, Cl 1A6

               

6.112%, 09/25/2033(A)

    483       455  

WaMu Mortgage Pass-Through Certificates, Ser 2004-AR11, Cl A

               

6.591%, 10/25/2034(A)

    287       278  

WaMu Mortgage Pass-Through Certificates, Ser 2004-AR14, Cl A1

               

5.346%, 01/25/2035(A)

    759       696  

 

 

 

154

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

WaMu Mortgage Pass-Through Certificates, Ser 2004-AR2, Cl A

               

6.562%, 12MTA + 1.400%, 04/25/2044(A)

  $ 1,129     $ 1,088  

WaMu Mortgage Pass-Through Certificates, Ser 2004-AR9, Cl A7

               

6.088%, 08/25/2034(A)

    1,212       1,180  

Wells Fargo Mortgage-Backed Securities Trust, Ser 2004-K, Cl 1A2

               

7.490%, 07/25/2034(A)

    91       93  

Wells Fargo Mortgage-Backed Securities Trust, Ser 2004-U, Cl A1

               

6.601%, 10/25/2034(A)

    504       489  

WMRK Commercial Mortgage Trust, Ser 2022-WMRK, Cl A

               

8.126%, TSFR1M + 2.789%, 11/15/2027(A)(E)

    1,000       1,002  
                 
                 
              93,246  

Total Mortgage-Backed Securities

               

(Cost $111,384) ($ Thousands)

            108,820  
                 
                 
                 

ASSET-BACKED SECURITIES — 27.8%

Automotive — 6.3%

       
         

American Credit Acceptance Receivables Trust, Ser 2021-3, Cl E

               

2.560%, 11/15/2027 (E)

    1,000       980  

American Credit Acceptance Receivables Trust, Ser 2023-2, Cl A

               

5.890%, 10/13/2026 (E)

    4       4  

American Credit Acceptance Receivables Trust, Ser 2023-3, Cl A

               

6.000%, 03/12/2027 (E)

    28       28  

AmeriCredit Automobile Receivables Trust, Ser 2020-2, Cl C

               

1.480%, 02/18/2026

    71       71  

AmeriCredit Automobile Receivables Trust, Ser 2020-3, Cl C

               

1.060%, 08/18/2026

    198       195  

AmeriCredit Automobile Receivables Trust, Ser 2020-3, Cl D

               

1.490%, 09/18/2026

    225       219  

AmeriCredit Automobile Receivables Trust, Ser 2021-1, Cl D

               

1.210%, 12/18/2026

    540       522  

ARI Fleet Lease Trust, Ser 2022-A, Cl A2

               

3.120%, 01/15/2031 (E)

    34       34  

Arivo Acceptance Auto Loan Receivables Trust, Ser 2021-1A, Cl A

               

1.190%, 01/15/2027 (E)

           

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Avis Budget Rental Car Funding AESOP LLC, Ser 2020-1A, Cl B

               

2.680%, 08/20/2026 (E)

  $ 1,000     $ 977  

Bank of America Auto Trust, Ser 2023-1A, Cl A2

               

5.830%, 05/15/2026 (E)

    53       53  

BMW Vehicle Lease Trust, Ser 2024-1, Cl A2A

               

5.100%, 07/27/2026

    73       73  

Bridgecrest Lending Auto Securitization Trust, Ser 2023-1, Cl A2

               

6.340%, 07/15/2026

    20       20  

Bridgecrest Lending Auto Securitization Trust, Ser 2024-1, Cl A2

               

5.820%, 09/15/2026

    36       37  

Capital One Prime Auto Receivables Trust, Ser 2022-1, Cl A3

               

3.170%, 04/15/2027

    104       103  

Capital One Prime Auto Receivables Trust, Ser 2023-1, Cl A2

               

5.200%, 05/15/2026

    22       22  

CarMax Auto Owner Trust, Ser 2022-2, Cl C

               

4.260%, 12/15/2027

    750       744  

Carmax Auto Owner Trust, Ser 2023-3, Cl A2A

               

5.720%, 11/16/2026

    69       69  

CarMax Auto Owner Trust, Ser 2023-3, Cl A3

               

5.280%, 05/15/2028

    1,530       1,545  

Carmax Auto Owner Trust, Ser 2024-3, Cl A1

               

5.440%, 08/15/2025

    65       66  

Carvana Auto Receivables Trust, Ser 2021-N1, Cl A

               

0.700%, 01/10/2028

    45       44  

Carvana Auto Receivables Trust, Ser 2021-N2, Cl B

               

0.750%, 03/10/2028

    25       23  

Carvana Auto Receivables Trust, Ser 2021-N3, Cl B

               

0.660%, 06/12/2028

    69       66  

Carvana Auto Receivables Trust, Ser 2023-N3, Cl A

               

6.410%, 09/10/2027 (E)

    45       45  

Carvana Auto Receivables Trust, Ser 2023-P3, Cl A2

               

6.090%, 11/10/2026 (E)

    20       20  

Carvana Auto Receivables Trust, Ser 2023-P4, Cl A2

               

6.230%, 01/11/2027 (E)

    88       89  

Carvana Auto Receivables Trust, Ser 2023-P5, Cl A2

               

5.770%, 04/12/2027 (E)

    38       38  

 

 

 

SEI Institutional Investments Trust

 

155

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Carvana Auto Receivables Trust, Ser 2024-N1, Cl A2

               

5.760%, 04/12/2027 (E)

  $ 88     $ 88  

Carvana Auto Receivables Trust, Ser 2024-P1, Cl A2

               

5.500%, 08/10/2027 (E)

    37       37  

CFMT LLC, Ser 2021-AL1, Cl B

               

1.390%, 09/22/2031 (E)

    78       77  

Chase Auto Owner Trust, Ser 2024-4A, Cl A1

               

5.495%, 07/25/2025 (E)

    102       102  

Chesapeake Funding II LLC, Ser 2023-1A, Cl A1

               

5.650%, 05/15/2035 (E)

    141       142  

Citizens Auto Receivables Trust, Ser 2023-2, Cl A2A

               

6.090%, 10/15/2026 (E)

    114       115  

Citizens Auto Receivables Trust, Ser 2024-1, Cl A2A

               

5.430%, 10/15/2026 (E)

    101       101  

CPS Auto Receivables Trust, Ser 2023-B, Cl A

               

5.910%, 08/16/2027 (E)

    79       79  

CPS Auto Receivables Trust, Ser 2023-D, Cl A

               

6.400%, 06/15/2027 (E)

    76       76  

DT Auto Owner Trust, Ser 2023-1A, Cl A

               

5.480%, 04/15/2027 (E)

    24       24  

DT Auto Owner Trust, Ser 2023-2A, Cl A

               

5.880%, 04/15/2027 (E)

    61       62  

DT Auto Owner Trust, Ser 2023-3A, Cl A

               

6.290%, 08/16/2027 (E)

    51       52  

Enterprise Fleet Financing LLC, Ser 2024-1, Cl A2

               

5.230%, 03/20/2030 (E)

    65       65  

Exeter Automobile Receivables Trust, Ser 2021-2A, Cl D

               

1.400%, 04/15/2027

    918       889  

Exeter Automobile Receivables Trust, Ser 2023-2A, Cl A3

               

5.600%, 08/17/2026

    18       18  

Exeter Automobile Receivables Trust, Ser 2023-4A, Cl A2

               

6.070%, 12/15/2025

    2       2  

Exeter Automobile Receivables Trust, Ser 2024-1A, Cl A2

               

5.530%, 10/15/2026

    72       72  

Exeter Automobile Receivables Trust, Ser 2024-2A, Cl A2

               

5.700%, 05/15/2026

    85       85  

FHF Trust, Ser 2021-2A, Cl A

               

0.830%, 12/15/2026 (E)

    21       21  

Fifth Third Auto Trust, Ser 2023-1, Cl A2A

               

5.800%, 11/16/2026

    128       128  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

First Investors Auto Owner Trust, Ser 2021-1A, Cl C

               

1.170%, 03/15/2027 (E)

  $ 320     $ 317  

Flagship Credit Auto Trust, Ser 2022-3, Cl A3

               

4.550%, 04/15/2027 (E)

    169       169  

Flagship Credit Auto Trust, Ser 2023-2, Cl A2

               

5.760%, 04/15/2027 (E)

    78       78  

Flagship Credit Auto Trust, Ser 2023-3, Cl A2

               

5.890%, 07/15/2027 (E)

    77       78  

Ford Credit Auto Lease Trust, Ser 2024-A, Cl A2A

               

5.240%, 07/15/2026

    117       117  

Foursight Capital Automobile Receivables Trust, Ser 2023-2, Cl A2

               

5.990%, 05/15/2028 (E)

    99       99  

GLS Auto Receivables Issuer Trust, Ser 2021-1A, Cl D

               

1.680%, 01/15/2027 (E)

    875       861  

GLS Auto Receivables Issuer Trust, Ser 2023-1A, Cl A2

               

5.980%, 08/17/2026 (E)

    3       3  

GLS Auto Receivables Issuer Trust, Ser 2023-2A, Cl A2

               

5.700%, 01/15/2027 (E)

    55       55  

GLS Auto Receivables Issuer Trust, Ser 2024-1A, Cl A2

               

5.570%, 02/16/2027 (E)

    190       190  

GM Financial Automobile Leasing Trust, Ser 2023-2, Cl A2A

               

5.440%, 10/20/2025

    18       18  

GM Financial Automobile Leasing Trust, Ser 2023-3, Cl A2A

               

5.580%, 01/20/2026

    146       146  

GM Financial Consumer Automobile Receivables Trust, Ser 2021-2, Cl B

               

1.090%, 12/16/2026

    2,000       1,939  

Honda Auto Receivables Owner Trust, Ser 2021-3, Cl A4

               

0.600%, 12/20/2027

    500       487  

Hyundai Auto Lease Securitization Trust, Ser 2024-A, Cl A2A

               

5.150%, 06/15/2026 (E)

    131       131  

Hyundai Auto Lease Securitization Trust, Ser 2024-C, Cl A1

               

5.304%, 09/15/2025 (E)

    100       100  

Hyundai Auto Receivables Trust, Ser 2023-B, Cl A2A

               

5.770%, 05/15/2026

    96       96  

Hyundai Auto Receivables Trust, Ser 2023-B, Cl A3

               

5.480%, 04/17/2028

    435       440  

 

 

 

156

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

JPMorgan Chase Bank, Ser 2021-2, Cl C

               

0.969%, 12/26/2028 (E)

  $ 35     $ 35  

JPMorgan Chase Bank, Ser 2021-3, Cl D

               

1.009%, 02/26/2029 (E)

    213       210  

LAD Auto Receivables Trust, Ser 2023-3A, Cl A2

               

6.090%, 06/15/2026 (E)

    39       40  

LAD Auto Receivables Trust, Ser 2024-1A, Cl A2

               

5.440%, 11/16/2026 (E)

    71       71  

Lendbuzz Securitization Trust, Ser 2021-1A, Cl A

               

1.460%, 06/15/2026 (E)

    55       54  

Mercedes-Benz Auto Lease Trust, Ser 2023-A, Cl A2

               

5.240%, 11/17/2025

    42       42  

Navistar Financial Dealer Note Master Owner Trust, Ser 2023-1, Cl A

               

6.180%, 08/25/2028 (E)

    1,000       1,011  

Navistar Financial Dealer Note Master Owner Trust, Ser 2024-1, Cl C

               

6.130%, 04/25/2029 (E)

    500       506  

Nissan Auto Lease Trust, Ser 2023-B, Cl A2A

               

5.740%, 08/15/2025

    32       32  

Nissan Auto Lease Trust, Ser 2024-A, Cl A2A

               

5.110%, 10/15/2026

    183       183  

Porsche Innovative Lease Owner Trust, Ser 2024-1A, Cl A3

               

4.670%, 11/22/2027 (E)

    1,000       1,001  

Santander Bank Auto Credit-Linked Notes, Ser 2022-C, Cl B

               

6.451%, 12/15/2032 (E)

    292       293  

Santander Bank Auto Credit-Linked Notes, Ser 2023-A, Cl B

               

6.493%, 06/15/2033 (E)

    441       443  

Santander Bank, Ser 2021-1A, Cl B

               

1.833%, 12/15/2031 (E)

    38       37  

Santander Drive Auto Receivables Trust, Ser 2021-3, Cl D

               

1.330%, 09/15/2027

    1,330       1,301  

Santander Drive Auto Receivables Trust, Ser 2022-2, Cl C

               

3.760%, 07/16/2029

    270       265  

Santander Drive Auto Receivables Trust, Ser 2023-3, Cl A2

               

6.080%, 08/17/2026

    14       14  

Santander Drive Auto Receivables Trust, Ser 2023-4, Cl A2

               

6.180%, 02/16/2027

    142       143  

Santander Drive Auto Receivables Trust, Ser 2024-1, Cl A2

               

5.710%, 02/16/2027

    35       35  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Santander Retail Auto Lease Trust, Ser 2022-A, Cl B

               

1.610%, 01/20/2026 (E)

  $ 175     $ 174  

SBNA Auto Lease Trust, Ser 2023-A, Cl A2

               

6.270%, 04/20/2026 (E)

    101       101  

SBNA Auto Lease Trust, Ser 2024-A, Cl A2

               

5.450%, 01/20/2026 (E)

    195       195  

SFS Auto Receivables Securitization Trust, Ser 2023-1A, Cl A2A

               

5.890%, 03/22/2027 (E)

    36       36  

SFS Auto Receivables Securitization Trust, Ser 2024-1A, Cl A2

               

5.350%, 06/21/2027 (E)

    51       51  

Tesla Auto Lease Trust, Ser 2023-A, Cl A2

               

5.860%, 08/20/2025 (E)

    57       57  

Tesla Auto Lease Trust, Ser 2023-B, Cl A2

               

6.020%, 09/22/2025 (E)

    89       90  

Tesla Electric Vehicle Trust, Ser 2023-1, Cl A2A

               

5.540%, 12/21/2026 (E)

    168       169  

Toyota Lease Owner Trust, Ser 2023-B, Cl A2A

               

5.730%, 04/20/2026 (E)

    116       116  

Toyota Lease Owner Trust, Ser 2024-A, Cl A2A

               

5.330%, 07/20/2026 (E)

    94       94  

Tricolor Auto Securitization Trust, Ser 2023-1A, Cl A

               

6.480%, 08/17/2026 (E)

    7       7  

USAA Auto Owner Trust, Ser 2023-A, Cl A2

               

5.830%, 07/15/2026 (E)

    50       50  

Volkswagen Auto Loan Enhanced Trust, Ser 2023-1, Cl A3

               

5.020%, 06/20/2028

    1,000       1,006  

Westlake Automobile Receivables Trust, Ser 2021-1A, Cl D

               

1.230%, 04/15/2026 (E)

    116       115  

Westlake Automobile Receivables Trust, Ser 2023-3A, Cl A2A

               

5.960%, 10/15/2026 (E)

    86       86  

Westlake Automobile Receivables Trust, Ser 2023-P1, Cl A2

               

5.890%, 02/16/2027 (E)

    73       74  

Westlake Automobile Receivables Trust, Ser 2024-1A, Cl A2A

               

5.620%, 03/15/2027 (E)

    80       80  

Wheels Fleet Lease Funding 1 LLC, Ser 2023-1A, Cl A

               

5.800%, 04/18/2038 (E)

    193       194  

Wheels Fleet Lease Funding 1 LLC, Ser 2023-2A, Cl A

               

6.460%, 08/18/2038 (E)

    97       97  

 

 

 

SEI Institutional Investments Trust

 

157

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

World Omni Auto Receivables Trust, Ser 2020-C, Cl A4

               

0.610%, 10/15/2026

  $ 105     $ 105  

World Omni Auto Receivables Trust, Ser 2021-C, Cl A4

               

0.640%, 09/15/2027

    300       288  

World Omni Automobile Lease Securitization Trust, Ser 2023-A, Cl A2A

               

5.470%, 11/17/2025

    39       39  

World Omni Select Auto Trust, Ser 2023-A, Cl A2A

               

5.920%, 03/15/2027

    49       49  
              22,635  
                 

Credit Cards — 0.1%

       
         

CARDS II Trust, Ser 2024-1A, Cl A

               

6.035%, SOFRRATE + 0.680%, 07/16/2029 (A)(E)

    160       160  
                 
                 

Mortgage Related Securities — 0.5%

       
         

Accredited Mortgage Loan Trust, Ser 2004-4, Cl A1A

               

4.790%, TSFR1M + 0.794%, 01/25/2035 (A)

    8       8  

RCKT Mortgage Trust, Ser 2023-CES3, Cl A1A

               

7.113%, 11/25/2043 (A)(E)

    879       896  

Towd Point Mortgage Trust, Ser 2023-CES2, Cl A1A

               

7.294%, 10/25/2063 (A)(E)

    846       864  
              1,768  
                 

Other Asset-Backed Securities — 20.9%

       
         

321 Henderson Receivables VI LLC, Ser 2010-1A, Cl A

               

5.560%, 07/15/2059 (E)

    182       182  

Affirm Asset Securitization Trust, Ser 2021-Z2, Cl A

               

1.170%, 11/16/2026 (E)

    11       11  

Affirm Asset Securitization Trust, Ser 2022-X1, Cl A

               

1.750%, 02/15/2027 (E)

    3       3  

Affirm Asset Securitization Trust, Ser 2023-X1, Cl A

               

7.110%, 11/15/2028 (E)

    89       89  

Aligned Data Centers Issuer LLC, Ser 2021-1A, Cl A2

               

1.937%, 08/15/2046 (E)

    785       737  

Allegro CLO VII, Ser 2018-1A, Cl D

               

8.413%, TSFR3M + 3.112%, 06/13/2031 (A)(E)

    400       399  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

AMMC CLO XI, Ser 2018-11A, Cl BR2

               

7.117%, TSFR3M + 1.862%, 04/30/2031 (A)(E)

  $ 1,000     $ 1,000  

AMMC CLO XI, Ser 2018-11A, Cl CR2

               

7.417%, TSFR3M + 2.162%, 04/30/2031 (A)(E)

    700       699  

Amur Equipment Finance Receivables XIII LLC, Ser 2024-1A, Cl D

               

6.570%, 04/21/2031 (E)

    500       518  

Apidos CLO XV, Ser 2018-15A, Cl A1RR

               

6.554%, TSFR3M + 1.272%, 04/20/2031 (A)(E)

    208       208  

Apidos CLO XXIV, Ser 2021-24A, Cl A1AL

               

6.494%, TSFR3M + 1.212%, 10/20/2030 (A)(E)

    182       182  

Aqua Finance Trust, Ser 2021-A, Cl A

               

1.540%, 07/17/2046 (E)

    75       69  

Arbys Funding LLC, Ser 2020-1A, Cl A2

               

3.237%, 07/30/2050 (E)

    696       659  

Ares XXXIIR CLO, Ser 2018-32RA, Cl A1B

               

6.580%, TSFR3M + 1.462%, 05/15/2030 (A)(E)

    725       725  

Ballyrock CLO, Ser 2018-1A, Cl A1

               

6.544%, TSFR3M + 1.262%, 04/20/2031 (A)(E)

    334       334  

Beacon Container Finance II LLC, Ser 2021-1A, Cl A

               

2.250%, 10/22/2046 (E)

    573       524  

Bellemeade Re, Ser 2023-1, Cl M1A

               

7.549%, SOFR30A + 2.200%, 10/25/2033 (A)(E)

    1,000       1,008  

Benefit Street Partners CLO XIV, Ser 2018-14A, Cl A2

               

6.694%, TSFR3M + 1.412%, 04/20/2031 (A)(E)

    1,600       1,600  

BHG Securitization Trust, Ser 2022-A, Cl A

               

1.710%, 02/20/2035 (E)

    59       58  

BRAVO Residential Funding Trust, Ser 2021-HE1, Cl A1

               

6.099%, SOFR30A + 0.750%, 01/25/2070 (A)(E)

    889       886  

BRAVO Residential Funding Trust, Ser 2021-HE2, Cl A3

               

6.399%, SOFR30A + 1.050%, 11/25/2069 (A)(E)

    522       521  

BRE Grand Islander Timeshare Issuer LLC, Ser 2019-A, Cl A

               

3.280%, 09/26/2033 (E)

    607       592  

Carlyle Global Market Strategies CLO, Ser 2018-2RA, Cl A2

               

6.705%, TSFR3M + 1.587%, 05/15/2031 (A)(E)

    1,000       1,000  

 

 

 

158

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Carlyle Global Market Strategies CLO, Ser 2018-4RA, Cl A2

               

7.163%, TSFR3M + 1.862%, 07/15/2030 (A)(E)

  $ 500     $ 500  

Carlyle Global Market Strategies CLO, Ser 2021-1A, Cl AR3

               

6.524%, TSFR3M + 1.242%, 07/20/2031 (A)(E)

    206       206  

Carlyle US CLO, Ser 2021-3A, Cl BR

               

7.544%, TSFR3M + 2.262%, 07/20/2029 (A)(E)

    500       499  

CARS-DB4 LP, Ser 2020-1A, Cl A4

               

3.190%, 02/15/2050 (E)

    1,525       1,504  

Catskill Park CLO, Ser 2017-1A, Cl A1B

               

6.894%, TSFR3M + 1.612%, 04/20/2029 (A)(E)

    1,000       1,000  

Cedar Funding X CLO, Ser 2021-10A, Cl CR

               

7.594%, TSFR3M + 2.312%, 10/20/2032 (A)(E)

    450       450  

CF Hippolyta Issuer LLC, Ser 2020-1, Cl A1

               

1.690%, 07/15/2060 (E)

    989       951  

CF Hippolyta Issuer LLC, Ser 2021-1A, Cl B1

               

1.980%, 03/15/2061 (E)

    1,070       975  

CIFC Funding, Ser 2018-3A, Cl AR

               

6.411%, TSFR3M + 1.132%, 04/19/2029 (A)(E)

    269       269  

CIFC Funding, Ser 2018-4A, Cl A1

               

6.697%, TSFR3M + 1.412%, 10/17/2031 (A)(E)

    636       637  

CNH Equipment Trust, Ser 2023-A, Cl A2

               

5.340%, 09/15/2026

    31       31  

Daimler Trucks Retail Trust, Ser 2023-1, Cl A2

               

6.030%, 09/15/2025

    78       78  

DataBank Issuer, Ser 2021-1A, Cl A2

               

2.060%, 02/27/2051 (E)

    500       472  

DB Master Finance LLC, Ser 2019-1A, Cl A2II

               

4.021%, 05/20/2049 (E)

    1,036       1,016  

DB Master Finance LLC, Ser 2021-1A, Cl A2I

               

2.045%, 11/20/2051 (E)

    676       633  

Dell Equipment Finance Trust, Ser 2023-2, Cl A2

               

5.840%, 01/22/2029 (E)

    48       48  

Dell Equipment Finance Trust, Ser 2023-3, Cl A2

               

6.100%, 04/23/2029 (E)

    71       71  

Dext ABS LLC, Ser 2021-1, Cl A

               

1.120%, 02/15/2028 (E)

    5       5  

Dext ABS LLC, Ser 2023-2, Cl A2

               

6.560%, 05/15/2034 (E)

    66       67  

Diamond Infrastructure Funding LLC, Ser 2021-1A, Cl B

               

2.355%, 04/15/2049 (E)

    200       185  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Diamond Infrastructure Funding LLC, Ser 2021-1A, Cl C

               

3.475%, 04/15/2049 (E)

  $ 400     $ 368  

DLLAA LLC, Ser 2023-1A, Cl A2

               

5.930%, 07/20/2026 (E)

    58       59  

DLLAD LLC, Ser 2021-1A, Cl A3

               

0.640%, 09/21/2026 (E)

    119       117  

DLLAD LLC, Ser 2023-1A, Cl A2

               

5.190%, 04/20/2026 (E)

    20       20  

DLLMT LLC, Ser 2023-1A, Cl A2

               

5.780%, 11/20/2025 (E)

    47       47  

DLLST, Ser 2024-1A, Cl A2

               

5.330%, 01/20/2026 (E)

    50       50  

Domino's Pizza Master Issuer LLC, Ser 2017-1A, Cl A23

               

4.118%, 07/25/2047 (E)

    1,152       1,122  

DRIVEN BRANDS FUNDING LLC, Ser 2019-1A, Cl A2

               

4.641%, 04/20/2049 (E)

    1,512       1,490  

ECMC Group Student Loan Trust, Ser 2020-3A, Cl A1B

               

6.463%, SOFR30A + 1.114%, 01/27/2070 (A)(E)

    443       441  

Elara HGV Timeshare Issuer LLC, Ser 2019-A, Cl A

               

2.610%, 01/25/2034 (E)

    583       564  

Elara HGV Timeshare Issuer LLC, Ser 2021-A, Cl C

               

2.090%, 08/27/2035 (E)

    848       793  

Elara HGV Timeshare Issuer LLC, Ser 2023-A, Cl A

               

6.160%, 02/25/2038 (E)

    732       753  

FNA VII LLC, Ser 2023-1A, Cl A1

               

6.900%, 04/15/2038 (E)

    674       671  

GRACIE POINT INTERNATIONAL FUNDING, Ser 2023-1A, Cl A

               

7.319%, SOFR90A + 1.950%, 09/01/2026 (A)(E)

    1,964       1,977  

GRACIE POINT INTERNATIONAL FUNDING, Ser 2023-2A, Cl A

               

7.619%, SOFR90A + 2.250%, 03/01/2027 (A)(E)

    607       608  

Granite Park Equipment Leasing LLC, Ser 2023-1A, Cl A2

               

6.510%, 05/20/2030 (E)

    152       154  

GreatAmerica Leasing Receivables, Ser 2023-1, Cl A2

               

5.350%, 02/16/2026 (E)

    65       65  

GreatAmerica Leasing Receivables, Ser 2024-1, Cl A2

               

5.320%, 08/17/2026 (E)

    135       135  

Hilton Grand Vacations Trust, Ser 2022-1D, Cl B

               

4.100%, 06/20/2034 (E)

    642       632  

 

 

 

SEI Institutional Investments Trust

 

159

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Hilton Grand Vacations Trust, Ser 2023-1A, Cl C

               

6.940%, 01/25/2038 (E)

  $ 984     $ 1,017  

Hilton Grand Vacations Trust, Ser 2024-1B, Cl B

               

5.990%, 09/15/2039 (E)

    532       544  

HPEFS Equipment Trust, Ser 2023-2A, Cl A2

               

6.040%, 01/21/2031 (E)

    86       86  

HPEFS Equipment Trust, Ser 2024-1A, Cl A3

               

5.180%, 05/20/2031 (E)

    105       106  

Invitation Homes Trust, Ser 2018-SFR4, Cl C

               

6.852%, TSFR1M + 1.514%, 01/17/2038 (A)(E)

    2,000       1,997  

ITE Rail Fund Levered, Ser 2021-1A, Cl A

               

2.250%, 02/28/2051 (E)

    516       472  

John Deere Owner Trust, Ser 2023-C, Cl A2

               

5.760%, 08/17/2026

    231       231  

Kentucky Higher Education Student Loan, Ser 2020-1, Cl A1B

               

6.510%, TSFR1M + 1.164%, 11/25/2050 (A)

    1,047       1,051  

KKR CLO 12, Ser 2018-12, Cl AR2A

               

6.698%, TSFR3M + 1.397%, 10/15/2030 (A)(E)

    258       258  

KKR CLO 20, Ser 2017-20, Cl B

               

7.098%, TSFR3M + 1.812%, 10/16/2030 (A)(E)

    636       637  

Kubota Credit Owner Trust, Ser 2023-2A, Cl A2

               

5.610%, 07/15/2026 (E)

    187       187  

Kubota Credit Owner Trust, Ser 2024-1A, Cl A2

               

5.390%, 01/15/2027 (E)

    180       181  

LCM XXIV, Ser 2021-24A, Cl AR

               

6.524%, TSFR3M + 1.242%, 03/20/2030 (A)(E)

    69       69  

Madison Park Funding XLII, Ser 2017-13A, Cl B

               

7.045%, TSFR3M + 1.762%, 11/21/2030 (A)(E)

    700       700  

Madison Park Funding XVII, Ser 2021-17A, Cl AR2

               

6.544%, TSFR3M + 1.262%, 07/21/2030 (A)(E)

    175       175  

Madison Park Funding XXIV, Ser 2024-24A, Cl BR2

               

6.832%, TSFR3M + 1.550%, 10/20/2029 (A)(E)

    1,250       1,251  

Magnetite XV, Ser 2018-15A, Cl CR

               

7.346%, TSFR3M + 2.062%, 07/25/2031 (A)(E)

    500       501  

Marlette Funding Trust, Ser 2023-2A, Cl A

               

6.040%, 06/15/2033 (E)

    20       20  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Marlette Funding Trust, Ser 2023-3A, Cl A

               

6.490%, 09/15/2033 (E)

  $ 31     $ 31  

MetroNet Infrastructure Issuer LLC, Ser 2022-1A, Cl B

               

7.460%, 10/20/2052 (E)

    500       514  

Missouri Higher Education Loan Authority, Ser 2021-1, Cl A1B

               

6.142%, TSFR1M + 0.864%, 01/25/2061 (A)

    496       493  

Missouri Higher Education Loan Authority, Ser 2021-2, Cl A1B

               

6.092%, TSFR1M + 0.814%, 03/25/2061 (A)

    1,570       1,559  

MMAF Equipment Finance LLC, Ser 2020-BA, Cl A3

               

0.490%, 08/14/2025 (E)

    61       60  

MMAF Equipment Finance LLC, Ser 2023-A, Cl A2

               

5.790%, 11/13/2026 (E)

    101       102  

MMAF Equipment Finance LLC, Ser 2024-A, Cl A2

               

5.200%, 09/13/2027 (E)

    195       195  

Mountain View CLO LLC, Ser 2020-1A, Cl AR

               

6.638%, TSFR3M + 1.352%, 10/16/2029 (A)(E)

    93       93  

Navient Private Education Refi Loan Trust, Ser 2019-FA, Cl A2

               

2.600%, 08/15/2068 (E)

    434       414  

Navient Private Education Refi Loan Trust, Ser 2020-HA, Cl A

               

1.310%, 01/15/2069 (E)

    446       415  

Navient Student Loan Trust, Ser 2023-BA, Cl A1A

               

6.480%, 03/15/2072 (E)

    556       571  

Neuberger Berman CLO XIV, Ser 2020-14A, Cl BR2

               

7.025%, TSFR3M + 1.762%, 01/28/2030 (A)(E)

    1,000       1,000  

Neuberger Berman Loan Advisers CLO 25, Ser 2024-25A, Cl AR2

               

6.723%, TSFR3M + 1.400%, 07/18/2038 (A)(E)

    450       450  

Neuberger Berman Loan Advisers CLO 26, Ser 2021-26A, Cl AR

               

6.461%, TSFR3M + 1.182%, 10/18/2030 (A)(E)

    319       319  

New Economy Assets Phase 1 Sponsor LLC, Ser 2021-1, Cl A1

               

1.910%, 10/20/2061 (E)

    453       414  

New Economy Assets Phase I Sponsor LLC, Ser 2021-1, Cl B1

               

2.410%, 10/20/2061 (E)

    750       667  

 

 

 

160

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

New Hampshire Higher Education Loan, Ser 2020-1, Cl A1B

               

6.592%, TSFR1M + 1.314%, 09/25/2060 (A)

  $ 448     $ 448  

OFSI BSL IX, Ser 2024-1A, Cl B1R

               

7.101%, TSFR3M + 1.800%, 07/15/2031 (A)(E)

    1,000       1,000  

Oxford Finance Funding LLC, Ser 2020-1A, Cl A2

               

3.101%, 02/15/2028 (E)

    260       258  

Palmer Square Loan Funding, Ser 2021-2A, Cl A2

               

6.640%, TSFR3M + 1.512%, 05/20/2029 (A)(E)

    250       250  

Palmer Square Loan Funding, Ser 2021-3A, Cl A1

               

6.344%, TSFR3M + 1.062%, 07/20/2029 (A)(E)

    44       44  

Palmer Square Loan Funding, Ser 2021-4A, Cl A1

               

6.363%, TSFR3M + 1.062%, 10/15/2029 (A)(E)

    188       189  

Palmer Square Loan Funding, Ser 2022-2A, Cl A2

               

7.201%, TSFR3M + 1.900%, 10/15/2030 (A)(E)

    1,460       1,462  

Palmer Square Loan Funding, Ser 2024-1A, Cl A1

               

0.000%, 10/15/2032 (A)(D)(E)

    250       250  

Prodigy Finance DAC, Ser 2021-1A, Cl A

               

6.641%, TSFR1M + 1.364%, 07/25/2051 (A)(E)

    512       509  

Progress Residential, Ser 2021-SFR1, Cl A

               

1.052%, 04/17/2038 (E)

    300       284  

Progress Residential, Ser 2021-SFR3, Cl E2

               

2.688%, 05/17/2026 (E)

    960       901  

Prosper Marketplace Issuance Trust Series, Ser 2023-1A, Cl A

               

7.060%, 07/16/2029 (E)

    32       32  

Race Point IX CLO, Ser 2021-9A, Cl A1A2

               

6.503%, TSFR3M + 1.202%, 10/15/2030 (A)(E)

    160       160  

ReadyCap Lending Small Business Loan Trust, Ser 2019-2, Cl A

               

8.000%, PRIME + -0.500%, 12/27/2044 (A)(E)

    186       185  

Retained Vantage Data Centers Issuer LLC, Ser 2023-1A, Cl A2A

               

5.000%, 09/15/2048 (E)

    500       492  

Saranac Clo VII, Ser 2017-2A, Cl BR

               

7.140%, TSFR3M + 2.012%, 11/20/2029 (A)(E)

    690       690  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Saratoga Investment Senior Loan Fund, Ser 2022-1A, Cl D

               

11.892%, TSFR3M + 6.610%, 10/20/2033 (A)(E)

  $ 300     $ 301  

SCF Equipment Leasing LLC, Ser 2023-1A, Cl A2

               

6.560%, 01/22/2030 (E)

    177       179  

SCF Equipment Leasing LLC, Ser 2023-1A, Cl A3

               

6.170%, 05/20/2032 (E)

    1,000       1,044  

SMB Private Education Loan Trust, Ser 2018-C, Cl A2B

               

6.201%, TSFR1M + 0.864%, 11/15/2035 (A)(E)

    775       773  

SMB Private Education Loan Trust, Ser 2019-B, Cl A2B

               

6.451%, TSFR1M + 1.114%, 06/15/2037 (A)(E)

    514       515  

SMB Private Education Loan Trust, Ser 2020-PTB, Cl A2B

               

6.242%, TSFR1M + 0.964%, 09/15/2054 (A)(E)

    1,428       1,425  

SMB Private Education Loan Trust, Ser 2021-A, Cl A2A2

               

6.181%, TSFR1M + 0.844%, 01/15/2053 (A)(E)

    1,502       1,492  

STAR Trust, Ser 2021-SFR1, Cl C

               

6.502%, TSFR1M + 1.164%, 04/17/2038 (A)(E)

    1,000       982  

STAR Trust, Ser 2021-SFR1, Cl D

               

6.752%, TSFR1M + 1.414%, 04/17/2038 (A)(E)

    1,000       984  

STAR Trust, Ser 2021-SFR2, Cl C

               

7.051%, TSFR1M + 1.714%, 01/17/2039 (A)(E)

    1,500       1,484  

Structured Asset Investment Loan Trust, Ser 2004-8, Cl A8

               

6.392%, TSFR1M + 1.114%, 09/25/2034 (A)

    1,915       1,879  

Structured Asset Investment Loan Trust, Ser 2004-BNC1, Cl A4

               

6.404%, TSFR1M + 1.054%, 09/25/2034 (A)

    628       640  

Symphony Static CLO I, Ser 2021-1A, Cl A

               

6.376%, TSFR3M + 1.092%, 10/25/2029 (A)(E)

    631       631  

Symphony Static CLO I, Ser 2021-1A, Cl B

               

6.996%, TSFR3M + 1.712%, 10/25/2029 (A)(E)

    250       250  

Taco Bell Funding LLC, Ser 2016-1A, Cl A23

               

4.970%, 05/25/2046 (E)

    759       756  

TAL Advantage VII LLC, Ser 2020-1A, Cl B

               

3.290%, 09/20/2045 (E)

    883       829  

 

 

 

SEI Institutional Investments Trust

 

161

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

TCI-Flatiron CLO, Ser 2017-1A, Cl B

               

6.923%, TSFR3M + 1.822%, 11/18/2030 (A)(E)

  $ 500     $ 500  

TIF Funding II LLC, Ser 2021-1A, Cl A

               

1.650%, 02/20/2046 (E)

    714       634  

Towd Point HE Trust, Ser 2021-HE1, Cl A1

               

0.918%, 02/25/2063 (A)(E)

    396       382  

Tricon Residential Trust, Ser 2021-SFR1, Cl E1

               

2.794%, 07/17/2038 (E)

    100       94  

Tricon Residential Trust, Ser 2021-SFR1, Cl E2

               

2.894%, 07/17/2038 (E)

    180       169  

Trimaran Cavu, Ser 2019-1A, Cl D

               

9.694%, TSFR3M + 4.412%, 07/20/2032 (A)(E)

    600       602  

VFI ABS LLC, Ser 2023-1A, Cl A

               

7.270%, 03/26/2029 (E)

    68       69  

Voya CLO, Ser 2020-2A, Cl A1RR

               

6.567%, TSFR3M + 1.282%, 04/17/2030 (A)(E)

    62       62  

Westgate Resorts LLC, Ser 2023-1A, Cl B

               

6.440%, 12/20/2037 (E)

    732       736  

Westlake Flooring Master Trust, Ser 2024-1A, Cl A

               

5.430%, 02/15/2028 (E)

    15       15  

Wingstop Funding LLC, Ser 2020-1A, Cl A2

               

2.841%, 12/05/2050 (E)

    788       735  

Zais Clo 14, Ser 2024-14A, Cl B1R2

               

6.801%, TSFR3M + 1.500%, 04/15/2032 (A)(E)

    1,000       1,001  
              74,764  
                 

Total Asset-Backed Securities

               

(Cost $98,054) ($ Thousands)

            99,327  
                 
                 

CORPORATE OBLIGATIONS — 4.4%

Communication Services — 0.2%

       

Level 3 Financing

               

11.000%, 11/15/2029 (E)

    200       219  

Univision Communications

               

8.000%, 08/15/2028 (E)

    300       304  

Verizon Communications

               

1.450%, 03/20/2026

    225       214  
                 
              737  
                 

Consumer Discretionary — 0.4%

       

AutoZone

               

5.050%, 07/15/2026

    150       151  

Caesars Entertainment

               

7.000%, 02/15/2030 (E)

    300       311  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Hyundai Capital America

               

5.450%, 06/24/2026 (E)

  $ 125     $ 127  

IRB Holding

               

7.000%, 06/15/2025 (E)

    700       699  
                 
              1,288  
                 

Energy — 0.3%

       

Gray Oak Pipeline LLC

               

2.600%, 10/15/2025 (E)

    300       291  

Occidental Petroleum

               

5.875%, 09/01/2025

    175       176  

ONEOK

               

5.550%, 11/01/2026

    200       204  

Ovintiv

               

5.650%, 05/15/2025

    175       175  

Williams

               

5.400%, 03/02/2026

    125       126  
                 
              972  
                 

Financials — 2.0%

       

Athene Global Funding

               

5.684%, 02/23/2026 (E)

    100       101  

5.349%, 07/09/2027 (E)

    90       92  

Bank of America

               

5.650%, 08/18/2025

    250       252  

Bank of America MTN

               

1.530%, SOFRRATE + 0.650%, 12/06/2025 (A)

    225       223  

Bank of Nova Scotia

               

5.450%, 06/12/2025

    125       125  

BPCE

               

2.375%, 01/14/2025 (E)

    250       247  

Brookfield Property

               

4.500%, 04/01/2027 (E)

    392       378  

Canadian Imperial Bank of Commerce

               

5.237%, 06/28/2027

    90       92  

Capital One Financial

               

4.250%, 04/30/2025

    50       50  

Citigroup

               

5.610%, SOFRRATE + 1.546%, 09/29/2026 (A)

    225       226  

3.290%, SOFRRATE + 1.528%, 03/17/2026 (A)

    225       223  

Corebridge Financial

               

3.500%, 04/04/2025

    125       124  

Danske Bank MTN

               

6.259%, H15T1Y + 1.180%, 09/22/2026 (A)(E)

    200       203  

Deutsche Bank NY

               

6.592%, SOFRRATE + 1.219%, 11/16/2027 (A)

    325       324  

Equitable Financial Life Global Funding

               

1.400%, 07/07/2025 (E)

    125       121  

 

 

 

162

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Goldman Sachs Bank USA NY

               

5.414%, SOFRRATE + 0.750%, 05/21/2027 (A)

  $ 125     $ 126  

Goldman Sachs Group

               

5.798%, SOFRRATE + 1.075%, 08/10/2026 (A)

    175       176  

Huntington Bancshares

               

4.000%, 05/15/2025

    125       124  

JPMorgan Chase

               

6.259%, SOFRRATE + 0.885%, 04/22/2027 (A)

    475       477  

5.546%, SOFRRATE + 1.070%, 12/15/2025 (A)

    200       200  

1.045%, SOFRRATE + 0.800%, 11/19/2026 (A)

    225       215  

Macquarie Group MTN

               

6.075%, SOFRRATE + 0.710%, 10/14/2025 (A)(E)

    300       300  

Morgan Stanley

               

0.985%, SOFRRATE + 0.720%, 12/10/2026 (A)

    225       214  

Morgan Stanley MTN

               

1.164%, SOFRRATE + 0.560%, 10/21/2025 (A)

    225       224  

Nasdaq

               

5.650%, 06/28/2025

    125       126  

Pacific Life Global Funding II

               

5.500%, 08/28/2026 (E)

    125       127  

SBA Tower Trust, Ser 2014-2A, Cl C

               

3.869%, 10/15/2024 (E)

    585       584  

Societe Generale

               

6.423%, SOFRRATE + 1.050%, 01/21/2026 (A)(E)

    275       275  

Toronto-Dominion Bank MTN

               

5.959%, SOFRRATE + 0.590%, 09/10/2026 (A)

    300       299  

WEA Finance LLC / Westfield UK & Europe Finance PLC

               

3.750%, 09/17/2024 (E)

    200       200  

Wells Fargo MTN

               

2.164%, TSFR3M + 1.012%, 02/11/2026 (A)

    225       222  

Wells Fargo Bank

               

5.550%, 08/01/2025

    250       252  

4.811%, 01/15/2026

    250       251  
                 
              7,173  
                 

Health Care — 0.2%

       

Baxter International

               

5.824%, SOFRINDX + 0.440%, 11/29/2024 (A)

    275       275  

Grifols

               

4.750%, 10/15/2028 (E)

    400       380  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

HCA

               

5.375%, 02/01/2025

  $ 200     $ 200  
                 
              855  
                 

Industrials — 0.4%

       

AerCap Ireland Capital DAC / AerCap Global Aviation Trust

               

3.500%, 01/15/2025

    150       149  

American Airlines

               

5.500%, 04/20/2026 (E)

    117       116  

CP Atlas Buyer

               

7.000%, 12/01/2028 (E)

    400       344  

Trident TPI Holdings

               

12.750%, 12/31/2028 (E)

    675       741  

Wilsonart LLC

               

11.000%, 08/15/2032 (E)

    299       291  
                 
              1,641  
                 

Materials — 0.4%

       

International Flavors and Fragrances

               

1.230%, 10/01/2025 (E)

    150       144  

Kobe US Midco 2

               

9.250%cash/0% PIK, 11/01/2026 (E)

    900       738  

OCI

               

4.625%, 10/15/2025 (E)

    500       496  
                 
              1,378  
                 

Real Estate — 0.2%

       

ERP Operating

               

3.375%, 06/01/2025

    125       123  

Iron Mountain

               

4.875%, 09/15/2027 (E)

    500       491  

Realty Income

               

3.875%, 04/15/2025

    125       124  
                 
              738  
                 

Utilities — 0.3%

       

Alliant Energy Finance LLC

               

5.400%, 06/06/2027 (E)

    100       102  

American Electric Power

               

5.699%, 08/15/2025

    150       151  

Consumers Securitization Funding LLC, Ser 2023

               

5.550%, 03/01/2028

    70       71  

Emera US Finance

               

3.550%, 06/15/2026

    125       122  

NextEra Energy Capital Holdings

               

4.255%, 09/01/2024

    275       275  

Southern California Edison

               

5.350%, 03/01/2026

    125       126  

 

 

 

SEI Institutional Investments Trust

 

163

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Spire

               

5.300%, 03/01/2026

  $ 150     $ 151  
                 
              998  
                 

Total Corporate Obligations

               

(Cost $15,910) ($ Thousands)

            15,780  
                 
                 
                 

U.S. TREASURY OBLIGATIONS — 2.0%

U.S. Treasury Bills

               

5.327%, 09/10/2024 (G)(H)

    1,275       1,274  

5.312%, 09/03/2024 (G)

    1,700       1,700  

5.224%, 11/19/2024 (G)

    800       791  

5.215%, 09/26/2024 (G)

    1,200       1,196  

5.203%, 11/26/2024 (G)

    1,600       1,581  

5.001%, 12/24/2024 (G)

    750       739  
         

Total U.S. Treasury Obligations

       

(Cost $7,278) ($ Thousands)

    7,281  
                 
                 
      Number of
Warrants
         

WARRANTS — 0.2%

Air Methods

               

Strike Price $– *(C)

    5,986       507  
                 
                 

Total Warrants

               

(Cost $111) ($ Thousands)

            507  
                 
                 
   


Shares

         

COMMON STOCK — 0.1%

Air Methods *(C)

    2,388       202  

TMK Hawk Parent Corp. *(C)(I)

    7,227       77  
                 

Total Common Stock

               

(Cost $109) ($ Thousands)

            279  
                 

CASH EQUIVALENT — 2.7%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    9,762,750       9,763  

Total Cash Equivalent

               

(Cost $9,763) ($ Thousands)

            9,763  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

REPURCHASE AGREEMENT(J) — 0.1%

BNP Paribas

               

5.320%, dated 08/30/2024 to be repurchased on 09/03/2024, repurchase price $300,177 (collateralized by various U.S. Government and Treasury obligations, ranging in par value $1,025 - $185,753, 2.590% - 6.146%, 01/01/2030 – 08/01/2052; with total market value $304,763)

  $ 300     $ 300  

Total Repurchase Agreement

               

(Cost $300) ($ Thousands)

            300  
                 
                 

Total Investments in Securities — 99.0%

               

(Cost $355,318) ($ Thousands)

  $ 354,106  
                 
                 

 

 

 

164

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Opportunistic Income Fund (Concluded)

 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Short Contracts

                                       

U.S. 2-Year Treasury Note

    (22)       Dec-2024     $ (4,572 )   $ (4,566 )   $ 6  

U.S. 10-Year Treasury Note

    (27)       Dec-2024       (3,091 )     (3,066 )     25  
                    $ (7,663 )   $ (7,632 )   $ 31  

 

 

 

Percentages are based on Net Assets of $357,830 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

Expiration date not available.

(A)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates on certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(B)

Unsettled bank loan. Interest rate may not be available.

(C)

Level 3 security in accordance with fair value hierarchy.

(D)

No interest rate available.

 

(E)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On August 31, 2024, the value of these securities amounted to $176,766 ($ Thousands), representing 49.4% of the Net Assets of the Fund.

(F)

Step coupon security. Coupon rate will either increase (step-up bond) or decrease (step-down bond) at regular intervals until maturity. Interest rate shown reflects the rate currently in effect.

(G)

Interest rate represents the security's effective yield at the time of purchase.

(H)

Security, or a portion thereof, has been pledged as collateral on open futures contracts.

(I)

Security considered restricted, excluding 144A. The total market value of such securities as of August 31, 2024 was $77 ($ Thousands) and represented 0.0% of the Net Assets of the Fund. See table below for acquisition dates and acquisition cost.

(J)

Tri-Party Repurchase Agreement.

 

 
 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Daily Income Trust, Government Fund,
Institutional Class

  $ 18,309     $ 56,783     $ (65,329 )   $     $     $ 9,763     $ 106     $  

 

                                                               

 

 

A list of the restricted securities, excluding 144a, held by the Fund at August 31, 2024, is as follows:

 

Description

 

Shares

   

Acquisition Date

   

Cost ($ Thousands)

   

Market Value
($ Thousands)

 

Common Stock

                               

TMK Hawk Parent Corp.

    7,227       4/1/2024     $ 77     $ 77  
                    $ 77     $ 77  

 

Amounts designated as “-” are $0 or have been rounded to $0.

See “Glossary” for abbreviations.

 

SEI Institutional Investments Trust

 

165

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES — 41.1%

Agency Mortgage-Backed Obligations — 35.9%

       

Connecticut Avenue Securities Trust, Ser 2021-R03, Cl 1M2

               

6.999%, SOFR30A + 1.650%, 12/25/2041(A)(B)

  $ 6,500     $ 6,557  

FHLMC

               

7.500%, 08/01/2030 to 12/01/2036

    113       116  

7.000%, 09/01/2025 to 03/01/2039

    32       34  

6.500%, 10/01/2031 to 04/01/2054

    7,891       8,162  

6.000%, 01/01/2028 to 04/01/2054

    46,749       47,977  

5.500%, 02/01/2035 to 06/01/2054

    39,174       39,690  

5.000%, 08/01/2033 to 05/01/2053

    20,220       20,145  

4.500%, 11/01/2025 to 08/01/2053

    35,968       35,216  

4.000%, 09/01/2040 to 02/01/2053

    38,735       37,237  

3.500%, 03/01/2033 to 11/01/2052

    44,865       41,910  

3.000%, 08/01/2031 to 06/01/2052

    107,153       96,913  

2.500%, 10/01/2031 to 07/01/2052

    155,503       134,672  

2.000%, 01/01/2037 to 05/01/2052

    182,768       154,144  

1.500%, 11/01/2040 to 08/01/2051

    29,210       23,396  

FHLMC ARM

               

7.516%, RFUCCT1Y + 2.330%, 05/01/2036(B)

    24       25  

6.170%, RFUCCT1Y + 1.926%, 12/01/2036(B)

    26       27  

5.845%, RFUCCT1Y + 1.595%, 10/01/2036(B)

    9       9  

4.220%, SOFR30A + 2.305%, 05/01/2053(B)

    3,541       3,492  

3.963%, SOFR30A + 2.140%, 08/01/2052(B)

    1,300       1,255  

3.150%, RFUCCT1Y + 1.640%, 11/01/2048(B)

    981       983  

3.098%, RFUCCT1Y + 1.621%, 02/01/2050(B)

    686       670  

3.006%, RFUCCT1Y + 1.627%, 11/01/2048(B)

    2,391       2,301  

2.919%, RFUCCT1Y + 1.619%, 11/01/2047(B)

    839       830  

2.635%, RFUCCT1Y + 1.634%, 12/01/2050(B)

    184       173  

2.131%, H15T5Y + 1.287%, 03/01/2047(B)

    402       386  

FHLMC Multiclass Certificates, Ser 2020-RR02, Cl BX, IO

               

1.666%, 08/27/2028(B)

    2,000       110  

FHLMC Multiclass Certificates, Ser 2021-P009, Cl A2

               

1.878%, 01/25/2031

    975       848  

FHLMC Multifamily Structured Pass Through Certificates, Ser 152, Cl X1, IO

               

0.301%, 11/25/2032(B)

    15,289       207  

FHLMC Multifamily Structured Pass Through Certificates, Ser K047, Cl A2

               

3.329%, 05/25/2025(B)

    600       592  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC Multifamily Structured Pass Through Certificates, Ser K091, Cl X1, IO

               

0.706%, 03/25/2029(B)

  $ 3,933     $ 89  

FHLMC Multifamily Structured Pass Through Certificates, Ser K093, Cl X1, IO

               

1.082%, 05/25/2029(B)

    3,823       138  

FHLMC Multifamily Structured Pass Through Certificates, Ser K094, Cl X1, IO

               

1.012%, 06/25/2029(B)

    2,954       104  

FHLMC Multifamily Structured Pass Through Certificates, Ser K094, Cl XAM, IO

               

1.282%, 06/25/2029(B)

    6,800       333  

FHLMC Multifamily Structured Pass Through Certificates, Ser K095, Cl XAM, IO

               

1.375%, 06/25/2029(B)

    700       37  

FHLMC Multifamily Structured Pass Through Certificates, Ser K101, Cl X1, IO

               

0.945%, 10/25/2029(B)

    1,675       58  

FHLMC Multifamily Structured Pass Through Certificates, Ser K106, Cl X1, IO

               

1.439%, 01/25/2030(B)

    3,295       196  

FHLMC Multifamily Structured Pass Through Certificates, Ser K120, Cl X1, IO

               

1.129%, 10/25/2030(B)

    5,429       269  

FHLMC Multifamily Structured Pass Through Certificates, Ser K128, Cl X1, IO

               

0.609%, 03/25/2031(B)

    17,910       478  

FHLMC Multifamily Structured Pass Through Certificates, Ser K133, Cl X1, IO

               

0.443%, 09/25/2031(B)

    15,606       324  

FHLMC Multifamily Structured Pass Through Certificates, Ser K136, Cl X1, IO

               

0.494%, 12/25/2031(B)

    8,752       182  

FHLMC Multifamily Structured Pass Through Certificates, Ser K142, Cl X1, IO

               

0.403%, 03/25/2032(B)

    6,791       133  

FHLMC Multifamily Structured Pass Through Certificates, Ser K143, Cl X1, IO

               

0.450%, 04/25/2055(B)

    6,982       161  

FHLMC Multifamily Structured Pass Through Certificates, Ser K145, Cl X1, IO

               

0.430%, 06/25/2055(B)

    7,978       176  

FHLMC Multifamily Structured Pass Through Certificates, Ser K147, Cl X1, IO

               

0.488%, 06/25/2032(B)

    11,468       295  

FHLMC Multifamily Structured Pass Through Certificates, Ser K149, Cl X1, IO

               

0.404%, 08/25/2032(B)

    11,263       233  

FHLMC Multifamily Structured Pass Through Certificates, Ser K-151, Cl X1, IO

               

0.330%, 10/25/2032(B)

    18,980       294  

FHLMC Multifamily Structured Pass Through Certificates, Ser K-1519, Cl X1, IO

               

0.690%, 12/25/2035(B)

    16,361       745  

 

 

 

166

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC Multifamily Structured Pass Through Certificates, Ser K-1520, Cl X1, IO

               

0.578%, 02/25/2036(B)

  $ 4,971     $ 186  

FHLMC Multifamily Structured Pass Through Certificates, Ser K-154, Cl X1, IO

               

0.527%, 01/25/2033(B)

    6,798       188  

FHLMC Multifamily Structured Pass Through Certificates, Ser K736, Cl X1, IO

               

1.404%, 07/25/2026(B)

    947       17  

FHLMC Multifamily Structured Pass Through Certificates, Ser K737, Cl X1, IO

               

0.740%, 10/25/2026(B)

    8,148       82  

FHLMC Multifamily Structured Pass Through Certificates, Ser K741, Cl X1, IO

               

0.649%, 12/25/2027(B)

    2,972       46  

FHLMC Multifamily Structured Pass Through Certificates, Ser K742, Cl X1, IO

               

0.862%, 03/25/2028(B)

    6,143       109  

FHLMC Multifamily Structured Pass Through Certificates, Ser KC05, Cl X1, IO

               

1.362%, 06/25/2027(B)

    1,522       33  

FHLMC Multifamily Structured Pass Through Certificates, Ser KG06, Cl X1, IO

               

0.627%, 10/25/2031(B)

    3,095       93  

FHLMC Reference REMIC CMO, Ser 2006-R006, Cl ZA

               

6.000%, 04/15/2036

    446       472  

FHLMC Reference REMIC CMO, Ser 2006-R007, Cl ZA

               

6.000%, 05/15/2036

    397       417  

FHLMC REMIC CMO, Ser 1999-2174, Cl PN

               

6.000%, 07/15/2029

    4       4  

FHLMC REMIC CMO, Ser 2001-2312, Cl Z

               

6.500%, 05/15/2031

    31       32  

FHLMC REMIC CMO, Ser 2002-2399, Cl XG

               

6.500%, 01/15/2032

    13       13  

FHLMC REMIC CMO, Ser 2003-2671, Cl S

               

4.734%, 09/15/2033(B)

    18       19  

FHLMC REMIC CMO, Ser 2003-2684, Cl ZN

               

4.000%, 10/15/2033

    37       36  

FHLMC REMIC CMO, Ser 2004-2733, Cl ME

               

5.000%, 01/15/2034

    86       87  

FHLMC REMIC CMO, Ser 2007-3316, Cl JO, PO

               

0.000%, 05/15/2037(C)

    2       2  

FHLMC REMIC CMO, Ser 2008-3451, Cl SB, IO

               

0.562%, 05/15/2038(B)

    28       2  

FHLMC REMIC CMO, Ser 2009-3546, Cl A

               

5.725%, 02/15/2039(B)

    23       23  

FHLMC REMIC CMO, Ser 2010-3621, Cl SB, IO

               

0.762%, 01/15/2040(B)

    42       5  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC REMIC CMO, Ser 2010-3693, Cl FC

               

5.968%, SOFR30A + 0.614%, 07/15/2040(B)

  $ 517     $ 514  

FHLMC REMIC CMO, Ser 2011-3866, Cl SA, IO

               

0.482%, 05/15/2041(B)

    235       17  

FHLMC REMIC CMO, Ser 2011-3919, Cl FA

               

5.968%, SOFR30A + 0.614%, 09/15/2041(B)

    496       492  

FHLMC REMIC CMO, Ser 2011-3951, Cl FN

               

5.918%, SOFR30A + 0.564%, 11/15/2041(B)

    380       376  

FHLMC REMIC CMO, Ser 2011-3958, Cl AF

               

5.918%, SOFR30A + 0.564%, 11/15/2041(B)

    471       467  

FHLMC REMIC CMO, Ser 2011-3975, Cl CF

               

5.958%, SOFR30A + 0.604%, 12/15/2041(B)

    372       369  

FHLMC REMIC CMO, Ser 2011-3975, Cl FA

               

5.958%, SOFR30A + 0.604%, 12/15/2041(B)

    450       446  

FHLMC REMIC CMO, Ser 2012-3990, Cl FG

               

5.918%, SOFR30A + 0.564%, 01/15/2042(B)

    555       550  

FHLMC REMIC CMO, Ser 2012-4010, Cl KM

               

3.000%, 01/15/2042

    178       168  

FHLMC REMIC CMO, Ser 2012-4030, Cl HS, IO

               

1.142%, 04/15/2042(B)

    22       2  

FHLMC REMIC CMO, Ser 2012-4047, Cl CX

               

3.500%, 05/15/2042

    2,071       1,923  

FHLMC REMIC CMO, Ser 2012-4059, Cl FP

               

5.918%, SOFR30A + 0.564%, 06/15/2042(B)

    619       613  

FHLMC REMIC CMO, Ser 2012-4091, Cl FN

               

5.868%, SOFR30A + 0.514%, 08/15/2042(B)

    608       600  

FHLMC REMIC CMO, Ser 2012-4091, Cl MX

               

3.250%, 02/15/2042

    832       776  

FHLMC REMIC CMO, Ser 2012-4091, Cl EX

               

3.375%, 07/15/2042

    666       625  

FHLMC REMIC CMO, Ser 2012-4091, Cl BX

               

3.250%, 10/15/2041

    1,023       957  

FHLMC REMIC CMO, Ser 2012-4102, Cl TC

               

2.500%, 09/15/2041

    675       652  

FHLMC REMIC CMO, Ser 2012-4117, Cl HB

               

2.500%, 10/15/2042

    709       623  

FHLMC REMIC CMO, Ser 2012-4119, Cl IN, IO

               

3.500%, 10/15/2032

    154       13  

FHLMC REMIC CMO, Ser 2012-4122, Cl FP

               

5.868%, SOFR30A + 0.514%, 10/15/2042(B)

    740       727  

FHLMC REMIC CMO, Ser 2013-4161, Cl BA

               

2.500%, 12/15/2041

    1,473       1,427  

 

 

 

SEI Institutional Investments Trust

 

167

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC REMIC CMO, Ser 2013-4194, Cl BI, IO

               

3.500%, 04/15/2043

  $ 133     $ 21  

FHLMC REMIC CMO, Ser 2013-4205, Cl PA

               

1.750%, 05/15/2043

    505       433  

FHLMC REMIC CMO, Ser 2013-4210, Cl Z

               

3.000%, 05/15/2043

    521       430  

FHLMC REMIC CMO, Ser 2013-4240, Cl FA

               

5.968%, SOFR30A + 0.614%, 08/15/2043(B)

    1,933       1,901  

FHLMC REMIC CMO, Ser 2013-4286, Cl VF

               

5.918%, SOFR30A + 0.564%, 12/15/2043(B)

    1,424       1,400  

FHLMC REMIC CMO, Ser 2015-4446, Cl CP

               

2.250%, 03/15/2045

    890       787  

FHLMC REMIC CMO, Ser 2016-4544, Cl P

               

2.500%, 01/15/2046

    4,053       3,557  

FHLMC REMIC CMO, Ser 2016-4582, Cl HA

               

3.000%, 09/15/2045

    3,297       3,119  

FHLMC REMIC CMO, Ser 2016-4587, Cl AF

               

5.818%, SOFR30A + 0.464%, 06/15/2046(B)

    994       990  

FHLMC REMIC CMO, Ser 2016-4604, Cl FB

               

5.868%, SOFR30A + 0.514%, 08/15/2046(B)

    2,629       2,588  

FHLMC REMIC CMO, Ser 2016-4611, Cl BF

               

5.868%, SOFR30A + 0.514%, 06/15/2041(B)

    6,499       6,423  

FHLMC REMIC CMO, Ser 2016-4620, Cl LF

               

5.868%, SOFR30A + 0.514%, 10/15/2046(B)

    953       942  

FHLMC REMIC CMO, Ser 2016-4628, Cl KF

               

5.968%, SOFR30A + 0.614%, 01/15/2055(B)

    973       953  

FHLMC REMIC CMO, Ser 2017-4709, Cl FA

               

5.768%, SOFR30A + 0.414%, 08/15/2047(B)

    688       677  

FHLMC REMIC CMO, Ser 2017-4719, Cl LA

               

3.500%, 09/15/2047

    950       878  

FHLMC REMIC CMO, Ser 2017-4719, Cl LM

               

3.000%, 09/15/2047

    740       663  

FHLMC REMIC CMO, Ser 2017-4742, Cl PA

               

3.000%, 10/15/2047

    1,153       1,055  

FHLMC REMIC CMO, Ser 2018-4753, Cl BD

               

3.000%, 01/15/2048

    725       648  

FHLMC REMIC CMO, Ser 2018-4813, Cl CJ

               

3.000%, 08/15/2048

    255       225  

FHLMC REMIC CMO, Ser 2018-4826, Cl KF

               

5.768%, SOFR30A + 0.414%, 09/15/2048(B)

    632       616  

FHLMC REMIC CMO, Ser 2018-4854, Cl FB

               

5.768%, SOFR30A + 0.414%, 01/15/2049(B)

    1,823       1,797  

FHLMC REMIC CMO, Ser 2018-4857, Cl JA

               

3.350%, 01/15/2049

    2,914       2,786  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC REMIC CMO, Ser 2019-4879, Cl BC

               

3.000%, 04/15/2049

  $ 116     $ 105  

FHLMC REMIC CMO, Ser 2019-4880, Cl DA

               

3.000%, 05/15/2050

    1,040       956  

FHLMC REMIC CMO, Ser 2019-4903, Cl NF

               

5.863%, SOFR30A + 0.514%, 08/25/2049(B)

    586       575  

FHLMC REMIC CMO, Ser 2019-4927, Cl BG

               

3.000%, 11/25/2049

    1,295       1,196  

FHLMC REMIC CMO, Ser 2019-4937, Cl MD

               

2.500%, 10/25/2049

    1,282       1,140  

FHLMC REMIC CMO, Ser 2019-4940, Cl AG

               

3.000%, 05/15/2040

    832       786  

FHLMC REMIC CMO, Ser 2019-4941, Cl GA

               

2.000%, 12/15/2047

    740       625  

FHLMC REMIC CMO, Ser 2020-4954, Cl LB

               

2.500%, 02/25/2050

    545       480  

FHLMC REMIC CMO, Ser 2020-4957, Cl MY

               

3.000%, 02/25/2050

    790       662  

FHLMC REMIC CMO, Ser 2020-4979, Cl UC

               

1.500%, 06/25/2050

    2,384       1,908  

FHLMC REMIC CMO, Ser 2020-4980, Cl KI, IO

               

4.500%, 06/25/2050

    3,805       857  

FHLMC REMIC CMO, Ser 2020-4988, Cl KF

               

5.813%, SOFR30A + 0.464%, 07/25/2050(B)

    1,063       1,045  

FHLMC REMIC CMO, Ser 2020-4991, Cl QV

               

2.000%, 09/25/2045

    457       378  

FHLMC REMIC CMO, Ser 2020-4993, Cl KF

               

5.913%, SOFR30A + 0.564%, 07/25/2050(B)

    5,657       5,534  

FHLMC REMIC CMO, Ser 2020-4995, Cl IC, IO

               

4.500%, 07/25/2050

    1,575       244  

FHLMC REMIC CMO, Ser 2020-5004, Cl FM

               

5.813%, SOFR30A + 0.464%, 08/25/2050(B)

    1,177       1,143  

FHLMC REMIC CMO, Ser 2020-5010, Cl JI, IO

               

2.500%, 09/25/2050

    1,051       167  

FHLMC REMIC CMO, Ser 2020-5010, Cl IK, IO

               

2.500%, 09/25/2050

    500       73  

FHLMC REMIC CMO, Ser 2020-5012, Cl BI, IO

               

4.000%, 09/25/2050

    5,776       1,200  

FHLMC REMIC CMO, Ser 2020-5013, Cl IN, IO

               

2.500%, 09/25/2050

    613       102  

FHLMC REMIC CMO, Ser 2020-5018, Cl MI, IO

               

2.000%, 10/25/2050

    782       105  

 

 

 

168

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC REMIC CMO, Ser 2020-5020, Cl ET

               

3.500%, 10/25/2050

  $ 1,087     $ 999  

FHLMC REMIC CMO, Ser 2020-5040, Cl IB, IO

               

2.500%, 11/25/2050

    328       47  

FHLMC REMIC CMO, Ser 2020-5050, Cl IE, IO

               

2.000%, 12/25/2050

    1,957       242  

FHLMC REMIC CMO, Ser 2020-5058, Cl BC

               

5.000%, 11/25/2050

    793       793  

FHLMC REMIC CMO, Ser 2020-5059, Cl IB, IO

               

2.500%, 01/25/2051

    1,498       253  

FHLMC REMIC CMO, Ser 2020-5063, Cl AI, IO

               

2.000%, 01/25/2051

    1,506       201  

FHLMC REMIC CMO, Ser 2020-5068, Cl AI, IO

               

3.000%, 11/25/2050

    585       97  

FHLMC REMIC CMO, Ser 2021-5069, Cl MI, IO

               

2.500%, 02/25/2051

    497       76  

FHLMC REMIC CMO, Ser 2021-5070, Cl DI, IO

               

4.000%, 02/25/2051

    5,189       1,071  

FHLMC REMIC CMO, Ser 2021-5085, Cl NI, IO

               

2.000%, 03/25/2051

    1,208       145  

FHLMC REMIC CMO, Ser 2021-5091, Cl AB

               

1.500%, 03/25/2051

    2,045       1,663  

FHLMC REMIC CMO, Ser 2021-5092, Cl HE

               

2.000%, 02/25/2051

    1,284       1,066  

FHLMC REMIC CMO, Ser 2021-5092, Cl AP

               

2.000%, 04/25/2041

    670       585  

FHLMC REMIC CMO, Ser 2021-5093, Cl IY, IO

               

4.500%, 12/25/2050

    2,312       500  

FHLMC REMIC CMO, Ser 2021-5115, Cl IO, IO

               

4.500%, 10/25/2049

    1,837       389  

FHLMC REMIC CMO, Ser 2021-5116, Cl PB

               

2.250%, 02/25/2051

    1,357       1,196  

FHLMC REMIC CMO, Ser 2021-5118, Cl NI, IO

               

2.000%, 02/25/2051

    2,223       284  

FHLMC REMIC CMO, Ser 2021-5118, Cl CA

               

1.500%, 10/15/2033

    1,215       1,100  

FHLMC REMIC CMO, Ser 2021-5119, Cl AB

               

1.500%, 08/25/2049

    1,188       953  

FHLMC REMIC CMO, Ser 2021-5119, Cl QF

               

5.549%, SOFR30A + 0.200%, 06/25/2051(B)

    1,701       1,614  

FHLMC REMIC CMO, Ser 2021-5140, Cl NI, IO

               

2.500%, 05/25/2049

    1,596       223  

FHLMC REMIC CMO, Ser 2021-5143, Cl GA

               

2.000%, 06/25/2049

    861       714  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC REMIC CMO, Ser 2021-5159, Cl IP, IO

               

3.000%, 11/25/2051

  $ 1,389     $ 195  

FHLMC REMIC CMO, Ser 2021-5161, Cl IO, IO

               

2.000%, 03/25/2051

    1,554       212  

FHLMC REMIC CMO, Ser 2021-5173, Cl LI, IO

               

2.500%, 05/25/2050

    754       119  

FHLMC REMIC CMO, Ser 2021-5178, Cl TP

               

2.500%, 04/25/2049

    1,896       1,687  

FHLMC REMIC CMO, Ser 2021-5180, Cl IN, IO

               

3.000%, 07/25/2051

    1,298       262  

FHLMC REMIC CMO, Ser 2021-5182, Cl M

               

2.500%, 05/25/2049

    1,137       1,017  

FHLMC REMIC CMO, Ser 2021-5184, Cl AB

               

2.500%, 05/25/2048

    798       723  

FHLMC REMIC CMO, Ser 2022-5200, Cl KQ

               

3.000%, 09/25/2049

    145       134  

FHLMC REMIC CMO, Ser 2022-5201, Cl CA

               

2.500%, 07/25/2048

    1,604       1,463  

FHLMC REMIC CMO, Ser 2022-5202, Cl IN, IO

               

3.000%, 01/25/2047

    695       88  

FHLMC REMIC CMO, Ser 2022-5202, Cl LA

               

2.500%, 05/25/2049

    1,722       1,522  

FHLMC REMIC CMO, Ser 2022-5202, Cl TA

               

2.500%, 12/25/2048

    2,461       2,264  

FHLMC REMIC CMO, Ser 2022-5202, Cl BH

               

2.000%, 12/25/2047

    850       770  

FHLMC REMIC CMO, Ser 2022-5202, Cl MB

               

3.000%, 11/25/2048

    2,701       2,479  

FHLMC REMIC CMO, Ser 2022-5202, Cl KA

               

2.500%, 06/25/2049

    1,251       1,118  

FHLMC REMIC CMO, Ser 2022-5206, Cl CD

               

3.500%, 05/25/2049

    1,568       1,466  

FHLMC REMIC CMO, Ser 2022-5206, Cl CA

               

3.000%, 02/25/2047

    1,199       1,104  

FHLMC REMIC CMO, Ser 2022-5207, Cl PA

               

3.000%, 06/25/2051

    1,739       1,559  

FHLMC REMIC CMO, Ser 2022-5209, Cl EJ

               

3.000%, 08/25/2050

    1,680       1,544  

FHLMC REMIC CMO, Ser 2022-5209, Cl EA

               

3.000%, 08/25/2050

    1,680       1,544  

FHLMC REMIC CMO, Ser 2022-5210, Cl DC

               

3.000%, 09/25/2051

    1,208       1,127  

FHLMC REMIC CMO, Ser 2022-5214, Cl BY

               

3.000%, 04/25/2052

    1,231       1,027  

FHLMC REMIC CMO, Ser 2022-5217, Cl CD

               

2.500%, 07/25/2049

    1,375       1,280  

FHLMC REMIC CMO, Ser 2022-5220, Cl QK

               

3.500%, 09/25/2050

    2,561       2,442  

FHLMC REMIC CMO, Ser 2022-5224, Cl HL

               

4.000%, 04/25/2052

    2,000       1,845  

 

 

 

SEI Institutional Investments Trust

 

169

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC REMIC CMO, Ser 2022-5228, Cl TN

               

3.500%, 07/25/2039

  $ 855     $ 822  

FHLMC REMIC CMO, Ser 2022-5261, Cl IB, IO

               

3.000%, 01/25/2050

    1,219       198  

FHLMC REMIC CMO, Ser 2022-5274, Cl IO, IO

               

2.500%, 01/25/2051

    1,254       211  

FHLMC REMIC CMO, Ser 2023-5293, Cl KI, IO

               

2.000%, 02/25/2051

    1,842       239  

FHLMC REMIC CMO, Ser 2023-5293, Cl IO, IO

               

2.000%, 03/25/2051

    5,423       688  

FHLMC REMIC CMO, Ser 2023-5293, Cl CI, IO

               

2.500%, 04/25/2051

    3,072       446  

FHLMC REMIC CMO, Ser 2023-5335, Cl FB

               

6.168%, SOFR30A + 0.814%, 10/15/2039(B)

    2,156       2,156  

FHLMC REMIC CMO, Ser 2023-5338, Cl FH

               

5.768%, SOFR30A + 0.414%, 04/15/2045(B)

    2,103       2,053  

FHLMC REMIC CMO, Ser 2023-5377, Cl IO, IO

               

2.500%, 12/25/2051

    1,901       244  

FHLMC REMIC CMO, Ser 2024-5386, Cl DM

               

2.000%, 03/25/2044

    1,348       986  

FHLMC REMIC CMO, Ser 2024-5389, Cl IC, IO

               

4.500%, 11/25/2051

    475       108  

FHLMC REMIC CMO, Ser 2024-5389, Cl IB, IO

               

2.500%, 10/25/2051

    767       101  

FHLMC REMIC CMO, Ser 2024-5396, Cl HF

               

6.299%, SOFR30A + 0.950%, 04/25/2054(B)

    2,934       2,948  

FHLMC REMIC CMO, Ser 2024-5397, Cl IC, IO

               

3.500%, 04/25/2052

    1,439       259  

FHLMC REMIC CMO, Ser 2024-5399, Cl FB

               

6.249%, SOFR30A + 0.900%, 04/25/2054(B)

    1,670       1,669  

FHLMC REMIC CMO, Ser 2024-5410, Cl JY

               

3.000%, 03/15/2044

    1,201       1,043  

FHLMC REMIC CMO, Ser 2024-5452, Cl KY

               

3.000%, 03/15/2044

    1,400       1,214  

FHLMC STACR REMIC Trust, Ser 2021-DNA6, Cl M2

               

6.849%, SOFR30A + 1.500%, 10/25/2041(A)(B)

    2,300       2,309  

FHLMC STACR REMIC Trust, Ser 2022-DNA1, Cl M1A

               

6.349%, SOFR30A + 1.000%, 01/25/2042(A)(B)

    2,359       2,359  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC STACR REMIC Trust, Ser 2022-DNA2, Cl M1A

               

6.649%, SOFR30A + 1.300%, 02/25/2042(A)(B)

  $ 1,186     $ 1,188  

FHLMC STACR REMIC Trust, Ser 2022-DNA4, Cl M1A

               

7.549%, SOFR30A + 2.200%, 05/25/2042(A)(B)

    310       316  

FHLMC STRIPS CMO, Ser 2012-264, Cl 30

               

3.000%, 07/15/2042

    1,413       1,307  

FHLMC STRIPS CMO, Ser 2012-271, Cl F5

               

5.968%, SOFR30A + 0.614%, 08/15/2042(B)

    658       648  

FHLMC STRIPS CMO, Ser 2012-271, Cl 30

               

3.000%, 08/15/2042

    705       656  

FHLMC STRIPS CMO, Ser 2012-272, Cl F1

               

5.968%, SOFR30A + 0.614%, 08/15/2042(B)

    1,055       1,039  

FHLMC STRIPS CMO, Ser 2012-280, Cl F1

               

5.968%, SOFR30A + 0.614%, 09/15/2042(B)

    1,079       1,063  

FHLMC STRIPS CMO, Ser 2016-353, Cl S1, IO

               

0.532%, 12/15/2046(B)

    395       49  

FHLMC STRIPS CMO, Ser 2017-356, Cl 300

               

3.000%, 09/15/2047

    1,934       1,764  

FNMA

               

8.000%, 01/01/2030 to 06/01/2031

    9       9  

7.500%, 02/01/2031 to 01/01/2054

    4,116       4,327  

7.000%, 09/01/2026 to 01/01/2054

    8,092       8,464  

6.500%, 05/01/2027 to 08/01/2054

    8,620       9,018  

6.000%, 02/01/2032 to 07/01/2054

    29,498       30,270  

5.500%, 12/01/2033 to 08/01/2054

    48,761       49,312  

5.350%, 07/01/2033

    100       105  

5.000%, 05/01/2034 to 05/01/2054

    42,264       42,196  

4.500%, 11/01/2031 to 01/01/2059

    82,073       80,365  

4.270%, 10/01/2032

    195       194  

4.200%, 01/01/2029

    1,665       1,667  

4.000%, 01/01/2027 to 06/01/2057

    104,455       100,008  

3.500%, 07/01/2031 to 06/01/2052

    96,092       89,989  

3.310%, 03/01/2028

    1,862       1,818  

3.020%, 05/01/2026

    1,265       1,236  

3.000%, 05/01/2029 to 07/01/2060

    290,352       263,032  

2.810%, 04/01/2025

    250       246  

2.500%, 03/01/2035 to 09/01/2061

    145,375       126,992  

2.000%, 05/01/2036 to 04/01/2052

    291,930       245,567  

1.850%, 09/01/2035

    1,030       899  

1.500%, 04/01/2041 to 03/01/2051

    12,843       10,228  

FNMA ACES, Ser 2015-M8, Cl X2, IO

               

0.157%, 01/25/2025(B)

    46,191       2  

FNMA ACES, Ser 2016-M11, Cl AL

               

2.944%, 07/25/2039

    113       102  

FNMA ACES, Ser 2018-M15, Cl 1A2

               

3.700%, 01/25/2036

    600       572  

 

 

 

170

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FNMA ACES, Ser 2019-M4, Cl A2

               

3.610%, 02/25/2031

  $ 301     $ 291  

FNMA ACES, Ser 2020-M6, Cl A

               

2.500%, 10/25/2037

    161       142  

FNMA ARM

               

5.809%, RFUCCT1Y + 1.559%, 12/01/2035(B)

    7       8  

4.648%, SOFR30A + 2.130%, 08/01/2052(B)

    2,176       2,167  

4.620%, SOFR30A + 2.123%, 08/01/2052(B)

    2,070       2,047  

4.609%, SOFR30A + 2.126%, 08/01/2052(B)

    2,671       2,656  

4.361%, SOFR30A + 2.125%, 07/01/2052(B)

    2,377       2,349  

4.208%, SOFR30A + 2.128%, 11/01/2052(B)

    1,487       1,468  

4.137%, SOFR30A + 2.132%, 10/01/2052(B)

    4,593       4,533  

4.112%, SOFR30A + 2.120%, 07/01/2052(B)

    1,876       1,825  

4.110%, SOFR30A + 2.120%, 09/01/2052(B)

    1,829       1,804  

3.943%, SOFR30A + 2.120%, 08/01/2052(B)

    540       522  

3.601%, RFUCCT1Y + 1.603%, 03/01/2050(B)

    2,084       2,106  

2.772%, RFUCCT1Y + 1.606%, 06/01/2050(B)

    915       870  

FNMA Interest STRIPS CMO, Ser 2002-323, Cl 16, IO

               

7.000%, 01/25/2032

    56       6  

FNMA Interest STRIPS CMO, Ser 2003-334, Cl 16, IO

               

6.500%, 02/25/2033

    81       11  

FNMA Interest STRIPS CMO, Ser 2012-409, Cl C2, IO

               

3.000%, 04/25/2027

    150       4  

FNMA Interest STRIPS CMO, Ser 2012-409, Cl C22, IO

               

4.500%, 11/25/2039

    274       52  

FNMA Interest STRIPS CMO, Ser 2012-409, Cl C1, IO

               

3.000%, 11/25/2026

    150       3  

FNMA Interest STRIPS CMO, Ser 2012-409, Cl C17, IO

               

4.000%, 11/25/2041

    281       51  

FNMA Interest STRIPS CMO, Ser 2012-409, Cl C13, IO

               

3.500%, 11/25/2041

    231       36  

FNMA Interest STRIPS CMO, Ser 2012-411, Cl A3

               

3.000%, 08/25/2042

    909       835  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FNMA Interest STRIPS CMO, Ser 2012-414, Cl A35

               

3.500%, 10/25/2042

  $ 1,343     $ 1,277  

FNMA Interest STRIPS CMO, Ser 2022-427, Cl C21, IO

               

2.000%, 03/25/2050

    2,380       291  

FNMA Interest STRIPS CMO, Ser 2023-428, Cl C14, IO

               

2.500%, 01/25/2048

    856       98  

FNMA Interest STRIPS CMO, Ser 2023-436, Cl C32, IO

               

2.000%, 10/25/2052

    3,301       418  

FNMA Interest STRIPS CMO, Ser 2024-440, Cl C6, IO

               

2.000%, 10/25/2052

    1,831       218  

FNMA REMIC CMO, Ser 1997-32, Cl PG

               

6.500%, 04/25/2027

    6       6  

FNMA REMIC CMO, Ser 1999-11, Cl Z

               

5.500%, 03/25/2029

    25       25  

FNMA REMIC CMO, Ser 2001-52, Cl YZ

               

6.500%, 10/25/2031

    7       7  

FNMA REMIC CMO, Ser 2003-124, Cl TS

               

9.800%, 01/25/2034(B)

    4       4  

FNMA REMIC CMO, Ser 2005-29, Cl ZA

               

5.500%, 04/25/2035

    163       170  

FNMA REMIC CMO, Ser 2005-74, Cl CS

               

4.996%, 05/25/2035(B)

    4       4  

FNMA REMIC CMO, Ser 2006-104, Cl MI, IO

               

1.287%, 11/25/2036(B)

    78       6  

FNMA REMIC CMO, Ser 2006-125, Cl SM, IO

               

1.737%, 01/25/2037(B)

    170       18  

FNMA REMIC CMO, Ser 2006-33, Cl LS

               

5.565%, 05/25/2036(B)

    25       30  

FNMA REMIC CMO, Ser 2006-46, Cl SW

               

4.168%, 06/25/2036(B)

    19       22  

FNMA REMIC CMO, Ser 2006-51, Cl SP, IO

               

1.187%, 03/25/2036(B)

    17       1  

FNMA REMIC CMO, Ser 2007-64, Cl FA

               

5.933%, SOFR30A + 0.584%, 07/25/2037(B)

    4       4  

FNMA REMIC CMO, Ser 2007-68, Cl SC, IO

               

1.237%, 07/25/2037(B)

    63       7  

FNMA REMIC CMO, Ser 2008-24, Cl NA

               

6.750%, 06/25/2037

    5       6  

FNMA REMIC CMO, Ser 2009-103, Cl MB

               

6.919%, 12/25/2039(B)

    35       35  

FNMA REMIC CMO, Ser 2009-86, Cl BO, PO

               

0.000%, 03/25/2037(C)

    279       246  

FNMA REMIC CMO, Ser 2010-107, Cl FB

               

5.873%, SOFR30A + 0.524%, 09/25/2040(B)

    497       492  

FNMA REMIC CMO, Ser 2010-123, Cl PM

               

4.000%, 07/25/2040

    583       576  

 

 

 

SEI Institutional Investments Trust

 

171

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FNMA REMIC CMO, Ser 2010-27, Cl AS, IO

               

1.017%, 04/25/2040(B)

  $ 277     $ 34  

FNMA REMIC CMO, Ser 2011-117, Cl FA

               

5.913%, SOFR30A + 0.564%, 11/25/2041(B)

    1,002       993  

FNMA REMIC CMO, Ser 2011-117, Cl AF

               

5.913%, SOFR30A + 0.564%, 11/25/2041(B)

    434       430  

FNMA REMIC CMO, Ser 2011-127, Cl FC

               

5.913%, SOFR30A + 0.564%, 12/25/2041(B)

    462       458  

FNMA REMIC CMO, Ser 2011-142, Cl EF

               

5.963%, SOFR30A + 0.614%, 01/25/2042(B)

    526       523  

FNMA REMIC CMO, Ser 2011-2, Cl WA

               

5.832%, 02/25/2051(B)

    29       30  

FNMA REMIC CMO, Ser 2011-75, Cl FA

               

6.013%, SOFR30A + 0.664%, 08/25/2041(B)

    17       17  

FNMA REMIC CMO, Ser 2011-96, Cl SA, IO

               

1.087%, 10/25/2041(B)

    516       41  

FNMA REMIC CMO, Ser 2012-106, Cl FA

               

5.803%, SOFR30A + 0.454%, 10/25/2042(B)

    427       422  

FNMA REMIC CMO, Ser 2012-118, Cl VZ

               

3.000%, 11/25/2042

    725       663  

FNMA REMIC CMO, Ser 2012-12, Cl FA

               

5.963%, SOFR30A + 0.614%, 02/25/2042(B)

    455       452  

FNMA REMIC CMO, Ser 2012-133, Cl CS, IO

               

0.687%, 12/25/2042(B)

    306       41  

FNMA REMIC CMO, Ser 2012-133, Cl JF

               

5.813%, SOFR30A + 0.464%, 12/25/2042(B)

    872       853  

FNMA REMIC CMO, Ser 2012-134, Cl MS, IO

               

0.687%, 12/25/2042(B)

    127       19  

FNMA REMIC CMO, Ser 2012-151, Cl NX

               

1.500%, 01/25/2043

    552       471  

FNMA REMIC CMO, Ser 2012-28, Cl B

               

6.500%, 06/25/2039

    2       2  

FNMA REMIC CMO, Ser 2012-35, Cl FL

               

5.963%, SOFR30A + 0.614%, 04/25/2042(B)

    374       372  

FNMA REMIC CMO, Ser 2012-35, Cl SC, IO

               

1.037%, 04/25/2042(B)

    184       26  

FNMA REMIC CMO, Ser 2012-46, Cl BA

               

6.000%, 05/25/2042

    196       206  

FNMA REMIC CMO, Ser 2012-47, Cl JF

               

5.963%, SOFR30A + 0.614%, 05/25/2042(B)

    618       613  

FNMA REMIC CMO, Ser 2012-74, Cl OA, PO

               

0.000%, 03/25/2042(C)

    14       12  

FNMA REMIC CMO, Ser 2012-74, Cl SA, IO

               

1.187%, 03/25/2042(B)

    204       15  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FNMA REMIC CMO, Ser 2012-75, Cl AO, PO

               

0.000%, 03/25/2042(C)

  $ 28     $ 25  

FNMA REMIC CMO, Ser 2012-75, Cl NS, IO

               

1.137%, 07/25/2042(B)

    69       9  

FNMA REMIC CMO, Ser 2012-9, Cl WF

               

5.963%, SOFR30A + 0.614%, 02/25/2042(B)

    363       361  

FNMA REMIC CMO, Ser 2012-9, Cl FA

               

5.963%, SOFR30A + 0.614%, 02/25/2042(B)

    352       350  

FNMA REMIC CMO, Ser 2013-101, Cl CO, PO

               

0.000%, 10/25/2043(C)

    1,068       810  

FNMA REMIC CMO, Ser 2013-101, Cl BO, PO

               

0.000%, 10/25/2043(C)

    485       372  

FNMA REMIC CMO, Ser 2013-11, Cl AP

               

1.500%, 01/25/2043

    1,648       1,507  

FNMA REMIC CMO, Ser 2013-124, Cl SB, IO

               

0.487%, 12/25/2043(B)

    241       27  

FNMA REMIC CMO, Ser 2013-15, Cl FA

               

5.813%, SOFR30A + 0.464%, 03/25/2043(B)

    1,066       1,043  

FNMA REMIC CMO, Ser 2013-26, Cl HI, IO

               

3.000%, 04/25/2032

    15        

FNMA REMIC CMO, Ser 2013-43, Cl BP

               

1.750%, 05/25/2043

    619       532  

FNMA REMIC CMO, Ser 2013-49, Cl AP

               

1.750%, 05/25/2043

    517       436  

FNMA REMIC CMO, Ser 2013-54, Cl BS, IO

               

0.687%, 06/25/2043(B)

    136       16  

FNMA REMIC CMO, Ser 2013-9, Cl CB

               

5.500%, 04/25/2042

    524       543  

FNMA REMIC CMO, Ser 2013-9, Cl BC

               

6.500%, 07/25/2042

    466       498  

FNMA REMIC CMO, Ser 2014-17, Cl DY

               

3.500%, 04/25/2044

    1,339       1,230  

FNMA REMIC CMO, Ser 2014-25, Cl EL

               

3.000%, 05/25/2044

    1,015       938  

FNMA REMIC CMO, Ser 2015-26, Cl GF

               

5.763%, SOFR30A + 0.414%, 05/25/2045(B)

    1,554       1,518  

FNMA REMIC CMO, Ser 2015-32, Cl FA

               

5.763%, SOFR30A + 0.414%, 05/25/2045(B)

    961       937  

FNMA REMIC CMO, Ser 2015-39, Cl LZ

               

3.000%, 06/25/2045

    42       38  

FNMA REMIC CMO, Ser 2015-48, Cl FB

               

5.763%, SOFR30A + 0.414%, 07/25/2045(B)

    1,165       1,136  

FNMA REMIC CMO, Ser 2015-65, Cl CZ

               

3.500%, 09/25/2045

    548       479  

FNMA REMIC CMO, Ser 2015-72, Cl GL

               

3.000%, 10/25/2045

    668       583  

 

 

 

172

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FNMA REMIC CMO, Ser 2015-8, Cl AP

               

2.000%, 03/25/2045

  $ 1,787     $ 1,597  

FNMA REMIC CMO, Ser 2016-11, Cl CF

               

5.813%, SOFR30A + 0.464%, 03/25/2046(B)

    481       475  

FNMA REMIC CMO, Ser 2016-11, Cl FG

               

5.813%, SOFR30A + 0.464%, 03/25/2046(B)

    667       657  

FNMA REMIC CMO, Ser 2016-19, Cl FD

               

5.863%, SOFR30A + 0.514%, 04/25/2046(B)

    3,104       3,065  

FNMA REMIC CMO, Ser 2016-22, Cl FA

               

5.863%, SOFR30A + 0.514%, 04/25/2046(B)

    1,249       1,233  

FNMA REMIC CMO, Ser 2016-22, Cl FG

               

5.863%, SOFR30A + 0.514%, 04/25/2046(B)

    1,069       1,056  

FNMA REMIC CMO, Ser 2016-3, Cl PL

               

2.500%, 02/25/2046

    6,488       5,593  

FNMA REMIC CMO, Ser 2016-37, Cl MJ

               

3.500%, 08/25/2043

    36       36  

FNMA REMIC CMO, Ser 2016-45, Cl PB

               

3.000%, 07/25/2046

    723       567  

FNMA REMIC CMO, Ser 2016-48, Cl MA

               

2.000%, 06/25/2038

    1,990       1,846  

FNMA REMIC CMO, Ser 2016-57, Cl PC

               

1.750%, 06/25/2046

    3,309       2,821  

FNMA REMIC CMO, Ser 2016-69, Cl BF

               

5.863%, SOFR30A + 0.514%, 10/25/2046(B)

    1,013       1,002  

FNMA REMIC CMO, Ser 2016-75, Cl FE

               

5.863%, SOFR30A + 0.514%, 10/25/2046(B)

    791       781  

FNMA REMIC CMO, Ser 2016-78, Cl FA

               

5.863%, SOFR30A + 0.514%, 03/25/2044(B)

    511       505  

FNMA REMIC CMO, Ser 2016-79, Cl FH

               

5.863%, SOFR30A + 0.514%, 11/25/2046(B)

    781       771  

FNMA REMIC CMO, Ser 2016-82, Cl FE

               

5.863%, SOFR30A + 0.514%, 11/25/2046(B)

    1,785       1,764  

FNMA REMIC CMO, Ser 2016-82, Cl FH

               

5.863%, SOFR30A + 0.514%, 11/25/2046(B)

    1,614       1,593  

FNMA REMIC CMO, Ser 2016-84, Cl FB

               

5.863%, SOFR30A + 0.514%, 11/25/2046(B)

    771       761  

FNMA REMIC CMO, Ser 2016-86, Cl FE

               

5.863%, SOFR30A + 0.514%, 11/25/2046(B)

    1,959       1,933  

FNMA REMIC CMO, Ser 2016-88, Cl CF

               

5.913%, SOFR30A + 0.564%, 12/25/2046(B)

    1,385       1,370  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FNMA REMIC CMO, Ser 2016-91, Cl AF

               

5.863%, SOFR30A + 0.514%, 12/25/2046(B)

  $ 742     $ 739  

FNMA REMIC CMO, Ser 2017-12, Cl FD

               

5.863%, SOFR30A + 0.514%, 03/25/2047(B)

    821       810  

FNMA REMIC CMO, Ser 2017-13, Cl PA

               

3.000%, 08/25/2046

    674       627  

FNMA REMIC CMO, Ser 2017-23, Cl FA

               

5.863%, SOFR30A + 0.514%, 04/25/2047(B)

    883       872  

FNMA REMIC CMO, Ser 2017-24, Cl PG

               

2.625%, 04/25/2047

    2,751       2,415  

FNMA REMIC CMO, Ser 2017-26, Cl FA

               

5.813%, SOFR30A + 0.464%, 04/25/2047(B)

    2,123       2,096  

FNMA REMIC CMO, Ser 2017-76, Cl SB, IO

               

0.637%, 10/25/2057(B)

    1,008       140  

FNMA REMIC CMO, Ser 2017-79, Cl FB

               

5.713%, SOFR30A + 0.364%, 10/25/2047(B)

    1,666       1,654  

FNMA REMIC CMO, Ser 2017-85, Cl SC, IO

               

0.737%, 11/25/2047(B)

    299       35  

FNMA REMIC CMO, Ser 2017-9, Cl DF

               

5.863%, SOFR30A + 0.514%, 03/25/2047(B)

    689       681  

FNMA REMIC CMO, Ser 2017-9, Cl BF

               

5.863%, SOFR30A + 0.514%, 03/25/2047(B)

    945       933  

FNMA REMIC CMO, Ser 2017-96, Cl FB

               

5.763%, SOFR30A + 0.414%, 12/25/2047(B)

    1,342       1,319  

FNMA REMIC CMO, Ser 2018-14, Cl KC

               

3.000%, 03/25/2048

    1,245       1,187  

FNMA REMIC CMO, Ser 2018-36, Cl FD

               

5.713%, SOFR30A + 0.364%, 06/25/2048(B)

    1,739       1,723  

FNMA REMIC CMO, Ser 2018-38, Cl PA

               

3.500%, 06/25/2047

    534       521  

FNMA REMIC CMO, Ser 2018-38, Cl MA

               

3.300%, 06/25/2048

    1,468       1,397  

FNMA REMIC CMO, Ser 2018-43, Cl CT

               

3.000%, 06/25/2048

    983       884  

FNMA REMIC CMO, Ser 2018-45, Cl TM

               

3.000%, 06/25/2048

    1,154       1,044  

FNMA REMIC CMO, Ser 2018-55, Cl GA

               

3.375%, 08/25/2048

    1,097       1,043  

FNMA REMIC CMO, Ser 2018-64, Cl A

               

3.000%, 09/25/2048

    984       870  

FNMA REMIC CMO, Ser 2018-74, Cl AB

               

3.500%, 10/25/2048

    247       230  

FNMA REMIC CMO, Ser 2018-8, Cl KL

               

2.500%, 03/25/2047

    807       724  

 

 

 

SEI Institutional Investments Trust

 

173

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FNMA REMIC CMO, Ser 2018-85, Cl EA

               

3.500%, 12/25/2048

  $ 824     $ 801  

FNMA REMIC CMO, Ser 2018-86, Cl JA

               

4.000%, 05/25/2047

    71       70  

FNMA REMIC CMO, Ser 2019-1, Cl AB

               

3.500%, 02/25/2049

    568       529  

FNMA REMIC CMO, Ser 2019-13, Cl PE

               

3.000%, 03/25/2049

    670       610  

FNMA REMIC CMO, Ser 2019-15, Cl FA

               

5.963%, SOFR30A + 0.614%, 04/25/2049(B)

    597       587  

FNMA REMIC CMO, Ser 2019-25, Cl PA

               

3.000%, 05/25/2048

    1,328       1,235  

FNMA REMIC CMO, Ser 2019-41, Cl FG

               

5.963%, SOFR30A + 0.614%, 08/25/2059(B)

    1,387       1,362  

FNMA REMIC CMO, Ser 2019-43, Cl FC

               

5.863%, SOFR30A + 0.514%, 08/25/2049(B)

    1,138       1,116  

FNMA REMIC CMO, Ser 2019-45, Cl PA

               

3.000%, 08/25/2049

    369       328  

FNMA REMIC CMO, Ser 2019-52, Cl PA

               

3.000%, 09/25/2049

    113       101  

FNMA REMIC CMO, Ser 2019-67, Cl FB

               

5.913%, SOFR30A + 0.564%, 11/25/2049(B)

    609       597  

FNMA REMIC CMO, Ser 2019-79, Cl FA

               

5.963%, SOFR30A + 0.614%, 01/25/2050(B)

    1,767       1,737  

FNMA REMIC CMO, Ser 2019-81, Cl LH

               

3.000%, 12/25/2049

    858       773  

FNMA REMIC CMO, Ser 2020-25, Cl BI, IO

               

3.500%, 01/25/2047

    1,362       260  

FNMA REMIC CMO, Ser 2020-37, Cl DA

               

1.500%, 06/25/2050

    580       511  

FNMA REMIC CMO, Ser 2020-45, Cl JL

               

3.000%, 07/25/2040

    1,964       1,825  

FNMA REMIC CMO, Ser 2020-47, Cl GZ

               

2.000%, 07/25/2050

    761       473  

FNMA REMIC CMO, Ser 2020-48, Cl AB

               

2.000%, 07/25/2050

    837       722  

FNMA REMIC CMO, Ser 2020-48, Cl DA

               

2.000%, 07/25/2050

    2,598       2,206  

FNMA REMIC CMO, Ser 2020-56, Cl AQ

               

2.000%, 08/25/2050

    1,600       1,263  

FNMA REMIC CMO, Ser 2020-56, Cl DI, IO

               

2.500%, 08/25/2050

    583       95  

FNMA REMIC CMO, Ser 2020-57, Cl LJ

               

2.000%, 08/25/2050

    8,783       6,451  

FNMA REMIC CMO, Ser 2020-57, Cl TA

               

2.000%, 04/25/2050

    1,640       1,436  

FNMA REMIC CMO, Ser 2020-59, Cl NC

               

3.000%, 08/25/2040

    1,226       1,135  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FNMA REMIC CMO, Ser 2020-61, Cl NI, IO

               

3.500%, 09/25/2050

  $ 599     $ 100  

FNMA REMIC CMO, Ser 2020-62, Cl AI, IO

               

2.500%, 09/25/2050

    674       108  

FNMA REMIC CMO, Ser 2020-64, Cl IB, IO

               

4.000%, 09/25/2050

    1,837       382  

FNMA REMIC CMO, Ser 2020-65, Cl EI, IO

               

4.000%, 09/25/2050

    3,318       651  

FNMA REMIC CMO, Ser 2020-65, Cl DI, IO

               

4.000%, 09/25/2050

    2,239       464  

FNMA REMIC CMO, Ser 2020-70, Cl AD

               

1.500%, 10/25/2050

    3,683       2,967  

FNMA REMIC CMO, Ser 2020-73, Cl KI, IO

               

3.000%, 10/25/2050

    596       108  

FNMA REMIC CMO, Ser 2020-74, Cl EI, IO

               

2.500%, 10/25/2050

    431       72  

FNMA REMIC CMO, Ser 2020-89, Cl DI, IO

               

2.500%, 12/25/2050

    2,176       343  

FNMA REMIC CMO, Ser 2020-97, Cl AI, IO

               

2.000%, 01/25/2051

    2,347       323  

FNMA REMIC CMO, Ser 2021-1, Cl IG, IO

               

2.500%, 02/25/2051

    1,611       266  

FNMA REMIC CMO, Ser 2021-22, Cl MN

               

2.750%, 10/25/2050

    1,378       1,246  

FNMA REMIC CMO, Ser 2021-27, Cl EC

               

1.500%, 05/25/2051

    3,704       3,013  

FNMA REMIC CMO, Ser 2021-3, Cl NI, IO

               

2.500%, 02/25/2051

    699       105  

FNMA REMIC CMO, Ser 2021-3, Cl QI, IO

               

2.500%, 02/25/2051

    2,226       358  

FNMA REMIC CMO, Ser 2021-33, Cl AV

               

2.500%, 03/25/2048

    568       430  

FNMA REMIC CMO, Ser 2021-33, Cl AI, IO

               

2.500%, 05/25/2047

    1,808       237  

FNMA REMIC CMO, Ser 2021-4, Cl GI, IO

               

3.000%, 02/25/2051

    632       108  

FNMA REMIC CMO, Ser 2021-42, Cl AC

               

2.000%, 02/25/2051

    1,100       955  

FNMA REMIC CMO, Ser 2021-42, Cl DC

               

2.000%, 11/25/2050

    2,617       2,251  

FNMA REMIC CMO, Ser 2021-43, Cl IO, IO

               

2.500%, 06/25/2051

    2,898       448  

FNMA REMIC CMO, Ser 2021-44, Cl MI, IO

               

2.500%, 07/25/2051

    881       153  

FNMA REMIC CMO, Ser 2021-52, Cl CI, IO

               

2.500%, 12/25/2047

    810       109  

FNMA REMIC CMO, Ser 2021-61, Cl KI, IO

               

2.500%, 04/25/2049

    1,511       224  

FNMA REMIC CMO, Ser 2021-62, Cl GI, IO

               

2.500%, 10/25/2047

    772       111  

FNMA REMIC CMO, Ser 2021-65, Cl JA

               

2.000%, 01/25/2046

    480       425  

 

 

 

174

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FNMA REMIC CMO, Ser 2021-73, Cl DJ

               

2.000%, 03/25/2049

  $ 1,475     $ 1,262  

FNMA REMIC CMO, Ser 2021-76, Cl KB

               

1.250%, 11/25/2051

    630       529  

FNMA REMIC CMO, Ser 2021-77, Cl WI, IO

               

3.000%, 08/25/2050

    1,351       208  

FNMA REMIC CMO, Ser 2021-78, Cl ND

               

1.500%, 11/25/2051

    2,056       1,686  

FNMA REMIC CMO, Ser 2021-86, Cl MA

               

2.500%, 11/25/2047

    2,327       2,110  

FNMA REMIC CMO, Ser 2021-89, Cl AI, IO

               

2.500%, 04/25/2048

    883       126  

FNMA REMIC CMO, Ser 2021-91, Cl AB

               

2.500%, 09/25/2049

    1,390       1,236  

FNMA REMIC CMO, Ser 2022-11, Cl D

               

3.000%, 01/25/2050

    1,483       1,369  

FNMA REMIC CMO, Ser 2022-18, Cl DL

               

3.250%, 07/25/2046

    2,442       2,284  

FNMA REMIC CMO, Ser 2022-18, Cl PI, IO

               

4.000%, 11/25/2051

    975       209  

FNMA REMIC CMO, Ser 2022-22, Cl IO, IO

               

2.500%, 10/25/2051

    1,953       334  

FNMA REMIC CMO, Ser 2022-3, Cl N

               

2.000%, 10/25/2047

    3,995       3,500  

FNMA REMIC CMO, Ser 2022-4, Cl MH

               

3.000%, 09/25/2048

    1,970       1,835  

FNMA REMIC CMO, Ser 2022-49, Cl NQ

               

3.000%, 02/25/2052

    744       662  

FNMA REMIC CMO, Ser 2022-57, Cl BC

               

4.000%, 09/25/2052

    162       156  

FNMA REMIC CMO, Ser 2022-62, Cl KA

               

3.250%, 09/25/2052

    904       847  

FNMA REMIC CMO, Ser 2022-86, Cl IO, IO

               

2.500%, 05/25/2050

    1,449       201  

FNMA REMIC CMO, Ser 2022-89, Cl AY

               

3.000%, 02/25/2048

    1,602       1,371  

FNMA REMIC CMO, Ser 2022-9, Cl DJ

               

3.250%, 03/25/2049

    1,065       996  

FNMA REMIC CMO, Ser 2023-14, Cl EJ

               

2.750%, 04/25/2049

    1,339       1,232  

FNMA REMIC CMO, Ser 2023-2, Cl CI, IO

               

2.000%, 10/25/2050

    4,692       578  

FNMA REMIC CMO, Ser 2023-37, Cl FH

               

5.863%, SOFR30A + 0.514%, 01/25/2050(B)

    2,342       2,296  

FNMA REMIC CMO, Ser 2023-38, Cl FC

               

6.013%, SOFR30A + 0.664%, 06/25/2040(B)

    1,493       1,481  

FNMA REMIC CMO, Ser 2024-26, Cl KY

               

3.000%, 12/25/2043

    1,256       1,088  

FNMA REMIC CMO, Ser 2024-5, Cl DI, IO

               

3.000%, 10/25/2051

    3,177       520  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FNMA REMIC CMO, Ser 2024-64, Cl KY

               

3.000%, 12/25/2043

  $ 818     $ 709  

FNMA TBA

               

6.500%, 09/15/2054 to 10/15/2054

    22,505       23,166  

6.000%, 09/15/2054 to 10/15/2054

    115,800       117,925  

5.500%, 09/15/2054

    20,795       20,936  

5.000%, 09/15/2054

    35,070       34,818  

4.500%, 09/15/2054

    22,700       22,081  

4.000%, 09/14/2039

    27,575       26,165  

3.500%, 09/15/2054

    76,135       70,088  

3.000%, 09/15/2054

    22,695       20,132  

2.500%, 09/15/2054

    21,400       18,247  

2.000%, 09/15/2054

    21,525       17,612  

GNMA

               

7.000%, 04/15/2026 to 10/15/2032

    214       216  

6.500%, 01/15/2026 to 01/20/2054

    12,596       13,015  

6.000%, 09/15/2028 to 02/20/2054

    18,441       18,953  

5.500%, 11/20/2052 to 08/20/2053

    16,375       16,532  

5.000%, 10/15/2039 to 08/20/2053

    14,622       14,702  

4.700%, 09/20/2061(B)

    49       49  

4.500%, 01/20/2040 to 10/20/2052

    26,090       25,744  

4.392%, 01/20/2069(B)

    5       5  

4.000%, 10/20/2044 to 10/20/2052

    20,763       20,016  

3.500%, 06/20/2044 to 02/20/2053

    24,607       23,105  

3.000%, 09/15/2042 to 04/20/2053

    37,570       34,155  

2.500%, 12/20/2037 to 03/20/2052

    63,920       55,621  

2.000%, 08/20/2050 to 10/20/2051

    53,824       44,772  

GNMA ARM

               

6.610%, H15T1Y + 1.440%, 01/20/2060(B)

    65       65  

3.625%, H15T1Y + 1.500%, 07/20/2034(B)

    3       3  

GNMA CMO, Ser 14, Cl AB

               

1.340%, 06/16/2063

    1,136       874  

GNMA CMO, Ser 196, Cl BE

               

3.000%, 10/16/2064(B)

    1,100       836  

GNMA CMO, Ser 2005-7, Cl JM

               

4.717%, 05/18/2034(B)

           

GNMA CMO, Ser 2006-16, Cl GS, IO

               

1.540%, 04/20/2036(B)

    188       18  

GNMA CMO, Ser 2007-78, Cl SA, IO

               

1.077%, 12/16/2037(B)

    1,281       62  

GNMA CMO, Ser 2009-106, Cl KS, IO

               

0.950%, 11/20/2039(B)

    1,246       106  

GNMA CMO, Ser 2009-66, Cl XS, IO

               

1.347%, 07/16/2039(B)

    6        

GNMA CMO, Ser 2009-66, Cl LC

               

6.000%, 08/16/2039

    811       858  

GNMA CMO, Ser 2009-8, Cl PS, IO

               

0.847%, 08/16/2038(B)

    1        

GNMA CMO, Ser 2010-163, Cl NC

               

4.000%, 12/20/2040

    1,127       1,116  

 

 

 

SEI Institutional Investments Trust

 

175

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

GNMA CMO, Ser 2010-4, Cl SL, IO

               

0.947%, 01/16/2040(B)

  $ 41     $ 5  

GNMA CMO, Ser 2010-4, Cl NS, IO

               

0.937%, 01/16/2040(B)

    1,942       215  

GNMA CMO, Ser 2010-85, Cl HS, IO

               

1.200%, 01/20/2040(B)

           

GNMA CMO, Ser 2010-H10, Cl FC

               

6.460%, TSFR1M + 1.114%, 05/20/2060(B)

    405       407  

GNMA CMO, Ser 2010-H26, Cl LF

               

5.796%, TSFR1M + 0.464%, 08/20/2058(B)

    393       393  

GNMA CMO, Ser 2011-146, Cl EI, IO

               

5.000%, 11/16/2041

    22       3  

GNMA CMO, Ser 2011-H09, Cl AF

               

5.946%, TSFR1M + 0.614%, 03/20/2061(B)

    134       133  

GNMA CMO, Ser 2012-112, Cl IO, IO

               

0.108%, 02/16/2053(B)

    2,063       7  

GNMA CMO, Ser 2012-124, Cl AS, IO

               

0.747%, 10/16/2042(B)

    266       34  

GNMA CMO, Ser 2012-142, Cl IO, IO

               

0.174%, 04/16/2054(B)

    5,134       14  

GNMA CMO, Ser 2012-27, Cl IO, IO

               

0.219%, 04/16/2053(B)

    2,453       5  

GNMA CMO, Ser 2012-98, Cl SA, IO

               

0.647%, 08/16/2042(B)

    214       27  

GNMA CMO, Ser 2012-H07, Cl KI, IO

               

1.376%, 03/20/2062(B)

    377       28  

GNMA CMO, Ser 2013-107, Cl AD

               

2.799%, 11/16/2047(B)

    290       262  

GNMA CMO, Ser 2013-152, Cl HA

               

2.500%, 06/20/2043

    1,267       1,166  

GNMA CMO, Ser 2013-163, Cl IO, IO

               

1.013%, 02/16/2046(B)

    1,134       15  

GNMA CMO, Ser 2013-H01, Cl JA

               

5.766%, TSFR1M + 0.434%, 01/20/2063(B)

    97       97  

GNMA CMO, Ser 2013-H01, Cl TA

               

5.946%, TSFR1M + 0.614%, 01/20/2063(B)

    4       4  

GNMA CMO, Ser 2014-133, Cl BP

               

2.250%, 09/20/2044

    1,007       903  

GNMA CMO, Ser 2014-146, Cl QA

               

2.250%, 10/20/2044

    312       283  

GNMA CMO, Ser 2014-149, Cl KP

               

2.250%, 07/16/2044

    870       790  

GNMA CMO, Ser 2014-181, Cl L

               

3.000%, 12/20/2044

    856       773  

GNMA CMO, Ser 2014-186, Cl IO, IO

               

0.370%, 08/16/2054(B)

    1,728       17  

GNMA CMO, Ser 2014-47, Cl IA, IO

               

0.156%, 02/16/2048(B)

    305       1  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

GNMA CMO, Ser 2014-50, Cl IO, IO

               

0.627%, 09/16/2055(B)

  $ 1,658     $ 42  

GNMA CMO, Ser 2014-H04, Cl FB

               

6.096%, TSFR1M + 0.764%, 02/20/2064(B)

    174       174  

GNMA CMO, Ser 2015-144, Cl CA

               

2.500%, 10/20/2045

    1,345       1,190  

GNMA CMO, Ser 2015-167, Cl OI, IO

               

4.000%, 04/16/2045

    152       27  

GNMA CMO, Ser 2016-128, Cl IO, IO

               

0.856%, 09/16/2056(B)

    2,148       93  

GNMA CMO, Ser 2016-135, Cl SB, IO

               

0.647%, 10/16/2046(B)

    649       107  

GNMA CMO, Ser 2016-136, Cl A

               

3.000%, 07/20/2044

    698       628  

GNMA CMO, Ser 2016-84, Cl IG, IO

               

4.500%, 11/16/2045

    80       15  

GNMA CMO, Ser 2016-93, Cl AB

               

1.750%, 07/20/2044

    1,556       1,269  

GNMA CMO, Ser 2016-99, Cl TL

               

2.000%, 04/16/2044

    1,395       1,151  

GNMA CMO, Ser 2017-135, Cl AG

               

2.600%, 08/16/2058

    554       485  

GNMA CMO, Ser 2017-139, Cl GA

               

3.000%, 09/20/2047

    2,979       2,705  

GNMA CMO, Ser 2017-145, Cl IO, IO

               

0.504%, 04/16/2057(B)

    1,565       46  

GNMA CMO, Ser 2017-157, Cl IO, IO

               

0.520%, 12/16/2059(B)

    792       27  

GNMA CMO, Ser 2017-167, Cl BQ

               

2.500%, 08/20/2044

    629       582  

GNMA CMO, Ser 2017-171, Cl IO, IO

               

0.653%, 09/16/2059(B)

    5,336       218  

GNMA CMO, Ser 2017-190, Cl IO, IO

               

0.619%, 03/16/2060(B)

    1,394       51  

GNMA CMO, Ser 2017-8, Cl IO, IO

               

0.446%, 08/16/2058(B)

    1,192       29  

GNMA CMO, Ser 2018-168, Cl PA

               

4.000%, 08/20/2048

    157       150  

GNMA CMO, Ser 2018-65, Cl DC

               

3.500%, 05/20/2048

    1,042       956  

GNMA CMO, Ser 2018-H06, Cl PF

               

5.746%, TSFR1M + 0.414%, 02/20/2068(B)

    154       153  

GNMA CMO, Ser 2018-H07, Cl FD

               

5.746%, TSFR1M + 0.414%, 05/20/2068(B)

    325       325  

GNMA CMO, Ser 2019-15, Cl GT

               

3.500%, 02/20/2049

    719       666  

GNMA CMO, Ser 2019-18, Cl TP

               

3.500%, 02/20/2049

    86       80  

GNMA CMO, Ser 2019-71, Cl PT

               

3.000%, 06/20/2049

    56       51  

 

 

 

176

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

GNMA CMO, Ser 2019-90, Cl AB

               

3.000%, 07/20/2049

  $ 245     $ 221  

GNMA CMO, Ser 2020-109, Cl AI, IO

               

0.839%, 05/16/2060(B)

    2,130       125  

GNMA CMO, Ser 2020-123, Cl IL, IO

               

2.500%, 08/20/2050

    250       34  

GNMA CMO, Ser 2020-123, Cl NI, IO

               

2.500%, 08/20/2050

    982       134  

GNMA CMO, Ser 2020-127, Cl IN, IO

               

2.500%, 08/20/2050

    412       57  

GNMA CMO, Ser 2020-129, Cl IE, IO

               

2.500%, 09/20/2050

    358       49  

GNMA CMO, Ser 2020-133, Cl GA

               

1.000%, 09/20/2050

    1,538       1,312  

GNMA CMO, Ser 2020-138, Cl LE

               

1.500%, 09/20/2050

    3,489       2,823  

GNMA CMO, Ser 2020-160, Cl VI, IO

               

2.500%, 10/20/2050

    427       59  

GNMA CMO, Ser 2020-160, Cl IH, IO

               

2.500%, 10/20/2050

    296       42  

GNMA CMO, Ser 2020-173, Cl MI, IO

               

2.500%, 11/20/2050

    5,974       838  

GNMA CMO, Ser 2020-181, Cl WI, IO

               

2.000%, 12/20/2050

    3,061       340  

GNMA CMO, Ser 2020-184, Cl IO, IO

               

0.913%, 11/16/2060(B)

    2,755       177  

GNMA CMO, Ser 2020-187, Cl MI, IO

               

3.000%, 12/20/2050

    686       123  

GNMA CMO, Ser 2020-41, Cl IO, IO

               

0.569%, 07/16/2058(B)

    428       11  

GNMA CMO, Ser 2020-47, Cl NI, IO

               

3.500%, 04/20/2050

    262       47  

GNMA CMO, Ser 2020-47, Cl MI, IO

               

3.500%, 04/20/2050

    677       122  

GNMA CMO, Ser 2020-H09, Cl FL

               

6.596%, TSFR1M + 1.264%, 05/20/2070(B)

    828       837  

GNMA CMO, Ser 2020-H09, Cl NF

               

6.696%, TSFR1M + 1.364%, 04/20/2070(B)

    176       178  

GNMA CMO, Ser 2020-H12, Cl F

               

5.946%, TSFR1M + 0.614%, 07/20/2070(B)

    96       95  

GNMA CMO, Ser 2020-H13, Cl FA

               

5.896%, TSFR1M + 0.564%, 07/20/2070(B)

    737       724  

GNMA CMO, Ser 2020-H20, Cl FA

               

5.796%, TSFR1M + 0.464%, 04/20/2070(B)

    223       218  

GNMA CMO, Ser 2021-11, Cl IX, IO

               

1.160%, 12/16/2062(B)

    3,086       239  

GNMA CMO, Ser 2021-115, Cl MI, IO

               

2.500%, 05/20/2051

    503       56  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

GNMA CMO, Ser 2021-135, Cl A

               

2.000%, 08/20/2051

  $ 979     $ 808  

GNMA CMO, Ser 2021-138, Cl IK, IO

               

3.000%, 07/20/2051

    857       126  

GNMA CMO, Ser 2021-14, Cl IO, IO

               

1.327%, 06/16/2063(B)

    5,256       495  

GNMA CMO, Ser 2021-147, Cl KI

               

1.144%, 06/16/2061(B)

    5,209       420  

GNMA CMO, Ser 2021-160, Cl NE

               

2.000%, 09/20/2051

    7,694       6,546  

GNMA CMO, Ser 2021-169, Cl IO, IO

               

1.112%, 06/16/2061(B)

    2,880       234  

GNMA CMO, Ser 2021-181, Cl IO, IO

               

0.970%, 07/16/2063(B)

    3,147       225  

GNMA CMO, Ser 2021-188, Cl PA

               

2.000%, 10/20/2051

    65       53  

GNMA CMO, Ser 2021-215, Cl GA

               

2.000%, 12/20/2051

    6,722       5,831  

GNMA CMO, Ser 2021-223, Cl P

               

2.000%, 06/20/2051

    1,884       1,665  

GNMA CMO, Ser 2021-227, Cl E

               

2.500%, 07/20/2050

    5,838       5,133  

GNMA CMO, Ser 2021-24, Cl BC

               

1.250%, 02/20/2051

    2,325       1,815  

GNMA CMO, Ser 2021-26, Cl AI, IO

               

2.000%, 02/20/2051

    953       119  

GNMA CMO, Ser 2021-27, Cl BD

               

5.000%, 02/20/2051

    1,100       1,097  

GNMA CMO, Ser 2021-27, Cl CW

               

5.001%, 02/20/2051(B)

    769       760  

GNMA CMO, Ser 2021-27, Cl Q

               

5.000%, 02/20/2051

    1,093       1,087  

GNMA CMO, Ser 2021-27, Cl NT

               

5.000%, 02/20/2051

    1,248       1,240  

GNMA CMO, Ser 2021-29, Cl AG

               

5.000%, 02/20/2051

    140       140  

GNMA CMO, Ser 2021-29, Cl TI, IO

               

2.500%, 02/20/2051

    965       171  

GNMA CMO, Ser 2021-37, Cl IO, IO

               

0.802%, 01/16/2061(B)

    2,782       157  

GNMA CMO, Ser 2021-5, Cl IO, IO

               

1.112%, 01/16/2061(B)

    4,464       356  

GNMA CMO, Ser 2021-60, Cl IO, IO

               

0.826%, 05/16/2063(B)

    2,308       141  

GNMA CMO, Ser 2021-68, Cl IO, IO

               

0.873%, 10/16/2062(B)

    2,807       177  

GNMA CMO, Ser 2021-77, Cl LC

               

1.250%, 07/20/2050

    112       88  

GNMA CMO, Ser 2021-8, Cl AQ

               

5.000%, 01/20/2051

    139       142  

GNMA CMO, Ser 2021-8, Cl CY

               

5.000%, 01/20/2051

    525       527  

 

 

 

SEI Institutional Investments Trust

 

177

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

GNMA CMO, Ser 2021-89, Cl LK

               

2.000%, 05/20/2051

  $ 2,360     $ 2,023  

GNMA CMO, Ser 2021-96, Cl VI, IO

               

2.500%, 06/20/2051

    2,082       277  

GNMA CMO, Ser 2021-97, Cl QK

               

2.000%, 06/20/2051

    5,814       4,880  

GNMA CMO, Ser 2022-107, Cl C

               

2.500%, 06/20/2051

    4,984       4,246  

GNMA CMO, Ser 2022-153, Cl KA

               

4.000%, 12/20/2049

    1,275       1,247  

GNMA CMO, Ser 2022-189, Cl PT

               

2.500%, 10/20/2051

    1,517       1,281  

GNMA CMO, Ser 2022-191, Cl B

               

4.000%, 06/20/2041

    6,076       5,803  

GNMA CMO, Ser 2022-191, Cl BY

               

4.000%, 08/20/2041

    6,632       6,335  

GNMA CMO, Ser 2022-197, Cl LF

               

6.053%, SOFR30A + 0.700%, 11/20/2052(B)

    4,643       4,602  

GNMA CMO, Ser 2022-205, Cl A

               

2.000%, 09/20/2051

    1,884       1,529  

GNMA CMO, Ser 2022-24, Cl AH

               

2.500%, 02/20/2052

    641       559  

GNMA CMO, Ser 2022-31, Cl GH

               

2.500%, 12/20/2049

    3,188       2,838  

GNMA CMO, Ser 2022-34, Cl DN

               

3.500%, 09/20/2041

    2,410       2,265  

GNMA CMO, Ser 2022-5, Cl BA

               

2.000%, 10/20/2049

    5,867       5,079  

GNMA CMO, Ser 2022-50, Cl CA

               

3.000%, 03/20/2052

    4,333       3,889  

GNMA CMO, Ser 2022-66, Cl CG

               

3.500%, 04/20/2052

    2,731       2,601  

GNMA CMO, Ser 2022-81, Cl CI, IO

               

3.000%, 09/20/2050

    1,469       206  

GNMA CMO, Ser 2022-84, Cl A

               

2.500%, 01/20/2052

    11,116       9,431  

GNMA CMO, Ser 2022-9, Cl GA

               

2.000%, 01/20/2052

    1,105       922  

GNMA CMO, Ser 2022-99, Cl JW

               

2.500%, 01/20/2052

    400       330  

GNMA CMO, Ser 2023-130, Cl IO, IO

               

4.000%, 08/20/2047

    1,447       251  

GNMA CMO, Ser 2023-134, Cl F

               

6.353%, SOFR30A + 1.000%, 08/20/2053(B)

    1,513       1,509  

GNMA CMO, Ser 2023-179, Cl IO, IO

               

0.611%, 09/16/2063(B)

    16,518       708  

GNMA CMO, Ser 2023-196, Cl E

               

3.000%, 09/20/2048

    1,706       1,607  

GNMA CMO, Ser 2024-110, Cl JC

               

3.000%, 09/20/2047

    7,432       7,038  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

GNMA CMO, Ser 2024-30, Cl CF

               

6.500%, SOFR30A + 1.250%, 02/20/2054(B)

  $ 188     $ 188  

GNMA CMO, Ser 2024-4, Cl JA

               

3.000%, 04/20/2045

    5,952       5,699  

GNMA CMO, Ser 2024-45, Cl BD

               

2.000%, 03/20/2054

    959       868  

GNMA CMO, Ser 2024-97, Cl FW

               

6.500%, SOFR30A + 1.150%, 06/20/2054(B)

    3,490       3,490  

GNMA CMO, Ser 21, Cl AH

               

1.400%, 06/16/2063

    2,136       1,622  

GNMA CMO, Ser 210, Cl IO, IO

               

0.699%, 07/16/2064(B)

    1,471       90  

GNMA CMO, Ser 216, Cl IO, IO

               

0.749%, 07/16/2065(B)

    1,481       94  

GNMA CMO, Ser 218, Cl IO, IO

               

0.964%, 10/16/2061(B)

    2,796       205  

GNMA CMO, Ser 220, Cl E

               

3.000%, 10/16/2064(B)

    900       706  

GNMA CMO, Ser 3, Cl IO, IO

               

0.640%, 02/16/2061(B)

    1,523       72  

GNMA CMO, Ser 3, Cl B

               

1.850%, 02/16/2061

    400       217  

GNMA CMO, Ser 4, Cl Z

               

1.900%, 03/16/2064

    210       98  

GNMA CMO, Ser 53, Cl IO, IO

               

0.527%, 11/16/2056(B)

    8,604       258  

GNMA CMO, Ser 54, Cl IO, IO

               

1.598%, 09/16/2063(B)

    2,579       294  

GNMA CMO, Ser 59, Cl IO, IO

               

0.571%, 02/16/2062(B)

    3,351       156  

GNMA CMO, Ser 63, Cl IO, IO

               

0.815%, 04/16/2061(B)

    3,411       191  

GNMA CMO, Ser 68, Cl IO, IO

               

1.615%, 05/16/2060(B)

    4,368       491  

GNMA CMO, Ser 7, Cl IO, IO

               

0.564%, 12/16/2058(B)

    6,350       195  

GNMA CMO, Ser 82, Cl Z

               

2.000%, 02/16/2064

    1,360       739  

GNMA CMO, Ser 89, Cl IA, IO

               

1.168%, 04/16/2062(B)

    3,029       247  

GNMA CMO, Ser 92, Cl IA, IO

               

0.611%, 06/16/2064(B)

    3,998       230  

GNMA CMO, Ser 92, Cl AH

               

2.000%, 06/16/2064

    4,498       3,583  

GNMA CMO, Ser 94, Cl IO, IO

               

0.833%, 02/16/2063(B)

    3,268       208  

GNMA TBA

               

6.500%, 10/15/2054

    11,700       11,941  

5.500%, 09/15/2054

    16,750       16,860  

5.000%, 10/15/2054

    30,725       30,650  

4.500%, 09/15/2054

    26,425       25,885  

 

 

 

178

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

2.500%, 09/15/2054

  $ 34,300     $ 29,986  
                 
                 
              2,940,729  

Non-Agency Mortgage-Backed Obligations — 5.2%

       

245 Park Avenue Trust, Ser 2017-245P, Cl A

               

3.508%, 06/05/2037(A)

    5,293       4,982  

American Home Mortgage Investment Trust, Ser 2005-1, Cl 1A2

               

6.024%, TSFR1M + 0.674%, 06/25/2045(B)

    26       26  

Angel Oak Mortgage Trust, Ser 2020-2, Cl A1A

               

2.531%, 01/26/2065(A)(B)

    360       336  

Angel Oak Mortgage Trust, Ser 2020-5, Cl A1

               

1.373%, 05/25/2065(A)(B)

    122       115  

Angel Oak Mortgage Trust, Ser 2021-6, Cl A1

               

1.458%, 09/25/2066(A)(B)

    1,049       871  

Angel Oak Mortgage Trust, Ser 2021-7, Cl A3

               

2.337%, 10/25/2066(A)(B)

    667       568  

Angel Oak Mortgage Trust, Ser 2022-2, Cl A1

               

3.353%, 01/25/2067(A)(B)

    8,066       7,603  

Angel Oak Mortgage Trust, Ser 2022-3, Cl A1

               

4.000%, 01/25/2067(A)

    3,012       2,893  

Arbor Multifamily Mortgage Securities Trust, Ser 2021-MF2, Cl B

               

2.560%, 06/15/2054(A)(B)

    1,205       1,000  

AREIT Trust, Ser 2022-CRE6, Cl A

               

6.603%, SOFR30A + 1.250%, 01/20/2037(A)(B)

    1,611       1,601  

AREIT Trust, Ser 2022-CRE7, Cl A

               

7.584%, TSFR1M + 2.242%, 06/17/2039(A)(B)

    2,110       2,123  

BAMLL Commercial Mortgage Securities Trust, Ser 2015-200P, Cl A

               

3.218%, 04/14/2033(A)

    4,085       3,993  

BAMLL Commercial Mortgage Securities Trust, Ser 2018-PARK, Cl A

               

4.227%, 08/10/2038(A)(B)

    2,640       2,525  

Banc of America Alternative Loan Trust, Ser 2006-8, Cl 3A1

               

3.483%, 11/25/2021(B)

    6       5  

Banc of America Alternative Loan Trust, Ser 2007-1, Cl 2A1

               

5.238%, 04/25/2037(B)

    34       30  

Banc of America Funding Trust, Ser 2003-2, Cl 1A1

               

6.500%, 06/25/2032

    5       5  

Banc of America Funding Trust, Ser 2004-2, Cl 1CB1

               

5.750%, 09/20/2034

    23       21  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Banc of America Funding Trust, Ser 2005-B, Cl 2A1

               

4.802%, 04/20/2035(B)

  $ 387     $ 342  

BANK, Ser 2017-BNK5, Cl A4

               

3.131%, 06/15/2060

    1,130       1,083  

BANK, Ser 2019-BN19, Cl A3

               

3.183%, 08/15/2061

    385       349  

BANK, Ser 2019-BN23, Cl A3

               

2.920%, 12/15/2052

    685       626  

BANK, Ser 2022-BNK40, Cl A4

               

3.506%, 03/15/2064(B)

    1,240       1,133  

BANK, Ser 2024-BNK47, Cl A5

               

5.716%, 06/15/2057

    1,056       1,122  

BANK5, Ser 2024-5YR7, Cl A3

               

5.769%, 06/15/2057

    722       750  

Bayview MSR Opportunity Master Fund Trust, Ser 2021-5, Cl A5

               

2.500%, 11/25/2051(A)(B)

    5,742       5,079  

BBCMS Mortgage Trust, Ser 2018-C2, Cl ASB

               

4.236%, 12/15/2051

    413       408  

BBCMS Mortgage Trust, Ser 2020-C6, Cl A2

               

2.690%, 02/15/2053

    1,205       1,178  

BBCMS Mortgage Trust, Ser C18, Cl A5

               

5.710%, 12/15/2055(B)

    1,760       1,869  

BBCMS Trust, Ser 2015-SRCH, Cl A1

               

3.312%, 08/10/2035(A)

    901       865  

Bear Stearns Adjustable Rate Mortgage Trust, Ser 2004-2, Cl 14A

               

4.561%, 05/25/2034(B)

    10       9  

Benchmark Mortgage Trust, Ser 2022-B33, Cl A5

               

3.458%, 03/15/2055

    1,710       1,553  

Benchmark Mortgage Trust, Ser 2022-B35, Cl A5

               

4.592%, 05/15/2055(B)

    970       924  

Benchmark Mortgage Trust, Ser 2022-B35, Cl AS

               

4.592%, 05/15/2055(B)

    975       895  

Benchmark Mortgage Trust, Ser 2024-V9, Cl A3

               

5.602%, 08/15/2057

    1,823       1,879  

Benchmark Mortgage Trust, Ser V7, Cl A3

               

6.228%, 05/15/2056(B)

    2,010       2,123  

BMO Mortgage Trust, Ser 2022-C1, Cl A1

               

2.198%, 02/15/2055

    871       842  

BMO Mortgage Trust, Ser 5C4, Cl A3

               

6.526%, 05/15/2057(B)

    1,420       1,516  

BMO Mortgage Trust, Ser C8, Cl A5

               

5.598%, 03/15/2057(B)

    825       868  

BMP, Ser 2024-MF23, Cl A

               

6.709%, TSFR1M + 1.372%, 06/15/2041(A)(B)

    3,210       3,197  

 

 

 

SEI Institutional Investments Trust

 

179

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

BOCA Commercial Mortgage Trust, Ser 2024-BOCA, Cl A

               

7.241%, TSFR1M + 1.921%, 08/15/2041(A)(B)

  $ 3,190     $ 3,186  

BPR Trust, Ser 2021-TY, Cl A

               

6.502%, TSFR1M + 1.164%, 09/15/2038(A)(B)

    745       738  

BPR Trust, Ser 2022-STAR, Cl A

               

8.569%, TSFR1M + 3.232%, 08/15/2039(A)(B)

    4,600       4,579  

BRAVO Residential Funding Trust, Ser 2022-NQM1, Cl A1

               

3.626%, 09/25/2061(A)(B)

    705       681  

Bunker Hill Loan Depositary Trust, Ser 2019-2, Cl A1

               

2.879%, 07/25/2049(A)(D)

    538       521  

Bunker Hill Loan Depositary Trust, Ser 2019-3, Cl A1

               

2.724%, 11/25/2059(A)(D)

    188       185  

BX Commercial Mortgage Trust, Ser 2021-SOAR, Cl A

               

6.122%, TSFR1M + 0.784%, 06/15/2038(A)(B)

    1,149       1,136  

BX Commercial Mortgage Trust, Ser 2021-VOLT, Cl C

               

6.551%, TSFR1M + 1.214%, 09/15/2036(A)(B)

    3,225       3,161  

BX Commercial Mortgage Trust, Ser 2021-VOLT, Cl A

               

6.151%, TSFR1M + 0.814%, 09/15/2036(A)(B)

    4,941       4,895  

BX Commercial Mortgage Trust, Ser 2021-XL2, Cl A

               

6.140%, TSFR1M + 0.803%, 10/15/2038(A)(B)

    3,618       3,573  

BX Commercial Mortgage Trust, Ser 2023-XL3, Cl A

               

7.098%, TSFR1M + 1.761%, 12/09/2040(A)(B)

    1,238       1,241  

BX Commercial Mortgage Trust, Ser 2024-AIRC, Cl A

               

6.991%, TSFR1M + 1.691%, 08/15/2039(A)(B)

    700       700  

BX Commercial Mortgage Trust, Ser 2024-XL5, Cl A

               

6.729%, TSFR1M + 1.392%, 03/15/2041(A)(B)

    1,180       1,176  

BX Trust, Ser 2019-MMP, Cl A

               

6.381%, TSFR1M + 1.044%, 08/15/2036(A)(B)

    796       795  

BX Trust, Ser 2019-OC11, Cl A

               

3.202%, 12/09/2041(A)

    1,945       1,787  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

BX Trust, Ser 2021-ARIA, Cl B

               

6.749%, TSFR1M + 1.411%, 10/15/2036(A)(B)

  $ 3,641     $ 3,582  

BX Trust, Ser 2021-ARIA, Cl A

               

6.351%, TSFR1M + 1.014%, 10/15/2036(A)(B)

    4,760       4,721  

BX Trust, Ser 2021-BXMF, Cl A

               

6.087%, TSFR1M + 0.750%, 10/15/2026(A)(B)

    1,996       1,969  

BX Trust, Ser 2024-VLT4, Cl B

               

7.278%, TSFR1M + 1.941%, 07/15/2029(A)(B)

    2,400       2,389  

BX, Ser 2024-PALM, Cl A

               

6.878%, TSFR1M + 1.541%, 06/15/2037(A)(B)

    2,870       2,857  

CAMB Commercial Mortgage Trust, Ser 2019-LIFE, Cl A

               

6.704%, TSFR1M + 1.367%, 12/15/2037(A)(B)

    1,400       1,399  

CD Commercial Mortgage Trust, Ser 2006-CD2, Cl X, IO

               

0.023%, 01/15/2046(A)(B)

    53        

CD Commercial Mortgage Trust, Ser 2017-CD3, Cl A4

               

3.631%, 02/10/2050

    1,240       1,168  

CFCRE Commercial Mortgage Trust, Ser 2017-C8, Cl ASB

               

3.367%, 06/15/2050

    361       354  

Chase Home Lending Mortgage Trust Series, Ser 2024-3, Cl A4

               

6.000%, 02/25/2055(A)(B)

    2,079       2,096  

Chase Home Lending Mortgage Trust Series, Ser 2024-7, Cl A4

               

6.000%, 06/25/2055(A)(B)

    2,644       2,662  

Chase Mortgage Finance Trust, Ser 2007-A1, Cl 2A1

               

6.681%, 02/25/2037(B)

    10       9  

Chase Mortgage Finance Trust, Ser 2007-A1, Cl 9A1

               

6.210%, 02/25/2037(B)

    9       9  

Chase Mortgage Finance Trust, Ser 2007-A2, Cl 1A1

               

7.157%, 06/25/2035(B)

    12       12  

Chevy Chase Funding Mortgage-Backed Certificates, Ser 2003-4X, Cl A2

               

6.172%, TSFR1M + 0.894%, 10/25/2034(B)

    290       280  

CIM Trust, Ser 2018-INV1, Cl A4

               

4.000%, 08/25/2048(A)(B)

    108       101  

CIM Trust, Ser 2021-INV1, Cl A2

               

2.500%, 07/01/2051(A)(B)

    14,593       12,123  

CIM Trust, Ser 2024-R1, Cl A1

               

4.750%, 06/25/2064(A)(B)

    3,432       3,380  

 

 

 

180

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Citigroup Commercial Mortgage Trust, Ser 2014-GC25, Cl AS

               

4.017%, 10/10/2047

  $ 880     $ 879  

Citigroup Commercial Mortgage Trust, Ser 2016-C2, Cl A4

               

2.832%, 08/10/2049

    3,020       2,901  

Citigroup Commercial Mortgage Trust, Ser 2016-P6, Cl A4

               

3.458%, 12/10/2049

    355       345  

Citigroup Commercial Mortgage Trust, Ser 2019-GC41, Cl A5

               

2.869%, 08/10/2056

    4,120       3,752  

Citigroup Global Markets Mortgage Securities VII, Ser 2003-HYB1, Cl A

               

6.240%, 09/25/2033(B)

    12       12  

Citigroup Mortgage Loan Trust, Ser 2004-UST1, Cl A6

               

7.535%, 08/25/2034(B)

    8       7  

Citigroup Mortgage Loan Trust, Ser 2009-10, Cl 1A1

               

6.112%, 09/25/2033(A)(B)

    16       16  

COLT Mortgage Loan Trust, Ser 2021-2, Cl A1

               

0.924%, 08/25/2066(A)(B)

    1,404       1,161  

COLT Mortgage Loan Trust, Ser 2021-4, Cl A1

               

1.397%, 10/25/2066(A)(B)

    1,455       1,224  

COLT Mortgage Loan Trust, Ser 2022-2, Cl A1

               

2.994%, 02/25/2067(A)(D)

    1,465       1,377  

COLT Mortgage Loan Trust, Ser 2024-4, Cl A1

               

5.949%, 07/25/2069(A)(D)

    3,395       3,419  

Commercial Mortgage Pass-Through Certificates, Ser 2014-CR14, Cl B

               

3.796%, 02/10/2047(B)

    343       329  

Commercial Mortgage Pass-Through Certificates, Ser 2014-UBS3, Cl AM

               

4.012%, 06/10/2047

    510       479  

Commercial Mortgage Pass-Through Certificates, Ser 2015CR26, Cl C

               

4.612%, 10/10/2048(B)

    1,680       1,464  

Commercial Mortgage Pass-Through Certificates, Ser 2015-CR27, Cl A3

               

3.349%, 10/10/2048

    3,878       3,817  

Commercial Mortgage Pass-Through Certificates, Ser 2015-LC19, Cl XA, IO

               

1.202%, 02/10/2048(B)

    11,683       4  

Commercial Mortgage Pass-Through Certificates, Ser 2015-LC23, Cl A3

               

3.521%, 10/10/2048

    772       755  

Commercial Mortgage Pass-Through Certificates, Ser 2017-PANW, Cl A

               

3.244%, 10/10/2029(A)

    1,780       1,668  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Commercial Mortgage Pass-Through Certificates, Ser 2020-CBM, Cl A2

               

2.896%, 02/10/2037(A)

  $ 1,950     $ 1,905  

Commercial Mortgage Pass-Through Certificates, Ser 2020-CX, Cl A

               

2.173%, 11/10/2046(A)

    3,290       2,728  

Commercial Mortgage Pass-Through Certificates, Ser COR3, Cl A2

               

3.961%, 05/10/2051

    6,103       5,934  

Connecticut Avenue Securities Trust, Ser 2021-R01, Cl 1M2

               

6.899%, SOFR30A + 1.550%, 10/25/2041(A)(B)

    917       921  

Connecticut Avenue Securities Trust, Ser 2022-R07, Cl 1M1

               

8.298%, SOFR30A + 2.950%, 06/25/2042(A)(B)

    692       715  

Connecticut Avenue Securities Trust, Ser 2023-R05, Cl 1M2

               

8.448%, SOFR30A + 3.100%, 06/25/2043(A)(B)

    790       834  

Connecticut Avenue Securities Trust, Ser 2023-R06, Cl 1M2

               

8.049%, SOFR30A + 2.700%, 07/25/2043(A)(B)

    2,130       2,219  

Connecticut Avenue Securities Trust, Ser 2024-R01, Cl 1M2

               

7.149%, SOFR30A + 1.800%, 01/25/2044(A)(B)

    790       795  

Connecticut Avenue Securities Trust, Ser 2024-R02, Cl 1M2

               

7.149%, SOFR30A + 1.800%, 02/25/2044(A)(B)

    820       824  

Countrywide Alternative Loan Trust, Ser 2004-27CB, Cl A1

               

6.000%, 12/25/2034

    281       254  

Countrywide Alternative Loan Trust, Ser 2004-J6, Cl PO, PO

               

0.000%, 11/25/2031(C)

           

Countrywide Alternative Loan Trust, Ser 2004-J6, Cl 2A1

               

6.500%, 11/25/2031

    54       55  

Countrywide Home Loan Mortgage Pass-Through Trust, Ser 2004-14, Cl 4A1

               

6.559%, 08/25/2034(B)

    69       63  

Countrywide Home Loan Mortgage Pass-Through Trust, Ser 2005-20, Cl A7

               

5.250%, 12/25/2027

    70       43  

CSAIL Commercial Mortgage Trust, Ser 2015-C3, Cl A3

               

3.447%, 08/15/2048

    845       836  

CSAIL Commercial Mortgage Trust, Ser CX9, Cl A5

               

3.446%, 09/15/2050

    4,380       4,101  

 

 

 

SEI Institutional Investments Trust

 

181

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

CSFB Mortgage-Backed Pass-Through Certificates, Ser 2003-29, Cl 5A1

               

7.000%, 12/25/2033

  $ 14     $ 14  

CSMC Trust, Ser 2014-USA, Cl A2

               

3.953%, 09/15/2037(A)

    1,000       891  

CSMC Trust, Ser 2017-RPL1, Cl A1

               

2.750%, 07/25/2057(A)(B)

    2,324       2,237  

CSMC Trust, Ser 2018-J1, Cl A2

               

3.500%, 02/25/2048(A)(B)

    2,489       2,265  

CSMC Trust, Ser 2018-RPL9, Cl A

               

3.850%, 09/25/2057(A)(B)

    2,668       2,572  

CSMC Trust, Ser 2019-AFC1, Cl A1

               

3.573%, 07/25/2049(A)(D)

    552       532  

CSMC Trust, Ser 2019-NQM1, Cl A3

               

4.064%, 10/25/2059(A)(D)

    875       860  

CSMC Trust, Ser 2020-FACT, Cl A

               

7.052%, TSFR1M + 1.714%, 10/15/2037(A)(B)

    2,080       2,013  

CSMC Trust, Ser 2021-NQM3, Cl A3

               

1.632%, 04/25/2066(A)(B)

    1,227       1,070  

CSMC Trust, Ser 2021-NQM5, Cl A1

               

0.938%, 05/25/2066(A)(B)

    1,760       1,450  

CSMC Trust, Ser 2021-RPL2, Cl A1

               

0.000%, 01/25/2060(A)(E)

    649       575  

CSMC Trust, Ser 2021-RPL3, Cl A1

               

2.000%, 01/25/2060(A)(B)

    2,077       1,834  

CSMC Trust, Ser 2022-ATH2, Cl A1

               

4.547%, 05/25/2067(A)(B)

    4,826       4,785  

CSMC Trust, Ser 2022-NQM1, Cl A1

               

2.265%, 11/25/2066(A)(B)

    3,047       2,745  

DBJPM Mortgage Trust, Ser 2016-C1, Cl B

               

4.195%, 05/10/2049(B)

    1,780       1,646  

DC Office Trust, Ser 2019-MTC, Cl A

               

2.965%, 09/15/2045(A)

    1,995       1,752  

Deephaven Residential Mortgage Trust, Ser 2022-1, Cl A1

               

2.205%, 01/25/2067(A)(B)

    2,232       1,999  

DSLA Mortgage Loan Trust, Ser 2004-AR2, Cl A2B

               

6.256%, TSFR1M + 0.914%, 11/19/2044(B)

    177       164  

Ellington Financial Mortgage Trust, Ser 2021-2, Cl A1

               

0.931%, 06/25/2066(A)(B)

    1,749       1,457  

Ellington Financial Mortgage Trust, Ser 2022-1, Cl A1

               

2.206%, 01/25/2067(A)(B)

    792       687  

EQUS Mortgage Trust, Ser 2021-EQAZ, Cl B

               

6.552%, TSFR1M + 1.214%, 10/15/2038(A)(B)

    1,330       1,313  

EverBank Mortgage Loan Trust, Ser 2018-1, Cl A22

               

3.500%, 02/25/2048(A)(B)

    478       430  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC STACR REMIC Trust, Ser 2022-DNA2, Cl M1B

               

7.749%, SOFR30A + 2.400%, 02/25/2042(A)(B)

  $ 1,010     $ 1,034  

FHLMC STACR REMIC Trust, Ser 2022-DNA3, Cl M1B

               

8.249%, SOFR30A + 2.900%, 04/25/2042(A)(B)

    2,850       2,951  

First Horizon Alternative Mortgage Securities Trust, Ser 2004-AA3, Cl A1

               

5.814%, 09/25/2034(B)

    13       13  

Flagstar Mortgage Trust, Ser 2018-2, Cl A4

               

3.500%, 04/25/2048(A)(B)

    35       35  

Granite Point Mortgage Trust, Ser 2021-FL3, Cl A

               

6.706%, TSFR1M + 1.364%, 07/16/2035(A)(B)

    759       750  

GS Mortgage Securities Trust, Ser 2017-SLP, Cl C

               

3.924%, 10/10/2032(A)

    4,165       4,104  

GS Mortgage Securities Trust, Ser 2018-SRP5, Cl A

               

7.184%, TSFR1M + 1.800%, 09/15/2031(A)(B)

    1,380       1,007  

GS Mortgage Securities Trust, Ser 2020-GSA2, Cl A4

               

1.721%, 12/12/2053

    2,606       2,215  

GS Mortgage Securities Trust, Ser 2021-ARDN, Cl B

               

7.101%, TSFR1M + 1.764%, 11/15/2036(A)(B)

    3,062       3,023  

GS Mortgage Securities Trust, Ser 2023-SHIP, Cl A

               

4.466%, 09/10/2038(A)(B)

    2,600       2,558  

GS Mortgage Securities Trust, Ser GC32, Cl A3

               

3.498%, 07/10/2048

    792       780  

GS Mortgage-Backed Securities Trust, Ser 2018-RPL1, Cl A1A

               

3.750%, 10/25/2057(A)

    2,216       2,158  

GS Mortgage-Backed Securities Trust, Ser 2021-RPL1, Cl A2

               

2.000%, 12/25/2060(A)(B)

    1,111       945  

GS Mortgage-Backed Securities Trust, Ser 2024-RPL4, Cl A1

               

3.900%, 09/25/2061(A)(D)

    4,575       4,407  

GSMPS Mortgage Loan Trust, Ser 1998-1, Cl A

               

8.000%, 09/19/2027(A)(B)

    1       1  

GSMPS Mortgage Loan Trust, Ser 2005-RP3, Cl 1AS, IO

               

0.000%, 09/25/2035(A)(B)(E)

    122       2  

 

 

 

182

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

GSR Mortgage Loan Trust, Ser 2004-8F, Cl 2A3

               

6.000%, 09/25/2034

  $ 19     $ 20  

GSR Mortgage Loan Trust, Ser 2007-1F, Cl 2A4

               

5.500%, 01/25/2037

    2       3  

HarborView Mortgage Loan Trust, Ser 2005-9, Cl 2A1C

               

6.350%, TSFR1M + 1.014%, 06/20/2035(B)

    836       776  

HILT COMMERCIAL MORTGAGE TRUST, Ser 2024-ORL, Cl A

               

6.878%, TSFR1M + 1.541%, 05/15/2037(A)(B)

    4,006       3,988  

Houston Galleria Mall Trust, Ser 2015-HGLR, Cl A1A2

               

3.087%, 03/05/2037(A)

    5,470       5,375  

Hudson Yards Mortgage Trust, Ser 2019-30HY, Cl A

               

3.228%, 07/10/2039(A)

    1,900       1,748  

Hudson Yards Mortgage Trust, Ser 2019-55HY, Cl A

               

3.041%, 12/10/2041(A)(B)

    1,995       1,801  

Impac CMB Trust, Ser 2005-4, Cl 2A1

               

5.992%, TSFR1M + 0.414%, 05/25/2035(B)

    42       39  

Impact Funding Affordable Multifamily Housing Mortgage Loan Trust, Ser 2010-1, Cl A1

               

5.314%, 01/25/2051(A)

    286       283  

Indymac Index Mortgage Loan Trust, Ser 2004-AR7, Cl A2

               

6.252%, TSFR1M + 0.974%, 09/25/2034(B)

    9       7  

Indymac Index Mortgage Loan Trust, Ser 2004-AR8, Cl 2A2A

               

6.192%, TSFR1M + 0.914%, 11/25/2034(B)

    14       12  

JP Morgan Mortgage Trust Series, Ser 2024-4, Cl A4A

               

6.000%, 10/25/2054(A)(B)

    7,455       7,513  

JPMBB Commercial Mortgage Securities Trust, Ser 2015-C28, Cl A3

               

2.912%, 10/15/2048

    1,069       1,061  

JPMBB Commercial Mortgage Securities Trust, Ser 2015-C30, Cl A5

               

3.822%, 07/15/2048

    1,410       1,371  

JPMDB Commercial Mortgage Securities Trust, Ser 2017-C5, Cl B

               

4.009%, 03/15/2050(B)

    1,740       1,449  

JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2016-JP2, Cl A4

               

2.822%, 08/15/2049

    1,400       1,347  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2016-JP4, Cl A3

               

3.393%, 12/15/2049

  $ 485     $ 471  

JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2019-OSB, Cl A

               

3.397%, 06/05/2039(A)

    2,000       1,823  

JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2022-ACB, Cl A

               

6.754%, SOFR30A + 1.400%, 03/15/2039(A)(B)

    1,550       1,531  

JPMorgan Mortgage Trust, Ser 2004-A3, Cl SF3

               

6.522%, 06/25/2034(B)

    92       87  

JPMorgan Mortgage Trust, Ser 2005-A1, Cl 3A4

               

5.514%, 02/25/2035(B)

    22       21  

JPMorgan Mortgage Trust, Ser 2005-A2, Cl 5A2

               

6.552%, 04/25/2035(B)

    2       2  

JPMorgan Mortgage Trust, Ser 2006-A2, Cl 4A1

               

7.329%, 08/25/2034(B)

    42       42  

JPMorgan Mortgage Trust, Ser 2006-A2, Cl 5A3

               

6.255%, 11/25/2033(B)

    23       22  

JPMorgan Mortgage Trust, Ser 2017-5, Cl A2

               

5.436%, 10/26/2048(A)(B)

    2,710       2,710  

JPMorgan Mortgage Trust, Ser 2018-3, Cl A1

               

3.500%, 09/25/2048(A)(B)

    323       290  

JPMorgan Mortgage Trust, Ser 2018-4, Cl A1

               

3.500%, 10/25/2048(A)(B)

    255       228  

JPMorgan Mortgage Trust, Ser 2018-5, Cl A1

               

3.500%, 10/25/2048(A)(B)

    313       282  

JPMorgan Mortgage Trust, Ser 2020-1, Cl A3A

               

3.000%, 06/25/2050(A)(B)

    316       278  

JPMorgan Mortgage Trust, Ser 2021-10, Cl A3

               

2.500%, 12/25/2051(A)(B)

    8,059       6,690  

Manhattan West Mortgage Trust, Ser 2020-1MW, Cl A

               

2.130%, 09/10/2039(A)

    2,300       2,105  

MASTR Adjustable Rate Mortgages Trust, Ser 2004-13, Cl 3A7A

               

6.382%, 11/21/2034(B)

    568       543  

MASTR Alternative Loans Trust, Ser 2004-4, Cl 1A1

               

5.500%, 05/25/2034

    129       127  

MASTR Alternative Loans Trust, Ser 2006-3, Cl 1A3

               

6.250%, 07/25/2036

    131       67  

 

 

 

SEI Institutional Investments Trust

 

183

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

MASTR Reperforming Loan Trust, Ser 2005-1, Cl 1A1

               

6.000%, 08/25/2034(A)

  $ 972     $ 608  

MASTR Reperforming Loan Trust, Ser 2005-2, Cl 1A1F

               

5.742%, TSFR1M + 0.464%, 05/25/2035(A)(B)

    178       89  

MASTR Resecuritization Trust, Ser 2005-PO, Cl 3, PO

               

0.000%, 05/28/2035(A)(C)

    4       3  

MASTR Seasoned Securitization Trust, Ser 2004-1, Cl 4A1

               

7.254%, 10/25/2032(B)

    2       2  

MASTR Seasoned Securitization Trust, Ser 2005-1, Cl 4A1

               

7.500%, 10/25/2032(B)

    9       9  

Merrill Lynch Mortgage Investors Trust, Ser 2003-A4, Cl 2A

               

7.322%, 07/25/2033(B)

    17       16  

Merrill Lynch Mortgage Investors Trust, Ser 2004-1, Cl 2A1

               

5.681%, 12/25/2034(B)

    33       31  

Merrill Lynch Mortgage Investors Trust, Ser 2004-A4, Cl A2

               

5.822%, 08/25/2034(B)

    22       21  

MFA Trust, Ser 2021-NQM2, Cl A1

               

1.029%, 11/25/2064(A)(B)

    552       485  

MFA Trust, Ser 2021-RPL1, Cl A1

               

1.131%, 07/25/2060(A)(B)

    820       738  

MHC Commercial Mortgage Trust, Ser 2021-MHC, Cl A

               

6.252%, TSFR1M + 0.915%, 04/15/2038(A)(B)

    998       991  

Mill City Mortgage Loan Trust, Ser 2019-1, Cl A1

               

3.250%, 10/25/2069(A)(B)

    1,289       1,244  

Mill City Mortgage Loan Trust, Ser 2021-NMR1, Cl A1

               

1.125%, 11/25/2060(A)(B)

    955       903  

Morgan Stanley Capital I Trust, Ser 2016-BNK2, Cl XA, IO

               

1.080%, 11/15/2049(B)

    12,779       193  

Morgan Stanley Capital I Trust, Ser 2020-HR8, Cl A3

               

1.790%, 07/15/2053

    1,356       1,166  

Morgan Stanley Capital I Trust, Ser 2020-L4, Cl ASB

               

2.624%, 02/15/2053

    3,930       3,708  

Morgan Stanley Mortgage Loan Trust, Ser 2004-3, Cl 4A

               

5.647%, 04/25/2034(B)

    51       50  

Morgan Stanley Residential Mortgage Loan Trust, Ser 2024-INV2, Cl A1

               

6.500%, 02/25/2054(A)(B)

    3,161       3,208  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Mortgage Loan Resecuritization Trust, Ser 2009-RS1, Cl A85

               

5.797%, US0001M + 0.340%, 04/16/2036(A)(B)

  $ 1,762     $ 1,702  

MSBAM Commercial Mortgage Securities Trust, Ser 2012-CKSV, Cl A2

               

3.277%, 10/15/2030(A)

    128       117  

MSCG Trust, Ser 2015-ALDR, Cl A2

               

3.577%, 06/07/2035(A)(B)

    1,085       1,022  

MSWF Commercial Mortgage Trust, Ser 2023-2, Cl A5

               

6.014%, 12/15/2056(B)

    1,840       1,997  

New Residential Mortgage Loan Trust, Ser 2015-2A, Cl A1

               

3.750%, 08/25/2055(A)(B)

    820       777  

New Residential Mortgage Loan Trust, Ser 2017-4A, Cl A1

               

4.000%, 05/25/2057(A)(B)

    1,471       1,415  

New Residential Mortgage Loan Trust, Ser 2019-4A, Cl A1B

               

3.500%, 12/25/2058(A)(B)

    1,210       1,139  

New Residential Mortgage Loan Trust, Ser 2019-6A, Cl B1

               

4.000%, 09/25/2059(A)(B)

    1,339       1,290  

New Residential Mortgage Loan Trust, Ser 2019-6A, Cl A1B

               

3.500%, 09/25/2059(A)(B)

    1,587       1,506  

New Residential Mortgage Loan Trust, Ser 2019-NQM4, Cl A1

               

2.492%, 09/25/2059(A)(B)

    219       206  

New Residential Mortgage Loan Trust, Ser 2021-NQM3, Cl A1

               

1.156%, 11/27/2056(A)(B)

    646       554  

New Residential Mortgage Loan Trust, Ser 2022-NQM4, Cl A1

               

5.000%, 06/25/2062(A)(D)

    1,059       1,048  

New York Mortgage Trust, Ser 2006-1, Cl 2A2

               

4.985%, 05/25/2036(B)

    35       30  

NJ Trust, Ser 2023-GSP, Cl A

               

6.697%, 01/06/2029(A)(B)

    1,430       1,504  

NRTH Mortgage Trust, Ser 2024-PARK, Cl A

               

6.941%, TSFR1M + 1.641%, 03/15/2039(A)(B)

    4,025       4,001  

NYC Trust, Ser 2024-3ELV, Cl A

               

7.328%, TSFR1M + 1.991%, 08/15/2029(A)(B)

    1,040       1,040  

OBX Trust, Ser 2019-EXP1, Cl 1A3

               

4.000%, 01/25/2059(A)(B)

    23       23  

OBX Trust, Ser 2021-NQM2, Cl A1

               

1.101%, 05/25/2061(A)(B)

    688       560  

OBX Trust, Ser 2022-NQM1, Cl A1

               

2.305%, 11/25/2061(A)(B)

    2,921       2,601  

 

 

 

184

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

OBX Trust, Ser 2023-NQM1, Cl A1

               

5.928%, 11/25/2063(A)(D)

  $ 3,385     $ 3,401  

OBX Trust, Ser 2023-NQM6, Cl A1

               

6.520%, 07/25/2063(A)(D)

    2,801       2,835  

Oceanview Mortgage Trust, Ser 2021-3, Cl A5

               

2.500%, 07/25/2051(A)(B)

    6,901       6,117  

One Bryant Park Trust, Ser 2019-OBP, Cl A

               

2.516%, 09/15/2054(A)

    2,490       2,194  

Onslow Bay Mortgage Loan Trust, Ser 2021-NQM4, Cl A1

               

1.957%, 10/25/2061(A)(B)

    847       717  

OPG Trust, Ser 2021-PORT, Cl A

               

5.936%, TSFR1M + 0.598%, 10/15/2036(A)(B)

    2,482       2,441  

Prime Mortgage Trust, Ser 2004-CL1, Cl 1, PO

               

0.000%, 02/25/2034(C)

    3       2  

Prime Mortgage Trust, Ser 2004-CL1, Cl 1A1

               

6.000%, 02/25/2034

    14       14  

PRKCM Trust, Ser 2021-AFC1, Cl A1

               

1.510%, 08/25/2056(A)(B)

           

PRKCM Trust, Ser 2021-AFC2, Cl A1

               

2.071%, 11/25/2056(A)(B)

    810       703  

PRPM LLC, Ser 2024-RCF5, Cl A1

               

4.000%, 08/25/2054(A)(D)

    7,960       7,759  

RALI Trust, Ser 2005-QO2, Cl A1

               

6.522%, 12MTA + 1.360%, 09/25/2045(B)

    146       124  

RALI Trust, Ser 2005-QO5, Cl A1

               

6.162%, 12MTA + 1.000%, 01/25/2046(B)

    263       213  

RAMP Trust, Ser 2004-SL1, Cl A7

               

7.000%, 11/25/2031

    19       17  

Rate Mortgage Trust, Ser 2021-HB1, Cl A1

               

2.500%, 12/25/2051(A)(B)

    4,856       4,031  

Rate Mortgage Trust, Ser 2021-J4, Cl A7

               

2.500%, 11/25/2051(A)(B)

    10,723       9,416  

RCKT Mortgage Trust, Ser 2024-INV1, Cl A2

               

6.000%, 06/25/2054(A)(B)

    5,301       5,334  

RCKT Mortgage Trust, Ser 2024-INV1, Cl A1

               

6.500%, 06/25/2054(A)(B)

    293       298  

Residential Asset Securitization Trust, Ser 2004-IP2, Cl 2A1

               

3.902%, 12/25/2034(B)

    163       145  

Residential Mortgage Loan Trust, Ser 2020-2, Cl A1

               

1.654%, 05/25/2060(A)(B)

    85       84  

Rocket Mortgage Trust, Ser 2021-3, Cl A1

               

2.500%, 07/25/2051(A)(B)

    1,156       959  

Rocket Mortgage Trust, Ser 2022-2, Cl A2

               

2.500%, 02/25/2052(A)(B)

    1,430       1,185  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Sequoia Mortgage Trust, Ser 2004-12, Cl A3

               

6.032%, US0006M + 0.320%, 01/20/2035(B)

  $ 53     $ 51  

Sequoia Mortgage Trust, Ser 2018-CH4, Cl B1B

               

5.005%, 10/25/2048(A)(B)

    1,919       1,907  

SFAVE Commercial Mortgage Securities Trust, Ser 2015-5AVE, Cl A2B

               

4.144%, 01/05/2043(A)(B)

    115       100  

SG Residential Mortgage Trust, Ser 2022-1, Cl A1

               

3.166%, 03/27/2062(A)(B)

    3,442       3,215  

SMRT, Ser 2022-MINI, Cl A

               

6.337%, TSFR1M + 1.000%, 01/15/2039(A)(B)

    7,460       7,376  

STAR Trust, Ser 2021-1, Cl A1

               

1.219%, 05/25/2065(A)(B)

    421       384  

Starwood Mortgage Residential Trust, Ser 2020-1, Cl A1

               

2.275%, 02/25/2050(A)(B)

    77       73  

Starwood Mortgage Residential Trust, Ser 2020-3, Cl A1

               

1.486%, 04/25/2065(A)(B)

    300       289  

Starwood Mortgage Residential Trust, Ser 2020-INV1, Cl A1

               

1.027%, 11/25/2055(A)(B)

    269       253  

Starwood Mortgage Residential Trust, Ser 2021-4, Cl A1

               

1.162%, 08/25/2056(A)(B)

    1,291       1,128  

Structured Asset Mortgage Investments II Trust, Ser 2004-AR5, Cl 1A1

               

6.116%, TSFR1M + 0.774%, 10/19/2034(B)

    30       29  

Structured Asset Mortgage Investments II Trust, Ser 2005-AR1, Cl A1

               

5.936%, TSFR1M + 0.594%, 04/19/2035(B)

    544       516  

Structured Asset Securities, Ser 2003-31A, Cl 2A7

               

6.546%, 10/25/2033(B)

    749       729  

Structured Asset Securities, Ser 2003-37A, Cl 2A

               

5.943%, 12/25/2033(B)

    14       14  

Thornburg Mortgage Securities Trust, Ser 2003-4, Cl A1

               

6.032%, TSFR1M + 0.754%, 09/25/2043(B)

    64       61  

Towd Point Mortgage Trust, Ser 2017-4, Cl B2

               

3.674%, 06/25/2057(A)(B)

    1,860       1,549  

Towd Point Mortgage Trust, Ser 2020-3, Cl A1

               

3.088%, 02/25/2063(A)(B)

    1,097       1,054  

 

 

 

SEI Institutional Investments Trust

 

185

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Towd Point Mortgage Trust, Ser 2021-1, Cl A1

               

2.250%, 11/25/2061(A)(B)

  $ 957     $ 888  

Towd Point Mortgage Trust, Ser 2022-4, Cl A1

               

3.750%, 09/25/2062(A)

    2,794       2,664  

Towd Point Mortgage Trust, Ser 2024-1, Cl A1

               

4.478%, 03/25/2064(A)(B)

    6,508       6,694  

Towd Point Mortgage Trust, Ser 2024-3, Cl A1A

               

5.108%, 07/25/2065(A)(B)

    6,174       6,163  

UBS Commercial Mortgage Trust, Ser C4, Cl A3

               

3.301%, 10/15/2050

    802       763  

Verus Securitization Trust, Ser 2019-4, Cl A1

               

3.642%, 11/25/2059(A)(D)

    270       265  

Verus Securitization Trust, Ser 2019-INV3, Cl A1

               

3.692%, 11/25/2059(A)(B)

    335       329  

Verus Securitization Trust, Ser 2020-2, Cl A1

               

3.226%, 05/25/2060(A)(B)

    33       33  

Verus Securitization Trust, Ser 2021-1, Cl A1

               

0.815%, 01/25/2066(A)(B)

    551       493  

Verus Securitization Trust, Ser 2021-2, Cl A1

               

1.031%, 02/25/2066(A)(B)

    1,085       971  

Verus Securitization Trust, Ser 2021-3, Cl A1

               

1.046%, 06/25/2066(A)(B)

    934       797  

Verus Securitization Trust, Ser 2021-4, Cl A1

               

0.938%, 07/25/2066(A)(B)

    1,191       1,012  

Verus Securitization Trust, Ser 2021-5, Cl A1

               

1.013%, 09/25/2066(A)(B)

    3,207       2,722  

Verus Securitization Trust, Ser 2021-7, Cl A1

               

1.829%, 10/25/2066(A)(D)

    1,378       1,227  

Verus Securitization Trust, Ser 2021-8, Cl A1

               

1.824%, 11/25/2066(A)(B)

    1,286       1,153  

Verus Securitization Trust, Ser 2021-R1, Cl A1

               

0.820%, 10/25/2063(A)(B)

    390       365  

Verus Securitization Trust, Ser 2021-R3, Cl A1

               

1.020%, 04/25/2064(A)(B)

    520       476  

Visio Trust, Ser 2020-1R, Cl A1

               

1.312%, 11/25/2055(A)

    283       268  

VNDO Mortgage Trust, Ser 2016-350P, Cl A

               

3.805%, 01/10/2035(A)

    1,210       1,154  

WaMu Mortgage Pass-Through Certificates, Ser 2003-AR10, Cl A7

               

5.828%, 10/25/2033(B)

    29       27  

WaMu Mortgage Pass-Through Certificates, Ser 2003-AR6, Cl A1

               

7.266%, 06/25/2033(B)

    23       23  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

WaMu Mortgage Pass-Through Certificates, Ser 2003-AR7, Cl A7

               

6.762%, 08/25/2033(B)

  $ 28     $ 28  

WaMu Mortgage Pass-Through Certificates, Ser 2003-AR9, Cl 1A6

               

6.112%, 09/25/2033(B)

    62       59  

WaMu Mortgage Pass-Through Certificates, Ser 2003-S4, Cl 2A10

               

2.633%, 06/25/2033(B)

    5       4  

WaMu Mortgage Pass-Through Certificates, Ser 2003-S9, Cl A8

               

5.250%, 10/25/2033

    103       100  

WaMu Mortgage Pass-Through Certificates, Ser 2004-AR3, Cl A2

               

5.715%, 06/25/2034(B)

    19       18  

WaMu Mortgage Pass-Through Certificates, Ser 2004-AR4, Cl A6

               

6.234%, 06/25/2034(B)

    1,753       1,690  

WaMu Mortgage Pass-Through Certificates, Ser 2004-AR7, Cl A6

               

6.190%, 07/25/2034(B)

    2,006       1,890  

WaMu Mortgage Pass-Through Certificates, Ser 2005-AR15, Cl A1A1

               

5.912%, TSFR1M + 0.634%, 11/25/2045(B)

    4,821       4,534  

WaMu Mortgage Pass-Through Certificates, Ser 2005-AR19, Cl A1A1

               

5.932%, TSFR1M + 0.654%, 12/25/2045(B)

    2,225       2,214  

WaMu Mortgage Pass-Through Certificates, Ser 2006-AR1, Cl 1A1B

               

6.232%, 12MTA + 1.070%, 01/25/2046(B)

    841       583  

WaMu Mortgage Pass-Through Certificates, Ser 2006-AR14, Cl 1A4

               

3.991%, 11/25/2036(B)

    55       48  

WaMu Mortgage Pass-Through Certificates, Ser 2006-AR17, Cl 2A

               

4.288%, 12MTA + 1.500%, 12/25/2046(B)

    124       110  

WaMu Mortgage Pass-Through Certificates, Ser 2006-AR17, Cl 1A1B

               

4.393%, 12MTA + 0.810%, 12/25/2046(B)

    68       52  

Washington Mutual Mortgage Pass-Through Certificates, Ser 2005-3, Cl CX, IO

               

5.500%, 05/25/2035

    105       17  

Washington Mutual MSC Mortgage Pass-Through Certificates, Ser 2003-MS9, Cl 2P, PO

               

0.000%, 04/25/2033(C)

    7       6  

Wells Fargo Commercial Mortgage Trust, Ser 2024-C63, Cl A5

               

5.309%, 08/15/2057

    1,210       1,251  

 

 

 

186

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Wells Fargo Mortgage-Backed Securities Trust, Ser 2005-AR14, Cl A1

               

7.360%, 08/25/2035(B)

  $ 12     $ 12  

WFRBS Commercial Mortgage Trust, Ser 2014-C21, Cl B

               

4.213%, 08/15/2047(B)

    2,180       2,072  

WFRBS Commercial Mortgage Trust, Ser 2014-C21, Cl XA, IO

               

0.716%, 08/15/2047(B)

    999        

WFRBS Commercial Mortgage Trust, Ser 2014-C22, Cl B

               

4.371%, 09/15/2057(B)

    970       869  

WFRBS Commercial Mortgage Trust, Ser 2014-C23, Cl XA, IO

               

0.592%, 10/15/2057(B)

    2,434        
                 
                 
              420,752  

Total Mortgage-Backed Securities

               

(Cost $3,426,782) ($ Thousands)

            3,361,481  
                 
                 
                 

U.S. TREASURY OBLIGATIONS — 28.3%

U.S. Treasury Bills

               

5.313%, 09/12/2024 (F)

    31,550       31,509  

5.296%, 10/29/2024 (F)

    13,480       13,373  

5.289%, 11/14/2024 (F)

    10,365       10,261  

5.286%, 10/31/2024 (F)

    30,560       30,311  

5.265%, 10/17/2024 (F)

    10,740       10,673  

5.228%, 11/12/2024 (F)

    32,355       32,041  

5.121%, 11/07/2024 (F)

    11,730       11,624  

U.S. Treasury Bonds

               

4.750%, 11/15/2043

    41,190       43,668  

4.750%, 11/15/2053

    20,350       22,169  

4.625%, 05/15/2044

    56,880       59,235  

4.625%, 05/15/2054

    34,722       37,109  

4.500%, 02/15/2044

    1,040       1,066  

4.375%, 08/15/2043

    1,320       1,333  

4.250%, 02/15/2054

    18,675       18,748  

4.250%, 08/15/2054

    112,393       113,095  

4.125%, 08/15/2044

    138,506       135,152  

4.125%, 08/15/2053

    4,370       4,291  

4.000%, 11/15/2042

    1,130       1,090  

3.875%, 02/15/2043

    7,850       7,429  

3.875%, 05/15/2043

    15,625       14,753  

3.625%, 08/15/2043

    10,080       9,168  

3.625%, 02/15/2044

    6,330       5,742  

3.625%, 02/15/2053

    3,785       3,395  

3.375%, 08/15/2042

    450       398  

3.375%, 05/15/2044

    5,470       4,774  

3.375%, 11/15/2048

    28,618       24,387  

3.250%, 05/15/2042

    150       131  

3.125%, 08/15/2044

    600       503  

3.125%, 05/15/2048

    19,905       16,259  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

U.S. TREASURY OBLIGATIONS (continued)

3.000%, 02/15/2049

  $ 7,120     $ 5,664  

2.875%, 05/15/2049

    8,748       6,789  

2.875%, 05/15/2052

    24,960       19,289  

2.375%, 02/15/2042

    17,396       13,290  

2.375%, 11/15/2049

    19,101       13,340  

2.375%, 05/15/2051

    13,630       9,457  

2.250%, 05/15/2041

    32,620       24,795  

2.250%, 08/15/2049

    21,373       14,544  

2.250%, 02/15/2052 (G)

    21,753       14,635  

2.000%, 11/15/2041

    101,072       72,950  

2.000%, 02/15/2050

    15,213       9,740  

2.000%, 08/15/2051

    7,220       4,577  

1.875%, 02/15/2041

    27,758       19,962  

1.875%, 02/15/2051

    11,000       6,783  

1.875%, 11/15/2051

    14,575       8,943  

1.750%, 08/15/2041

    98,050       68,156  

1.625%, 11/15/2050

    1,670       966  

1.375%, 11/15/2040

    7,806       5,184  

1.375%, 08/15/2050

    100       54  

1.125%, 05/15/2040

    2,289       1,482  

U.S. Treasury Inflation-Protected Securities

               

1.125%, 01/15/2033

    4,282       4,073  

U.S. Treasury Notes

               

5.000%, 08/31/2025

    480       483  

4.875%, 11/30/2025

    10,985       11,067  

4.875%, 04/30/2026

    18,030       18,263  

4.750%, 07/31/2025

    60       60  

4.625%, 02/28/2025

    602       602  

4.625%, 02/28/2026

    18,395       18,527  

4.625%, 09/15/2026

    90       91  

4.625%, 11/15/2026

    9,585       9,731  

4.625%, 04/30/2029

    1,070       1,110  

4.625%, 09/30/2030

    10       10  

4.500%, 11/30/2024

    108       108  

4.500%, 05/15/2027

    17,720       18,020  

4.500%, 05/31/2029

    1,150       1,188  

4.375%, 07/31/2026

    20,936       21,093  

4.375%, 07/15/2027

    5,750       5,838  

4.375%, 11/30/2030

    8,280       8,542  

4.250%, 10/15/2025

    24,790       24,774  

4.250%, 02/28/2029

    1,030       1,052  

4.250%, 02/28/2031

    2,810       2,882  

4.125%, 02/15/2027

    13,150       13,232  

4.125%, 03/31/2029

    90       91  

4.125%, 08/31/2030

    300       305  

4.125%, 07/31/2031

    20,828       21,219  

4.000%, 07/31/2029

    232,662       235,407  

4.000%, 02/28/2030

    20       20  

4.000%, 01/31/2031

    1,850       1,870  

4.000%, 02/15/2034

    1,550       1,560  

3.875%, 11/30/2029

    1,710       1,719  

3.875%, 12/31/2029

    13,604       13,671  

3.875%, 08/15/2034

    203,923       203,190  

 

 

 

SEI Institutional Investments Trust

 

187

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

U.S. TREASURY OBLIGATIONS (continued)

3.750%, 08/31/2026

  $ 71,415     $ 71,178  

3.750%, 08/15/2027

    134,688       134,541  

3.750%, 12/31/2028

    1,060       1,060  

3.625%, 08/31/2029

    229,578       228,645  

3.625%, 03/31/2030

    3,964       3,933  

2.875%, 04/30/2029

    19,306       18,583  

2.625%, 07/31/2029 (G)

    64,707       61,456  

2.375%, 05/15/2027

    37,758       36,349  

2.375%, 03/31/2029

    4,182       3,940  

1.500%, 08/15/2026

    7,323       6,989  

1.375%, 10/31/2028

    8,619       7,833  

1.250%, 04/30/2028

    22,823       20,870  

1.125%, 10/31/2026

    10,684       10,076  

1.125%, 08/31/2028

    13,034       11,771  

1.000%, 07/31/2028

    31,294       28,168  

0.750%, 03/31/2026

    6,704       6,367  

0.500%, 10/31/2027

    6,014       5,430  

0.375%, 01/31/2026

    1,685       1,599  

0.375%, 07/31/2027

    4,825       4,374  

0.250%, 08/31/2025

    35,545       34,127  
         

Total U.S. Treasury Obligations

       

(Cost $2,348,260) ($ Thousands)

    2,321,374  
                 
                 
                 

CORPORATE OBLIGATIONS — 24.8%

Communication Services — 2.3%

       

Alphabet

               

1.900%, 08/15/2040

    390       270  

AT&T

               

5.550%, 08/15/2041

    240       243  

5.350%, 09/01/2040

    230       229  

4.500%, 05/15/2035

    2,740       2,616  

4.500%, 03/09/2048

    195       168  

4.350%, 06/15/2045

    1,082       934  

3.800%, 12/01/2057

    2,101       1,540  

3.650%, 09/15/2059

    929       655  

3.550%, 09/15/2055

    4,067       2,875  

3.500%, 06/01/2041

    717       572  

3.500%, 09/15/2053

    4,129       2,938  

2.550%, 12/01/2033

    380       315  

2.300%, 06/01/2027

    1,200       1,135  

2.250%, 02/01/2032

    3,070       2,589  

Charter Communications Operating LLC / Charter Communications Operating Capital

               

6.550%, 06/01/2034

    2,722       2,820  

6.484%, 10/23/2045

    110       105  

6.384%, 10/23/2035

    170       172  

6.150%, 11/10/2026

    4,128       4,229  

6.100%, 06/01/2029

    6,671       6,892  

5.750%, 04/01/2048

    2,710       2,353  

5.500%, 04/01/2063

    1,113       892  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.375%, 04/01/2038

  $ 1,480     $ 1,347  

5.375%, 05/01/2047

    350       292  

5.250%, 04/01/2053

    945       774  

5.125%, 07/01/2049

    310       248  

5.050%, 03/30/2029

    2,000       1,980  

4.908%, 07/23/2025

    224       223  

4.800%, 03/01/2050

    4,290       3,264  

4.400%, 04/01/2033

    2,040       1,854  

4.200%, 03/15/2028

    980       948  

3.900%, 06/01/2052

    1,123       736  

3.750%, 02/15/2028

    681       651  

3.700%, 04/01/2051

    2,500       1,586  

3.500%, 06/01/2041

    386       269  

3.500%, 03/01/2042

    2,206       1,519  

2.300%, 02/01/2032

    2,000       1,598  

Comcast

               

7.050%, 03/15/2033

    50       58  

5.650%, 06/01/2054

    1,536       1,607  

5.350%, 11/15/2027

    1,476       1,523  

5.300%, 06/01/2034

    3,075       3,188  

4.950%, 10/15/2058

    120       113  

4.400%, 08/15/2035

    4,690       4,503  

4.250%, 10/15/2030

    1,320       1,305  

4.250%, 01/15/2033

    360       348  

4.200%, 08/15/2034

    570       542  

4.150%, 10/15/2028

    2,960       2,938  

4.049%, 11/01/2052

    4,024       3,269  

4.000%, 03/01/2048

    110       90  

3.999%, 11/01/2049

    120       98  

3.969%, 11/01/2047

    2,800       2,285  

3.950%, 10/15/2025

    1,110       1,101  

3.750%, 04/01/2040

    380       323  

3.450%, 02/01/2050

    280       208  

3.400%, 04/01/2030

    450       427  

3.400%, 07/15/2046

    60       45  

3.300%, 04/01/2027

    310       302  

3.250%, 11/01/2039

    250       200  

3.150%, 03/01/2026

    630       618  

2.987%, 11/01/2063

    840       519  

2.937%, 11/01/2056

    1,294       823  

2.887%, 11/01/2051

    690       452  

2.800%, 01/15/2051

    470       304  

1.500%, 02/15/2031

    2,445       2,033  

Cox Enterprises

               

7.375%, 07/15/2027 (A)

    2,895       3,062  

Fox

               

6.500%, 10/13/2033

    810       878  

5.476%, 01/25/2039

    270       269  

4.709%, 01/25/2029

    210       211  

Meta Platforms

               

5.550%, 08/15/2064

    4,181       4,283  

5.400%, 08/15/2054

    3,564       3,635  

4.750%, 08/15/2034

    3,416       3,437  

 

 

 

188

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.550%, 08/15/2031

  $ 1,174     $ 1,187  

4.450%, 08/15/2052

    1,495       1,337  

4.300%, 08/15/2029

    1,565       1,576  

Netflix

               

5.400%, 08/15/2054

    1,294       1,349  

4.900%, 08/15/2034

    3,109       3,184  

Paramount Global

               

6.875%, 04/30/2036

    1,175       1,172  

5.900%, 10/15/2040

    840       724  

Rogers Communications

               

5.300%, 02/15/2034

    2,200       2,220  

SES GLOBAL Americas Holdings

               

5.300%, 03/25/2044 (A)

    2,000       1,567  

Sprint Spectrum Co LLC / Sprint Spectrum Co II LLC / Sprint Spectrum Co III LLC

               

5.152%, 03/20/2028 (A)

    7,410       7,448  

4.738%, 03/20/2025 (A)

    951       949  

Take-Two Interactive Software

               

4.000%, 04/14/2032

    1,625       1,542  

Telefonica Emisiones

               

4.103%, 03/08/2027

    150       148  

Time Warner Cable Enterprises LLC

               

8.375%, 07/15/2033

    1,380       1,571  

Time Warner Cable LLC

               

7.300%, 07/01/2038

    100       105  

6.750%, 06/15/2039

    170       169  

6.550%, 05/01/2037

    280       276  

5.875%, 11/15/2040

    4,685       4,229  

5.500%, 09/01/2041

    4,882       4,225  

T-Mobile USA

               

5.150%, 04/15/2034

    1,945       1,980  

4.500%, 04/15/2050

    1,610       1,397  

3.875%, 04/15/2030

    3,540       3,406  

3.750%, 04/15/2027

    4,608       4,524  

3.500%, 04/15/2025

    720       712  

3.400%, 10/15/2052

    3,585       2,553  

3.300%, 02/15/2051

    210       148  

3.000%, 02/15/2041

    480       359  

2.700%, 03/15/2032

    2,680       2,325  

2.550%, 02/15/2031

    480       422  

2.250%, 11/15/2031

    790       670  

Verizon Communications

               

5.500%, 03/16/2047

    100       105  

5.500%, 02/23/2054

    1,363       1,398  

5.250%, 03/16/2037

    70       72  

4.862%, 08/21/2046

    30       28  

4.780%, 02/15/2035 (A)

    4,686       4,621  

4.500%, 08/10/2033

    650       632  

4.400%, 11/01/2034

    3,140       3,014  

4.016%, 12/03/2029

    1,337       1,309  

4.000%, 03/22/2050

    1,110       906  

3.850%, 11/01/2042

    1,750       1,457  

3.700%, 03/22/2061

    475       350  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.400%, 03/22/2041

  $ 240     $ 191  

3.150%, 03/22/2030

    580       541  

2.650%, 11/20/2040

    700       502  

2.550%, 03/21/2031

    1,396       1,228  

1.750%, 01/20/2031

    1,640       1,378  

Walt Disney

               

6.650%, 11/15/2037

    260       303  

6.200%, 12/15/2034

    265       297  

4.625%, 03/23/2040

    755       728  

3.500%, 05/13/2040

    2,710       2,246  

Warnermedia Holdings

               

6.412%, 03/15/2026

    720       720  

5.391%, 03/15/2062

    320       240  

5.141%, 03/15/2052

    13,105       9,968  

5.050%, 03/15/2042

    5,785       4,636  

4.279%, 03/15/2032

    1,590       1,390  

4.054%, 03/15/2029

    500       467  

3.755%, 03/15/2027

    370       354  
                 
              189,383  
                 

Consumer Discretionary — 0.9%

       

Amazon.com

               

4.950%, 12/05/2044

    600       606  

4.800%, 12/05/2034

    187       192  

4.250%, 08/22/2057

    490       431  

3.875%, 08/22/2037

    5,260       4,832  

3.600%, 04/13/2032

    2,260       2,154  

3.450%, 04/13/2029

    550       538  

3.300%, 04/13/2027

    260       255  

3.150%, 08/22/2027

    160       156  

3.100%, 05/12/2051

    2,210       1,593  

2.500%, 06/03/2050

    880       564  

1.500%, 06/03/2030

    540       467  

1.200%, 06/03/2027

    1,090       1,008  

AutoZone

               

6.250%, 11/01/2028

    1,185       1,260  

Comcast

               

4.000%, 08/15/2047

    170       139  

Ford Motor

               

6.100%, 08/19/2032

    940       966  

Ford Motor Credit LLC

               

6.050%, 03/05/2031

    1,530       1,572  

4.000%, 11/13/2030

    1,986       1,831  

2.900%, 02/10/2029

    3,826       3,464  

General Motors

               

6.600%, 04/01/2036

    70       76  

6.250%, 10/02/2043

    940       977  

5.600%, 10/15/2032

    280       289  

5.150%, 04/01/2038

    150       144  

General Motors Financial

               

5.950%, 04/04/2034

    2,670       2,763  

5.000%, 04/09/2027

    465       469  

4.350%, 01/17/2027

    520       516  

 

 

 

SEI Institutional Investments Trust

 

189

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

2.700%, 06/10/2031

  $ 1,212     $ 1,043  

Home Depot

               

5.300%, 06/25/2054

    573       585  

4.850%, 06/25/2031

    759       777  

4.750%, 06/25/2029

    1,142       1,168  

3.900%, 12/06/2028

    80       79  

3.900%, 06/15/2047

    100       83  

3.625%, 04/15/2052

    730       568  

3.350%, 04/15/2050

    800       598  

3.300%, 04/15/2040

    540       442  

2.700%, 04/15/2030

    480       441  

2.500%, 04/15/2027

    430       413  

Hyatt Hotels

               

1.800%, 10/01/2024

    2,515       2,508  

Hyundai Capital America

               

5.700%, 06/26/2030 (A)

    508       530  

5.600%, 03/30/2028 (A)

    2,336       2,397  

5.400%, 01/08/2031 (A)

    880       903  

5.400%, 06/24/2031 (A)

    1,146       1,178  

5.300%, 06/24/2029 (A)

    2,894       2,957  

Hyundai Capital America MTN

               

1.300%, 01/08/2026 (A)

    1,416       1,350  

Las Vegas Sands

               

6.000%, 08/15/2029

    610       626  

2.900%, 06/25/2025

    140       137  

Lowe's

               

5.850%, 04/01/2063

    374       383  

5.750%, 07/01/2053

    1,134       1,166  

5.625%, 04/15/2053

    364       368  

5.000%, 04/15/2040

    1,690       1,634  

4.500%, 04/15/2030

    320       320  

4.250%, 04/01/2052

    1,819       1,492  

2.500%, 04/15/2026

    260       252  

1.700%, 09/15/2028

    900       810  

McDonald's

               

5.450%, 08/14/2053

    1,865       1,888  

4.800%, 08/14/2028

    767       781  

McDonald's MTN

               

6.300%, 03/01/2038

    1,145       1,281  

5.000%, 05/17/2029

    1,917       1,971  

4.875%, 12/09/2045

    670       632  

4.200%, 04/01/2050

    1,250       1,047  

3.800%, 04/01/2028

    250       246  

3.700%, 01/30/2026

    1,065       1,053  

3.625%, 09/01/2049

    90       69  

3.600%, 07/01/2030

    460       441  

3.500%, 03/01/2027

    180       176  

3.500%, 07/01/2027

    510       499  

2.125%, 03/01/2030

    420       374  

1.450%, 09/01/2025

    850       823  

Newell Brands

               

5.700%, 04/01/2026

    560       558  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

NIKE

               

3.375%, 03/27/2050

  $ 2     $ 2  

3.250%, 03/27/2040

    330       269  

2.850%, 03/27/2030

    650       605  

2.750%, 03/27/2027

    640       618  

Sands China

               

5.125%, 08/08/2025

    810       806  

4.375%, 06/18/2030

    1,890       1,783  

Starbucks

               

3.500%, 11/15/2050

    940       697  

Toyota Motor Credit

               

5.100%, 03/21/2031

    2,845       2,933  
                 
              72,022  
                 

Consumer Staples — 1.5%

       

Adani International Container Terminal PVT

               

3.000%, 02/16/2031 (A)

    537       470  

Aetna

               

3.875%, 08/15/2047

    360       273  

Alcon Finance

               

5.375%, 12/06/2032 (A)

    1,895       1,961  

3.000%, 09/23/2029 (A)

    3,845       3,570  

2.600%, 05/27/2030 (A)

    384       346  

Altria Group

               

6.875%, 11/01/2033

    1,820       2,037  

5.950%, 02/14/2049

    380       392  

4.800%, 02/14/2029

    11       11  

4.400%, 02/14/2026

    203       202  

3.400%, 02/04/2041

    970       736  

2.450%, 02/04/2032

    2,750       2,313  

2.350%, 05/06/2025

    180       177  

Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide

               

4.900%, 02/01/2046

    3,280       3,149  

4.700%, 02/01/2036

    6,746       6,663  

Anheuser-Busch InBev Worldwide

               

5.800%, 01/23/2059

    560       615  

5.550%, 01/23/2049

    230       241  

5.450%, 01/23/2039

    1,914       2,014  

5.000%, 06/15/2034

    1,485       1,523  

4.750%, 01/23/2029

    1,890       1,925  

4.375%, 04/15/2038

    1,031       977  

4.350%, 06/01/2040

    970       895  

3.500%, 06/01/2030

    300       288  

Bacardi

               

4.450%, 05/15/2025 (A)

    2,895       2,876  

BAT Capital

               

6.000%, 02/20/2034

    1,065       1,123  

5.834%, 02/20/2031

    2,630       2,760  

5.650%, 03/16/2052

    2,155       2,035  

4.758%, 09/06/2049

    224       188  

4.540%, 08/15/2047

    3,570       2,920  

4.390%, 08/15/2037

    1,271       1,134  

 

 

 

190

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.557%, 08/15/2027

  $ 1,792     $ 1,748  

Bayer US Finance II LLC

               

4.375%, 12/15/2028 (A)

    3,938       3,853  

Bayer US Finance LLC

               

3.375%, 10/08/2024 (A)

    1,475       1,471  

Bunge Finance

               

1.630%, 08/17/2025

    771       747  

Coca-Cola

               

5.400%, 05/13/2064

    386       400  

5.200%, 01/14/2055

    1,595       1,625  

4.650%, 08/14/2034

    1,809       1,823  

2.500%, 06/01/2040

    310       228  

CommonSpirit Health

               

3.347%, 10/01/2029

    702       663  

2.782%, 10/01/2030

    1,840       1,649  

Constellation Brands

               

4.350%, 05/09/2027

    600       598  

2.250%, 08/01/2031

    130       111  

Costco Wholesale

               

1.750%, 04/20/2032

    560       469  

1.375%, 06/20/2027

    1,220       1,135  

CVS Pass-Through Trust

               

6.036%, 12/10/2028

    855       865  

5.926%, 01/10/2034 (A)

    117       120  

5.880%, 01/10/2028

    49       49  

5.789%, 01/10/2026 (A)

    210       210  

Danone

               

2.947%, 11/02/2026 (A)

    450       436  

DP World MTN

               

5.625%, 09/25/2048 (A)

    2,790       2,780  

Fresenius Medical Care US Finance III

               

1.875%, 12/01/2026 (A)

    2,440       2,268  

General Mills

               

5.500%, 10/17/2028

    1,665       1,731  

Haleon US Capital LLC

               

3.625%, 03/24/2032

    1,781       1,655  

3.375%, 03/24/2027

    770       751  

3.375%, 03/24/2029

    530       507  

Imperial Brands Finance MTN

               

5.500%, 02/01/2030 (A)

    1,300       1,327  

Imperial Brands Finance PLC

               

4.250%, 07/21/2025 (A)

    326       323  

JBS USA Holding Lux S.AR.L.

               

7.250%, 11/15/2053 (A)

    1,861       2,136  

3.750%, 12/01/2031

    535       485  

3.625%, 01/15/2032

    763       686  

3.000%, 05/15/2032

    2,857       2,442  

JBS USA Holding Lux Sarl

               

6.750%, 03/15/2034 (A)

    2,582       2,831  

6.500%, 12/01/2052

    4,601       4,847  

3.000%, 02/02/2029

    180       166  

Kenvue

               

4.900%, 03/22/2033

    1,040       1,064  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Keurig Dr Pepper

               

5.300%, 03/15/2034

  $ 2,550     $ 2,628  

4.417%, 05/25/2025

    91       91  

Kimberly-Clark

               

3.100%, 03/26/2030

    200       189  

Kroger

               

5.500%, 09/15/2054

    1,525       1,495  

5.000%, 09/15/2034

    4,000       3,987  

Mondelez International

               

1.500%, 05/04/2025

    1,070       1,045  

PepsiCo

               

3.900%, 07/18/2032

    1,878       1,822  

2.625%, 03/19/2027

    80       77  

Philip Morris International

               

5.750%, 11/17/2032

    922       976  

5.500%, 09/07/2030

    1,051       1,101  

5.375%, 02/15/2033

    2,120       2,186  

5.250%, 09/07/2028

    898       924  

5.250%, 02/13/2034

    340       348  

5.125%, 02/15/2030

    2,835       2,915  

5.125%, 02/13/2031

    1,295       1,328  

5.000%, 11/17/2025

    1,586       1,592  

4.875%, 02/15/2028

    2,163       2,193  

4.875%, 02/13/2029

    450       457  

2.100%, 05/01/2030

    460       406  

Pilgrim's Pride

               

3.500%, 03/01/2032

    670       593  

Reynolds American

               

8.125%, 05/01/2040

    1,060       1,240  

7.250%, 06/15/2037

    745       845  

6.150%, 09/15/2043

    480       487  

5.850%, 08/15/2045

    4,055       3,972  

Solventum

               

5.900%, 04/30/2054 (A)

    1,270       1,285  

5.450%, 03/13/2031 (A)

    1,070       1,089  

5.400%, 03/01/2029 (A)

    1,070       1,092  

Trustees of the University of Pennsylvania

               

3.610%, 02/15/2119

    43       30  

Walmart

               

1.800%, 09/22/2031

    200       172  

1.500%, 09/22/2028

    290       264  
                 
              124,842  
                 

Energy — 2.3%

       

Apache

               

5.100%, 09/01/2040

    110       97  

4.750%, 04/15/2043

    420       343  

4.250%, 01/15/2030

    20       19  

4.250%, 01/15/2044

    1,130       840  

BP Capital Markets America

               

5.017%, 11/17/2027

    2,007       2,051  

4.970%, 10/17/2029

    1,684       1,727  

4.893%, 09/11/2033

    1,835       1,845  

 

 

 

SEI Institutional Investments Trust

 

191

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.812%, 02/13/2033

  $ 2,925     $ 2,926  

3.633%, 04/06/2030

    480       462  

3.000%, 02/24/2050

    1,430       977  

Cameron LNG LLC

               

3.302%, 01/15/2035 (A)

    1,670       1,422  

2.902%, 07/15/2031 (A)

    1,530       1,354  

Canadian Natural Resources

               

6.450%, 06/30/2033

    200       216  

Cheniere Corpus Christi Holdings LLC

               

3.700%, 11/15/2029

    1,846       1,757  

Chevron

               

3.078%, 05/11/2050

    950       685  

Columbia Pipelines Operating LLC

               

6.544%, 11/15/2053 (A)

    280       310  

6.036%, 11/15/2033 (A)

    1,730       1,827  

ConocoPhillips

               

6.950%, 04/15/2029

    995       1,105  

4.150%, 11/15/2034

    458       437  

Continental Resources/Oklahoma

               

4.900%, 06/01/2044

    940       799  

4.375%, 01/15/2028

    810       795  

2.268%, 11/15/2026 (A)

    4,370       4,128  

Coterra Energy

               

4.375%, 03/15/2029

    1,840       1,802  

3.900%, 05/15/2027

    1,740       1,706  

Devon Energy

               

7.875%, 09/30/2031

    1,580       1,833  

5.850%, 12/15/2025

    1,400       1,415  

5.750%, 09/15/2054

    2,204       2,139  

5.600%, 07/15/2041

    680       664  

5.250%, 10/15/2027

    98       99  

5.200%, 09/15/2034

    4,413       4,362  

5.000%, 06/15/2045

    1,770       1,579  

4.750%, 05/15/2042

    567       497  

4.500%, 01/15/2030

    256       253  

Diamondback Energy

               

6.250%, 03/15/2033

    3,390       3,641  

5.900%, 04/18/2064

    1,306       1,311  

5.750%, 04/18/2054

    1,869       1,870  

5.400%, 04/18/2034

    1,430       1,456  

5.200%, 04/18/2027

    757       770  

5.150%, 01/30/2030

    1,414       1,445  

3.500%, 12/01/2029

    1,350       1,276  

3.125%, 03/24/2031

    320       289  

Ecopetrol

               

5.875%, 05/28/2045

    3,400       2,527  

Enbridge

               

6.200%, 11/15/2030

    1,122       1,212  

6.000%, 11/15/2028

    1,122       1,185  

5.950%, 04/05/2054

    377       390  

5.625%, 04/05/2034

    1,133       1,169  

Energy Transfer LP

               

6.400%, 12/01/2030

    4,920       5,323  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

6.250%, 04/15/2049

  $ 1,390     $ 1,446  

6.050%, 09/01/2054

    1,146       1,173  

5.950%, 05/15/2054

    3,054       3,084  

5.600%, 09/01/2034

    1,909       1,965  

5.550%, 05/15/2034

    680       697  

5.500%, 06/01/2027

    620       632  

5.400%, 10/01/2047

    480       449  

5.300%, 04/01/2044

    60       56  

5.300%, 04/15/2047

    764       709  

5.250%, 04/15/2029

    2,085       2,132  

5.250%, 07/01/2029

    1,910       1,955  

4.950%, 06/15/2028

    280       283  

4.000%, 10/01/2027

    1,870       1,836  

3.750%, 05/15/2030

    2,550       2,412  

2.900%, 05/15/2025

    740       728  

Eni SpA

               

5.950%, 05/15/2054 (A)

    540       555  

Enterprise Products Operating LLC

               

7.550%, 04/15/2038

    60       74  

6.650%, 10/15/2034

    390       438  

6.125%, 10/15/2039

    145       158  

5.550%, 02/16/2055

    1,999       2,034  

5.375%, TSFR3M + 2.832%, 02/15/2078 (B)

    470       442  

4.950%, 02/15/2035

    3,015       3,028  

4.850%, 01/31/2034

    1,570       1,576  

4.850%, 03/15/2044

    60       56  

4.150%, 10/16/2028

    1,580       1,570  

3.950%, 01/31/2060

    300       230  

3.700%, 01/31/2051

    510       391  

3.125%, 07/31/2029

    350       332  

2.800%, 01/31/2030

    1,800       1,664  

EOG Resources

               

4.950%, 04/15/2050

    1,590       1,507  

4.375%, 04/15/2030

    860       861  

4.150%, 01/15/2026

    270       269  

3.900%, 04/01/2035

    960       886  

EQT

               

7.000%, 02/01/2030

    900       981  

Exxon Mobil

               

4.327%, 03/19/2050

    100       89  

4.227%, 03/19/2040

    260       239  

4.114%, 03/01/2046

    910       792  

3.482%, 03/19/2030

    730       703  

Galaxy Pipeline Assets Bidco

               

2.625%, 03/31/2036 (A)

    964       814  

2.160%, 03/31/2034 (A)

    1,198       1,055  

1.750%, 09/30/2027 (A)

    1,333       1,269  

Greensaif Pipelines Bidco Sarl

               

6.103%, 08/23/2042 (A)

    1,985       2,036  

Hess

               

6.000%, 01/15/2040

    3,020       3,206  

5.800%, 04/01/2047

    1,150       1,193  

 

 

 

192

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

HF Sinclair

               

5.875%, 04/01/2026

  $ 1,265     $ 1,278  

5.000%, 02/01/2028 (A)

    2,290       2,257  

KazMunayGas National JSC

               

6.375%, 10/24/2048 (A)

    470       460  

5.750%, 04/19/2047 (A)

    1,770       1,606  

5.375%, 04/24/2030 (A)

    1,520       1,502  

Kinder Morgan

               

5.200%, 03/01/2048

    1,240       1,143  

5.050%, 02/15/2046

    260       236  

5.000%, 02/01/2029

    300       304  

4.300%, 03/01/2028

    450       448  

Kinder Morgan Energy Partners LP

               

5.500%, 03/01/2044

    70       68  

5.400%, 09/01/2044

    40       38  

5.000%, 03/01/2043

    50       45  

MPLX LP

               

5.500%, 02/15/2049

    410       393  

5.200%, 03/01/2047

    320       298  

5.200%, 12/01/2047

    470       433  

4.800%, 02/15/2029

    120       121  

4.700%, 04/15/2048

    1,410       1,214  

4.500%, 04/15/2038

    810       740  

4.000%, 03/15/2028

    350       343  

Occidental Petroleum

               

7.875%, 09/15/2031

    140       162  

7.500%, 05/01/2031

    240       272  

5.550%, 03/15/2026

    2,180       2,198  

4.625%, 06/15/2045

    400       328  

4.400%, 04/15/2046

    410       336  

4.200%, 03/15/2048

    390       302  

4.100%, 02/15/2047

    1,040       773  

3.400%, 04/15/2026

    100       97  

3.200%, 08/15/2026

    1,740       1,683  

3.000%, 02/15/2027

    510       486  

ONEOK

               

6.625%, 09/01/2053

    4,508       4,965  

6.050%, 09/01/2033

    830       876  

5.800%, 11/01/2030

    540       570  

5.550%, 11/01/2026

    350       357  

Pertamina Persero

               

6.000%, 05/03/2042 (A)

    1,220       1,272  

Petrobras Global Finance

               

6.850%, 06/05/2115

    1,090       1,029  

Petroleos del Peru

               

4.750%, 06/19/2032 (A)

    4,690       3,525  

Petroleos Mexicanos

               

6.350%, 02/12/2048

    266       176  

2.460%, 12/15/2025

    470       448  

2.378%, 04/15/2025

    174       170  

Petroleos Mexicanos MTN

               

6.750%, 09/21/2047

    999       684  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Phillips 66

               

1.300%, 02/15/2026

  $ 925     $ 882  

Pioneer Natural Resources

               

2.150%, 01/15/2031

    1,590       1,383  

1.900%, 08/15/2030

    720       627  

1.125%, 01/15/2026

    180       172  

Reliance Industries

               

3.625%, 01/12/2052 (A)

    2,480       1,827  

2.875%, 01/12/2032 (A)

    1,280       1,115  

Rockies Express Pipeline LLC

               

4.950%, 07/15/2029 (A)

    1,985       1,897  

Sabine Pass Liquefaction LLC

               

5.000%, 03/15/2027

    3,145       3,167  

Schlumberger Holdings

               

3.900%, 05/17/2028 (A)

    857       842  

Shell International Finance BV

               

6.375%, 12/15/2038

    660       754  

4.550%, 08/12/2043

    490       459  

4.375%, 05/11/2045

    890       794  

4.125%, 05/11/2035

    2,445       2,338  

4.000%, 05/10/2046

    170       143  

3.750%, 09/12/2046

    100       80  

3.250%, 04/06/2050

    540       392  

2.750%, 04/06/2030

    660       609  

Spectra Energy Partners LP

               

3.375%, 10/15/2026

    140       136  

Tennessee Gas Pipeline LLC

               

8.375%, 06/15/2032

    2,200       2,589  

2.900%, 03/01/2030 (A)

    2,775       2,516  

TotalEnergies Capital

               

5.638%, 04/05/2064

    377       391  

5.488%, 04/05/2054

    756       780  

5.150%, 04/05/2034

    755       781  

TransCanada PipeLines

               

5.850%, 03/15/2036

    117       122  

4.625%, 03/01/2034

    4,705       4,572  

Transcontinental Gas Pipe Line LLC

               

7.850%, 02/01/2026

    1,820       1,882  

Western Midstream Operating LP

               

3.100%, 02/01/2025

    330       326  

Williams

               

8.750%, 03/15/2032

    1,284       1,559  

7.750%, 06/15/2031

    339       380  

7.500%, 01/15/2031

    9       10  

5.750%, 06/24/2044

    400       404  

5.150%, 03/15/2034

    1,240       1,245  

5.100%, 09/15/2045

    670       623  

4.900%, 01/15/2045

    570       514  

3.750%, 06/15/2027

    410       402  
                 
              184,689  
                 

 

 

 

SEI Institutional Investments Trust

 

193

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Financials — 8.9%

       

Aegon

               

4.137%, USISSO10 + 0.387%(B)(H)

  $ 2,180     $ 1,742  

AerCap Ireland Capital DAC / AerCap Global Aviation Trust

               

6.450%, 04/15/2027

    2,334       2,428  

3.300%, 01/30/2032

    4,268       3,794  

3.000%, 10/29/2028

    13,448       12,577  

2.450%, 10/29/2026

    3,970       3,784  

1.650%, 10/29/2024

    917       911  

AIB Group PLC MTN

               

5.871%, SOFRRATE + 1.910%, 03/28/2035 (A)(B)

    1,810       1,872  

Ally Financial

               

6.184%, SOFRRATE + 2.290%, 07/26/2035 (B)

    2,510       2,556  

American Express

               

5.389%, SOFRRATE + 0.970%, 07/28/2027 (B)

    8,695       8,843  

4.050%, 05/03/2029

    650       647  

4.050%, 12/03/2042

    250       221  

American International Group

               

3.875%, 01/15/2035

    315       291  

Aon / Aon Global Holdings PLC

               

3.900%, 02/28/2052

    1,015       791  

Aon North America

               

5.450%, 03/01/2034

    5,640       5,836  

Apollo Global Management

               

5.800%, 05/21/2054

    1,150       1,183  

Athene Global Funding

               

3.205%, 03/08/2027 (A)

    1,470       1,401  

2.950%, 11/12/2026 (A)

    2,665       2,564  

2.717%, 01/07/2029 (A)

    1,245       1,141  

1.985%, 08/19/2028 (A)

    20       18  

1.608%, 06/29/2026 (A)

    1,020       964  

Athene Holding

               

4.125%, 01/12/2028

    1,140       1,118  

Avolon Holdings Funding

               

6.375%, 05/04/2028 (A)

    1,410       1,466  

5.750%, 03/01/2029 (A)

    1,410       1,444  

5.750%, 11/15/2029 (A)

    3,015       3,087  

3.250%, 02/15/2027 (A)

    400       383  

2.875%, 02/15/2025 (A)

    1,420       1,401  

2.528%, 11/18/2027 (A)

    1,073       993  

Banco Bilbao Vizcaya Argentaria

               

7.883%, H15T1Y + 3.300%, 11/15/2034 (B)

    1,600       1,811  

6.033%, H15T1Y + 1.950%, 03/13/2035 (B)

    1,400       1,457  

Banco Santander

               

6.938%, 11/07/2033

    2,800       3,185  

6.607%, 11/07/2028

    1,000       1,077  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

6.527%, H15T1Y + 1.650%, 11/07/2027 (B)

  $ 1,200     $ 1,244  

5.538%, H15T1Y + 1.450%, 03/14/2030 (B)

    1,600       1,644  

4.175%, H15T1Y + 2.000%, 03/24/2028 (B)

    200       197  

2.746%, 05/28/2025

    1,800       1,769  

Bank Gospodarstwa Krajowego

               

6.250%, 07/09/2054 (A)

    1,277       1,376  

Bank of America

               

5.933%, SOFRRATE + 1.340%, 09/15/2027 (B)

    389       399  

5.468%, SOFRRATE + 1.650%, 01/23/2035 (B)

    2,765       2,862  

4.571%, SOFRRATE + 1.830%, 04/27/2033 (B)

    4,720       4,618  

3.419%, TSFR3M + 1.302%, 12/20/2028 (B)

    6,482       6,250  

2.592%, SOFRRATE + 2.150%, 04/29/2031 (B)

    6,175       5,539  

2.572%, SOFRRATE + 1.210%, 10/20/2032 (B)

    2,590       2,240  

1.734%, SOFRRATE + 0.960%, 07/22/2027 (B)

    14,079       13,356  

1.658%, SOFRRATE + 0.910%, 03/11/2027 (B)

    4,685       4,473  

Bank of America MTN

               

5.425%, SOFRRATE + 1.913%, 08/15/2035 (B)

    3,467       3,475  

5.000%, 01/21/2044

    1,800       1,792  

4.450%, 03/03/2026

    1,630       1,625  

4.376%, SOFRRATE + 1.580%, 04/27/2028 (B)

    2,060       2,049  

4.250%, 10/22/2026

    130       129  

4.083%, TSFR3M + 3.412%, 03/20/2051 (B)

    2,940       2,474  

4.000%, 01/22/2025

    1,580       1,571  

3.970%, TSFR3M + 1.332%, 03/05/2029 (B)

    1,780       1,743  

3.593%, TSFR3M + 1.632%, 07/21/2028 (B)

    710       692  

3.500%, 04/19/2026

    1,210       1,191  

3.093%, TSFR3M + 1.352%, 10/01/2025 (B)

    1,915       1,911  

2.972%, SOFRRATE + 1.330%, 02/04/2033 (B)

    2,020       1,781  

2.884%, TSFR3M + 1.452%, 10/22/2030 (B)

    480       441  

2.496%, TSFR3M + 1.252%, 02/13/2031 (B)

    1,435       1,286  

2.087%, SOFRRATE + 1.060%, 06/14/2029 (B)

    13,470       12,331  

1.319%, SOFRRATE + 1.150%, 06/19/2026 (B)

    60       58  

 

 

 

194

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Bank of Montreal MTN

               

1.850%, 05/01/2025

  $ 1,360     $ 1,333  

Bank of New York Mellon

               

4.543%, SOFRRATE + 1.169%, 02/01/2029 (B)

    2,020       2,030  

Bank of New York Mellon MTN

               

5.060%, SOFRRATE + 1.230%, 07/22/2032 (B)

    1,578       1,613  

3.250%, 09/11/2024

    270       270  

3.250%, 05/16/2027

    270       263  

1.600%, 04/24/2025

    410       401  

Bank of Nova Scotia

               

4.900%, H15T5Y + 4.551%(B)(H)

    1,385       1,363  

4.588%, H15T5Y + 2.050%, 05/04/2037 (B)

    710       666  

1.300%, 06/11/2025

    760       740  

Bank of Nova Scotia MTN

               

3.450%, 04/11/2025

    1,950       1,932  

Barclays PLC

               

5.690%, SOFRRATE + 1.740%, 03/12/2030 (B)

    2,352       2,425  

5.674%, SOFRRATE + 1.490%, 03/12/2028 (B)

    2,352       2,400  

4.375%, 01/12/2026

    4,430       4,404  

Barclays PLC MTN

               

4.972%, US0003M + 1.902%, 05/16/2029 (B)

    640       642  

Berkshire Hathaway Finance

               

4.250%, 01/15/2049

    1,260       1,144  

BlackRock Funding

               

5.350%, 01/08/2055

    1,132       1,162  

5.250%, 03/14/2054

    340       345  

4.900%, 01/08/2035

    1,562       1,588  

BNP Paribas

               

5.894%, SOFRRATE + 1.866%, 12/05/2034 (A)(B)

    4,212       4,471  

5.497%, SOFRRATE + 1.590%, 05/20/2030 (A)(B)

    2,255       2,314  

5.198%, TSFR3M + 2.829%, 01/10/2030 (A)(B)

    1,220       1,240  

5.176%, SOFRRATE + 1.520%, 01/09/2030 (A)(B)

    2,225       2,263  

5.125%, H15T1Y + 1.450%, 01/13/2029 (A)(B)

    3,070       3,117  

4.400%, 08/14/2028 (A)

    1,070       1,060  

3.375%, 01/09/2025 (A)

    420       417  

2.871%, TSFR3M + 1.387%, 04/19/2032 (A)(B)

    2,820       2,468  

2.219%, SOFRRATE + 2.074%, 06/09/2026 (A)(B)

    950       928  

BNP Paribas MTN

               

4.375%, USSW5 + 1.483%, 03/01/2033 (A)(B)

    380       368  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

BPCE MTN

               

5.975%, SOFRRATE + 2.100%, 01/18/2027 (A)(B)

  $ 3,120     $ 3,159  

Brighthouse Financial

               

4.700%, 06/22/2047

    4       3  

Cantor Fitzgerald LP

               

4.500%, 04/14/2027 (A)

    1,575       1,552  

Capital One Financial

               

5.884%, SOFRRATE + 1.990%, 07/26/2035 (B)

    1,554       1,594  

5.463%, SOFRRATE + 1.560%, 07/26/2030 (B)

    2,330       2,372  

Charles Schwab

               

6.196%, SOFRRATE + 1.878%, 11/17/2029 (B)

    1,810       1,916  

6.136%, SOFRRATE + 2.010%, 08/24/2034 (B)

    360       387  

5.875%, 08/24/2026

    1,860       1,906  

5.643%, SOFRRATE + 2.210%, 05/19/2029 (B)

    3,380       3,497  

Chubb INA Holdings LLC

               

3.350%, 05/03/2026

    420       413  

Chubb INA Holdings LLC MTN

               

5.000%, 03/15/2034

    1,650       1,691  

CI Financial

               

3.200%, 12/17/2030

    1,520       1,257  

Citadel LP

               

4.875%, 01/15/2027 (A)

    1,240       1,233  

Citibank

               

5.570%, 04/30/2034

    4,625       4,858  

5.488%, 12/04/2026

    1,995       2,040  

4.838%, 08/06/2029

    4,374       4,434  

Citigroup

               

8.125%, 07/15/2039

    1,438       1,871  

6.174%, SOFRRATE + 2.661%, 05/25/2034 (B)

    2,820       2,977  

5.827%, SOFRRATE + 2.056%, 02/13/2035 (B)

    831       854  

5.610%, SOFRRATE + 1.546%, 09/29/2026 (B)

    4,970       5,006  

5.500%, 09/13/2025

    1,000       1,005  

5.300%, 05/06/2044

    255       251  

5.174%, SOFRRATE + 1.364%, 02/13/2030 (B)

    5,605       5,712  

4.910%, SOFRRATE + 2.086%, 05/24/2033 (B)

    1,410       1,402  

4.750%, 05/18/2046

    150       136  

4.658%, SOFRRATE + 1.887%, 05/24/2028 (B)

    600       602  

4.650%, 07/30/2045

    1,140       1,044  

4.650%, 07/23/2048

    280       255  

4.600%, 03/09/2026

    2,785       2,778  

4.450%, 09/29/2027

    1,070       1,065  

4.400%, 06/10/2025

    2,040       2,029  

 

 

 

SEI Institutional Investments Trust

 

195

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.300%, 11/20/2026

  $ 590     $ 586  

4.125%, 07/25/2028

    260       256  

3.785%, SOFRRATE + 1.939%, 03/17/2033 (B)

    1,780       1,643  

3.106%, SOFRRATE + 2.842%, 04/08/2026 (B)

    560       553  

3.057%, SOFRRATE + 1.351%, 01/25/2033 (B)

    313       275  

2.976%, SOFRRATE + 1.422%, 11/05/2030 (B)

    2,575       2,371  

2.572%, SOFRRATE + 2.107%, 06/03/2031 (B)

    6,070       5,399  

2.561%, SOFRRATE + 1.167%, 05/01/2032 (B)

    3,080       2,668  

2.520%, SOFRRATE + 1.177%, 11/03/2032 (B)

    1,125       961  

Citizens Financial Group

               

5.718%, SOFRRATE + 1.910%, 07/23/2032 (B)

    2,344       2,393  

Constellation Insurance

               

6.800%, 01/24/2030 (A)

    1,775       1,768  

Cooperatieve Rabobank UA

               

4.375%, 08/04/2025

    1,310       1,301  

3.758%, H15T1Y + 1.420%, 04/06/2033 (A)(B)

    3,290       3,033  

3.649%, H15T1Y + 1.220%, 04/06/2028 (A)(B)

    780       760  

Credit Agricole SA/London MTN

               

1.907%, SOFRRATE + 1.676%, 06/16/2026 (A)(B)

    630       614  

Credit Suisse AG/New York NY

               

7.950%, 01/09/2025

    1,570       1,582  

7.500%, 02/15/2028

    3,000       3,275  

Credit Suisse AG/New York NY MTN

               

3.700%, 02/21/2025

    2,645       2,626  

Danske Bank

               

6.466%, H15T1Y + 2.100%, 01/09/2026 (A)(B)

    2,255       2,263  

3.244%, US0003M + 1.591%, 12/20/2025 (A)(B)

    1,320       1,311  

Danske Bank MTN

               

0.976%, H15T1Y + 0.550%, 09/10/2025 (A)(B)

    1,110       1,109  

Deutsche Bank NY

               

6.819%, SOFRRATE + 2.510%, 11/20/2029 (B)

    1,445       1,537  

5.414%, 05/10/2029

    2,672       2,756  

3.742%, SOFRRATE + 2.257%, 01/07/2033 (B)

    3,189       2,730  

F&G Global Funding

               

1.750%, 06/30/2026 (A)

    1,580       1,484  

Farmers Exchange Capital

               

7.200%, 07/15/2048 (A)

    1,788       1,758  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Farmers Exchange Capital II

               

6.151%, TSFR3M + 4.006%, 11/01/2053 (A)(B)

  $ 4,120     $ 3,853  

Global Payments

               

4.950%, 08/15/2027

    1,666       1,684  

2.150%, 01/15/2027

    2,731       2,586  

Goldman Sachs Bank USA NY

               

5.414%, SOFRRATE + 0.750%, 05/21/2027 (B)

    3,836       3,879  

5.283%, SOFRRATE + 0.777%, 03/18/2027 (B)

    2,340       2,358  

Goldman Sachs Capital II

               

6.045%, TSFR3M + 1.029%(B)(H)

    435       367  

Goldman Sachs Group

               

6.750%, 10/01/2037

    1,349       1,520  

6.250%, 02/01/2041

    1,290       1,440  

5.859%, SOFRRATE + 0.486%, 10/21/2024 (B)

    2,475       2,475  

5.330%, SOFRRATE + 1.550%, 07/23/2035 (B)

    2,340       2,384  

5.150%, 05/22/2045

    1,870       1,838  

5.049%, SOFRRATE + 1.210%, 07/23/2030 (B)

    3,119       3,166  

4.750%, 10/21/2045

    400       378  

4.387%, SOFRRATE + 1.510%, 06/15/2027 (B)

    2,610       2,597  

4.250%, 10/21/2025

    820       814  

4.223%, TSFR3M + 1.563%, 05/01/2029 (B)

    500       493  

3.750%, 05/22/2025

    500       495  

3.615%, SOFRRATE + 1.846%, 03/15/2028 (B)

    310       303  

3.500%, 01/23/2025

    150       149  

3.500%, 04/01/2025

    870       862  

3.500%, 11/16/2026

    2,420       2,366  

3.272%, TSFR3M + 1.463%, 09/29/2025 (B)

    2,425       2,420  

3.210%, SOFRRATE + 1.513%, 04/22/2042 (B)

    120       93  

2.908%, SOFRRATE + 1.472%, 07/21/2042 (B)

    280       206  

2.650%, SOFRRATE + 1.264%, 10/21/2032 (B)

    9,760       8,425  

2.383%, SOFRRATE + 1.248%, 07/21/2032 (B)

    5,670       4,828  

1.542%, SOFRRATE + 0.818%, 09/10/2027 (B)

    8,685       8,155  

1.431%, SOFRRATE + 0.798%, 03/09/2027 (B)

    9,465       8,987  

Guardian Life Global Funding

               

1.100%, 06/23/2025 (A)

    290       281  

HSBC Bank USA

               

7.000%, 01/15/2039

    510       596  

 

 

 

196

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

HSBC Holdings PLC

               

5.887%, SOFRRATE + 1.570%, 08/14/2027 (B)

  $ 1,480     $ 1,511  

5.733%, SOFRRATE + 1.520%, 05/17/2032 (B)

    3,745       3,887  

5.597%, SOFRRATE + 1.060%, 05/17/2028 (B)

    2,415       2,467  

4.755%, SOFRRATE + 2.110%, 06/09/2028 (B)

    660       660  

4.583%, TSFR3M + 1.796%, 06/19/2029 (B)

    660       655  

4.250%, 08/18/2025

    700       694  

4.041%, TSFR3M + 1.808%, 03/13/2028 (B)

    1,030       1,012  

2.871%, SOFRRATE + 1.410%, 11/22/2032 (B)

    350       304  

2.804%, SOFRRATE + 1.187%, 05/24/2032 (B)

    860       747  

2.357%, SOFRRATE + 1.947%, 08/18/2031 (B)

    410       357  

2.099%, SOFRRATE + 1.929%, 06/04/2026 (B)

    4,845       4,731  

HSBC USA

               

5.294%, 03/04/2027

    2,226       2,268  

Intercontinental Exchange

               

5.250%, 06/15/2031

    1,695       1,761  

1.850%, 09/15/2032

    3,890       3,167  

Intesa Sanpaolo MTN

               

5.710%, 01/15/2026 (A)

    1,260       1,264  

Jackson Financial

               

3.125%, 11/23/2031

    2,780       2,406  

JPMorgan Chase

               

8.750%, 09/01/2030

    1,725       2,085  

6.060%, TSFR3M + 0.812%, 02/01/2027 (B)

    2,740       2,672  

5.766%, SOFRRATE + 1.490%, 04/22/2035 (B)

    8,880       9,432  

5.581%, SOFRRATE + 1.160%, 04/22/2030 (B)

    4,713       4,907  

5.571%, SOFRRATE + 0.930%, 04/22/2028 (B)

    5,701       5,844  

5.299%, SOFRRATE + 1.450%, 07/24/2029 (B)

    4,705       4,828  

5.294%, SOFRRATE + 1.460%, 07/22/2035 (B)

    2,790       2,863  

4.995%, SOFRRATE + 1.125%, 07/22/2030 (B)

    1,979       2,015  

4.979%, SOFRRATE + 0.930%, 07/22/2028 (B)

    1,950       1,975  

4.950%, 06/01/2045

    170       166  

4.452%, TSFR3M + 1.592%, 12/05/2029 (B)

    740       737  

4.250%, 10/01/2027

    2,070       2,065  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.203%, TSFR3M + 1.522%, 07/23/2029 (B)

  $ 940     $ 928  

4.125%, 12/15/2026

    2,420       2,404  

3.882%, TSFR3M + 1.622%, 07/24/2038 (B)

    215       192  

3.875%, 09/10/2024

    440       440  

3.625%, 12/01/2027

    1,000       978  

3.109%, SOFRRATE + 2.440%, 04/22/2051 (B)

    210       151  

2.956%, TSFR3M + 2.515%, 05/13/2031 (B)

    2,755       2,506  

2.947%, SOFRRATE + 1.170%, 02/24/2028 (B)

    1,470       1,416  

2.739%, TSFR3M + 1.510%, 10/15/2030 (B)

    1,640       1,502  

2.580%, TSFR3M + 1.250%, 04/22/2032 (B)

    1,212       1,061  

2.545%, SOFRRATE + 1.180%, 11/08/2032 (B)

    1,320       1,142  

2.522%, SOFRRATE + 2.040%, 04/22/2031 (B)

    1,960       1,759  

2.301%, SOFRRATE + 1.160%, 10/15/2025 (B)

    470       468  

2.182%, SOFRRATE + 1.890%, 06/01/2028 (B)

    1,775       1,669  

2.083%, SOFRRATE + 1.850%, 04/22/2026 (B)

    1,280       1,256  

2.069%, SOFRRATE + 1.015%, 06/01/2029 (B)

    2,525       2,311  

1.953%, SOFRRATE + 1.065%, 02/04/2032 (B)

    425       359  

1.578%, SOFRRATE + 0.885%, 04/22/2027 (B)

    5,945       5,657  

1.470%, SOFRRATE + 0.765%, 09/22/2027 (B)

    3,180       2,987  

1.045%, SOFRRATE + 0.800%, 11/19/2026 (B)

    1,670       1,595  

KKR Group Finance II LLC

               

5.500%, 02/01/2043 (A)

    120       119  

Lehman Brothers Holdings

               

6.500%, 12/31/2049 (I)

    4,040        

Lehman Brothers Holdings MTN

               

6.750%, 12/31/2049 (I)

    10,370        

Lehman Brothers Holdings Capital Trust VII MTN

               

5.857%, US0003M + 0.840%(H)(I)

    20,630        

Lloyds Bank PLC

               

3.500%, 05/14/2025

    100       99  

Lloyds Banking Group PLC

               

5.871%, H15T1Y + 1.700%, 03/06/2029 (B)

    160       166  

4.375%, 03/22/2028

    680       675  

3.574%, US0003M + 1.205%, 11/07/2028 (B)

    370       357  

 

 

 

SEI Institutional Investments Trust

 

197

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Marsh & McLennan

               

5.750%, 11/01/2032

  $ 1,510     $ 1,625  

Mastercard

               

3.850%, 03/26/2050

    2,850       2,366  

Mercury General

               

4.400%, 03/15/2027

    1,720       1,690  

MetLife

               

6.400%, 12/15/2036

    1,580       1,662  

Metropolitan Life Global Funding I

               

3.450%, 12/18/2026 (A)

    4,445       4,357  

Metropolitan Life Global Funding I MTN

               

5.000%, 01/06/2026 (A)

    1,180       1,188  

3.300%, 03/21/2029 (A)

    2,460       2,342  

Mitsubishi UFJ Financial Group

               

5.719%, H15T1Y + 1.080%, 02/20/2026 (B)

    3,510       3,517  

5.063%, H15T1Y + 1.550%, 09/12/2025 (B)

    3,240       3,239  

4.080%, H15T1Y + 1.300%, 04/19/2028 (B)

    720       711  

3.837%, H15T1Y + 1.125%, 04/17/2026 (B)

    700       694  

Morgan Stanley

               

5.466%, SOFRRATE + 1.730%, 01/18/2035 (B)

    4,317       4,448  

5.449%, SOFRRATE + 1.630%, 07/20/2029 (B)

    2,292       2,363  

5.320%, SOFRRATE + 1.555%, 07/19/2035 (B)

    4,898       5,003  

5.042%, SOFRRATE + 1.215%, 07/19/2030 (B)

    3,508       3,568  

2.484%, SOFRRATE + 1.360%, 09/16/2036 (B)

    460       379  

1.593%, SOFRRATE + 0.879%, 05/04/2027 (B)

    1,520       1,444  

Morgan Stanley MTN

               

5.831%, SOFRRATE + 1.580%, 04/19/2035 (B)

    9,149       9,678  

5.656%, SOFRRATE + 1.260%, 04/18/2030 (B)

    5,135       5,346  

5.250%, SOFRRATE + 1.870%, 04/21/2034 (B)

    3,490       3,549  

5.164%, SOFRRATE + 1.590%, 04/20/2029 (B)

    2,017       2,055  

4.431%, TSFR3M + 1.890%, 01/23/2030 (B)

    70       70  

4.350%, 09/08/2026

    1,105       1,099  

3.772%, TSFR3M + 1.402%, 01/24/2029 (B)

    280       273  

3.622%, SOFRRATE + 3.120%, 04/01/2031 (B)

    3,165       3,003  

3.591%, US0003M + 1.340%, 07/22/2028 (B)

    270       262  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

2.699%, SOFRRATE + 1.143%, 01/22/2031 (B)

  $ 10     $ 9  

2.511%, SOFRRATE + 1.200%, 10/20/2032 (B)

    3,020       2,590  

2.475%, SOFRRATE + 1.000%, 01/21/2028 (B)

    725       690  

2.239%, SOFRRATE + 1.178%, 07/21/2032 (B)

    2,895       2,450  

2.188%, SOFRRATE + 1.990%, 04/28/2026 (B)

    2,020       1,980  

1.512%, SOFRRATE + 0.858%, 07/20/2027 (B)

    1,235       1,165  

1.164%, SOFRRATE + 0.560%, 10/21/2025 (B)

    1,770       1,759  

Morgan Stanley Bank

               

4.968%, SOFRRATE + 0.930%, 07/14/2028 (B)

    2,758       2,793  

4.952%, SOFRRATE + 1.080%, 01/14/2028 (B)

    3,773       3,802  

Nasdaq

               

5.550%, 02/15/2034

    2,150       2,239  

National Securities Clearing

               

1.500%, 04/23/2025 (A)

    510       499  

Nationwide Building Society MTN

               

2.972%, SOFRRATE + 1.290%, 02/16/2028 (A)(B)

    2,565       2,454  

Nationwide Mutual Insurance

               

7.891%, US0003M + 2.290%, 12/15/2024 (A)(B)

    4,407       4,403  

NatWest Group PLC

               

7.472%, H15T1Y + 2.850%, 11/10/2026 (B)

    2,180       2,238  

1.642%, H15T1Y + 0.900%, 06/14/2027 (B)

    1,640       1,552  

New York Life Global Funding

               

0.950%, 06/24/2025 (A)

    550       533  

New York Life Global Funding MTN

               

4.550%, 01/28/2033 (A)

    1,565       1,541  

New York Life Insurance

               

3.750%, 05/15/2050 (A)

    650       505  

Northwestern Mutual Global Funding

               

5.160%, 05/28/2031 (A)

    3,285       3,412  

Northwestern Mutual Life Insurance

               

3.625%, 09/30/2059 (A)

    2,428       1,758  

PayPal Holdings

               

5.150%, 06/01/2034

    50       52  

4.400%, 06/01/2032

    630       625  

2.300%, 06/01/2030

    3,515       3,145  

1.650%, 06/01/2025

    640       625  

PNC Bank

               

3.875%, 04/10/2025

    910       902  

PNC Financial Services Group

               

6.875%, SOFRRATE + 2.284%, 10/20/2034 (B)

    1,355       1,526  

 

 

 

198

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.812%, SOFRRATE + 1.322%, 06/12/2026 (B)

  $ 450     $ 452  

5.676%, SOFRRATE + 1.902%, 01/22/2035 (B)

    185       193  

5.582%, SOFRRATE + 1.841%, 06/12/2029 (B)

    1,080       1,116  

5.068%, SOFRRATE + 1.933%, 01/24/2034 (B)

    1,660       1,659  

Principal Life Global Funding II

               

2.250%, 11/21/2024 (A)

    2,940       2,919  

1.250%, 06/23/2025 (A)

    270       262  

Royal Bank of Canada

               

5.813%, 06/29/2085 (B)

    860       783  

Royal Bank of Canada MTN

               

5.150%, 02/01/2034

    720       738  

4.969%, SOFRRATE + 1.100%, 08/02/2030 (B)

    2,731       2,777  

2.250%, 11/01/2024

    170       169  

1.150%, 06/10/2025

    730       710  

Santander Holdings USA

               

6.342%, SOFRRATE + 2.138%, 05/31/2035 (B)

    2,947       3,056  

Santander UK Group Holdings PLC

               

2.469%, SOFRRATE + 1.220%, 01/11/2028 (B)

    705       666  

1.673%, SOFRRATE + 0.989%, 06/14/2027 (B)

    2,235       2,110  

1.532%, H15T1Y + 1.250%, 08/21/2026 (B)

    1,140       1,100  

Societe Generale MTN

               

7.367%, 01/10/2053 (A)

    1,100       1,143  

2.625%, 01/22/2025 (A)

    1,345       1,330  

State Street

               

4.530%, SOFRRATE + 1.018%, 02/20/2029 (B)

    2,360       2,364  

3.300%, 12/16/2024

    310       308  

Teachers Insurance & Annuity Association of America

               

6.850%, 12/16/2039 (A)

    148       173  

4.900%, 09/15/2044 (A)

    600       562  

4.270%, 05/15/2047 (A)

    175       148  

3.300%, 05/15/2050 (A)

    2,360       1,680  

Toronto-Dominion Bank MTN

               

4.456%, 06/08/2032

    1,090       1,066  

1.150%, 06/12/2025

    730       710  

Travelers

               

4.600%, 08/01/2043

    50       47  

Truist Bank

               

3.800%, 10/30/2026

    250       245  

Truist Financial MTN

               

6.047%, SOFRRATE + 2.050%, 06/08/2027 (B)

    850       868  

5.711%, SOFRRATE + 1.922%, 01/24/2035 (B)

    787       815  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.435%, SOFRRATE + 1.620%, 01/24/2030 (B)

  $ 2,659     $ 2,727  

4.260%, SOFRRATE + 1.456%, 07/28/2026 (B)

    3,380       3,350  

UBS

               

5.650%, 09/11/2028

    1,722       1,791  

4.500%, 06/26/2048

    1,540       1,416  

UBS Group

               

9.016%, SOFRRATE + 5.020%, 11/15/2033 (A)(B)

    560       697  

5.699%, H15T1Y + 1.770%, 02/08/2035 (A)(B)

    2,565       2,660  

5.617%, USISSO01 + 1.340%, 09/13/2030 (A)(B)

    3,093       3,199  

4.751%, H15T1Y + 1.750%, 05/12/2028 (A)(B)

    660       660  

4.488%, H15T1Y + 1.550%, 05/12/2026 (A)(B)

    520       517  

4.282%, 01/09/2028 (A)

    1,695       1,667  

4.253%, 03/23/2028 (A)

    1,490       1,466  

4.194%, SOFRRATE + 3.730%, 04/01/2031 (A)(B)

    2,690       2,599  

4.125%, 09/24/2025 (A)

    1,010       1,001  

3.750%, 03/26/2025

    2,160       2,143  

3.091%, SOFRRATE + 1.730%, 05/14/2032 (A)(B)

    2,104       1,863  

2.746%, H15T1Y + 1.100%, 02/11/2033 (A)(B)

    600       511  

UBS NY

               

5.000%, 07/09/2027

    600       608  

2.950%, 04/09/2025

    790       780  

UBS NY MTN

               

3.625%, 09/09/2024

    1,360       1,360  

US Bancorp

               

5.850%, SOFRRATE + 2.090%, 10/21/2033 (B)

    705       741  

5.836%, SOFRRATE + 2.260%, 06/12/2034 (B)

    360       378  

5.775%, SOFRRATE + 2.020%, 06/12/2029 (B)

    910       945  

5.678%, SOFRRATE + 1.860%, 01/23/2035 (B)

    695       723  

5.384%, SOFRRATE + 1.560%, 01/23/2030 (B)

    1,510       1,552  

5.100%, SOFRRATE + 1.250%, 07/23/2030 (B)

    2,734       2,783  

4.839%, SOFRRATE + 1.600%, 02/01/2034 (B)

    2,660       2,615  

4.653%, SOFRRATE + 1.230%, 02/01/2029 (B)

    4,210       4,215  

1.450%, 05/12/2025

    1,230       1,202  

US Bancorp MTN

               

3.600%, 09/11/2024

    160       160  

 

 

 

SEI Institutional Investments Trust

 

199

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

2.215%, SOFRRATE + 0.730%, 01/27/2028 (B)

  $ 130     $ 123  

Visa

               

4.300%, 12/14/2045

    810       734  

WEA Finance LLC / Westfield UK & Europe Finance PLC

               

3.750%, 09/17/2024 (A)

    1,370       1,368  

Wells Fargo

               

7.950%, 11/15/2029

    925       1,060  

6.491%, SOFRRATE + 2.060%, 10/23/2034 (B)

    3,048       3,357  

6.303%, SOFRRATE + 1.790%, 10/23/2029 (B)

    1,149       1,219  

6.063%, TSFR3M + 0.762%, 01/15/2027 (B)

    2,395       2,369  

5.606%, 01/15/2044

    700       709  

5.389%, SOFRRATE + 2.020%, 04/24/2034 (B)

    935       958  

5.375%, 11/02/2043

    190       188  

3.000%, 10/23/2026

    1,640       1,593  

2.188%, SOFRRATE + 2.000%, 04/30/2026 (B)

    1,890       1,852  

Wells Fargo MTN

               

5.707%, SOFRRATE + 1.070%, 04/22/2028 (B)

    4,560       4,684  

5.574%, SOFRRATE + 1.740%, 07/25/2029 (B)

    1,426       1,473  

5.557%, SOFRRATE + 1.990%, 07/25/2034 (B)

    1,900       1,961  

5.198%, SOFRRATE + 1.500%, 01/23/2030 (B)

    7,627       7,785  

5.013%, TSFR3M + 4.502%, 04/04/2051 (B)

    6,920       6,631  

4.900%, 11/17/2045

    1,170       1,072  

4.897%, SOFRRATE + 2.100%, 07/25/2033 (B)

    6,580       6,548  

4.750%, 12/07/2046

    2,115       1,892  

4.650%, 11/04/2044

    500       446  

4.478%, TSFR3M + 4.032%, 04/04/2031 (B)

    5,280       5,226  

4.400%, 06/14/2046

    200       170  

4.300%, 07/22/2027

    1,180       1,175  

4.150%, 01/24/2029

    1,450       1,433  

3.584%, TSFR3M + 1.572%, 05/22/2028 (B)

    1,205       1,172  

3.526%, SOFRRATE + 1.510%, 03/24/2028 (B)

    2,695       2,624  

3.350%, SOFRRATE + 1.500%, 03/02/2033 (B)

    3,065       2,758  

2.879%, TSFR3M + 1.432%, 10/30/2030 (B)

    2,120       1,943  

2.572%, TSFR3M + 1.262%, 02/11/2031 (B)

    619       555  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

2.393%, SOFRRATE + 2.100%, 06/02/2028 (B)

  $ 2,610     $ 2,462  

Willis North America

               

5.350%, 05/15/2033

    1,080       1,100  
                 
              727,171  
                 

Health Care — 2.2%

       

Abbott Laboratories

               

4.750%, 11/30/2036

    440       445  

AbbVie

               

5.500%, 03/15/2064

    565       587  

5.400%, 03/15/2054

    755       782  

5.050%, 03/15/2034

    2,504       2,580  

4.950%, 03/15/2031

    1,577       1,624  

4.875%, 11/14/2048

    130       125  

4.800%, 03/15/2027

    1,894       1,919  

4.800%, 03/15/2029

    2,924       2,987  

4.550%, 03/15/2035

    1,869       1,844  

4.500%, 05/14/2035

    1,967       1,934  

4.250%, 11/21/2049

    5,785       5,044  

4.050%, 11/21/2039

    793       718  

3.800%, 03/15/2025

    700       695  

3.600%, 05/14/2025

    560       555  

3.200%, 11/21/2029

    6,052       5,735  

2.950%, 11/21/2026

    610       593  

2.600%, 11/21/2024

    2,760       2,743  

Amgen

               

6.375%, 06/01/2037

    2,275       2,533  

5.650%, 03/02/2053

    4,738       4,873  

5.600%, 03/02/2043

    1,092       1,116  

5.250%, 03/02/2033

    1,497       1,539  

4.663%, 06/15/2051

    104       93  

4.400%, 05/01/2045

    900       784  

3.150%, 02/21/2040

    1,420       1,103  

2.000%, 01/15/2032

    2,710       2,263  

Astrazeneca Finance LLC

               

5.000%, 02/26/2034

    1,531       1,577  

AstraZeneca PLC

               

3.000%, 05/28/2051

    391       275  

Bayer US Finance II LLC

               

4.875%, 06/25/2048 (A)

    4,728       4,024  

4.625%, 06/25/2038 (A)

    2,097       1,860  

4.400%, 07/15/2044 (A)

    2,750       2,200  

Becton Dickinson

               

5.081%, 06/07/2029

    1,527       1,564  

4.685%, 12/15/2044

    552       501  

3.734%, 12/15/2024

    446       444  

Bristol-Myers Squibb

               

5.750%, 02/01/2031

    2,780       2,977  

5.650%, 02/22/2064

    220       227  

5.550%, 02/22/2054

    310       320  

5.200%, 02/22/2034

    1,490       1,546  

5.100%, 02/22/2031

    540       558  

 

 

 

200

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.400%, 07/26/2029

  $ 253     $ 243  

3.200%, 06/15/2026

    768       754  

Centene

               

3.000%, 10/15/2030

    3,456       3,070  

Cigna Group

               

4.900%, 12/15/2048

    140       129  

4.375%, 10/15/2028

    1,260       1,253  

3.400%, 03/15/2050

    1,650       1,176  

3.400%, 03/15/2051

    1,050       744  

3.250%, 04/15/2025

    1,000       990  

CommonSpirit Health

               

4.350%, 11/01/2042

    440       388  

CVS Health

               

6.050%, 06/01/2054

    2,065       2,083  

5.250%, 02/21/2033

    1,456       1,465  

5.125%, 07/20/2045

    170       153  

5.050%, 03/25/2048

    6,615       5,863  

5.000%, 02/20/2026

    1,355       1,359  

4.780%, 03/25/2038

    1,510       1,387  

4.300%, 03/25/2028

    1,336       1,320  

4.250%, 04/01/2050

    630       495  

4.125%, 04/01/2040

    240       201  

3.875%, 07/20/2025

    929       920  

3.750%, 04/01/2030

    610       578  

3.625%, 04/01/2027

    240       235  

3.250%, 08/15/2029

    220       206  

2.125%, 09/15/2031

    660       548  

1.875%, 02/28/2031

    2,955       2,448  

DH Europe Finance II S.AR.L.

               

2.200%, 11/15/2024

    1,837       1,825  

Elevance Health

               

5.375%, 06/15/2034

    1,153       1,195  

5.150%, 06/15/2029

    1,651       1,699  

4.625%, 05/15/2042

    219       201  

4.550%, 05/15/2052

    490       427  

4.100%, 05/15/2032

    1,090       1,051  

3.650%, 12/01/2027

    330       323  

3.350%, 12/01/2024

    1,190       1,184  

Eli Lilly

               

5.100%, 02/09/2064

    2,075       2,070  

5.000%, 02/09/2054

    150       149  

4.700%, 02/09/2034

    2,894       2,931  

4.600%, 08/14/2034

    2,989       2,998  

4.200%, 08/14/2029

    2,388       2,393  

Gilead Sciences

               

4.750%, 03/01/2046

    40       37  

4.000%, 09/01/2036

    765       703  

3.650%, 03/01/2026

    890       878  

HCA

               

6.000%, 04/01/2054

    2,835       2,925  

5.900%, 06/01/2053

    1,764       1,789  

5.250%, 04/15/2025

    750       750  

5.250%, 06/15/2026

    1,015       1,018  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.250%, 06/15/2049

  $ 506     $ 470  

4.125%, 06/15/2029

    4,012       3,914  

3.625%, 03/15/2032

    1,209       1,099  

3.500%, 09/01/2030

    1,645       1,534  

3.500%, 07/15/2051

    1,287       902  

2.375%, 07/15/2031

    1,015       864  

Humana

               

4.950%, 10/01/2044

    200       182  

4.800%, 03/15/2047

    50       44  

4.500%, 04/01/2025

    120       119  

3.950%, 03/15/2027

    860       847  

3.850%, 10/01/2024

    2,530       2,527  

3.700%, 03/23/2029

    7,750       7,481  

2.150%, 02/03/2032

    250       207  

Mass General Brigham

               

3.192%, 07/01/2049

    245       181  

Medtronic

               

4.625%, 03/15/2045

    123       116  

Merck

               

2.750%, 12/10/2051

    1,842       1,212  

2.350%, 06/24/2040

    1,582       1,128  

1.450%, 06/24/2030

    480       411  

Pfizer

               

4.000%, 12/15/2036

    1,050       981  

2.700%, 05/28/2050

    1,400       938  

2.625%, 04/01/2030

    720       661  

1.700%, 05/28/2030

    680       592  

Pfizer Investment Enterprises Pte

               

5.340%, 05/19/2063

    1,495       1,484  

5.300%, 05/19/2053

    3,495       3,512  

4.750%, 05/19/2033

    5,711       5,742  

Roche Holdings

               

2.607%, 12/13/2051 (A)

    2,080       1,350  

Royalty Pharma PLC

               

1.200%, 09/02/2025

    980       944  

Solventum

               

5.600%, 03/23/2034 (A)

    1,410       1,438  

UnitedHealth Group

               

6.625%, 11/15/2037

    200       232  

5.875%, 02/15/2053

    2,647       2,862  

5.800%, 03/15/2036

    560       606  

5.750%, 07/15/2064

    1,203       1,263  

5.625%, 07/15/2054

    404       422  

5.500%, 07/15/2044

    398       410  

5.375%, 04/15/2054

    2,035       2,057  

5.150%, 07/15/2034

    4,440       4,562  

4.625%, 07/15/2035

    940       932  

4.600%, 04/15/2027

    1,564       1,582  

4.450%, 12/15/2048

    140       125  

4.250%, 06/15/2048

    180       155  

4.200%, 05/15/2032

    520       508  

4.000%, 05/15/2029

    770       762  

3.875%, 12/15/2028

    250       247  

 

 

 

SEI Institutional Investments Trust

 

201

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.875%, 08/15/2059

  $ 1,010     $ 782  

3.700%, 08/15/2049

    140       110  

3.250%, 05/15/2051

    630       454  

3.125%, 05/15/2060

    90       60  

3.050%, 05/15/2041

    350       269  

2.900%, 05/15/2050

    880       599  

2.750%, 05/15/2040

    1,450       1,084  

2.300%, 05/15/2031

    150       131  

2.000%, 05/15/2030

    220       194  

1.250%, 01/15/2026

    260       249  

Universal Health Services

               

1.650%, 09/01/2026

    1,260       1,183  

Wyeth LLC

               

5.950%, 04/01/2037

    320       350  
                 
              180,911  
                 

Industrials — 1.5%

       

Air Lease

               

5.850%, 12/15/2027

    1,325       1,373  

5.300%, 02/01/2028

    570       581  

3.375%, 07/01/2025

    490       483  

3.250%, 03/01/2025

    525       519  

Air Lease MTN

               

3.000%, 02/01/2030

    2,870       2,623  

2.875%, 01/15/2026

    3,019       2,937  

2.300%, 02/01/2025

    605       597  

American Airlines Pass-Through Trust, Ser 2015-1, Cl A

               

3.375%, 05/01/2027

    74       70  

BAE Systems PLC

               

5.250%, 03/26/2031 (A)

    2,595       2,673  

Boeing

               

7.250%, 06/15/2025

    107       108  

7.008%, 05/01/2064 (A)

    309       333  

6.858%, 05/01/2054 (A)

    705       759  

6.528%, 05/01/2034 (A)

    3,559       3,769  

6.388%, 05/01/2031 (A)

    2,450       2,581  

6.298%, 05/01/2029 (A)

    2,175       2,272  

5.805%, 05/01/2050

    4,045       3,818  

5.150%, 05/01/2030

    310       309  

4.875%, 05/01/2025

    1,550       1,544  

3.750%, 02/01/2050

    1,789       1,236  

3.250%, 02/01/2035

    750       605  

3.200%, 03/01/2029

    610       563  

3.100%, 05/01/2026

    230       222  

2.800%, 03/01/2027

    280       265  

2.700%, 02/01/2027

    340       322  

2.196%, 02/04/2026

    2,645       2,534  

Burlington Northern Santa Fe LLC

               

7.290%, 06/01/2036

    200       246  

5.200%, 04/15/2054

    794       798  

4.550%, 09/01/2044

    470       431  

4.450%, 01/15/2053

    299       268  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.650%, 09/01/2025

  $ 140     $ 139  

2.875%, 06/15/2052

    610       408  

Canadian Pacific Railway

               

6.125%, 09/15/2115

    34       36  

Carrier Global

               

3.577%, 04/05/2050

    24       18  

Caterpillar

               

4.300%, 05/15/2044

    50       45  

Caterpillar Financial Services

               

4.500%, 01/08/2027

    1,873       1,887  

4.450%, 10/16/2026

    1,566       1,573  

4.400%, 10/15/2027

    1,566       1,575  

4.375%, 08/16/2029

    1,566       1,573  

Caterpillar Financial Services MTN

               

5.000%, 05/14/2027

    2,277       2,324  

4.850%, 02/27/2029

    1,500       1,536  

Cintas No. 2

               

4.000%, 05/01/2032

    2,845       2,753  

3.700%, 04/01/2027

    590       582  

Continental Airlines Pass-Through Trust, Ser 2012-2, Cl A

               

4.000%, 10/29/2024

    36       36  

Crowley Conro LLC

               

4.181%, 08/15/2043

    699       647  

Deere

               

3.750%, 04/15/2050

    320       265  

3.100%, 04/15/2030

    160       151  

Delta Air Lines Pass-Through Trust, Ser 2020-1, Cl AA

               

2.000%, 06/10/2028

    2,282       2,122  

Delta Air Lines/Skymiles

               

4.750%, 10/20/2028 (A)

    3,735       3,699  

4.500%, 10/20/2025 (A)

    554       552  

Eaton

               

4.150%, 11/02/2042

    710       630  

4.000%, 11/02/2032

    99       96  

Emerson Electric

               

2.800%, 12/21/2051

    2,935       1,948  

General Dynamics

               

4.250%, 04/01/2040

    880       803  

4.250%, 04/01/2050

    200       176  

General Electric MTN

               

5.860%, TSFR3M + 0.742%, 08/15/2036 (B)

    3,035       2,855  

Honeywell International

               

5.250%, 03/01/2054

    781       793  

5.000%, 03/01/2035

    1,360       1,395  

Howmet Aerospace

               

4.850%, 10/15/2031

    1,017       1,029  

ILFC E-Capital Trust II

               

7.409%, TSFR3M + 2.062%, 12/21/2065 (A)(B)

    1,200       984  

 

 

 

202

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

JetBlue Pass-Through Trust, Ser 2019-1, Cl AA

               

2.750%, 05/15/2032

  $ 131     $ 114  

John Deere Capital

               

4.500%, 01/08/2027

    2,620       2,643  

4.500%, 01/16/2029

    2,620       2,647  

John Deere Capital MTN

               

5.150%, 09/08/2026

    2,597       2,643  

5.100%, 04/11/2034

    1,893       1,956  

5.050%, 06/12/2034

    2,399       2,468  

4.950%, 07/14/2028

    594       609  

4.900%, 06/11/2027

    2,291       2,332  

4.850%, 06/11/2029

    1,522       1,559  

4.150%, 09/15/2027

    1,493       1,494  

L3Harris Technologies

               

5.054%, 04/27/2045

    330       316  

4.854%, 04/27/2035

    210       208  

Lockheed Martin

               

5.200%, 02/15/2064

    1,561       1,572  

4.800%, 08/15/2034

    1,561       1,584  

4.150%, 06/15/2053

    2,240       1,915  

3.900%, 06/15/2032

    410       397  

Northrop Grumman

               

5.250%, 05/01/2050

    3,620       3,600  

3.850%, 04/15/2045

    770       633  

3.250%, 01/15/2028

    480       463  

2.930%, 01/15/2025

    2,020       2,004  

Otis Worldwide

               

3.112%, 02/15/2040

    605       469  

2.056%, 04/05/2025

    340       334  

Owens Corning

               

5.950%, 06/15/2054

    692       715  

5.700%, 06/15/2034

    1,152       1,203  

Raytheon Technologies

               

2.250%, 07/01/2030

    680       603  

Republic Services

               

5.000%, 11/15/2029

    1,529       1,570  

1.450%, 02/15/2031

    3,485       2,880  

Roper Technologies

               

1.000%, 09/15/2025

    940       904  

RTX

               

6.400%, 03/15/2054

    1,543       1,771  

6.100%, 03/15/2034

    1,531       1,667  

6.000%, 03/15/2031

    730       785  

4.125%, 11/16/2028

    480       474  

3.950%, 08/16/2025

    250       248  

3.150%, 12/15/2024

    320       316  

3.125%, 07/01/2050

    1,290       895  

3.030%, 03/15/2052

    680       458  

Siemens Financieringsmaatschappij

               

1.200%, 03/11/2026 (A)

    595       568  

Union Pacific

               

3.839%, 03/20/2060

    970       751  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.750%, 07/15/2025

  $ 530     $ 526  

3.750%, 02/05/2070

    700       514  

3.250%, 02/05/2050

    1,065       781  

2.891%, 04/06/2036

    835       704  

2.800%, 02/14/2032

    965       865  

2.375%, 05/20/2031

    712       631  

2.150%, 02/05/2027

    270       257  

United Airlines Pass-Through Trust, Ser 2023-1, Cl A

               

5.800%, 01/15/2036

    3,715       3,839  

United Parcel Service

               

5.200%, 04/01/2040

    525       531  

US Airways Pass-Through Trust, Ser 2012-1, Cl A

               

5.900%, 10/01/2024

    16       16  

US Airways Pass-Through Trust, Ser 2012-2, Cl A

               

4.625%, 06/03/2025

    1,922       1,909  

Waste Connections

               

5.000%, 03/01/2034

    820       832  
                 
              126,642  
                 

Information Technology — 1.3%

       

Adobe

               

4.950%, 04/04/2034

    2,266       2,342  

Analog Devices

               

5.300%, 04/01/2054

    1,368       1,400  

5.050%, 04/01/2034

    1,519       1,567  

Apple

               

3.950%, 08/08/2052

    1,432       1,233  

2.650%, 05/11/2050

    593       402  

2.650%, 02/08/2051

    458       312  

2.375%, 02/08/2041

    545       397  

Applied Materials

               

4.800%, 06/15/2029

    763       780  

1.750%, 06/01/2030

    1,070       931  

Broadcom

               

5.150%, 11/15/2031

    2,341       2,391  

5.050%, 07/12/2027

    1,950       1,980  

5.050%, 07/12/2029

    2,731       2,784  

4.926%, 05/15/2037 (A)

    2,595       2,535  

4.150%, 11/15/2030

    842       820  

3.419%, 04/15/2033 (A)

    744       663  

3.150%, 11/15/2025

    877       861  

3.137%, 11/15/2035 (A)

    2,520       2,107  

2.450%, 02/15/2031 (A)

    1,171       1,022  

Cisco Systems

               

5.300%, 02/26/2054

    1,137       1,174  

5.050%, 02/26/2034

    2,600       2,694  

4.950%, 02/26/2031

    1,515       1,566  

4.800%, 02/26/2027

    2,273       2,310  

Constellation Software

               

5.158%, 02/16/2029 (A)

    3,000       3,069  

 

 

 

SEI Institutional Investments Trust

 

203

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Foundry JV Holdco LLC

               

5.900%, 01/25/2030 (A)

  $ 1,540     $ 1,584  

5.875%, 01/25/2034 (A)

    1,030       1,034  

Intel

               

5.900%, 02/10/2063

    1,043       1,013  

5.700%, 02/10/2053

    1,492       1,427  

5.625%, 02/10/2043

    429       416  

5.600%, 02/21/2054

    1,136       1,077  

5.200%, 02/10/2033

    430       428  

5.125%, 02/10/2030

    600       606  

5.000%, 02/21/2031

    1,138       1,136  

4.750%, 03/25/2050

    480       403  

3.734%, 12/08/2047

    119       85  

3.050%, 08/12/2051

    1,550       963  

2.800%, 08/12/2041

    643       439  

1.600%, 08/12/2028

    650       574  

Intuit

               

5.500%, 09/15/2053

    1,487       1,565  

5.250%, 09/15/2026

    1,857       1,893  

5.200%, 09/15/2033

    1,483       1,545  

5.125%, 09/15/2028

    1,483       1,532  

KLA

               

4.700%, 02/01/2034

    1,512       1,521  

4.650%, 07/15/2032

    640       646  

3.300%, 03/01/2050

    613       453  

Kyndryl Holdings

               

2.050%, 10/15/2026

    1,855       1,743  

Lam Research

               

3.800%, 03/15/2025

    150       149  

Marvell Technology

               

5.950%, 09/15/2033

    1,114       1,183  

5.750%, 02/15/2029

    1,114       1,161  

Micron Technology

               

5.875%, 02/09/2033

    360       379  

5.375%, 04/15/2028

    3,748       3,832  

5.300%, 01/15/2031

    640       656  

Microsoft

               

4.100%, 02/06/2037

    245       241  

3.450%, 08/08/2036

    2,052       1,877  

3.300%, 02/06/2027

    720       709  

2.921%, 03/17/2052

    646       467  

NVIDIA

               

3.700%, 04/01/2060

    680       552  

NXP BV / NXP FUNDING LLC / NXP USA

               

2.700%, 05/01/2025

    430       423  

Oracle

               

6.900%, 11/09/2052

    385       448  

4.650%, 05/06/2030

    610       614  

4.000%, 07/15/2046

    1,299       1,034  

4.000%, 11/15/2047

    330       261  

3.950%, 03/25/2051

    2,659       2,056  

3.900%, 05/15/2035

    4,255       3,841  

3.800%, 11/15/2037

    4,295       3,693  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.600%, 04/01/2040

  $ 1,114     $ 897  

3.600%, 04/01/2050

    280       204  

2.950%, 05/15/2025

    695       685  

2.950%, 04/01/2030

    1,415       1,300  

2.875%, 03/25/2031

    1,860       1,664  

2.800%, 04/01/2027

    625       601  

1.650%, 03/25/2026

    1,570       1,499  

QUALCOMM

               

6.000%, 05/20/2053

    1,686       1,889  

Sprint Capital

               

8.750%, 03/15/2032

    2,230       2,751  

Texas Instruments

               

5.150%, 02/08/2054

    755       763  

5.000%, 03/14/2053

    1,647       1,629  

4.150%, 05/15/2048

    1,250       1,094  

1.750%, 05/04/2030

    440       386  

TSMC Arizona

               

2.500%, 10/25/2031

    3,950       3,446  

1.750%, 10/25/2026

    750       710  

TSMC Global

               

1.375%, 09/28/2030 (A)

    2,240       1,873  

VMware

               

1.400%, 08/15/2026

    1,048       986  

Vontier

               

1.800%, 04/01/2026

    1,170       1,113  
                 
              104,489  
                 

Materials — 0.7%

       

Amcor Finance USA

               

3.625%, 04/28/2026

    2,000       1,960  

Anglo American Capital PLC

               

5.750%, 04/05/2034 (A)

    2,145       2,206  

4.000%, 09/11/2027 (A)

    280       274  

3.625%, 09/11/2024 (A)

    1,810       1,809  

ArcelorMittal

               

6.350%, 06/17/2054

    1,310       1,318  

6.000%, 06/17/2034

    2,650       2,745  

Barrick North America Finance LLC

               

5.700%, 05/30/2041

    590       609  

Berry Global

               

5.650%, 01/15/2034 (A)

    1,010       1,027  

4.875%, 07/15/2026 (A)

    1,522       1,506  

1.650%, 01/15/2027

    1,785       1,663  

BHP Billiton Finance USA

               

5.000%, 09/30/2043

    170       166  

Celanese US Holdings LLC

               

6.550%, 11/15/2030

    3,503       3,757  

6.379%, 07/15/2032

    1,739       1,838  

6.050%, 03/15/2025

    689       691  

Dow Chemical

               

5.600%, 02/15/2054

    1,133       1,138  

4.800%, 05/15/2049

    585       520  

 

 

 

204

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

DuPont de Nemours

               

4.493%, 11/15/2025

  $ 2,095     $ 2,087  

Freeport-McMoRan

               

5.450%, 03/15/2043

    390       382  

5.400%, 11/14/2034

    330       336  

Glencore Funding LLC

               

5.893%, 04/04/2054 (A)

    315       315  

5.634%, 04/04/2034 (A)

    2,052       2,090  

5.371%, 04/04/2029 (A)

    1,034       1,055  

4.000%, 03/27/2027 (A)

    1,570       1,542  

International Flavors & Fragrances

               

5.000%, 09/26/2048

    2,365       2,124  

2.300%, 11/01/2030 (A)

    4,675       4,054  

LYB International Finance III LLC

               

5.500%, 03/01/2034

    2,084       2,136  

3.625%, 04/01/2051

    1,530       1,102  

MEGlobal BV MTN

               

4.250%, 11/03/2026 (A)

    1,440       1,415  

2.625%, 04/28/2028 (A)

    2,450       2,262  

OCP

               

4.500%, 10/22/2025 (A)

    1,860       1,841  

Orbia Advance

               

2.875%, 05/11/2031 (A)

    1,340       1,139  

1.875%, 05/11/2026 (A)

    1,410       1,333  

Southern Copper

               

5.250%, 11/08/2042

    4,700       4,537  

Suzano Austria GmbH

               

6.000%, 01/15/2029

    1,910       1,949  
                 
              54,926  
                 

Real Estate — 0.9%

       

Agree LP

               

4.800%, 10/01/2032

    702       689  

2.600%, 06/15/2033

    317       260  

2.000%, 06/15/2028

    1,167       1,057  

American Assets Trust LP

               

3.375%, 02/01/2031

    2,580       2,194  

American Homes 4 Rent LP

               

5.500%, 07/15/2034

    1,529       1,560  

4.300%, 04/15/2052

    578       466  

3.625%, 04/15/2032

    1,289       1,172  

3.375%, 07/15/2051

    1,120       769  

2.375%, 07/15/2031

    1,320       1,115  

American Tower

               

5.900%, 11/15/2033

    1,124       1,193  

5.650%, 03/15/2033

    2,318       2,416  

5.550%, 07/15/2033

    1,920       1,990  

5.500%, 03/15/2028

    1,491       1,532  

3.125%, 01/15/2027

    632       611  

2.700%, 04/15/2031

    3,790       3,337  

1.875%, 10/15/2030

    3,215       2,728  

AvalonBay Communities MTN

               

2.450%, 01/15/2031

    1,535       1,351  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Boston Properties LP

               

3.400%, 06/21/2029

  $ 1,510     $ 1,395  

2.900%, 03/15/2030

    125       110  

Brixmor Operating Partnership LP

               

2.500%, 08/16/2031

    1,958       1,670  

Camden Property Trust

               

2.800%, 05/15/2030

    480       439  

Crown Castle

               

5.800%, 03/01/2034

    2,315       2,424  

5.200%, 09/01/2034

    1,565       1,564  

2.900%, 04/01/2041

    683       495  

2.100%, 04/01/2031

    4,370       3,667  

Equinix

               

3.900%, 04/15/2032

    3,975       3,744  

Essex Portfolio

               

5.500%, 04/01/2034

    787       808  

Essex Portfolio LP

               

2.550%, 06/15/2031

    665       574  

Extra Space Storage LP

               

3.900%, 04/01/2029

    1,153       1,115  

2.550%, 06/01/2031

    2,255       1,941  

2.400%, 10/15/2031

    130       110  

2.200%, 10/15/2030

    542       468  

GLP Capital LP / GLP Financing II

               

5.750%, 06/01/2028

    1,250       1,276  

5.300%, 01/15/2029

    545       550  

4.000%, 01/15/2030

    1,542       1,457  

4.000%, 01/15/2031

    85       79  

Healthcare Realty Holdings LP

               

3.875%, 05/01/2025

    1,100       1,090  

3.625%, 01/15/2028

    195       185  

3.500%, 08/01/2026

    1,010       987  

2.050%, 03/15/2031

    360       292  

Hudson Pacific Properties LP

               

4.650%, 04/01/2029

    3,265       2,699  

3.250%, 01/15/2030

    180       133  

Invitation Homes Operating Partnership LP

               

5.500%, 08/15/2033

    1,780       1,814  

4.150%, 04/15/2032

    1,283       1,209  

2.000%, 08/15/2031

    2,394       1,976  

LXP Industrial Trust

               

6.750%, 11/15/2028

    545       578  

Mid-America Apartments LP

               

5.300%, 02/15/2032

    1,148       1,180  

Physicians Realty

               

3.950%, 01/15/2028

    56       55  

2.625%, 11/01/2031

    895       771  

Realty Income

               

5.625%, 10/13/2032

    566       594  

5.125%, 02/15/2034

    1,616       1,630  

4.900%, 07/15/2033

    1,110       1,103  

3.400%, 01/15/2030

    772       727  

2.850%, 12/15/2032

    933       802  

 

 

 

SEI Institutional Investments Trust

 

205

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

2.100%, 03/15/2028

  $ 723     $ 666  

Regency Centers LP

               

5.250%, 01/15/2034

    1,513       1,540  

2.950%, 09/15/2029

    1,765       1,635  

Sabra Health Care LP

               

3.900%, 10/15/2029

    1,335       1,249  

Store Capital LLC

               

4.625%, 03/15/2029

    822       799  

4.500%, 03/15/2028

    741       722  

2.750%, 11/18/2030

    1,140       986  

2.700%, 12/01/2031

    448       376  

Sun Communities Operating

               

4.200%, 04/15/2032

    1,676       1,554  

VICI Properties LP

               

5.625%, 05/15/2052

    63       60  

5.125%, 05/15/2032

    691       683  

4.950%, 02/15/2030

    300       299  

VICI Properties LP / VICI Note Co

               

4.625%, 06/15/2025 (A)

    140       139  

4.500%, 01/15/2028 (A)

    371       364  

4.125%, 08/15/2030 (A)

    70       66  

3.875%, 02/15/2029 (A)

    575       546  
                 
              77,835  
                 

Utilities — 2.3%

       

Alabama Power

               

3.700%, 12/01/2047

    1,490       1,169  

American Electric Power

               

5.699%, 08/15/2025

    1,745       1,756  

American Transmission Systems

               

2.650%, 01/15/2032 (A)

    1,185       1,024  

Appalachian Power

               

5.650%, 04/01/2034

    2,985       3,086  

4.500%, 03/01/2049

    60       50  

4.450%, 06/01/2045

    1,600       1,344  

3.300%, 06/01/2027

    3,000       2,905  

Baltimore Gas and Electric

               

2.250%, 06/15/2031

    999       862  

Berkshire Hathaway Energy

               

2.850%, 05/15/2051

    2,810       1,828  

Boston Gas

               

4.487%, 02/15/2042 (A)

    140       119  

Brooklyn Union Gas

               

6.415%, 07/18/2054 (A)

    2,975       3,082  

CenterPoint Energy Houston Electric LLC

               

5.150%, 03/01/2034

    4,394       4,492  

3.600%, 03/01/2052

    738       554  

Chile Electricity Lux MPC Sarl

               

6.010%, 01/20/2033 (A)

    1,708       1,768  

Comision Federal de Electricidad

               

3.875%, 07/26/2033 (A)

    790       667  

Consolidated Edison of New York

               

5.700%, 05/15/2054

    765       802  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.500%, 03/15/2034

  $ 1,907     $ 2,006  

5.375%, 05/15/2034

    1,150       1,200  

4.450%, 03/15/2044

    2,605       2,318  

3.950%, 04/01/2050

    210       173  

3.350%, 04/01/2030

    260       248  

3.200%, 12/01/2051

    223       155  

Constellation Energy Generation LLC

               

5.600%, 03/01/2028

    2,410       2,498  

Consumers Energy

               

4.700%, 01/15/2030

    1,165       1,182  

Consumers Securitization Funding LLC, Ser 2023

               

5.550%, 03/01/2028

    2,085       2,102  

DTE Electric

               

3.650%, 03/01/2052

    534       411  

2.950%, 03/01/2050

    1,166       799  

DTE Energy

               

5.850%, 06/01/2034

    1,072       1,129  

4.950%, 07/01/2027

    1,165       1,178  

2.529%, 10/01/2024 (D)

    1,775       1,770  

1.050%, 06/01/2025

    2,400       2,329  

Duke Energy

               

3.500%, 06/15/2051

    619       443  

3.150%, 08/15/2027

    850       819  

0.900%, 09/15/2025

    1,955       1,881  

Duke Energy Carolinas LLC

               

5.400%, 01/15/2054

    748       757  

5.350%, 01/15/2053

    1,497       1,497  

4.250%, 12/15/2041

    1,000       882  

4.000%, 09/30/2042

    1,512       1,289  

3.550%, 03/15/2052

    903       670  

2.850%, 03/15/2032

    1,240       1,102  

2.550%, 04/15/2031

    456       402  

Duke Energy Florida LLC

               

5.875%, 11/15/2033

    380       409  

2.400%, 12/15/2031

    995       856  

Duke Energy Indiana LLC

               

2.750%, 04/01/2050

    880       563  

Duke Energy Ohio

               

5.250%, 04/01/2033

    2,215       2,276  

Duke Energy Progress LLC

               

4.150%, 12/01/2044

    1,750       1,482  

2.500%, 08/15/2050

    1,007       614  

East Ohio Gas

               

2.000%, 06/15/2030 (A)

    2,365       2,033  

Electricite de France

               

6.000%, 04/22/2064 (A)

    1,575       1,562  

Entergy Arkansas LLC

               

5.150%, 01/15/2033

    1,498       1,533  

2.650%, 06/15/2051

    899       553  

Entergy Louisiana LLC

               

5.150%, 09/15/2034

    575       580  

 

 

 

206

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Entergy Texas

               

3.450%, 12/01/2027

  $ 1,625     $ 1,560  

Evergy Metro

               

5.300%, 10/01/2041

    250       250  

Evergy Missouri West

               

5.650%, 06/01/2034 (A)

    2,695       2,799  

Eversource Energy

               

5.950%, 02/01/2029

    6,355       6,663  

5.950%, 07/15/2034

    912       960  

5.850%, 04/15/2031

    1,520       1,597  

4.600%, 07/01/2027

    1,125       1,125  

Exelon

               

5.625%, 06/15/2035

    1,920       2,019  

3.950%, 06/15/2025

    1,020       1,012  

FirstEnergy

               

3.900%, 07/15/2027

    1,310       1,285  

1.600%, 01/15/2026

    300       287  

FirstEnergy Pennsylvania Electric

               

5.200%, 04/01/2028 (A)

    768       781  

5.150%, 03/30/2026 (A)

    749       751  

4.000%, 04/15/2025 (A)

    1,000       991  

3.250%, 03/15/2028 (A)

    973       932  

Florida Power & Light

               

5.600%, 06/15/2054

    777       825  

4.400%, 05/15/2028

    3,270       3,289  

Interstate Power and Light

               

5.700%, 10/15/2033

    2,335       2,446  

Jersey Central Power & Light

               

2.750%, 03/01/2032 (A)

    1,097       947  

KeySpan Gas East

               

3.586%, 01/18/2052 (A)

    4,825       3,396  

2.742%, 08/15/2026 (A)

    1,175       1,126  

Louisville Gas and Electric

               

5.450%, 04/15/2033

    2,285       2,381  

Metropolitan Edison

               

4.300%, 01/15/2029 (A)

    1,894       1,871  

MidAmerican Energy

               

4.800%, 09/15/2043

    1,500       1,416  

3.650%, 04/15/2029

    1,330       1,293  

2.700%, 08/01/2052

    865       552  

Mid-Atlantic Interstate Transmission LLC

               

4.100%, 05/15/2028 (A)

    190       187  

Mississippi Power

               

4.250%, 03/15/2042

    508       439  

3.100%, 07/30/2051

    1,197       802  

National Rural Utilities Cooperative Finance MTN

               

1.875%, 02/07/2025

    720       710  

NextEra Energy Capital Holdings

               

6.051%, 03/01/2025

    2,190       2,199  

5.250%, 03/15/2034

    2,250       2,288  

NiSource

               

5.800%, 02/01/2042

    471       480  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.350%, 04/01/2034

  $ 3,030     $ 3,093  

Northern States Power

               

5.400%, 03/15/2054

    604       615  

NSTAR Electric

               

5.400%, 06/01/2034

    1,153       1,204  

Oncor Electric Delivery LLC

               

5.550%, 06/15/2054 (A)

    1,294       1,328  

Pacific Gas and Electric

               

6.100%, 01/15/2029

    3,655       3,822  

5.800%, 05/15/2034

    890       916  

4.950%, 07/01/2050

    3,192       2,781  

4.750%, 02/15/2044

    336       289  

4.200%, 06/01/2041

    580       471  

3.950%, 12/01/2047

    3,186       2,399  

3.500%, 08/01/2050

    599       414  

3.300%, 08/01/2040

    90       67  

2.500%, 02/01/2031

    2,795       2,399  

2.100%, 08/01/2027

    3,055       2,839  

PacifiCorp

               

2.900%, 06/15/2052

    2,590       1,623  

PECO Energy

               

4.150%, 10/01/2044

    1,985       1,712  

2.850%, 09/15/2051

    1,205       786  

Pennsylvania Electric

               

4.150%, 04/15/2025 (A)

    995       983  

Perusahaan Perseroan Persero PT Perusahaan Listrik Negara MTN

               

6.150%, 05/21/2048 (A)

    2,430       2,487  

5.450%, 05/21/2028 (A)

    830       848  

4.125%, 05/15/2027 (A)

    1,990       1,958  

Piedmont Natural Gas

               

5.100%, 02/15/2035

    745       744  

3.350%, 06/01/2050

    2,538       1,790  

2.500%, 03/15/2031

    2,000       1,742  

PPL Capital Funding

               

5.250%, 09/01/2034

    782       792  

Progress Energy

               

6.000%, 12/01/2039

    310       327  

Public Service Electric and Gas MTN

               

5.125%, 03/15/2053

    1,390       1,373  

2.700%, 05/01/2050

    467       307  

2.050%, 08/01/2050

    276       158  

1.900%, 08/15/2031

    1,716       1,441  

Public Service Enterprise Group

               

5.450%, 04/01/2034

    1,285       1,321  

Public Service of Oklahoma

               

3.150%, 08/15/2051

    675       458  

Southern California Edison

               

4.125%, 03/01/2048

    752       621  

Southern California Gas

               

2.550%, 02/01/2030

    1,840       1,665  

Southern Gas Capital

               

3.250%, 06/15/2026

    1,550       1,514  

 

 

 

SEI Institutional Investments Trust

 

207

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Southwestern Electric Power

               

5.300%, 04/01/2033

  $ 1,560     $ 1,583  

2.750%, 10/01/2026

    1,000       963  

1.650%, 03/15/2026

    3,990       3,818  

Southwestern Public Service

               

3.750%, 06/15/2049

    2,000       1,518  

Texas Electric Market Stabilization Funding N LLC

               

4.265%, 08/01/2034 (A)

    2,396       2,378  

Union Electric

               

5.200%, 04/01/2034

    2,460       2,522  

Virginia Electric and Power

               

5.550%, 08/15/2054

    1,349       1,371  

5.050%, 08/15/2034

    782       787  

5.000%, 04/01/2033

    2,078       2,093  

5.000%, 01/15/2034

    2,095       2,110  

4.650%, 08/15/2043

    1,205       1,097  

2.950%, 11/15/2051

    999       660  

Virginia Power Fuel Securitization LLC

               

5.088%, 05/01/2027

    995       1,005  

Wisconsin Electric Power

               

1.700%, 06/15/2028

    670       610  
                 
              186,670  
                 

Total Corporate Obligations

               

(Cost $2,097,275) ($ Thousands)

            2,029,580  
                 
                 
                 

ASSET-BACKED SECURITIES — 7.7%

Automotive — 2.0%

       
         

Ally Auto Receivables Trust, Ser 2022-3, Cl A4

               

5.070%, 10/16/2028

    876       882  

AmeriCredit Automobile Receivables Trust, Ser 2022-2, Cl A3

               

4.380%, 04/18/2028

    1,272       1,266  

Americredit Automobile Receivables Trust, Ser 2023-1, Cl A3

               

5.620%, 11/18/2027

    757       763  

AmeriCredit Automobile Receivables Trust, Ser 2023-2, Cl A3

               

5.810%, 05/18/2028

    1,495       1,517  

ARI Fleet Lease Trust, Ser 2022-A, Cl A2

               

3.120%, 01/15/2031 (A)

    133       133  

ARI Fleet Lease Trust, Ser 2024-A, Cl A2

               

5.300%, 11/15/2032 (A)

    1,145       1,149  

Avis Budget Rental Car Funding AESOP LLC, Ser 2024-3A, Cl A

               

5.230%, 12/20/2030 (A)

    1,440       1,460  

BMW Vehicle Lease Trust, Ser 2023-1, Cl A3

               

5.160%, 11/25/2025

    363       363  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

BMW Vehicle Owner Trust, Ser 2023-A, Cl A3

               

5.470%, 02/25/2028

  $ 810     $ 818  

Capital One Prime Auto Receivables Trust, Ser 2022-2, Cl A3

               

3.660%, 05/17/2027

    2,556       2,532  

CarMax Auto Owner Trust, Ser 2024-1, Cl A3

               

4.920%, 10/16/2028

    1,405       1,415  

Chase Auto Owner Trust, Ser 2022-AA, Cl A4

               

3.990%, 03/27/2028 (A)

    1,120       1,108  

Enterprise Fleet Financing LLC, Ser 2023-3, Cl A2

               

6.400%, 03/20/2030 (A)

    1,381       1,407  

Enterprise Fleet Financing LLC, Ser 2024-1, Cl A2

               

5.230%, 03/20/2030 (A)

    550       553  

Enterprise Fleet Financing LLC, Ser 2024-3, Cl A2

               

5.310%, 04/20/2027 (A)

    1,635       1,646  

Enterprise Fleet Funding LLC, Ser 2021-1, Cl A3

               

0.700%, 12/21/2026 (A)

    601       600  

Ford Credit Auto Lease Trust, Ser 2024-A, Cl A4

               

5.050%, 06/15/2027

    772       778  

Ford Credit Auto Owner Trust, Ser 2022-D, Cl A4

               

5.300%, 03/15/2028

    788       799  

Ford Credit Auto Owner Trust, Ser 2023-2, Cl C

               

6.160%, 02/15/2036 (A)

    2,820       2,907  

Ford Credit Auto Owner Trust, Ser 2023-A, Cl A3

               

4.650%, 02/15/2028

    3,281       3,277  

Ford Credit Auto Owner Trust, Ser 2024-1, Cl A

               

4.870%, 08/15/2036 (A)(D)

    3,226       3,274  

Ford Credit Floorplan Master Owner Trust, Ser 2018-4, Cl A

               

4.060%, 11/15/2030

    2,740       2,695  

GM Financial Automobile Leasing Trust, Ser 2022-3, Cl A3

               

4.010%, 09/22/2025

    182       182  

GM Financial Automobile Leasing Trust, Ser 2023-2, Cl A4

               

5.090%, 05/20/2027

    1,064       1,066  

GM Financial Automobile Leasing Trust, Ser 2023-3, Cl A4

               

5.440%, 08/20/2027

    677       684  

GM Financial Consumer Automobile Receivables Trust, Ser 2022-4, Cl A3

               

4.820%, 08/16/2027

    1,288       1,287  

 

 

 

208

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

GM Financial Consumer Automobile Receivables Trust, Ser 2024-2, Cl A3

               

5.100%, 03/16/2029

  $ 2,238     $ 2,269  

GM Financial Revolving Receivables Trust, Ser 2024-1, Cl A

               

4.980%, 12/11/2036 (A)

    1,078       1,097  

GM Financial Revolving Receivables Trust, Ser 2024-2, Cl A

               

4.520%, 03/11/2037 (A)

    1,956       1,955  

Hertz Vehicle Financing III LLC, Ser 2023-3A, Cl A

               

5.940%, 02/25/2028 (A)

    860       877  

Hertz Vehicle Financing III LLC, Ser 2023-4A, Cl A

               

6.150%, 03/25/2030 (A)

    2,120       2,208  

Hertz Vehicle Financing III, Ser 2021-2A, Cl C

               

2.520%, 12/27/2027 (A)

    2,030       1,877  

Honda Auto Receivables Owner Trust, Ser 2022-2, Cl A3

               

3.730%, 07/20/2026

    1,136       1,127  

Honda Auto Receivables Owner Trust, Ser 2024-2, Cl A3

               

5.270%, 11/20/2028

    3,125       3,181  

Honda Auto Receivables Owner Trust, Ser 2024-3, Cl A3

               

4.570%, 03/21/2029

    5,341       5,365  

Honda Auto Receivables Owner Trust, Ser 2024-3, Cl A4

               

4.510%, 11/21/2030

    888       893  

Hyundai Auto Lease Securitization Trust, Ser 2022-C, Cl A3

               

4.380%, 10/15/2025 (A)

    742       741  

Hyundai Auto Lease Securitization Trust, Ser 2023-B, Cl A4

               

5.170%, 04/15/2027 (A)

    1,684       1,688  

Hyundai Auto Lease Securitization Trust, Ser 2023-C, Cl A4

               

5.840%, 09/15/2027 (A)

    1,115       1,132  

Hyundai Auto Lease Securitization Trust, Ser 2024-C, Cl A3

               

4.620%, 04/17/2028 (A)

    6,231       6,240  

Hyundai Auto Lease Securitization Trust, Ser 2024-C, Cl A4

               

4.650%, 09/15/2028 (A)

    1,839       1,844  

Hyundai Auto Receivables Trust, Ser 2021-C, Cl A4

               

1.030%, 12/15/2027

    1,347       1,301  

Hyundai Auto Receivables Trust, Ser 2022-A, Cl A3

               

2.220%, 10/15/2026

    1,383       1,363  

Hyundai Auto Receivables Trust, Ser 2022-A, Cl A4

               

2.350%, 04/17/2028

    899       872  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Hyundai Auto Receivables Trust, Ser 2023-A, Cl A4

               

4.480%, 07/17/2028

  $ 1,525     $ 1,524  

Hyundai Auto Receivables Trust, Ser 2023-B, Cl A3

               

5.480%, 04/17/2028

    858       869  

JPMorgan Chase Bank - CACLN, Ser 2021-2, Cl B

               

0.889%, 12/26/2028 (A)

    73       72  

JPMorgan Chase Bank - CACLN, Ser 2021-3, Cl B

               

0.760%, 02/26/2029 (A)

    405       398  

LAD Auto Receivables Trust, Ser 2024-2A, Cl A3

               

5.610%, 08/15/2028 (A)

    1,455       1,472  

Mercedes-Benz Auto Receivables Trust, Ser 2022-1, Cl A4

               

5.250%, 02/15/2029

    1,834       1,862  

Nissan Auto Lease Trust, Ser 2023-B, Cl A4

               

5.610%, 11/15/2027

    1,493       1,506  

Nissan Auto Receivables Owner Trust, Ser 2022-B, Cl A4

               

4.450%, 11/15/2029

    1,104       1,104  

Nissan Auto Receivables Owner Trust, Ser 2024-A, Cl A3

               

5.280%, 12/15/2028

    3,349       3,406  

OCCU Auto Receivables Trust, Ser 2023-1A, Cl A3

               

6.230%, 06/15/2028 (A)

    1,640       1,665  

PenFed Auto Receivables Owner Trust, Ser 2022-A, Cl A3

               

3.960%, 04/15/2026 (A)

    575       573  

PenFed Auto Receivables Owner Trust, Ser 2022-A, Cl A4

               

4.180%, 12/15/2028 (A)

    813       808  

Santander Bank Auto Credit-Linked Notes, Ser 2023-B, Cl C

               

5.933%, 12/15/2033 (A)

    3,900       3,955  

Santander Drive Auto Receivables Trust, Ser 2022-3, Cl A3

               

3.400%, 12/15/2026

    59       59  

Santander Drive Auto Receivables Trust, Ser 2022-4, Cl A3

               

4.140%, 02/16/2027

    427       427  

Santander Drive Auto Receivables Trust, Ser 2022-6, Cl A3

               

4.490%, 11/16/2026

    800       799  

Santander Drive Auto Receivables Trust, Ser 2022-7, Cl A3

               

5.750%, 04/15/2027

    553       554  

Santander Drive Auto Receivables Trust, Ser 2024-3, Cl A3

               

5.630%, 01/16/2029

    1,657       1,681  

 

 

 

SEI Institutional Investments Trust

 

209

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Santander Drive Auto Receivables Trust, Ser 2024-4, Cl A3

               

4.850%, 01/16/2029

  $ 1,722     $ 1,724  

Santander Retail Auto Lease Trust, Ser 2022-B, Cl A3

               

3.280%, 11/20/2025 (A)

    779       778  

SBNA Auto Lease Trust, Ser 2024-A, Cl A3

               

5.390%, 11/20/2026 (A)

    2,161       2,173  

SBNA Auto Lease Trust, Ser 2024-A, Cl A4

               

5.240%, 01/22/2029 (A)

    2,096       2,117  

SBNA Auto Lease Trust, Ser 2024-B, Cl A3

               

5.560%, 11/22/2027 (A)

    2,005       2,034  

SBNA Auto Receivables Trust, Ser 2024-A, Cl A3

               

5.320%, 12/15/2028 (A)

    5,951       5,989  

SBNA Auto Receivables Trust, Ser 2024-A, Cl A4

               

5.210%, 04/16/2029 (A)

    433       439  

SCCU Auto Receivables Trust, Ser 2024-1A, Cl A2

               

5.450%, 12/15/2027 (A)

    2,145       2,152  

SCCU Auto Receivables Trust, Ser 2024-1A, Cl A3

               

5.110%, 06/15/2029 (A)

    1,355       1,368  

SFS Auto Receivables Securitization Trust, Ser 2024-1A, Cl A3

               

4.950%, 05/21/2029 (A)

    2,297       2,310  

SFS Auto Receivables Securitization Trust, Ser 2024-1A, Cl A4

               

4.940%, 01/21/2031 (A)

    389       393  

SFS Auto Receivables Securitization Trust, Ser 2024-2A, Cl A3

               

5.330%, 11/20/2029 (A)

    1,414       1,441  

Toyota Auto Loan Extended Note Trust, Ser 2020-1A, Cl A

               

1.350%, 05/25/2033 (A)

    10,690       10,403  

Toyota Auto Loan Extended Note Trust, Ser 2021-1A, Cl A

               

1.070%, 02/27/2034 (A)

    7,605       7,209  

Toyota Auto Loan Extended Note Trust, Ser 2023-1A, Cl A

               

4.930%, 06/25/2036 (A)

    4,760       4,856  

Toyota Auto Loan Extended Note Trust, Ser 2024-1A, Cl A

               

5.160%, 11/25/2036 (A)

    9,773       10,069  

Toyota Auto Receivables Owner Trust, Ser 2022-D, Cl A4

               

5.430%, 04/17/2028

    994       1,014  

Toyota Auto Receivables Owner Trust, Ser 2023-B, Cl A3

               

4.710%, 02/15/2028

    1,966       1,966  

Toyota Auto Receivables Owner Trust, Ser 2023-C, Cl A3

               

5.160%, 04/17/2028

    2,315       2,333  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Veridian Auto Receivables Trust, Ser 2023-1A, Cl A3

               

5.560%, 03/15/2028 (A)

  $ 3,050     $ 3,066  

Volkswagen Auto Lease Trust, Ser 2022-A, Cl A3

               

3.440%, 07/21/2025

    107       107  

Volkswagen Auto Loan Enhanced Trust, Ser 2023-1, Cl A3

               

5.020%, 06/20/2028

    2,187       2,201  

Wheels Fleet Lease Funding 1 LLC, Ser 2024-2A, Cl A1

               

4.870%, 06/21/2039 (A)

    1,500       1,500  

World Omni Auto Receivables Trust, Ser 2024-B, Cl A3

               

5.270%, 09/17/2029

    2,475       2,525  

World Omni Automobile Lease Securitization Trust, Ser 2023-A, Cl A3

               

5.070%, 09/15/2026

    1,115       1,115  

World Omni Select Auto Trust, Ser 2023-A, Cl A2A

               

5.920%, 03/15/2027

    648       648  
              165,255  
                 

Credit Cards — 0.8%

       
         

American Express Credit Account Master Trust, Ser 2022-2, Cl A

               

3.390%, 05/15/2027

    1,580       1,562  

American Express Credit Account Master Trust, Ser 2024-1, Cl A

               

5.230%, 04/15/2029

    3,190       3,266  

American Express Credit Account Master Trust, Ser 2024-2, Cl A

               

5.240%, 04/15/2031

    9,858       10,291  

American Express Credit Account Master Trust, Ser 2024-3, Cl A

               

4.650%, 07/15/2029

    5,385       5,454  

BA Credit Card Trust, Ser 2023-A1, Cl A1

               

4.790%, 05/15/2028

    825       830  

BA Credit Card Trust, Ser 2023-A2, Cl A2

               

4.980%, 11/15/2028

    9,226       9,365  

BA Credit Card Trust, Ser 2024-A1, Cl A

               

4.930%, 05/15/2029

    4,503       4,585  

CARDS II Trust, Ser 2024-1A, Cl A

               

6.035%, SOFRRATE + 0.680%, 07/16/2029 (A)(B)

    4,475       4,475  

Discover Card Execution Note Trust, Ser 2023-A1, Cl A

               

4.310%, 03/15/2028

    2,205       2,198  

Discover Card Execution Note Trust, Ser 2023-A2, Cl A

               

4.930%, 06/15/2028

    6,720       6,778  

Synchrony Card Funding LLC, Ser 2023-A1, Cl A

               

5.540%, 07/15/2029

    3,475       3,530  

 

 

 

210

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Synchrony Card Funding LLC, Ser 2024-A2, Cl A

               

4.930%, 07/15/2030

  $ 1,541     $ 1,565  

WF Card Issuance Trust, Ser 2024-A1, Cl A

               

4.940%, 02/15/2029

    4,274       4,342  

World Financial Network Credit Card Master Note Trust, Ser 2024-B, Cl A

               

4.620%, 05/15/2031

    1,552       1,554  

World Financial Network Credit Card Master Trust, Ser 2024-A, Cl A

               

5.470%, 02/15/2031

    936       956  
              60,751  
                 

Mortgage Related Securities — 0.1%

       
         

Aames Mortgage Trust, Ser 2002-1, Cl A3

               

7.396%, 06/25/2032 (D)

    11       11  

Centex Home Equity Loan Trust, Ser 2005-A, Cl M1

               

6.112%, TSFR1M + 0.834%, 01/25/2035 (B)

    621       621  

Delta Funding Home Equity Loan Trust, Ser 1999-3, Cl A1A

               

6.271%, TSFR1M + 0.934%, 09/15/2029 (B)

    126       121  

Master Asset-Backed Securities Trust, Ser 2006-WMC3, Cl A4

               

5.712%, TSFR1M + 0.434%, 08/25/2036 (B)

    652       231  

Morgan Stanley Mortgage Loan Trust, Ser 2007-3XS, Cl 2A3S

               

6.358%, 01/25/2047 (D)

    12       4  

RASC Trust, Ser 2005-KS9, Cl M5

               

6.337%, TSFR1M + 0.744%, 10/25/2035 (B)

    2,090       2,077  

RASC Trust, Ser 2006-KS2, Cl M2

               

5.977%, TSFR1M + 0.699%, 03/25/2036 (B)

    806       798  

Structured Asset Securities Pass-Through Certificates, Ser 2002-AL1, Cl A2

               

3.450%, 02/25/2032

    4       4  

Wells Fargo Home Equity Asset-Backed Securities Trust, Ser 2004-2, Cl A33

               

6.392%, TSFR1M + 1.114%, 10/25/2034 (B)

    1,921       1,939  
              5,806  
                 

Other Asset-Backed Securities — 4.8%

       
         

AB BSL CLO IV, Ser 2023-4A, Cl A

               

7.282%, TSFR3M + 2.000%, 04/20/2036 (A)(B)

    890       895  

AccessLex Institute, Ser 2007-A, Cl A3

               

5.633%, TSFR3M + 0.562%, 05/25/2036 (B)

    1,109       1,094  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

AGL CLO 33, Ser 2024-33A, Cl A1

               

6.559%, TSFR3M + 1.350%, 07/21/2037 (A)(B)

  $ 4,260     $ 4,258  

AGL CLO VI, Ser 2021-6A, Cl AR

               

6.744%, TSFR3M + 1.462%, 07/20/2034 (A)(B)

    610       611  

Aligned Data Centers Issuer LLC, Ser 2021-1A, Cl A2

               

1.937%, 08/15/2046 (A)

    3,630       3,410  

American Homes 4 Rent, Ser 2015-SFR1, Cl A

               

3.467%, 04/17/2052 (A)

    4,662       4,604  

AMMC CLO 15, Ser 2021-15A, Cl BR3

               

7.213%, TSFR3M + 1.912%, 01/15/2032 (A)(B)

    2,000       1,999  

Apidos CLO XII, Ser 2024-12A, Cl ARR

               

6.381%, TSFR3M + 1.080%, 04/15/2031 (A)(B)

    2,350       2,350  

Apidos CLO XXV, Ser 2024-25A, Cl A1R2

               

6.432%, TSFR3M + 1.150%, 10/20/2031 (A)(B)

    4,049       4,053  

Apidos CLO XXXV, Ser 2021-35A, Cl A

               

6.594%, TSFR3M + 1.312%, 04/20/2034 (A)(B)

    1,320       1,321  

Arbor Realty Commercial Real Estate Notes, Ser 2021-FL4, Cl AS

               

7.151%, TSFR1M + 1.814%, 11/15/2036 (A)(B)

    4,831       4,776  

Arbor Realty Commercial Real Estate Notes, Ser 2022-FL1, Cl A

               

6.804%, SOFR30A + 1.450%, 01/15/2037 (A)(B)

    1,848       1,839  

Ares Loan Funding IV, Ser 2023-ALF4A, Cl A1

               

7.051%, TSFR3M + 1.750%, 10/15/2036 (A)(B)

    2,380       2,395  

Ares LXIII CLO, Ser 2022-63A, Cl A1A

               

6.662%, TSFR3M + 1.380%, 04/20/2035 (A)(B)

    2,750       2,757  

Balboa Bay Loan Funding, Ser 2021-2A, Cl A1

               

6.714%, TSFR3M + 1.432%, 01/20/2035 (A)(B)

    1,230       1,229  

Ballyrock CLO, Ser 2019-2, Cl A1RR

               

6.528%, TSFR3M + 1.400%, 02/20/2036 (A)(B)

    1,530       1,532  

Barings CLO, Ser 2024-4A, Cl A1R

               

6.451%, TSFR3M + 1.150%, 10/15/2030 (A)(B)

    5,607       5,609  

Battery Park CLO, Ser 2024-1A, Cl AR

               

6.701%, TSFR3M + 1.400%, 07/15/2036 (A)(B)

    2,540       2,539  

Birch Grove CLO 4, Ser 2022-4A, Cl A1R

               

6.781%, TSFR3M + 1.480%, 07/15/2037 (A)(B)

    1,320       1,320  

 

 

 

SEI Institutional Investments Trust

 

211

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Birch Grove CLO 7, Ser 2023-7A, Cl A1

               

7.082%, TSFR3M + 1.800%, 10/20/2036 (A)(B)

  $ 1,420     $ 1,430  

Birch Grove CLO 8, Ser 2024-8A, Cl A1

               

6.928%, TSFR3M + 1.630%, 04/20/2037 (A)(B)

    1,450       1,458  

Blackbird Capital II Aircraft Lease, Ser 2021-1A, Cl A

               

2.443%, 07/15/2046 (A)

    741       675  

BlueMountain CLO XXXI, Ser 2021-31A, Cl A1

               

6.691%, TSFR3M + 1.412%, 04/19/2034 (A)(B)

    350       351  

Brazos Education Loan Authority, Ser 2012-1, Cl A1

               

6.163%, SOFR30A + 0.814%, 12/26/2035 (B)

    211       211  

Brightwood Capital MM CLO, Ser 2023-1A, Cl A1A

               

8.079%, TSFR3M + 2.750%, 10/15/2035 (A)(B)

    1,690       1,713  

Carlyle Global Market Strategies CLO, Ser 2018-3RA, Cl A1A

               

6.575%, TSFR3M + 1.312%, 07/27/2031 (A)(B)

    481       480  

CarVal CLO VII-C, Ser 2024-1A, Cl A1R

               

6.722%, TSFR3M + 1.440%, 07/20/2037 (A)(B)

    2,550       2,549  

CarVal CLO XI C, Ser 2024-3A, Cl A1

               

0.000%, 10/20/2037 (A)(B)(E)

    3,290       3,290  

Catskill Park CLO, Ser 2017-1A, Cl A2

               

7.244%, TSFR3M + 1.962%, 04/20/2029 (A)(B)

    1,500       1,502  

Cayuga Park CLO, Ser 2021-1A, Cl AR

               

6.667%, TSFR3M + 1.382%, 07/17/2034 (A)(B)

    2,360       2,364  

CBAM, Ser 2017-1A, Cl A1

               

6.794%, TSFR3M + 1.512%, 07/20/2030 (A)(B)

    249       249  

Cedar Funding V CLO, Ser 2020-5A, Cl AFRR

               

1.937%, 07/17/2031 (A)

    1,259       1,204  

Cedar Funding VII CLO, Ser 2024-7A, Cl AR

               

6.176%, TSFR3M + 1.080%, 01/20/2031 (A)(B)

    7,100       7,100  

Chase Funding Trust, Ser 2003-6, Cl 1A5

               

4.857%, 11/25/2034 (D)

    80       79  

Chase Funding Trust, Ser 2003-6, Cl 1A7

               

4.857%, 11/25/2034 (D)

    80       78  

CIFC Funding, Ser 2021-3A, Cl A1R

               

6.674%, TSFR3M + 1.392%, 10/20/2034 (A)(B)

    840       841  

CIFC Funding, Ser 2021-4A, Cl A1A2

               

6.614%, TSFR3M + 1.332%, 04/20/2034 (A)(B)

    350       350  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

CIFC Funding, Ser 2021-7A, Cl A1

               

6.675%, TSFR3M + 1.392%, 01/23/2035 (A)(B)

  $ 6,225     $ 6,230  

CIFC Funding, Ser 2024-1A, Cl A1R

               

6.763%, TSFR3M + 1.420%, 07/25/2037 (A)(B)

    2,250       2,249  

CIFC Funding, Ser 2024-2A, Cl A1

               

6.848%, TSFR3M + 1.520%, 04/22/2037 (A)(B)

    2,400       2,404  

CIT Education Loan Trust, Ser 2007-1, Cl A

               

5.705%, SOFR90A + 0.352%, 03/25/2042 (A)(B)

    746       729  

Citicorp Residential Mortgage Trust, Ser 2007-1, Cl A5

               

4.759%, 03/25/2037 (D)

    123       122  

CNH Equipment Trust, Ser 2022-B, Cl A3

               

3.890%, 08/16/2027

    1,528       1,514  

CNH Equipment Trust, Ser 2022-C, Cl A3

               

5.150%, 04/17/2028

    3,265       3,285  

College Avenue Student Loans LLC, Ser 2017-A, Cl A1

               

7.042%, TSFR1M + 1.764%, 11/26/2046 (A)(B)

    371       369  

College Avenue Student Loans LLC, Ser 2018-A, Cl A2

               

4.130%, 12/26/2047 (A)

    300       287  

College Avenue Student Loans LLC, Ser 2019-A, Cl A2

               

3.280%, 12/28/2048 (A)

    643       610  

College Avenue Student Loans LLC, Ser 2021-B, Cl A2

               

1.760%, 06/25/2052 (A)

    543       493  

College Avenue Student Loans LLC, Ser 2021-C, Cl A2

               

2.320%, 07/26/2055 (A)

    357       322  

College Avenue Student Loans LLC, Ser 2023-A, Cl A2

               

5.330%, 05/25/2055 (A)

    2,433       2,433  

COOF Securitization Trust, Ser 2014-1, Cl A, IO

               

2.788%, 06/25/2040 (A)(B)

    87       6  

Countrywide Asset-Backed Certificates Trust, Ser 2004-6, Cl 1A1

               

5.932%, TSFR1M + 0.654%, 12/25/2034 (B)

    1,645       1,628  

Countrywide Asset-Backed Certificates Trust, Ser 2006-SD3, Cl A1

               

6.052%, TSFR1M + 0.774%, 07/25/2036 (A)(B)

    12       12  

Countrywide Asset-Backed Certificates Trust, Ser 2007-13, Cl 2A1

               

6.292%, TSFR1M + 1.014%, 10/25/2047 (B)

    180       168  

 

 

 

212

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Countrywide Home Equity Loan Revolving Home Equity Loan Trust, Ser 2007-A, Cl A

               

5.571%, TSFR1M + 0.234%, 04/15/2037 (B)

  $ 954     $ 898  

Credit-Based Asset Servicing and Securitization LLC, Ser 2003-CB3, Cl AF1

               

3.379%, 12/25/2032 (D)

    18       17  

Credit-Based Asset Servicing and Securitization LLC, Ser 2006-CB2, Cl AF2

               

3.032%, 12/25/2036 (D)

    300       247  

DLLAA LLC, Ser 2023-1A, Cl A3

               

5.640%, 02/22/2028 (A)

    760       774  

DLLAD LLC, Ser 2024-1A, Cl A3

               

5.300%, 07/20/2029 (A)

    1,650       1,684  

DLLMT 2024-1 LLC, Ser 2024-1A, Cl A4

               

4.980%, 04/20/2032 (A)

    1,380       1,385  

DLLST LLC, Ser 2024-1A, Cl A3

               

5.050%, 08/20/2027 (A)

    740       743  

DRIVEN BRANDS FUNDING LLC, Ser 2024-1A, Cl A2

               

6.372%, 10/20/2054 (A)

    1,770       1,825  

Dryden XXVI Senior Loan Fund, Ser 2018-26A, Cl AR

               

6.463%, TSFR3M + 1.162%, 04/15/2029 (A)(B)

    2,391       2,393  

Eaton Vance CLO, Ser 2021-2A, Cl AR

               

6.713%, TSFR3M + 1.412%, 01/15/2035 (A)(B)

    1,500       1,500  

EDvestinU Private Education Loan Issue No. 4 LLC, Ser 2022-A, Cl A

               

5.250%, 11/25/2040 (A)

    1,348       1,350  

Elmwood CLO I, Ser 2024-1A, Cl A1RR

               

6.802%, TSFR3M + 1.520%, 04/20/2037 (A)(B)

    2,220       2,237  

Empower CLO, Ser 2024-1A, Cl A1

               

6.911%, TSFR3M + 1.600%, 04/25/2037 (A)(B)

    1,500       1,505  

FNMA Grantor Trust, Ser 2017-T1, Cl A

               

2.898%, 06/25/2027

    178       171  

Fremont Home Loan Trust, Ser 2005-E, Cl 2A4

               

6.052%, TSFR1M + 0.774%, 01/25/2036 (B)

    4,915       4,689  

Goldentree Loan Management US CLO 11, Ser 2021-11A, Cl B

               

7.144%, TSFR3M + 1.862%, 10/20/2034 (A)(B)

    6,000       5,983  

Goldentree Loan Management US CLO 4, Ser 2024-4A, Cl ARR

               

6.433%, TSFR3M + 1.150%, 04/24/2031 (A)(B)

    4,445       4,448  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Golub Capital Partners CLO, Ser 2023-66A, Cl A

               

7.235%, TSFR3M + 1.950%, 04/25/2036 (A)(B)

  $ 890     $ 899  

Great Lakes Kcap F3c Senior LLC, Ser 2017-1A, Cl A

               

7.505%, TSFR3M + 2.162%, 12/20/2029 (A)(B)

    202       202  

Halsey Point CLO I, Ser 2019-1A, Cl A1A1

               

6.894%, TSFR3M + 1.612%, 01/20/2033 (A)(B)

    590       590  

Halsey Point CLO III, Ser 2020-3A, Cl A1A

               

6.967%, TSFR3M + 1.712%, 11/30/2032 (A)(B)

    700       700  

Halsey Point CLO III, Ser 2024-3A, Cl A1R

               

6.637%, TSFR3M + 1.480%, 07/30/2037 (A)(B)

    1,750       1,750  

Hardee's Funding LLC, Ser 2021-1A, Cl A2

               

2.865%, 06/20/2051 (A)

    3,647       3,212  

Hildene Community Funding CDO, Ser 2021-1A, Cl ARR

               

2.600%, 11/01/2035 (A)

    1,729       1,463  

Hilton Grand Vacations Trust, Ser 2020-AA, Cl A

               

2.740%, 02/25/2039 (A)

    590       570  

HPEFS Equipment Trust, Ser 2024-1A, Cl A3

               

5.180%, 05/20/2031 (A)

    1,150       1,156  

HPS Loan Management, Ser 2021-16A, Cl A1

               

6.685%, TSFR3M + 1.402%, 01/23/2035 (A)(B)

    6,000       6,013  

Invitation Homes Trust, Ser 2024-SFR1, Cl A

               

4.000%, 09/17/2029 (A)

    4,190       4,039  

JGWPT XXX LLC, Ser 2013-3A, Cl A

               

4.080%, 01/17/2073 (A)

    1,034       987  

JGWPT XXXII LLC, Ser 2014-2A, Cl A

               

3.610%, 01/17/2073 (A)

    1,337       1,225  

KGS-Alpha SBA COOF Trust, Ser 2012-A, Cl A, IO

               

0.878%, 08/25/2038 (A)(B)

    348       6  

KGS-Alpha SBA COOF Trust, Ser 2014-2, Cl A, IO

               

3.033%, 04/25/2040 (A)(B)

    42       3  

Kings Park CLO, Ser 2021-1A, Cl A

               

6.674%, TSFR3M + 1.392%, 01/21/2035 (A)(B)

    710       710  

KREF, Ser 2022-FL3, Cl A

               

6.786%, TSFR1M + 1.450%, 02/17/2039 (A)(B)

    4,100       4,084  

Madison Park Funding XXIX, Ser 2024-29A, Cl AR

               

6.459%, TSFR3M + 1.180%, 10/18/2030 (A)(B)

    4,334       4,339  

 

 

 

SEI Institutional Investments Trust

 

213

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Madison Park Funding XXVII, Ser 2018-27A, Cl A2

               

6.894%, TSFR3M + 1.612%, 04/20/2030 (A)(B)

  $ 2,655     $ 2,652  

Madison Park Funding XXXV, Ser 2021-35A, Cl A1R

               

6.534%, TSFR3M + 1.252%, 04/20/2032 (A)(B)

    3,488       3,492  

Magnetite XVII, Ser 2024-17A, Cl BR2

               

7.232%, TSFR3M + 1.950%, 04/20/2037 (A)(B)

    2,840       2,849  

Magnetite XXVI, Ser 2021-26A, Cl A1R

               

6.666%, TSFR3M + 1.382%, 07/25/2034 (A)(B)

    1,600       1,601  

MF1, Ser 2020-FL4, Cl A

               

7.151%, TSFR1M + 1.814%, 12/15/2035 (A)(B)

    604       604  

MF1, Ser 2021-FL7, Cl A

               

6.536%, TSFR1M + 1.194%, 10/16/2036 (A)(B)

    2,499       2,485  

Mid-State Capital Trust, Ser 2006-1, Cl A

               

5.787%, 10/15/2040 (A)

    1,572       1,574  

Mid-State Trust XI, Ser 2003-11, Cl A1

               

4.864%, 07/15/2038

    515       510  

MVW LLC, Ser 2021-1WA, Cl B

               

1.440%, 01/22/2041 (A)

    265       250  

MVW LLC, Ser 2023-2A, Cl A

               

6.180%, 11/20/2040 (A)

    829       856  

Myers Park CLO, Ser 2018-1A, Cl B1

               

7.144%, TSFR3M + 1.862%, 10/20/2030 (A)(B)

    890       890  

Navient Private Education Loan Trust, Ser 2014-AA, Cl A3

               

7.051%, TSFR1M + 1.714%, 10/15/2031 (A)(B)

    317       318  

Navient Private Education Loan Trust, Ser 2016-AA, Cl A2B

               

7.601%, TSFR1M + 2.264%, 12/15/2045 (A)(B)

    157       158  

Navient Private Education Loan Trust, Ser 2018-BA, Cl A2A

               

3.610%, 12/15/2059 (A)

    269       266  

Navient Private Education Refi Loan Trust, Ser 2018-CA, Cl A2

               

3.520%, 06/16/2042 (A)

           

Navient Private Education Refi Loan Trust, Ser 2018-DA, Cl A2A

               

4.000%, 12/15/2059 (A)

    2,139       2,105  

Navient Private Education Refi Loan Trust, Ser 2019-A, Cl A2A

               

3.420%, 01/15/2043 (A)

    520       512  

Navient Private Education Refi Loan Trust, Ser 2019-CA, Cl A2

               

3.130%, 02/15/2068 (A)

    1,027       999  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Navient Private Education Refi Loan Trust, Ser 2019-D, Cl A2A

               

3.010%, 12/15/2059 (A)

  $ 1,476     $ 1,426  

Navient Private Education Refi Loan Trust, Ser 2019-FA, Cl A2

               

2.600%, 08/15/2068 (A)

    1,746       1,664  

Navient Private Education Refi Loan Trust, Ser 2020-DA, Cl A

               

1.690%, 05/15/2069 (A)

    852       797  

Navient Private Education Refi Loan Trust, Ser 2020-EA, Cl A

               

1.690%, 05/15/2069 (A)

    947       874  

Navient Private Education Refi Loan Trust, Ser 2020-GA, Cl A

               

1.170%, 09/16/2069 (A)

    1,096       1,009  

Navient Private Education Refi Loan Trust, Ser 2021-A, Cl A

               

0.840%, 05/15/2069 (A)

    2,613       2,359  

Navient Private Education Refi Loan Trust, Ser 2021-BA, Cl A

               

0.940%, 07/15/2069 (A)

    502       450  

Navient Private Education Refi Loan Trust, Ser 2021-CA, Cl A

               

1.060%, 10/15/2069 (A)

    1,916       1,720  

Navient Private Education Refi Loan Trust, Ser 2021-EA, Cl A

               

0.970%, 12/16/2069 (A)

    2,836       2,496  

Navient Private Education Refi Loan Trust, Ser 2021-FA, Cl A

               

1.110%, 02/18/2070 (A)

    1,834       1,599  

Navient Private Education Refi Loan Trust, Ser 2021-GA, Cl A

               

1.580%, 04/15/2070 (A)

    452       401  

Navient Private Education Refi Loan Trust, Ser 2022-A, Cl A

               

2.230%, 07/15/2070 (A)

    1,621       1,471  

Navient Student Loan Trust, Ser 2016-3A, Cl A3

               

6.813%, SOFR30A + 1.464%, 06/25/2065 (A)(B)

    917       926  

Navient Student Loan Trust, Ser 2017-3A, Cl A3

               

6.513%, SOFR30A + 1.164%, 07/26/2066 (A)(B)

    4,878       4,887  

Navient Student Loan Trust, Ser 2019-BA, Cl A2A

               

3.390%, 12/15/2059 (A)

    506       492  

Navient Student Loan Trust, Ser 2021-1A, Cl A1A

               

1.310%, 12/26/2069 (A)

    716       632  

Navient Student Loan Trust, Ser 2021-3A, Cl A1A

               

1.770%, 08/25/2070 (A)

    1,660       1,490  

 

 

 

214

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Navient Student Loan Trust, Ser 2023-BA, Cl A1A

               

6.480%, 03/15/2072 (A)

  $ 667     $ 685  

Nelnet Student Loan Trust, Ser 2004-3, Cl A5

               

5.801%, SOFR90A + 0.442%, 10/27/2036 (B)

    322       320  

Nelnet Student Loan Trust, Ser 2004-4, Cl A5

               

5.781%, SOFR90A + 0.422%, 01/25/2037 (B)

    812       808  

Nelnet Student Loan Trust, Ser 2005-1, Cl A5

               

5.731%, SOFR90A + 0.372%, 10/25/2033 (B)

    2,212       2,190  

Nelnet Student Loan Trust, Ser 2005-2, Cl A5

               

5.715%, SOFR90A + 0.362%, 03/23/2037 (B)

    2,328       2,309  

Nelnet Student Loan Trust, Ser 2005-3, Cl A5

               

5.735%, SOFR90A + 0.382%, 12/24/2035 (B)

    1,653       1,639  

Nelnet Student Loan Trust, Ser 2005-4, Cl A4

               

5.795%, SOFR90A + 0.442%, 03/22/2032 (B)

    290       282  

Nelnet Student Loan Trust, Ser 2019-5, Cl A

               

2.530%, 10/25/2067 (A)

    1,050       978  

Nelnet Student Loan Trust, Ser 2021-CA, Cl AFX

               

1.320%, 04/20/2062 (A)

    1,241       1,146  

Newcastle Mortgage Securities Trust, Ser 2007-1, Cl 1A1

               

5.582%, TSFR1M + 0.304%, 04/25/2037 (B)

    5,014       4,802  

NP SPE X, Ser 2021-1A, Cl A1

               

2.230%, 03/19/2051 (A)

    2,556       2,396  

Oaktree CLO, Ser 2022-3A, Cl A2

               

7.601%, TSFR3M + 2.300%, 07/15/2035 (A)(B)

    250       250  

Oaktree CLO, Ser 2024-25A, Cl A

               

6.854%, TSFR3M + 1.550%, 04/20/2037 (A)(B)

    2,490       2,503  

Ocean Trails CLO XII, Ser 2024-12A, Cl A1R

               

6.476%, TSFR3M + 1.330%, 07/20/2035 (A)(B)

    3,460       3,460  

OCP CLO, Ser 2024-6A, Cl A1R2

               

6.436%, TSFR3M + 1.150%, 10/17/2030 (A)(B)

    3,205       3,205  

Octagon 66, Ser 2023-1A, Cl A1R

               

6.846%, TSFR3M + 1.750%, 11/16/2036 (A)(B)

    2,500       2,519  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Octagon Investment Partners XIV, Ser 2021-1A, Cl AARR

               

6.513%, TSFR3M + 1.212%, 07/15/2029 (A)(B)

  $ 738     $ 739  

Octagon Investment Partners XXI, Ser 2021-1A, Cl AAR3

               

6.378%, TSFR3M + 1.262%, 02/14/2031 (A)(B)

    1,083       1,084  

Octane Receivables Trust, Ser 2023-1A, Cl A

               

5.870%, 05/21/2029 (A)

    740       742  

Octane Receivables Trust, Ser 2024-2A, Cl A2

               

5.800%, 07/20/2032 (A)

    1,030       1,039  

OFSI BSL XIV CLO, Ser 2024-14A, Cl A

               

6.649%, TSFR3M + 1.460%, 07/20/2037 (A)(B)

    1,940       1,940  

OHA Credit Funding VII, Ser 2022-7A, Cl AR

               

6.580%, TSFR3M + 1.300%, 02/24/2037 (A)(B)

    1,730       1,732  

OHA Credit Partners XVI, Ser 2021-16A, Cl A

               

6.691%, TSFR3M + 1.412%, 10/18/2034 (A)(B)

    350       351  

Owl Rock CLO III, Ser 2024-3A, Cl AR

               

7.149%, TSFR3M + 1.850%, 04/20/2036 (A)(B)

    2,030       2,037  

Palmer Square CLO, Ser 2021-1A, Cl A1R

               

6.528%, TSFR3M + 1.412%, 11/14/2034 (A)(B)

    2,430       2,433  

Palmer Square CLO, Ser 2022-1A, Cl A

               

6.602%, TSFR3M + 1.320%, 04/20/2035 (A)(B)

    5,800       5,807  

Palmer Square CLO, Ser 2022-5A, Cl A

               

7.282%, TSFR3M + 2.000%, 10/20/2035 (A)(B)

    710       710  

PFS Financing, Ser 2022-A, Cl B

               

2.770%, 02/15/2027 (A)

    1,563       1,542  

Point Au Roche Park CLO, Ser 2021-1A, Cl A

               

6.624%, TSFR3M + 1.342%, 07/20/2034 (A)(B)

    3,130       3,138  

Rad CLO, Ser 2023-22A, Cl A1

               

7.112%, TSFR3M + 1.830%, 01/20/2037 (A)(B)

    3,040       3,071  

RAMP Trust, Ser 2007-RZ1, Cl A3

               

5.892%, TSFR1M + 0.614%, 02/25/2037 (B)

    2,099       2,078  

Recette CLO, Ser 2021-1A, Cl ARR

               

6.624%, TSFR3M + 1.342%, 04/20/2034 (A)(B)

    760       760  

Reese Park CLO, Ser 2021-1A, Cl AR

               

6.693%, TSFR3M + 1.392%, 10/15/2034 (A)(B)

    3,690       3,692  

Rockford Tower CLO, Ser 2021-2A, Cl AR

               

6.490%, TSFR3M + 1.362%, 08/20/2032 (A)(B)

    5,000       5,003  

 

 

 

SEI Institutional Investments Trust

 

215

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

RR III, Ser 2018-3A, Cl A1R2

               

6.653%, TSFR3M + 1.352%, 01/15/2030 (A)(B)

  $ 446     $ 447  

SBA Small Business Investment, Ser 2018-10B, Cl 1

               

3.548%, 09/10/2028

    983       961  

SBA Small Business Investment, Ser 2019-10A, Cl 1

               

3.113%, 03/10/2029

    542       517  

SBA Small Business Investment, Ser 2022-10A, Cl 1

               

2.938%, 03/10/2032

    1,466       1,374  

SBA Small Business Investment, Ser 2022-10B, Cl 1

               

4.262%, 09/10/2032

    872       861  

Sequoia Infrastructure Funding I, Ser 2021-1A, Cl A

               

6.963%, TSFR3M + 1.662%, 04/15/2031 (A)(B)

    48       48  

Silver Rock CLO I, Ser 2023-1A, Cl AR

               

7.062%, TSFR3M + 1.780%, 10/20/2033 (A)(B)

    2,960       2,968  

SLM Private Education Loan Trust, Ser 2010-C, Cl A5

               

10.201%, TSFR1M + 4.864%, 10/15/2041 (A)(B)

    1,229       1,284  

SLM Student Loan Trust, Ser 2003-4, Cl A5D

               

6.364%, SOFR90A + 1.012%, 03/15/2033 (A)(B)

    493       485  

SLM Student Loan Trust, Ser 2003-7A, Cl A5A

               

6.814%, SOFR90A + 1.462%, 12/15/2033 (A)(B)

    1,801       1,779  

SLM Student Loan Trust, Ser 2006-8, Cl A6

               

5.781%, SOFR90A + 0.422%, 01/25/2041 (B)

    2,483       2,410  

SLM Student Loan Trust, Ser 2008-2, Cl B

               

6.821%, SOFR90A + 1.462%, 01/25/2083 (B)

    1,155       1,190  

SLM Student Loan Trust, Ser 2008-3, Cl B

               

6.821%, SOFR90A + 1.462%, 04/26/2083 (B)

    1,155       1,176  

SLM Student Loan Trust, Ser 2008-4, Cl B

               

7.471%, SOFR90A + 2.112%, 04/25/2073 (B)

    1,155       1,196  

SLM Student Loan Trust, Ser 2008-5, Cl B

               

7.471%, SOFR90A + 2.112%, 07/25/2073 (B)

    1,155       1,179  

SLM Student Loan Trust, Ser 2008-6, Cl B

               

7.471%, SOFR90A + 2.112%, 07/26/2083 (B)

    1,155       1,182  

SLM Student Loan Trust, Ser 2008-7, Cl B

               

7.471%, SOFR90A + 2.112%, 07/26/2083 (B)

    1,155       1,171  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

SLM Student Loan Trust, Ser 2014-3A, Cl A6A

               

6.171%, SOFR90A + 0.812%, 10/25/2064 (A)(B)

  $ 2,008     $ 1,988  

SMB Private Education Loan Trust, Ser 2016-B, Cl A2A

               

2.430%, 02/17/2032 (A)

    75       74  

SMB Private Education Loan Trust, Ser 2016-C, Cl A2B

               

6.551%, TSFR1M + 1.214%, 09/15/2034 (A)(B)

    83       83  

SMB Private Education Loan Trust, Ser 2020-A, Cl A2A

               

2.230%, 09/15/2037 (A)

    672       641  

SMB Private Education Loan Trust, Ser 2020-PTA, Cl A2A

               

1.600%, 09/15/2054 (A)

    2,005       1,862  

SMB Private Education Loan Trust, Ser 2021-A, Cl A2B

               

1.590%, 01/15/2053 (A)

    901       822  

SMB Private Education Loan Trust, Ser 2021-A, Cl APT1

               

1.070%, 01/15/2053 (A)

    2,533       2,281  

SMB Private Education Loan Trust, Ser 2021-B, Cl A

               

1.310%, 07/17/2051 (A)

    1,105       1,019  

SMB Private Education Loan Trust, Ser 2021-C, Cl APT1

               

1.390%, 01/15/2053 (A)

    1,756       1,584  

SMB Private Education Loan Trust, Ser 2021-C, Cl B

               

2.300%, 01/15/2053 (A)

    913       865  

SMB Private Education Loan Trust, Ser 2021-D, Cl A1A

               

1.340%, 03/17/2053 (A)

    2,566       2,366  

SMB Private Education Loan Trust, Ser 2021-E, Cl A1A

               

1.680%, 02/15/2051 (A)

    726       676  

SMB Private Education Loan Trust, Ser 2024-A, Cl A1A

               

5.240%, 03/15/2056 (A)

    1,748       1,772  

SMB Private Education Loan Trust, Ser 2024-D, Cl A1A

               

5.380%, 07/15/2053 (A)

    777       790  

SMB Private Education Loan Trust, Ser 2024-E, Cl A1A

               

5.090%, 10/16/2056 (A)

    2,430       2,438  

SoFi Consumer Loan Program Trust, Ser 2023-1S, Cl A

               

5.810%, 05/15/2031 (A)

    27       27  

SoFi Professional Loan Program LLC, Ser 2017-D, Cl A2FX

               

2.650%, 09/25/2040 (A)

    20       20  

 

 

 

216

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

SoFi Professional Loan Program Trust, Ser 2020-C, Cl AFX

               

1.950%, 02/15/2046 (A)

  $ 163     $ 151  

SoFi Professional Loan Program Trust, Ser 2021-B, Cl AFX

               

1.140%, 02/15/2047 (A)

    1,365       1,186  

South Carolina Student Loan, Ser 2015-A, Cl A

               

6.892%, TSFR1M + 1.614%, 01/25/2036 (B)

    441       441  

Stack Infrastructure Issuer LLC, Ser 2020-1A, Cl A2

               

1.893%, 08/25/2045 (A)

    3,772       3,637  

Structured Asset Investment Loan Trust, Ser 2004-8, Cl A2

               

5.942%, TSFR1M + 0.664%, 09/25/2034 (B)

    2,048       1,952  

Structured Asset Securities Mortgage Loan Trust, Ser 2006-BC5, Cl A4

               

5.732%, TSFR1M + 0.454%, 12/25/2036 (B)

    1,088       1,065  

Symphony CLO, Ser 2023-40A, Cl A1

               

6.941%, TSFR3M + 1.640%, 01/14/2034 (A)(B)

    2,740       2,747  

T-Mobile US Trust, Ser 2022-1A, Cl A

               

4.910%, 05/22/2028 (A)

    1,743       1,740  

T-Mobile US Trust, Ser 2024-1A, Cl A

               

5.050%, 09/20/2029 (A)

    2,330       2,353  

Trestles CLO IV, Ser 2021-4A, Cl B1

               

7.244%, TSFR3M + 1.962%, 07/21/2034 (A)(B)

    6,300       6,314  

Trestles CLO VII, Ser 2024-7A, Cl A1

               

0.000%, 10/25/2037 (A)(B)(E)

    2,180       2,180  

Trinitas CLO XXV, Ser 2023-25A, Cl A1

               

7.133%, TSFR3M + 1.850%, 01/23/2037 (A)(B)

    910       916  

Triumph Rail Holdings LLC, Ser 2021-2, Cl A

               

2.150%, 06/19/2051 (A)

    1,897       1,761  

TRTX Issuer, Ser 2022-FL5, Cl A

               

6.989%, TSFR1M + 1.650%, 02/15/2039 (A)(B)

    3,979       3,937  

U.S. Small Business Administration, Ser 2019-20D, Cl 1

               

2.980%, 04/01/2039

    192       179  

U.S. Small Business Administration, Ser 2022-25E, Cl 1

               

3.940%, 05/01/2047

    931       893  

U.S. Small Business Administration, Ser 2022-25F, Cl 1

               

4.010%, 06/01/2047

    1,177       1,134  

U.S. Small Business Administration, Ser 2024-25C, Cl 1

               

4.970%, 03/01/2049

    350       358  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Verizon Master Trust, Ser 2022-4, Cl A

               

3.400%, 11/20/2028

  $ 2,542     $ 2,513  

Verizon Master Trust, Ser 2022-6, Cl A

               

3.670%, 01/22/2029

    1,960       1,940  

Verizon Master Trust, Ser 2023-1, Cl A

               

4.490%, 01/22/2029

    6,844       6,829  

Verizon Master Trust, Ser 2023-2, Cl A

               

4.890%, 04/13/2028

    1,101       1,099  

Verizon Master Trust, Ser 2023-4, Cl A1A

               

5.160%, 06/20/2029

    5,065       5,121  

Verizon Master Trust, Ser 2023-6, Cl A

               

5.350%, 09/22/2031 (A)

    6,405       6,650  

Verizon Master Trust, Ser 2023-7, Cl A1A

               

5.670%, 11/20/2029

    3,565       3,660  

Verizon Master Trust, Ser 2024-1, Cl A1A

               

5.000%, 12/20/2028

    5,125       5,145  

Verizon Master Trust, Ser 2024-2, Cl A

               

4.830%, 12/22/2031 (A)

    1,950       1,985  

Verizon Master Trust, Ser 2024-5, Cl A

               

5.000%, 06/21/2032 (A)

    1,063       1,092  

Voya CLO, Ser 2017-3A, Cl A1R

               

6.584%, TSFR3M + 1.302%, 04/20/2034 (A)(B)

    1,110       1,112  

Voya CLO, Ser 2018-3A, Cl A1R2

               

6.501%, TSFR3M + 1.200%, 10/15/2031 (A)(B)

    1,837       1,837  

Wells Fargo Home Equity Asset-Backed Securities Trust, Ser 2006-2, Cl M2

               

5.682%, TSFR1M + 0.404%, 07/25/2036 (B)

    4,867       4,832  

Whitebox CLO II, Ser 2021-2A, Cl A1R

               

6.765%, TSFR3M + 1.482%, 10/24/2034 (A)(B)

    1,810       1,811  

Whitebox CLO III, Ser 2021-3A, Cl A1

               

6.783%, TSFR3M + 1.482%, 10/15/2034 (A)(B)

    2,140       2,139  
              395,622  
                 

Total Asset-Backed Securities

               

(Cost $628,244) ($ Thousands)

            627,434  
                 
                 

SOVEREIGN DEBT — 0.6%

                 

Bermuda Government International Bond

               

5.000%, 07/15/2032(A)

    865       860  

Chile Government International Bond

               

3.100%, 05/07/2041

    1,310       1,005  

Colombia Government International Bond

               

5.625%, 02/26/2044

    1,520       1,208  

5.200%, 05/15/2049

    860       630  

5.000%, 06/15/2045

    6,950       5,037  

4.125%, 02/22/2042

    1,230       839  

3.125%, 04/15/2031

    710       579  

 

 

 

SEI Institutional Investments Trust

 

217

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

SOVEREIGN DEBT (continued)

Export Finance & Insurance

               

4.625%, 10/26/2027(A)

  $ 2,494     $ 2,542  

Export-Import Bank of India

               

3.375%, 08/05/2026(A)

    1,410       1,376  

Indonesia Government International Bond

               

5.250%, 01/08/2047(A)

    410       420  

4.750%, 07/18/2047(A)

    400       388  

Israel Government AID Bond

               

0.000%, 11/01/2024(C)

    1,000       991  

0.000%, 02/15/2025(C)

    1,000       978  

0.000%, 08/15/2025(C)

    1,000       959  

Israel Government International Bond

               

5.500%, 03/12/2034

    4,374       4,371  

4.500%, 01/17/2033

    1,661       1,561  

3.875%, 07/03/2050

    763       561  

3.375%, 01/15/2050

    430       290  

2.750%, 07/03/2030

    720       628  

Kazakhstan Government International Bond

               

4.875%, 10/14/2044(A)

    2,480       2,450  

Mexico Government International Bond

               

6.050%, 01/11/2040

    4,618       4,611  

4.750%, 04/27/2032

    821       781  

4.750%, 03/08/2044

    3,946       3,282  

4.600%, 01/23/2046

    1,364       1,093  

4.600%, 02/10/2048

    1,133       897  

4.400%, 02/12/2052

    820       623  

3.500%, 02/12/2034

    3,849       3,238  

3.250%, 04/16/2030

    751       681  

2.659%, 05/24/2031

    6,311       5,355  

Paraguay Government International Bond

               

5.400%, 03/30/2050(A)

    1,145       1,041  

Peruvian Government International Bond

               

5.375%, 02/08/2035

    1,957       1,983  

3.600%, 01/15/2072

    2,060       1,381  

3.550%, 03/10/2051

    240       179  
                 

Total Sovereign Debt

       

(Cost $57,373) ($ Thousands)

    52,818  
                 
                 
                 

U.S. GOVERNMENT AGENCY OBLIGATIONS — 0.4%

FHLB

               

1.250%, 09/30/2031(D)

    3,695       3,247  

FHLB DN

               

5.160%, 10/30/2024(F)

    10,000       9,914  

FHLMC

               

0.000%, 07/15/2031(C)

    600       450  

FHLMC MTN

               

0.000%, 12/14/2029(C)

    2,887       2,352  

FNMA

               

2.625%, 09/06/2024

    510       510  

0.000%, 11/15/2030(C)

    8,487       6,594  

Resolution Funding Interest STRIP

               

0.000%, 01/15/2030(C)

    1,930       1,558  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

U.S. GOVERNMENT AGENCY OBLIGATIONS (continued)

Resolution Funding Principal STRIP

               

0.000%, 04/15/2030(C)

  $ 4,240     $ 3,384  

Tennessee Valley Authority Principal STRIP, PO

               

0.000%, 11/01/2025(C)

    1,000       949  
                 
                 
         

Total U.S. Government Agency Obligations

       

(Cost $31,084) ($ Thousands)

    28,958  
                 
                 
                 

MUNICIPAL BONDS — 0.2%

California — 0.1%

       

California State University, Ser B, RB

               

2.374%, 11/01/2035

    1,160       933  

California State, Health Facilities Financing Authority, Ser 2021A, RB

               

3.000%, 08/15/2051

    1,260       1,006  

Regents of the University of California Medical Center, Ser N, RB

               

3.256%, 05/15/2060

    4,660       3,306  
                 
              5,245  
                 

Georgia — 0.0%

       

Georgia State, Municipal Electric Authority, Build America Project, Ser 2010A, RB

               

6.637%, 04/01/2057

    2,245       2,529  
                 
                 

Nevada — 0.0%

       

Clark County, Airport System Revenue, Build America Project, Ser C, RB

               

6.820%, 07/01/2045

    1,170       1,378  
                 
                 

New York — 0.1%

       

New York & New Jersey, Port Authority, Ser 174, RB

               

4.458%, 10/01/2062

    1,600       1,452  

New York City, Ser A, GO

               

3.000%, 08/01/2034

    870       755  

New York City, Transitional Finance Authority Future Tax Secured Revenue, Ser D-3, RB

               

2.400%, 11/01/2032

    1,085       936  

New York City, Transitional Finance Authority, Future Tax Secured Revenue, Build America Project, Sub-Ser, RB

               

5.508%, 08/01/2037

    1,940       2,021  
                 
              5,164  
                 

Ohio — 0.0%

       

Ohio State University, Build America Project, Ser A, RB

               

4.800%, 06/01/2111

    689       645  
                 
                 

 

 

 

218

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MUNICIPAL BONDS (continued)

Texas — 0.0%

       

North Texas, Tollway Authority, Build America Project, Ser B, RB

               

6.718%, 01/01/2049

  $ 1,154     $ 1,361  

University of Texas, Board of Regents, Ser B, RB

               

2.439%, 08/15/2049

    585       380  
                 
              1,741  
                 

Virginia — 0.0%

       

University of Virginia, Ser 2020, RB

               

2.256%, 09/01/2050

    1,155       728  

Virginia State, Housing Development Authority, Ser 2006-C, Cl CTFS, RB

               

6.000%, 06/25/2034

    54       54  
                 
              782  
                 
                 

Total Municipal Bonds

               

(Cost $20,464) ($ Thousands)

            17,484  
                 
                 
   


Shares

         

CASH EQUIVALENT — 8.2%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    672,490,833       672,491  

Total Cash Equivalent

               

(Cost $672,491) ($ Thousands)

            672,491  
                 

PURCHASED OPTIONS — 0.0%

Total Purchased Options

               

(Cost $279) ($ Thousands)

            31  
                 

Total Investments in Securities — 111.3%

               

(Cost $9,282,252) ($ Thousands)

  $ 9,111,651  
                 
                 

WRITTEN OPTIONS — (0.0)%

Total Written Options

               

(Premiums Received $647) ($ Thousands)

          $ (792 )
                 
                 

 

 

SEI Institutional Investments Trust

 

219

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

 

A list of open exchange traded options contracts for the Fund at August 31, 2024, is as follows:

 

Description

 

Number of Contracts

   

Notional Amount
(Thousands)

   

Exercise Price

   

Expiration Date

   

Value
(Thousands)

 

PURCHASED OPTIONS — 0.0%

                               

Put Options

                               

September 2024, U.S. 10 Year Future Option

    517     $ 58,712     $ 112.75       8/30/2024     $  

September 2024, U.S. 5 Year Future Option

    146       15,972       109.25       9/2/2024       1  
                                         
              74,684                       1  
                                         
                                         

Call Options

                                   

September 2024, 3-Month SOFR Future Option

    700       166,395       95.25       9/13/2024       26  

September 2024, U.S. 10 Year Future Option

    388       44,062       114.50       8/30/2024        

September 2024, U.S. 5 Year Future Option

    146       15,972       110.25       9/2/2024       1  

September 2024, U.S. 5 Year Future Option

    292       31,944       110.00       9/2/2024       3  

September 2024, U.S. Bond Future Option

    435       53,560       125.00       8/30/2024        
                                         
              311,933                       30  
                                         
                                         

Total Purchased Options

          $ 386,617                     $ 31  

WRITTEN OPTIONS — 0.0%

                               

Put Options

                                       

September 2024, U.S. 10 Year Future Option

    (129)     $ (14,650 )     113.50       08/30/2024     $  
                                         
                                         
                                         

Call Options

                                       

September 2024, 3-Month SOFR Future Option

    (216)       (51,345 )     96.88       09/13/2024       (1 )

September 2024, 3-Month SOFR Future Option

    (700)       (166,394 )     96.25       09/13/2024       (5 )

June 2025, 3-Month SOFR Future Option

    (1,185)       (286,029 )     97.00       06/13/2025       (785 )

September 2024, U.S. 10 Year Future Option

    (129)       (14,650 )     113.75       08/30/2024        

September 2024, U.S. 5 Year Future Option

    (146)       (15,972 )     109.75       09/02/2024       (1 )

September 2024, U.S. Bond Future Option

    (145)       (17,853 )     124.00       08/30/2024        
                                         
              (552,243 )                     (792 )
                                         
                                         

Total Written Options

          $ (566,893 )                   $ (792 )
                                         
                                         

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation
(Depreciation)(Thousands)

 

Long Contracts

                                       

3 Month SOFR

    636       Mar-2026     $ 153,129     $ 153,952     $ 823  

U.S. 2-Year Treasury Note

    190       Dec-2024       39,432       39,434       2  

U.S. 2-Year Treasury Note

    3,664       Dec-2024       761,062       760,452       (610 )

U.S. 5-Year Treasury Note

    4,514       Dec-2024       494,872       493,824       (1,048 )

U.S. 10-Year Treasury Note

    3,642       Dec-2024       415,807       413,594       (2,213 )

U.S. Long Treasury Bond

    1,255       Dec-2024       156,434       154,522       (1,912 )

U.S. Ultra Long Treasury Bond

    181       Dec-2024       24,212       23,881       (331 )
                      2,044,948       2,039,659       (5,289 )

Short Contracts

                                       

U.S. 10-Year Treasury Note

    (169)       Dec-2024     $ (19,311 )   $ (19,192 )   $ 119  

U.S. Long Treasury Bond

    (442)       Dec-2024       (54,838 )     (54,421 )     417  

U.S. Ultra Long Treasury Bond

    (260)       Dec-2024       (34,777 )     (34,304 )     473  

Ultra 10-Year U.S. Treasury Note

    (1,839)       Dec-2024       (217,353 )     (215,967 )     1,386  
                      (326,279 )     (323,884 )     2,395  
                    $ 1,718,669     $ 1,715,775     $ (2,894 )

 

 

 

220

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Continued)

 

 

A list of the open forward foreign currency contracts held by the Fund at August 31, 2024, is as follows:

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

BNP Paribas

    10/18/24       USD       801       EUR       736     $ 16  

Citigroup

    10/18/24       USD       2,612       AUD       3,860       9  

Citigroup

    10/18/24       CNH       9,709       USD       1,341       (36 )

Goldman Sachs

    10/18/24       GBP       8,218       USD       10,551       (252 )
                                            $ (263 )

 

A list of the open centrally cleared swap agreements held by the Fund at August 31, 2024, is as follows:

 

 

Credit Default Swap - Sell Protection

       
 

Reference Entity/ Obligation

   

Receive Rate

   

Payment Frequency

   

Termination Date

   

Notional Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/ Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 
 

CDS-NA.IG.4206/29@100

      1.00%       Quarterly       06/20/2029     $ 250,271     $ 5,534     $ 5,019     $ 515  
                                                               

 

 

Interest Rate Swaps

 
 

Fund Pays

   

Fund Receives

   

Payment Frequency

   

Termination Date

   

Currency

   

Notional Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/ Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 
    3.52% FIXED       SOFR       Annually       12/20/2053       USD       13,117     $ (330 )   $     $ (330 )
    3.15% FIXED       SOFR       Annually       05/15/2048       USD       23,261       1,207       3,117       (1,910 )
    SOFR       3.65% FIXED       Annually       03/18/2030       USD       57,727       1,026       (1,338 )     2,364  
    4.2%       SOFR       Annually       04/30/2031       USD       147,694       (6,949 )     (2,243 )     (4,706 )
    3.51% FIXED       SOFR       Annually       03/18/2055       USD       14,583       (511 )     999       (1,510 )
                                                  $ (5,557 )   $ 535     $ (6,092 )

 

 

 

Percentages are based on Net Assets of $8,189,173 ($ Thousands).

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

(A)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On August 31, 2024, the value of these securities amounted to $1,083,727 ($ Thousands), representing 13.2% of the Net Assets of the Fund.

(B)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates on certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(C)

Zero coupon security.

(D)

Step coupon security. Coupon rate will either increase (step-up bond) or decrease (step-down bond) at regular intervals until maturity. Interest rate shown reflects the rate currently in effect.

(E)

No interest rate available.

(F)

Interest rate represents the security's effective yield at the time of purchase.

(G)

Security, or a portion thereof, has been pledged as collateral on open futures contracts.

(H)

Perpetual security with no stated maturity date.

(I)

Security is in default on interest payment.

 

 

SEI Institutional Investments Trust

 

221

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Core Fixed Income Fund (Concluded)

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Liquidity Fund, LP

  $ 13     $     $ (33 )   $ 6     $ 14     $     $ 3     $  

SEI Daily Income Trust, Government Fund,
Institutional Class

    164,770       2,456,981       (1,949,260 )                 672,491       3,985        

Totals

  $ 164,783     $ 2,456,981     $ (1,949,293 )   $ 6     $ 14     $ 672,491     $ 3,988     $  

 

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

222

 

SEI Institutional Investments Trust

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS — 75.8%

Communication Services — 13.3%

       

Altice Financing

               

5.750%, 08/15/2029 (A)

  $ 3,244     $ 2,499  

5.000%, 01/15/2028 (A)

    5,698       4,576  

Altice France

               

8.125%, 02/01/2027 (A)

    461       371  

5.500%, 01/15/2028 (A)

    200       142  

5.500%, 10/15/2029 (A)

    1,670       1,159  

5.125%, 07/15/2029 (A)

    3,654       2,549  

Altice France Holding

               

10.500%, 05/15/2027 (A)

    6,032       2,386  

AMC Entertainment Holdings

               

10.000%, 06/15/2026 (A)

    1,890       1,774  

AMC Networks

               

10.250%, 01/15/2029 (A)

    587       590  

ANGI Group LLC

               

3.875%, 08/15/2028 (A)

    3,244       2,943  

Arches Buyer

               

6.125%, 12/01/2028 (A)

    2,850       2,418  

4.250%, 06/01/2028 (A)

    1,662       1,519  

Audacy Capital

               

6.750%, 03/31/2029 (A)(B)

    5,891       206  

6.500%, 05/01/2027 (A)(B)

    2,865       101  

Beasley Mezzanine Holdings LLC

               

8.625%, 02/01/2026 (A)(C)

    6,195       3,531  

Belo

               

7.250%, 09/15/2027

    442       451  

C&W Senior Finance

               

6.875%, 09/15/2027 (A)

    848       835  

CCO Holdings LLC

               

7.375%, 03/01/2031 (A)

    1,289       1,312  

5.375%, 06/01/2029 (A)

    876       831  

5.125%, 05/01/2027 (A)

    8,967       8,788  

5.000%, 02/01/2028 (A)

    5,258       5,067  

4.750%, 03/01/2030 (A)

    2,360       2,151  

4.500%, 08/15/2030 (A)

    8,192       7,306  

4.500%, 05/01/2032

    3,170       2,707  

4.250%, 02/01/2031 (A)

    5,602       4,861  

4.250%, 01/15/2034 (A)

    1,960       1,580  

Charter Communications Operating LLC / Charter Communications Operating Capital

               

6.550%, 06/01/2034

    3,090       3,201  

6.384%, 10/23/2035

    1,797       1,819  

Cinemark USA

               

7.000%, 08/01/2032 (A)

    109       113  

5.250%, 07/15/2028 (A)

    255       251  

Clear Channel Outdoor Holdings Inc.

               

9.000%, 09/15/2028 (A)

    44       47  

7.750%, 04/15/2028 (A)

    543       473  

7.500%, 06/01/2029 (A)

    862       727  

5.125%, 08/15/2027 (A)

    3,397       3,319  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

CMG Media Corp.

               

8.875%, 12/15/2027 (A)

  $ 7,065     $ 3,744  

CSC Holdings LLC

               

11.250%, 05/15/2028 (A)

    3,177       2,823  

6.500%, 02/01/2029 (A)

    3,848       2,904  

5.750%, 01/15/2030 (A)

    5,161       2,042  

4.500%, 11/15/2031 (A)

    909       605  

4.125%, 12/01/2030 (A)

    97       64  

3.375%, 02/15/2031 (A)

    1,337       860  

Diamond Sports Group LLC

               

6.625%, 08/15/2027 (A)(B)

    3,251       41  

5.375%, 08/15/2026 (A)(B)

    5,040       63  

Directv Financing LLC

               

8.875%, 02/01/2030 (A)

    1,790       1,816  

5.875%, 08/15/2027 (A)

    4,062       3,933  

DISH DBS

               

7.750%, 07/01/2026

    4,217       2,837  

7.375%, 07/01/2028

    1,070       551  

5.875%, 11/15/2024

    4,216       4,092  

5.750%, 12/01/2028 (A)

    2,375       1,827  

5.250%, 12/01/2026 (A)

    4,130       3,538  

5.125%, 06/01/2029

    1,330       606  

DISH Network

               

11.750%, 11/15/2027 (A)

    8,201       8,339  

Frontier Communications Holdings LLC

               

8.750%, 05/15/2030 (A)

    316       333  

6.750%, 05/01/2029 (A)

    3,281       3,165  

6.000%, 01/15/2030 (A)

    162       149  

5.875%, 10/15/2027 (A)

    2,948       2,936  

5.875%, 11/01/2029

    178       164  

5.000%, 05/01/2028 (A)

    1,222       1,187  

Gannett Holdings LLC

               

6.000%, 11/01/2026 (A)

    194       194  

GCI LLC

               

4.750%, 10/15/2028 (A)

    944       895  

Gray Television

               

10.500%, 07/15/2029 (A)

    2,465       2,530  

7.000%, 05/15/2027 (A)

    504       486  

5.375%, 11/15/2031 (A)

    6,149       3,522  

4.750%, 10/15/2030 (A)

    8,135       4,632  

Hughes Satellite Systems

               

6.625%, 08/01/2026

    130       70  

iHeartCommunications

               

8.375%, 05/01/2027

    1,290       587  

6.375%, 05/01/2026

    1,335       1,121  

5.250%, 08/15/2027 (A)

    575       360  

Iliad Holding SASU

               

8.500%, 04/15/2031 (A)

    1,550       1,642  

7.000%, 10/15/2028 (A)

    1,805       1,832  

Intelsat Jackson Holdings

               

6.500%, 03/15/2030 (A)

    2,367       2,273  

LCPR Senior Secured Financing DAC

               

6.750%, 10/15/2027 (A)

    1,629       1,489  

 

 

 

SEI Institutional Investments Trust

 

223

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Level 3 Financing

               

11.000%, 11/15/2029 (A)

  $ 2,717     $ 2,979  

10.750%, 12/15/2030 (A)

    745       802  

10.500%, 04/15/2029 (A)

    5,384       5,771  

10.500%, 05/15/2030 (A)

    3,119       3,342  

4.875%, 06/15/2029 (A)

    4,803       3,735  

4.500%, 04/01/2030 (A)

    2,125       1,558  

3.875%, 10/15/2030 (A)

    2,161       1,471  

3.750%, 07/15/2029 (A)

    3,015       1,803  

3.625%, 01/15/2029

    3,300       2,054  

Live Nation Entertainment

               

6.500%, 05/15/2027 (A)

    1,663       1,692  

5.625%, 03/15/2026 (A)

    466       463  

4.875%, 11/01/2024 (A)

    354       353  

4.750%, 10/15/2027 (A)

    1,953       1,903  

3.750%, 01/15/2028 (A)

    548       519  

Lumen Technologies

               

5.625%, 04/01/2025

    431       425  

5.375%, 06/15/2029 (A)

    466       263  

4.500%, 01/15/2029 (A)

    190       107  

4.125%, 04/15/2029 (A)

    996       777  

4.125%, 04/15/2030 (A)

    2,023       1,510  

McGraw-Hill Education

               

7.375%, 09/01/2031 (A)

    645       666  

5.750%, 08/01/2028 (A)

    3,685       3,612  

Midcontinent Communications

               

8.000%, 08/15/2032 (A)

    1,342       1,337  

Newfold Digital Holdings Group

               

11.750%, 10/15/2028 (A)

    898       890  

6.000%, 02/15/2029 (A)

    674       430  

Nexstar Media

               

5.625%, 07/15/2027 (A)

    1,468       1,435  

4.750%, 11/01/2028 (A)

    3,043       2,843  

Optics Bidco

               

6.000%, 09/30/2034 (A)

    1,352       1,311  

Paramount Global

               

6.375%, H15T5Y + 3.999%, 03/30/2062 (D)

    841       769  

4.950%, 01/15/2031

    5,080       4,719  

Rakuten Group

               

11.250%, 02/15/2027 (A)

    2,574       2,794  

Sable International Finance

               

5.750%, 09/07/2027 (A)

    1,407       1,387  

Scripps Escrow

               

5.875%, 07/15/2027 (A)

    2,841       2,033  

Scripps Escrow II

               

3.875%, 01/15/2029 (A)

    4,471       2,883  

Shutterfly Finance LLC

               

9.750%, 10/01/2027 (A)

    134       135  

8.500%cash/0% PIK, 10/01/2027 (A)

    849       723  

Sinclair Television Group

               

5.125%, 02/15/2027 (A)

    365       313  

4.125%, 12/01/2030 (A)

    220       155  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Sirius XM Radio

               

5.500%, 07/01/2029 (A)

  $ 1,286     $ 1,252  

5.000%, 08/01/2027 (A)

    2,426       2,372  

4.000%, 07/15/2028 (A)

    1,400       1,311  

3.125%, 09/01/2026 (A)

    1,400       1,338  

Spanish Broadcasting System

               

9.750%, 03/01/2026 (A)

    4,965       2,929  

Stagwell Global LLC

               

5.625%, 08/15/2029 (A)

    585       555  

TEGNA

               

4.625%, 03/15/2028

    1,796       1,688  

Telecom Italia Capital

               

6.000%, 09/30/2034

    88       85  

Telenet Finance Luxembourg Notes Sarl

               

5.500%, 03/01/2028 (A)

    2,600       2,518  

Telesat Canada

               

6.500%, 10/15/2027 (A)

    2,398       762  

5.625%, 12/06/2026 (A)

    3,439       1,612  

Time Warner Cable Enterprises LLC

               

8.375%, 07/15/2033

    1,540       1,754  

U.S. Cellular

               

6.700%, 12/15/2033

    405       446  

Univision Communications

               

8.000%, 08/15/2028 (A)

    2,726       2,758  

Univision Communications Inc

               

7.375%, 06/30/2030 (A)

    488       468  

4.500%, 05/01/2029 (A)

    1,152       1,011  

Urban One

               

7.375%, 02/01/2028 (A)

    7,635       5,551  

Virgin Media Finance

               

5.000%, 07/15/2030 (A)

    1,216       1,054  

Virgin Media Secured Finance

               

4.500%, 08/15/2030 (A)

    757       668  

Virgin Media Vendor Financing Notes IV DAC

               

5.000%, 07/15/2028 (A)

    3,733       3,540  

Vmed O2 UK Financing I

               

4.250%, 01/31/2031 (A)

    3,505       3,047  

Windstream Escrow LLC

               

7.750%, 08/15/2028 (A)

    3,080       3,006  

Zayo Group Holdings

               

4.000%, 03/01/2027 (A)

    13,213       11,533  

Zayo Group Holdings Inc

               

6.125%, 03/01/2028 (A)

    2,125       1,642  
                 
              255,717  
                 

Consumer Discretionary — 12.0%

       

1011778 BC ULC / New Red Finance

               

4.375%, 01/15/2028 (A)

    1,870       1,808  

Academy

               

6.000%, 11/15/2027 (A)

    1,770       1,763  

Adient Global Holdings Ltd.

               

8.250%, 04/15/2031 (A)

    2,385       2,535  

7.000%, 04/15/2028 (A)

    69       71  

 

 

 

224

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.875%, 08/15/2026 (A)

  $ 690     $ 682  

ADT Security

               

4.125%, 08/01/2029 (A)

    540       513  

Adtalem Global Education

               

5.500%, 03/01/2028 (A)

    2,165       2,129  

Amer Sports

               

6.750%, 02/16/2031 (A)

    2,053       2,086  

American Axle & Manufacturing

               

6.875%, 07/01/2028

    437       439  

6.500%, 04/01/2027

    518       521  

5.000%, 10/01/2029

    174       162  

American Builders & Contractors Supply

               

4.000%, 01/15/2028 (A)

    2,636       2,534  

Aramark Services

               

5.000%, 04/01/2025 (A)

    760       759  

5.000%, 02/01/2028 (A)

    508       498  

Asbury Automotive Group

               

4.750%, 03/01/2030

    212       202  

4.625%, 11/15/2029 (A)

    1,418       1,350  

4.500%, 03/01/2028

    2,416       2,335  

Ashton Woods USA LLC

               

6.625%, 01/15/2028 (A)

    2,611       2,630  

4.625%, 08/01/2029 (A)

    660       625  

4.625%, 04/01/2030 (A)

    932       877  

Aston Martin Capital Holdings

               

10.000%, 03/31/2029 (A)

    3,696       3,771  

Aventine (Escrow Security)

               

0.000%, 10/15/2049 (B)(E)(F)

    2,600        

Bath & Body Works

               

7.600%, 07/15/2037

    1,280       1,269  

7.500%, 06/15/2029

    542       560  

6.875%, 11/01/2035

    1,149       1,187  

6.750%, 07/01/2036

    3,668       3,758  

6.625%, 10/01/2030 (A)

    2,003       2,028  

5.250%, 02/01/2028

    291       287  

Boyne USA

               

4.750%, 05/15/2029 (A)

    1,315       1,262  

Brookfield Residential Properties

               

5.000%, 06/15/2029 (A)

    205       192  

4.875%, 02/15/2030 (A)

    2,335       2,177  

Caesars Entertainment

               

7.000%, 02/15/2030 (A)

    3,120       3,231  

6.500%, 02/15/2032 (A)

    326       335  

4.625%, 10/15/2029 (A)

    1,609       1,522  

Carnival

               

7.000%, 08/15/2029 (A)

    148       156  

6.000%, 05/01/2029 (A)

    7,147       7,179  

5.750%, 03/01/2027 (A)

    1,088       1,092  

4.000%, 08/01/2028 (A)

    1,908       1,817  

Carnival Holdings Bermuda

               

10.375%, 05/01/2028 (A)

    2,689       2,909  

Carvana, Strike Price Fixed

               

13.000%cash/0% PIK, 06/01/2030 (A)

    1,959       2,091  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

12.000%cash/0% PIK, 12/01/2028 (A)

  $ 1,948     $ 2,022  

CD&R Smokey Buyer

               

6.750%, 07/15/2025 (A)

    714       708  

Cedar Fair

               

5.250%, 07/15/2029

    570       562  

Churchill Downs

               

4.750%, 01/15/2028 (A)

    1,732       1,689  

Clarios Global

               

8.500%, 05/15/2027 (A)

    4,995       5,044  

6.750%, 05/15/2025 (A)

    597       598  

6.750%, 05/15/2028 (A)

    331       340  

6.250%, 05/15/2026 (A)

    652       652  

Cooper-Standard Automotive

               

13.500%cash/0% PIK, 03/31/2027 (A)

    2,708       2,893  

10.625%cash/0% PIK, 05/15/2027 (A)

    1,583       1,246  

Cougar JV Subsidiary LLC

               

8.000%, 05/15/2032 (A)

    3,042       3,209  

Dana

               

5.625%, 06/15/2028

    302       298  

Dornoch Debt Merger Sub

               

6.625%, 10/15/2029 (A)

    619       523  

eG Global Finance

               

12.000%, 11/30/2028 (A)

    2,570       2,803  

Empire Resorts

               

7.750%, 11/01/2026 (A)

    3,160       3,048  

Fertitta Entertainment LLC

               

4.625%, 01/15/2029 (A)

    3,653       3,417  

Fontainebleau Las Vegas

               

11.000%, 06/15/2015 (A)(B)

    3,481        

Ford Motor Credit LLC

               

7.200%, 06/10/2030

    200       215  

6.950%, 03/06/2026

    200       205  

6.950%, 06/10/2026

    223       229  

5.125%, 06/16/2025

    690       688  

4.687%, 06/09/2025

    1,245       1,239  

4.542%, 08/01/2026

    1,481       1,464  

4.134%, 08/04/2025

    700       693  

3.375%, 11/13/2025

    207       202  

2.300%, 02/10/2025

    500       493  

Ford Motor Credit LLC MTN

               

4.389%, 01/08/2026

    650       642  

Foundation Building Materials

               

6.000%, 03/01/2029 (A)

    1,282       1,150  

Gap

               

3.625%, 10/01/2029 (A)

    810       726  

Goodyear Tire & Rubber

               

5.250%, 04/30/2031

    191       173  

5.250%, 07/15/2031

    662       600  

5.000%, 07/15/2029

    435       404  

Group 1 Automotive

               

6.375%, 01/15/2030 (A)

    138       140  

GrubHub Holdings

               

5.500%, 07/01/2027 (A)

    4,255       4,066  

 

 

 

SEI Institutional Investments Trust

 

225

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Hanesbrands

               

9.000%, 02/15/2031 (A)

  $ 139     $ 149  

Hilton Domestic Operating

               

6.125%, 04/01/2032 (A)

    131       134  

5.875%, 04/01/2029 (A)

    131       134  

5.750%, 05/01/2028 (A)

    341       342  

4.875%, 01/15/2030

    135       132  

4.000%, 05/01/2031 (A)

    5,520       5,101  

3.750%, 05/01/2029 (A)

    3,391       3,190  

International Game Technology

               

5.250%, 01/15/2029 (A)

    2,505       2,473  

Jacobs Entertainment

               

6.750%, 02/15/2029 (A)

    3,270       3,112  

KB Home

               

7.250%, 07/15/2030

    2,142       2,235  

Landsea Homes

               

8.875%, 04/01/2029 (A)

    1,405       1,454  

LBM Acquisition LLC

               

6.250%, 01/15/2029 (A)

    2,630       2,377  

LCM Investments Holdings II LLC

               

8.250%, 08/01/2031 (A)

    1,525       1,621  

4.875%, 05/01/2029 (A)

    2,835       2,701  

LGI Homes

               

8.750%, 12/15/2028 (A)

    2,295       2,445  

Liberty Interactive LLC

               

8.500%, 07/15/2029

    205       107  

8.250%, 02/01/2030

    6,020       3,024  

Life Time

               

5.750%, 01/15/2026 (A)

    652       652  

Lithia Motors

               

3.875%, 06/01/2029 (A)

    615       570  

MGM Resorts International

               

6.500%, 04/15/2032

    942       949  

5.750%, 06/15/2025

    374       374  

4.750%, 10/15/2028

    3,695       3,596  

Midwest Gaming Borrower LLC

               

4.875%, 05/01/2029 (A)

    2,219       2,119  

NCL

               

8.375%, 02/01/2028 (A)

    2,320       2,442  

NESCO Holdings II

               

5.500%, 04/15/2029 (A)

    372       344  

Newell Brands

               

6.875%, 04/01/2036

    105       100  

6.625%, 09/15/2029

    212       212  

6.375%, 09/15/2027

    157       158  

5.700%, 04/01/2026

    1,010       1,006  

Nordstrom

               

4.375%, 04/01/2030

    848       779  

PetSmart

               

7.750%, 02/15/2029 (A)

    250       246  

4.750%, 02/15/2028 (A)

    2,256       2,158  

PM General Purchaser LLC

               

9.500%, 10/01/2028 (A)

    528       541  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

QVC

               

4.750%, 02/15/2027

  $ 4,083     $ 3,576  

4.375%, 09/01/2028

    710       534  

Real Hero Merger Sub 2

               

6.250%, 02/01/2029 (A)

    1,815       1,567  

Ritchie Bros Holdings

               

7.750%, 03/15/2031 (A)

    1,170       1,243  

6.750%, 03/15/2028 (A)

    1,135       1,168  

Rite Aid

               

8.000%, 11/15/2026 (A)(B)(C)

    3,744       792  

7.500%, 07/01/2025 (A)(B)(C)

    1,259       245  

12.325%cash/0% PIK, TSFR3M + 7.000%, 10/18/2024 (A)(B)(D)(E)

    441       441  

8.000%cash/0% PIK, 10/18/2024 (A)(B)

    870       184  

Royal Caribbean Cruises

               

7.250%, 01/15/2030 (A)

    255       270  

6.250%, 03/15/2032 (A)

    275       284  

6.000%, 02/01/2033 (A)

    2,793       2,861  

Sally Holdings LLC

               

6.750%, 03/01/2032

    1,730       1,765  

Shea Homes

               

4.750%, 04/01/2029

    1,323       1,272  

Six Flags Entertainment

               

7.250%, 05/15/2031 (A)

    5,038       5,225  

6.625%, 05/01/2032 (A)

    1,645       1,693  

5.500%, 04/15/2027 (A)

    30       30  

Six Flags Theme Parks

               

7.000%, 07/01/2025 (A)

    74       74  

Sonic Automotive

               

4.625%, 11/15/2029 (A)

    480       449  

Specialty Building Products Holdings LLC

               

6.375%, 09/30/2026 (A)

    3,667       3,647  

Staples

               

12.750%, 01/15/2030 (A)

    760       587  

10.750%, 09/01/2029 (A)

    1,000       942  

Station Casinos LLC

               

6.625%, 03/15/2032 (A)

    2,183       2,227  

4.625%, 12/01/2031 (A)

    334       310  

4.500%, 02/15/2028 (A)

    1,675       1,608  

StoneMor

               

8.500%, 05/15/2029 (A)

    3,895       3,466  

Studio City Finance

               

5.000%, 01/15/2029 (A)

    2,730       2,439  

Superior Plus

               

4.500%, 03/15/2029 (A)

    368       344  

SWF Escrow Issuer

               

6.500%, 10/01/2029 (A)

    795       421  

Taylor Morrison Communities

               

5.125%, 08/01/2030 (A)

    2,570       2,540  

Tempur Sealy International

               

4.000%, 04/15/2029 (A)

    845       783  

3.875%, 10/15/2031 (A)

    259       228  

 

 

 

226

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Vail Resorts

               

6.500%, 05/15/2032 (A)

  $ 195     $ 203  

Victoria's Secret

               

4.625%, 07/15/2029 (A)

    4,361       3,800  

Victra Holdings LLC

               

7.750%, 02/15/2026 (A)

    3,186       3,200  

Viking Cruises

               

5.875%, 09/15/2027 (A)

    2,285       2,282  

Viking Ocean Cruises Ship VII

               

5.625%, 02/15/2029 (A)

    1,200       1,190  

Vista Outdoor

               

4.500%, 03/15/2029 (A)

    783       783  

VistaJet Malta Finance

               

9.500%, 06/01/2028 (A)

    3,386       3,166  

6.375%, 02/01/2030 (A)

    3,801       3,117  

Wand NewCo 3

               

7.625%, 01/30/2032 (A)

    1,698       1,779  

Wesco Aircraft Holdings

               

13.125%, 11/15/2027 (A)(B)

    180       7  

9.000%, 11/15/2026 (A)(B)

    936       375  

8.500%, 11/15/2024 (A)(B)

    143       20  

White Capital Parent LLC

               

8.250%cash/0% PIK, 03/15/2026 (A)

    2,775       2,768  

Wolverine World Wide

               

4.000%, 08/15/2029 (A)

    3,097       2,637  

WW International

               

4.500%, 04/15/2029 (A)

    2,115       523  

Wynn Las Vegas LLC

               

5.250%, 05/15/2027 (A)

    1,754       1,742  

Wynn Macau

               

5.125%, 12/15/2029 (A)

    1,700       1,564  

Wynn Resorts Finance LLC

               

7.125%, 02/15/2031 (A)

    1,592       1,690  

5.125%, 10/01/2029 (A)

    691       676  

Yum! Brands

               

6.875%, 11/15/2037

    1,840       2,056  

5.375%, 04/01/2032

    2,728       2,704  
                 
              230,197  
                 

Consumer Staples — 2.1%

       

Albertsons Cos

               

5.875%, 02/15/2028 (A)

    176       176  

4.875%, 02/15/2030 (A)

    3,375       3,299  

4.625%, 01/15/2027 (A)

    1,154       1,127  

3.500%, 03/15/2029 (A)

    683       632  

Central Garden & Pet

               

5.125%, 02/01/2028

    1,150       1,136  

4.125%, 10/15/2030

    242       222  

Chobani LLC

               

7.625%, 07/01/2029 (A)

    849       890  

Coty

               

6.625%, 07/15/2030 (A)

    2,498       2,587  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Edgewell Personal Care

               

5.500%, 06/01/2028 (A)

  $ 595     $ 590  

4.125%, 04/01/2029 (A)

    227       215  

Energizer Holdings

               

6.500%, 12/31/2027 (A)

    172       174  

4.750%, 06/15/2028 (A)

    1,011       974  

4.375%, 03/31/2029 (A)

    815       766  

High Ridge Brands (Escrow Security)

               

8.875%, 03/15/2025 (A)(B)

    800        

HLF Financing Sarl LLC

               

12.250%, 04/15/2029 (A)

    2,668       2,667  

Lamb Weston Holdings

               

4.125%, 01/31/2030 (A)

    2,248       2,093  

New Albertsons

               

8.700%, 05/01/2030

    1,149       1,318  

8.000%, 05/01/2031

    995       1,067  

Performance Food Group

               

5.500%, 10/15/2027 (A)

    614       611  

4.250%, 08/01/2029 (A)

    1,400       1,321  

Post Holdings

               

6.375%, 03/01/2033 (A)

    1,124       1,132  

6.250%, 02/15/2032 (A)

    939       963  

5.625%, 01/15/2028 (A)

    635       634  

5.500%, 12/15/2029 (A)

    2,773       2,725  

4.625%, 04/15/2030 (A)

    239       227  

Sigma Holdco BV

               

7.875%, 05/15/2026 (A)

    2,626       2,590  

Simmons Foods

               

4.625%, 03/01/2029 (A)

    4,620       4,344  

Triton Water Holdings

               

6.250%, 04/01/2029 (A)

    2,463       2,436  

US Foods

               

6.875%, 09/15/2028 (A)

    128       133  

4.750%, 02/15/2029 (A)

    50       49  

4.625%, 06/01/2030 (A)

    430       412  

Walgreens Boots Alliance

               

8.125%, 08/15/2029

    2,289       2,293  

4.800%, 11/18/2044

    235       176  
                 
              39,979  
                 

Energy — 10.8%

       

Aethon United BR

               

8.250%, 02/15/2026 (A)

    1,906       1,932  

Antero Midstream Partners

               

5.750%, 03/01/2027 (A)

    250       249  

5.750%, 01/15/2028 (A)

    357       357  

5.375%, 06/15/2029 (A)

    2,375       2,347  

Antero Resources

               

8.375%, 07/15/2026 (A)

    451       466  

7.625%, 02/01/2029 (A)

    201       208  

Apache

               

5.100%, 09/01/2040

    3,390       2,998  

 

 

 

SEI Institutional Investments Trust

 

227

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Archrock Partners

               

6.875%, 04/01/2027 (A)

  $ 158     $ 159  

6.625%, 09/01/2032 (A)

    1,179       1,194  

6.250%, 04/01/2028 (A)

    1,480       1,486  

Ascent Resources Utica Holdings LLC

               

8.250%, 12/31/2028 (A)

    3,885       3,992  

7.000%, 11/01/2026 (A)

    2,055       2,061  

5.875%, 06/30/2029 (A)

    505       504  

Baytex Energy

               

8.500%, 04/30/2030 (A)

    500       533  

7.375%, 03/15/2032 (A)

    2,073       2,147  

Blue Racer Midstream LLC

               

7.250%, 07/15/2032 (A)

    935       980  

7.000%, 07/15/2029 (A)

    976       1,015  

6.625%, 07/15/2026 (A)

    180       180  

Buckeye Partners

               

4.500%, 03/01/2028 (A)

    620       594  

4.125%, 03/01/2025 (A)

    137       136  

California Resources

               

7.125%, 02/01/2026 (A)

    218       219  

Cheniere Energy Partners

               

4.000%, 03/01/2031

    741       699  

3.250%, 01/31/2032

    497       441  

Chesapeake Energy

               

6.750%, 04/15/2029 (A)

    4,123       4,185  

Chesapeake Energy (Escrow Security)

               

7.500%, 10/01/2026 (B)(E)

    4,075       61  

7.000%, 10/01/2024 (B)(E)

    1,790       32  

5.500%, 09/15/2026 (B)

    180       3  

Chord Energy Corp

               

6.375%, 06/01/2026 (A)

    694       698  

CITGO Petroleum

               

6.375%, 06/15/2026 (A)

    2,935       2,951  

Civitas Resources

               

8.750%, 07/01/2031 (A)

    3,750       4,047  

8.625%, 11/01/2030 (A)

    3,219       3,499  

8.375%, 07/01/2028 (A)

    635       669  

Comstock Resources

               

6.750%, 03/01/2029 (A)

    9,393       9,240  

5.875%, 01/15/2030 (A)

    289       273  

Crescent Energy Finance LLC

               

9.250%, 02/15/2028 (A)

    709       752  

7.625%, 04/01/2032 (A)

    238       245  

7.375%, 01/15/2033 (A)

    225       231  

CVR Energy

               

8.500%, 01/15/2029 (A)

    2,430       2,476  

Diamond Foreign Asset

               

8.500%, 10/01/2030 (A)

    400       422  

DT Midstream

               

4.375%, 06/15/2031 (A)

    200       188  

4.125%, 06/15/2029 (A)

    448       426  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Enbridge

               

8.250%, H15T5Y + 3.785%, 01/15/2084 (D)

  $ 4,095     $ 4,284  

Encino Acquisition Partners Holdings LLC

               

8.750%, 05/01/2031 (A)

    4,439       4,715  

8.500%, 05/01/2028 (A)

    701       723  

Energy Transfer

               

8.000%, H15T5Y + 4.020%, 05/15/2054 (D)

    2,403       2,557  

6.750%, H15T5Y + 5.134%(D)(G)

    445       443  

6.625%, US0003M + 4.155%(D)(G)

    1,294       1,258  

6.500%, H15T5Y + 5.694%(D)(G)

    2,525       2,505  

5.500%, 06/01/2027

    2,863       2,918  

EnLink Midstream LLC

               

6.500%, 09/01/2030 (A)

    2,675       2,860  

5.375%, 06/01/2029

    1,611       1,640  

EnLink Midstream Partners

               

5.600%, 04/01/2044

    3,522       3,329  

5.450%, 06/01/2047

    1,224       1,137  

Enviva Partners

               

6.500%, 01/15/2026 (A)(B)

    3,197       879  

EQM Midstream Partners

               

7.500%, 06/01/2027 (A)

    180       186  

7.500%, 06/01/2030 (A)

    227       248  

6.500%, 07/01/2027 (A)

    240       246  

6.500%, 07/15/2048

    3,229       3,335  

5.500%, 07/15/2028

    66       66  

4.750%, 01/15/2031 (A)

    372       357  

4.500%, 01/15/2029 (A)

    1,001       970  

Genesis Energy

               

8.875%, 04/15/2030

    3,356       3,562  

8.250%, 01/15/2029

    102       106  

8.000%, 01/15/2027

    207       212  

7.875%, 05/15/2032

    642       659  

7.750%, 02/01/2028

    413       420  

Greenfire Resources

               

12.000%, 10/01/2028 (A)

    1,498       1,610  

Gulfport Energy Corp

               

8.000%, 05/17/2026 (A)

    831       844  

Harvest Midstream I

               

7.500%, 09/01/2028 (A)

    1,575       1,612  

7.500%, 05/15/2032 (A)

    182       191  

Hess Midstream Operations

               

6.500%, 06/01/2029 (A)

    220       227  

5.625%, 02/15/2026 (A)

    635       633  

Hilcorp Energy I

               

6.250%, 04/15/2032 (A)

    143       143  

6.000%, 04/15/2030 (A)

    201       200  

6.000%, 02/01/2031 (A)

    2,101       2,074  

Howard Midstream Energy Partners LLC

               

8.875%, 07/15/2028 (A)

    325       346  

7.375%, 07/15/2032 (A)

    3,678       3,808  

 

 

 

228

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

ITT Holdings LLC

               

6.500%, 08/01/2029 (A)

  $ 3,127     $ 2,949  

Kinetik Holdings

               

6.625%, 12/15/2028 (A)

    2,400       2,473  

Kodiak Gas Services LLC

               

7.250%, 02/15/2029 (A)

    875       906  

Kraken Oil & Gas Partners LLC

               

7.625%, 08/15/2029 (A)

    1,350       1,391  

Matador Resources

               

6.500%, 04/15/2032 (A)

    2,065       2,096  

Moss Creek Resources Holdings

               

8.250%, 09/01/2031 (A)

    2,635       2,658  

New Fortress Energy

               

6.750%, 09/15/2025 (A)

    1,772       1,728  

6.500%, 09/30/2026 (A)

    1,349       1,168  

NGL Energy Operating LLC

               

8.375%, 02/15/2032 (A)

    264       272  

8.125%, 02/15/2029 (A)

    2,706       2,767  

Noble Finance II LLC

               

8.000%, 04/15/2030 (A)

    1,555       1,612  

Northern Oil & Gas

               

8.750%, 06/15/2031 (A)

    855       913  

8.125%, 03/01/2028 (A)

    1,623       1,660  

Northriver Midstream Finance

               

6.750%, 07/15/2032 (A)

    1,504       1,553  

NuStar Logistics

               

6.375%, 10/01/2030

    222       232  

6.000%, 06/01/2026

    510       515  

5.750%, 10/01/2025

    192       192  

5.625%, 04/28/2027

    964       966  

PBF Holding LLC

               

7.875%, 09/15/2030 (A)

    2,600       2,704  

Permian Resources Operating LLC

               

9.875%, 07/15/2031 (A)

    623       698  

8.000%, 04/15/2027 (A)

    213       220  

7.000%, 01/15/2032 (A)

    2,749       2,884  

6.250%, 02/01/2033 (A)

    1,582       1,622  

Prairie Acquiror

               

9.000%, 08/01/2029 (A)

    142       149  

Precision Drilling

               

7.125%, 01/15/2026 (A)

    370       369  

6.875%, 01/15/2029 (A)

    60       61  

Range Resources

               

8.250%, 01/15/2029

    559       579  

4.875%, 05/15/2025

    441       439  

Rockies Express Pipeline LLC

               

4.800%, 05/15/2030 (A)

    2,117       1,965  

Seventy Seven Operating LLC (Escrow Security)

               

6.625%, 01/15/2020 (B)(E)

    2,787        

Sitio Royalties Operating Partnership

               

7.875%, 11/01/2028 (A)

    2,990       3,149  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

SM Energy

               

7.000%, 08/01/2032 (A)

  $ 4,196     $ 4,299  

6.750%, 09/15/2026

    210       210  

6.750%, 08/01/2029 (A)

    236       240  

6.625%, 01/15/2027

    340       340  

6.500%, 07/15/2028

    290       292  

South Bow Canadian Infrastructure Holdings

               

7.500%, H15T5Y + 3.667%, 03/01/2055 (A)(D)

    2,545       2,622  

Southwestern Energy

               

8.375%, 09/15/2028

    230       236  

5.375%, 02/01/2029

    69       68  

5.375%, 03/15/2030

    400       397  

4.750%, 02/01/2032

    89       84  

Summit Midstream Holdings LLC

               

8.625%, 10/31/2029 (A)

    1,440       1,495  

Sunoco

               

7.250%, 05/01/2032 (A)

    890       941  

7.000%, 05/01/2029 (A)

    2,675       2,787  

4.500%, 05/15/2029

    447       429  

4.500%, 04/30/2030

    566       538  

Tallgrass Energy Partners

               

7.375%, 02/15/2029 (A)

    1,365       1,395  

6.000%, 03/01/2027 (A)

    450       449  

6.000%, 12/31/2030 (A)

    3,707       3,535  

6.000%, 09/01/2031 (A)

    910       862  

5.500%, 01/15/2028 (A)

    2,516       2,428  

TerraForm Power Operating LLC

               

5.000%, 01/31/2028 (A)

    4,300       4,219  

4.750%, 01/15/2030 (A)

    225       212  

TGNR Intermediate Holdings LLC

               

5.500%, 10/15/2029 (A)

    3,603       3,498  

Transocean

               

8.750%, 02/15/2030 (A)

    1,075       1,136  

8.250%, 05/15/2029 (A)

    236       239  

6.800%, 03/15/2038

    3,559       3,018  

Transocean Titan Financing

               

8.375%, 02/01/2028 (A)

    95       98  

Valaris

               

8.375%, 04/30/2030 (A)

    216       225  

Venture Global Calcasieu Pass LLC

               

4.125%, 08/15/2031 (A)

    2,764       2,562  

3.875%, 11/01/2033 (A)

    2,920       2,598  

Venture Global LNG

               

9.875%, 02/01/2032 (A)

    4,595       5,105  

9.500%, 02/01/2029 (A)

    215       242  

8.125%, 06/01/2028 (A)

    3,341       3,499  

7.000%, 01/15/2030 (A)

    4,835       4,943  

Vital Energy

               

7.875%, 04/15/2032 (A)

    284       291  

Weatherford International

               

8.625%, 04/30/2030 (A)

    2,488       2,582  

 

 

 

SEI Institutional Investments Trust

 

229

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Western Midstream Operating

               

5.250%, 02/01/2050

  $ 2,502     $ 2,263  
                 
              207,865  
                 

Financials — 8.5%

       

Acrisure LLC

               

8.250%, 02/01/2029 (A)

    3,487       3,589  

7.500%, 11/06/2030 (A)

    1,481       1,520  

AG Issuer LLC

               

6.250%, 03/01/2028 (A)

    1,910       1,859  

Alliant Holdings Intermediate LLC

               

7.000%, 01/15/2031 (A)

    5,681       5,872  

4.250%, 10/15/2027 (A)

    1,325       1,277  

AmWINS Group

               

6.375%, 02/15/2029 (A)

    1,306       1,339  

Ardonagh Finco

               

7.750%, 02/15/2031 (A)

    1,000       1,032  

Ardonagh Group Finance

               

8.875%, 02/15/2032 (A)

    870       901  

Aretec Group

               

10.000%, 08/15/2030 (A)

    4,492       4,849  

Blackstone Private Credit Fund

               

2.625%, 12/15/2026

    3,525       3,308  

Block

               

6.500%, 05/15/2032 (A)

    2,780       2,883  

2.750%, 06/01/2026

    145       139  

Blue Owl Capital

               

3.400%, 07/15/2026

    2,420       2,330  

Brookfield Property

               

5.750%, 05/15/2026 (A)

    69       69  

4.500%, 04/01/2027 (A)

    5,483       5,286  

Citigroup

               

3.875%, H15T5Y + 3.417%(D)(G)

    1,718       1,651  

Coinbase Global

               

3.375%, 10/01/2028 (A)

    874       767  

CPI CG

               

10.000%, 07/15/2029 (A)

    1,515       1,593  

Credit Acceptance

               

9.250%, 12/15/2028 (A)

    2,305       2,478  

Encore Capital Group

               

9.250%, 04/01/2029 (A)

    2,545       2,709  

Finance of America Funding LLC

               

7.875%, 11/15/2025 (A)(C)

    5,605       4,374  

FirstCash

               

6.875%, 03/01/2032 (A)

    2,505       2,573  

Freedom Mortgage

               

12.000%, 10/01/2028 (A)

    2,272       2,473  

Freedom Mortgage Holdings LLC

               

9.250%, 02/01/2029 (A)

    3,654       3,743  

Genworth Holdings

               

6.500%, 06/15/2034

    2,590       2,577  

GGAM Finance

               

6.875%, 04/15/2029 (A)

    745       769  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

HAT Holdings I LLC

               

3.750%, 09/15/2030 (A)

  $ 866     $ 770  

3.375%, 06/15/2026 (A)

    883       846  

Howden UK Refinance

               

8.125%, 02/15/2032 (A)

    435       443  

7.250%, 02/15/2031 (A)

    1,638       1,686  

HUB International

               

7.250%, 06/15/2030 (A)

    1,957       2,044  

Intesa Sanpaolo

               

4.950%, H15T1Y + 2.750%, 06/01/2042 (A)(D)

    1,720       1,353  

Jane Street Group

               

7.125%, 04/30/2031 (A)

    3,019       3,171  

Ladder Capital Finance Holdings LLLP

               

7.000%, 07/15/2031 (A)

    1,638       1,703  

4.750%, 06/15/2029 (A)

    6,490       6,255  

4.250%, 02/01/2027 (A)

    2,145       2,082  

LD Holdings Group LLC

               

8.750%, 11/01/2027 (A)

    450       419  

6.125%, 04/01/2028 (A)

    1,560       1,318  

LPL Holdings

               

4.625%, 11/15/2027 (A)

    2,645       2,598  

Macquarie Airfinance Holdings

               

6.500%, 03/26/2031 (A)

    266       280  

6.400%, 03/26/2029 (A)

    266       277  

Midcap Financial Issuer Trust

               

6.500%, 05/01/2028 (A)

    4,283       4,110  

5.625%, 01/15/2030 (A)

    1,813       1,652  

MPH Acquisition Holdings LLC

               

5.750%, 11/01/2028 (A)

    654       290  

5.500%, 09/01/2028 (A)

    426       314  

Nationstar Mortgage Holdings

               

7.125%, 02/01/2032 (A)

    1,455       1,507  

6.000%, 01/15/2027 (A)

    213       212  

5.500%, 08/15/2028 (A)

    3,238       3,180  

5.125%, 12/15/2030 (A)

    300       285  

Navient MTN

               

5.625%, 08/01/2033

    2,835       2,445  

OneMain Finance

               

9.000%, 01/15/2029

    652       693  

7.875%, 03/15/2030

    2,400       2,510  

7.500%, 05/15/2031

    3,103       3,203  

7.125%, 03/15/2026

    32       32  

7.125%, 11/15/2031

    780       788  

6.625%, 01/15/2028

    420       428  

5.375%, 11/15/2029

    4,872       4,686  

4.000%, 09/15/2030

    2,193       1,941  

3.500%, 01/15/2027

    1,160       1,099  

Osaic Holdings

               

10.750%, 08/01/2027 (A)

    6,841       7,014  

Panther Escrow Issuer LLC

               

7.125%, 06/01/2031 (A)

    5,372       5,596  

 

 

 

230

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

PennyMac Financial Services

               

7.875%, 12/15/2029 (A)

  $ 2,396     $ 2,542  

5.750%, 09/15/2031 (A)

    6,454       6,224  

4.250%, 02/15/2029 (A)

    1,635       1,545  

PRA Group

               

8.375%, 02/01/2028 (A)

    2,825       2,884  

Rithm Capital

               

8.000%, 04/01/2029 (A)

    2,626       2,614  

Rocket Mortgage LLC

               

3.625%, 03/01/2029 (A)

    1,902       1,766  

Sabre GLBL

               

11.250%, 12/15/2027 (A)

    5,840       5,915  

Shift4 Payments LLC

               

6.750%, 08/15/2032 (A)

    2,210       2,280  

Starwood Property Trust

               

7.250%, 04/01/2029 (A)

    3,717       3,869  

UniCredit

               

5.861%, USISDA05 + 3.703%, 06/19/2032 (A)(D)

    1,835       1,831  

United Wholesale Mortgage LLC

               

5.500%, 11/15/2025 (A)

    533       532  

VFH Parent LLC

               

7.500%, 06/15/2031 (A)

    1,763       1,829  
                 
              163,021  
                 

Health Care — 6.3%

       

Acadia Healthcare

               

5.000%, 04/15/2029 (A)

    2,668       2,600  

AHP Health Partners

               

5.750%, 07/15/2029 (A)

    376       364  

Akumin

               

9.000%, 08/01/2027 (A)

    3,430       3,071  

8.000%, 08/01/2028 (A)

    1,525       1,266  

Avantor Funding

               

4.625%, 07/15/2028 (A)

    853       830  

Bausch + Lomb

               

8.375%, 10/01/2028 (A)

    1,364       1,432  

Bausch Health

               

6.250%, 02/15/2029 (A)

    139       74  

5.750%, 08/15/2027 (A)

    180       146  

5.500%, 11/01/2025 (A)

    1,450       1,396  

5.250%, 01/30/2030 (A)

    464       232  

5.250%, 02/15/2031 (A)

    337       168  

5.000%, 01/30/2028 (A)

    360       201  

5.000%, 02/15/2029 (A)

    455       234  

4.875%, 06/01/2028 (A)

    728       544  

Bausch Health Americas

               

9.250%, 04/01/2026 (A)

    265       239  

8.500%, 01/31/2027 (A)

    578       428  

Charles River Laboratories International

               

4.250%, 05/01/2028 (A)

    2,042       1,969  

4.000%, 03/15/2031 (A)

    1,960       1,804  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

CHS

               

10.875%, 01/15/2032 (A)

  $ 3,846     $ 4,163  

8.000%, 12/15/2027 (A)

    3,870       3,877  

6.125%, 04/01/2030 (A)

    3,355       2,657  

6.000%, 01/15/2029 (A)

    525       498  

5.625%, 03/15/2027 (A)

    3,775       3,653  

5.250%, 05/15/2030 (A)

    584       523  

4.750%, 02/15/2031 (A)

    505       431  

DaVita

               

6.875%, 09/01/2032 (A)

    532       544  

4.625%, 06/01/2030 (A)

    2,245       2,117  

3.750%, 02/15/2031 (A)

    2,315       2,061  

Embecta

               

6.750%, 02/15/2030 (A)

    2,820       2,604  

5.000%, 02/15/2030 (A)

    480       433  

Emergent BioSolutions

               

3.875%, 08/15/2028 (A)

    402       298  

Encompass Health

               

4.625%, 04/01/2031

    183       173  

4.500%, 02/01/2028

    253       248  

Endo Finance Holdings

               

8.500%, 04/15/2031 (A)

    2,272       2,412  

0.000%, 12/31/2049 (E)(F)

    6,551       69  

0.000%, 04/01/2027 (E)(F)

    2,247        

Envision Healthcare

               

8.750%, 10/15/2026 (B)(E)

    3,150        

Fortrea Holdings

               

7.500%, 07/01/2030 (A)

    1,426       1,454  

Global Medical Response

               

10.000%, 10/31/2028 (A)

    7,591       7,572  

Grifols

               

4.750%, 10/15/2028 (A)

    2,351       2,233  

HCA

               

3.500%, 09/01/2030

    1,741       1,623  

Heartland Dental LLC

               

10.500%, 04/30/2028 (A)

    4,818       5,160  

IQVIA

               

6.500%, 05/15/2030 (A)

    2,445       2,537  

5.000%, 10/15/2026 (A)

    390       387  

Legacy LifePoint Health LLC

               

4.375%, 02/15/2027 (A)

    1,355       1,322  

LifePoint Health

               

11.000%, 10/15/2030 (A)

    1,526       1,720  

10.000%, 06/01/2032 (A)

    1,349       1,464  

9.875%, 08/15/2030 (A)

    527       578  

Mallinckrodt International Finance

               

14.750%, 11/14/2028 (A)

    514       561  

Medline Borrower LP

               

6.250%, 04/01/2029 (A)

    456       470  

5.250%, 10/01/2029 (A)

    528       519  

3.875%, 04/01/2029 (A)

    6,724       6,351  

Molina Healthcare

               

4.375%, 06/15/2028 (A)

    2,665       2,564  

 

 

 

SEI Institutional Investments Trust

 

231

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.875%, 11/15/2030 (A)

  $ 2,005     $ 1,844  

Option Care Health

               

4.375%, 10/31/2029 (A)

    3,966       3,762  

Organon Finance 1 LLC

               

5.125%, 04/30/2031 (A)

    3,218       3,014  

4.125%, 04/30/2028 (A)

    1,365       1,305  

Owens & Minor

               

6.625%, 04/01/2030 (A)

    290       280  

4.500%, 03/31/2029 (A)

    413       376  

Radiology Partners

               

9.781%, 02/15/2030 (A)

    3,388       2,964  

7.775%cash/0% PIK, 01/31/2029 (A)

    6,782       6,520  

Sotera Health Holdings LLC

               

7.375%, 06/01/2031 (A)

    252       264  

Surgery Center Holdings

               

7.250%, 04/15/2032 (A)

    1,134       1,191  

Team Health Holdings Inc.

               

13.500%, 06/30/2028 (A)

    230       256  

Tenet Healthcare

               

6.750%, 05/15/2031

    1,325       1,374  

6.250%, 02/01/2027

    2,892       2,897  

6.125%, 06/15/2030

    4,382       4,449  

5.125%, 11/01/2027

    905       897  

4.625%, 06/15/2028

    2,103       2,055  

4.375%, 01/15/2030

    1,880       1,797  

4.250%, 06/01/2029

    4,298       4,124  

US Acute Care Solutions LLC

               

9.750%, 05/15/2029 (A)

    1,787       1,828  
                 
              121,471  
                 

Industrials — 9.2%

       

AAR Escrow Issuer LLC

               

6.750%, 03/15/2029 (A)

    2,470       2,557  

ACCO Brands

               

4.250%, 03/15/2029 (A)

    950       884  

Allied Universal Holdco LLC

               

4.625%, 06/01/2028 (A)

    2,310       2,142  

Allison Transmission

               

5.875%, 06/01/2029 (A)

    933       936  

4.750%, 10/01/2027 (A)

    1,969       1,927  

3.750%, 01/30/2031 (A)

    442       402  

American Airlines

               

5.750%, 04/20/2029 (A)

    5,690       5,577  

5.500%, 04/20/2026 (A)

    802       798  

Amsted Industries

               

4.625%, 05/15/2030 (A)

    362       341  

APi Group DE

               

4.750%, 10/15/2029 (A)

    234       224  

4.125%, 07/15/2029 (A)

    365       343  

Arcosa

               

6.875%, 08/15/2032 (A)

    1,124       1,172  

ARD Finance

               

6.500%cash/0% PIK, 06/30/2027 (A)

    1,307       301  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Ardagh Packaging Finance

               

5.250%, 08/15/2027 (A)

  $ 5,152     $ 3,099  

4.125%, 08/15/2026 (A)

    736       635  

Avis Budget Car Rental LLC

               

8.000%, 02/15/2031 (A)

    2,895       2,879  

5.750%, 07/15/2027 (A)

    630       614  

5.375%, 03/01/2029 (A)

    425       389  

4.750%, 04/01/2028 (A)

    380       352  

Bombardier

               

8.750%, 11/15/2030 (A)

    113       123  

7.875%, 04/15/2027 (A)

    290       291  

7.500%, 02/01/2029 (A)

    1,310       1,376  

7.250%, 07/01/2031 (A)

    2,623       2,754  

7.000%, 06/01/2032 (A)

    1,514       1,576  

Builders FirstSource

               

6.375%, 06/15/2032 (A)

    392       403  

6.375%, 03/01/2034 (A)

    1,869       1,919  

4.250%, 02/01/2032 (A)

    2,363       2,159  

BWX Technologies

               

4.125%, 06/30/2028 (A)

    2,076       2,003  

4.125%, 04/15/2029 (A)

    1,425       1,363  

Camelot Return Merger Sub

               

8.750%, 08/01/2028 (A)

    2,520       2,500  

Chart Industries

               

9.500%, 01/01/2031 (A)

    2,101       2,282  

7.500%, 01/01/2030 (A)

    393       413  

Clean Harbors

               

4.875%, 07/15/2027 (A)

    1,351       1,336  

Clydesdale Acquisition Holdings

               

8.750%, 04/15/2030 (A)

    1,395       1,392  

Conduent Business Services LLC

               

6.000%, 11/01/2029 (A)

    580       551  

CoreCivic

               

8.250%, 04/15/2029

    364       384  

CP Atlas Buyer

               

7.000%, 12/01/2028 (A)

    2,247       1,935  

Deluxe

               

8.000%, 06/01/2029 (A)

    1,430       1,336  

EMRLD Borrower

               

6.750%, 07/15/2031 (A)

    181       187  

6.625%, 12/15/2030 (A)

    5,872       6,013  

Enviri

               

5.750%, 07/31/2027 (A)

    766       746  

EquipmentShare.com

               

9.000%, 05/15/2028 (A)

    671       697  

8.625%, 05/15/2032 (A)

    105       110  

First Student Bidco

               

4.000%, 07/31/2029 (A)

    35       32  

Fortress Transportation and Infrastructure Investors LLC

               

7.000%, 05/01/2031 (A)

    1,090       1,142  

Garda World Security

               

9.500%, 11/01/2027 (A)

    595       598  

 

 

 

232

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

8.250%, 08/01/2032 (A)

  $ 321     $ 326  

6.000%, 06/01/2029 (A)

    449       424  

Gates

               

6.875%, 07/01/2029 (A)

    2,215       2,272  

GEO Group

               

8.625%, 04/15/2029

    225       233  

GFL Environmental

               

6.750%, 01/15/2031 (A)

    214       224  

4.750%, 06/15/2029 (A)

    3,470       3,358  

4.375%, 08/15/2029 (A)

    1,178       1,118  

4.000%, 08/01/2028 (A)

    957       912  

3.500%, 09/01/2028 (A)

    2,860       2,704  

Global Infrastructure Solutions

               

7.500%, 04/15/2032 (A)

    325       330  

5.625%, 06/01/2029 (A)

    580       564  

GN Bondco LLC

               

9.500%, 10/15/2031 (A)

    564       574  

GrafTech Global Enterprises

               

9.875%, 12/15/2028 (A)

    1,322       1,061  

Graham Packaging

               

7.125%, 08/15/2028 (A)

    312       308  

Griffon

               

5.750%, 03/01/2028

    760       745  

H&E Equipment Services

               

3.875%, 12/15/2028 (A)

    3,449       3,195  

Herc Holdings

               

6.625%, 06/15/2029 (A)

    262       269  

Hertz

               

12.625%, 07/15/2029 (A)

    261       278  

5.000%, 12/01/2029 (A)

    1,102       744  

4.625%, 12/01/2026 (A)

    436       342  

Hertz (Escrow Security)

               

7.125%, 08/01/2026 (A)(B)

    715       64  

6.000%, 01/15/2028 (A)(B)

    420       38  

5.500%, 10/15/2024 (A)(B)

    1,573       55  

Icahn Enterprises

               

9.000%, 06/15/2030 (A)

    1,480       1,498  

5.250%, 05/15/2027

    1,683       1,626  

Imola Merger

               

4.750%, 05/15/2029 (A)

    510       491  

JELD-WEN

               

7.000%, 09/01/2032 (A)

    195       196  

4.875%, 12/15/2027 (A)

    372       360  

4.625%, 12/15/2025 (A)

    226       226  

JetBlue Airways

               

9.875%, 09/20/2031 (A)

    1,881       1,859  

Korn Ferry

               

4.625%, 12/15/2027 (A)

    2,875       2,800  

LABL

               

10.500%, 07/15/2027 (A)

    2,122       2,096  

6.750%, 07/15/2026 (A)

    2,108       2,098  

Madison IAQ LLC

               

5.875%, 06/30/2029 (A)

    2,332       2,222  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.125%, 06/30/2028 (A)

  $ 305     $ 290  

MasTec

               

4.500%, 08/15/2028 (A)

    825       803  

Masterbrand

               

7.000%, 07/15/2032 (A)

    87       90  

Mauser Packaging Solutions Holding

               

9.250%, 04/15/2027 (A)

    795       808  

7.875%, 04/15/2027 (A)

    1,690       1,747  

Mileage Plus Holdings LLC

               

6.500%, 06/20/2027 (A)

    362       365  

Miter Brands Acquisition Holdco

               

6.750%, 04/01/2032 (A)

    2,700       2,775  

MIWD Holdco II LLC

               

5.500%, 02/01/2030 (A)

    200       190  

Pitney Bowes

               

7.250%, 03/15/2029 (A)

    2,930       2,840  

Prime Security Services Borrower LLC

               

5.750%, 04/15/2026 (A)

    285       285  

3.375%, 08/31/2027 (A)

    529       501  

Resideo Funding

               

6.500%, 07/15/2032 (A)

    332       338  

Science Applications International

               

4.875%, 04/01/2028 (A)

    2,963       2,874  

Sensata Technologies

               

6.625%, 07/15/2032 (A)

    375       388  

Sensata Technologies BV

               

4.000%, 04/15/2029 (A)

    2,494       2,348  

Signature Aviation US Holdings

               

4.000%, 03/01/2028 (A)

    1,806       1,614  

Smyrna Ready Mix Concrete LLC

               

6.000%, 11/01/2028 (A)

    1,370       1,367  

Spirit AeroSystems

               

9.750%, 11/15/2030 (A)

    1,333       1,492  

9.375%, 11/30/2029 (A)

    284       308  

Spirit Loyalty Cayman

               

8.000%, 09/20/2025 (A)

    3,718       2,322  

SS&C Technologies

               

6.500%, 06/01/2032 (A)

    3,005       3,102  

5.500%, 09/30/2027 (A)

    1,090       1,089  

Standard Building Solutions

               

6.500%, 08/15/2032 (A)

    127       131  

Standard Industries

               

5.000%, 02/15/2027 (A)

    2,071       2,041  

4.750%, 01/15/2028 (A)

    1,490       1,449  

4.375%, 07/15/2030 (A)

    2,865       2,678  

3.375%, 01/15/2031 (A)

    144       126  

Summit Materials LLC

               

7.250%, 01/15/2031 (A)

    814       860  

5.250%, 01/15/2029 (A)

    2,344       2,320  

Terex

               

5.000%, 05/15/2029 (A)

    558       542  

TK Elevator US Newco

               

5.250%, 07/15/2027 (A)

    2,376       2,339  

 

 

 

SEI Institutional Investments Trust

 

233

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

TransDigm

               

7.125%, 12/01/2031 (A)

  $ 6,806     $ 7,187  

6.875%, 12/15/2030 (A)

    520       543  

6.750%, 08/15/2028 (A)

    2,945       3,028  

6.625%, 03/01/2032 (A)

    1,915       1,992  

6.375%, 03/01/2029 (A)

    584       602  

Trident TPI Holdings

               

12.750%, 12/31/2028 (A)

    1,464       1,606  

TriNet Group

               

7.125%, 08/15/2031 (A)

    291       302  

Triumph Group

               

9.000%, 03/15/2028 (A)

    139       147  

Trivium Packaging Finance BV

               

8.500%, 08/15/2027 (A)

    2,730       2,727  

5.500%, 08/15/2026 (A)

    2,062       2,036  

Uber Technologies

               

7.500%, 09/15/2027 (A)

    325       331  

United Airlines

               

4.625%, 04/15/2029 (A)

    4,719       4,492  

4.375%, 04/15/2026 (A)

    1,633       1,594  

United Rentals North America

               

6.125%, 03/15/2034 (A)

    809       826  

5.250%, 01/15/2030

    1,200       1,191  

4.000%, 07/15/2030

    3,200       2,992  

WESCO Distribution

               

7.250%, 06/15/2028 (A)

    1,001       1,027  

6.625%, 03/15/2032 (A)

    228       235  

6.375%, 03/15/2029 (A)

    572       587  

Williams Scotsman

               

7.375%, 10/01/2031 (A)

    3,976       4,179  

Wilsonart LLC

               

11.000%, 08/15/2032 (A)

    1,393       1,354  

Wrangler Holdco

               

6.625%, 04/01/2032 (A)

    131       135  

XPO

               

7.125%, 02/01/2032 (A)

    1,098       1,149  
                 
              177,487  
                 

Information Technology — 3.6%

       

ACI Worldwide

               

5.750%, 08/15/2026 (A)

    667       665  

Ahead DB Holdings LLC

               

6.625%, 05/01/2028 (A)

    1,510       1,449  

Amentum Escrow

               

7.250%, 08/01/2032 (A)

    771       806  

ams-OSRAM

               

12.250%, 03/30/2029 (A)

    270       288  

AthenaHealth Group

               

6.500%, 02/15/2030 (A)

    4,248       4,064  

Ciena

               

4.000%, 01/31/2030 (A)

    1,985       1,863  

Clarivate Science Holdings

               

4.875%, 07/01/2029 (A)

    341       328  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Cloud Software Group, Strike Price Fixed

               

8.250%, 06/30/2032 (A)

  $ 3,929     $ 4,114  

6.500%, 03/31/2029 (A)

    1,003       988  

Coherent

               

5.000%, 12/15/2029 (A)

    4,658       4,504  

CommScope

               

8.250%, 03/01/2027 (A)

    1,215       1,016  

7.125%, 07/01/2028 (A)

    1,420       1,046  

6.000%, 03/01/2026 (A)

    3,837       3,693  

4.750%, 09/01/2029 (A)

    2,074       1,670  

CommScope Technologies LLC

               

6.000%, 06/15/2025 (A)

    3,683       3,528  

5.000%, 03/15/2027 (A)

    365       279  

Elastic

               

4.125%, 07/15/2029 (A)

    1,764       1,643  

Entegris

               

5.950%, 06/15/2030 (A)

    374       379  

4.750%, 04/15/2029 (A)

    2,735       2,684  

4.375%, 04/15/2028 (A)

    560       538  

3.625%, 05/01/2029 (A)

    1,326       1,221  

Go Daddy Operating LLC

               

3.500%, 03/01/2029 (A)

    2,736       2,544  

McAfee

               

7.375%, 02/15/2030 (A)

    4,961       4,759  

MicroStrategy

               

6.125%, 06/15/2028 (A)

    3,019       2,943  

Monitronics International (Escrow Security)

               

9.125%, 04/01/2020 (B)(E)

    10,706        

NCR Atleos

               

9.500%, 04/01/2029 (A)

    665       733  

NCR Voyix

               

5.125%, 04/15/2029 (A)

    603       591  

5.000%, 10/01/2028 (A)

    193       191  

ON Semiconductor

               

3.875%, 09/01/2028 (A)

    3,699       3,515  

Open Text

               

6.900%, 12/01/2027 (A)

    3,071       3,224  

Open Text Holdings

               

4.125%, 02/15/2030 (A)

    3,083       2,863  

PTC

               

4.000%, 02/15/2028 (A)

    1,705       1,642  

RingCentral

               

8.500%, 08/15/2030 (A)

    343       366  

Seagate HDD Cayman

               

8.500%, 07/15/2031

    103       112  

8.250%, 12/15/2029

    255       276  

3.375%, 07/15/2031

    1,856       1,535  

Synaptics

               

4.000%, 06/15/2029 (A)

    2,879       2,695  

UKG

               

6.875%, 02/01/2031 (A)

    1,794       1,856  

Viasat

               

7.500%, 05/30/2031 (A)

    2,660       2,035  

 

 

 

234

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

ViaSat

               

6.500%, 07/15/2028 (A)

  $ 835     $ 695  

Xerox Holdings

               

8.875%, 11/30/2029 (A)

    281       264  
                 
              69,605  
                 

Materials — 6.3%

       

ASP Unifrax Holdings

               

5.250%, 09/30/2028 (A)

    3,505       1,814  

ATI

               

7.250%, 08/15/2030

    224       238  

5.875%, 12/01/2027

    276       276  

5.125%, 10/01/2031

    165       159  

4.875%, 10/01/2029

    267       259  

Axalta Coating Systems Dutch Holding B BV

               

7.250%, 02/15/2031 (A)

    3,335       3,532  

Axalta Coating Systems LLC

               

4.750%, 06/15/2027 (A)

    1,348       1,327  

3.375%, 02/15/2029 (A)

    2,735       2,536  

Baffinland Iron Mines

               

8.750%, 07/15/2026 (A)

    5,380       4,833  

Ball

               

6.000%, 06/15/2029

    1,738       1,788  

3.125%, 09/15/2031

    2,885       2,523  

2.875%, 08/15/2030

    3,555       3,142  

Berry Global (Escrow Security)

               

5.625%, 07/15/2027 (A)

    1,575       1,573  

Big River Steel LLC

               

6.625%, 01/31/2029 (A)

    477       482  

Carpenter Technology

               

7.625%, 03/15/2030

    103       107  

6.375%, 07/15/2028

    281       281  

CF Industries

               

5.150%, 03/15/2034

    2,520       2,513  

Chemours

               

5.750%, 11/15/2028 (A)

    2,727       2,555  

4.625%, 11/15/2029 (A)

    1,881       1,655  

Cleveland-Cliffs

               

7.000%, 03/15/2032 (A)

    122       122  

6.750%, 04/15/2030 (A)

    336       341  

4.625%, 03/01/2029 (A)

    370       347  

Compass Minerals International

               

6.750%, 12/01/2027 (A)

    1,758       1,710  

Constellium

               

3.750%, 04/15/2029 (A)

    941       868  

Cornerstone Chemical Co LLC

               

15.000%, 12/06/2028 (E)

    5,225       5,225  

10.250%, 09/01/2027 (A)(B)(E)

    567       568  

CVR Partners

               

6.125%, 06/15/2028 (A)

    1,771       1,719  

Domtar

               

6.750%, 10/01/2028 (A)

    4,200       3,848  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Element Solutions

               

3.875%, 09/01/2028 (A)

  $ 619     $ 585  

Enviva Inc. (F)

               

0.000%, 12/13/2024

    434       7  

0.000%, 06/30/2027

    2        

ERO Copper

               

6.500%, 02/15/2030 (A)

    2,640       2,583  

First Quantum Minerals

               

9.375%, 03/01/2029 (A)

    255       271  

8.625%, 06/01/2031 (A)

    2,690       2,689  

6.875%, 10/15/2027 (A)

    2,534       2,513  

FMG Resources August 2006 Pty

               

4.500%, 09/15/2027 (A)

    1,783       1,724  

4.375%, 04/01/2031 (A)

    394       362  

Freeport-McMoRan

               

5.450%, 03/15/2043

    750       735  

5.400%, 11/14/2034

    1,281       1,306  

4.625%, 08/01/2030

    979       968  

Graphic Packaging International LLC

               

3.750%, 02/01/2030 (A)

    800       740  

INEOS Finance

               

7.500%, 04/15/2029 (A)

    1,808       1,871  

6.750%, 05/15/2028 (A)

    200       202  

INEOS Quattro Finance 2

               

9.625%, 03/15/2029 (A)

    247       266  

Innophos Holdings

               

9.375%, 02/15/2028 (A)

    4,165       3,897  

Iris Holdings

               

8.750%, 02/15/2026 (A)

    285       260  

Methanex

               

5.250%, 12/15/2029

    1,605       1,578  

5.125%, 10/15/2027

    2,222       2,187  

Mineral Resources MTN

               

8.500%, 05/01/2030 (A)

    1,685       1,752  

Mountain Province Diamonds, Inc.

               

9.000%, 12/15/2025 (A)(E)

    2,609       2,450  

Neiman Marcus Group (Escrow Security) (F)

               

0.000%, 10/15/2021 (A)(B)(E)

    1,475       52  

0.000%cash/0% PIK, 10/15/2021 (A)(B)(E)

    1,360       47  

NMG Holding

               

7.125%, 04/01/2026 (A)

    1,085       1,093  

Northwest Acquisitions ULC

               

7.125%, 11/01/2022 (A)(B)(C)(E)

    3,290        

NOVA Chemicals

               

9.000%, 02/15/2030 (A)

    1,524       1,637  

8.500%, 11/15/2028 (A)

    199       212  

5.250%, 06/01/2027 (A)

    845       834  

4.250%, 05/15/2029 (A)

    410       374  

Novelis

               

4.750%, 01/30/2030 (A)

    1,058       1,010  

3.250%, 11/15/2026 (A)

    956       920  

 

 

 

SEI Institutional Investments Trust

 

235

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

OCI

               

6.700%, 03/16/2033 (A)

  $ 1,641     $ 1,692  

4.625%, 10/15/2025 (A)

    526       522  

OI European Group BV

               

4.750%, 02/15/2030 (A)

    1,899       1,782  

Olympus Water US Holding

               

9.750%, 11/15/2028 (A)

    2,109       2,246  

Owens-Brockway Glass Container

               

6.625%, 05/13/2027 (A)

    102       102  

Polar US Borrower LLC

               

6.750%, 05/15/2026 (A)

    1,850       511  

Rain Carbon

               

12.250%, 09/01/2029 (A)

    3,645       3,901  

Rain CII Carbon LLC

               

7.250%, 04/01/2025 (A)

    49       48  

SCIH Salt Holdings

               

6.625%, 05/01/2029 (A)

    3,118       2,984  

4.875%, 05/01/2028 (A)

    1,754       1,671  

Scotts Miracle-Gro

               

5.250%, 12/15/2026

    121       120  

4.500%, 10/15/2029

    714       677  

4.375%, 02/01/2032

    396       356  

4.000%, 04/01/2031

    489       438  

Sealed Air

               

6.500%, 07/15/2032 (A)

    1,763       1,803  

6.125%, 02/01/2028 (A)

    2,994       3,041  

Tacora Resources Inc

               

13.000%cash/0% PIK, 11/03/2023 (A)(B)(C)(E)

    200       200  

8.250%, 05/15/2026 (A)(B)(C)

    1,320       497  

Taseko Mines

               

8.250%, 05/01/2030 (A)

    1,897       1,971  

TriMas

               

4.125%, 04/15/2029 (A)

    528       492  

Trinseo Materials Operating SCA

               

5.375%, 09/01/2025 (A)

    182       157  

5.125%, 04/01/2029 (A)

    1,639       745  

Tronox

               

4.625%, 03/15/2029 (A)

    7,954       7,249  

WR Grace Holdings LLC

               

5.625%, 08/15/2029 (A)

    6,378       5,914  

4.875%, 06/15/2027 (A)

    549       537  
                 
              121,122  
                 

Real Estate — 1.6%

       

Anywhere Real Estate Group LLC

               

5.250%, 04/15/2030 (A)

    645       450  

Diversified Healthcare Trust

               

4.750%, 02/15/2028

    1,240       1,090  

4.375%, 03/01/2031

    4,775       3,655  

Iron Mountain

               

7.000%, 02/15/2029 (A)

    1,795       1,864  

5.250%, 03/15/2028 (A)

    281       278  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.250%, 07/15/2030 (A)

  $ 990     $ 965  

5.000%, 07/15/2028 (A)

    415       407  

4.875%, 09/15/2027 (A)

    410       403  

4.875%, 09/15/2029 (A)

    3,400       3,300  

4.500%, 02/15/2031 (A)

    115       108  

Outfront Media Capital LLC

               

7.375%, 02/15/2031 (A)

    2,563       2,724  

4.625%, 03/15/2030 (A)

    310       291  

Park Intermediate Holdings LLC

               

4.875%, 05/15/2029 (A)

    1,905       1,817  

RHP Hotel Properties

               

7.250%, 07/15/2028 (A)

    118       123  

6.500%, 04/01/2032 (A)

    323       332  

4.750%, 10/15/2027

    1,022       1,001  

4.500%, 02/15/2029 (A)

    647       621  

RLJ Lodging Trust

               

4.000%, 09/15/2029 (A)

    542       492  

3.750%, 07/01/2026 (A)

    309       299  

Service Properties Trust

               

8.625%, 11/15/2031 (A)

    1,285       1,375  

5.500%, 12/15/2027

    550       517  

4.950%, 02/15/2027

    2,978       2,761  

4.375%, 02/15/2030

    1,830       1,352  

3.950%, 01/15/2028

    140       119  

Uniti Group

               

10.500%, 02/15/2028 (A)

    905       929  

6.000%, 01/15/2030 (A)

    1,322       968  

VICI Properties

               

4.625%, 12/01/2029 (A)

    249       242  

4.500%, 09/01/2026 (A)

    225       223  

4.250%, 12/01/2026 (A)

    500       493  

3.750%, 02/15/2027 (A)

    670       650  

3.500%, 02/15/2025 (A)

    22       22  

VICI Properties LP / VICI Note Co

               

4.625%, 06/15/2025 (A)

    411       407  

4.125%, 08/15/2030 (A)

    1,596       1,504  
                 
              31,782  
                 

Utilities — 2.1%

       

AmeriGas Partners

               

9.375%, 06/01/2028 (A)

    225       236  

5.875%, 08/20/2026

    250       247  

5.500%, 05/20/2025

    54       54  

Calpine

               

5.000%, 02/01/2031 (A)

    290       278  

4.625%, 02/01/2029 (A)

    420       400  

4.500%, 02/15/2028 (A)

    5,815       5,640  

NextEra Energy Operating Partners

               

7.250%, 01/15/2029 (A)

    2,124       2,224  

NRG Energy

               

10.250%, H15T5Y + 5.920%(A)(D)(G)

    2,958       3,293  

7.000%, 03/15/2033 (A)

    413       454  

5.250%, 06/15/2029 (A)

    661       653  

 

 

 

236

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.875%, 02/15/2032 (A)

  $ 56     $ 50  

3.625%, 02/15/2031 (A)

    3,581       3,204  

3.375%, 02/15/2029 (A)

    540       496  

Pattern Energy Operations

               

4.500%, 08/15/2028 (A)

    2,880       2,770  

PG&E

               

5.250%, 07/01/2030

    2,559       2,505  

5.000%, 07/01/2028

    410       402  

Pike

               

8.625%, 01/31/2031 (A)

    108       117  

5.500%, 09/01/2028 (A)

    335       326  

Talen Energy Supply LLC

               

8.625%, 06/01/2030 (A)

    2,300       2,491  

Vistra

               

8.000%, H15T5Y + 6.930%(A)(D)(G)

    4,738       4,900  

7.000%, H15T5Y + 5.740%(A)(D)(G)

    435       439  

Vistra Operations LLC

               

7.750%, 10/15/2031 (A)

    515       548  

6.875%, 04/15/2032 (A)

    2,903       3,015  

5.625%, 02/15/2027 (A)

    561       560  

5.000%, 07/31/2027 (A)

    2,201       2,178  

4.375%, 05/01/2029 (A)

    2,562       2,453  

4.300%, 07/15/2029 (A)

    559       543  
                 
              40,476  
                 

Total Corporate Obligations

               

(Cost $1,544,327) ($ Thousands)

            1,458,722  
                 
                 
                 

LOAN PARTICIPATIONS — 9.5%

AAdvantage Loyality IP Ltd. (American Airlines, Inc.), Initial Term Loan, 1st Lien

               

10.294%, CME Term SOFR + 4.750%, 04/20/2028 (D)

    918       949  

Access CIG, LLC, 2023 Refinancing Term Loan, 1st Lien

               

10.252%, CME Term SOFR + 5.000%, 08/18/2028 (D)

    1,534       1,540  

ACProducts Holdings, Inc., Initial Term Loan, 1st Lien

               

9.846%, CME Term SOFR + 4.250%, 05/17/2028 (D)

    523       392  

Adient, Term Loan B2

               

8.094%, 01/31/2031 (D)

    329       330  

Ahead DB Holdings, LLC, Term B-3 Loan, 1st Lien

               

8.798%, CME Term SOFR + 3.500%, 02/01/2031 (D)

    453       454  

AlixPartners LLP, Initial Dollar Term Loan, 1st Lien

               

7.861%, 02/04/2028 (H)

    1,182       1,186  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

Alvogen Pharma US, Inc., June 2022 Loan, 1st Lien

               

12.985%, CME Term SOFR + 7.500%, 06/30/2025 (D)(H)

  $ 2,703     $ 2,385  

Applied Systems, Inc., Tranche B-1 Term Loan, 1st Lien

               

8.286%, CME Term SOFR + 3.000%, 02/24/2031 (D)

    2,495       2,504  

Aruba Investments Holdings, LLC, Initial Dollar Term Loan, 1st Lien

               

9.347%, CME Term SOFR + 4.000%, 11/24/2027 (D)

    400       396  

Asurion, LLC, New B-8 Term Loan, 1st Lien

               

8.611%, CME Term SOFR + 3.250%, 12/23/2026 (D)

    1,092       1,087  

Avaya Inc., Initial Term Loan, 1st Lien

               

12.747%, CME Term SOFR + 7.500%, 08/01/2028 (C)(D)

    6,635       5,867  

AVSC Holding Corp., 2020 B-1 Term Loan, 1st Lien

               

8.597%, CME Term SOFR + 3.250%, 03/03/2025 (D)

    1,928       1,919  

AVSC Holding Corp., 2020 B-2 Term Loan, 1st Lien

               

9.847%, CME Term SOFR + 4.500%, 10/15/2026 (D)

    156       156  

Bally's Corporation, Term B Facility Loan, 1st Lien

               

8.794%, CME Term SOFR + 3.250%, 10/02/2028 (D)

    1,265       1,209  

Byju's, New Money Term Loan, 1st Lien

               

0.000%, 04/24/2026 (F)

    26       26  

Byju's, Term Loan, 1st Lien

               

15.500%, CME Term SOFR + 8.000%, 11/24/2026 (B)(D)

    2,985       668  

Caesars Entertainment, Inc., Incremental Term B-1 Loan, 1st Lien

               

7.997%, CME Term SOFR + 2.750%, 02/06/2031 (D)

    4,404       4,397  

Carestream Health, Inc., Term Loan, 1st Lien

               

12.935%, CME Term SOFR + 7.500%, 09/30/2027 (D)

    2,648       2,406  

Castle US Holding Corp., Incremental Term B Loan, 1st Lien

               

9.609%, CME Term SOFR + 4.000%, 01/29/2027 (D)

    1,561       871  

Castle US Holding Corporation, Initial Dollar Term Loan, 1st Lien

               

9.069%, CME Term SOFR + 3.750%, 01/29/2027 (D)

    2,027       1,226  

 

 

 

SEI Institutional Investments Trust

 

237

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

CHPPR Midco Inc. , Amendment No. 1 Term Loan, 1st Lien

               

14.095%, CME Term SOFR + 8.750%, 12/31/2029 (D)

  $ 1,743     $ 1,743  

Claire's Stores, Inc., Initial Term Loan, 1st Lien

               

11.847%, CME Term SOFR + 6.500%, 12/18/2026 (D)

    1,960       1,706  

Clear Channel Outdoor Holdings,Inc., Refinancing Term Loan

               

9.361%, 08/23/2028

    74       73  

Cloud Software Group, Inc., Fourth Amendment Incremental Term Loan, 1st Lien

               

9.335%, CME Term SOFR + 4.000%, 03/30/2029 (D)

    3,197       3,194  

Cloud Software Group, Inc., Third Amendment Term Loan, 1st Lien

               

9.835%, CME Term SOFR + 4.500%, 03/21/2031 (D)

    1,820       1,827  

ClubCorp Holdings, Inc., Term B-2 Loan, 1st Lien

               

10.596%, CME Term SOFR + 5.000%, 09/18/2026 (D)

    967       968  

CMG Media Corporation, 2021 Term B Loan, 1st Lien

               

8.935%, CME Term SOFR + 3.500%, 12/17/2026 (D)

    873       751  

Conair Holdings LLC, Initial Term Loan, 1st Lien

               

9.111%, CME Term SOFR + 3.750%, 05/17/2028 (D)

    328       304  

Consolidated Communications, Inc., Term B-1 Loan, 1st Lien

               

8.861%, CME Term SOFR + 3.500%, 10/02/2027 (D)

    2,121       2,026  

Copeland, Term Loan, 1st Lien

               

7.843%, 06/18/2031

    223       223  

CP Atlas Buyer, Inc., Term B Loan, 1st Lien

               

9.097%, CME Term SOFR + 3.750%, 11/23/2027 (D)

    980       944  

CSC Holdings, LLC, 2022 Refinancing Term Loan, 1st Lien

               

9.837%, CME Term SOFR + 4.500%, 01/18/2028 (D)

    248       236  

Curian Global Inc., 2021 Term Loan, 1st Lien

               

9.194%, 08/30/2026

    3       3  

9.102%, 08/30/2026

    1,276       1,170  

DexKo Global Inc., Closing Date Dollar Term Loan, 1st Lien

               

9.346%, CME Term SOFR + 3.750%, 10/04/2028 (D)

    587       573  

Diamond Sports Group, LLC, DIP Term Loan

               

10.000%, 12/02/2024

    468       596  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

DIRECTV Financing, LLC, Closing Date Term Loan, 1st Lien

               

10.361%, CME Term SOFR + 5.000%, 08/02/2027 (D)

  $ 294     $ 296  

Dominion Diamond, Term Loan, 2nd Lien

               

10.000%, 06/30/2026 (E)

    1,216       1,216  

Dun & Bradstreet Corporation, The, 2022 Incremental Term B-2 Loan (2024), 1st Lien

               

8.026%, CME Term SOFR + 2.750%, 01/18/2029 (D)

    1,746       1,748  

East Valley Tourist Development Authority , Term Loan, 1st Lien

               

12.958%, CME Term SOFR + 7.500%, 11/23/2026 (D)(E)

    4,101       4,019  

Endo Finance Holdings, Inc., Initial Term Loan, 1st Lien

               

9.783%, CME Term SOFR + 4.500%, 04/23/2031 (D)

    1,230       1,227  

Envision Healthcare Corporation, Term Loan, 1st Lien

               

13.540%, 12/30/2027

    1,417       1,409  

Enviva, Delayed Term Loan, Tranche A1

               

13.346%, 12/13/2024

    287       316  

Enviva, Delayed Term Loan, Tranche B1

               

13.282%, 12/13/2024

    290       294  

Enviva, Initial Term Loan, 1st Lien

               

13.301%, 12/13/2024

    434       478  

Enviva, Term Loan, 1st Lien

               

12.250%, 06/30/2027 (E)

    941       941  

Epic Crude Services, LP, Term Loan, 1st Lien

               

10.609%, CME Term SOFR + 5.000%, 03/02/2026 (D)

    1,505       1,508  

eResearchTechnology, Inc., Tranche B-1 Term Loan, 1st Lien

               

9.247%, CME Term SOFR + 4.000%, 02/04/2027 (D)

    2,244       2,255  

First Student Bidco Inc., Initial Term B Loan, 1st Lien

               

8.596%, CME Term SOFR + 3.000%, 07/21/2028 (D)

    416       417  

First Student Bidco Inc., Initial Term C Loan, 1st Lien

               

8.596%, CME Term SOFR + 3.000%, 07/21/2028 (D)

    127       127  

First Student Bidco Inc., TLB-2 Loan, 1st Lien

               

8.435%, CME Term SOFR + 3.000%, 07/21/2028 (D)

    398       399  

Fitness International, LLC, Term B Loan

               

10.505%, 02/05/2029

    1,092       1,088  

 

 

 

238

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

Flexsys Holdings, Inc., Initial Term Loan, 1st Lien

               

10.846%, CME Term SOFR + 4.000%, 11/01/2028 (D)

  $ 665     $ 518  

Freeport LNG Investments, LLLP, Term Loan, 1st Lien

               

8.544%, 11/16/2026

    3,102       3,090  

Gainwell Acquisition Corp., Term B Loan, 1st Lien

               

9.435%, CME Term SOFR + 4.000%, 10/01/2027 (D)(H)

    156       141  

GatesAir, Term Loan

               

14.862%, 08/01/2027 (C)(E)

    1,779       1,779  

Genesys Cloud Services Holdings I, LLC, 2024 Incremental Dollar Term Loan, 1st Lien

               

9.111%, CME Term SOFR + 3.750%, 12/01/2027 (D)

    1,234       1,240  

Genesys Cloud Services Holdings I, LLC, 2024 Incremental No. 2 Dollar Term Loan, 1st Lien

               

8.747%, CME Term SOFR + 3.500%, 12/01/2027 (D)

    491       493  

GIP III Stetson I, L.P. (GIP III Stetson II, L.P.), Initial Term Loan (2023), 1st Lien

               

8.747%, CME Term SOFR + 3.500%, 10/31/2028 (D)

    2,477       2,482  

Global Medical Response, Inc., 2024 Extended Term Loan, 1st Lien

               

10.844%, CME Term SOFR + 6.000%, 10/31/2028 (D)(E)

    5,338       5,297  

Graham Packaging, Term Loan, 1st Lien

               

7.844%, 08/04/2027

    522       522  

Grifols Worldwide Operations Limited, Dollar Tranche B Term Loan, 1st Lien

               

7.402%, CME Term SOFR + 2.000%, 11/15/2027 (D)

    909       893  

HIG Finance 2 Limited, 2024 Dollar Term Loan, 1st Lien

               

8.747%, CME Term SOFR + 3.500%, 02/15/2031 (D)

    1,781       1,781  

J & J Ventures Gaming, LLC, Initial Term Loan, 1st Lien

               

9.361%, CME Term SOFR + 4.000%, 04/26/2028 (D)

    1,261       1,259  

JC Penney, Term Loan, 1st Lien

               

5.250%, CME Term SOFR + 4.250%, 06/21/2024 (B)(D)(E)

    3,751        

Johnstone Supply, LLC, Initial Term Loan, 1st Lien

               

8.352%, CME Term SOFR + 3.000%, 06/09/2031 (D)

    626       625  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

Journey Personal Care, Term Loan, 1st Lien

               

9.712%, CME Term SOFR + 4.250%, 03/01/2028 (D)

  $ 2,672     $ 2,661  

Jump Financial, LLC, Term Loan, 1st Lien

               

10.096%, CME Term SOFR + 4.500%, 08/07/2028 (D)

    3,037       3,022  

LABL, Inc., Initial Dollar Term Loan, 1st Lien

               

10.347%, CME Term SOFR + 5.000%, 10/29/2028 (D)

    1,504       1,442  

Lannett Company, Inc., Term Loan

               

2.000%, 06/16/2030 (E)

    871       871  

Libbey Glass, LLC, Incremental Term Loan

               

11.929%, 11/22/2027

    2,604       2,580  

Life Time, Inc., New 2023 Refinancing Term Loan, 1st Lien

               

9.514%, CME Term SOFR + 4.000%, 01/15/2026 (D)

    442       443  

LifeScan Global Corporation, Initial Term Loan, 1st Lien

               

11.728%, CME Term SOFR + 6.500%, 12/31/2026 (D)

    13,552       5,099  

Lightstone Holdco LLC, Extended Term B Loan, 1st Lien

               

11.002%, CME Term SOFR + 5.750%, 01/29/2027 (D)

    3,234       3,232  

Lightstone Holdco LLC, Extended Term C Loan, 1st Lien

               

11.002%, CME Term SOFR + 5.750%, 01/29/2027 (D)

    184       184  

LSF9 Atlantis Holdings, LLC, First Amendment Incremental Term Loan, 1st Lien

               

11.835%, CME Term SOFR + 6.500%, 03/31/2029 (D)(E)

    1,823       1,832  

Madison IAQ LLC, Initial Term Loan, 1st Lien

               

7.889%, CME Term SOFR + 2.750%, 06/21/2028 (D)

    431       431  

Magnite Inc., Term Loan B, 1st Lien

               

9.844%, 02/06/2031 (D)

    1,755       1,764  

Magnite Inc., Term Loan, 1st Lien

               

9.852%, 02/06/2031 (D)

    664       668  

Mavenir Systems, Inc., Initial Term Loan, 1st Lien

               

10.811%, CME Term SOFR + 5.750%, 08/18/2028 (C)(D)(E)

    681       476  

10.073%, CME Term SOFR + 4.750%, 08/18/2028 (C)(D)

    7,617       5,332  

McAfee, Term Loan First Out, 1st Lien

               

12.088%, 07/27/2028

    3,615       3,292  

McAfee, Term Loan Second Out, 1st Lien

               

12.338%, 07/27/2028

    2,747       1,703  

McAfee, Term Loan Third Out, 1st Lien

               

11.366%, 07/27/2028

    868       211  

 

 

 

SEI Institutional Investments Trust

 

239

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

McAfee, Term Loan, 1st Lien

               

11.366%, 07/27/2028

  $ 1,047     $ 1,051  

Medimpact Healthcare, Cov-Lite Delayes Term Loan, 1st Lien

               

12.694%, 03/31/2028

    1,160       1,096  

Medline Borrower, LP, Refinancing Term Loan, 1st Lien

               

7.997%, CME Term SOFR + 2.750%, 10/23/2028 (D)

    984       986  

MH Sub I, LLC (Micro Holding Corp.), 2023 May Incremental Term Loan, 1st Lien

               

9.497%, CME Term SOFR + 4.250%, 05/03/2028 (D)

    1,092       1,089  

MI Windows and Doors, LLC, 2024 Incremental Term Loan, 1st Lien

               

8.747%, CME Term SOFR + 3.500%, 03/28/2031 (D)

    200       201  

MLN US HoldCo LLC, Term B Loan, 1st Lien

               

9.947%, CME Term SOFR + 4.500%, 11/30/2025 (D)

    1,157       46  

Mountaineer Merger Corp, Term Loan, 1st Lien

               

12.458%, CME Term SOFR + 7.000%, 10/26/2028 (D)

    2,777       2,250  

MPH Acquisition Holdings LLC, Initial Term Loan, 1st Lien

               

9.569%, CME Term SOFR + 4.250%, 09/01/2028 (D)

    346       269  

Naked Juice LLC, Initial Loan, 2nd Lien

               

11.435%, CME Term SOFR + 6.000%, 01/24/2030 (D)

    2,987       2,197  

Neon Maple, Term Loan B-1, 1st Lien

               

0.000%, 07/18/2031 (F)

    502       500  

NEP Group, Inc., Extended 2021 Dollar Term Loan, 1st Lien

               

9.361%, CME Term SOFR + 4.000%, 08/19/2026 (D)(E)

    208       196  

NEP Group, Inc., Extended Initial Dollar Term Loan, 1st Lien

               

8.611%, CME Term SOFR + 3.250%, 08/19/2026 (D)

    2,067       1,942  

Neptune BidCo US Inc., Dollar Term B Loan, 1st Lien

               

10.404%, CME Term SOFR + 5.000%, 04/11/2029 (D)

    1,711       1,635  

Nexus Buyer LLC, Initial Term Loan, 2nd Lien

               

11.597%, CME Term SOFR + 6.250%, 11/05/2029 (D)

    1,140       1,133  

Nine West Holdings Inc., Term Loan

               

15.252%, CME Term SOFR + 8.000%, 03/20/2026 (C)(D)

    1,593       1,424  

Obra, Termloan, 1st Lien

               

12.920%, 06/21/2029 (E)

    1,761       1,708  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

Osaic Holdings, Inc., Term B-3 Loan, 1st Lien

               

9.247%, CME Term SOFR + 4.000%, 08/17/2028 (D)

  $ 1,423     $ 1,409  

Ovation Parent, Inc., Initial Term Loan, 1st Lien

               

8.835%, CME Term SOFR + 3.500%, 04/21/2031 (D)

    710       712  

Packaging Coordinators Midco, Inc., 2024 Replacement Term Loan, 1st Lien

               

8.585%, CME Term SOFR + 3.250%, 11/30/2027 (D)

    927       928  

Parexel International Inc., Fifth Amendment Term Loan, 1st Lien

               

8.247%, CME Term SOFR + 3.000%, 11/15/2028 (D)

    311       312  

Park River Holdings, Inc., Initial Term Loan, 1st Lien

               

8.843%, CME Term SOFR + 3.250%, 12/28/2027 (D)

    224       218  

Petco Health and Wellness Company, Inc., Initial Term Loan, 1st Lien

               

8.846%, CME Term SOFR + 3.250%, 03/03/2028 (D)

    690       637  

Quest Software US Holdings Inc., Initial Term Loan, 1st Lien

               

9.652%, CME Term SOFR + 4.250%, 02/01/2029 (D)

    1,269       929  

Radiology Partners, Inc., Term B Loan, 1st Lien

               

10.383%, CME Term SOFR + 5.000%, 01/31/2029 (D)

    1,370       1,300  

Rocket Software, Inc., Extended Dollar Term Loan, 1st Lien

               

9.997%, CME Term SOFR + 4.750%, 11/28/2028 (D)

    274       274  

Schenectady International Group, Inc., Initial Term Loan, 1st Lien

               

10.136%, CME Term SOFR + 4.750%, 10/15/2025 (D)

    2,137       1,785  

Serta Simmons Bedding, Initial Term Loan, 1st Lien

               

12.949%, CME Term SOFR + 7.500%, 06/29/2028 (D)

    86       69  

Shutterfly Finance, LLC, Term B Loan, 2nd Lien

               

6.335%, CME Term SOFR + 1.000%, 10/01/2027 (D)

    301       256  

Sinclair Television, Cov-Lite Term Loan B, 1st Lien

               

8.514%, 04/01/2028 (D)

    878       619  

 

 

 

240

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

SPX Flow, Inc., 2024 Refinancing Term Loan, 1st Lien

               

8.747%, CME Term SOFR + 3.500%, 04/05/2029 (D)

  $ 246     $ 247  

Star Parent, Inc., Term Loan, 1st Lien

               

9.085%, CME Term SOFR + 3.750%, 09/27/2030 (D)

    175       173  

Station Casinos LLC, Term B Facility, 1st Lien

               

7.497%, CME Term SOFR + 2.250%, 03/14/2031 (D)(H)

    1,243       1,242  

Stubhub Holdco Sub, LLC, Extended USD Term B Loan, 1st Lien

               

9.997%, CME Term SOFR + 4.750%, 03/15/2030 (D)

    857       853  

Surgery Center Holdings, Inc., 2024 Refinancing Term Loan, 1st Lien

               

8.061%, CME Term SOFR + 2.750%, 12/19/2030 (D)

    2,414       2,416  

SWF Holdings I Corp., Initial Term Loan, 1st Lien

               

9.361%, CME Term SOFR + 4.000%, 10/06/2028 (D)

    1,095       822  

Team Health Holdings, Inc., Extended Term Loan, 1st Lien

               

10.502%, CME Term SOFR + 5.250%, 03/02/2027 (D)

    9,051       8,613  

Topgolf Callaway Brands Corp., Initial Term Loan, 1st Lien

               

8.344%, 03/15/2030

    167       165  

Tortoiseecofin, Term Loan, 1st Lien

               

8.958%, 10/27/2028

    350       329  

Traverse Midstream Partners LLC, Advance, 1st Lien

               

8.752%, CME Term SOFR + 3.500%, 02/16/2028 (D)

    1,516       1,518  

Triton Water Holdings, Inc., Initial Term Loan, 1st Lien

               

8.846%, CME Term SOFR + 3.250%, 03/31/2028 (D)

    371       371  

U.S. Renal Care, Inc., Closing Date Term Loan, 1st Lien

               

10.361%, CME Term SOFR + 5.000%, 06/20/2028 (D)

    604       520  

UKG Inc., 2024 Refinancing Term Loan, 1st Lien

               

8.555%, CME Term SOFR + 3.250%, 02/10/2031 (D)

    2,645       2,651  

Varsity Brand, Term Loan B, 1st Lien

               

0.000%, 07/28/2031 (F)

    3,141       3,127  

Venator, Delayed Term Loan, 1st Lien

               

9.000%, 01/16/2026

    88       88  

Venator, Term Loan, 1st Lien

               

7.328%, 01/16/2026

    113       113  

7.299%, 10/12/2028

    332       331  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

LOAN PARTICIPATIONS (continued)

VeriFone Systems, Inc., Initial Term Loan, 1st Lien

               

9.333%, CME Term SOFR + 4.000%, 08/20/2025 (D)

  $ 2,757     $ 2,483  

W. R. Grace Holdings LLC, Initial Term Loan, 1st Lien

               

8.497%, CME Term SOFR + 3.250%, 09/22/2028 (D)

    70       70  

Wargam, Term Loan, 1st Lien

               

14.694%, 06/30/2028

    2,424       2,509  

WEC US Holdings Ltd., Initial Term Loan, 1st Lien

               

7.997%, CME Term SOFR + 2.750%, 01/27/2031 (D)(H)

    1,304       1,304  

Wellful Inc., Initial Term Loan, 1st Lien

               

11.611%, CME Term SOFR + 6.250%, 04/21/2027 (D)

    2,661       1,606  

WestJet Loyalty LP, Initial Term Loan, 1st Lien

               

9.082%, CME Term SOFR + 3.750%, 02/14/2031 (D)

    2,509       2,496  

White Cap Buyer LLC, Term Loan, 1st Lien

               

8.594%, 10/19/2029

    770       765  

WW International, Inc., Initial Term Loan, 1st Lien

               

8.861%, CME Term SOFR + 3.500%, 04/13/2028 (D)

    352       96  

Xplornet Communications Inc., Refinancing Term Loan, 1st Lien

               

9.571%, CME Term SOFR + 4.000%, 10/02/2028 (B)(C)(D)

    5,481       951  

Zelis Cost Management Buyer, Inc., Term B-2 Loan, 1st Lien

               

7.997%, CME Term SOFR + 2.750%, 09/28/2029 (D)

    746       747  
                 
                 

Total Loan Participations

               

(Cost $199,059) ($ Thousands)

            183,183  
                 
                 
                 

ASSET-BACKED SECURITIES — 7.1%

Other Asset-Backed Securities — 7.1%

       
         

Ares LXXIV CLO, Ser 2024-74A, Cl SUB

               

0.000%, 10/15/2037 (A)(F)

    3,724       3,171  

Ares XXXIV CLO, Ser 2020-2A, Cl FR

               

14.147%, TSFR3M + 8.862%, 04/17/2033 (A)(D)

    2,304       2,256  

Battalion CLO VII, Ser 2014-7A, Cl SUB

               

0.000%, 07/17/2028 (A)(D)(E)(F)

    4,614        

Battalion CLO VIII, Ser 2015-8A, Cl SUB

               

0.000%, 07/18/2030 (A)(D)(E)(F)

    4,378       919  

 

 

 

SEI Institutional Investments Trust

 

241

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Battalion CLO X, Ser 2016-10A, Cl SUB

               

0.000%, 01/25/2035 (A)(D)(E)(F)

  $ 6,380     $ 3,190  

Battalion CLO XI, Ser 2017-11A, Cl SUB

               

0.000%, 04/24/2034 (A)(D)(E)(F)

    10,431       4,485  

Battalion CLO XII, Ser 2018-12A, Cl SUB

               

0.000%, 05/17/2031 (A)(D)(E)(F)

    8,633       1,381  

Battalion CLO XIV, Ser 2019-14A

               

0.000%, 04/20/2032 (D)(E)(F)

    6,147       2,951  

Battalion CLO XVI, Ser 2019-16A, Cl SUB

               

0.000%, 12/19/2032 (A)(D)(E)(F)

    3,572       1,500  

Battalion CLO XX, Ser 2021-20A, Cl SUB

               

0.000%, 07/15/2034 (D)(E)(F)

    8,543       4,250  

Benefit Street Partners CLO III, Ser 2013-IIIA, Cl SUB

               

0.000%, 07/20/2029 (A)(D)(E)(F)

    2,640       111  

Benefit Street Partners CLO IV

               

0.000%, 07/20/2026 (A)(E)(I)

    6,657       3,329  

Benefit Street Partners CLO IX

               

0.000%, 07/20/2025 (A)(E)(I)

    3,363       1,059  

Benefit Street Partners CLO V, Ser 2018-5BA

               

0.000%, 04/20/2031 (E)(F)

    13,783       5,754  

Benefit Street Partners CLO V-B, Ser 2024-5BA, Cl FR

               

13.132%, TSFR3M + 7.800%, 07/20/2037 (A)(D)

    100       96  

Benefit Street Partners CLO VI, Ser 2015-VIA, Cl SUB

               

0.000%, 10/18/2029 (A)(D)(E)(F)

    9,535       4,006  

Benefit Street Partners CLO VII, Ser 2015-VIII, Cl SUB

               

0.000%, 07/18/2027 (D)(E)(F)

    9,035       35  

Benefit Street Partners CLO VIII

               

0.000%, 01/20/2031 (E)(F)

    9,000       1,661  

Benefit Street Partners CLO X, Ser 2016-10A, Cl SUB

               

0.000%, 04/20/2034 (A)(D)(E)(F)

    10,939       6,307  

Benefit Street Partners CLO XII, Ser 2017-12A, Cl SUB

               

0.000%, 10/15/2030 (A)(D)(E)(F)

    6,796       6,049  

Benefit Street Partners CLO XIV, Ser 2018-14A, Cl SUB

               

0.000%, 04/20/2031 (A)(D)(E)(F)

    6,857       2,455  

Benefit Street Partners CLO XVIII, Ser 2019-18A, Cl SUB

               

0.000%, 10/15/2034 (A)(D)(E)(F)

    6,048       3,925  

Benefit Street Partners CLO XX, Ser 2020-20A, Cl SUB

               

0.000%, 07/15/2034 (A)(D)(E)(F)

    3,469       2,719  

Benefit Street Partners CLO XXIII, Ser 2021-23A, Cl SUB

               

0.000%, 04/25/2034 (E)(F)

    4,843       3,119  

Cathedral Lake CLO, Ser 2015-3A, Cl SUB

               

0.000%, 01/15/2026 (A)(D)(E)(F)

    3,653       767  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Cathedral Lake V, Ser 2018-5A, Cl SUB

               

0.000%, 10/21/2030 (A)(D)(E)(F)

  $ 5,673     $ 879  

First Eagle Berkeley Fund CLO LLC, Ser 2016-1A, Cl SUB

               

0.000%, 10/25/2028 (A)(D)(E)(F)

    21,812       4,144  

Great Lakes CLO, Ser 2015-1A, Cl SUB

               

0.000%, 01/16/2030 (A)(D)(E)(F)

    6,015       2,716  

Great Lakes CLO, Ser 2018-1A, Cl ER

               

12.936%, TSFR3M + 7.622%, 01/16/2030 (A)(D)

    4,328       4,300  

Great Lakes CLO, Ser 2018-1A, Cl FR

               

15.576%, TSFR3M + 10.262%, 01/16/2030 (A)(D)

    1,595       1,492  

IVY Hill Middle Market Credit Fund XII, Ser 2017-12A, Cl SUB

               

0.000%, 07/20/2033 (A)(D)(E)(F)

    1,149       800  

IVY Hill Middle Market Credit Fund XIV, Ser 2018-14A, Cl SUB

               

0.000%, 04/18/2030 (A)(D)(E)(F)

    2,164        

LCM Ltd

               

0.000%, 01/20/2032 (E)(F)

    1,998       883  

Lockwood Grove CLO, Ser 2014-1A, Cl SUB

               

0.000%, 01/25/2030 (A)(D)(E)(F)

    4,865       24  

Neuberger Berman CLO XXII, Ser 2016-22A, Cl SUB

               

0.000%, 10/17/2030 (A)(D)(E)(F)

    5,235       1,937  

Neuberger Berman Loan Advisers CLO XLI

               

0.000%, 10/20/2032 (E)(F)

    3,394       1,945  

Neuberger Berman Loan Advisers CLO XXXIX

               

0.000%, 10/20/2032 (E)(F)

    5,795       3,805  

Neuberger Berman Loan Advisers CLO XXXVI, Ser 2020-36A, Cl INC

               

0.000%, 04/20/2033 (A)(D)(E)(F)

    1,780       877  

Neuberger Berman Loan Advisers CLO XXXVI, Ser 2020-36A, Cl SPIN

               

0.114%, 04/20/2033 (A)(D)(E)

    23       8  

NewStar Fairfield Fund CLO, Ser 2015-2A, Cl SUB

               

0.000%, 04/20/2030 (A)(D)(E)(F)

    9,028       1,848  

NewStar Fairfield Fund CLO, Ser 2018-2A, Cl DN

               

12.924%, TSFR3M + 7.642%, 04/20/2030 (A)(D)

    4,200       3,963  

OCP CLO, Ser 2017-14A, Cl SUB

               

0.000%, 07/20/2037 (A)(D)(E)(F)

    3,797       1,553  

OCP CLO, Ser 2020-19A, Cl SUB

               

0.000%, 10/20/2034 (A)(D)(E)(F)

    1,876       1,215  

OCP CLO, Ser 2021-21A, Cl SUB

               

0.000%, 07/20/2034 (E)(F)

    7,945       4,363  

TCP Whitney CLO, Ser 2017-1I, Cl SUB

               

0.000%, 08/20/2029 (D)(E)(F)

    13,119       8,009  

TCW CLO Warehouse Note

               

0.000%, (E)(F)

    1,298       1,298  

 

 

 

242

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

TCW CLO, Ser 2017-1A, Cl SUB

               

0.000%, 10/29/2034 (A)(D)(E)(F)

  $ 7,377     $ 3,320  

TCW CLO, Ser 2018-1A, Cl SUB

               

0.000%, 04/25/2031 (A)(D)(E)(F)

    5,509       1,727  

TCW CLO, Ser 2019-2A, Cl SUB

               

0.000%, 10/20/2032 (A)(D)(E)(F)

    5,959       3,277  

TCW CLO, Warehouse Note, Ser 2020-1

               

0.000%, (E)(F)

    8,523       4,091  

Venture 35 CLO, Ser 2018-35A, Cl SUB

               

0.000%, 10/22/2031 (A)(D)(E)(F)

    15,819       2,057  

Venture XXV CLO, Ser 2016-25A, Cl SUB

               

0.000%, 04/20/2029 (A)(D)(E)(F)

    2,950       30  

Venture XXVI CLO, Ser 2017-26A, Cl SUB

               

0.000%, 01/20/2029 (A)(D)(E)(F)

    2,865       86  

Venture XXVIII CLO, Ser 2017-28A, Cl SUB

               

0.000%, 07/20/2030 (A)(D)(E)(F)

    5,750       259  

VOYA CLO, Ser 2020-2A

               

0.000%, 07/20/2031 (E)(F)

    6,281       4,506  

Wind River

               

0.000%, (E)(F)

    11,611       5,399  
                 
                 

Total Asset-Backed Securities

               

(Cost $45,831) ($ Thousands)

            136,306  
                 
   


Shares

         

COMMON STOCK — 1.7%

21st Century Oncology *(E)

    22,017       358  

Air Methods *(C)(E)

    3,394       288  

Aquity Holdings Inc *(E)

    89,545       14  

Arctic Canadian Diamond Co. *(E)

    1,633       275  

Avaya Inc. *(C)(E)

    205,996       1,442  

Burgundy Diamond Mines *

    3,227,052       296  

Carestream Health Holdings Inc *(E)

    123,791       2,130  

CHC Group LLC *

    1,444        

Chesapeake Energy Corp

    5,208       388  

Clear Channel Outdoor Holdings Inc, Cl A *

    66,059       99  

Copper Property CTL Pass Through Trust (E)

    184,226       1,964  

Cornerstone Chemical Co *(E)

    269,066       5,656  

Endo Inc *

    59,417       1,598  

Envision Healthcare *(C)

    258,960       2,762  

Frontier Communications Parent Inc *

    9,225       266  

Guitar Center *(C)(E)

    24,502       2,982  

Gulfport Energy Corp *

    1,417       206  

Gymboree Corp *(C)(E)

    18,542        

Gymboree Holding Corp *(C)(E)

    52,848        

iHeartMedia Inc, Cl A *

    14,876       23  

Intelsat Emergene SA *(E)

    45,143       1,693  

Lannett *(E)

    142,313       306  

Mallinckrodt PLC *(E)

    7,431       550  

Medical Card Systems *(E)

    395,653       124  

Monitronics International *(E)

    9,156       146  

MYT Holding LLC *(E)

    461,765       162  

Neiman Marcus Group *(E)

    10,950       1,478  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Nine West *(C)(E)

    163,718     $ 218  

Parker Drilling Co *(E)

    143,734       1,868  

SandRidge Energy Inc

    232       3  

Serta Simmons Bedding LLC *

    20,716       129  

SSB Equipment Company *(E)

    20,716        

Venator Materials *

    696       432  

VICI Properties Inc, Cl A

    36,060       1,207  

WeWork Inc *(E)

    128,413       1,514  

Windstream Services *

    97,197       1,320  
                 

Total Common Stock

               

(Cost $44,045) ($ Thousands)

            31,897  
                 

PREFERRED STOCK — 0.7%

Ares LXXIV, 0.000% **(F)

    2,068,824       2,069  

Claire's Stores Inc, 0.000% **(E)(F)(G)

    1,675       1,451  

FHLMC, 5.919% **(D)

    29,819       160  

FNMA, 0.000% **(D)(F)

    43,993       255  

Foresight, 0.000% **(E)(F)(G)

    60,593       757  

Guitar Center Inc, 0.000% **(C)(E)(F)

    782       73  

Gulfport Energy Corpcash/0% PIK, 10.000% **(E)(G)

    43       446  

MYT Holding LLC, 10.000%

    516,164       330  

Osaic Financial Services, 6.500% **

    102,399       2,047  

Qurate Retail Inc, 8.000%

    10,455       454  

Syniverse, 0.000% **(E)(F)

    5,476,578       5,340  
                 

Total Preferred Stock

               

(Cost $13,344) ($ Thousands)

            13,382  
   

Face Amount
(Thousands)

         

CONVERTIBLE BONDS — 0.6%

Authentic Brands

               

5.000%, 09/01/2029(E)

  $ 432       432  

Blackstone Mortgage Trust

               

5.500%, 03/15/2027

    1,349       1,261  

DISH Network

               

0.000%, 12/15/2025(I)

    2,122       1,581  

3.375%, 08/15/2026

    804       501  

JetBlue Airways

               

2.500%, 09/01/2029(A)

    2,021       2,045  

Liberty Interactive LLC

               

4.000%, 11/15/2029

    202       69  

3.750%, 02/15/2030

    5,137       1,721  

Multiplan

               

6.000%, 10/15/2027(A)

    850       578  

North Sea Natural Resources

               

0.000%, 01/23/2028(E)(F)

    889       89  

0.000%, 01/23/2028(E)(F)

    118       12  

0.000%, 01/23/2028(E)(F)

    61       6  

 

 

 

SEI Institutional Investments Trust

 

243

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CONVERTIBLE BONDS (continued)

Silver Airways LLC

               

15.000%, 12/31/2027(E)

  $ 6,278     $ 778  

15.000%cash/0% PIK, 01/07/2028(E)

    1,190       1,190  

15.000%, 01/07/2028(E)

    827       827  
                 

Total Convertible Bonds

               

(Cost $18,856) ($ Thousands)

            11,090  
                 
                 
                 
      Number of
Warrants
         

WARRANTS — 0.1%

Air Methods

               

Strike Price $– *(C)(E)

    29,827       1,159  

Guitar Center Tranche I, Expires 12/22/2070

               

Strike Price $100.00 *(C)(E)

    5,960       296  

Guitar Center Tranche II, Expires 12/22/2070

               

Strike Price $160.00 *(C)(E)

    6,486       154  

Guitar Center Tranche III, Expires 12/22/2070

               

Strike Price $100.00 *(C)(E)

    526       13  

Description

    Number of
Warrants
   

Market Value
($ Thousands)

 

WARRANTS (continued)

Intelsat

               

Strike Price $– *(C)(E)

    6     $  

Neiman Marcus Group, Expires 09/24/2027

               

Strike Price $213.16 *(E)

    6,679       67  

Silver Airways

               

Strike Price $– *(E)

    3        

Tacora Resources Inc

               

Strike Price $– *(C)(E)

    5,372,127        
                 
                 

Total Warrants

               

(Cost $1,063) ($ Thousands)

            1,689  
                 
                 
   


Shares

         

CASH EQUIVALENT — 4.1%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    79,397,116       79,397  

Total Cash Equivalent

               

(Cost $79,397) ($ Thousands)

            79,397  

Total Investments in Securities — 99.6%

               

(Cost $1,945,922) ($ Thousands)

  $ 1,915,666  

 

 

A list of the open forward foreign currency contracts held by the Fund at August 31, 2024, is as follows:

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

Barclays PLC

    09/12/24       AUD       987       USD       652     $ (18 )
                                                 

 

 

Percentages are based on Net Assets of $1,923,485 ($ Thousands).

*

Non-income producing security.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

Real Estate Investment Trust.

Expiration date not available.

(A)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On August 31, 2024, the value of these securities amounted to $1,330,081 ($ Thousands), representing 69.1% of the Net Assets of the Fund.

(B)

Security is in default on interest payment.

(C)

Security considered restricted, excluding 144A. The total market value of such securities as of August 31, 2024 was $34,855 ($ Thousands) and represented 1.8% of the Net Assets of the Fund. See table below for acquisition dates and acquisition cost.

(D)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates on certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(E)

Level 3 security in accordance with fair value hierarchy.

(F)

No interest rate available.

(G)

Perpetual security with no stated maturity date.

(H)

Unsettled bank loan. Interest rate may not be available.

(I)

Zero coupon security.

 

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Daily Income Trust, Government Fund,
Institutional Class

  $ 50,114     $ 200,368     $ (171,085 )   $     $     $ 79,397     $ 830     $  

 

                                                               

 

 

 

244

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

High Yield Bond Fund (Concluded)

 

 

 

 

A list of the restricted securities, excluding 144a, held by the Fund at August 31, 2024, is as follows:

 

Description

 

Face Amount ($ Thousands)/ Shares/ Number of Warrants

   

Acquisition Date

   

Cost ($ Thousands)

   

Market Value
($ Thousands)

 

Corporate Obligations

                               

Beasley Mezzanine Holdings LLC

  $ 6,195       1/22/2021     $ 6,251     $ 3,531  

Finance of America Funding LLC

    5,605       12/23/2020       5,645       4,374  

Northwest Acquisitions ULC

    3,290       10/2/2019       2,312        

Rite Aid

    3,744       7/31/2020       3,002       792  

Rite Aid

    1,259       2/6/2020       922       245  

Tacora Resources Inc

    200       5/24/2023       199       200  

Tacora Resources Inc

    1,320       5/7/2021       1,426       497  

Loan Participations

                               

Avaya Inc., Initial Term Loan, 1st Lien

    6,635       4/27/2023       6,212       5,867  

GatesAir, Term Loan

    1,779       8/9/2022       1,745       1,779  

Mavenir Systems, Inc., Initial Term Loan, 1st Lien

    681       7/13/2022       640       476  

Mavenir Systems, Inc., Initial Term Loan, 1st Lien

    7,617       8/17/2021       6,424       5,332  

Nine West Holdings Inc., Term Loan

    1,593       3/21/2019       1,518       1,424  

Xplornet Communications Inc., Refinancing Term Loan, 1st Lien

    5,481       1/30/2023       4,613       951  

Common Stock

                               

Air Methods

    3,394       1/8/2024       76       288  

Avaya Inc.

    205,996       5/5/2023       3,051       1,442  

Envision Healthcare

    258,960       1/18/2024       2,201       2,762  

Guitar Center

    24,502       1/8/2021       3,105       2,982  

Gymboree Corp

    18,542       10/10/2017       232        

Gymboree Holding Corp

    52,848       10/10/2017       958        

Nine West

    163,718       5/20/2019       3,479       218  

Preferred Stock

                               

Guitar Center Inc

    782       1/8/2021       74       73  

Warrants

                               

Air Methods

    8,504       3/27/2024       198       721  

Air Methods

    21,323       1/8/2024       286       438  

Guitar Center Tranche I

    5,960       1/8/2021       327       296  

Guitar Center Tranche II

    6,486       1/8/2021       233       154  

Guitar Center Tranche III

    526       1/8/2021       19       13  

Intelsat

    6       3/3/2022              

Tacora Resources Inc

    5,372,127       5/24/2023              
                    $ 55,148     $ 34,855  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

SEI Institutional Investments Trust

 

245

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund

 

    

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS — 59.8%

Communication Services — 7.1%

       

America Movil

               

6.125%, 03/30/2040

  $ 185     $ 199  

AT&T

               

4.500%, 05/15/2035

    290       277  

3.800%, 12/01/2057

    2,715       1,990  

3.650%, 06/01/2051

    160       118  

3.650%, 09/15/2059

    1,416       999  

3.550%, 09/15/2055

    535       378  

3.500%, 06/01/2041

    25       20  

3.500%, 09/15/2053

    1,456       1,036  

Charter Communications Operating LLC / Charter Communications Operating Capital

               

6.484%, 10/23/2045

    963       921  

5.750%, 04/01/2048

    361       313  

5.500%, 04/01/2063

    335       269  

5.375%, 05/01/2047

    1,029       858  

5.125%, 07/01/2049

    160       128  

4.400%, 12/01/2061

    85       57  

3.900%, 06/01/2052

    200       131  

3.850%, 04/01/2061

    520       316  

3.700%, 04/01/2051

    175       111  

3.500%, 06/01/2041

    75       52  

Comcast

               

4.049%, 11/01/2052

    150       122  

3.969%, 11/01/2047

    773       631  

3.900%, 03/01/2038

    455       403  

2.987%, 11/01/2063

    853       527  

2.937%, 11/01/2056

    2,953       1,878  

2.887%, 11/01/2051

    314       206  

COX Communications

               

5.950%, 09/01/2054 (A)

    125       123  

4.500%, 06/30/2043 (A)

    272       230  

Fox

               

5.576%, 01/25/2049

    95       92  

Meta Platforms

               

5.750%, 05/15/2063

    60       64  

5.600%, 05/15/2053

    1,045       1,101  

5.550%, 08/15/2064

    565       579  

5.400%, 08/15/2054

    580       591  

4.450%, 08/15/2052

    630       564  

Paramount Global

               

5.850%, 09/01/2043

    65       55  

Rogers Communications

               

5.000%, 03/15/2044

    442       410  

4.550%, 03/15/2052

    212       180  

4.500%, 03/15/2043

    117       102  

SES GLOBAL Americas Holdings

               

5.300%, 03/25/2044 (A)

    200       157  

Time Warner Cable LLC

               

7.300%, 07/01/2038

    165       173  

6.750%, 06/15/2039

    165       164  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

6.550%, 05/01/2037

  $ 50     $ 49  

5.875%, 11/15/2040

    175       158  

5.500%, 09/01/2041

    360       311  

4.500%, 09/15/2042

    295       224  

T-Mobile USA

               

5.750%, 01/15/2054

    277       288  

5.650%, 01/15/2053

    291       299  

5.500%, 01/15/2055

    110       111  

3.600%, 11/15/2060

    245       174  

3.400%, 10/15/2052

    590       420  

3.000%, 02/15/2041

    775       579  

Verizon Communications

               

4.500%, 08/10/2033

    340       331  

3.550%, 03/22/2051

    553       416  

3.400%, 03/22/2041

    2,195       1,750  

2.987%, 10/30/2056

    1,185       761  

Vodafone Group PLC

               

5.875%, 06/28/2064

    220       221  

5.750%, 06/28/2054

    740       750  

5.625%, 02/10/2053

    85       85  

4.875%, 06/19/2049

    151       136  

Walt Disney

               

3.600%, 01/13/2051

    950       740  

3.500%, 05/13/2040

    220       182  

2.750%, 09/01/2049

    70       47  

Warnermedia Holdings

               

5.141%, 03/15/2052

    2,656       2,020  

5.050%, 03/15/2042

    890       713  
                 
              27,290  
                 

Consumer Discretionary — 2.4%

       

Alimentation Couche-Tard

               

4.500%, 07/26/2047 (A)

    150       130  

Amazon.com

               

4.050%, 08/22/2047

    621       540  

3.950%, 04/13/2052

    350       295  

3.875%, 08/22/2037

    295       271  

3.100%, 05/12/2051

    855       616  

2.875%, 05/12/2041

    397       308  

2.700%, 06/03/2060

    495       308  

Aptiv PLC

               

5.400%, 03/15/2049

    494       457  

AutoZone

               

6.550%, 11/01/2033

    270       298  

General Motors

               

6.600%, 04/01/2036

    70       76  

5.600%, 10/15/2032

    100       103  

5.150%, 04/01/2038

    75       72  

General Motors Financial

               

6.400%, 01/09/2033

    55       59  

6.100%, 01/07/2034

    220       230  

Home Depot

               

5.400%, 06/25/2064

    190       195  

 

 

 

246

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.300%, 06/25/2054

  $ 405     $ 414  

4.250%, 04/01/2046

    605       536  

3.900%, 06/15/2047

    292       243  

3.625%, 04/15/2052

    10       8  

3.350%, 04/15/2050

    410       307  

3.125%, 12/15/2049

    160       115  

2.375%, 03/15/2051

    40       24  

Lowe's

               

5.800%, 09/15/2062

    480       489  

4.250%, 04/01/2052

    425       349  

3.000%, 10/15/2050

    660       435  

Massachusetts Institute of Technology

               

5.600%, 07/01/2111

    175       194  

McDonald's MTN

               

4.450%, 03/01/2047

    740       653  

3.625%, 09/01/2049

    325       248  

Starbucks

               

4.450%, 08/15/2049

    230       199  

3.350%, 03/12/2050

    310       223  

University of Southern California

               

5.250%, 10/01/2111

    405       420  

3.028%, 10/01/2039

    225       188  
                 
              9,003  
                 

Consumer Staples — 4.3%

       

Altria Group

               

3.875%, 09/16/2046

    330       252  

3.700%, 02/04/2051

    290       210  

Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide

               

4.900%, 02/01/2046

    2,074       1,991  

4.700%, 02/01/2036

    2,315       2,287  

Anheuser-Busch InBev Worldwide

               

5.550%, 01/23/2049

    296       310  

4.600%, 04/15/2048

    31       29  

4.439%, 10/06/2048

    722       646  

4.375%, 04/15/2038

    190       180  

BAT Capital

               

7.079%, 08/02/2043

    85       95  

4.758%, 09/06/2049

    220       184  

4.540%, 08/15/2047

    664       543  

4.390%, 08/15/2037

    720       642  

Bayer US Finance II LLC

               

4.875%, 06/25/2048 (A)

    20       17  

4.400%, 07/15/2044 (A)

    630       504  

Bayer US Finance LLC

               

6.875%, 11/21/2053 (A)

    130       142  

6.500%, 11/21/2033 (A)

    110       117  

City of Hope

               

4.378%, 08/15/2048

    650       552  

Coca-Cola

               

5.400%, 05/13/2064

    340       352  

5.300%, 05/13/2054

    15       15  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.200%, 01/14/2055

  $ 730     $ 744  

CSL Finance PLC

               

4.750%, 04/27/2052 (A)

    320       294  

Dollar Tree

               

3.375%, 12/01/2051

    165       110  

JBS USA Holding Lux S.AR.L.

               

7.250%, 11/15/2053 (A)

    285       327  

JBS USA Holding Lux Sarl

               

6.500%, 12/01/2052

    870       916  

4.375%, 02/02/2052

    575       452  

Kenvue

               

5.100%, 03/22/2043

    40       40  

5.050%, 03/22/2053

    394       393  

Keurig Dr Pepper

               

4.500%, 04/15/2052

    175       154  

Kraft Heinz Foods

               

5.200%, 07/15/2045

    30       29  

4.875%, 10/01/2049

    89       81  

4.375%, 06/01/2046

    50       43  

Kroger

               

5.650%, 09/15/2064

    100       98  

4.450%, 02/01/2047

    575       493  

3.875%, 10/15/2046

    200       157  

New York and Presbyterian Hospital

               

2.256%, 08/01/2040

    200       142  

PepsiCo

               

5.250%, 07/17/2054

    785       814  

Philip Morris International

               

4.500%, 03/20/2042

    170       154  

3.875%, 08/21/2042

    450       373  

Reynolds American

               

5.850%, 08/15/2045

    170       167  

Solventum

               

6.000%, 05/15/2064 (A)

    80       80  

5.900%, 04/30/2054 (A)

    180       182  

Stanford Health Care

               

3.795%, 11/15/2048

    221       186  

3.027%, 08/15/2051

    380       272  

Takeda Pharmaceutical

               

5.650%, 07/05/2054

    395       403  

3.175%, 07/09/2050

    157       109  

Target

               

2.950%, 01/15/2052

    50       34  

Walmart

               

2.500%, 09/22/2041

    85       62  
                 
              16,377  
                 

Energy — 5.3%

       

6297782 LLC

               

6.176%, 10/01/2054 (A)

    45       45  

Apache

               

5.350%, 07/01/2049

    60       51  

 

 

 

SEI Institutional Investments Trust

 

247

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

BP Capital Markets America

               

3.379%, 02/08/2061

  $ 220     $ 152  

3.060%, 06/17/2041

    360       275  

2.772%, 11/10/2050

    525       341  

Canadian Natural Resources MTN

               

4.950%, 06/01/2047

    210       187  

Columbia Pipeline Group

               

5.800%, 06/01/2045

    40       40  

Columbia Pipelines Operating LLC

               

6.544%, 11/15/2053 (A)

    330       366  

ConocoPhillips

               

4.300%, 11/15/2044

    210       184  

4.025%, 03/15/2062

    528       418  

Devon Energy

               

5.750%, 09/15/2054

    260       252  

Diamondback Energy

               

5.900%, 04/18/2064

    170       171  

5.750%, 04/18/2054

    492       492  

4.250%, 03/15/2052

    150       120  

Enbridge

               

6.700%, 11/15/2053

    580       659  

Energy Transfer LP

               

6.500%, 02/01/2042

    30       32  

6.125%, 12/15/2045

    473       486  

5.950%, 10/01/2043

    570       573  

5.950%, 05/15/2054

    10       10  

5.800%, 06/15/2038

    30       31  

5.400%, 10/01/2047

    755       706  

5.350%, 05/15/2045

    245       228  

5.300%, 04/15/2047

    250       232  

5.150%, 02/01/2043

    40       37  

5.150%, 03/15/2045

    100       91  

Eni SpA

               

5.950%, 05/15/2054 (A)

    250       257  

Enterprise Products Operating LLC

               

6.125%, 10/15/2039

    150       164  

5.700%, 02/15/2042

    615       635  

5.550%, 02/16/2055

    125       127  

4.950%, 10/15/2054

    340       316  

4.900%, 05/15/2046

    170       159  

4.850%, 03/15/2044

    395       369  

3.700%, 01/31/2051

    50       38  

3.200%, 02/15/2052

    165       114  

Equinor

               

3.625%, 04/06/2040

    605       509  

Exxon Mobil

               

4.227%, 03/19/2040

    30       28  

3.452%, 04/15/2051

    1,418       1,078  

3.095%, 08/16/2049

    75       54  

Hess

               

6.000%, 01/15/2040

    25       27  

5.800%, 04/01/2047

    65       67  

5.600%, 02/15/2041

    230       235  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Kinder Morgan

               

5.200%, 03/01/2048

  $ 515     $ 475  

5.050%, 02/15/2046

    15       14  

3.600%, 02/15/2051

    20       14  

3.250%, 08/01/2050

    105       70  

Kinder Morgan Energy Partners LP

               

6.375%, 03/01/2041

    446       467  

5.500%, 03/01/2044

    75       72  

5.000%, 08/15/2042

    300       272  

Marathon Petroleum

               

4.750%, 09/15/2044

    25       22  

MPLX LP

               

5.500%, 02/15/2049

    300       288  

4.500%, 04/15/2038

    345       315  

Northern Natural Gas

               

4.300%, 01/15/2049 (A)

    80       66  

Occidental Petroleum

               

7.950%, 06/15/2039

    10       12  

6.600%, 03/15/2046

    10       11  

6.200%, 03/15/2040

    75       78  

6.050%, 10/01/2054

    207       211  

4.400%, 04/15/2046

    20       16  

4.300%, 08/15/2039

    336       285  

0.000%, 10/10/2036 (B)

    973       540  

Petroleos Mexicanos

               

6.350%, 02/12/2048

    245       162  

Phillips 66

               

4.900%, 10/01/2046

    359       326  

4.875%, 11/15/2044

    300       276  

4.650%, 11/15/2034

    250       242  

Plains All American Pipeline/PAA Finance

               

4.900%, 02/15/2045

    170       150  

Rockies Express Pipeline LLC

               

6.875%, 04/15/2040 (A)

    245       237  

Sabal Trail Transmission LLC

               

4.832%, 05/01/2048 (A)

    170       151  

4.682%, 05/01/2038 (A)

    150       142  

Shell International Finance BV

               

6.375%, 12/15/2038

    597       682  

4.375%, 05/11/2045

    930       829  

3.250%, 04/06/2050

    5       3  

Suncor Energy

               

6.800%, 05/15/2038

    245       274  

Texas Eastern Transmission

               

4.150%, 01/15/2048 (A)

    245       196  

TotalEnergies Capital

               

5.638%, 04/05/2064

    525       545  

5.488%, 04/05/2054

    155       160  

TotalEnergies Capital International

               

3.127%, 05/29/2050

    705       501  

TransCanada PipeLines

               

7.250%, 08/15/2038

    430       505  

5.850%, 03/15/2036

    95       99  

 

 

 

248

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.875%, 05/15/2048

  $ 260     $ 239  

4.750%, 05/15/2038

    60       57  

Transcontinental Gas Pipe Line LLC

               

5.400%, 08/15/2041

    395       394  

4.600%, 03/15/2048

    206       179  

4.450%, 08/01/2042

    240       216  

Williams

               

5.750%, 06/24/2044

    9       9  

3.500%, 10/15/2051

    200       144  
                 
              20,302  
                 

Financials — 10.7%

       

AIB Group PLC MTN

               

5.871%, SOFRRATE + 1.910%, 03/28/2035 (A)(C)

    35       36  

Allstate

               

4.500%, 06/15/2043

    50       45  

American Express

               

5.284%, SOFRRATE + 1.420%, 07/26/2035 (C)

    190       194  

American International Group

               

4.800%, 07/10/2045

    25       23  

Aon

               

3.900%, 02/28/2052

    549       428  

Apollo Global Management

               

5.800%, 05/21/2054

    280       288  

Arthur J Gallagher

               

6.750%, 02/15/2054

    145       167  

5.750%, 03/02/2053

    130       132  

Banco Santander

               

6.938%, 11/07/2033

    220       250  

Bank of America

               

6.110%, 01/29/2037

    560       608  

6.000%, 10/15/2036

    965       1,049  

5.468%, SOFRRATE + 1.650%, 01/23/2035 (C)

    540       559  

3.311%, SOFRRATE + 1.580%, 04/22/2042 (C)

    975       769  

2.299%, SOFRRATE + 1.220%, 07/21/2032 (C)

    1,819       1,548  

Bank of America MTN

               

5.875%, 02/07/2042

    166       181  

5.425%, SOFRRATE + 1.913%, 08/15/2035 (C)

    470       471  

4.083%, TSFR3M + 3.412%, 03/20/2051 (C)

    470       396  

2.972%, SOFRRATE + 1.330%, 02/04/2033 (C)

    250       220  

2.676%, SOFRRATE + 1.930%, 06/19/2041 (C)

    739       540  

Berkshire Hathaway Finance

               

3.850%, 03/15/2052

    807       664  

BlackRock Funding

               

5.350%, 01/08/2055

    430       441  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.250%, 03/14/2054

  $ 270     $ 274  

Blackstone Holdings Finance LLC

               

6.250%, 08/15/2042 (A)

    231       249  

Brookfield Finance

               

5.968%, 03/04/2054

    175       184  

Capital One Financial

               

5.884%, SOFRRATE + 1.990%, 07/26/2035 (C)

    15       15  

Carlyle Holdings II Finance LLC

               

5.625%, 03/30/2043 (A)

    276       273  

Charles Schwab

               

5.853%, SOFRRATE + 2.500%, 05/19/2034 (C)

    215       227  

Chubb INA Holdings LLC

               

6.700%, 05/15/2036

    447       519  

Citibank

               

5.570%, 04/30/2034

    55       58  

Citigroup

               

6.174%, SOFRRATE + 2.661%, 05/25/2034 (C)

    275       290  

5.827%, SOFRRATE + 2.056%, 02/13/2035 (C)

    225       231  

5.449%, SOFRRATE + 1.447%, 06/11/2035 (C)

    320       329  

4.750%, 05/18/2046

    561       507  

4.281%, TSFR3M + 2.101%, 04/24/2048 (C)

    568       489  

3.878%, TSFR3M + 1.430%, 01/24/2039 (C)

    100       87  

3.785%, SOFRRATE + 1.939%, 03/17/2033 (C)

    115       106  

3.057%, SOFRRATE + 1.351%, 01/25/2033 (C)

    250       220  

2.904%, SOFRRATE + 1.379%, 11/03/2042 (C)

    170       124  

Cooperatieve Rabobank UA

               

5.250%, 08/04/2045

    50       50  

Farmers Exchange Capital II

               

6.151%, TSFR3M + 4.006%, 11/01/2053 (A)(C)

    200       187  

Farmers Exchange Capital III

               

5.454%, TSFR3M + 3.454%, 10/15/2054 (A)(C)

    200       174  

Farmers Insurance Exchange

               

4.747%, SOFRRATE + 3.231%, 11/01/2057 (A)(C)

    200       157  

Global Atlantic Finance

               

6.750%, 03/15/2054 (A)

    160       164  

Global Payments

               

5.950%, 08/15/2052

    205       208  

Goldman Sachs Group

               

6.750%, 10/01/2037

    600       676  

6.250%, 02/01/2041

    878       980  

 

 

 

SEI Institutional Investments Trust

 

249

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.330%, SOFRRATE + 1.550%, 07/23/2035 (C)

  $ 175     $ 178  

4.411%, TSFR3M + 1.692%, 04/23/2039 (C)

    135       125  

4.017%, TSFR3M + 1.635%, 10/31/2038 (C)

    1,475       1,307  

3.436%, SOFRRATE + 1.632%, 02/24/2043 (C)

    170       135  

3.210%, SOFRRATE + 1.513%, 04/22/2042 (C)

    130       100  

Goldman Sachs Group MTN

               

4.800%, 07/08/2044

    25       24  

Guardian Life Insurance of America

               

4.875%, 06/19/2064 (A)

    230       212  

Hartford Financial Services Group

               

6.625%, 03/30/2040

    165       186  

HSBC Bank USA

               

7.000%, 01/15/2039

    170       199  

HSBC Holdings PLC

               

6.800%, 06/01/2038

    237       261  

6.500%, 09/15/2037

    500       541  

2.804%, SOFRRATE + 1.187%, 05/24/2032 (C)

    500       434  

Intercontinental Exchange

               

4.950%, 06/15/2052

    168       164  

JPMorgan Chase

               

6.254%, SOFRRATE + 1.810%, 10/23/2034 (C)

    115       126  

5.766%, SOFRRATE + 1.490%, 04/22/2035 (C)

    250       266  

5.600%, 07/15/2041

    866       925  

5.336%, SOFRRATE + 1.620%, 01/23/2035 (C)

    250       258  

5.294%, SOFRRATE + 1.460%, 07/22/2035 (C)

    255       262  

4.260%, TSFR3M + 1.842%, 02/22/2048 (C)

    280       247  

4.032%, TSFR3M + 1.722%, 07/24/2048 (C)

    355       301  

3.897%, TSFR3M + 1.482%, 01/23/2049 (C)

    756       629  

3.882%, TSFR3M + 1.622%, 07/24/2038 (C)

    125       112  

3.328%, SOFRRATE + 1.580%, 04/22/2052 (C)

    50       37  

3.109%, SOFRRATE + 2.440%, 04/22/2051 (C)

    280       201  

3.109%, TSFR3M + 2.460%, 04/22/2041 (C)

    245       191  

2.545%, SOFRRATE + 1.180%, 11/08/2032 (C)

    1,000       865  

KKR Group Finance II LLC

               

5.500%, 02/01/2043 (A)

    383       379  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Markel Group

               

6.000%, 05/16/2054

  $ 285     $ 295  

Marsh & McLennan

               

5.700%, 09/15/2053

    393       418  

5.450%, 03/15/2053

    190       194  

5.450%, 03/15/2054

    30       31  

4.900%, 03/15/2049

    65       61  

4.350%, 01/30/2047

    65       57  

4.200%, 03/01/2048

    245       210  

Massachusetts Mutual Life Insurance

               

3.729%, 10/15/2070 (A)

    213       150  

3.375%, 04/15/2050 (A)

    277       199  

Mastercard

               

3.850%, 03/26/2050

    170       141  

MetLife

               

5.875%, 02/06/2041

    25       27  

5.250%, 01/15/2054

    516       518  

5.000%, 07/15/2052

    215       207  

4.875%, 11/13/2043

    160       152  

4.721%, 12/15/2044

    806       741  

4.125%, 08/13/2042

    5       4  

Moody's

               

4.875%, 12/17/2048

    400       376  

Morgan Stanley

               

5.948%, H15T5Y + 2.430%, 01/19/2038 (C)

    50       52  

5.466%, SOFRRATE + 1.730%, 01/18/2035 (C)

    25       26  

5.320%, SOFRRATE + 1.555%, 07/19/2035 (C)

    195       199  

5.297%, SOFRRATE + 2.620%, 04/20/2037 (C)

    30       30  

Morgan Stanley MTN

               

6.375%, 07/24/2042

    215       248  

5.831%, SOFRRATE + 1.580%, 04/19/2035 (C)

    90       95  

3.971%, TSFR3M + 1.455%, 07/22/2038 (C)

    752       670  

2.511%, SOFRRATE + 1.200%, 10/20/2032 (C)

    210       180  

2.239%, SOFRRATE + 1.178%, 07/21/2032 (C)

    395       335  

Nasdaq

               

6.100%, 06/28/2063

    75       81  

Nationwide Mutual Insurance

               

4.350%, 04/30/2050 (A)

    220       174  

New York Life Insurance

               

6.750%, 11/15/2039 (A)

    375       434  

4.450%, 05/15/2069 (A)

    325       275  

3.750%, 05/15/2050 (A)

    176       137  

Northwestern Mutual Life Insurance

               

3.625%, 09/30/2059 (A)

    724       524  

 

 

 

250

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

PayPal Holdings

               

3.250%, 06/01/2050

  $ 125     $ 90  

PNC Financial Services Group

               

6.037%, SOFRINDX + 2.140%, 10/28/2033 (C)

    165       175  

5.676%, SOFRRATE + 1.902%, 01/22/2035 (C)

    150       157  

5.401%, SOFRRATE + 1.599%, 07/23/2035 (C)

    195       200  

Progressive

               

3.700%, 03/15/2052

    125       98  

Prudential Financial

               

6.500%, H15T5Y + 2.404%, 03/15/2054 (C)

    55       57  

3.905%, 12/07/2047

    25       20  

Prudential Financial MTN

               

5.700%, 12/14/2036

    372       397  

Raymond James Financial

               

3.750%, 04/01/2051

    225       173  

S&P Global

               

3.250%, 12/01/2049

    250       186  

Teachers Insurance & Annuity Association of America

               

4.270%, 05/15/2047 (A)

    295       250  

Travelers

               

5.450%, 05/25/2053

    190       199  

Truist Financial MTN

               

5.867%, SOFRRATE + 2.361%, 06/08/2034 (C)

    355       371  

5.711%, SOFRRATE + 1.922%, 01/24/2035 (C)

    335       347  

5.122%, SOFRRATE + 1.852%, 01/26/2034 (C)

    75       75  

UBS Group

               

4.988%, H15T1Y + 2.400%, 08/05/2033 (A)(C)

    12       12  

US Bancorp

               

5.836%, SOFRRATE + 2.260%, 06/12/2034 (C)

    110       116  

5.678%, SOFRRATE + 1.860%, 01/23/2035 (C)

    135       140  

4.839%, SOFRRATE + 1.600%, 02/01/2034 (C)

    455       447  

Visa

               

4.300%, 12/14/2045

    205       186  

Wells Fargo

               

6.491%, SOFRRATE + 2.060%, 10/23/2034 (C)

    195       215  

5.850%, 02/01/2037

    1,180       1,250  

5.499%, SOFRRATE + 1.780%, 01/23/2035 (C)

    180       186  

5.389%, SOFRRATE + 2.020%, 04/24/2034 (C)

    395       405  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.068%, SOFRRATE + 2.530%, 04/30/2041 (C)

  $ 100     $ 76  

Wells Fargo MTN

               

5.557%, SOFRRATE + 1.990%, 07/25/2034 (C)

    475       490  

5.013%, TSFR3M + 4.502%, 04/04/2051 (C)

    819       785  

4.900%, 11/17/2045

    155       142  

4.650%, 11/04/2044

    355       317  

3.350%, SOFRRATE + 1.500%, 03/02/2033 (C)

    1,225       1,102  

Westpac Banking

               

3.133%, 11/18/2041

    135       100  

2.668%, H15T5Y + 1.750%, 11/15/2035 (C)

    30       26  

Willis North America

               

3.875%, 09/15/2049

    160       123  

XL Group

               

5.250%, 12/15/2043

    222       216  
                 
              40,822  
                 

Health Care — 8.8%

       

Abbott Laboratories

               

4.900%, 11/30/2046

    290       287  

AbbVie

               

5.500%, 03/15/2064

    365       379  

5.350%, 03/15/2044

    85       88  

4.850%, 06/15/2044

    150       144  

4.700%, 05/14/2045

    244       229  

4.550%, 03/15/2035

    735       725  

4.450%, 05/14/2046

    30       27  

4.400%, 11/06/2042

    1,309       1,203  

4.250%, 11/21/2049

    355       309  

4.050%, 11/21/2039

    185       168  

Aetna

               

4.125%, 11/15/2042

    270       221  

Alcon Finance

               

3.800%, 09/23/2049 (A)

    195       154  

Amgen

               

5.750%, 03/02/2063

    535       549  

5.650%, 03/02/2053

    1,060       1,090  

5.600%, 03/02/2043

    285       291  

4.400%, 05/01/2045

    1,509       1,314  

4.400%, 02/22/2062

    125       104  

AstraZeneca PLC

               

6.450%, 09/15/2037

    505       582  

Baxter International

               

3.132%, 12/01/2051

    315       211  

BayCare Health System

               

3.831%, 11/15/2050

    180       151  

Baylor Scott & White Holdings

               

4.185%, 11/15/2045

    390       350  

 

 

 

SEI Institutional Investments Trust

 

251

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Becton Dickinson

               

3.794%, 05/20/2050

  $ 200     $ 158  

Bristol-Myers Squibb

               

6.400%, 11/15/2063

    170       195  

5.550%, 02/22/2054

    516       533  

4.250%, 10/26/2049

    438       374  

3.700%, 03/15/2052

    395       303  

Children's Hospital Medical Center

               

2.820%, 11/15/2050

    450       306  

Cigna Group

               

5.600%, 02/15/2054

    310       312  

4.800%, 07/15/2046

    443       403  

3.875%, 10/15/2047

    520       407  

CVS Health

               

6.050%, 06/01/2054

    250       252  

6.000%, 06/01/2044

    140       141  

5.875%, 06/01/2053

    125       123  

5.125%, 07/20/2045

    170       153  

5.050%, 03/25/2048

    1,860       1,649  

4.780%, 03/25/2038

    835       767  

4.125%, 04/01/2040

    220       184  

2.700%, 08/21/2040

    165       114  

Danaher

               

2.800%, 12/10/2051

    150       100  

Elevance Health

               

5.650%, 06/15/2054

    328       337  

4.650%, 01/15/2043

    10       9  

4.375%, 12/01/2047

    908       784  

3.700%, 09/15/2049

    375       288  

3.600%, 03/15/2051

    125       94  

Eli Lilly

               

5.200%, 08/14/2064

    65       66  

5.100%, 02/09/2064

    643       641  

5.050%, 08/14/2054

    130       131  

5.000%, 02/09/2054

    145       144  

4.950%, 02/27/2063

    230       224  

4.875%, 02/27/2053

    358       351  

Gilead Sciences

               

4.600%, 09/01/2035

    440       431  

4.500%, 02/01/2045

    295       265  

GlaxoSmithKline Capital

               

6.375%, 05/15/2038

    145       166  

HCA

               

6.100%, 04/01/2064

    45       46  

6.000%, 04/01/2054

    170       175  

5.950%, 09/15/2054

    300       307  

5.500%, 06/15/2047

    25       24  

5.250%, 06/15/2049

    125       116  

4.625%, 03/15/2052

    385       326  

Health Care Service A Mutual Legal Reserve

               

5.875%, 06/15/2054 (A)

    330       340  

3.200%, 06/01/2050 (A)

    462       313  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Humana

               

5.750%, 04/15/2054

  $ 550     $ 552  

4.950%, 10/01/2044

    245       222  

Johnson & Johnson

               

5.250%, 06/01/2054

    100       105  

3.400%, 01/15/2038

    130       115  

Kaiser Foundation Hospitals

               

3.266%, 11/01/2049

    285       215  

3.002%, 06/01/2051

    280       198  

2.810%, 06/01/2041

    195       147  

Mass General Brigham

               

3.192%, 07/01/2049

    85       63  

Memorial Health Services

               

3.447%, 11/01/2049

    135       105  

Merck

               

5.150%, 05/17/2063

    135       134  

5.000%, 05/17/2053

    525       517  

4.900%, 05/17/2044

    295       289  

2.900%, 12/10/2061

    365       228  

2.750%, 12/10/2051

    90       59  

2.450%, 06/24/2050

    150       94  

Northwell Healthcare

               

4.260%, 11/01/2047

    130       110  

Pfizer

               

4.000%, 12/15/2036

    180       168  

Pfizer Investment Enterprises Pte

               

5.340%, 05/19/2063

    730       725  

5.300%, 05/19/2053

    985       990  

5.110%, 05/19/2043

    665       657  

Providence St. Joseph Health Obligated Group

               

3.744%, 10/01/2047

    525       414  

Revvity

               

3.625%, 03/15/2051

    200       146  

Roche Holdings

               

5.218%, 03/08/2054 (A)

    305       316  

Stryker

               

4.100%, 04/01/2043

    205       177  

Thermo Fisher Scientific

               

4.100%, 08/15/2047

    140       121  

2.800%, 10/15/2041

    165       123  

UnitedHealth Group

               

6.875%, 02/15/2038

    235       278  

6.050%, 02/15/2063

    105       115  

5.950%, 02/15/2041

    15       16  

5.875%, 02/15/2053

    280       303  

5.750%, 07/15/2064

    643       675  

5.625%, 07/15/2054

    930       971  

5.500%, 07/15/2044

    365       376  

5.500%, 04/15/2064

    245       250  

5.375%, 04/15/2054

    150       152  

4.950%, 05/15/2062

    65       61  

4.750%, 07/15/2045

    25       24  

 

 

 

252

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.750%, 05/15/2052

  $ 370     $ 343  

4.250%, 04/15/2047

    325       283  

4.200%, 01/15/2047

    350       301  

3.700%, 08/15/2049

    365       288  

3.250%, 05/15/2051

    645       465  

3.050%, 05/15/2041

    185       142  

2.900%, 05/15/2050

    85       58  

2.750%, 05/15/2040

    50       37  

Viatris

               

4.000%, 06/22/2050

    305       216  

Wyeth LLC

               

5.950%, 04/01/2037

    436       477  
                 
              33,449  
                 

Industrials — 5.9%

       

AerCap Ireland Capital DAC / AerCap Global Aviation Trust

               

5.300%, 01/19/2034

    145       147  

3.850%, 10/29/2041

    630       517  

3.300%, 01/30/2032

    525       467  

BAE Systems Holdings

               

4.750%, 10/07/2044 (A)

    288       265  

BAE Systems PLC

               

5.800%, 10/11/2041 (A)

    150       157  

3.000%, 09/15/2050 (A)

    275       187  

Boeing

               

7.008%, 05/01/2064 (A)

    240       259  

6.858%, 05/01/2054 (A)

    285       307  

5.930%, 05/01/2060

    395       373  

5.805%, 05/01/2050

    1,150       1,085  

5.705%, 05/01/2040

    1,310       1,273  

3.750%, 02/01/2050

    250       173  

Burlington Northern Santa Fe LLC

               

6.200%, 08/15/2036

    630       709  

6.150%, 05/01/2037

    230       258  

5.750%, 05/01/2040

    50       53  

5.500%, 03/15/2055

    362       379  

5.200%, 04/15/2054

    30       30  

4.450%, 01/15/2053

    146       131  

4.400%, 03/15/2042

    990       902  

3.300%, 09/15/2051

    390       286  

3.050%, 02/15/2051

    50       35  

2.875%, 06/15/2052

    75       50  

Canadian National Railway

               

6.200%, 06/01/2036

    156       174  

3.650%, 02/03/2048

    235       190  

Canadian Pacific Railway

               

6.125%, 09/15/2115

    365       387  

4.200%, 11/15/2069

    173       137  

3.000%, 12/02/2041

    50       38  

Carrier Global

               

6.200%, 03/15/2054

    15       17  

3.577%, 04/05/2050

    17       13  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.377%, 04/05/2040

  $ 200     $ 161  

CSX

               

4.750%, 05/30/2042

    425       402  

4.750%, 11/15/2048

    127       118  

4.500%, 11/15/2052

    70       63  

Cummins

               

5.450%, 02/20/2054

    154       158  

Deere

               

3.750%, 04/15/2050

    331       274  

Emerson Electric

               

2.800%, 12/21/2051

    493       327  

FedEx

               

4.550%, 04/01/2046

    100       87  

4.400%, 01/15/2047

    155       132  

4.050%, 02/15/2048

    275       222  

General Dynamics

               

4.250%, 04/01/2040

    60       55  

4.250%, 04/01/2050

    25       22  

General Electric MTN

               

5.860%, TSFR3M + 0.742%, 08/15/2036 (C)

    450       423  

Honeywell International

               

5.350%, 03/01/2064

    115       117  

5.250%, 03/01/2054

    1,185       1,203  

L3Harris Technologies

               

5.500%, 08/15/2054

    325       329  

Lockheed Martin

               

5.700%, 11/15/2054

    55       60  

5.200%, 02/15/2055

    75       76  

4.700%, 05/15/2046

    396       376  

3.600%, 03/01/2035

    710       650  

Minera Mexico

               

4.500%, 01/26/2050 (A)

    65       53  

Norfolk Southern

               

5.950%, 03/15/2064

    50       54  

5.100%, 08/01/2118

    405       364  

4.800%, 08/15/2043

    408       369  

3.700%, 03/15/2053

    265       202  

Northrop Grumman

               

5.200%, 06/01/2054

    320       317  

5.150%, 05/01/2040

    105       104  

4.950%, 03/15/2053

    206       196  

4.750%, 06/01/2043

    335       314  

3.850%, 04/15/2045

    335       275  

Owens Corning

               

5.950%, 06/15/2054

    135       140  

Parker-Hannifin MTN

               

4.450%, 11/21/2044

    195       174  

RTX

               

6.400%, 03/15/2054

    260       298  

5.375%, 02/27/2053

    30       30  

4.500%, 06/01/2042

    610       552  

4.350%, 04/15/2047

    490       424  

 

 

 

SEI Institutional Investments Trust

 

253

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.030%, 03/15/2052

  $ 445     $ 300  

2.820%, 09/01/2051

    235       152  

Smurfit Kappa Treasury ULC

               

5.438%, 04/03/2034 (A)

    400       411  

Snap-on

               

3.100%, 05/01/2050

    281       199  

TTX

               

4.600%, 02/01/2049 (A)

    250       232  

Union Pacific

               

3.839%, 03/20/2060

    535       414  

3.799%, 04/06/2071

    652       485  

3.500%, 02/14/2053

    125       95  

3.375%, 02/14/2042

    45       36  

3.250%, 02/05/2050

    260       191  

Union Pacific MTN

               

3.550%, 08/15/2039

    50       43  

United Airlines Pass-Through Trust, Ser 2019-1, Cl AA

               

4.150%, 08/25/2031

    102       97  

United Airlines Pass-Through Trust, Ser 2023-1, Cl A

               

5.800%, 01/15/2036

    601       621  

United Parcel Service

               

5.500%, 05/22/2054

    250       260  

5.050%, 03/03/2053

    235       230  

3.625%, 10/01/2042

    170       139  

Verisk Analytics

               

3.625%, 05/15/2050

    240       180  

Waste Management

               

3.900%, 03/01/2035

    115       107  

2.950%, 06/01/2041

    265       200  

WW Grainger

               

4.600%, 06/15/2045

    165       155  
                 
              22,667  
                 

Information Technology — 3.4%

       

Analog Devices

               

2.950%, 10/01/2051

    165       114  

2.800%, 10/01/2041

    175       129  

Apple

               

4.650%, 02/23/2046

    479       469  

4.375%, 05/13/2045

    430       405  

3.850%, 05/04/2043

    55       49  

3.750%, 09/12/2047

    150       127  

3.450%, 02/09/2045

    345       284  

2.800%, 02/08/2061

    340       223  

2.700%, 08/05/2051

    600       406  

2.650%, 05/11/2050

    255       173  

2.650%, 02/08/2051

    135       92  

2.375%, 02/08/2041

    190       138  

Broadcom

               

3.750%, 02/15/2051 (A)

    245       190  

3.500%, 02/15/2041 (A)

    225       180  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.137%, 11/15/2035 (A)

  $ 415     $ 347  

2.600%, 02/15/2033 (A)

    70       59  

Cisco Systems

               

5.900%, 02/15/2039

    231       255  

5.300%, 02/26/2054

    890       919  

Corning

               

5.450%, 11/15/2079

    165       160  

Intel

               

5.900%, 02/10/2063

    110       107  

5.700%, 02/10/2053

    225       215  

5.625%, 02/10/2043

    35       34  

5.050%, 08/05/2062

    85       71  

4.900%, 08/05/2052

    145       124  

4.750%, 03/25/2050

    55       46  

3.734%, 12/08/2047

    805       575  

3.250%, 11/15/2049

    365       237  

Intuit

               

5.500%, 09/15/2053

    175       184  

KLA

               

5.000%, 03/15/2049

    227       221  

4.950%, 07/15/2052

    135       131  

Lam Research

               

2.875%, 06/15/2050

    112       76  

Microsoft

               

4.500%, 06/15/2047

    235       226  

2.921%, 03/17/2052

    1,358       983  

2.675%, 06/01/2060

    145       94  

2.525%, 06/01/2050

    25       16  

NVIDIA

               

3.500%, 04/01/2050

    155       126  

NXP BV / NXP FUNDING LLC / NXP USA

               

3.250%, 05/11/2041

    255       194  

Oracle

               

6.900%, 11/09/2052

    125       146  

4.375%, 05/15/2055

    785       645  

4.125%, 05/15/2045

    330       269  

4.000%, 07/15/2046

    1,010       804  

4.000%, 11/15/2047

    614       485  

3.950%, 03/25/2051

    155       120  

3.800%, 11/15/2037

    685       589  

3.650%, 03/25/2041

    520       415  

Salesforce

               

3.050%, 07/15/2061

    125       81  

2.900%, 07/15/2051

    310       210  

2.700%, 07/15/2041

    40       30  

Texas Instruments

               

5.150%, 02/08/2054

    350       354  

5.050%, 05/18/2063

    372       366  

5.000%, 03/14/2053

    200       198  
                 
              13,091  
                 

 

 

 

254

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Materials — 1.0%

       

Anglo American Capital PLC

               

6.000%, 04/05/2054 (A)

  $ 200     $ 204  

4.750%, 03/16/2052 (A)

    271       233  

3.950%, 09/10/2050 (A)

    290       221  

ArcelorMittal

               

6.350%, 06/17/2054

    60       60  

Berry Global

               

5.650%, 01/15/2034 (A)

    175       178  

BHP Billiton Finance USA

               

5.500%, 09/08/2053

    35       36  

5.250%, 09/08/2033

    60       62  

5.000%, 09/30/2043

    260       255  

Dow Chemical

               

3.600%, 11/15/2050

    220       161  

DuPont de Nemours

               

5.319%, 11/15/2038

    293       314  

FMC

               

4.500%, 10/01/2049

    280       224  

Freeport-McMoRan

               

5.450%, 03/15/2043

    65       64  

Glencore Finance Canada

               

6.000%, 11/15/2041 (A)

    236       239  

International Flavors & Fragrances

               

5.000%, 09/26/2048

    115       103  

3.468%, 12/01/2050 (A)

    1,090       755  

3.268%, 11/15/2040 (A)

    510       381  

Rio Tinto Finance USA

               

5.200%, 11/02/2040

    150       151  

Rio Tinto Finance USA PLC

               

5.125%, 03/09/2053

    30       30  
                 
              3,671  
                 

Real Estate — 1.4%

       

Agree LP

               

2.600%, 06/15/2033

    75       61  

Alexandria Real Estate Equities

               

4.850%, 04/15/2049

    60       53  

3.550%, 03/15/2052

    265       188  

American Homes 4 Rent LP

               

4.300%, 04/15/2052

    105       85  

3.375%, 07/15/2051

    175       120  

American Tower

               

3.100%, 06/15/2050

    300       204  

AvalonBay Communities

               

5.350%, 06/01/2034

    195       202  

Boston Properties

               

2.450%, 10/01/2033

    130       101  

Crown Castle

               

5.200%, 02/15/2049

    90       85  

2.900%, 04/01/2041

    279       202  

Equinix

               

2.950%, 09/15/2051

    280       182  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Extra Space Storage

               

5.400%, 02/01/2034

  $ 135     $ 137  

GLP Capital LP / GLP Financing II

               

6.750%, 12/01/2033

    160       175  

Invitation Homes Operating Partnership LP

               

5.500%, 08/15/2033

    85       87  

2.700%, 01/15/2034

    190       155  

Kilroy Realty LP

               

2.650%, 11/15/2033

    140       107  

Kimco Realty

               

4.250%, 04/01/2045

    110       93  

NNN REIT

               

4.800%, 10/15/2048

    85       76  

3.000%, 04/15/2052

    195       125  

Prologis LP

               

5.250%, 06/15/2053

    120       119  

5.250%, 03/15/2054

    255       253  

Public Storage Operating

               

5.350%, 08/01/2053

    85       86  

Realty Income

               

5.375%, 09/01/2054

    125       123  

Regency Centers LP

               

4.650%, 03/15/2049

    205       179  

4.400%, 02/01/2047

    90       77  

Simon Property Group LP

               

6.750%, 02/01/2040

    434       492  

6.650%, 01/15/2054

    125       145  

5.850%, 03/08/2053

    412       431  

4.250%, 11/30/2046

    25       21  

3.800%, 07/15/2050

    35       27  

3.250%, 09/13/2049

    235       167  

Sun Communities Operating

               

5.700%, 01/15/2033

    75       77  

4.200%, 04/15/2032

    230       213  

VICI Properties LP

               

6.125%, 04/01/2054

    90       92  

5.625%, 05/15/2052

    540       512  
                 
              5,452  
                 

Utilities — 9.5%

       

AEP Transmission LLC

               

3.800%, 06/15/2049

    150       117  

3.650%, 04/01/2050

    150       115  

AES

               

2.450%, 01/15/2031

    75       64  

Alabama Power

               

4.300%, 07/15/2048

    560       481  

3.700%, 12/01/2047

    376       295  

American Water Capital

               

4.150%, 06/01/2049

    50       42  

Appalachian Power

               

4.450%, 06/01/2045

    650       546  

 

 

 

SEI Institutional Investments Trust

 

255

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Arizona Public Service

               

3.350%, 05/15/2050

  $ 295     $ 208  

Baltimore Gas and Electric

               

4.550%, 06/01/2052

    150       132  

2.900%, 06/15/2050

    170       112  

Berkshire Hathaway Energy

               

6.125%, 04/01/2036

    1,476       1,609  

4.600%, 05/01/2053

    65       57  

4.250%, 10/15/2050

    30       25  

Black Hills

               

4.200%, 09/15/2046

    300       248  

Boston Gas

               

6.119%, 07/20/2053 (A)

    145       149  

CenterPoint Energy Houston Electric LLC

               

3.600%, 03/01/2052

    75       56  

Cleco Power

               

6.000%, 12/01/2040

    210       219  

CMS Energy

               

4.875%, 03/01/2044

    487       457  

Commonwealth Edison

               

4.350%, 11/15/2045

    665       588  

3.850%, 03/15/2052

    135       106  

3.700%, 03/01/2045

    600       479  

3.200%, 11/15/2049

    170       120  

Connecticut Light and Power

               

4.000%, 04/01/2048

    170       142  

Consolidated Edison of New York

               

6.300%, 08/15/2037

    585       649  

6.150%, 11/15/2052

    90       100  

5.700%, 05/15/2054

    265       278  

3.700%, 11/15/2059

    600       437  

Constellation Energy Generation LLC

               

6.250%, 10/01/2039

    248       269  

5.600%, 06/15/2042

    275       275  

Consumers Energy

               

3.100%, 08/15/2050

    125       91  

Dominion Energy

               

5.250%, 08/01/2033

    485       491  

4.900%, 08/01/2041

    655       602  

4.850%, 08/15/2052

    50       45  

3.300%, 04/15/2041

    220       167  

DTE Electric

               

4.050%, 05/15/2048

    245       207  

Duke Energy

               

5.000%, 08/15/2052

    168       154  

Duke Energy Carolinas LLC

               

6.000%, 01/15/2038

    439       478  

5.400%, 01/15/2054

    185       187  

5.350%, 01/15/2053

    130       130  

5.300%, 02/15/2040

    500       509  

4.250%, 12/15/2041

    350       309  

Duke Energy Florida LLC

               

6.400%, 06/15/2038

    210       235  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

6.350%, 09/15/2037

  $ 170     $ 189  

6.200%, 11/15/2053

    125       140  

Duke Energy Indiana LLC

               

6.450%, 04/01/2039

    120       134  

6.350%, 08/15/2038

    90       101  

4.900%, 07/15/2043

    250       237  

Duke Energy Ohio

               

5.550%, 03/15/2054

    235       239  

Duke Energy Progress LLC

               

4.375%, 03/30/2044

    815       723  

4.100%, 05/15/2042

    270       230  

Elm Road Generating Station Supercritical LLC

               

5.848%, 01/19/2041 (A)

    500       495  

Entergy Arkansas LLC

               

5.750%, 06/01/2054

    95       99  

Entergy Louisiana LLC

               

5.700%, 03/15/2054

    150       155  

4.750%, 09/15/2052

    50       45  

4.200%, 04/01/2050

    280       231  

Entergy Mississippi LLC

               

5.850%, 06/01/2054

    230       243  

Entergy Texas

               

5.000%, 09/15/2052

    75       71  

3.550%, 09/30/2049

    165       121  

Essential Utilities

               

5.300%, 05/01/2052

    70       67  

4.276%, 05/01/2049

    195       161  

Exelon

               

4.950%, 06/15/2035

    530       521  

FirstEnergy Transmission LLC

               

5.450%, 07/15/2044 (A)

    90       87  

4.550%, 04/01/2049 (A)

    50       43  

Florida Power & Light

               

5.960%, 04/01/2039

    215       234  

5.690%, 03/01/2040

    181       191  

5.600%, 06/15/2054

    152       161  

5.400%, 09/01/2035

    1,215       1,249  

Indiana Michigan Power

               

5.625%, 04/01/2053

    90       93  

Indianapolis Power & Light

               

6.050%, 10/01/2036 (A)

    326       341  

5.700%, 04/01/2054 (A)

    275       285  

Interstate Power and Light

               

3.100%, 11/30/2051

    430       287  

Jersey Central Power & Light

               

6.400%, 05/15/2036

    925       1,019  

KeySpan Gas East

               

5.819%, 04/01/2041 (A)

    500       500  

MidAmerican Energy

               

5.300%, 02/01/2055

    314       313  

4.800%, 09/15/2043

    325       307  

4.250%, 07/15/2049

    250       215  

 

 

 

256

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

MidAmerican Energy MTN

               

5.800%, 10/15/2036

  $ 155     $ 167  

Narragansett Electric

               

4.170%, 12/10/2042 (A)

    920       762  

Nevada Power

               

6.000%, 03/15/2054

    100       107  

Niagara Mohawk Power

               

3.025%, 06/27/2050 (A)

    300       197  

Northern States Power

               

5.350%, 11/01/2039

    490       503  

5.100%, 05/15/2053

    125       121  

4.500%, 06/01/2052

    80       71  

3.400%, 08/15/2042

    175       139  

3.200%, 04/01/2052

    50       35  

NSTAR Electric

               

4.550%, 06/01/2052

    503       449  

4.400%, 03/01/2044

    205       181  

Oglethorpe Power

               

5.250%, 09/01/2050

    431       406  

5.050%, 10/01/2048

    305       280  

4.500%, 04/01/2047

    150       128  

Oncor Electric Delivery LLC

               

5.350%, 10/01/2052

    165       163  

5.300%, 06/01/2042

    135       135  

5.250%, 09/30/2040

    305       305  

4.950%, 09/15/2052

    115       109  

2.700%, 11/15/2051

    160       100  

Pacific Gas and Electric

               

6.750%, 01/15/2053

    833       911  

6.700%, 04/01/2053

    90       98  

5.250%, 03/01/2052

    195       176  

4.950%, 07/01/2050

    255       222  

4.500%, 07/01/2040

    230       199  

4.200%, 06/01/2041

    105       85  

3.500%, 08/01/2050

    75       52  

3.300%, 08/01/2040

    75       56  

PacifiCorp

               

6.000%, 01/15/2039

    442       467  

5.800%, 01/15/2055

    251       255  

5.500%, 05/15/2054

    226       223  

5.250%, 06/15/2035

    240       243  

PECO Energy

               

4.375%, 08/15/2052

    75       65  

Piedmont Natural Gas

               

4.650%, 08/01/2043

    330       302  

Potomac Electric Power

               

5.500%, 03/15/2054

    100       102  

PPL Electric Utilities

               

4.150%, 06/15/2048

    195       167  

4.125%, 06/15/2044

    595       513  

Public Service Electric and Gas

               

5.300%, 08/01/2054

    385       392  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Public Service Electric and Gas MTN

               

3.650%, 09/01/2042

  $ 210     $ 172  

Public Service of Colorado

               

6.250%, 09/01/2037

    245       269  

4.500%, 06/01/2052

    100       86  

4.100%, 06/15/2048

    280       226  

4.050%, 09/15/2049

    48       38  

Public Service of New Hampshire

               

5.150%, 01/15/2053

    65       64  

Puget Sound Energy

               

2.893%, 09/15/2051

    190       123  

San Diego Gas & Electric

               

3.320%, 04/15/2050

    35       25  

Sempra

               

6.000%, 10/15/2039

    500       525  

3.800%, 02/01/2038

    260       221  

Southern California Edison

               

6.050%, 03/15/2039

    125       134  

3.900%, 03/15/2043

    245       201  

Southern California Gas

               

5.750%, 06/01/2053

    190       198  

5.600%, 04/01/2054

    155       160  

3.750%, 09/15/2042

    230       186  

Southern Gas Capital

               

4.400%, 06/01/2043

    645       560  

Southwestern Electric Power

               

6.200%, 03/15/2040

    565       606  

3.250%, 11/01/2051

    250       166  

Southwestern Public Service

               

4.400%, 11/15/2048

    385       320  

Tampa Electric

               

4.300%, 06/15/2048

    365       310  

3.450%, 03/15/2051

    50       37  

Tucson Electric Power

               

3.250%, 05/01/2051

    310       214  

Virginia Electric and Power

               

5.450%, 04/01/2053

    175       175  

5.350%, 01/15/2054

    184       183  

4.450%, 02/15/2044

    500       444  

Wisconsin Public Service

               

3.300%, 09/01/2049

    175       127  

2.850%, 12/01/2051

    250       162  

Xcel Energy

               

4.800%, 09/15/2041

    50       45  
                 
              36,370  
                 

Total Corporate Obligations

               

(Cost $241,611) ($ Thousands)

            228,494  
                 
                 

 

 

 

SEI Institutional Investments Trust

 

257

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

U.S. TREASURY OBLIGATIONS — 32.8%

U.S. Treasury Bills

               

5.296%, 10/29/2024 (D)

  $ 580     $ 575  

5.228%, 11/12/2024 (D)

    370       367  

U.S. Treasury Bonds

               

4.750%, 11/15/2053

    2,475       2,696  

4.720%, 11/15/2042 (D)

    2,225       978  

4.625%, 05/15/2044

    5,115       5,327  

4.625%, 05/15/2054

    3,040       3,249  

4.500%, 02/15/2044

    9,078       9,305  

4.408%, 11/15/2047 (D)

    2,120       772  

4.360%, 05/15/2050 (D)

    4,645       1,548  

4.250%, 02/15/2054

    9,787       9,825  

4.250%, 08/15/2054

    14,928       15,021  

4.125%, 08/15/2044

    10,015       9,772  

4.000%, 11/15/2052

    365       350  

3.875%, 05/15/2043

    7,285       6,878  

3.750%, 08/15/2041

    595       563  

3.750%, 11/15/2043

    710       657  

3.625%, 08/15/2043

    807       734  

3.625%, 02/15/2044

    1,111       1,008  

3.625%, 05/15/2053

    3,787       3,399  

3.569%, 08/15/2043 (D)

    9,912       4,357  

3.375%, 11/15/2048

    2,390       2,037  

3.142%, 08/15/2045 (D)

    2,920       1,178  

3.125%, 11/15/2041

    960       831  

3.125%, 02/15/2043

    1,155       980  

3.125%, 08/15/2044

    1,655       1,387  

3.000%, 08/15/2052

    2,378       1,886  

2.875%, 08/15/2045

    1,180       943  

2.875%, 11/15/2046

    860       679  

2.875%, 05/15/2052

    5,445       4,208  

2.750%, 08/15/2042

    605       488  

2.750%, 11/15/2042

    525       422  

2.750%, 11/15/2047

    425       325  

2.375%, 11/15/2049

    525       367  

2.375%, 05/15/2051

    1,900       1,318  

2.250%, 08/15/2046

    5,715       4,017  

2.250%, 02/15/2052

    2,470       1,662  

2.000%, 11/15/2041

    13,895       10,029  

2.000%, 08/15/2051

    2,185       1,385  

1.750%, 08/15/2041

    7,925       5,509  

1.375%, 11/15/2040

    335       223  

1.375%, 08/15/2050

    3,005       1,627  

1.125%, 08/15/2040

    495       318  

U.S. Treasury Notes

               

4.000%, 02/15/2034

    3,029       3,048  

3.875%, 08/15/2034

    3,235       3,223  
         

Total U.S. Treasury Obligations

       

(Cost $125,513) ($ Thousands)

    125,471  
                 
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MUNICIPAL BONDS — 3.1%

California — 1.8%

       

Bay Area, Toll Authority, Build America Project, RB

               

6.263%, 04/01/2049

  $ 600     $ 681  

California State, Build America Project, GO

               

7.500%, 04/01/2034

    1,185       1,416  

7.350%, 11/01/2039

    730       877  

California State, GO

               

5.875%, 10/01/2041

    510       549  

California State, Health Facilities Financing Authority, Ser 2021A, RB

               

3.000%, 08/15/2051

    125       100  

Los Angeles, Department of Airports, RB

               

6.582%, 05/15/2039

    240       266  

Regents of the University of California Medical Center, Ser N, RB

               

3.256%, 05/15/2060

    790       560  

Riverside County, Pension Obligation, RB

               

3.818%, 02/15/2038

    345       323  

San Francisco, Public Utilities Commission, Water Revenue, Build America Project, Ser DE, RB

               

6.000%, 11/01/2040

    1,235       1,313  

University of California Regents, Build America Project, Ser H, RB

               

6.548%, 05/15/2048

    605       688  

University of California, Ser AD, RB

               

4.858%, 05/15/2112

    335       309  
                 
              7,082  
                 

Georgia — 0.1%

       

Georgia State, Municipal Electric Authority, Build America Project, Ser 2010A, RB

               

6.637%, 04/01/2057

    270       304  
                 
                 

Illinois — 0.1%

       

Greater Chicago, Metropolitan Water Reclamation District, Build America Project, GO

               

5.720%, 12/01/2038

    545       581  
                 
                 

Maryland — 0.1%

       

Maryland Economic Development, RB

               

5.433%, 05/31/2056

    240       244  
                 
                 

Massachusetts — 0.0%

       

Massachusetts State, School Building Authority, Sub-Ser B, RB

               

3.395%, 10/15/2040

    240       205  
                 
                 

 

 

 

258

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MUNICIPAL BONDS (continued)

Missouri — 0.2%

       

Missouri State, Joint Municipal Electric Utility Commission, Build America Project, Ser A, RB

               

6.890%, 01/01/2042

  $ 600     $ 686  
                 
                 

New Jersey — 0.0%

       

New Jersey State, Turnpike Authority, Build America Project, RB

               

7.414%, 01/01/2040

    60       73  
                 
                 

New York — 0.4%

       

New York & New Jersey, Port Authority, Ser 174, RB

               

4.458%, 10/01/2062

    350       317  

New York City, Transitional Finance Authority, Future Tax Secured Revenue, Build America Project, Sub-Ser, RB

               

5.572%, 11/01/2038

    840       879  

5.508%, 08/01/2037

    250       261  
                 
              1,457  
                 

Texas — 0.4%

       

Grand Parkway, Transportation Corp, Ser E, RB

               

5.184%, 10/01/2042

    530       549  

North Texas, Tollway Authority, Build America Project, Ser B, RB

               

6.718%, 01/01/2049

    490       578  

Texas State, Private Activity Bond Surface Transportation, RB

               

3.922%, 12/31/2049

    355       301  
                 
              1,428  
                 
                 

Total Municipal Bonds

               

(Cost $12,728) ($ Thousands)

            12,060  
                 
                 
                 

U.S. GOVERNMENT AGENCY OBLIGATIONS — 1.1%

Tennessee Valley Authority

               

5.250%, 09/15/2039

    2,135       2,293  

Tennessee Valley Authority, PO

               

0.000%, 01/15/2038(B)

    3,700       2,010  
                 
                 
         

Total U.S. Government Agency Obligations

       

(Cost $4,401) ($ Thousands)

    4,303  
                 
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

SOVEREIGN DEBT — 0.8%

                 

Chile Government International Bond

               

5.330%, 01/05/2054

  $ 185     $ 183  

4.340%, 03/07/2042

    235       212  

3.860%, 06/21/2047

    25       20  

3.100%, 01/22/2061

    25       16  

Israel Government International Bond

               

3.875%, 07/03/2050

    100       74  

3.375%, 01/15/2050

    490       331  

Mexico Government International Bond

               

6.400%, 05/07/2054

    383       378  

6.350%, 02/09/2035

    70       73  

6.338%, 05/04/2053

    459       450  

5.750%, 10/12/2110

    129       110  

5.000%, 04/27/2051

    745       618  

4.400%, 02/12/2052

    390       296  

4.280%, 08/14/2041

    134       108  

Perusahaan Penerbit SBSN Indonesia III

               

3.550%, 06/09/2051(A)

    65       50  

Republic of Poland Government International Bond

               

5.500%, 04/04/2053

    75       77  
                 

Total Sovereign Debt

       

(Cost $3,322) ($ Thousands)

    2,996  
                 
                 
                 

MORTGAGE-BACKED SECURITIES — 0.3%

Agency Mortgage-Backed Obligations — 0.3%

       

FHLMC REMIC CMO, Ser 2004-2733, Cl ME

               

5.000%, 01/15/2034

    34       35  

FNMA REMIC CMO, Ser 2007-68, Cl SC, IO

               

1.237%, 07/25/2037(C)

    9       1  

GNMA ARM

               

4.875%, H15T1Y + 1.500%, 06/20/2032(C)

    17       17  

GNMA CMO, Ser 2009-8, Cl PS, IO

               

0.847%, 08/16/2038(C)

    3        

GNMA CMO, Ser 2010-4, Cl NS, IO

               

0.937%, 01/16/2040(C)

    32       3  

GNMA CMO, Ser 2011-70, Cl BO, PO

               

0.000%, 05/20/2041(B)

    1,345       1,014  
                 
                 
              1,070  

Non-Agency Mortgage-Backed Obligations — 0.0%

       

Indymac Index Mortgage Loan Trust, Ser 2004-AR7, Cl A2

               

6.252%, TSFR1M + 0.974%, 09/25/2034(C)

    8       7  

RAMP Trust, Ser 2004-SL1, Cl A7

               

7.000%, 11/25/2031

    6       5  

Residential Asset Securitization Trust, Ser 2004-IP2, Cl 2A1

               

3.902%, 12/25/2034(C)

    11       10  

 

 

 

SEI Institutional Investments Trust

 

259

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

WaMu Mortgage Pass-Through Certificates, Ser 2005-AR2, Cl 2A21

               

6.052%, TSFR1M + 0.774%, 01/25/2045(C)

  $ 19     $ 19  
                 
                 
              41  

Total Mortgage-Backed Securities

               

(Cost $97) ($ Thousands)

            1,111  
                 
                 
   


Shares

         

CASH EQUIVALENT — 3.9%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    14,810,762       14,811  

Total Cash Equivalent

               

(Cost $14,811) ($ Thousands)

            14,811  

Total Investments in Securities — 101.8%

               

(Cost $402,483) ($ Thousands)

  $ 389,246  
                 
                 

 

 
 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation
(Depreciation)(Thousands)

 

Long Contracts

                                       

U.S. 2-Year Treasury Note

    22       Dec-2024     $ 4,569     $ 4,566     $ (3 )

U.S. 5-Year Treasury Note

    157       Dec-2024       17,190       17,175       (15 )

U.S. Ultra Long Treasury Bond

    142       Dec-2024       18,965       18,735       (230 )

Ultra 10-Year U.S. Treasury Note

    16       Dec-2024       1,895       1,879       (16 )
                      42,619       42,355       (264 )

Short Contracts

                                       

U.S. 5-Year Treasury Note

    (36)       Dec-2024     $ (3,951 )   $ (3,938 )   $ 13  

U.S. Long Treasury Bond

    (63)       Dec-2024       (7,816 )     (7,757 )     59  

Ultra 10-Year U.S. Treasury Note

    (58)       Dec-2024       (6,853 )     (6,811 )     42  
                      (18,620 )     (18,506 )     114  
                    $ 23,999     $ 23,849     $ (150 )

 

 

 

260

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Fund (Concluded)

 

 

A list of the open centrally cleared swap agreements held by the Fund at August 31, 2024, is as follows:

 

Interest Rate Swap

Fund Pays

 

Fund Receives

   

Payment Frequency

   

Termination Date

   

Currency

   

Notional Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/ Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 

3.52% FIXED

    SOFR       Annually       12/20/2053       USD       918     $ (23 )   $     $ (23 )

 

 

 

 

Percentages are based on Net Assets of $382,303 ($ Thousands).

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

(A)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On August 31, 2024, the value of these securities amounted to $16,639 ($ Thousands), representing 4.4% of the Net Assets of the Fund.

(B)

Zero coupon security.

 

(C)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates on certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(D)

Interest rate represents the security's effective yield at the time of purchase.

 

 

 

 

 
 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Daily Income Trust, Government Fund,
Institutional Class

  $ 23,868     $ 96,899     $ (105,956 )   $     $     $ 14,811     $ 83     $  

 

                                                               

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

SEI Institutional Investments Trust

 

261

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS — 87.4%

Communication Services — 6.1%

       

Alphabet

               

2.050%, 08/15/2050

  $ 2,229     $ 1,356  

1.900%, 08/15/2040

    750       519  

America Movil

               

6.125%, 03/30/2040

    2,750       2,962  

AT&T

               

4.500%, 03/09/2048

    2,150       1,854  

4.300%, 12/15/2042

    500       434  

3.500%, 09/15/2053

    3,417       2,431  

Charter Communications Operating LLC / Charter Communications Operating Capital

               

6.834%, 10/23/2055

    580       576  

6.484%, 10/23/2045

    2,620       2,504  

4.800%, 03/01/2050

    1,480       1,126  

Comcast

               

6.500%, 11/15/2035

    420       474  

5.650%, 06/15/2035

    3,580       3,793  

4.600%, 08/15/2045

    1,150       1,046  

4.049%, 11/01/2052

    5,368       4,361  

4.000%, 03/01/2048

    3,165       2,589  

3.969%, 11/01/2047

    7,280       5,940  

3.900%, 03/01/2038

    4,950       4,387  

3.400%, 07/15/2046

    2,665       2,015  

2.987%, 11/01/2063

    34,399       21,249  

2.937%, 11/01/2056

    37,875       24,092  

2.887%, 11/01/2051

    18,877       12,357  

2.800%, 01/15/2051

    345       223  

Crown Castle Towers LLC

               

3.663%, 05/15/2025 (A)

    2,585       2,556  

Meta Platforms

               

5.750%, 05/15/2063

    1,680       1,791  

5.600%, 05/15/2053

    5,270       5,555  

5.550%, 08/15/2064

    6,040       6,187  

5.400%, 08/15/2054

    8,676       8,848  

4.650%, 08/15/2062

    1,185       1,065  

4.450%, 08/15/2052

    7,794       6,973  

NBCUniversal Media LLC

               

4.450%, 01/15/2043

    1,177       1,056  

NTT Finance

               

1.591%, 04/03/2028 (A)

    2,360       2,138  

Paramount Global

               

6.875%, 04/30/2036

    680       678  

4.375%, 03/15/2043

    1,930       1,387  

SES GLOBAL Americas Holdings

               

5.300%, 03/25/2044 (A)

    1,400       1,097  

Sprint Spectrum Co LLC / Sprint Spectrum Co II LLC / Sprint Spectrum Co III LLC

               

5.152%, 03/20/2028 (A)

    1,433       1,440  

Time Warner Cable Enterprises LLC

               

8.375%, 07/15/2033

    899       1,024  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Time Warner Cable LLC

               

7.300%, 07/01/2038

  $ 2,141     $ 2,239  

6.750%, 06/15/2039

    945       940  

5.500%, 09/01/2041

    650       562  

4.500%, 09/15/2042

    1,000       758  

T-Mobile USA

               

5.500%, 01/15/2055

    2,361       2,383  

3.300%, 02/15/2051

    500       353  

3.000%, 02/15/2041

    560       418  

TWDC Enterprises 18

               

4.125%, 12/01/2041

    1,530       1,351  

TWDC Enterprises 18 MTN

               

4.125%, 06/01/2044

    1,854       1,607  

Verizon Communications

               

5.250%, 03/16/2037

    440       451  

3.875%, 03/01/2052

    2,984       2,380  

3.700%, 03/22/2061

    570       420  

3.400%, 03/22/2041

    2,265       1,805  

2.650%, 11/20/2040

    2,220       1,593  

Walt Disney

               

6.650%, 11/15/2037

    990       1,153  

6.400%, 12/15/2035

    2,043       2,318  

3.600%, 01/13/2051

    6,176       4,810  

3.500%, 05/13/2040

    7,420       6,150  

2.750%, 09/01/2049

    22,691       15,054  

Warnermedia Holdings

               

5.391%, 03/15/2062

    3,604       2,706  

5.141%, 03/15/2052

    6,240       4,746  

5.050%, 03/15/2042

    1,435       1,150  
                 
              193,430  
                 

Consumer Discretionary — 3.8%

       

7-Eleven

               

2.500%, 02/10/2041 (A)

    870       597  

Alimentation Couche-Tard

               

4.500%, 07/26/2047 (A)

    735       638  

Amazon.com

               

4.050%, 08/22/2047

    5,256       4,572  

3.950%, 04/13/2052

    8,266       6,964  

3.875%, 08/22/2037

    3,150       2,894  

3.250%, 05/12/2061

    12,556       8,787  

3.100%, 05/12/2051

    7,654       5,517  

2.875%, 05/12/2041

    975       757  

2.700%, 06/03/2060

    6,575       4,086  

2.500%, 06/03/2050

    8,948       5,735  

Emory University

               

2.969%, 09/01/2050

    1,660       1,182  

Georgetown University

               

5.215%, 10/01/2118

    1,171       1,138  

4.315%, 04/01/2049

    1,710       1,541  

Home Depot

               

5.950%, 04/01/2041

    3,030       3,339  

5.400%, 06/25/2064

    1,230       1,264  

 

 

 

262

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.300%, 06/25/2054

  $ 2,565     $ 2,618  

4.950%, 06/25/2034

    480       492  

4.950%, 09/15/2052

    1,350       1,307  

4.500%, 12/06/2048

    3,780       3,442  

4.400%, 03/15/2045

    5,635       5,115  

4.250%, 04/01/2046

    3,982       3,528  

4.200%, 04/01/2043

    1,825       1,621  

3.900%, 06/15/2047

    13,558       11,295  

3.350%, 04/15/2050

    4,680       3,500  

3.300%, 04/15/2040

    2,235       1,829  

3.125%, 12/15/2049

    2,230       1,601  

2.750%, 09/15/2051

    3,380       2,219  

2.375%, 03/15/2051

    5,984       3,643  

Johns Hopkins University

               

4.083%, 07/01/2053

    2,000       1,764  

Lowe's

               

5.750%, 07/01/2053

    68       70  

4.250%, 04/01/2052

    550       451  

3.700%, 04/15/2046

    2,116       1,624  

Massachusetts Institute of Technology

               

5.600%, 07/01/2111

    2,730       3,027  

3.067%, 04/01/2052

    2,540       1,881  

2.294%, 07/01/2051

    21       13  

NIKE

               

3.625%, 05/01/2043

    1,295       1,080  

3.250%, 03/27/2040

    3,350       2,733  

Northwestern University

               

3.688%, 12/01/2038

    2,070       1,852  

Pomona College

               

2.888%, 01/01/2051

    1,240       866  

President & Fellows of Harvard College

               

3.745%, 11/15/2052

    4,212       3,552  

2.517%, 10/15/2050

    1,395       929  

Starbucks

               

3.350%, 03/12/2050

    905       650  

Trustees of Boston College

               

3.042%, 07/01/2057

    1,230       829  

Trustees of Boston University

               

4.061%, 10/01/2048

    1,800       1,553  

Trustees of Princeton University

               

5.700%, 03/01/2039

    1,154       1,301  

University of Chicago

               

2.761%, 04/01/2045

    2,520       2,010  

University of Southern California

               

3.841%, 10/01/2047

    1,310       1,114  

3.028%, 10/01/2039

    2,300       1,919  

2.805%, 10/01/2050

    925       644  
                 
              121,083  
                 

Consumer Staples — 5.9%

       

Altria Group

               

10.200%, 02/06/2039

    2,501       3,577  

9.950%, 11/10/2038

    850       1,202  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.500%, 05/02/2043

  $ 100     $ 86  

4.250%, 08/09/2042

    575       483  

3.875%, 09/16/2046

    60       46  

3.400%, 02/04/2041

    433       328  

Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide

               

4.900%, 02/01/2046

    48,168       46,245  

4.700%, 02/01/2036

    20,875       20,618  

Anheuser-Busch InBev Worldwide

               

8.200%, 01/15/2039

    1,445       1,908  

8.000%, 11/15/2039

    2,786       3,642  

5.550%, 01/23/2049

    7,070       7,409  

5.000%, 06/15/2034

    1,765       1,810  

4.600%, 04/15/2048

    947       877  

BAT Capital

               

4.758%, 09/06/2049

    1,046       876  

4.390%, 08/15/2037

    1,125       1,003  

Bayer US Finance LLC

               

6.875%, 11/21/2053 (A)

    650       708  

Cargill

               

4.375%, 04/22/2052 (A)

    2,490       2,200  

Church & Dwight

               

5.000%, 06/15/2052

    227       220  

Coca-Cola

               

5.400%, 05/13/2064

    3,215       3,328  

5.300%, 05/13/2054

    655       680  

5.200%, 01/14/2055

    7,930       8,080  

2.500%, 03/15/2051

    2,085       1,332  

Constellation Brands

               

3.750%, 05/01/2050

    430       333  

CSL Finance PLC

               

5.106%, 04/03/2034 (A)

    1,345       1,374  

4.950%, 04/27/2062 (A)

    310       286  

4.750%, 04/27/2052 (A)

    3,089       2,834  

4.625%, 04/27/2042 (A)

    320       296  

Dollar Tree

               

3.375%, 12/01/2051

    1,105       740  

Estee Lauder

               

3.125%, 12/01/2049

    2,560       1,810  

Ford Foundation

               

2.815%, 06/01/2070

    905       564  

Hormel Foods

               

3.050%, 06/03/2051

    1,305       915  

JBS USA Holding Lux Sarl

               

7.250%, 11/15/2053 (A)

    4,100       4,706  

6.500%, 12/01/2052

    3,765       3,966  

4.375%, 02/02/2052

    2,425       1,905  

Kenvue

               

5.100%, 03/22/2043

    600       605  

5.050%, 03/22/2053

    1,780       1,773  

Kimberly-Clark

               

5.300%, 03/01/2041

    1,315       1,353  

3.900%, 05/04/2047

    1,670       1,391  

 

 

 

SEI Institutional Investments Trust

 

263

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Kraft Heinz Foods

               

7.125%, 08/01/2039 (A)

  $ 1,160     $ 1,364  

Kroger

               

5.650%, 09/15/2064

    555       542  

5.500%, 09/15/2054

    480       471  

Mars

               

3.950%, 04/01/2049 (A)

    2,280       1,863  

Nestle Capital

               

5.100%, 03/12/2054 (A)

    1,845       1,870  

Nestle Holdings

               

3.900%, 09/24/2038 (A)

    1,640       1,495  

PepsiCo

               

5.250%, 07/17/2054

    3,520       3,651  

4.650%, 02/15/2053

    2,834       2,677  

4.200%, 07/18/2052

    925       810  

3.450%, 10/06/2046

    6,055       4,770  

Philip Morris International

               

4.875%, 11/15/2043

    3,640       3,424  

4.500%, 03/20/2042

    5,750       5,207  

4.125%, 03/04/2043

    586       498  

3.875%, 08/21/2042

    970       803  

Reynolds American

               

8.125%, 05/01/2040

    2,390       2,795  

5.850%, 08/15/2045

    470       460  

Rockefeller Foundation

               

2.492%, 10/01/2050

    2,975       1,949  

Solventum

               

5.900%, 04/30/2054 (A)

    390       395  

Sutter Health

               

5.547%, 08/15/2053

    1,478       1,577  

Takeda Pharmaceutical

               

5.650%, 07/05/2054

    500       511  

Target

               

2.950%, 01/15/2052

    5,705       3,909  

Walmart

               

4.500%, 09/09/2052

    1,935       1,824  

4.500%, 04/15/2053

    4,319       4,064  

2.650%, 09/22/2051

    4,940       3,299  

2.500%, 09/22/2041

    3,736       2,729  
                 
              184,466  
                 

Energy — 5.6%

       

BG Energy Capital PLC

               

5.125%, 10/15/2041 (A)

    1,600       1,543  

BP Capital Markets America

               

4.812%, 02/13/2033

    5,385       5,386  

3.379%, 02/08/2061

    12,751       8,828  

3.060%, 06/17/2041

    2,295       1,749  

3.001%, 03/17/2052

    170       115  

3.000%, 02/24/2050

    772       528  

2.939%, 06/04/2051

    3,185       2,136  

2.772%, 11/10/2050

    4,452       2,891  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Cenovus Energy

               

6.750%, 11/15/2039

  $ 245     $ 274  

Chevron USA

               

2.343%, 08/12/2050

    1,685       1,033  

ConocoPhillips

               

5.700%, 09/15/2063

    995       1,039  

5.550%, 03/15/2054

    925       951  

5.300%, 05/15/2053

    375       373  

4.300%, 11/15/2044

    3,730       3,275  

4.025%, 03/15/2062

    14,384       11,373  

3.800%, 03/15/2052

    2,075       1,641  

Devon Energy

               

7.875%, 09/30/2031

    520       603  

Diamondback Energy

               

5.750%, 04/18/2054

    1,516       1,517  

4.400%, 03/24/2051

    500       414  

4.250%, 03/15/2052

    2,685       2,153  

Enbridge

               

6.700%, 11/15/2053

    925       1,050  

Energy Transfer LP

               

6.050%, 06/01/2041

    2,225       2,271  

5.400%, 10/01/2047

    1,322       1,236  

5.300%, 04/15/2047

    190       176  

5.150%, 03/15/2045

    3,300       3,020  

Eni SpA

               

5.950%, 05/15/2054 (A)

    220       226  

5.700%, 10/01/2040 (A)

    2,285       2,251  

Enterprise Products Operating LLC

               

7.550%, 04/15/2038

    2,000       2,451  

6.125%, 10/15/2039

    1,335       1,455  

5.950%, 02/01/2041

    166       177  

5.550%, 02/16/2055

    9,487       9,653  

4.900%, 05/15/2046

    6,855       6,416  

4.850%, 08/15/2042

    4,205       3,952  

4.850%, 03/15/2044

    1,425       1,333  

EOG Resources

               

4.950%, 04/15/2050

    1,600       1,517  

Equinor

               

5.100%, 08/17/2040

    2,335       2,336  

4.800%, 11/08/2043

    899       867  

3.700%, 04/06/2050

    3,785       3,003  

3.625%, 04/06/2040

    2,620       2,206  

3.250%, 11/18/2049

    1,889       1,385  

Exxon Mobil

               

4.327%, 03/19/2050

    4,973       4,410  

4.227%, 03/19/2040

    3,535       3,247  

4.114%, 03/01/2046

    1,010       880  

3.452%, 04/15/2051

    14,677       11,160  

3.095%, 08/16/2049

    790       568  

Greensaif Pipelines Bidco Sarl

               

6.103%, 08/23/2042 (A)

    1,100       1,129  

Hess

               

6.000%, 01/15/2040

    3,100       3,291  

 

 

 

264

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.600%, 02/15/2041

  $ 2,555     $ 2,613  

Marathon Petroleum

               

5.000%, 09/15/2054

    300       263  

Northern Natural Gas

               

4.300%, 01/15/2049 (A)

    1,530       1,261  

Occidental Petroleum

               

4.300%, 08/15/2039

    462       392  

Saudi Arabian Oil MTN

               

5.750%, 07/17/2054 (A)

    1,955       1,961  

Shell International Finance BV

               

6.375%, 12/15/2038

    4,521       5,162  

4.550%, 08/12/2043

    1,840       1,722  

4.375%, 05/11/2045

    10,530       9,389  

4.000%, 05/10/2046

    1,580       1,325  

3.750%, 09/12/2046

    6,994       5,630  

3.625%, 08/21/2042

    1,150       943  

3.250%, 04/06/2050

    165       120  

3.000%, 11/26/2051

    3,147       2,155  

Suncor Energy

               

5.950%, 12/01/2034

    1,453       1,538  

Tennessee Gas Pipeline LLC

               

8.375%, 06/15/2032

    2,020       2,377  

TotalEnergies Capital

               

5.638%, 04/05/2064

    3,880       4,029  

5.488%, 04/05/2054

    1,270       1,310  

TotalEnergies Capital International

               

3.386%, 06/29/2060

    480       338  

3.127%, 05/29/2050

    13,670       9,721  

2.986%, 06/29/2041

    1,380       1,046  

TransCanada PipeLines

               

5.600%, 03/31/2034

    835       869  

Williams

               

5.400%, 03/04/2044

    1,000       973  
                 
              174,625  
                 

Financials — 20.0%

       

AIA Group MTN

               

4.875%, 03/11/2044 (A)

    3,372       3,236  

AIB Group PLC MTN

               

5.871%, SOFRRATE + 1.910%, 03/28/2035 (A)(B)

    445       460  

Alleghany

               

4.900%, 09/15/2044

    1,385       1,336  

Allstate

               

4.500%, 06/15/2043

    528       474  

American Express

               

5.284%, SOFRRATE + 1.420%, 07/26/2035 (B)

    1,620       1,655  

American International Group

               

4.800%, 07/10/2045

    205       191  

Aon Corp / Aon Global Holdings PLC

               

3.900%, 02/28/2052

    1,035       807  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Apollo Global Management

               

5.800%, 05/21/2054

  $ 2,380     $ 2,449  

Arthur J Gallagher

               

5.750%, 03/02/2053

    380       385  

Athene Holding

               

6.650%, 02/01/2033

    285       310  

Bank of America

               

7.750%, 05/14/2038

    2,140       2,656  

6.000%, 10/15/2036

    3,780       4,107  

5.872%, SOFRRATE + 1.840%, 09/15/2034 (B)

    3,095       3,289  

5.468%, SOFRRATE + 1.650%, 01/23/2035 (B)

    11,180       11,572  

4.571%, SOFRRATE + 1.830%, 04/27/2033 (B)

    2,855       2,793  

3.311%, SOFRRATE + 1.580%, 04/22/2042 (B)

    20,144       15,885  

2.651%, SOFRRATE + 1.220%, 03/11/2032 (B)

    5,145       4,514  

2.572%, SOFRRATE + 1.210%, 10/20/2032 (B)

    1,250       1,081  

Bank of America MTN

               

5.875%, 02/07/2042

    1,935       2,113  

5.425%, SOFRRATE + 1.913%, 08/15/2035 (B)

    3,735       3,743  

4.083%, TSFR3M + 3.412%, 03/20/2051 (B)

    6,145       5,172  

4.078%, TSFR3M + 1.582%, 04/23/2040 (B)

    5,755       5,142  

2.972%, SOFRRATE + 1.330%, 02/04/2033 (B)

    5,555       4,897  

2.676%, SOFRRATE + 1.930%, 06/19/2041 (B)

    30,773       22,490  

Berkshire Hathaway Finance

               

4.400%, 05/15/2042

    1,180       1,133  

4.300%, 05/15/2043

    1,525       1,408  

4.200%, 08/15/2048

    1,575       1,413  

3.850%, 03/15/2052

    6,200       5,103  

2.850%, 10/15/2050

    5,086       3,493  

BlackRock Funding

               

5.350%, 01/08/2055

    4,070       4,176  

5.250%, 03/14/2054

    3,270       3,316  

Blackstone Holdings Finance LLC

               

6.250%, 08/15/2042 (A)

    1,802       1,939  

Brookfield Finance

               

5.968%, 03/04/2054

    7,965       8,388  

Canadian Imperial Bank of Commerce

               

6.092%, 10/03/2033

    1,055       1,135  

Capital One Financial

               

5.884%, SOFRRATE + 1.990%, 07/26/2035 (B)

    720       739  

Carlyle Holdings II Finance LLC

               

5.625%, 03/30/2043 (A)

    2,262       2,238  

 

 

 

SEI Institutional Investments Trust

 

265

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Chubb INA Holdings LLC

               

6.700%, 05/15/2036

  $ 4,870     $ 5,652  

4.350%, 11/03/2045

    2,915       2,617  

3.050%, 12/15/2061

    3,090       2,054  

Cincinnati Financial

               

6.125%, 11/01/2034

    1,853       1,980  

Citibank

               

5.570%, 04/30/2034

    2,790       2,931  

Citigroup

               

8.125%, 07/15/2039

    4,620       6,012  

6.125%, 08/25/2036

    455       484  

5.827%, SOFRRATE + 2.056%, 02/13/2035 (B)

    2,015       2,071  

5.449%, SOFRRATE + 1.447%, 06/11/2035 (B)

    2,705       2,780  

5.316%, SOFRRATE + 4.548%, 03/26/2041 (B)

    4,915       4,901  

4.650%, 07/30/2045

    1,539       1,409  

4.281%, TSFR3M + 2.101%, 04/24/2048 (B)

    6,550       5,633  

3.878%, TSFR3M + 1.430%, 01/24/2039 (B)

    3,630       3,167  

2.904%, SOFRRATE + 1.379%, 11/03/2042 (B)

    3,665       2,666  

Citigroup Capital III

               

7.625%, 12/01/2036

    890       947  

CME Group

               

4.150%, 06/15/2048

    1,634       1,438  

Corestates Capital III

               

5.950%, TSFR3M + 0.832%, 02/15/2027 (A)(B)

    375       367  

Farmers Exchange Capital

               

7.200%, 07/15/2048 (A)

    800       787  

Farmers Exchange Capital II

               

6.151%, TSFR3M + 4.006%, 11/01/2053 (A)(B)

    2,890       2,703  

Global Payments

               

5.950%, 08/15/2052

    705       717  

Goldman Sachs Capital I

               

6.345%, 02/15/2034

    5,030       5,461  

Goldman Sachs Group

               

6.450%, 05/01/2036

    1,115       1,231  

6.250%, 02/01/2041

    4,014       4,480  

4.411%, TSFR3M + 1.692%, 04/23/2039 (B)

    14,505       13,401  

4.017%, TSFR3M + 1.635%, 10/31/2038 (B)

    7,165       6,347  

3.436%, SOFRRATE + 1.632%, 02/24/2043 (B)

    1,450       1,148  

3.210%, SOFRRATE + 1.513%, 04/22/2042 (B)

    2,700       2,088  

3.102%, SOFRRATE + 1.410%, 02/24/2033 (B)

    1,480       1,309  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

2.908%, SOFRRATE + 1.472%, 07/21/2042 (B)

  $ 4,300     $ 3,171  

1.992%, SOFRRATE + 1.090%, 01/27/2032 (B)

    1,630       1,370  

Goldman Sachs Group MTN

               

4.800%, 07/08/2044

    4,973       4,725  

Guardian Life Insurance of America

               

4.875%, 06/19/2064 (A)

    1,155       1,064  

HSBC Bank USA

               

7.000%, 01/15/2039

    7,597       8,882  

HSBC Holdings PLC

               

6.800%, 06/01/2038

    3,219       3,540  

6.500%, 09/15/2037

    4,820       5,215  

6.332%, SOFRRATE + 2.650%, 03/09/2044 (B)

    3,035       3,321  

Intercontinental Exchange

               

4.950%, 06/15/2052

    2,918       2,853  

3.000%, 06/15/2050

    1,175       828  

JAB Holdings BV

               

4.500%, 04/08/2052 (A)

    1,270       982  

Jackson Financial

               

4.000%, 11/23/2051

    495       361  

JPMorgan Chase

               

8.750%, 09/01/2030

    605       731  

6.400%, 05/15/2038

    5,484       6,347  

6.254%, SOFRRATE + 1.810%, 10/23/2034 (B)

    2,330       2,554  

5.766%, SOFRRATE + 1.490%, 04/22/2035 (B)

    2,105       2,236  

5.600%, 07/15/2041

    2,670       2,852  

5.500%, 10/15/2040

    2,695       2,841  

5.400%, 01/06/2042

    2,814       2,941  

5.336%, SOFRRATE + 1.620%, 01/23/2035 (B)

    7,675       7,904  

5.294%, SOFRRATE + 1.460%, 07/22/2035 (B)

    3,015       3,094  

4.032%, TSFR3M + 1.722%, 07/24/2048 (B)

    1,310       1,112  

3.964%, TSFR3M + 1.642%, 11/15/2048 (B)

    9,035       7,568  

3.897%, TSFR3M + 1.482%, 01/23/2049 (B)

    6,195       5,157  

3.882%, TSFR3M + 1.622%, 07/24/2038 (B)

    19,125       17,062  

3.328%, SOFRRATE + 1.580%, 04/22/2052 (B)

    9,968       7,429  

3.157%, SOFRRATE + 1.460%, 04/22/2042 (B)

    2,220       1,733  

3.109%, SOFRRATE + 2.440%, 04/22/2051 (B)

    190       137  

3.109%, TSFR3M + 2.460%, 04/22/2041 (B)

    420       328  

2.545%, SOFRRATE + 1.180%, 11/08/2032 (B)

    3,260       2,819  

 

 

 

266

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

2.525%, TSFR3M + 1.510%, 11/19/2041 (B)

  $ 4,265     $ 3,065  

KKR Group Finance II LLC

               

5.500%, 02/01/2043 (A)

    1,478       1,462  

KKR Group Finance III LLC

               

5.125%, 06/01/2044 (A)

    3,347       3,143  

KKR Group Finance VIII LLC

               

3.500%, 08/25/2050 (A)

    443       322  

KKR Group Finance X LLC

               

3.250%, 12/15/2051 (A)

    830       569  

LSEGA Financing PLC

               

3.200%, 04/06/2041 (A)

    4,214       3,283  

Marsh & McLennan

               

6.250%, 11/01/2052

    3,030       3,464  

5.700%, 09/15/2053

    1,890       2,009  

5.450%, 03/15/2053

    530       542  

5.450%, 03/15/2054

    195       200  

4.900%, 03/15/2049

    3,467       3,283  

4.350%, 01/30/2047

    1,300       1,134  

4.200%, 03/01/2048

    3,890       3,331  

2.900%, 12/15/2051

    1,175       778  

Massachusetts Mutual Life Insurance

               

4.900%, 04/01/2077 (A)

    2,690       2,353  

3.729%, 10/15/2070 (A)

    3,205       2,259  

Mastercard

               

3.950%, 02/26/2048

    1,230       1,051  

3.850%, 03/26/2050

    7,426       6,165  

MetLife

               

5.875%, 02/06/2041

    1,675       1,788  

5.700%, 06/15/2035

    4,239       4,542  

5.250%, 01/15/2054

    2,445       2,453  

5.000%, 07/15/2052

    5,010       4,825  

4.875%, 11/13/2043

    3,080       2,931  

4.721%, 12/15/2044

    3,450       3,171  

4.125%, 08/13/2042

    2,370       2,057  

Moody's

               

4.875%, 12/17/2048

    2,216       2,080  

3.250%, 05/20/2050

    420       300  

2.750%, 08/19/2041

    250       181  

Morgan Stanley

               

5.948%, H15T5Y + 2.430%, 01/19/2038 (B)

    520       539  

5.466%, SOFRRATE + 1.730%, 01/18/2035 (B)

    2,160       2,226  

5.320%, SOFRRATE + 1.555%, 07/19/2035 (B)

    1,640       1,675  

5.297%, SOFRRATE + 2.620%, 04/20/2037 (B)

    190       188  

4.457%, TSFR3M + 1.693%, 04/22/2039 (B)

    3,743       3,512  

3.217%, SOFRRATE + 1.485%, 04/22/2042 (B)

    5,550       4,352  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Morgan Stanley MTN

               

5.831%, SOFRRATE + 1.580%, 04/19/2035 (B)

  $ 900     $ 952  

5.250%, SOFRRATE + 1.870%, 04/21/2034 (B)

    885       900  

4.375%, 01/22/2047

    125       112  

4.300%, 01/27/2045

    7,550       6,772  

3.971%, TSFR3M + 1.455%, 07/22/2038 (B)

    8,585       7,651  

2.943%, SOFRRATE + 1.290%, 01/21/2033 (B)

    5,750       5,057  

2.802%, SOFRRATE + 1.430%, 01/25/2052 (B)

    780       523  

2.511%, SOFRRATE + 1.200%, 10/20/2032 (B)

    545       467  

2.239%, SOFRRATE + 1.178%, 07/21/2032 (B)

    1,965       1,663  

Nasdaq

               

5.950%, 08/15/2053

    885       948  

Nationwide Mutual Insurance

               

9.375%, 08/15/2039 (A)

    1,820       2,422  

4.350%, 04/30/2050 (A)

    1,795       1,422  

New York Life Insurance

               

6.750%, 11/15/2039 (A)

    3,040       3,521  

5.875%, 05/15/2033 (A)

    4,024       4,281  

3.750%, 05/15/2050 (A)

    1,960       1,522  

Northwestern Mutual Life Insurance

               

3.850%, 09/30/2047 (A)

    450       357  

3.625%, 09/30/2059 (A)

    5,902       4,273  

Pacific Life Insurance

               

4.300%, SOFRRATE + 2.796%, 10/24/2067 (A)(B)

    1,350       1,094  

Pacific LifeCorp

               

3.350%, 09/15/2050 (A)

    312       222  

PayPal Holdings

               

5.500%, 06/01/2054

    1,165       1,191  

3.250%, 06/01/2050

    2,000       1,442  

PNC Financial Services Group

               

6.875%, SOFRRATE + 2.284%, 10/20/2034 (B)

    525       591  

6.037%, SOFRINDX + 2.140%, 10/28/2033 (B)

    1,535       1,633  

5.676%, SOFRRATE + 1.902%, 01/22/2035 (B)

    100       104  

5.401%, SOFRRATE + 1.599%, 07/23/2035 (B)

    3,310       3,390  

Progressive

               

3.700%, 03/15/2052

    4,525       3,553  

Prologis Targeted US Logistics Fund LP

               

5.250%, 01/15/2035 (A)

    1,650       1,665  

Prudential Financial MTN

               

5.700%, 12/14/2036

    4,878       5,206  

Raymond James Financial

               

4.950%, 07/15/2046

    1,164       1,098  

 

 

 

SEI Institutional Investments Trust

 

267

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.750%, 04/01/2051

  $ 2,669     $ 2,056  

S&P Global

               

3.900%, 03/01/2062

    550       437  

3.700%, 03/01/2052

    2,235       1,784  

3.250%, 12/01/2049

    2,331       1,729  

Securian Financial Group

               

4.800%, 04/15/2048 (A)

    2,921       2,599  

Societe Generale MTN

               

7.367%, 01/10/2053 (A)

    1,760       1,829  

Teachers Insurance & Annuity Association of America

               

4.900%, 09/15/2044 (A)

    4,475       4,189  

4.270%, 05/15/2047 (A)

    2,793       2,367  

3.300%, 05/15/2050 (A)

    4,555       3,241  

Travelers

               

5.450%, 05/25/2053

    5,250       5,490  

5.350%, 11/01/2040

    1,565       1,603  

4.600%, 08/01/2043

    3,835       3,590  

4.100%, 03/04/2049

    3,853       3,293  

4.050%, 03/07/2048

    1,300       1,108  

Travelers MTN

               

6.250%, 06/15/2037

    1,205       1,356  

Truist Financial MTN

               

5.867%, SOFRRATE + 2.361%, 06/08/2034 (B)

    1,700       1,776  

5.711%, SOFRRATE + 1.922%, 01/24/2035 (B)

    6,490       6,722  

5.122%, SOFRRATE + 1.852%, 01/26/2034 (B)

    1,985       1,974  

4.916%, SOFRRATE + 2.240%, 07/28/2033 (B)

    3,105       3,003  

UBS

               

4.500%, 06/26/2048

    2,245       2,064  

UBS Group

               

5.699%, H15T1Y + 1.770%, 02/08/2035 (A)(B)

    2,590       2,686  

US Bancorp

               

5.836%, SOFRRATE + 2.260%, 06/12/2034 (B)

    1,485       1,560  

5.678%, SOFRRATE + 1.860%, 01/23/2035 (B)

    2,895       3,012  

4.839%, SOFRRATE + 1.600%, 02/01/2034 (B)

    2,885       2,836  

Visa

               

4.300%, 12/14/2045

    8,035       7,285  

2.700%, 04/15/2040

    700       536  

2.000%, 08/15/2050

    5,410       3,233  

WEA Finance LLC

               

4.625%, 09/20/2048 (A)

    2,000       1,610  

Wells Fargo

               

7.950%, 11/15/2029

    695       796  

6.600%, 01/15/2038

    9,765       11,101  

6.491%, SOFRRATE + 2.060%, 10/23/2034 (B)

    1,770       1,949  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.950%, 08/26/2036

  $ 5,460     $ 5,862  

5.950%, 12/15/2036

    1,002       1,038  

5.850%, 02/01/2037

    8,552       9,061  

5.606%, 01/15/2044

    436       442  

5.499%, SOFRRATE + 1.780%, 01/23/2035 (B)

    6,160       6,357  

5.389%, SOFRRATE + 2.020%, 04/24/2034 (B)

    2,210       2,265  

3.900%, 05/01/2045

    3,324       2,767  

3.068%, SOFRRATE + 2.530%, 04/30/2041 (B)

    3,030       2,316  

Wells Fargo MTN

               

5.557%, SOFRRATE + 1.990%, 07/25/2034 (B)

    1,425       1,471  

5.013%, TSFR3M + 4.502%, 04/04/2051 (B)

    13,557       12,990  

4.900%, 11/17/2045

    1,645       1,507  

4.750%, 12/07/2046

    4,760       4,257  

4.650%, 11/04/2044

    2,450       2,185  

4.611%, SOFRRATE + 2.130%, 04/25/2053 (B)

    4,680       4,239  

4.400%, 06/14/2046

    5,865       4,988  

3.350%, SOFRRATE + 1.500%, 03/02/2033 (B)

    3,045       2,740  

Western & Southern Life Insurance

               

3.750%, 04/28/2061 (A)

    695       489  

XL Group

               

5.250%, 12/15/2043

    2,405       2,342  
                 
              628,571  
                 

Health Care — 13.8%

       

Abbott Laboratories

               

5.300%, 05/27/2040

    1,520       1,605  

4.900%, 11/30/2046

    7,238       7,165  

4.750%, 11/30/2036

    500       506  

AbbVie

               

5.500%, 03/15/2064

    3,705       3,847  

5.400%, 03/15/2054

    11,129       11,533  

5.350%, 03/15/2044

    780       804  

5.050%, 03/15/2034

    860       886  

4.850%, 06/15/2044

    225       217  

4.750%, 03/15/2045

    6,770       6,428  

4.700%, 05/14/2045

    4,034       3,792  

4.400%, 11/06/2042

    635       583  

4.250%, 11/21/2049

    20,261       17,666  

4.050%, 11/21/2039

    2,250       2,038  

Advocate Health & Hospitals

               

4.272%, 08/15/2048

    1,717       1,537  

Aetna

               

4.125%, 11/15/2042

    780       637  

Alcon Finance

               

3.800%, 09/23/2049 (A)

    1,070       846  

Allina Health System

               

4.805%, 11/15/2045

    1,666       1,569  

 

 

 

268

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.887%, 04/15/2049

  $ 1,454     $ 1,198  

Amgen

               

5.750%, 03/02/2063

    1,055       1,082  

5.600%, 03/02/2043

    855       874  

4.875%, 03/01/2053

    480       441  

4.400%, 05/01/2045

    165       144  

Ascension Health

               

4.847%, 11/15/2053

    520       510  

3.945%, 11/15/2046

    1,291       1,104  

3.106%, 11/15/2039

    3,150       2,563  

AstraZeneca PLC

               

6.450%, 09/15/2037

    4,349       5,012  

4.375%, 11/16/2045

    3,734       3,403  

3.000%, 05/28/2051

    1,873       1,319  

Banner Health

               

2.907%, 01/01/2042

    1,781       1,339  

Baptist Health South Florida

               

4.342%, 11/15/2041

    610       546  

Bayer US Finance II LLC

               

4.700%, 07/15/2064 (A)

    2,130       1,650  

4.625%, 06/25/2038 (A)

    645       572  

4.400%, 07/15/2044 (A)

    1,585       1,268  

3.950%, 04/15/2045 (A)

    2,680       1,981  

Baylor Scott & White Holdings

               

4.185%, 11/15/2045

    1,700       1,526  

Bon Secours Mercy Health

               

3.205%, 06/01/2050

    1,100       786  

Bristol-Myers Squibb

               

6.400%, 11/15/2063

    2,955       3,384  

5.650%, 02/22/2064

    705       727  

5.550%, 02/22/2054

    6,805       7,025  

4.550%, 02/20/2048

    1,614       1,451  

4.250%, 10/26/2049

    12,889       11,012  

3.900%, 03/15/2062

    1,910       1,457  

3.700%, 03/15/2052

    7,449       5,712  

3.550%, 03/15/2042

    5,395       4,402  

Carilion Clinic Obligated Group

               

3.147%, 07/01/2051

    535       374  

Children's Health Care

               

3.448%, 08/15/2049

    815       611  

Children's Hospital Medical Center

               

2.820%, 11/15/2050

    1,180       802  

Cigna Group

               

4.800%, 08/15/2038

    1,300       1,247  

3.875%, 10/15/2047

    1,200       939  

City of Hope

               

5.623%, 11/15/2043

    920       924  

Cleveland Clinic Foundation

               

4.858%, 01/01/2114

    1,223       1,142  

CommonSpirit Health

               

4.187%, 10/01/2049

    805       674  

CVS Health

               

6.050%, 06/01/2054

    1,110       1,119  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.875%, 06/01/2053

  $ 425     $ 419  

5.050%, 03/25/2048

    5,989       5,309  

4.780%, 03/25/2038

    2,585       2,375  

Danaher

               

2.800%, 12/10/2051

    1,315       876  

Elevance Health

               

6.100%, 10/15/2052

    350       381  

5.650%, 06/15/2054

    2,206       2,265  

Eli Lilly

               

5.200%, 08/14/2064

    3,201       3,242  

5.100%, 02/09/2064

    8,107       8,088  

5.050%, 08/14/2054

    3,920       3,935  

5.000%, 02/09/2054

    4,100       4,083  

4.950%, 02/27/2063

    4,639       4,527  

4.875%, 02/27/2053

    3,600       3,526  

3.950%, 03/15/2049

    2,925       2,490  

GE HealthCare Technologies

               

6.377%, 11/22/2052

    430       490  

Gilead Sciences

               

4.800%, 04/01/2044

    750       704  

4.500%, 02/01/2045

    2,155       1,934  

GlaxoSmithKline Capital

               

6.375%, 05/15/2038

    5,519       6,321  

HCA

               

5.250%, 06/15/2049

    610       566  

Health Care Service A Mutual Legal Reserve

               

5.875%, 06/15/2054 (A)

    3,818       3,932  

3.200%, 06/01/2050 (A)

    3,435       2,328  

Hoag Memorial Hospital Presbyterian

               

3.803%, 07/15/2052

    1,385       1,141  

Humana

               

8.150%, 06/15/2038

    1,510       1,860  

5.750%, 04/15/2054

    95       95  

4.625%, 12/01/2042

    505       444  

Indiana University Health Obligated Group

               

3.970%, 11/01/2048

    1,850       1,596  

Johnson & Johnson

               

4.850%, 05/15/2041

    6,672       6,771  

3.750%, 03/03/2047

    400       337  

3.700%, 03/01/2046

    235       199  

3.625%, 03/03/2037

    790       720  

3.400%, 01/15/2038

    3,600       3,167  

2.100%, 09/01/2040

    1,335       941  

Kaiser Foundation Hospitals

               

4.150%, 05/01/2047

    960       841  

3.266%, 11/01/2049

    2,275       1,715  

2.810%, 06/01/2041

    6,775       5,125  

Mass General Brigham

               

3.765%, 07/01/2048

    1,000       825  

3.342%, 07/01/2060

    1,015       729  

3.192%, 07/01/2049

    2,467       1,819  

Medtronic

               

4.375%, 03/15/2035

    2,330       2,282  

 

 

 

SEI Institutional Investments Trust

 

269

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Memorial Health Services

               

3.447%, 11/01/2049

  $ 2,805     $ 2,182  

Memorial Sloan-Kettering Cancer Center

               

5.000%, 07/01/2042

    235       234  

4.125%, 07/01/2052

    2,400       2,128  

2.955%, 01/01/2050

    780       556  

Merck

               

5.000%, 05/17/2053

    4,110       4,046  

4.900%, 05/17/2044

    2,605       2,551  

4.150%, 05/18/2043

    2,700       2,404  

4.000%, 03/07/2049

    550       464  

3.900%, 03/07/2039

    1,410       1,268  

3.700%, 02/10/2045

    8,930       7,320  

2.900%, 12/10/2061

    2,286       1,429  

2.750%, 12/10/2051

    1,325       871  

2.350%, 06/24/2040

    420       300  

Merck Sharp & Dohme Corp

               

5.750%, 11/15/2036

    1,200       1,311  

MyMichigan Health

               

3.409%, 06/01/2050

    2,220       1,646  

New York and Presbyterian Hospital

               

4.763%, 08/01/2116

    1,705       1,534  

Northwell Healthcare

               

4.260%, 11/01/2047

    685       581  

Novant Health

               

3.168%, 11/01/2051

    2,615       1,861  

Novartis Capital

               

4.400%, 05/06/2044

    800       747  

4.000%, 11/20/2045

    3,050       2,668  

NYU Langone Hospitals

               

5.750%, 07/01/2043

    1,690       1,819  

4.368%, 07/01/2047

    1,645       1,504  

3.380%, 07/01/2055

    1,510       1,110  

Orlando Health Obligated Group

               

3.327%, 10/01/2050

    800       608  

PeaceHealth Obligated Group

               

3.218%, 11/15/2050

    3,470       2,407  

Pfizer

               

4.400%, 05/15/2044

    1,025       953  

4.300%, 06/15/2043

    3,860       3,484  

4.200%, 09/15/2048

    4,600       3,983  

4.100%, 09/15/2038

    1,900       1,745  

4.000%, 12/15/2036

    200       187  

3.900%, 03/15/2039

    2,100       1,873  

2.550%, 05/28/2040

    575       418  

Pfizer Investment Enterprises Pte

               

5.340%, 05/19/2063

    9,303       9,232  

5.300%, 05/19/2053

    11,725       11,783  

5.110%, 05/19/2043

    7,605       7,519  

Pharmacia LLC

               

6.600%, 12/01/2028

    1,045       1,136  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Providence St. Joseph Health Obligated Group

               

3.744%, 10/01/2047

  $ 1,520     $ 1,200  

Rady Children's Hospital-San Diego

               

3.154%, 08/15/2051

    865       628  

Revvity

               

3.625%, 03/15/2051

    325       237  

Roche Holdings

               

5.218%, 03/08/2054 (A)

    1,725       1,789  

2.607%, 12/13/2051 (A)

    700       454  

Sentara Health

               

2.927%, 11/01/2051

    805       554  

Shands Teaching Hospital and Clinics

               

4.741%, 12/01/2042

    1,750       1,556  

Sharp HealthCare

               

2.680%, 08/01/2050

    1,500       995  

Solventum

               

6.000%, 05/15/2064 (A)

    360       361  

Stanford Health Care

               

3.795%, 11/15/2048

    5,302       4,473  

STERIS Irish FinCo UnLtd

               

3.750%, 03/15/2051

    325       244  

Trinity Health

               

4.125%, 12/01/2045

    1,277       1,132  

UnitedHealth Group

               

6.625%, 11/15/2037

    1,080       1,254  

6.500%, 06/15/2037

    1,255       1,434  

6.050%, 02/15/2063

    1,625       1,784  

5.950%, 02/15/2041

    1,280       1,385  

5.875%, 02/15/2053

    3,641       3,936  

5.800%, 03/15/2036

    620       671  

5.750%, 07/15/2064

    6,388       6,706  

5.700%, 10/15/2040

    445       468  

5.625%, 07/15/2054

    9,240       9,651  

5.500%, 07/15/2044

    3,060       3,152  

5.500%, 04/15/2064

    2,160       2,203  

5.375%, 04/15/2054

    3,890       3,933  

4.750%, 07/15/2045

    5,005       4,719  

4.750%, 05/15/2052

    7,780       7,220  

4.450%, 12/15/2048

    13,024       11,624  

4.375%, 03/15/2042

    30       27  

4.250%, 04/15/2047

    2,730       2,373  

4.250%, 06/15/2048

    7,070       6,100  

4.200%, 01/15/2047

    1,477       1,272  

3.950%, 10/15/2042

    6,950       5,969  

3.750%, 10/15/2047

    805       643  

3.700%, 08/15/2049

    1,726       1,360  

3.500%, 08/15/2039

    4,340       3,644  

3.250%, 05/15/2051

    5,360       3,864  

3.050%, 05/15/2041

    8,681       6,674  

2.900%, 05/15/2050

    1,700       1,157  

 

 

 

270

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

West Virginia United Health System Obligated Group

               

3.129%, 06/01/2050

  $ 900     $ 614  

Willis-Knighton Medical Center

               

4.813%, 09/01/2048

    1,710       1,537  

Wyeth LLC

               

5.950%, 04/01/2037

    15,899       17,377  
                 
              432,613  
                 

Industrials — 6.8%

       

AerCap Ireland Capital DAC / AerCap Global Aviation Trust

               

3.850%, 10/29/2041

    560       460  

3.300%, 01/30/2032

    975       866  

Air Canada Pass-Through Trust, Ser 2013-1, Cl A

               

4.125%, 05/15/2025 (A)

    270       266  

Airbus

               

3.950%, 04/10/2047 (A)

    1,650       1,406  

American Airlines Pass-Through Trust, Ser 2016-2, Cl AA

               

3.200%, 06/15/2028

    646       607  

BAE Systems PLC

               

3.000%, 09/15/2050 (A)

    4,771       3,241  

Boeing

               

7.008%, 05/01/2064 (A)

    2,465       2,655  

6.858%, 05/01/2054 (A)

    1,035       1,115  

5.930%, 05/01/2060

    865       817  

5.805%, 05/01/2050

    5,480       5,172  

5.705%, 05/01/2040

    1,960       1,905  

3.750%, 02/01/2050

    895       618  

Burlington Northern Santa Fe LLC

               

5.500%, 03/15/2055

    3,397       3,555  

5.200%, 04/15/2054

    1,730       1,739  

5.150%, 09/01/2043

    1,315       1,323  

4.900%, 04/01/2044

    9,236       8,905  

4.550%, 09/01/2044

    3,835       3,518  

4.450%, 03/15/2043

    560       511  

4.450%, 01/15/2053

    2,169       1,944  

4.400%, 03/15/2042

    2,825       2,575  

4.375%, 09/01/2042

    295       268  

4.150%, 04/01/2045

    9,290       8,041  

4.050%, 06/15/2048

    1,935       1,640  

3.300%, 09/15/2051

    4,705       3,445  

3.050%, 02/15/2051

    2,160       1,504  

2.875%, 06/15/2052

    4,305       2,883  

Canadian National Railway

               

6.200%, 06/01/2036

    5,110       5,699  

4.500%, 11/07/2043

    1,720       1,565  

4.400%, 08/05/2052

    2,796       2,519  

Canadian Pacific Railway

               

6.125%, 09/15/2115

    1,405       1,491  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Caterpillar

               

4.750%, 05/15/2064

  $ 500     $ 466  

CSX

               

4.500%, 11/15/2052

    1,970       1,774  

Cummins

               

5.450%, 02/20/2054

    2,781       2,855  

2.600%, 09/01/2050

    2,660       1,689  

Deere

               

3.900%, 06/09/2042

    800       699  

2.875%, 09/07/2049

    3,095       2,175  

Emerson Electric

               

2.800%, 12/21/2051

    4,551       3,020  

General Dynamics

               

4.250%, 04/01/2040

    2,540       2,319  

4.250%, 04/01/2050

    2,959       2,598  

Georgia-Pacific LLC

               

8.875%, 05/15/2031

    475       589  

7.250%, 06/01/2028

    330       361  

Honeywell International

               

5.350%, 03/01/2064

    2,040       2,086  

5.250%, 03/01/2054

    15,213       15,440  

John Deere Capital MTN

               

5.050%, 06/12/2034

    2,065       2,125  

Lockheed Martin

               

5.900%, 11/15/2063

    1,875       2,098  

5.700%, 11/15/2054

    1,060       1,152  

5.200%, 02/15/2064

    3,680       3,706  

4.700%, 05/15/2046

    550       523  

4.300%, 06/15/2062

    2,676       2,295  

4.090%, 09/15/2052

    7,457       6,345  

4.070%, 12/15/2042

    7,121       6,302  

2.800%, 06/15/2050

    1,125       754  

Nature Conservancy

               

3.957%, 03/01/2052

    1,035       900  

Norfolk Southern

               

5.100%, 08/01/2118

    430       387  

4.837%, 10/01/2041

    4,500       4,284  

3.700%, 03/15/2053

    500       381  

PACCAR Financial MTN

               

5.000%, 03/22/2034

    2,497       2,572  

RTX

               

6.125%, 07/15/2038

    295       322  

4.625%, 11/16/2048

    1,315       1,184  

4.500%, 06/01/2042

    4,787       4,333  

3.750%, 11/01/2046

    2,039       1,618  

2.820%, 09/01/2051

    150       97  

Siemens Financieringsmaatschappij

               

2.875%, 03/11/2041 (A)

    3,245       2,480  

Smurfit Kappa Treasury ULC

               

5.777%, 04/03/2054 (A)

    1,105       1,160  

Snap-on

               

4.100%, 03/01/2048

    4,686       3,995  

 

 

 

SEI Institutional Investments Trust

 

271

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

TTX

               

4.600%, 02/01/2049 (A)

  $ 2,842     $ 2,641  

Union Pacific

               

4.950%, 05/15/2053

    195       190  

3.875%, 02/01/2055

    2,140       1,706  

3.839%, 03/20/2060

    17,709       13,711  

3.500%, 02/14/2053

    7,750       5,866  

3.375%, 02/14/2042

    805       643  

2.973%, 09/16/2062

    2,815       1,763  

2.950%, 03/10/2052

    14,197       9,718  

Union Pacific MTN

               

3.550%, 08/15/2039

    905       775  

United Airlines Pass Through Trust, Ser 2024-1

               

5.450%, 02/15/2037

    1,430       1,472  

United Airlines Pass-Through Trust, Ser 2023-1, Cl A

               

5.800%, 01/15/2036

    1,075       1,111  

United Parcel Service

               

7.620%, 04/01/2030 (C)

    710       822  

6.200%, 01/15/2038

    3,532       3,962  

5.500%, 05/22/2054

    2,365       2,461  

5.200%, 04/01/2040

    725       733  

5.050%, 03/03/2053

    6,529       6,390  

3.625%, 10/01/2042

    1,230       1,007  

WW Grainger

               

4.600%, 06/15/2045

    1,328       1,244  
                 
              213,552  
                 

Information Technology — 6.4%

       

Analog Devices

               

2.950%, 10/01/2051

    6,467       4,481  

2.800%, 10/01/2041

    3,790       2,793  

Apple

               

4.650%, 02/23/2046

    8,195       8,026  

4.375%, 05/13/2045

    10,518       9,897  

3.850%, 05/04/2043

    3,490       3,082  

3.850%, 08/04/2046

    13,420       11,574  

3.750%, 09/12/2047

    6,905       5,828  

3.750%, 11/13/2047

    170       143  

3.450%, 02/09/2045

    9,950       8,198  

2.850%, 08/05/2061

    6,070       4,020  

2.800%, 02/08/2061

    1,390       912  

2.700%, 08/05/2051

    2,550       1,727  

2.650%, 05/11/2050

    1,440       975  

2.650%, 02/08/2051

    13,890       9,458  

2.375%, 02/08/2041

    1,440       1,050  

Applied Materials

               

4.350%, 04/01/2047

    1,481       1,346  

Broadcom

               

4.926%, 05/15/2037 (A)

    2,080       2,032  

Cisco Systems

               

5.900%, 02/15/2039

    3,985       4,409  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.500%, 01/15/2040

  $ 2,094     $ 2,222  

5.350%, 02/26/2064

    5,390       5,568  

5.300%, 02/26/2054

    9,827       10,145  

Foundry JV Holdco LLC

               

6.400%, 01/25/2038 (A)

    1,488       1,540  

IBM International Capital Pte

               

5.300%, 02/05/2054

    3,310       3,259  

5.250%, 02/05/2044

    5,795       5,768  

Intel

               

5.700%, 02/10/2053

    2,990       2,860  

4.900%, 08/05/2052

    1,155       984  

3.734%, 12/08/2047

    3,575       2,551  

International Business Machines

               

4.900%, 07/27/2052

    435       407  

4.250%, 05/15/2049

    3,725       3,169  

4.150%, 05/15/2039

    775       696  

4.000%, 06/20/2042

    1,740       1,490  

Intuit

               

5.500%, 09/15/2053

    4,920       5,177  

KLA

               

4.950%, 07/15/2052

    7,437       7,218  

Lam Research

               

2.875%, 06/15/2050

    3,198       2,186  

Microsoft

               

3.450%, 08/08/2036

    4,370       3,997  

3.041%, 03/17/2062

    14,473       10,140  

2.921%, 03/17/2052

    13,089       9,473  

2.675%, 06/01/2060

    1,805       1,171  

2.525%, 06/01/2050

    17,617       11,734  

2.500%, 09/15/2050

    3,370       2,215  

NVIDIA

               

3.500%, 04/01/2040

    2,760       2,390  

Oracle

               

4.125%, 05/15/2045

    750       612  

4.000%, 07/15/2046

    3,005       2,391  

3.600%, 04/01/2040

    4,128       3,325  

QUALCOMM

               

4.300%, 05/20/2047

    3,135       2,792  

Salesforce

               

3.050%, 07/15/2061

    1,265       820  

2.900%, 07/15/2051

    3,785       2,568  

2.700%, 07/15/2041

    2,065       1,516  

Sprint Capital

               

8.750%, 03/15/2032

    559       690  

Texas Instruments

               

5.150%, 02/08/2054

    2,465       2,493  

5.050%, 05/18/2063

    6,885       6,770  

5.000%, 03/14/2053

    1,640       1,622  
                 
              201,910  
                 

Materials — 1.1%

       

Anglo American Capital PLC

               

6.000%, 04/05/2054 (A)

    1,260       1,285  

 

 

 

272

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.750%, 04/05/2034 (A)

  $ 265     $ 272  

4.750%, 03/16/2052 (A)

    3,580       3,078  

3.950%, 09/10/2050 (A)

    525       400  

Barrick North America Finance LLC

               

5.750%, 05/01/2043

    2,650       2,733  

Barrick PD Australia Finance Pty

               

5.950%, 10/15/2039

    1,245       1,316  

BHP Billiton Finance USA

               

5.500%, 09/08/2053

    1,100       1,145  

5.250%, 09/08/2033

    3,150       3,251  

5.000%, 09/30/2043

    4,200       4,113  

Ecolab

               

2.750%, 08/18/2055

    2,757       1,778  

2.700%, 12/15/2051

    3,160       2,066  

Freeport-McMoRan

               

5.450%, 03/15/2043

    300       294  

International Flavors & Fragrances

               

5.000%, 09/26/2048

    1,720       1,545  

3.468%, 12/01/2050 (A)

    6,875       4,764  

3.268%, 11/15/2040 (A)

    1,090       814  

LYB International Finance III LLC

               

4.200%, 05/01/2050

    535       426  

Newmont

               

5.350%, 03/15/2034 (A)

    620       641  

Packaging Corp of America

               

3.050%, 10/01/2051

    440       302  

Rio Tinto Finance USA

               

5.200%, 11/02/2040

    2,502       2,523  

2.750%, 11/02/2051

    4,135       2,699  

Rio Tinto Finance USA PLC

               

5.125%, 03/09/2053

    200       199  
                 
              35,644  
                 

Real Estate — 1.7%

       

Alexandria Real Estate Equities

               

4.850%, 04/15/2049

    210       186  

3.550%, 03/15/2052

    730       517  

2.950%, 03/15/2034

    225       190  

American Homes 4 Rent LP

               

4.300%, 04/15/2052

    1,445       1,165  

3.375%, 07/15/2051

    300       206  

American Tower

               

3.700%, 10/15/2049

    1,000       758  

AvalonBay Communities

               

5.350%, 06/01/2034

    1,450       1,501  

Crown Castle

               

4.150%, 07/01/2050

    500       409  

ERP Operating

               

4.500%, 07/01/2044

    1,000       900  

ERP Operating LP

               

4.500%, 06/01/2045

    900       793  

Essex Portfolio LP

               

2.650%, 09/01/2050

    1,500       917  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

GLP Capital LP / GLP Financing II

               

6.750%, 12/01/2033

  $ 1,150     $ 1,254  

Invitation Homes Operating Partnership LP

               

5.500%, 08/15/2033

    1,000       1,019  

4.150%, 04/15/2032

    80       75  

2.700%, 01/15/2034

    460       377  

Kilroy Realty LP

               

2.650%, 11/15/2033

    455       348  

Kimco Realty OP LLC

               

3.700%, 10/01/2049

    1,470       1,122  

Nationwide Health Properties MTN

               

6.900%, 10/01/2037

    1,600       1,745  

NNN REIT

               

3.000%, 04/15/2052

    990       638  

Prologis LP

               

5.250%, 06/15/2053

    4,542       4,498  

5.250%, 03/15/2054

    4,860       4,820  

2.125%, 10/15/2050

    4,175       2,323  

Realty Income

               

5.375%, 09/01/2054

    2,825       2,786  

Regency Centers LP

               

5.250%, 01/15/2034

    1,845       1,878  

5.100%, 01/15/2035

    1,375       1,379  

4.650%, 03/15/2049

    1,311       1,148  

4.400%, 02/01/2047

    990       846  

Scentre Group Trust 2

               

5.125%, H15T5Y + 4.685%, 09/24/2080 (A)(B)

    2,140       2,083  

4.750%, H15T5Y + 4.379%, 09/24/2080 (A)(B)

    1,250       1,236  

Simon Property Group LP

               

6.750%, 02/01/2040

    2,365       2,682  

6.650%, 01/15/2054

    850       987  

5.850%, 03/08/2053

    4,759       4,972  

4.250%, 11/30/2046

    2,365       2,000  

3.800%, 07/15/2050

    1,400       1,087  

3.250%, 09/13/2049

    2,330       1,653  

UDR

               

5.125%, 09/01/2034

    1,010       1,006  

VICI Properties LP

               

5.625%, 05/15/2052

    1,570       1,488  

Weyerhaeuser

               

4.000%, 03/09/2052

    1,020       798  
                 
              53,790  
                 

Utilities — 16.2%

       

AEP Transmission LLC

               

5.400%, 03/15/2053

    695       699  

4.000%, 12/01/2046

    4,373       3,631  

3.800%, 06/15/2049

    1,870       1,461  

3.650%, 04/01/2050

    2,590       1,977  

3.150%, 09/15/2049

    1,760       1,229  

2.750%, 08/15/2051

    405       257  

 

 

 

SEI Institutional Investments Trust

 

273

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Alabama Power

               

5.200%, 06/01/2041

  $ 155     $ 151  

4.300%, 07/15/2048

    1,420       1,219  

3.850%, 12/01/2042

    7,684       6,434  

Ameren Illinois

               

5.900%, 12/01/2052

    1,032       1,115  

3.700%, 12/01/2047

    4,485       3,546  

3.250%, 03/15/2050

    55       39  

2.900%, 06/15/2051

    3,724       2,453  

American Transmission Systems

               

5.000%, 09/01/2044 (A)

    600       568  

American Water Capital

               

3.750%, 09/01/2047

    1,000       792  

Appalachian Power

               

6.700%, 08/15/2037

    50       56  

5.800%, 10/01/2035

    125       131  

4.500%, 03/01/2049

    700       588  

Arizona Public Service

               

5.050%, 09/01/2041

    50       47  

4.500%, 04/01/2042

    312       274  

4.250%, 03/01/2049

    450       372  

4.200%, 08/15/2048

    1,200       983  

3.350%, 05/15/2050

    550       387  

Atmos Energy

               

4.125%, 10/15/2044

    2,805       2,420  

Avista

               

4.000%, 04/01/2052

    550       435  

Baltimore Gas and Electric

               

5.400%, 06/01/2053

    1,926       1,946  

4.550%, 06/01/2052

    594       523  

3.500%, 08/15/2046

    4,995       3,818  

2.900%, 06/15/2050

    1,085       716  

Berkshire Hathaway Energy

               

4.600%, 05/01/2053

    1,320       1,153  

4.450%, 01/15/2049

    3,655       3,146  

4.250%, 10/15/2050

    4,965       4,125  

3.800%, 07/15/2048

    11,790       9,142  

Black Hills

               

4.200%, 09/15/2046

    1,135       940  

Boston Gas

               

6.119%, 07/20/2053 (A)

    875       898  

4.487%, 02/15/2042 (A)

    250       212  

CenterPoint Energy Houston Electric LLC

               

5.150%, 03/01/2034

    965       986  

4.500%, 04/01/2044

    500       446  

4.250%, 02/01/2049

    1,760       1,493  

3.950%, 03/01/2048

    500       403  

3.600%, 03/01/2052

    870       653  

2.900%, 07/01/2050

    935       614  

Commonwealth Edison

               

5.300%, 02/01/2053

    1,940       1,918  

4.700%, 01/15/2044

    5,213       4,818  

4.600%, 08/15/2043

    1,620       1,487  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.000%, 03/01/2048

  $ 3,275     $ 2,686  

4.000%, 03/01/2049

    1,180       960  

3.850%, 03/15/2052

    1,170       921  

3.750%, 08/15/2047

    2,690       2,126  

3.700%, 03/01/2045

    5,055       4,038  

3.125%, 03/15/2051

    3,755       2,599  

Connecticut Light and Power

               

5.250%, 01/15/2053

    595       598  

4.150%, 06/01/2045

    2,945       2,519  

4.000%, 04/01/2048

    2,717       2,263  

Consolidated Edison of New York

               

6.750%, 04/01/2038

    1,915       2,205  

6.200%, 06/15/2036

    65       71  

6.150%, 11/15/2052

    2,585       2,883  

5.900%, 11/15/2053

    3,800       4,082  

5.700%, 06/15/2040

    40       42  

5.700%, 05/15/2054

    1,023       1,073  

4.500%, 05/15/2058

    930       800  

3.950%, 03/01/2043

    6,246       5,210  

3.950%, 04/01/2050

    2,275       1,878  

3.875%, 06/15/2047

    5,872       4,691  

3.850%, 06/15/2046

    3,427       2,740  

3.700%, 11/15/2059

    850       619  

3.000%, 12/01/2060

    1,700       1,058  

Consumers Energy

               

4.350%, 04/15/2049

    4,803       4,252  

4.200%, 09/01/2052

    790       672  

3.500%, 08/01/2051

    1,265       989  

2.500%, 05/01/2060

    433       262  

Dominion Energy

               

5.250%, 08/01/2033

    20       20  

4.600%, 03/15/2049

    529       456  

Dominion Energy South Carolina

               

5.100%, 06/01/2065

    645       609  

DTE Electric

               

5.400%, 04/01/2053

    2,145       2,184  

3.950%, 06/15/2042

    80       66  

3.700%, 03/15/2045

    3,700       2,950  

Duke Energy Carolinas LLC

               

6.450%, 10/15/2032

    110       121  

6.050%, 04/15/2038

    1,465       1,609  

6.000%, 01/15/2038

    2,166       2,358  

5.400%, 01/15/2054

    2,590       2,621  

5.350%, 01/15/2053

    1,982       1,983  

5.300%, 02/15/2040

    6,490       6,610  

4.250%, 12/15/2041

    6,605       5,826  

4.000%, 09/30/2042

    13,015       11,096  

3.875%, 03/15/2046

    915       739  

Duke Energy Florida LLC

               

6.400%, 06/15/2038

    2,395       2,687  

6.200%, 11/15/2053

    942       1,053  

5.950%, 11/15/2052

    2,806       3,009  

4.200%, 07/15/2048

    2,000       1,680  

 

 

 

274

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.400%, 10/01/2046

  $ 2,025     $ 1,500  

Duke Energy Indiana LLC

               

6.450%, 04/01/2039

    4,275       4,789  

6.350%, 08/15/2038

    1,545       1,735  

4.900%, 07/15/2043

    890       843  

3.750%, 05/15/2046

    750       594  

3.250%, 10/01/2049

    4,695       3,342  

2.750%, 04/01/2050

    1,885       1,206  

Duke Energy Ohio

               

4.300%, 02/01/2049

    685       577  

Duke Energy Progress LLC

               

4.375%, 03/30/2044

    2,880       2,553  

4.200%, 08/15/2045

    3,465       2,952  

4.150%, 12/01/2044

    975       826  

4.100%, 03/15/2043

    860       733  

3.600%, 09/15/2047

    1,850       1,409  

East Ohio Gas

               

3.000%, 06/15/2050 (A)

    1,385       892  

Elm Road Generating Station Supercritical LLC

               

5.848%, 01/19/2041 (A)

    1,000       991  

Entergy Arkansas LLC

               

5.750%, 06/01/2054

    265       276  

4.200%, 04/01/2049

    1,635       1,360  

3.350%, 06/15/2052

    2,730       1,926  

Entergy Louisiana LLC

               

5.700%, 03/15/2054

    2,850       2,942  

4.200%, 09/01/2048

    1,030       849  

4.200%, 04/01/2050

    1,445       1,190  

3.100%, 06/15/2041

    3,340       2,490  

2.900%, 03/15/2051

    5,190       3,328  

Entergy Texas

               

3.550%, 09/30/2049

    1,405       1,031  

Essential Utilities

               

4.276%, 05/01/2049

    485       400  

Evergy Kansas Central

               

5.700%, 03/15/2053

    500       513  

3.450%, 04/15/2050

    2,960       2,154  

Evergy Metro

               

5.300%, 10/01/2041

    150       150  

4.200%, 06/15/2047

    500       419  

4.200%, 03/15/2048

    1,000       838  

Exelon

               

4.950%, 06/15/2035

    1,395       1,371  

FirstEnergy Pennsylvania Electric

               

6.150%, 10/01/2038

    100       107  

FirstEnergy Transmission LLC

               

4.550%, 04/01/2049 (A)

    350       303  

Florida Power & Light

               

5.690%, 03/01/2040

    7,803       8,242  

5.650%, 02/01/2037

    1,000       1,070  

5.600%, 06/15/2054

    500       531  

5.300%, 06/15/2034

    1,005       1,047  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.800%, 05/15/2033

  $ 2,020     $ 2,038  

4.550%, 10/01/2044

    700       620  

4.050%, 06/01/2042

    2,400       2,091  

4.050%, 10/01/2044

    2,065       1,772  

3.950%, 03/01/2048

    2,925       2,425  

3.800%, 12/15/2042

    3,565       2,982  

3.700%, 12/01/2047

    2,166       1,727  

Georgia Power

               

4.300%, 03/15/2042

    6,505       5,744  

Idaho Power MTN

               

4.200%, 03/01/2048

    1,605       1,319  

Indiana Michigan Power

               

5.625%, 04/01/2053

    740       764  

4.550%, 03/15/2046

    780       684  

4.250%, 08/15/2048

    1,065       896  

Indianapolis Power & Light

               

4.650%, 06/01/2043 (A)

    1,750       1,501  

International Transmission

               

4.625%, 08/15/2043

    2,525       2,255  

Jersey Central Power & Light

               

6.150%, 06/01/2037

    775       841  

John Sevier Combined Cycle Generation LLC

               

4.626%, 01/15/2042

    3,929       3,851  

Kentucky Utilities

               

3.300%, 06/01/2050

    710       506  

KeySpan Gas East

               

5.819%, 04/01/2041 (A)

    2,117       2,119  

MidAmerican Energy

               

5.850%, 09/15/2054

    550       592  

4.800%, 09/15/2043

    5,260       4,966  

4.400%, 10/15/2044

    2,290       2,041  

4.250%, 05/01/2046

    1,675       1,443  

4.250%, 07/15/2049

    1,656       1,426  

3.950%, 08/01/2047

    590       483  

3.650%, 08/01/2048

    3,045       2,380  

3.150%, 04/15/2050

    2,025       1,428  

MidAmerican Energy MTN

               

5.800%, 10/15/2036

    635       686  

Monongahela Power

               

5.850%, 02/15/2034 (A)

    1,390       1,467  

Narragansett Electric

               

4.170%, 12/10/2042 (A)

    1,000       829  

National Rural Utilities Cooperative Finance

               

4.400%, 11/01/2048

    2,245       1,945  

4.300%, 03/15/2049

    3,643       3,129  

Nevada Power

               

6.000%, 03/15/2054

    3,275       3,498  

5.900%, 05/01/2053

    1,145       1,213  

Niagara Mohawk Power

               

5.664%, 01/17/2054 (A)

    1,446       1,456  

4.278%, 10/01/2034 (A)

    2,303       2,114  

4.119%, 11/28/2042 (A)

    2,000       1,663  

3.025%, 06/27/2050 (A)

    500       329  

 

 

 

SEI Institutional Investments Trust

 

275

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

NiSource

               

5.800%, 02/01/2042

  $ 900     $ 917  

Northern States Power

               

6.250%, 06/01/2036

    3,755       4,180  

6.200%, 07/01/2037

    6,425       7,175  

5.650%, 06/15/2054

    2,000       2,091  

5.100%, 05/15/2053

    725       702  

4.500%, 06/01/2052

    1,430       1,263  

3.600%, 05/15/2046

    500       390  

3.400%, 08/15/2042

    214       169  

3.200%, 04/01/2052

    885       627  

NSTAR Electric

               

4.950%, 09/15/2052

    2,409       2,292  

4.550%, 06/01/2052

    765       683  

3.100%, 06/01/2051

    2,625       1,819  

Oglethorpe Power

               

6.200%, 12/01/2053

    590       629  

5.375%, 11/01/2040

    1,830       1,778  

5.250%, 09/01/2050

    1,950       1,838  

4.500%, 04/01/2047

    1,215       1,034  

4.250%, 04/01/2046

    1,075       861  

4.200%, 12/01/2042

    2,425       1,952  

Ohio Edison

               

8.250%, 10/15/2038

    655       842  

Oklahoma Gas and Electric

               

5.600%, 04/01/2053

    1,155       1,172  

Oncor Electric Delivery LLC

               

5.350%, 10/01/2052

    571       565  

5.300%, 06/01/2042

    464       465  

5.250%, 09/30/2040

    4,946       4,938  

4.950%, 09/15/2052

    2,338       2,217  

4.550%, 12/01/2041

    3,790       3,466  

4.100%, 11/15/2048

    750       622  

3.800%, 06/01/2049

    4,650       3,695  

3.700%, 05/15/2050

    495       381  

3.100%, 09/15/2049

    80       55  

2.700%, 11/15/2051

    2,100       1,316  

Pacific Gas and Electric

               

6.750%, 01/15/2053

    2,400       2,625  

5.250%, 03/01/2052

    100       90  

4.950%, 07/01/2050

    1,890       1,647  

4.500%, 07/01/2040

    2,015       1,745  

4.450%, 04/15/2042

    1,465       1,218  

4.200%, 06/01/2041

    505       410  

3.500%, 08/01/2050

    180       124  

PacifiCorp

               

6.250%, 10/15/2037

    2,930       3,165  

6.000%, 01/15/2039

    4,985       5,273  

5.800%, 01/15/2055

    2,215       2,253  

5.500%, 05/15/2054

    3,839       3,787  

5.350%, 12/01/2053

    1,900       1,824  

4.100%, 02/01/2042

    1,975       1,617  

3.300%, 03/15/2051

    820       560  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

2.900%, 06/15/2052

  $ 1,900     $ 1,190  

PECO Energy

               

4.800%, 10/15/2043

    1,505       1,414  

4.600%, 05/15/2052

    1,435       1,280  

3.050%, 03/15/2051

    1,919       1,308  

Piedmont Natural Gas

               

4.650%, 08/01/2043

    500       457  

3.640%, 11/01/2046

    1,300       981  

Potomac Electric Power

               

5.500%, 03/15/2054

    1,463       1,497  

PPL Electric Utilities

               

5.250%, 05/15/2053

    505       507  

4.750%, 07/15/2043

    2,820       2,642  

4.125%, 06/15/2044

    3,925       3,384  

3.950%, 06/01/2047

    3,000       2,490  

Public Service Electric and Gas

               

5.300%, 08/01/2054

    1,715       1,748  

Public Service Electric and Gas MTN

               

5.500%, 03/01/2040

    1,900       1,967  

5.125%, 03/15/2053

    885       874  

4.150%, 11/01/2045

    2,106       1,769  

4.050%, 05/01/2048

    1,931       1,628  

4.000%, 06/01/2044

    945       783  

3.650%, 09/01/2042

    1,285       1,054  

3.600%, 12/01/2047

    3,765       2,945  

3.200%, 08/01/2049

    3,255       2,369  

Public Service of Colorado

               

6.500%, 08/01/2038

    40       45  

6.250%, 09/01/2037

    1,235       1,356  

5.750%, 05/15/2054

    1,275       1,329  

4.750%, 08/15/2041

    40       37  

4.500%, 06/01/2052

    3,230       2,768  

4.300%, 03/15/2044

    1,490       1,273  

4.100%, 06/15/2048

    475       383  

4.050%, 09/15/2049

    1,485       1,183  

3.950%, 03/15/2043

    3,540       2,847  

3.200%, 03/01/2050

    1,180       822  

Public Service of New Hampshire

               

5.150%, 01/15/2053

    425       417  

3.600%, 07/01/2049

    1,655       1,279  

Puget Sound Energy

               

5.795%, 03/15/2040

    130       134  

5.685%, 06/15/2054

    395       411  

4.223%, 06/15/2048

    2,470       2,051  

2.893%, 09/15/2051

    2,315       1,504  

San Diego Gas & Electric

               

6.000%, 06/01/2026

    340       349  

4.100%, 06/15/2049

    1,340       1,099  

3.750%, 06/01/2047

    2,380       1,874  

3.320%, 04/15/2050

    4,689       3,381  

Sempra

               

3.800%, 02/01/2038

    850       724  

 

 

 

276

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Southern California Edison

               

5.950%, 02/01/2038

  $ 280     $ 299  

4.650%, 10/01/2043

    2,480       2,247  

4.125%, 03/01/2048

    4,730       3,906  

4.050%, 03/15/2042

    5,355       4,485  

4.000%, 04/01/2047

    2,630       2,129  

Southern California Gas

               

5.750%, 06/01/2053

    1,550       1,611  

5.600%, 04/01/2054

    1,285       1,329  

4.300%, 01/15/2049

    1,235       1,043  

4.125%, 06/01/2048

    2,865       2,367  

3.750%, 09/15/2042

    1,770       1,431  

Southern Gas Capital

               

5.875%, 03/15/2041

    100       105  

4.400%, 06/01/2043

    825       717  

4.400%, 05/30/2047

    50       42  

3.950%, 10/01/2046

    800       639  

Southwest Gas

               

3.180%, 08/15/2051

    1,065       687  

Southwestern Electric Power

               

6.200%, 03/15/2040

    1,204       1,290  

3.850%, 02/01/2048

    2,645       1,998  

3.250%, 11/01/2051

    1,100       731  

Southwestern Public Service

               

6.000%, 06/01/2054

    1,275       1,356  

5.150%, 06/01/2052

    440       409  

4.500%, 08/15/2041

    8,995       7,944  

3.700%, 08/15/2047

    1,770       1,332  

Tampa Electric

               

4.350%, 05/15/2044

    1,225       1,058  

3.625%, 06/15/2050

    1,669       1,259  

3.450%, 03/15/2051

    850       619  

Tucson Electric Power

               

4.850%, 12/01/2048

    1,825       1,659  

4.000%, 06/15/2050

    240       190  

3.250%, 05/01/2051

    1,700       1,174  

Union Electric

               

5.450%, 03/15/2053

    2,185       2,203  

Virginia Electric and Power

               

8.875%, 11/15/2038

    1,982       2,708  

6.350%, 11/30/2037

    2,475       2,727  

5.450%, 04/01/2053

    3,345       3,343  

5.000%, 01/15/2034

    1,390       1,400  

4.650%, 08/15/2043

    6,145       5,596  

4.600%, 12/01/2048

    3,845       3,404  

4.450%, 02/15/2044

    7,425       6,602  

4.000%, 01/15/2043

    300       252  

4.000%, 11/15/2046

    2,478       2,019  

2.950%, 11/15/2051

    400       264  

2.450%, 12/15/2050

    540       322  

Wisconsin Electric Power

               

3.650%, 12/15/2042

    2,310       1,828  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Wisconsin Power & Light

               

4.100%, 10/15/2044

  $ 325     $ 266  

3.650%, 04/01/2050

    360       271  

Wisconsin Public Service

               

2.850%, 12/01/2051

    1,000       649  

Xcel Energy

               

4.800%, 09/15/2041

    1,907       1,718  
                 
              508,970  
                 

Total Corporate Obligations

               

(Cost $3,016,772) ($ Thousands)

            2,748,654  
                 
                 
                 

U.S. TREASURY OBLIGATIONS — 5.8%

U.S. Treasury Bonds

               

4.625%, 05/15/2044

    20,410       21,255  

4.625%, 05/15/2054

    40,185       42,947  

4.500%, 02/15/2044

    18,363       18,822  

4.250%, 02/15/2054 (D)

    6,375       6,400  

4.250%, 08/15/2054

    24,280       24,432  

4.125%, 08/15/2044

    21,200       20,686  

3.875%, 05/15/2043

    8,440       7,969  

3.625%, 08/15/2043

    9,470       8,613  

3.375%, 05/15/2044

    10,645       9,290  

U.S. Treasury Notes

               

3.875%, 08/15/2034

    20,655       20,581  
         

Total U.S. Treasury Obligations

       

(Cost $178,570) ($ Thousands)

    180,995  
                 
                 
                 

MUNICIPAL BONDS — 4.2%

Alabama — 0.0%

       

Alabama State, Federal Aid Highway Finance Authority, Ser B, RB

               

2.650%, 09/01/2037

    1,075       884  
                 
                 

California — 1.9%

       

Bay Area, Toll Authority, Build America Project, RB

               

6.263%, 04/01/2049

    3,795       4,307  

California State University, RB

               

5.183%, 11/01/2053

    2,225       2,247  

5.060%, 11/01/2036

    440       451  

California State University, Ser B, RB

               

3.899%, 11/01/2047

    2,375       2,072  

California State, Build America Project, GO

               

7.625%, 03/01/2040

    2,510       3,112  

7.600%, 11/01/2040

    385       482  

7.550%, 04/01/2039

    1,535       1,913  

7.500%, 04/01/2034

    6,220       7,433  

7.300%, 10/01/2039

    12,770       15,308  

 

 

 

SEI Institutional Investments Trust

 

277

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MUNICIPAL BONDS (continued)

California State, GO

               

5.875%, 10/01/2041

  $ 1,745     $ 1,878  

California State, Health Facilities Financing Authority, RB

               

4.353%, 06/01/2041

    1,975       1,857  

California State, Health Facilities Financing Authority, Ser 2021A, RB

               

3.000%, 08/15/2051

    390       311  

East Bay, Municipal Utility District Water System Revenue, Build America Project, Sub-Ser, RB

               

5.874%, 06/01/2040

    1,255       1,356  

Los Angeles County, Metropolitan Transportation Authority, Build America Project, RB

               

5.735%, 06/01/2039

    960       1,004  

Los Angeles, Community College District, Build America Project, GO

               

6.750%, 08/01/2049

    1,025       1,219  

Los Angeles, Community College District, Ser D, GO

               

6.680%, 08/01/2036

    500       582  

Los Angeles, Department of Airports, RB

               

3.887%, 05/15/2038

    1,430       1,323  

Regents of the University of California Medical Center, RB

               

4.563%, 05/15/2053

    2,395       2,234  

Regents of the University of California Medical Center, Ser N, RB

               

3.256%, 05/15/2060

    1,975       1,401  

3.006%, 05/15/2050

    2,005       1,419  

San Diego County, Water Authority, Build America Project, RB

               

6.138%, 05/01/2049

    1,000       1,094  

San Francisco Bay Area, Rapid Transit District, GO

               

3.000%, 08/01/2049

    665       549  

San Francisco, Public Utilities Commission, Water Revenue, Build America Project, Ser DE, RB

               

6.000%, 11/01/2040

    3,005       3,194  

University of California, Ser AP, RB

               

3.931%, 05/15/2045

    950       879  

University of California, Ser AQ, RB

               

4.767%, 05/15/2115

    1,076       972  

University of California, Ser J, RB

               

4.131%, 05/15/2045

    1,000       927  
                 
              59,524  
                 

District of Columbia — 0.0%

       

District of Columbia, Water & Sewer Authority, RB

               

4.814%, 10/01/2114

    530       506  
                 
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MUNICIPAL BONDS (continued)

Georgia — 0.0%

       

Georgia State, Municipal Electric Authority, Build America Project, Ser 2010A, RB

               

7.055%, 04/01/2057

  $ 349     $ 408  

6.637%, 04/01/2057

    133       150  
                 
              558  
                 

Illinois — 0.1%

       

Greater Chicago, Metropolitan Water Reclamation District, Build America Project, GO

               

5.720%, 12/01/2038

    3,205       3,416  
                 
                 

Kansas — 0.1%

       

Kansas State, Development Finance Authority, Ser H, RB

               

4.727%, 04/15/2037

    2,890       2,881  
                 
                 

Maryland — 0.0%

       

Maryland Economic Development, RB

               

5.433%, 05/31/2056

    1,005       1,023  
                 
                 

Massachusetts — 0.1%

       

Massachusetts State, Build America Project, GO

               

5.456%, 12/01/2039

    3,085       3,216  

Massachusetts State, School Building Authority, Sub-Ser B, RB

               

3.395%, 10/15/2040

    1,000       852  
                 
              4,068  
                 

Michigan — 0.1%

       

University of Michigan, Ser C, RB

               

3.599%, 04/01/2047

    2,525       2,193  
                 
                 

Missouri — 0.0%

       

Missouri State, Health & Educational Facilities Authority, Ser A, RB

               

3.685%, 02/15/2047

    675       550  
                 
                 

New Jersey — 0.1%

       

New Jersey State, Turnpike Authority, Build America Project, RB

               

7.102%, 01/01/2041

    2,460       2,919  

New Jersey State, Turnpike Authority, Ser F, RB

               

3.729%, 01/01/2036

    1,000       916  
                 
              3,835  
                 

New York — 0.8%

       

New York & New Jersey, Port Authority, RB

               

4.926%, 10/01/2051

    245       246  

New York & New Jersey, Port Authority, Ser 174, RB

               

4.458%, 10/01/2062

    3,160       2,868  

 

 

 

278

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MUNICIPAL BONDS (continued)

New York & New Jersey, Port Authority, Ser 181, RB

               

4.960%, 08/01/2046

  $ 465     $ 455  

New York City, Build America Project, GO

               

5.985%, 12/01/2036

    1,340       1,420  

5.968%, 03/01/2036

    570       610  

New York City, Municipal Water Finance Authority, Build America Project, RB

               

6.011%, 06/15/2042

    750       817  

5.882%, 06/15/2044

    500       534  

5.724%, 06/15/2042

    4,720       4,992  

5.440%, 06/15/2043

    3,000       3,058  

New York City, Transitional Finance Authority, Future Tax Secured Revenue, Build America Project, Sub-Ser, RB

               

5.572%, 11/01/2038

    2,475       2,591  

5.508%, 08/01/2037

    1,890       1,970  

New York State, Dormitory Authority, Build America Project, RB

               

5.628%, 03/15/2039

    1,385       1,441  

New York State, Urban Development, Build America Project, RB

               

5.770%, 03/15/2039

    1,760       1,819  

New York State, Urban Development, Ser B, RB

               

2.590%, 03/15/2035 (E)

    810       687  
                 
              23,508  
                 

Ohio — 0.2%

       

American Municipal Power, Build America Project, RB

               

6.053%, 02/15/2043

    1,700       1,852  

JobsOhio Beverage System, Ser A, RB

               

2.833%, 01/01/2038

    460       379  

Ohio State University, Build America Project, RB

               

4.910%, 06/01/2040

    2,265       2,240  

Ohio State, Hospital Facilities Revenue Authority, Cleveland Clinic, RB

               

3.700%, 01/01/2043

    970       844  
                 
              5,315  
                 

Texas — 0.8%

       

Dallas County, Hospital District, Build America Project, Ser C, GO

               

5.621%, 08/15/2044

    2,250       2,357  

Dallas Fort Worth, International Airport, Ser A, RB

               

2.994%, 11/01/2038

    4,520       3,878  

Grand Parkway, Transportation Corp, Ser E, RB

               

5.184%, 10/01/2042

    325       336  

Houston, GO

               

3.961%, 03/01/2047

    1,500       1,315  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MUNICIPAL BONDS (continued)

North Texas, Tollway Authority, Build America Project, Ser B, RB

               

6.718%, 01/01/2049

  $ 2,220     $ 2,618  

San Antonio, Electric & Gas Systems Revenue, Build America Project, RB

               

5.808%, 02/01/2041

    2,800       2,993  

Texas State, Build America Project, GO

               

5.517%, 04/01/2039

    3,925       4,194  

University of Texas, Board of Regents, Ser B, RB

               

2.439%, 08/15/2049

    1,220       792  

University of Texas, Permanent University Fund, Build America Project, RB

               

5.262%, 07/01/2039

    4,540       4,663  
                 
              23,146  
                 

Virginia — 0.0%

       

Virginia Commonwealth University, Health System Authority, Ser A, RB

               

4.956%, 01/01/2044

    475       473  
                 
                 
                 

Total Municipal Bonds

               

(Cost $147,022) ($ Thousands)

            131,880  
                 
                 
                 

SOVEREIGN DEBT — 1.1%

                 

Chile Government International Bond

               

5.330%, 01/05/2054

    4,090       4,043  

3.860%, 06/21/2047

    335       272  

3.500%, 01/25/2050

    1,630       1,227  

3.100%, 05/07/2041

    6,815       5,231  

3.100%, 01/22/2061

    520       340  

Israel Government International Bond

               

5.750%, 03/12/2054

    12,185       11,698  

4.125%, 01/17/2048

    1,265       979  

3.875%, 07/03/2050

    3,450       2,535  

Republic of Poland Government International Bond

               

5.500%, 03/18/2054

    4,315       4,416  

Saudi Government International Bond MTN

               

5.750%, 01/16/2054(A)

    4,640       4,749  
                 

Total Sovereign Debt

       

(Cost $37,196) ($ Thousands)

    35,490  
                 
                 

 

 

 

SEI Institutional Investments Trust

 

279

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

CASH EQUIVALENT — 1.0%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    31,851,629     $ 31,852  

Total Cash Equivalent

               

(Cost $31,852) ($ Thousands)

            31,852  

Total Investments in Securities — 99.5%

               

(Cost $3,411,412) ($ Thousands)

  $ 3,128,871  
                 
                 

 

 
 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation
(Depreciation)(Thousands)

 

Long Contracts

                                       

U.S. 2-Year Treasury Note

    258       Dec-2024     $ 53,579     $ 53,546     $ (33 )

U.S. 5-Year Treasury Note

    1,346       Dec-2024       147,425       147,252       (173 )

U.S. Ultra Long Treasury Bond

    391       Dec-2024       52,080       51,587       (493 )

Ultra 10-Year U.S. Treasury Note

    245       Dec-2024       28,929       28,772       (157 )
                      282,013       281,157       (856 )

Short Contracts

                                       

U.S. 5-Year Treasury Note

    (155)       Dec-2024     $ (17,014 )   $ (16,957 )   $ 57  

U.S. Long Treasury Bond

    (25)       Dec-2024       (3,102 )     (3,078 )     24  

Ultra 10-Year U.S. Treasury Note

    (401)       Dec-2024       (47,380 )     (47,092 )     288  
                      (67,496 )     (67,127 )     369  
                    $ 214,517     $ 214,030     $ (487 )

 

A list of the open centrally cleared swap agreements held by the Fund at August 31, 2024, is as follows:

 

Interest Rate Swap

Fund Pays

 

Fund Receives

   

Payment Frequency

   

Termination Date

   

Currency

   

Notional Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/ Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 

3.52% FIXED

    SOFRRATE       Annually       12/20/2053       USD       2,882     $ (73 )   $     $ (73 )

 

 

 

Percentages are based on Net Assets of $3,144,022 ($ Thousands).

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

(A)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On August 31, 2024, the value of these securities amounted to $171,565 ($ Thousands), representing 5.5% of the Net Assets of the Fund.

(B)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates on certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(C)

Step coupon security. Coupon rate will either increase (step-up bond) or decrease (step-down bond) at regular intervals until maturity. Interest rate shown reflects the rate currently in effect.

(D)

Security, or a portion thereof, has been pledged as collateral on open futures contracts.

(E)

Security is escrowed to maturity.

 

 

280

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Long Duration Credit Fund (Concluded)

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Daily Income Trust, Government Fund,
Institutional Class

  $ 19,963     $ 261,962     $ (250,073 )   $     $     $ 31,852     $ 351     $  

 

                                                               

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

SEI Institutional Investments Trust

 

281

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES — 36.1%

Automotive — 23.3%

       
         

Ally Auto Receivables Trust, Ser 2023-1, Cl A2

               

5.760%, 11/15/2026

  $ 564     $ 565  

Ally Bank Auto Credit-Linked Notes Series, Ser 2024-A, Cl B

               

5.827%, 05/17/2032 (A)

    948       960  

American Credit Acceptance Receivables Trust, Ser 2023-2, Cl A

               

5.890%, 10/13/2026 (A)

    12       11  

American Credit Acceptance Receivables Trust, Ser 2023-3, Cl A

               

6.000%, 03/12/2027 (A)

    92       92  

AmeriCredit Automobile Receivables Trust, Ser 2020-2, Cl C

               

1.480%, 02/18/2026

    277       276  

AmeriCredit Automobile Receivables Trust, Ser 2020-3, Cl D

               

1.490%, 09/18/2026

    1,265       1,234  

AmeriCredit Automobile Receivables Trust, Ser 2021-2, Cl C

               

1.010%, 01/19/2027

    1,034       998  

AmeriCredit Automobile Receivables Trust, Ser 2022-2, Cl A3

               

4.380%, 04/18/2028

    766       762  

AmeriCredit Automobile Receivables Trust, Ser 2023-2, Cl A2

               

6.190%, 04/19/2027

    1,077       1,081  

ARI Fleet Lease Trust, Ser 2021-A, Cl A3

               

0.680%, 03/15/2030 (A)

    345       341  

ARI Fleet Lease Trust, Ser 2023-B, Cl A2

               

6.050%, 07/15/2032 (A)

    212       214  

ARI Fleet Lease Trust, Ser 2024-A, Cl A2

               

5.300%, 11/15/2032 (A)

    165       166  

ARI Fleet Lease Trust, Ser 2024-B, Cl A2

               

5.540%, 04/15/2033 (A)

    2,410       2,432  

Avis Budget Rental Car Funding AESOP LLC, Ser 2020-2A, Cl B

               

2.960%, 02/20/2027 (A)

    900       873  

Avis Budget Rental Car Funding AESOP LLC, Ser 2022-3A, Cl A

               

4.620%, 02/20/2027 (A)

    2,065       2,055  

Bank of America Auto Trust, Ser 2023-1A, Cl A2

               

5.830%, 05/15/2026 (A)

    234       234  

Bank of America Auto Trust, Ser 2023-2A, Cl A2

               

5.850%, 08/17/2026 (A)

    333       334  

Bayview Opportunity Master Fund VII Trust, Ser 2024-CAR1F, Cl A

               

6.971%, 07/29/2032 (A)

    721       728  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

BMW Vehicle Lease Trust, Ser 2024-1, Cl A2A

               

5.100%, 07/27/2026

  $ 381     $ 381  

Bridgecrest Lending Auto Securitization Trust, Ser 2023-1, Cl A2

               

6.340%, 07/15/2026

    97       97  

Bridgecrest Lending Auto Securitization Trust, Ser 2023-1, Cl A3

               

6.510%, 11/15/2027

    2,300       2,317  

Bridgecrest Lending Auto Securitization Trust, Ser 2024-1, Cl A2

               

5.820%, 09/15/2026

    185       185  

Bridgecrest Lending Auto Securitization Trust, Ser 2024-1, Cl A3

               

5.530%, 01/18/2028

    2,135       2,140  

Bridgecrest Lending Auto Securitization Trust, Ser 2024-3, Cl A3

               

5.340%, 04/17/2028

    2,400       2,411  

Capital One Prime Auto Receivables Trust, Ser 2022-1, Cl A3

               

3.170%, 04/15/2027

    590       583  

Carmax Auto Owner Trust, Ser 2021-1, Cl B

               

0.740%, 10/15/2026

    300       292  

Carmax Auto Owner Trust, Ser 2021-2, Cl A3

               

0.520%, 02/17/2026

    49       49  

Carmax Auto Owner Trust, Ser 2022-1, Cl A3

               

1.470%, 12/15/2026

    732       717  

Carmax Auto Owner Trust, Ser 2023-1, Cl A2A

               

5.230%, 01/15/2026

    69       69  

Carmax Auto Owner Trust, Ser 2023-1, Cl A3

               

4.750%, 10/15/2027

    1,100       1,099  

Carmax Auto Owner Trust, Ser 2023-2, Cl A2A

               

5.500%, 06/15/2026

    152       152  

Carmax Auto Owner Trust, Ser 2023-3, Cl A2A

               

5.720%, 11/16/2026

    290       291  

CarMax Auto Owner Trust, Ser 2023-4, Cl A2A

               

6.080%, 12/15/2026

    547       549  

CarMax Auto Owner Trust, Ser 2024-1, Cl A2A

               

5.300%, 03/15/2027

    1,029       1,030  

CarMax Auto Owner Trust, Ser 2024-2, Cl A2A

               

5.650%, 05/17/2027

    710       713  

Carmax Auto Owner Trust, Ser 2024-3, Cl A2A

               

5.210%, 09/15/2027

    1,000       1,005  

Carmax Select Receivables Trust, Ser 2024-A, Cl A2A

               

5.780%, 09/15/2027

    2,485       2,495  

 

 

 

282

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Carvana Auto Receivables Trust, Ser 2021-N1, Cl A

               

0.700%, 01/10/2028

  $ 409     $ 394  

Carvana Auto Receivables Trust, Ser 2021-N2, Cl B

               

0.750%, 03/10/2028

    90       86  

Carvana Auto Receivables Trust, Ser 2021-N3, Cl B

               

0.660%, 06/12/2028

    198       188  

Carvana Auto Receivables Trust, Ser 2022-N1, Cl A2

               

3.210%, 12/11/2028 (A)

    225       220  

Carvana Auto Receivables Trust, Ser 2023-N3, Cl A

               

6.410%, 09/10/2027 (A)

    244       245  

Carvana Auto Receivables Trust, Ser 2023-P3, Cl A2

               

6.090%, 11/10/2026 (A)

    80       80  

Carvana Auto Receivables Trust, Ser 2023-P4, Cl A2

               

6.230%, 01/11/2027 (A)

    382       383  

Carvana Auto Receivables Trust, Ser 2023-P5, Cl A2

               

5.770%, 04/12/2027 (A)

    186       186  

Carvana Auto Receivables Trust, Ser 2024-N1, Cl A2

               

5.760%, 04/12/2027 (A)

    481       481  

Carvana Auto Receivables Trust, Ser 2024-P1, Cl A2

               

5.500%, 08/10/2027 (A)

    157       157  

CFMT LLC, Ser 2021-AL1, Cl B

               

1.390%, 09/22/2031 (A)

    233       232  

Chase Auto Owner Trust, Ser 2024-1A, Cl A2

               

5.480%, 04/26/2027 (A)

    496       497  

Chesapeake Funding II LLC, Ser 2021-1A, Cl A2

               

5.698%, SOFR30A + 0.344%, 04/15/2033 (A)(B)

    65       65  

Chesapeake Funding II LLC, Ser 2023-1A, Cl A1

               

5.650%, 05/15/2035 (A)

    336       338  

Citizens Auto Receivables Trust, Ser 2023-1, Cl A2A

               

6.130%, 07/15/2026 (A)

    615       616  

Citizens Auto Receivables Trust, Ser 2023-2, Cl A2A

               

6.090%, 10/15/2026 (A)

    493       494  

Citizens Auto Receivables Trust, Ser 2024-1, Cl A2A

               

5.430%, 10/15/2026 (A)

    553       553  

CPS Auto Receivables Trust, Ser 2023-A, Cl A

               

5.540%, 03/16/2026 (A)

    8       8  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

CPS Auto Receivables Trust, Ser 2023-B, Cl A

               

5.910%, 08/16/2027 (A)

  $ 134     $ 134  

CPS Auto Receivables Trust, Ser 2023-C, Cl A

               

6.130%, 09/15/2026 (A)

    71       71  

CPS Auto Receivables Trust, Ser 2023-D, Cl A

               

6.400%, 06/15/2027 (A)

    285       286  

CPS Auto Receivables Trust, Ser 2024-A, Cl A

               

5.710%, 09/15/2027 (A)

    162       163  

Credit Acceptance Auto Loan Trust, Ser 2023-3A, Cl A

               

6.390%, 08/15/2033 (A)

    250       255  

DT Auto Owner Trust, Ser 2023-1A, Cl A

               

5.480%, 04/15/2027 (A)

    99       99  

DT Auto Owner Trust, Ser 2023-2A, Cl A

               

5.880%, 04/15/2027 (A)

    124       124  

DT Auto Owner Trust, Ser 2023-3A, Cl A

               

6.290%, 08/16/2027 (A)

    297       298  

Enterprise Fleet Financing LLC, Ser 2020-2, Cl A3

               

0.650%, 07/20/2026 (A)

    161       159  

Enterprise Fleet Financing LLC, Ser 2021-2, Cl A2

               

0.480%, 05/20/2027 (A)

    33       33  

Enterprise Fleet Financing LLC, Ser 2022-2, Cl A2

               

4.650%, 05/21/2029 (A)

    622       620  

Enterprise Fleet Financing LLC, Ser 2022-3, Cl A2

               

4.380%, 07/20/2029 (A)

    40       40  

Enterprise Fleet Financing LLC, Ser 2023-1, Cl A2

               

5.510%, 01/22/2029 (A)

    192       192  

Enterprise Fleet Financing LLC, Ser 2023-2, Cl A2

               

5.560%, 04/22/2030 (A)

    421       424  

Enterprise Fleet Financing LLC, Ser 2023-3, Cl A2

               

6.400%, 03/20/2030 (A)

    1,714       1,746  

Enterprise Fleet Financing LLC, Ser 2024-1, Cl A2

               

5.230%, 03/20/2030 (A)

    530       533  

Enterprise Fleet Financing LLC, Ser 2024-2, Cl A2

               

5.740%, 12/20/2026 (A)

    430       434  

Enterprise Fleet Funding LLC, Ser 2021-1, Cl A3

               

0.700%, 12/21/2026 (A)

    252       252  

Exeter Automobile Receivables Trust, Ser 2023-2A, Cl A3

               

5.600%, 08/17/2026

    38       38  

 

 

 

SEI Institutional Investments Trust

 

283

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Exeter Automobile Receivables Trust, Ser 2023-3A, Cl A3

               

6.040%, 07/15/2026

  $ 123     $ 123  

Exeter Automobile Receivables Trust, Ser 2023-4A, Cl A2

               

6.070%, 12/15/2025

    9       9  

Exeter Automobile Receivables Trust, Ser 2024-1A, Cl A2

               

5.530%, 10/15/2026

    396       396  

Exeter Automobile Receivables Trust, Ser 2024-2A, Cl A2

               

5.700%, 05/15/2026

    467       467  

FHF Trust, Ser 2021-2A, Cl A

               

0.830%, 12/15/2026 (A)

    63       62  

FHF Trust, Ser 2022-1A, Cl A

               

4.430%, 01/18/2028 (A)

    185       184  

Fifth Third Auto Trust, Ser 2023-1, Cl A2A

               

5.800%, 11/16/2026

    517       518  

First Investors Auto Owner Trust, Ser 2022-1A, Cl A

               

2.030%, 01/15/2027 (A)

    276       274  

First Investors Auto Owner Trust, Ser 2023-1A, Cl A

               

6.440%, 10/16/2028 (A)

    654       660  

Flagship Credit Auto Trust, Ser 2023-2, Cl A2

               

5.760%, 04/15/2027 (A)

    143       143  

Flagship Credit Auto Trust, Ser 2023-3, Cl A2

               

5.890%, 07/15/2027 (A)

    318       319  

Ford Credit Auto Lease Trust, Ser 2024-A, Cl A2A

               

5.240%, 07/15/2026

    630       630  

Ford Credit Auto Owner Trust, Ser 2018-1, Cl A

               

3.190%, 07/15/2031 (A)

    605       600  

Ford Credit Auto Owner Trust, Ser 2020-REV1, Cl A

               

2.040%, 08/15/2031 (A)

    2,700       2,661  

Ford Credit Auto Owner Trust, Ser 2023-B, Cl A2A

               

5.570%, 06/15/2026

    521       521  

Ford Credit Floorplan Master Owner Trust A, Ser 2023-1, Cl A1

               

4.920%, 05/15/2028 (A)

    500       503  

Foursight Capital Automobile Receivables Trust, Ser 2023-1, Cl A2

               

5.430%, 10/15/2026 (A)

    50       50  

Foursight Capital Automobile Receivables Trust, Ser 2023-2, Cl A2

               

5.990%, 05/15/2028 (A)

    408       410  

GECU Auto Receivables Trust, Ser 2023-1A, Cl A2

               

5.950%, 03/15/2027 (A)

    1,122       1,124  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

GLS Auto Receivables Issuer Trust, Ser 2023-1A, Cl A2

               

5.980%, 08/17/2026 (A)

  $ 19     $ 19  

GLS Auto Receivables Issuer Trust, Ser 2023-2A, Cl A2

               

5.700%, 01/15/2027 (A)

    78       78  

GLS Auto Receivables Issuer Trust, Ser 2024-1A, Cl A2

               

5.570%, 02/16/2027 (A)

    1,584       1,584  

GLS Auto Receivables Issuer Trust, Ser 2024-1A, Cl A3

               

5.400%, 09/15/2027 (A)

    1,963       1,970  

GLS Auto Select Receivables Trust, Ser 2023-2A, Cl A2

               

6.370%, 06/15/2028 (A)

    428       433  

GM Financial Automobile Leasing Trust, Ser 2022-3, Cl A3

               

4.010%, 09/22/2025

           

GM Financial Automobile Leasing Trust, Ser 2022-3, Cl A4

               

4.110%, 08/20/2026

    350       349  

GM Financial Automobile Leasing Trust, Ser 2023-2, Cl A2A

               

5.440%, 10/20/2025

    154       154  

GM Financial Automobile Leasing Trust, Ser 2023-3, Cl A2A

               

5.580%, 01/20/2026

    292       292  

GM Financial Automobile Leasing Trust, Ser 2024-1, Cl A2A

               

5.180%, 06/22/2026

    921       922  

GM Financial Consumer Automobile Receivables Trust, Ser 2023-1, Cl A3

               

4.660%, 02/16/2028

    2,370       2,367  

GM Financial Consumer Automobile Receivables Trust, Ser 2023-3, Cl A2A

               

5.740%, 09/16/2026

    346       346  

GMF Floorplan Owner Revolving Trust, Ser 2023-1, Cl A1

               

5.340%, 06/15/2028 (A)

    700       709  

GTE Auto Receivables Trust, Ser 2023-1, Cl A2

               

5.650%, 08/17/2026 (A)

    449       449  

Harley-Davidson Motorcycle Trust, Ser 2023-A, Cl A2A

               

5.320%, 06/15/2026

           

Huntington Auto Trust, Ser 2024-1A, Cl A2

               

5.500%, 03/15/2027 (A)

    2,556       2,561  

Hyundai Auto Lease Securitization Trust, Ser 2022-C, Cl A3

               

4.380%, 10/15/2025 (A)

    418       417  

Hyundai Auto Lease Securitization Trust, Ser 2023-C, Cl A2A

               

5.850%, 03/16/2026 (A)

    1,092       1,095  

 

 

 

284

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Hyundai Auto Receivables Trust, Ser 2022-A, Cl A3

               

2.220%, 10/15/2026

  $ 437     $ 431  

Hyundai Auto Receivables Trust, Ser 2023-B, Cl A2A

               

5.770%, 05/15/2026

    571       571  

LAD Auto Receivables Trust, Ser 2022-1A, Cl A

               

5.210%, 06/15/2027 (A)

    94       93  

LAD Auto Receivables Trust, Ser 2023-3A, Cl A2

               

6.090%, 06/15/2026 (A)

    164       164  

LAD Auto Receivables Trust, Ser 2024-1A, Cl A2

               

5.440%, 11/16/2026 (A)

    1,210       1,210  

LAD Auto Receivables Trust, Ser 2024-2A, Cl A2

               

5.700%, 03/15/2027 (A)

    1,725       1,730  

Lendbuzz Securitization Trust, Ser 2021-1A, Cl A

               

1.460%, 06/15/2026 (A)

    159       156  

Lendbuzz Securitization Trust, Ser 2023-3A, Cl A2

               

7.500%, 12/15/2028 (A)

    510       520  

Navistar Financial Dealer Note Master Owner Trust, Ser 2023-1, Cl A

               

6.180%, 08/25/2028 (A)

    750       758  

NextGear Floorplan Master Owner Trust, Ser 2022-1A, Cl A2

               

2.800%, 03/15/2027 (A)

    329       325  

Nissan Auto Lease Trust, Ser 2023-B, Cl A2A

               

5.740%, 08/15/2025

    175       175  

Nissan Auto Lease Trust, Ser 2024-A, Cl A2A

               

5.110%, 10/15/2026

    995       995  

OCCU Auto Receivables Trust, Ser 2023-1A, Cl A2

               

6.230%, 04/15/2027 (A)

    722       725  

Octane Receivables Trust, Ser 2023-3A, Cl A2

               

6.440%, 03/20/2029 (A)

    2,150       2,172  

OneMain Direct Auto Receivables Trust, Ser 2019-1A, Cl A

               

3.630%, 09/14/2027 (A)

    239       237  

Prestige Auto Receivables Trust, Ser 2023-1A, Cl B

               

5.550%, 04/15/2027 (A)

    1,665       1,664  

Santander Bank Auto Credit-Linked Notes, Ser 2022-B, Cl B

               

5.721%, 08/16/2032 (A)

    174       174  

Santander Bank Auto Credit-Linked Notes, Ser 2022-C, Cl B

               

6.451%, 12/15/2032 (A)

    131       132  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Santander Bank Auto Credit-Linked Notes, Ser 2023-A, Cl B

               

6.493%, 06/15/2033 (A)

  $ 421     $ 423  

Santander Drive Auto Receivables Trust, Ser 2021-3, Cl D

               

1.330%, 09/15/2027

    834       816  

Santander Drive Auto Receivables Trust, Ser 2021-4, Cl C

               

1.260%, 02/16/2027

    47       46  

Santander Drive Auto Receivables Trust, Ser 2022-2, Cl C

               

3.760%, 07/16/2029

    1,745       1,715  

Santander Drive Auto Receivables Trust, Ser 2022-4, Cl B

               

4.420%, 11/15/2027

    1,550       1,542  

Santander Drive Auto Receivables Trust, Ser 2022-5, Cl B

               

4.430%, 03/15/2027

    668       665  

Santander Drive Auto Receivables Trust, Ser 2023-3, Cl A2

               

6.080%, 08/17/2026

    60       60  

Santander Drive Auto Receivables Trust, Ser 2023-4, Cl A2

               

6.180%, 02/16/2027

    577       578  

Santander Drive Auto Receivables Trust, Ser 2024-1, Cl A2

               

5.710%, 02/16/2027

    186       186  

Santander Drive Auto Receivables Trust, Ser 2024-2, Cl A2

               

5.800%, 09/15/2027

    848       850  

Santander Retail Auto Lease Trust, Ser 2022-A, Cl B

               

1.610%, 01/20/2026 (A)

    1,025       1,020  

SBNA Auto Lease Trust, Ser 2023-A, Cl A2

               

6.270%, 04/20/2026 (A)

    265       266  

SBNA Auto Lease Trust, Ser 2024-A, Cl A3

               

5.390%, 11/20/2026 (A)

    1,095       1,101  

SFS Auto Receivables Securitization Trust, Ser 2023-1A, Cl A2A

               

5.890%, 03/22/2027 (A)

    213       213  

SFS Auto Receivables Securitization Trust, Ser 2024-1A, Cl A2

               

5.350%, 06/21/2027 (A)

    274       274  

Tesla Auto Lease Trust, Ser 2023-A, Cl A2

               

5.860%, 08/20/2025 (A)

    237       237  

Tesla Auto Lease Trust, Ser 2023-B, Cl A2

               

6.020%, 09/22/2025 (A)

    392       393  

Tesla Electric Vehicle Trust, Ser 2023-1, Cl A2A

               

5.540%, 12/21/2026 (A)

    819       819  

Toyota Lease Owner Trust, Ser 2023-B, Cl A2A

               

5.730%, 04/20/2026 (A)

    718       720  

 

 

 

SEI Institutional Investments Trust

 

285

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Tricolor Auto Securitization Trust, Ser 2023-1A, Cl A

               

6.480%, 08/17/2026 (A)

  $ 20     $ 20  

USAA Auto Owner Trust, Ser 2022-A, Cl A3

               

4.860%, 11/16/2026 (A)

    208       208  

USAA Auto Owner Trust, Ser 2023-A, Cl A2

               

5.830%, 07/15/2026 (A)

    217       217  

Volkswagen Auto Lease Trust, Ser 2023-A, Cl A2A

               

5.870%, 01/20/2026

    1,208       1,210  

Westlake Automobile Receivables Trust, Ser 2021-1A, Cl D

               

1.230%, 04/15/2026 (A)

    449       444  

Westlake Automobile Receivables Trust, Ser 2022-2A, Cl A3

               

3.750%, 04/15/2026 (A)

    7       7  

Westlake Automobile Receivables Trust, Ser 2023-1A, Cl A2A

               

5.510%, 06/15/2026 (A)

    76       76  

Westlake Automobile Receivables Trust, Ser 2023-2A, Cl A2A

               

5.870%, 07/15/2026 (A)

    195       195  

Westlake Automobile Receivables Trust, Ser 2023-2A, Cl A3

               

5.800%, 02/16/2027 (A)

    985       988  

Westlake Automobile Receivables Trust, Ser 2023-3A, Cl A2A

               

5.960%, 10/15/2026 (A)

    299       300  

Westlake Automobile Receivables Trust, Ser 2023-4A, Cl A2

               

6.230%, 01/15/2027 (A)

    844       848  

Westlake Automobile Receivables Trust, Ser 2023-4A, Cl A3

               

6.240%, 07/15/2027 (A)

    940       955  

Westlake Automobile Receivables Trust, Ser 2023-P1, Cl A2

               

5.890%, 02/16/2027 (A)

    1,470       1,475  

Westlake Flooring Master Trust, Ser 2024-1A, Cl A

               

5.430%, 02/15/2028 (A)

    135       136  

Westlake Flooring Master Trust, Ser 2024-1A, Cl B

               

6.070%, 02/15/2028 (A)

    1,840       1,851  

Wheels Fleet Lease Funding 1 LLC, Ser 2023-1A, Cl A

               

5.800%, 04/18/2038 (A)

    752       754  

Wheels Fleet Lease Funding 1 LLC, Ser 2023-2A, Cl A

               

6.460%, 08/18/2038 (A)

    793       798  

World Omni Auto Receivables Trust, Ser 2021-C, Cl A3

               

0.440%, 08/17/2026

    81       80  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

World Omni Auto Receivables Trust, Ser 2023-C, Cl A2A

               

5.570%, 12/15/2026

  $     $  

World Omni Select Auto Trust, Ser 2023-A, Cl A2A

               

5.920%, 03/15/2027

    213       213  
              99,385  
                 

Credit Cards — 1.5%

       
         

Barclays Dryrock Issuance Trust, Ser 2023-1, Cl A

               

4.720%, 02/15/2029

    300       301  

Capital One Multi-Asset Execution Trust, Ser 2022-A3, Cl A

               

4.950%, 10/15/2027

    3,800       3,809  

Discover Card Execution Note Trust, Ser 2022-A2, Cl A

               

3.320%, 05/15/2027

    635       627  

Discover Card Execution Note Trust, Ser 2022-A4, Cl A

               

5.030%, 10/15/2027

    1,525       1,530  
              6,267  
                 

Mortgage Related Securities — 0.0%

       
         

Accredited Mortgage Loan Trust, Ser 2004-4, Cl A1A

               

4.790%, TSFR1M + 0.794%, 01/25/2035 (B)

    29       30  
                 
                 

Other Asset-Backed Securities — 11.3%

       
         

Affirm Asset Securitization Trust, Ser 2021-Z2, Cl A

               

1.170%, 11/16/2026 (A)

    31       31  

Affirm Asset Securitization Trust, Ser 2022-X1, Cl A

               

1.750%, 02/15/2027 (A)

    12       12  

Affirm Asset Securitization Trust, Ser 2023-A, Cl 1A

               

6.610%, 01/18/2028 (A)

    340       341  

Affirm Asset Securitization Trust, Ser 2023-X1, Cl A

               

7.110%, 11/15/2028 (A)

    404       406  

Affirm Asset Securitization Trust, Ser 2024-A, Cl A

               

5.610%, 02/15/2029 (A)

    255       257  

Amur Equipment Finance Receivables XI LLC, Ser 2022-2A, Cl A2

               

5.300%, 06/21/2028 (A)

    124       124  

Amur Equipment Finance Receivables XIII LLC, Ser 2024-1A, Cl A2

               

5.380%, 01/21/2031 (A)

    1,317       1,326  

 

 

 

286

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Apidos CLO XII, Ser 2024-12A, Cl ARR

               

6.420%, TSFR3M + 1.080%, 04/15/2031 (A)(B)

  $ 680     $ 680  

Aqua Finance Trust, Ser 2021-A, Cl A

               

1.540%, 07/17/2046 (A)

    208       190  

Auxilior Term Funding, Ser 2023-1A, Cl A2

               

6.180%, 12/15/2028 (A)

    364       367  

BHG Securitization Trust, Ser 2022-A, Cl A

               

1.710%, 02/20/2035 (A)

    182       181  

BHG Securitization Trust, Ser 2022-C, Cl A

               

5.320%, 10/17/2035 (A)

    31       31  

Carbone CLO, Ser 2017-1A, Cl A1

               

6.684%, TSFR3M + 1.402%, 01/20/2031 (A)(B)

    217       218  

Carlyle Global Market Strategies CLO, Ser 2018-1A, Cl A1R2

               

6.517%, TSFR3M + 1.232%, 04/17/2031 (A)(B)

    521       521  

Carlyle Global Market Strategies CLO, Ser 2021-1A, Cl AR3

               

6.524%, TSFR3M + 1.242%, 07/20/2031 (A)(B)

    692       692  

Carlyle Global Market Strategies CLO, Ser 2024-4A, Cl A1RR

               

6.502%, TSFR3M + 1.220%, 07/20/2032 (A)(B)

    700       700  

CBAM, Ser 2018-5A, Cl A

               

6.567%, TSFR3M + 1.282%, 04/17/2031 (A)(B)

    656       657  

CCG Receivables Trust, Ser 2023-1, Cl A2

               

5.820%, 09/16/2030 (A)

    338       340  

CIFC Funding, Ser 2017-1A, Cl ARR

               

6.654%, TSFR3M + 1.372%, 01/22/2031 (A)(B)

    448       449  

CIFC Funding, Ser 2018-3A, Cl AR

               

6.411%, TSFR3M + 1.132%, 04/19/2029 (A)(B)

    266       266  

CIFC Funding, Ser 2021-5A, Cl A1R1

               

6.703%, TSFR3M + 1.402%, 01/15/2035 (A)(B)

    1,000       1,002  

CNH Equipment Trust, Ser 2023-A, Cl A2

               

5.340%, 09/15/2026

    378       378  

Daimler Trucks Retail Trust, Ser 2023-1, Cl A2

               

6.030%, 09/15/2025

    341       341  

DB Master Finance LLC, Ser 2019-1A, Cl A2II

               

4.021%, 05/20/2049 (A)

    1,093       1,072  

Dell Equipment Finance Trust, Ser 2023-2, Cl A2

               

5.840%, 01/22/2029 (A)

    336       336  

Dell Equipment Finance Trust, Ser 2023-3, Cl A2

               

6.100%, 04/23/2029 (A)

    299       300  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Dext ABS LLC, Ser 2021-1, Cl A

               

1.120%, 02/15/2028 (A)

  $ 15     $ 15  

Dext ABS LLC, Ser 2023-2, Cl A2

               

6.560%, 05/15/2034 (A)

    714       720  

DLLAA LLC, Ser 2023-1A, Cl A2

               

5.930%, 07/20/2026 (A)

    240       241  

DLLAD LLC, Ser 2021-1A, Cl A3

               

0.640%, 09/21/2026 (A)

    179       175  

DLLAD LLC, Ser 2023-1A, Cl A2

               

5.190%, 04/20/2026 (A)

    175       175  

DLLMT LLC, Ser 2023-1A, Cl A2

               

5.780%, 11/20/2025 (A)

    226       226  

DLLST, Ser 2024-1A, Cl A2

               

5.330%, 01/20/2026 (A)

    270       270  

Dryden 94 CLO, Ser 2022-94A, Cl A

               

6.741%, TSFR3M + 1.440%, 07/15/2037 (A)(B)

    700       700  

Dryden 94 CLO, Ser 2024-94A, Cl AR

               

0.000%, 10/15/2037 (A)(B)(C)

    700       700  

FirstKey Homes Trust, Ser 2020-SFR2, Cl A

               

1.266%, 10/19/2037 (A)

    887       854  

Goldentree Loan Management US CLO 4, Ser 2024-4A, Cl ARR

               

6.433%, TSFR3M + 1.150%, 04/24/2031 (A)(B)

    1,334       1,334  

Granite Park Equipment Leasing LLC, Ser 2023-1A, Cl A2

               

6.510%, 05/20/2030 (A)

    753       759  

GreatAmerica Leasing Receivables, Ser 2023-1, Cl A2

               

5.350%, 02/16/2026 (A)

    569       569  

GreatAmerica Leasing Receivables, Ser 2024-1, Cl A2

               

5.320%, 08/17/2026 (A)

    1,760       1,765  

Hilton Grand Vacations Trust, Ser 2020-AA, Cl A

               

2.740%, 02/25/2039 (A)

    685       662  

HPEFS Equipment Trust, Ser 2022-3A, Cl A3

               

5.430%, 08/20/2029 (A)

    475       475  

HPEFS Equipment Trust, Ser 2023-2A, Cl A2

               

6.040%, 01/21/2031 (A)

    386       387  

HPEFS Equipment Trust, Ser 2024-1A, Cl A3

               

5.180%, 05/20/2031 (A)

    1,535       1,543  

John Deere Owner Trust, Ser 2023-A, Cl A2

               

5.280%, 03/16/2026

    122       122  

John Deere Owner Trust, Ser 2023-B, Cl A2

               

5.590%, 06/15/2026

    544       544  

John Deere Owner Trust, Ser 2023-C, Cl A2

               

5.760%, 08/17/2026

    1,001       1,003  

KKR CLO 21, Ser 2018-21, Cl A

               

6.563%, TSFR3M + 1.262%, 04/15/2031 (A)(B)

    564       564  

 

 

 

SEI Institutional Investments Trust

 

287

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

KKR CLO, Ser 2017-11, Cl AR

               

6.743%, TSFR3M + 1.442%, 01/15/2031 (A)(B)

  $ 448     $ 448  

Kubota Credit Owner Trust, Ser 2023-2A, Cl A2

               

5.610%, 07/15/2026 (A)

    1,071       1,073  

Kubota Credit Owner Trust, Ser 2024-1A, Cl A2

               

5.390%, 01/15/2027 (A)

    1,005       1,009  

M&T Equipment Notes, Ser 2023-1A, Cl A2

               

6.090%, 07/15/2030 (A)

    708       710  

Madison Park Funding XVII, Ser 2021-17A, Cl AR2

               

6.544%, TSFR3M + 1.262%, 07/21/2030 (A)(B)

    1,180       1,181  

Marlette Funding Trust, Ser 2023-1A, Cl A

               

6.070%, 04/15/2033 (A)

    27       27  

Marlette Funding Trust, Ser 2023-2A, Cl A

               

6.040%, 06/15/2033 (A)

    57       57  

Marlette Funding Trust, Ser 2023-3A, Cl A

               

6.490%, 09/15/2033 (A)

    131       131  

Milford Park CLO, Ser 2022-1A, Cl A1

               

6.722%, TSFR3M + 1.440%, 07/20/2035 (A)(B)

    900       902  

MMAF Equipment Finance LLC, Ser 2020-BA, Cl A3

               

0.490%, 08/14/2025 (A)

    214       211  

MMAF Equipment Finance LLC, Ser 2020-BA, Cl A4

               

0.660%, 11/15/2027 (A)

    500       484  

MMAF Equipment Finance LLC, Ser 2021-A, Cl A3

               

0.560%, 06/13/2028 (A)

    79       77  

MMAF Equipment Finance LLC, Ser 2023-A, Cl A2

               

5.790%, 11/13/2026 (A)

    618       621  

MMAF Equipment Finance LLC, Ser 2024-A, Cl A2

               

5.200%, 09/13/2027 (A)

    3,105       3,111  

Navient Private Education Refi Loan Trust, Ser 2019-GA, Cl A

               

2.400%, 10/15/2068 (A)

    216       206  

Navient Private Education Refi Loan Trust, Ser 2020-DA, Cl A

               

1.690%, 05/15/2069 (A)

    565       528  

Navient Private Education Refi Loan Trust, Ser 2021-A, Cl A

               

0.840%, 05/15/2069 (A)

    862       779  

Neuberger Berman Loan Advisers CLO 26, Ser 2021-26A, Cl AR

               

6.461%, TSFR3M + 1.182%, 10/18/2030 (A)(B)

    918       918  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Neuberger Berman Loan Advisers CLO 31, Ser 2021-31A, Cl AR

               

6.584%, TSFR3M + 1.302%, 04/20/2031 (A)(B)

  $ 589     $ 590  

OCP CLO, Ser 2018-5A, Cl A1R

               

6.621%, TSFR3M + 1.342%, 04/26/2031 (A)(B)

    178       179  

Octagon Investment Partners 30, Ser 2021-1A, Cl A1R

               

6.544%, TSFR3M + 1.262%, 03/17/2030 (A)(B)

    384       384  

Octagon Investment Partners 36, Ser 2018-1A, Cl A1

               

6.533%, TSFR3M + 1.232%, 04/15/2031 (A)(B)

    1,126       1,127  

OneMain Financial Issuance Trust, Ser 2018-2A, Cl A

               

3.570%, 03/14/2033 (A)

    18       18  

PFS Financing, Ser 2022-C, Cl A

               

3.890%, 05/15/2027 (A)

    965       956  

Prosper Marketplace Issuance Trust Series, Ser 2023-1A, Cl A

               

7.060%, 07/16/2029 (A)

    71       72  

RR 24, Ser 2023-24A, Cl A1AR

               

7.031%, TSFR3M + 1.730%, 01/15/2036 (A)(B)

    830       832  

SCF Equipment Leasing LLC, Ser 2023-1A, Cl A2

               

6.560%, 01/22/2030 (A)

    793       803  

SoFi Consumer Loan Program Trust, Ser 2023-1S, Cl A

               

5.810%, 05/15/2031 (A)

    74       74  

Symphony Static CLO I, Ser 2021-1A, Cl A

               

6.376%, TSFR3M + 1.092%, 10/25/2029 (A)(B)

    504       504  

Verizon Master Trust, Ser 2021-2, Cl A

               

0.990%, 04/20/2028

    1,250       1,243  

Verizon Master Trust, Ser 2022-2, Cl A

               

1.530%, 07/20/2028

    1,000       986  

Verizon Master Trust, Ser 2022-4, Cl A

               

3.400%, 11/20/2028

    1,000       989  

VFI ABS LLC, Ser 2023-1A, Cl A

               

7.270%, 03/26/2029 (A)

    339       343  

Voya CLO, Ser 2018-2A, Cl A1R

               

6.516%, TSFR3M + 1.232%, 04/25/2031 (A)(B)

    459       459  

Voya CLO, Ser 2024-2A, Cl AR

               

6.482%, TSFR3M + 1.200%, 07/20/2032 (A)(B)

    1,250       1,251  
              48,304  
                 

Total Asset-Backed Securities

               

(Cost $153,272) ($ Thousands)

            153,986  
                 

 

 

 

288

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS — 31.2%

Communication Services — 2.3%

       

Charter Communications Operating LLC / Charter Communications Operating Capital

               

6.150%, 11/10/2026

  $ 850     $ 871  

4.908%, 07/23/2025

    145       144  

Cisco Systems

               

4.900%, 02/26/2026

    2,270       2,291  

Cox Communications

               

7.625%, 06/15/2025

    100       102  

T-Mobile USA

               

3.500%, 04/15/2025

    2,985       2,953  

Verizon Communications

               

3.500%, 11/01/2024

    3,030       3,020  

WPP Finance 2010

               

3.750%, 09/19/2024

    475       474  
                 
              9,855  
                 

Consumer Discretionary — 2.6%

       

AutoZone

               

5.050%, 07/15/2026

    975       984  

3.250%, 04/15/2025

    650       642  

Ford Motor Credit LLC MTN

               

4.389%, 01/08/2026

    2,715       2,683  

General Motors

               

6.125%, 10/01/2025

    2,345       2,370  

Home Depot

               

5.701%, SOFRRATE + 0.330%, 12/24/2025 (B)

    2,270       2,272  

Hyundai Capital America

               

6.250%, 11/03/2025 (A)

    500       507  

1.000%, 09/17/2024 (A)

    1,735       1,732  
                 
              11,190  
                 

Consumer Staples — 0.5%

       

Bon Secours Mercy Health

               

3.382%, 11/01/2025

    610       598  

Element Fleet Management

               

5.643%, 03/13/2027 (A)

    635       648  

Sodexo

               

1.634%, 04/16/2026 (A)

    1,050       995  
                 
              2,241  
                 

Energy — 1.8%

       

Columbia Pipelines Holding LLC

               

6.055%, 08/15/2026 (A)

    100       102  

Devon Energy

               

5.250%, 09/15/2024

    1,690       1,689  

Gray Oak Pipeline LLC

               

2.600%, 10/15/2025 (A)

    900       873  

MPLX

               

4.875%, 06/01/2025

    750       749  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

ONEOK

               

5.550%, 11/01/2026

  $ 850     $ 866  

2.200%, 09/15/2025

    675       657  

Ovintiv

               

5.650%, 05/15/2025

    500       501  

Western Midstream Operating

               

3.950%, 06/01/2025

    400       395  

Williams

               

5.400%, 03/02/2026

    1,390       1,404  

4.000%, 09/15/2025

    500       495  
                 
              7,731  
                 

Financials — 17.2%

       

ABN AMRO Bank

               

6.339%, H15T1Y + 1.650%, 09/18/2027 (A)(B)

    700       720  

AerCap Ireland Capital DAC / AerCap Global Aviation Trust

               

6.100%, 01/15/2027

    500       515  

1.650%, 10/29/2024

    3,615       3,591  

American Express

               

6.338%, SOFRRATE + 1.330%, 10/30/2026 (B)

    424       431  

5.645%, SOFRINDX + 0.750%, 04/23/2027 (B)

    525       533  

Aon Global

               

3.875%, 12/15/2025

    750       744  

Ares Capital

               

7.000%, 01/15/2027

    475       493  

Athene Global Funding

               

6.088%, SOFRINDX + 0.715%, 01/07/2025 (A)(B)

    800       800  

5.684%, 02/23/2026 (A)

    490       496  

Aviation Capital Group LLC

               

1.950%, 09/20/2026 (A)

    825       775  

Bank of America MTN

               

1.319%, SOFRRATE + 1.150%, 06/19/2026 (B)

    4,325       4,197  

1.197%, SOFRRATE + 1.010%, 10/24/2026 (B)

    800       768  

Bank of Montreal MTN

               

1.250%, 09/15/2026

    825       773  

Bank of Nova Scotia

               

1.300%, 09/15/2026

    825       776  

Banque Federative du Credit Mutuel

               

5.896%, 07/13/2026 (A)

    475       486  

4.935%, 01/26/2026 (A)

    350       351  

4.524%, 07/13/2025 (A)

    475       474  

Barclays

               

3.650%, 03/16/2025

    475       471  

2.852%, SOFRRATE + 2.714%, 05/07/2026 (B)

    500       491  

BPCE

               

5.203%, 01/18/2027 (A)

    600       608  

 

 

 

SEI Institutional Investments Trust

 

289

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.029%, 01/15/2025 (A)

  $ 440     $ 439  

Canadian Imperial Bank of Commerce

               

5.615%, 07/17/2026

    350       356  

5.237%, 06/28/2027

    515       526  

Capital One Financial

               

4.985%, SOFRRATE + 2.160%, 07/24/2026 (B)

    250       249  

Citigroup

               

5.610%, SOFRRATE + 1.546%, 09/29/2026 (B)

    3,070       3,092  

Citizens Bank

               

6.064%, SOFRRATE + 1.450%, 10/24/2025 (B)

    250       250  

5.284%, SOFRRATE + 1.020%, 01/26/2026 (B)

    250       249  

Cooperatieve Rabobank UA

               

5.500%, 10/05/2026

    750       767  

Corebridge Financial

               

3.500%, 04/04/2025

    385       381  

Corebridge Global Funding

               

5.750%, 07/02/2026 (A)

    285       291  

Credit Agricole

               

5.589%, 07/05/2026 (A)

    1,095       1,114  

5.568%, 02/28/2025 (A)

    475       475  

Crown Castle

               

1.350%, 07/15/2025

    350       339  

Danske Bank

               

6.466%, H15T1Y + 2.100%, 01/09/2026 (A)(B)

    450       452  

Danske Bank MTN

               

6.259%, H15T1Y + 1.180%, 09/22/2026 (A)(B)

    575       583  

Deutsche Bank NY

               

6.592%, SOFRRATE + 1.219%, 11/16/2027 (B)

    1,100       1,097  

Equitable Financial Life Global Funding

               

5.500%, 12/02/2025 (A)

    395       399  

Goldman Sachs Bank USA NY

               

5.414%, SOFRRATE + 0.750%, 05/21/2027 (B)

    750       758  

Goldman Sachs Group

               

5.798%, SOFRRATE + 1.075%, 08/10/2026 (B)

    3,335       3,357  

HSBC Holdings PLC

               

7.336%, SOFRRATE + 3.030%, 11/03/2026 (B)

    400       411  

JPMorgan Chase

               

4.080%, SOFRRATE + 1.320%, 04/26/2026 (B)

    3,515       3,491  

3.960%, TSFR3M + 1.507%, 01/29/2027 (B)

    750       742  

Lloyds Banking Group PLC

               

5.462%, H15T1Y + 1.375%, 01/05/2028 (B)

    470       478  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Macquarie Group MTN

               

6.075%, SOFRRATE + 0.710%, 10/14/2025 (A)(B)

  $ 825     $ 825  

Manufacturers & Traders Trust

               

5.400%, 11/21/2025

    400       401  

4.650%, 01/27/2026

    590       586  

Morgan Stanley

               

6.138%, SOFRRATE + 1.770%, 10/16/2026 (B)

    750       760  

5.050%, SOFRRATE + 1.295%, 01/28/2027 (B)

    350       352  

Morgan Stanley MTN

               

4.679%, SOFRRATE + 1.669%, 07/17/2026 (B)

    3,495       3,480  

3.875%, 01/27/2026

    750       742  

Nasdaq

               

3.850%, 06/30/2026

    750       742  

Nationwide Building Society

               

6.557%, SOFRRATE + 1.910%, 10/18/2027 (A)(B)

    500       518  

New York Life Global Funding MTN

               

5.450%, 09/18/2026 (A)

    750       766  

Nordea Bank Abp MTN

               

1.500%, 09/30/2026 (A)

    825       775  

Pacific Life Global Funding II

               

5.500%, 08/28/2026 (A)

    600       611  

PNC Financial Services Group

               

6.615%, SOFRINDX + 1.730%, 10/20/2027 (B)

    375       390  

5.300%, SOFRRATE + 1.342%, 01/21/2028 (B)

    440       448  

5.102%, SOFRRATE + 0.796%, 07/23/2027 (B)

    250       252  

Principal Life Global Funding II

               

5.000%, 01/16/2027 (A)

    485       491  

Radian Group

               

4.500%, 10/01/2024

    475       475  

Royal Bank of Canada

               

4.784%, 12/12/2025 (A)

    2,255       2,262  

Royal Bank of Canada MTN

               

5.200%, 07/20/2026

    600       609  

Skandinaviska Enskilda Banken

               

1.200%, 09/09/2026 (A)

    825       773  

Societe Generale

               

6.423%, SOFRRATE + 1.050%, 01/21/2026 (A)(B)

    800       801  

4.351%, 06/13/2025 (A)

    525       522  

Standard Chartered

               

7.776%, H15T1Y + 3.100%, 11/16/2025 (A)(B)

    400       402  

6.170%, H15T1Y + 2.050%, 01/09/2027 (A)(B)

    450       457  

Toronto-Dominion Bank

               

3.815%, 07/25/2025 (A)

    2,365       2,349  

 

 

 

290

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Toronto-Dominion Bank MTN

               

5.532%, 07/17/2026

  $ 725     $ 739  

3.766%, 06/06/2025

    2,220       2,202  

Truist Financial MTN

               

4.260%, SOFRRATE + 1.456%, 07/28/2026 (B)

    1,540       1,526  

UBS Group

               

4.550%, 04/17/2026

    750       747  

US Bank

               

2.050%, 01/21/2025

    2,185       2,159  

Voya Financial

               

3.650%, 06/15/2026

    309       304  

Wells Fargo MTN

               

4.100%, 06/03/2026

    650       644  

3.908%, SOFRRATE + 1.320%, 04/25/2026 (B)

    1,025       1,016  

2.406%, TSFR3M + 1.087%, 10/30/2025 (B)

    3,090       3,074  

Wells Fargo Bank

               

5.550%, 08/01/2025

    600       604  

4.811%, 01/15/2026

    725       728  
                 
              73,321  
                 

Health Care — 3.1%

       

AbbVie

               

2.600%, 11/21/2024

    2,890       2,872  

Elevance Health

               

1.500%, 03/15/2026

    800       764  

GE HealthCare Technologies

               

5.550%, 11/15/2024

    2,825       2,824  

HCA

               

5.375%, 02/01/2025

    600       599  

5.250%, 04/15/2025

    2,370       2,369  

Illumina

               

5.800%, 12/12/2025

    400       404  

Pfizer Investment Enterprises Pte

               

4.650%, 05/19/2025

    2,740       2,738  

Solventum

               

5.450%, 02/25/2027 (A)

    500       507  
                 
              13,077  
                 

Industrials — 0.5%

       

Graphic Packaging International LLC

               

1.512%, 04/15/2026 (A)

    650       611  

Penske Truck Leasing Lp

               

5.750%, 05/24/2026 (A)

    950       963  

Regal Rexnord

               

6.050%, 02/15/2026

    625       633  
                 
              2,207  
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Information Technology — 0.5%

       

Hewlett Packard Enterprise

               

5.900%, 10/01/2024

  $ 2,265     $ 2,266  
                 
                 
                 

Materials — 0.5%

       

International Flavors and Fragrances

               

1.230%, 10/01/2025 (A)

    775       744  

Newmont

               

5.300%, 03/15/2026 (A)

    1,250       1,261  
                 
              2,005  
                 

Utilities — 2.2%

       

Alliant Energy Finance LLC

               

5.400%, 06/06/2027 (A)

    595       607  

American Electric Power

               

5.699%, 08/15/2025

    450       453  

Consumers Securitization Funding LLC, Ser 2023

               

5.550%, 03/01/2028

    475       479  

Edison International

               

4.950%, 04/15/2025

    275       274  

3.550%, 11/15/2024

    375       374  

Eversource Energy

               

3.350%, 03/15/2026

    650       637  

NextEra Energy Capital Holdings

               

6.051%, 03/01/2025

    255       256  

NSTAR Electric

               

3.250%, 11/15/2025

    650       638  

Pennsylvania Electric

               

4.150%, 04/15/2025 (A)

    330       326  

Sempra

               

5.400%, 08/01/2026

    740       751  

Southern California Edison

               

5.350%, 03/01/2026

    3,245       3,284  

1.200%, 02/01/2026

    300       285  

Spire

               

5.300%, 03/01/2026

    900       906  
                 
              9,270  
                 

Total Corporate Obligations

               

(Cost $132,313) ($ Thousands)

            133,163  
                 
                 
                 

U.S. TREASURY OBLIGATIONS — 16.6%

U.S. Treasury Bills

               

5.312%, 09/10/2024 (D)

    13,950       13,936  

5.256%, 10/10/2024 (D)

    2,000       1,989  

5.240%, 09/26/2024 (D)

    2,550       2,542  

5.224%, 11/19/2024 (D)

    4,300       4,254  

5.203%, 11/26/2024 (D)

    4,300       4,250  

5.198%, 04/17/2025 (D)

    2,650       2,577  

5.056%, 01/30/2025 (D)

    2,200       2,157  

 

 

 

SEI Institutional Investments Trust

 

291

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

U.S. TREASURY OBLIGATIONS (continued)

5.001%, 12/24/2024 (D)

  $ 4,300     $ 4,234  

U.S. Treasury Notes

               

4.250%, 05/31/2025

    4,475       4,465  

4.000%, 12/15/2025

    15,550       15,507  

0.500%, 02/28/2026

    9,910       9,397  

0.375%, 11/30/2025

    4,500       4,291  

0.250%, 09/30/2025

    1,500       1,436  
         

Total U.S. Treasury Obligations

       

(Cost $70,803) ($ Thousands)

    71,035  
                 
                 
                 

MORTGAGE-BACKED SECURITIES — 12.4%

Agency Mortgage-Backed Obligations — 2.2%

       

FHLMC

               

3.000%, 03/01/2030

    750       729  

FHLMC ARM

               

7.076%, H15T1Y + 2.152%, 02/01/2030(B)

    2       2  

FHLMC CMO, Ser 2012-4030, Cl AN

               

1.750%, 04/15/2027

    71       69  

FHLMC CMO, Ser 2014-4379, Cl CB

               

2.250%, 04/15/2033

    35       34  

FHLMC CMO, Ser 2018-4783, Cl BV

               

4.000%, 03/15/2037

    1,037       1,027  

FHLMC CMO, Ser 2018-4818, Cl BD

               

3.500%, 03/15/2045

    98       97  

FHLMC CMO, Ser 2022-5264, Cl AB

               

4.500%, 08/25/2039

    430       425  

FHLMC Multifamily Structured Pass Through Certificates, Ser KBX1, Cl A2

               

2.920%, 01/25/2026

    980       965  

FHLMC Multifamily Structured Pass Through Certificates, Ser KVAD, Cl A

               

3.116%, 07/25/2025

    600       590  

FHLMC Multifamily Structured Pass Through Certificates, Ser KW07, Cl A1

               

3.600%, 07/25/2028

    945       932  

FHLMC Multifamily Structured Pass-Through Certificates, Ser KIR1, Cl A1

               

2.446%, 03/25/2026

    268       262  

FHLMC REMIC CMO, Ser 2011-3786, Cl ED

               

4.000%, 09/15/2039

    1,142       1,132  

FNMA

               

6.000%, 01/01/2027 to 04/01/2040

    62       65  

3.500%, 08/01/2030 to 11/01/2034

    755       744  

3.000%, 10/01/2030

    168       163  

2.885%, 01/01/2025

    264       261  

FNMA ACES, Ser 2017-M13, Cl FA

               

5.858%, SOFR30A + 0.514%, 10/25/2024(B)

    37       37  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FNMA ARM

               

6.465%, H15T1Y + 2.215%, 01/01/2029(B)

  $ 3     $ 3  

FNMA CMO, Ser 2001-33, Cl FA

               

5.913%, SOFR30A + 0.564%, 07/25/2031(B)

    2       2  

FNMA CMO, Ser 2002-64, Cl FG

               

5.718%, SOFR30A + 0.364%, 10/18/2032(B)

           

FNMA CMO, Ser 2011-99, Cl KB

               

3.500%, 10/25/2026

    451       445  

FNMA CMO, Ser 2016-99, Cl H

               

3.000%, 08/25/2043

    308       302  

FNMA CMO, Ser 2022-77, Cl CA

               

5.000%, 04/25/2039

    462       459  

FNMA Connecticut Avenue Securities, Ser 2016-C03, Cl 2M2

               

11.363%, SOFR30A + 6.014%, 10/25/2028(B)

    204       215  

FNMA REMIC CMO, Ser 2012-137, Cl UE

               

1.750%, 09/25/2041

    119       113  

FNMA, Ser 2015-M13, Cl A2

               

2.790%, 06/25/2025(B)

    380       373  
                 
                 
              9,446  

Non-Agency Mortgage-Backed Obligations — 10.2%

       

Angel Oak Mortgage Trust, Ser 2020-1, Cl A1

               

2.466%, 12/25/2059(A)(B)

    21       20  

Angel Oak Mortgage Trust, Ser 2020-2, Cl A1A

               

2.531%, 01/26/2065(A)(B)

    188       175  

Angel Oak Mortgage Trust, Ser 2020-3, Cl A1

               

1.691%, 04/25/2065(A)(B)

    231       215  

Angel Oak Mortgage Trust, Ser 2020-4, Cl A1

               

1.469%, 06/25/2065(A)(B)

    122       115  

Angel Oak Mortgage Trust, Ser 2020-R1, Cl A1

               

0.990%, 04/25/2053(A)(B)

    147       138  

Angel Oak Mortgage Trust, Ser 2021-1, Cl A1

               

0.909%, 01/25/2066(A)(B)

    476       410  

Angel Oak Mortgage Trust, Ser 2021-3, Cl A1

               

1.068%, 05/25/2066(A)(B)

    403       344  

Arroyo Mortgage Trust, Ser 2019-3, Cl A1

               

2.962%, 10/25/2048(A)(B)

    111       104  

Banc of America Mortgage Securities, Ser 2005-F, Cl 2A2

               

6.196%, 07/25/2035(B)

    26       25  

Banc of America Mortgage Securities, Ser 2005-J, Cl 2A1

               

5.068%, 11/25/2035(B)

    5       4  

 

 

 

292

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Bank of America Commercial Mortgage Trust, Ser 2017-BNK3, Cl ASB

               

3.366%, 02/15/2050

  $ 181     $ 178  

BANK, Ser 2017-BNK7, Cl ASB

               

3.265%, 09/15/2060

    124       122  

BBCMS Mortgage Trust, Ser 2020-C8, Cl A1

               

0.601%, 10/15/2053

    82       82  

Bear Stearns Adjustable Rate Mortgage Trust, Ser 2005-3, Cl 2A1

               

5.204%, 06/25/2035(B)

    12       11  

Bear Stearns Adjustable Rate Mortgage Trust, Ser 2005-6, Cl 3A1

               

6.718%, 08/25/2035(B)

    31       30  

Benchmark Mortgage Trust, Ser 2020-B17, Cl A2

               

2.211%, 03/15/2053

    285       267  

BMO Mortgage Trust, Ser 2022-C3, Cl A1

               

5.252%, 09/15/2054(B)

    571       571  

BPR Trust, Ser 2021-TY, Cl A

               

6.502%, TSFR1M + 1.164%, 09/15/2038(A)(B)

    1,000       990  

BRAVO Residential Funding Trust, Ser 2020-NQM1, Cl A1

               

1.449%, 05/25/2060(A)(B)

    83       80  

BRAVO Residential Funding Trust, Ser 2021-NQM1, Cl A1

               

0.941%, 02/25/2049(A)(B)

    190       172  

BRAVO Residential Funding Trust, Ser 2021-NQM2, Cl A1

               

0.970%, 03/25/2060(A)(B)

    136       128  

BRAVO Residential Funding Trust, Ser 2021-NQM3, Cl A1

               

1.699%, 04/25/2060(A)(B)

    295       271  

BSPRT Issuer, Ser 2022-FL8, Cl A

               

6.854%, SOFR30A + 1.500%, 02/15/2037(A)(B)

    786       786  

Bunker Hill Loan Depositary Trust, Ser 2020-1, Cl A1

               

1.724%, 02/25/2055(A)(B)

    71       69  

BWay Mortgage Trust, Ser 2013-1515, Cl A1

               

2.809%, 03/10/2033(A)

    62       61  

BX Commercial Mortgage Trust, Ser 2021-SOAR, Cl B

               

6.322%, TSFR1M + 0.984%, 06/15/2038(A)(B)

    491       483  

BX Commercial Mortgage Trust, Ser 2021-VINO, Cl A

               

6.104%, TSFR1M + 0.767%, 05/15/2038(A)(B)

    739       731  

BX Commercial Mortgage Trust, Ser 2021-VOLT, Cl A

               

6.151%, TSFR1M + 0.814%, 09/15/2036(A)(B)

    540       535  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

BX Commerical Mortgage Trust, Ser 2021-MFM1, Cl B

               

6.402%, TSFR1M + 1.064%, 01/15/2034(A)(B)

  $ 434     $ 429  

BX Trust, Ser 2021-LGCY, Cl A

               

5.958%, TSFR1M + 0.620%, 10/15/2036(A)(B)

    1,200       1,181  

BX Trust, Ser 2022-LBA6, Cl A

               

6.337%, TSFR1M + 1.000%, 01/15/2039(A)(B)

    670       664  

CFCRE Commercial Mortgage Trust, Ser 2017-C8, Cl ASB

               

3.367%, 06/15/2050

    388       380  

Chase Mortgage Finance, Ser 2021-CL1, Cl M1

               

6.549%, SOFR30A + 1.200%, 02/25/2050(A)(B)

    423       414  

CHL Mortgage Pass-Through Trust, Ser 2004-29, Cl 1A1

               

5.932%, TSFR1M + 0.654%, 02/25/2035(B)

    5       4  

Citigroup Commercial Mortgage Trust, Ser 2015-GC31, Cl AAB

               

3.431%, 06/10/2048

    264       262  

Citigroup Commercial Mortgage Trust, Ser 2015-P1, Cl AAB

               

3.470%, 09/15/2048

    149       148  

Citigroup Commercial Mortgage Trust, Ser 2016-C1, Cl AAB

               

3.003%, 05/10/2049

    45       44  

Citigroup Commercial Mortgage Trust, Ser 2016-GC37, Cl AAB

               

3.098%, 04/10/2049

    248       244  

Citigroup Commercial Mortgage Trust, Ser 2016-P3, Cl AAB

               

3.127%, 04/15/2049

    60       59  

Citigroup Mortgage Loan Trust, Ser 2004-HYB3, Cl 1A

               

5.198%, 09/25/2034(B)

    7       6  

Citigroup Mortgage Loan Trust, Ser 2006-AR2, Cl 1A1

               

5.434%, 03/25/2036(B)

    43       33  

Citigroup Mortgage Loan Trust, Ser 2018-RP2, Cl A1

               

3.153%, 02/25/2058(A)(B)

    126       123  

COLT Funding LLC, Ser 2021-3R, Cl A1

               

1.051%, 12/25/2064(A)(B)

    244       217  

COLT Mortgage Loan Trust, Ser 2020-2R, Cl A1

               

1.325%, 10/26/2065(A)(B)

    137       124  

COLT Mortgage Loan Trust, Ser 2020-3, Cl A1

               

1.506%, 04/27/2065(A)(B)

    45       43  

 

 

 

SEI Institutional Investments Trust

 

293

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

COLT Mortgage Loan Trust, Ser 2021-1, Cl A1

               

0.910%, 06/25/2066(A)(B)

  $ 354     $ 301  

COLT Mortgage Loan Trust, Ser 2021-2, Cl A1

               

0.924%, 08/25/2066(A)(B)

    489       404  

COLT Mortgage Loan Trust, Ser 2021-2R, Cl A1

               

0.798%, 07/27/2054(A)

    155       136  

COLT Mortgage Loan Trust, Ser 2021-4, Cl A1

               

1.397%, 10/25/2066(A)(B)

    813       684  

COLT Mortgage Loan Trust, Ser 2021-HX1, Cl A1

               

1.110%, 10/25/2066(A)(B)

    745       630  

COLT Mortgage Pass-Through Certificates, Ser 2021-1R, Cl A1

               

0.857%, 05/25/2065(A)(B)

    377       326  

CSAIL Commercial Mortgage Trust, Ser 2018-C14, Cl ASB

               

4.359%, 11/15/2051(B)

    476       470  

CSMC Trust, Ser 2021-AFC1, Cl A1

               

0.830%, 03/25/2056(A)(B)

    411       339  

CSMC, Ser 2021-NQM1, Cl A1

               

0.809%, 05/25/2065(A)(B)

    381       339  

Deephaven Residential Mortgage Trust, Ser 2021-1, Cl A1

               

0.715%, 05/25/2065(A)(B)

    102       96  

Deephaven Residential Mortgage Trust, Ser 2021-2, Cl A1

               

0.899%, 04/25/2066(A)(B)

    144       126  

Ellington Financial Mortgage Trust, Ser 2020-2, Cl A1

               

1.178%, 10/25/2065(A)(B)

    46       43  

Ellington Financial Mortgage Trust, Ser 2021-1, Cl A1

               

0.797%, 02/25/2066(A)(B)

    85       73  

Ellington Financial Mortgage Trust, Ser 2021-2, Cl A1

               

0.931%, 06/25/2066(A)(B)

    267       223  

ELP Commercial Mortgage Trust, Ser 2021-ELP, Cl A

               

6.153%, TSFR1M + 0.815%, 11/15/2038(A)(B)

    1,059       1,045  

Extended Stay America Trust, Ser 2021-ESH, Cl B

               

6.832%, TSFR1M + 1.494%, 07/15/2038(A)(B)

    450       446  

FREMF Mortgage Trust, Ser 2015-K45, Cl B

               

3.723%, 04/25/2048(A)(B)

    535       529  

GCAT Trust, Ser 2020-NQM2, Cl A1

               

2.555%, 04/25/2065(A)(E)

    84       79  

GCAT Trust, Ser 2021-CM1, Cl A

               

2.469%, 04/25/2065(A)(B)

    415       394  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

GCAT Trust, Ser 2021-NQM1, Cl A1

               

0.874%, 01/25/2066(A)(B)

  $ 291     $ 250  

GCAT Trust, Ser 2021-NQM5, Cl A1

               

1.262%, 07/25/2066(A)(B)

    1,165       967  

GMAC Mortgage Loan Trust, Ser 2005-AR6, Cl 2A1

               

3.643%, 11/19/2035(B)

    87       70  

GS Mortgage Securities Trust, Ser 2016-GS3, Cl AAB

               

2.777%, 10/10/2049

    342       335  

GS Mortgage Securities Trust, Ser 2017-GS8, Cl AAB

               

3.313%, 11/10/2050

    297       291  

GSR Mortgage Loan Trust, Ser 2005-AR4, Cl 2A1

               

6.640%, 07/25/2035(B)

    95       50  

GSR Mortgage Loan Trust, Ser 2007-AR2, Cl 1A1

               

4.389%, 05/25/2037(B)

    76       43  

Impac CMB Trust, Ser 2004-9, Cl 1A1

               

6.152%, TSFR1M + 0.874%, 01/25/2035(B)

    13       12  

Impac CMB Trust, Ser 2005-2, Cl 1A1

               

5.912%, TSFR1M + 0.634%, 04/25/2035(B)

    16       16  

Impac CMB Trust, Ser 2005-3, Cl A1

               

5.872%, TSFR1M + 0.594%, 08/25/2035(B)

    20       18  

Impac CMB Trust, Ser 2005-5, Cl A1

               

6.032%, TSFR1M + 0.434%, 08/25/2035(B)

    13       12  

Impac CMB Trust, Ser 2005-8, Cl 1A

               

5.912%, TSFR1M + 0.634%, 02/25/2036(B)

    42       39  

Imperial Fund Mortgage Trust, Ser 2021-NQM1, Cl A1

               

1.071%, 06/25/2056(A)(B)

    533       460  

Imperial Fund Mortgage Trust, Ser 2021-NQM2, Cl A1

               

1.073%, 09/25/2056(A)(B)

    366       306  

Imperial Fund Mortgage Trust, Ser 2021-NQM3, Cl A1

               

1.595%, 11/25/2056(A)(B)

    383       324  

JP Morgan Chase Commercial Mortgage Securities Trust, Ser 2016-JP2, Cl ASB

               

3.733%, 01/15/2049

    324       320  

JPMBB Commercial Mortgage Securities Trust, Ser 2015-C31, Cl ASB

               

3.540%, 08/15/2048

    66       65  

JPMCC Commercial Mortgage Securities Trust, Ser 2017-JP5, Cl ASB

               

3.549%, 03/15/2050

    54       53  

 

 

 

294

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

JPMDB Commercial Mortgage Securities Trust, Ser 2017-C5, Cl ASB

               

3.492%, 03/15/2050

  $ 1,960     $ 1,928  

JPMorgan Mortgage Trust, Ser 2005-A6, Cl 7A1

               

5.569%, 08/25/2035(B)

    16       13  

JPMorgan Mortgage Trust, Ser 2007-A3, Cl 1A1

               

4.658%, 05/25/2037(B)

    36       30  

JPMorgan Mortgage Trust, Ser 2014-5, Cl A1

               

2.716%, 10/25/2029(A)(B)

    696       671  

JPMorgan Mortgage Trust, Ser 2018-7FRB, Cl A2

               

6.142%, TSFR1M + 0.864%, 04/25/2046(A)(B)

    115       112  

JPMorgan Wealth Management, Ser 2021-CL1, Cl M1

               

6.649%, SOFR30A + 1.300%, 03/25/2051(A)(B)

           

LSTAR Commercial Mortgage Trust, Ser 2016-4, Cl A2

               

2.579%, 03/10/2049(A)

    459       449  

Merrill Lynch Mortgage-Backed Securities Trust, Ser 2007-3, Cl 2A1

               

4.921%, 06/25/2037(B)

    45       27  

MetLife Securitization Trust, Ser 2017-1A, Cl A

               

3.000%, 04/25/2055(A)(B)

    76       72  

MF1, Ser 2022-FL8, Cl A

               

6.686%, TSFR1M + 1.350%, 02/19/2037(A)(B)

    726       722  

MFA Trust, Ser 2020-NQM1, Cl A1

               

2.479%, 03/25/2065(A)(B)

    65       62  

MFA Trust, Ser 2020-NQM3, Cl A1

               

1.014%, 01/26/2065(A)(B)

    89       82  

MFA Trust, Ser 2021-INV1, Cl A1

               

0.852%, 01/25/2056(A)(B)

    150       142  

MFA Trust, Ser 2021-NQM2, Cl A1

               

1.029%, 11/25/2064(A)(B)

    296       260  

MHC Commercial Mortgage Trust, Ser 2021-MHC, Cl B

               

6.552%, TSFR1M + 1.215%, 04/15/2038(A)(B)

    1,720       1,704  

MHP, Ser 2021-STOR, Cl A

               

6.152%, TSFR1M + 0.814%, 07/15/2038(A)(B)

    325       321  

MHP, Ser 2022-MHIL, Cl A

               

6.152%, TSFR1M + 0.815%, 01/15/2027(A)(B)

    356       351  

Mill City Mortgage Loan Trust, Ser 2017-3, Cl A1

               

2.750%, 01/25/2061(A)(B)

    354       350  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Mill City Mortgage Loan Trust, Ser 2018-1, Cl A1

               

3.250%, 05/25/2062(A)(B)

  $ 41     $ 40  

Mill City Mortgage Loan Trust, Ser 2018-2, Cl A1

               

3.500%, 05/25/2058(A)(B)

    62       62  

Mill City Mortgage Loan Trust, Ser 2018-3, Cl A1

               

3.500%, 08/25/2058(A)(B)

    322       314  

Mill City Mortgage Loan Trust, Ser 2018-4, Cl A1B

               

3.473%, 04/25/2066(A)(B)

    1,632       1,588  

Mill City Mortgage Loan Trust, Ser 2021-NMR1, Cl A1

               

1.125%, 11/25/2060(A)(B)

    205       193  

Morgan Stanley Bank of America Merrill Lynch Trust, Ser 2015-C21, Cl ASB

               

3.150%, 03/15/2048

    30       29  

Morgan Stanley Capital I Trust, Ser 2018-H3, Cl ASB

               

4.120%, 07/15/2051

    225       223  

Morgan Stanley Capital I Trust, Ser 2019-H6, Cl A2

               

3.228%, 06/15/2052

    471       470  

Morgan Stanley Capital I, Ser 2017-HR2, Cl ASB

               

3.509%, 12/15/2050

    302       296  

MortgageIT Trust, Ser 2005-5, Cl A1

               

5.912%, TSFR1M + 0.634%, 12/25/2035(B)

    33       32  

New Residential Mortgage Loan Trust, Ser 2017-3A, Cl A1

               

4.000%, 04/25/2057(A)(B)

    116       111  

New Residential Mortgage Loan Trust, Ser 2017-6A, Cl A1

               

4.000%, 08/27/2057(A)(B)

    275       266  

New Residential Mortgage Loan Trust, Ser 2018-1A, Cl A1

               

3.835%, 09/25/2057(A)(B)

    119       113  

New Residential Mortgage Loan Trust, Ser 2019-NQM4, Cl A1

               

2.492%, 09/25/2059(A)(B)

    52       49  

New Residential Mortgage Loan Trust, Ser 2020-NQM1, Cl A1

               

2.464%, 01/26/2060(A)(B)

    221       206  

New Residential Mortgage Loan Trust, Ser 2020-NQM2, Cl A1

               

1.650%, 05/24/2060(A)(B)

    81       77  

New Residential Mortgage Loan Trust, Ser 2021-NQ2R, Cl A1

               

0.941%, 10/25/2058(A)(B)

    105       97  

New Residential Mortgage Loan Trust, Ser 2021-NQM3, Cl A1

               

1.156%, 11/27/2056(A)(B)

    559       479  

 

 

 

SEI Institutional Investments Trust

 

295

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

OBX Trust, Ser 2018-1, Cl A2

               

6.042%, TSFR1M + 0.764%, 06/25/2057(A)(B)

  $ 20     $ 19  

Paragon Mortgages, Ser 2006-12A, Cl A2C

               

5.320%, SONIO/N + 0.339%, 11/15/2038(A)(B)

    50       49  

PRPM LLC, Ser 2021-RPL1, Cl A1

               

1.319%, 07/25/2051(A)(E)

    190       174  

Residential Funding Mortgage Securities, Ser 2007-SA3, Cl 2A1

               

5.374%, 07/27/2037(B)

    56       42  

Residential Mortgage Loan Trust, Ser 2020-1, Cl A1

               

2.376%, 01/26/2060(A)(B)

    24       23  

Sequoia Mortgage Trust, Ser 2004-12, Cl A1

               

5.990%, TSFR1M + 0.654%, 01/20/2035(B)

    6       6  

Sequoia Mortgage Trust, Ser 2018-CH3, Cl A1

               

4.500%, 08/25/2048(A)(B)

    7       6  

SREIT Trust, Ser 2021-MFP, Cl B

               

6.531%, TSFR1M + 1.194%, 11/15/2038(A)(B)

    861       850  

STAR Trust, Ser 2021-1, Cl A1

               

1.219%, 05/25/2065(A)(B)

    239       218  

Starwood Mortgage Residential Trust, Ser 2020-1, Cl A1

               

2.275%, 02/25/2050(A)(B)

    17       16  

Starwood Mortgage Residential Trust, Ser 2020-3, Cl A1

               

1.486%, 04/25/2065(A)(B)

    43       42  

Starwood Mortgage Residential Trust, Ser 2021-2, Cl A1

               

0.943%, 05/25/2065(A)(B)

    119       110  

Starwood Mortgage Residential Trust, Ser 2021-3, Cl A1

               

1.127%, 06/25/2056(A)(B)

    486       415  

Toorak Mortgage, Ser 2021-INV1, Cl A1

               

1.153%, 07/25/2056(A)(B)

    320       280  

Towd Point Mortgage Trust, Ser 2017-4, Cl A1

               

2.750%, 06/25/2057(A)(B)

    202       195  

Towd Point Mortgage Trust, Ser 2017-5, Cl A1

               

5.992%, TSFR1M + 0.714%, 02/25/2057(A)(B)

    61       63  

Towd Point Mortgage Trust, Ser 2017-6, Cl A1

               

2.750%, 10/25/2057(A)(B)

    54       53  

Towd Point Mortgage Trust, Ser 2018-2, Cl A1

               

3.250%, 03/25/2058(A)(B)

    209       204  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Towd Point Mortgage Trust, Ser 2018-3, Cl A1

               

3.750%, 05/25/2058(A)(B)

  $ 92     $ 89  

Towd Point Mortgage Trust, Ser 2018-5, Cl A1A

               

3.250%, 07/25/2058(A)(B)

    251       245  

Towd Point Mortgage Trust, Ser 2021-SJ1, Cl A1

               

2.250%, 07/25/2068(A)(B)

    1,099       1,045  

TTAN, Ser 2021-MHC, Cl B

               

6.552%, TSFR1M + 1.214%, 03/15/2038(A)(B)

    540       533  

UBS Commercial Mortgage Trust, Ser 2017-C3, Cl ASB

               

3.215%, 08/15/2050

    150       146  

UBS Commercial Mortgage Trust, Ser 2017-C4, Cl ASB

               

3.366%, 10/15/2050

    502       492  

UBS Commercial Mortgage Trust, Ser 2017-C6, Cl ASB

               

3.504%, 12/15/2050

    151       148  

Verus Securitization Trust, Ser 2019-4, Cl A1

               

3.642%, 11/25/2059(A)(E)

    39       38  

Verus Securitization Trust, Ser 2019-INV3, Cl A1

               

3.692%, 11/25/2059(A)(B)

    55       54  

Verus Securitization Trust, Ser 2020-1, Cl A1

               

2.417%, 01/25/2060(A)(E)

    19       19  

Verus Securitization Trust, Ser 2020-4, Cl A1

               

1.502%, 05/25/2065(A)(E)

    95       92  

Verus Securitization Trust, Ser 2021-1, Cl A2

               

1.052%, 01/25/2066(A)(B)

    257       228  

Verus Securitization Trust, Ser 2021-1, Cl A1

               

0.815%, 01/25/2066(A)(B)

    197       176  

Verus Securitization Trust, Ser 2021-2, Cl A1

               

1.031%, 02/25/2066(A)(B)

    260       232  

Verus Securitization Trust, Ser 2021-R1, Cl A1

               

0.820%, 10/25/2063(A)(B)

    254       238  

Verus Securitization Trust, Ser 2021-R2, Cl A1

               

0.918%, 02/25/2064(A)(B)

    377       343  

Verus Securitization Trust, Ser 2021-R3, Cl A1

               

1.020%, 04/25/2064(A)(B)

    234       215  

WaMu Mortgage Pass-Through Certificates, Ser 2006-AR2, Cl 1A1

               

4.574%, 03/25/2036(B)

    61       57  

Wells Fargo Commercial Mortgage Trust, Ser 2015-NXS2, Cl A2

               

3.020%, 07/15/2058

    170       168  

Wells Fargo Commercial Mortgage Trust, Ser 2016-BNK1, Cl ASB

               

2.514%, 08/15/2049

    237       232  

 

 

 

296

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Wells Fargo Commercial Mortgage Trust, Ser 2016-C31, Cl A3

               

3.427%, 11/15/2048

  $ 977     $ 963  

Wells Fargo Commercial Mortgage Trust, Ser 2016-C32, Cl ASB

               

3.324%, 01/15/2059

           

Wells Fargo Commercial Mortgage Trust, Ser 2016-C34, Cl ASB

               

2.911%, 06/15/2049

    190       186  

Wells Fargo Commercial Mortgage Trust, Ser 2016-NXS6, Cl ASB

               

2.827%, 11/15/2049

    578       570  

Wells Fargo Commercial Mortgage Trust, Ser 2017-C39, Cl ASB

               

3.212%, 09/15/2050

    281       275  

Wells Fargo Commercial Mortgage Trust, Ser 2017-C41, Cl ASB

               

3.390%, 11/15/2050

    92       90  
                 
                 
              43,386  

Total Mortgage-Backed Securities

               

(Cost $54,821) ($ Thousands)

            52,832  
                 
                 
                 

U.S. GOVERNMENT AGENCY OBLIGATIONS — 2.7%

FHLMC

               

4.320%, 03/21/2025

    2,450       2,445  

4.050%, 07/21/2025

    2,400       2,385  

4.050%, 08/28/2025

    1,140       1,135  

4.000%, 12/30/2024

    1,245       1,240  

4.000%, 02/28/2025

    2,350       2,341  

2.250%, 03/25/2025

    2,150       2,121  
                 
                 
         

Total U.S. Government Agency Obligations

       

(Cost $11,735) ($ Thousands)

    11,667  
                 
                 
                 

MUNICIPAL BONDS — 0.8%

Florida — 0.4%

       

County of Miami-Dade Florida Aviation Revenue, Ser B, RB

               

2.504%, 10/01/2024

    795       793  
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MUNICIPAL BONDS (continued)

Miami-Dade County, Aviation Revenue, Ser B, RB

               

2.949%, 10/01/2025

  $ 830     $ 816  
                 
              1,609  

Texas — 0.4%

       

City of San Antonio Texas, GO

               

5.635%, 02/01/2026

    1,650       1,657  
                 
                 
                 

Total Municipal Bonds

               

(Cost $3,258) ($ Thousands)

            3,266  
                 
                 
   


Shares

         

CASH EQUIVALENT — 0.2%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    1,001,953       1,002  

Total Cash Equivalent

               

(Cost $1,002) ($ Thousands)

            1,002  
               
   

Face Amount
(Thousands)

         

REPURCHASE AGREEMENTS(F) — 0.1%

Barclays

               

5.310%, dated 8/31/2024 to be repurchased on 9/3/2024, repurchase price $200,089 (collateralized by U.S. Government Agencies, par value $196,900, 4.375%, 11/30/2028, with a total market value of $204,088)

  $ 200       200  

BNP Paribas

               

5.320%, dated 8/31/2024 to be repurchased on 9/3/2024, repurchase price $200,089 (collateralized by U.S. Government Agencies, par value $1,000 - $4,700,000, 1.500% - 7.274%, 11/01/2029 - 09/01/2053, with a total market value of $204,000)

    200       200  
                 

Total Repurchase Agreements

               

(Cost $400) ($ Thousands)

            400  
                 
                 

Total Investments in Securities — 100.1%

               

(Cost $427,604) ($ Thousands)

  $ 427,351  
                 
                 

 

 

 

 

 

 

 

 

SEI Institutional Investments Trust

 

297

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Ultra Short Duration Bond Fund (Concluded)

 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Short Contracts

                                       

U.S. 10-Year Treasury Note

    (25)       Dec-2024     $ (2,862 )   $ (2,839 )   $ 23  
                                         

 

 

Percentages are based on Net Assets of $427,093 ($ Thousands).

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

(A)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On August 31, 2024, the value of these securities amounted to $165,249 ($ Thousands), representing 38.7% of the Net Assets of the Fund.

(B)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates on certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(C)

No interest rate available.

(D)

Interest rate represents the security's effective yield at the time of purchase.

(E)

Step coupon security. Coupon rate will either increase (step-up bond) or decrease (step-down bond) at regular intervals until maturity. Interest rate shown reflects the rate currently in effect.

(F)

Tri-Party Repurchase Agreement.

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Daily Income Trust, Government Fund,
Institutional Class

  $ 1,887     $ 64,069     $ (64,954 )   $     $     $ 1,002     $ 54     $  

 

                                                               

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

298

 

SEI Institutional Investments Trust

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS — 93.5%

Albania — 0.1%

       

Albania Government International Bond

               

3.500%, 11/23/2031

  EUR 1,200     $ 1,237  
                 
                 

Angola — 0.7%

       

Angola Via Avenir Issuer II Ireland DAC

               

6.927%, 02/19/2027

  $ 2,640       2,561  

Angolan Government International Bond

               

9.375%, 05/08/2048

    3,593       3,085  

8.750%, 04/14/2032

    5,329       4,829  

8.750%, 04/14/2032 (A)

    516       468  

8.250%, 05/09/2028

    376       359  

Angolan Government International Bond MTN

               

8.000%, 11/26/2029

    207       190  
              11,492  
                 

Argentina — 1.6%

       

Argentine Republic Government International Bond

               

5.000%, 01/09/2038 (B)

    6,550       3,181  

4.125%, 07/09/2027 (B)

    5,500       2,566  

4.125%, 07/09/2027 (B)

    9,507       4,219  

3.875%, 07/09/2027 (B)

  EUR 3,900       1,748  

3.500%, 07/09/2041 (B)

  $ 6,895       2,870  

1.000%, 07/09/2029

    2,023       1,214  

0.750%, 07/09/2027 (B)

    12,128       6,852  

0.500%, 07/09/2029

  EUR 13       8  

0.125%, 07/09/2030

    750       441  

Provincia de Buenos Aires MTN

               

6.625%, 09/01/2037 (B)

  $ 6,305       2,830  

4.500%, 09/01/2037 (B)

  EUR 959       332  

Provincia de Cordoba

               

6.875%, 12/10/2025 (A)(B)

  $ 361       343  

YPF

               

9.500%, 01/17/2031 (A)

    802       842  
              27,446  
                 

Armenia — 0.1%

       

Armenia International Bond

               

3.950%, 09/26/2029

    250       221  

3.600%, 02/02/2031

    1,942       1,630  
              1,851  
                 

Austrailia — 0.0%

       

AngloGold Ashanti Holdings

               

3.750%, 10/01/2030

    323       293  
                 
                 

Azerbaijan — 0.6%

       

Republic of Azerbaijan International Bond

               

5.125%, 09/01/2029

    300       297  

3.500%, 09/01/2032

    1,748       1,557  

Southern Gas Corridor CJSC

               

6.875%, 03/24/2026

    4,499       4,572  

6.875%, 03/24/2026 (A)

    512       520  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

State Oil of the Azerbaijan Republic

               

6.950%, 03/18/2030

  $ 2,451     $ 2,577  

6.950%, 03/18/2030

    220       231  
              9,754  
                 

Bahamas — 0.3%

       

Bahamas Government International Bond

               

9.000%, 06/16/2029

    1,500       1,521  

8.950%, 10/15/2032

    1,613       1,614  

6.000%, 11/21/2028

    2,217       2,045  
              5,180  
                 

Bahrain — 1.0%

       

Bahrain Government International Bond

               

7.750%, 04/18/2035

    776       832  

7.750%, 04/18/2035 (A)

    388       416  

6.000%, 09/19/2044

    810       697  

5.450%, 09/16/2032

    2,079       1,969  

Bahrain Government International Bond MTN

               

6.250%, 01/25/2051

    8,500       7,367  

Bapco Energies BSC Closed

               

8.375%, 11/07/2028

    600       651  

8.375%, 11/07/2028 (A)

    600       651  

CBB International Sukuk Programme WLL

               

3.950%, 09/16/2027

    5,651       5,403  
              17,986  
                 

Barbados — 0.1%

       

Barbados Government International Bond

               

6.500%, 10/01/2029

    1,200       1,152  
                 
                 

Benin — 0.1%

       

Benin Government International Bond

               

7.960%, 02/13/2038 (A)

    300       287  

6.875%, 01/19/2052

  EUR 615       552  

4.950%, 01/22/2035

    1,131       1,016  

4.875%, 01/19/2032

    156       151  
              2,006  
                 

Bermuda — 0.1%

       

Bermuda Government International Bond

               

5.000%, 07/15/2032

  $ 592       589  

4.750%, 02/15/2029

    1,374       1,360  

2.375%, 08/20/2030

    306       267  
              2,216  
                 

Bolivia — 0.1%

       

Bolivian Government International Bond

               

4.500%, 03/20/2028

    1,783       986  
                 
                 

Brazil — 3.5%

       

Braskem Netherlands Finance BV

               

8.500%, 01/12/2031

    320       334  

Brazil Minas SPE via State of Minas Gerais

               

5.333%, 02/15/2028

    920       915  

 

 

 

SEI Institutional Investments Trust

 

299

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

5.333%, 02/15/2028

  $ 116     $ 116  

Brazil Notas do Tesouro Nacional, Ser B

               

6.000%, 05/15/2045

  BRL 435       329  

6.000%, 08/15/2050

    904       683  

Brazil Notas do Tesouro Nacional, Ser F

               

10.000%, 01/01/2027

    57,470       9,766  

10.000%, 01/01/2029

    87,115       14,343  

10.000%, 01/01/2031

    43,004       6,906  

Brazil Notas do Tesouro Nacional Serie B

               

6.000%, 05/15/2035

    390       297  

Brazil Notas do Tesouro Nacional Serie F

               

10.000%, 01/01/2033

    49,916       7,891  

Brazilian Government International Bond

               

7.125%, 05/13/2054

  $ 4,400       4,514  

6.250%, 03/18/2031

    227       234  

6.125%, 01/22/2032

    4,866       4,937  

6.000%, 10/20/2033

    1,119       1,121  

5.625%, 02/21/2047

    1,390       1,208  

5.000%, 01/27/2045

    200       163  

4.750%, 01/14/2050

    1,595       1,208  

Centrais Eletricas Brasileiras

               

4.625%, 02/04/2030 (A)

    232       219  

CSN Resources (A)

               

8.875%, 12/05/2030

    583       584  

4.625%, 06/10/2031

    804       636  

MC Brazil Downstream Trading SARL

               

7.250%, 06/30/2031 (A)

    1,257       1,132  

7.250%, 06/30/2031

    393       354  

MV24 Capital BV

               

6.748%, 06/01/2034

    1,864       1,816  

6.748%, 06/01/2034 (A)

    506       493  

Samarco Mineracao

               

9.000%cash/0% PIK, 06/30/2031

    600       559  

Yinson Boronia Production BV

               

8.947%, 07/31/2042 (A)

    1,000       1,049  
              61,807  
                 

Bulgaria — 0.0%

       

Bulgaria Government International Bond

               

5.000%, 03/05/2037

    398       395  
                 
                 

Cameroon — 0.1%

       

Cameroon International Bond

               

5.950%, 07/07/2032

  EUR 2,133       1,889  
                 
                 

Cayman Islands — 0.1%

       

Neon Capital MTN

               

1.998%, 01/06/2028 (C)

  JPY 200,145       1,258  
                 
                 

Chile — 1.7%

       

Alfa Desarrollo

               

4.550%, 09/27/2051 (A)

  $ 352       274  

Antofagasta

               

6.250%, 05/02/2034 (A)

    256       273  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

Banco de Credito e Inversiones

               

3.500%, 10/12/2027 (A)

  $ 441     $ 426  

Banco del Estado de Chile

               

7.950%, H15T5Y + 3.228% (A)(C)(D)

    350       370  

Bonos de la Tesoreria de la Republica

               

3.400%, 10/01/2039 (A)

  CLP 1,899,824       2,334  

1.900%, 09/01/2030

    622,068       658  

Bonos de la Tesoreria de la Republica en pesos

               

7.000%, 05/01/2034 (A)

    516,535       620  

6.000%, 04/01/2033 (A)

    1,050,000       1,175  

5.000%, 03/01/2035

    405,000       423  

4.700%, 09/01/2030 (A)

    1,450,000       1,512  

2.800%, 10/01/2033 (A)

    625,000       551  

Cencosud

               

4.375%, 07/17/2027 (A)

  $ 433       425  

Chile Electricity Lux MPC S.AR.L.

               

6.010%, 01/20/2033 (A)

    1,110       1,149  

Chile Government International Bond

               

5.330%, 01/05/2054

    810       801  

4.850%, 01/22/2029

    5,375       5,451  

3.875%, 07/09/2031

  EUR 857       969  

3.250%, 09/21/2071

  $ 574       376  

3.100%, 05/07/2041

    1,697       1,303  

Empresa de los Ferrocarriles del Estado

               

3.830%, 09/14/2061

    500       340  

3.068%, 08/18/2050

    300       187  

Empresa Nacional del Petroleo

               

6.150%, 05/10/2033

    2,600       2,727  

6.150%, 05/10/2033 (A)

    218       229  

5.950%, 07/30/2034 (A)

    395       410  

4.500%, 09/14/2047

    350       276  

Nacional del Cobre de Chile

               

6.440%, 01/26/2036 (A)

    579       621  

6.300%, 09/08/2053 (A)

    298       311  

5.950%, 01/08/2034

    3,095       3,217  

5.950%, 01/08/2034 (A)

    521       541  

5.125%, 02/02/2033 (A)

    403       397  

3.750%, 01/15/2031 (A)

    234       216  

3.700%, 01/30/2050 (A)

    469       342  
              28,904  
                 

China — 2.4%

       

China Government Bond

               

3.720%, 04/12/2051

  CNY 2,400       428  

3.530%, 10/18/2051

    9,860       1,706  

3.270%, 11/19/2030

    9,100       1,384  

3.190%, 04/15/2053

    5,430       896  

3.120%, 10/25/2052

    9,230       1,504  

3.000%, 10/15/2053

    28,960       4,639  

2.890%, 11/18/2031

    3,000       447  

2.880%, 02/25/2033

    52,830       7,885  

2.800%, 03/24/2029

    4,700       690  

2.800%, 03/25/2030

    3,900       573  

 

 

 

300

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

2.670%, 05/25/2033

  CNY 12,700     $ 1,864  

2.620%, 09/25/2029

    4,000       584  

2.620%, 06/25/2030

    11,000       1,604  

2.600%, 09/15/2030

    230       33  

2.600%, 09/01/2032

    1,700       248  

2.520%, 08/25/2033

    2,000       290  

2.470%, 07/25/2054

    1,400       202  

2.280%, 03/25/2031

    3,020       432  

2.270%, 05/25/2034

    35,150       5,001  

2.120%, 06/25/2031

    4,100       580  

2.050%, 04/15/2029

    19,440       2,767  

2.040%, 02/25/2027

    6,300       897  

China Government International Bond

               

1.950%, 12/03/2024

  $ 4,294       4,266  

1.250%, 10/26/2026 (A)

    843       796  

1.250%, 10/26/2026

    200       189  

0.550%, 10/21/2025

    728       699  

Meituan

               

3.050%, 10/28/2030

    238       213  

Shimao Group Holdings

               

5.600%, 07/15/2026 (E)

    2,542       132  

5.200%, 01/30/2025 (E)

    2,111       111  
              41,060  
                 

Colombia — 5.6%

       

AI Candelaria Spain

               

5.750%, 06/15/2033 (A)

    1,280       1,047  

AL Candelaria -spain

               

5.750%, 06/15/2033

    600       491  

Bancolombia

               

8.625%, H15T5Y + 4.320%, 12/24/2034 (C)

    372       390  

Colombia Government International Bond

               

9.850%, 06/28/2027

  COP 7,914,000       1,854  

9.850%, 06/28/2027

    994,000       233  

8.750%, 11/14/2053

  $ 3,158       3,428  

8.000%, 04/20/2033

    1,186       1,261  

8.000%, 11/14/2035

    4,504       4,780  

7.500%, 02/02/2034

    2,352       2,426  

6.125%, 01/18/2041

    3,936       3,427  

5.625%, 02/26/2044

    5,155       4,098  

5.000%, 06/15/2045

    7,158       5,187  

4.125%, 02/22/2042

    2,128       1,451  

3.000%, 01/30/2030

    936       791  

Colombian TES

               

13.250%, 02/09/2033

  COP 13,253,600       3,754  

9.250%, 05/28/2042

    36,534,100       7,707  

7.750%, 09/18/2030

    14,954,300       3,292  

7.500%, 08/26/2026

    16,168,500       3,815  

7.250%, 10/18/2034

    49,252,700       9,703  

7.250%, 10/26/2050

    17,413,700       2,872  

7.000%, 03/26/2031

    19,767,400       4,135  

7.000%, 03/26/2031

    1,757,100       370  

7.000%, 06/30/2032

    29,072,600       5,914  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

6.250%, 07/09/2036

  COP 3,903,100     $ 677  

6.000%, 04/28/2028

    64,392,800       13,932  

5.750%, 11/03/2027

    20,916,300       4,580  

Ecopetrol

               

8.875%, 01/13/2033

  $ 520       552  

6.875%, 04/29/2030

    686       684  

5.875%, 11/02/2051

    2,004       1,448  

Empresas Publicas de Medellin ESP (A)

               

8.375%, 11/08/2027

  COP 3,625,000       786  

7.625%, 09/10/2024

    2,224,000       533  

7.625%, 09/10/2024

    1,827,000       438  

EnfraGen Energia Sur

               

5.375%, 12/30/2030

  $ 300       258  

Grupo Aval

               

4.375%, 02/04/2030 (A)

    1,083       960  

PA Autopista Rio Magalena

               

6.050%, 06/15/2036

  COP 3,448,381       675  
              97,949  
                 

Costa Rica — 0.6%

       

Costa Rica Government International Bond

               

10.580%, 09/26/2029 (A)

  CRC 117,750       269  

7.300%, 11/13/2054 (A)

  $ 2,842       3,073  

7.158%, 03/12/2045

    1,200       1,280  

7.000%, 04/04/2044

    420       441  

7.000%, 04/04/2044

    250       263  

6.550%, 04/03/2034 (A)

    1,509       1,588  

6.550%, 04/03/2034

    3,244       3,413  

Instituto Costarricense de Electricidad

               

6.375%, 05/15/2043

    700       630  
              10,957  
                 

Côte d'Ivoire — 0.7%

       

Côte d'Ivoire Government International Bond

               

8.250%, 01/30/2037 (A)

    1,791       1,784  

6.875%, 10/17/2040

  EUR 5,464       5,201  

6.625%, 03/22/2048

    3,094       2,740  

6.625%, 03/22/2048

    883       782  

5.250%, 03/22/2030

    1,121       1,166  

4.875%, 01/30/2032

    670       642  
              12,315  
                 

Czechia — 2.4%

       

Czechia Government Bond

               

6.200%, 06/16/2031

  CZK 18,270       928  

5.750%, 03/29/2029

    61,510       2,960  

5.500%, 12/12/2028

    41,220       1,959  

5.000%, 09/30/2030

    21,400       1,014  

4.900%, 04/14/2034

    134,790       6,418  

4.500%, 11/11/2032

    38,070       1,760  

4.200%, 12/04/2036

    12,390       560  

3.500%, 05/30/2035

    16,940       718  

3.000%, 03/03/2033

    123,520       5,118  

2.750%, 07/23/2029

    29,610       1,257  

 

 

 

SEI Institutional Investments Trust

 

301

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

2.500%, 08/25/2028

  CZK 45,210     $ 1,917  

2.000%, 10/13/2033

    148,250       5,616  

1.950%, 07/30/2037

    7,800       273  

1.750%, 06/23/2032

    39,200       1,492  

1.500%, 04/24/2040

    8,730       271  

1.200%, 03/13/2031

    74,590       2,815  

1.000%, 06/26/2026

    63,740       2,688  

0.950%, 05/15/2030

    47,180       1,793  

0.250%, 02/10/2027

    29,920       1,220  

0.050%, 11/29/2029

    15,750       579  
              41,356  
                 

Dominican Republic — 2.2%

       

Dominican Republic Central Bank Notes

               

13.000%, 12/05/2025 (A)

  DOP 371,950       6,363  

10.500%, 01/17/2025

    196,810       3,302  

Dominican Republic International Bond

               

13.625%, 02/03/2033 (A)

    9,000       180  

11.250%, 09/15/2035 (A)

    46,950       844  

11.250%, 09/15/2035

    8,000       144  

10.750%, 06/01/2036 (A)

    167,600       2,938  

9.750%, 06/05/2026

    24,700       415  

7.050%, 02/03/2031 (A)

  $ 970       1,039  

7.050%, 02/03/2031

    7,888       8,454  

6.850%, 01/27/2045

    5,136       5,386  

6.600%, 06/01/2036

    267       280  

6.000%, 02/22/2033

    903       911  

5.875%, 01/30/2060

    4,118       3,785  

5.300%, 01/21/2041

    3,550       3,210  

4.875%, 09/23/2032

    720       676  
              37,927  
                 

Ecuador — 1.0%

       

Ecuador Government International Bond

               

8.603%, 07/31/2030

    1,710       927  

7.442%, 07/31/2030 (A)

    949       514  

6.900%, 07/31/2030 (A)(B)

    4,634       3,287  

6.900%, 07/31/2030 (B)

    3,973       2,818  

5.500%, 07/31/2025 (A)(B)

    1,828       1,005  

5.500%, 07/31/2025 (B)

    13,450       7,397  

5.000%, 07/31/2026 (B)

    2,180       1,097  

5.000%, 07/31/2026 (A)(B)

    1,127       567  
              17,612  
                 

Egypt — 1.9%

       

Egypt Government Bond

               

14.664%, 10/06/2030

  EGP 7,247       105  

Egypt Government International Bond

               

8.875%, 05/29/2050

  $ 4,485       3,552  

8.700%, 03/01/2049

    6,800       5,304  

8.700%, 03/01/2049 (A)

    254       198  

8.500%, 01/31/2047

    9,378       7,247  

Egypt Government International Bond MTN

               

7.300%, 09/30/2033

    5,681       4,652  

6.375%, 04/11/2031

  EUR 2,680       2,440  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

5.625%, 04/16/2030

  EUR 1,081     $ 986  

Egypt Treasury Bills

               

32.272%, 09/10/2024 (G)

  EGP 19,050       390  

30.246%, 12/10/2024 (G)

    48,175       919  

29.768%, 03/04/2025 (G)

    156,875       2,822  

29.502%, 03/18/2025 (G)

    267,500       4,780  

25.832%, 12/31/2024 (G)

    9,100       171  
              33,566  
                 

El Salvador — 0.6%

       

El Salvador Government International Bond

               

9.500%, 07/15/2052

  $ 5,869       4,972  

9.250%, 04/17/2030 (A)

    767       725  

9.250%, 04/17/2030

    256       242  

8.250%, 04/10/2032

    1,006       858  

7.650%, 06/15/2035

    563       442  

7.125%, 01/20/2050

    3,250       2,249  

6.375%, 01/18/2027

    197       184  

0.250%, 04/17/2030 (A)

    427       11  
              9,683  
                 

Ethiopia — 0.1%

       

Ethiopia International Bond

               

6.625%, 12/11/2024 (E)

    2,111       1,630  

Federal Democratic Republic of Ethiopia

               

6.625%, 12/11/2024 (A)(E)

    545       421  
              2,051  
                 

Gabon — 0.1%

       

Gabon Government International Bond

               

7.000%, 11/24/2031

    2,233       1,704  

7.000%, 11/24/2031 (A)

    293       223  

6.950%, 06/16/2025

    252       236  
              2,163  
                 

Ghana — 0.9%

       

Republic of Ghana Government Bonds

               

10.750%, 10/14/2030 (A)

    1,176       802  

10.750%, 10/14/2030

    6,525       4,448  

10.000%, 02/02/2038

  GHS 715       16  

9.850%, 02/03/2037

    710       16  

9.700%, 02/05/2036

    708       16  

9.550%, 02/06/2035

    707       16  

9.400%, 02/07/2034

    706       16  

9.250%, 02/08/2033

    3,117       74  

9.100%, 02/10/2032

    3,112       77  

8.950%, 02/11/2031

    10,748       284  

8.950%, 03/26/2051 (E)

  $ 2,983       1,570  

8.875%, 05/07/2042 (E)

    410       214  

8.800%, 02/12/2030

  GHS 14,963       428  

8.750%, 03/11/2061 (E)

  $ 1,039       547  

8.650%, 02/13/2029

  GHS 21,289       672  

8.627%, 06/16/2049 (E)

  $ 902       467  

8.625%, 04/07/2034 (E)

    5,135       2,696  

8.500%, 02/15/2028

  GHS 5,298       189  

8.350%, 02/16/2027

    10,354       426  

 

 

 

302

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

7.875%, 02/11/2035 (E)

  $ 2,447     $ 1,285  

7.750%, 04/07/2029 (E)

    1,321       690  

7.625%, 05/16/2029 (E)

    1,276       663  

6.375%, 02/11/2027

    1,083       557  
              16,169  
                 

Guatemala — 0.8%

       

CT Trust

               

5.125%, 02/03/2032 (A)

    340       306  

Guatemala Government Bond

               

7.050%, 10/04/2032

    463       497  

6.600%, 06/13/2036 (A)

    2,060       2,145  

6.600%, 06/13/2036

    3,514       3,660  

6.550%, 02/06/2037

    200       206  

6.550%, 02/06/2037 (A)

    200       206  

6.125%, 06/01/2050

    3,282       3,113  

6.050%, 08/06/2031 (A)

    1,097       1,118  

6.050%, 08/06/2031

    296       302  

5.375%, 04/24/2032

    560       551  

5.250%, 08/10/2029

    340       335  

3.700%, 10/07/2033

    855       726  
              13,165  
                 

Honduras — 0.1%

       

Honduras Government International Bond

               

6.250%, 01/19/2027

    479       463  

5.625%, 06/24/2030

    1,689       1,490  
              1,953  
                 

Hong Kong — 0.0%

       

NWD

               

4.125%, 07/18/2029

    482       369  
                 
                 

Hungary — 2.7%

       

Hungary Government Bond

               

9.500%, 10/21/2026

  HUF 112,170       338  

7.000%, 10/24/2035

    250,490       741  

6.750%, 10/22/2028

    3,152,840       9,156  

4.750%, 11/24/2032

    2,650,550       6,808  

4.500%, 03/23/2028

    1,054,030       2,838  

4.500%, 05/27/2032

    34,830       88  

3.250%, 10/22/2031

    389,450       922  

3.000%, 10/27/2027

    560,260       1,451  

3.000%, 08/21/2030

    602,170       1,453  

3.000%, 10/27/2038

    1,082,580       2,092  

3.000%, 04/25/2041

    407,260       746  

2.250%, 04/20/2033

    728,990       1,536  

2.000%, 05/23/2029

    1,100,470       2,616  

Hungary Government International Bond

               

6.125%, 05/22/2028 (A)

  $ 1,228       1,274  

6.125%, 05/22/2028

    3,597       3,730  

5.500%, 03/26/2036

    448       451  

5.500%, 03/26/2036 (A)

    3,842       3,867  

3.125%, 09/21/2051

    5,578       3,685  

3.125%, 09/21/2051 (A)

    584       386  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

2.125%, 09/22/2031 (A)

  $ 1,838     $ 1,516  

Magyar Export-Import Bank Zrt

               

6.000%, 05/16/2029

  EUR 403       475  
              46,169  
                 

India — 0.9%

       

Adani Electricity Mumbai

               

3.949%, 02/12/2030 (A)

  $ 628       564  

Adani Green Energy UP

               

6.700%, 03/12/2042

    1,000       967  

6.700%, 03/12/2042 (A)

    550       530  

Adani Renewable Energy RJ MTN

               

4.625%, 10/15/2039

    949       806  

Export-Import Bank of India

               

5.500%, 01/18/2033

    875       909  

Export-Import Bank of India MTN

               

3.250%, 01/15/2030

    545       507  

2.250%, 01/13/2031

    1,664       1,424  

Greenko Power II

               

4.300%, 12/13/2028

    616       577  

India Government Bond

               

7.300%, 06/19/2053

  INR 114,700       1,418  

7.260%, 08/22/2032

    20        

7.180%, 08/14/2033

    534,100       6,488  

7.180%, 07/24/2037

    56,380       688  

7.100%, 04/08/2034

    27,000       327  

Power Finance MTN

               

3.950%, 04/23/2030 (A)

  $ 486       462  

Vedanta Resources Finance II

               

13.875%, 12/09/2028

    353       355  
              16,022  
                 

Indonesia — 6.3%

       

Indonesia Asahan Aluminium

               

5.800%, 05/15/2050 (A)

    1,683       1,650  

Indonesia Government International Bond

               

5.650%, 01/11/2053

    3,167       3,385  

4.850%, 01/11/2033

    300       303  

4.650%, 09/20/2032

    2,109       2,108  

4.550%, 01/11/2028

    2,192       2,199  

4.400%, 03/10/2029

    977       976  

3.550%, 03/31/2032

    4,351       4,060  

2.850%, 02/14/2030

    3,457       3,183  

1.400%, 10/30/2031

  EUR 1,430       1,363  

1.300%, 03/23/2034

    332       296  

1.100%, 03/12/2033

    690       621  

Indonesia Treasury Bond

               

9.000%, 03/15/2029

  IDR 34,386,000       2,435  

8.750%, 05/15/2031

    16,958,000       1,218  

8.375% 03/15/2034

    19,602,000       1,420  

8.375%, 04/15/2039

    69,773,000       5,162  

8.250%, 05/15/2029

    47,387,000       3,271  

8.250%, 05/15/2036

    93,241,000       6,770  

7.500%, 08/15/2032

    28,416,000       1,925  

 

 

 

SEI Institutional Investments Trust

 

303

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

7.500%, 06/15/2035

  IDR 5,000,000     $ 343  

7.500%, 04/15/2040

    25,556,000       1,759  

7.125%, 06/15/2038

    145,690,000       9,762  

7.125%, 06/15/2042

    25,817,000       1,719  

7.125%, 06/15/2043

    26,330,000       1,758  

7.000%, 09/15/2030

    62,341,000       4,118  

7.000%, 02/15/2033

    100,997,000       6,680  

6.875%, 04/15/2029

    108,088,000       7,085  

6.875%, 08/15/2051

    35,626,000       2,304  

6.750%, 07/15/2035

    47,240,000       3,095  

6.625%, 02/15/2034

    143,161,000       9,242  

6.500%, 06/15/2025

    14,125,000       914  

6.500%, 02/15/2031

    40,160,000       2,585  

6.375%, 08/15/2028

    104,434,000       6,753  

6.375%, 04/15/2032

    19,045,000       1,213  

6.375%, 07/15/2037

    2,200,000       138  

5.125%, 04/15/2027

    30,236,000       1,895  

Medco Bell Pte

               

6.375%, 01/30/2027 (A)

  $ 626       623  

Minejesa Capital BV

               

5.625%, 08/10/2037 (A)

    1,448       1,375  

5.625%, 08/10/2037

    800       760  

Perusahaan Perseroan Persero Perusahaan Listrik Negara

               

1.875%, 11/05/2031 (A)

  EUR 1,143       1,073  

1.875%, 11/05/2031

    350       329  

Perusahaan Perseroan Persero Perusahaan Listrik Negara MTN

               

6.150%, 05/21/2048

  $ 770       788  

5.250%, 05/15/2047

    710       653  

4.375%, 02/05/2050 (A)

    355       287  

Perusahaan Perseroan Persero PT Perusahaan Listrik Negara MTN

               

6.150%, 05/21/2048 (A)

    665       681  
              110,277  
                 

Iraq — 0.1%

       

Iraq International Bond

               

5.800%, 01/15/2028

    1,591       1,507  
                 
                 

Israel — 0.3%

       

Israel Electric

               

8.100%, 12/15/2096

    2,000       2,273  

Israel Government International Bond

               

5.750%, 03/12/2054

    1,176       1,129  

5.500%, 03/12/2034

    1,059       1,058  

4.500%, 04/03/2120

    1,400       1,028  

Leviathan Bond

               

6.750%, 06/30/2030 (A)

    370       341  
              5,829  
                 

Jamaica — 0.3%

       

Jamaica Government International Bond

               

9.625%, 11/03/2030

  JMD 602,500       4,055  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

TransJamican Highway

               

5.750%, 10/10/2036

  $ 981     $ 892  
              4,947  
                 

Jordan — 0.4%

       

Jordan Government International Bond

               

7.500%, 01/13/2029 (A)

    1,954       1,979  

7.500%, 01/13/2029

    668       678  

7.375%, 10/10/2047

    4,512       4,101  
              6,758  
                 

Kazakhstan — 0.5%

       

Development Bank of Kazakhstan JSC

               

5.500%, 04/15/2027 (A)

    549       549  

Kazakhstan Government International Bond MTN

               

5.125%, 07/21/2025

    1,017       1,017  

KazMunayGas National JSC

               

6.375%, 10/24/2048 (A)

    1,418       1,388  

6.375%, 10/24/2048

    1,150       1,125  

5.750%, 04/19/2047 (A)

    3,149       2,857  

KazMunayGas National JSC MTN

               

5.375%, 04/24/2030

    820       810  

QazaqGaz NC JSC

               

4.375%, 09/26/2027

    634       608  

4.375%, 09/26/2027 (A)

    533       511  

Tengizchevroil Finance International

               

3.250%, 08/15/2030 (A)

    630       538  
              9,403  
                 

Kenya — 0.3%

       

Kenya Government International Bond

               

8.250%, 02/28/2048

    3,887       3,073  

Republic of Kenya Government International Bond

               

9.750%, 02/16/2031 (A)

    2,404       2,332  
              5,405  
                 

Kuwait — 0.0%

       

NBK Tier 1 Financing 2

               

4.500%, CMTUSD6Y + 2.832% (A)(C)(D)

    693       681  
                 
                 

Latvia — 0.1%

       

Latvia Government International Bond MTN

               

5.125%, 07/30/2034 (A)

    1,457       1,488  
                 
                 

Lebanon — 0.2%

       

Lebanon Government International Bond

               

8.250%, 05/17/2034 (E)

    11,222       741  

Lebanon Government International Bond MTN

               

8.250%, 12/31/2023 (E)

    6,521       391  

7.000%, 03/20/2028 (E)

    2,671       174  

6.850%, 05/25/2029 (E)

    522       34  

6.650%, 11/03/2028 (E)

    3,325       215  

 

 

 

304

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

6.650%, 02/26/2030 (E)

  $ 2,063     $ 134  

6.600%, 11/27/2026 (E)

    1,900       123  

6.400%, 05/26/2023 (E)

    2,645       172  

6.375%, 12/31/2023 (E)

    3,638       234  

6.250%, 05/27/2022 (E)

    409       27  

6.150%, 12/31/2023 (E)

    4,039       261  

6.100%, 10/04/2022 (E)

    2,965       190  

6.100%, 10/04/2022 (E)

    1,342       86  

5.800%, 04/14/2023 (E)

    6,282       406  
              3,188  
                 

Malaysia — 5.7%

       

Khazanah Global Sukuk MTN

               

4.687%, 06/01/2028

    1,325       1,331  

Malaysia Government Bond

               

5.248% 09/15/2028

  MYR 1,204       297  

4.935% 09/30/2043

    1,200       310  

4.893%, 06/08/2038

    30,187       7,685  

4.762%, 04/07/2037

    1,291       324  

4.696%, 10/15/2042

    23,112       5,813  

4.642%, 11/07/2033

    43,800       10,793  

4.504%, 04/30/2029

    1,300       314  

4.498% 04/15/2030

    12,204       2,951  

4.457%, 03/31/2053

    6,734       1,625  

4.254%, 05/31/2035

    5,823       1,398  

4.065%, 06/15/2050

    15,006       3,425  

4.054%, 04/18/2039

    4,623       1,085  

3.955% 09/15/2025

    24,246       5,655  

3.906%, 07/15/2026

    6,407       1,500  

3.900% 11/30/2026

    5,756       1,350  

3.899%, 11/16/2027

    4,065       955  

3.885%, 08/15/2029

    16,004       3,763  

3.882%, 03/14/2025

    8,724       2,026  

3.828%, 07/05/2034

    53,317       12,404  

3.757%, 05/22/2040

    20,517       4,629  

3.733%, 06/15/2028

    23,803       5,558  

3.582%, 07/15/2032

    20,593       4,707  

3.519%, 04/20/2028

    7,138       1,656  

3.502% 05/31/2027

    13,593       3,157  

2.632%, 04/15/2031

    28,986       6,281  

Malaysia Government Investment Issue

               

4.369%, 10/31/2028

    2,000       478  

4.119%, 11/30/2034

    5,418       1,289  

Petronas Capital MTN

               

3.500%, 04/21/2030

  $ 1,427       1,354  

3.404%, 04/28/2061

    2,186       1,554  

2.480%, 01/28/2032

    3,302       2,845  
              98,512  
                 

Mexico — 7.2%

       

America Movil

               

7.125%, 12/09/2024

  MXN 23,310       1,170  

Cemex (D)

               

9.125%, H15T5Y + 5.157% (A)(C)

  $ 774       842  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

9.125%, H15T5Y + 5.157% (C)

  $ 360     $ 391  

5.125%, H15T5Y + 4.534% (A)(C)

    277       272  

Comision Federal de Electricidad

               

7.350%, 11/25/2025

  MXN 52,305       2,550  

6.264%, 02/15/2052 (A)

  $ 405       369  

4.750%, 02/23/2027 (A)

    6       6  

4.688%, 05/15/2029 (A)

    707       683  

3.875%, 07/26/2033

    800       675  

3.348%, 02/09/2031 (A)

    605       520  

Mexican Bonos

               

8.500%, 03/01/2029

  MXN 11,744       572  

8.500% 05/31/2029

    149,876       7,289  

8.500% 11/18/2038

    244,739       11,192  

8.000%, 05/24/2035

    16,500       746  

8.000%, 11/07/2047

    107,387       4,475  

8.000%, 07/31/2053

    53,638       2,209  

7.750% 05/29/2031

    332,341       15,341  

7.750% 11/23/2034

    12,000       536  

7.750% 11/13/2042

    180,188       7,435  

7.500% 06/03/2027

    255,695       12,324  

7.500%, 05/26/2033

    165,145       7,349  

7.000%, 09/03/2026

    10,678       514  

5.750% 03/05/2026

    33,002       1,578  

5.750%, 03/05/2026

    19,946       954  

5.500%, 03/04/2027

    37,040       1,711  

Mexico City Airport Trust

               

5.500%, 07/31/2047 (A)

  $ 638       547  

Mexico Government International Bond

               

6.000%, 05/07/2036

    4,484       4,516  

4.600%, 01/23/2046

    2,366       1,895  

2.659%, 05/24/2031

    2,005       1,702  

Mexico Government International Bond MTN

               

5.750%, 10/12/2110

    1,792       1,531  

5.625%, 03/19/2114

  GBP 7,800       7,624  

Minera Mexico

               

4.500%, 01/26/2050 (A)

  $ 660       535  

Petroleos Mexicanos

               

7.690%, 01/23/2050

    13,079       9,731  

6.625%, 06/15/2035

    3,090       2,433  

6.375%, 01/23/2045

    486       326  

5.950%, 01/28/2031

    1,786       1,485  

Petroleos Mexicanos MTN

               

6.750%, 09/21/2047

    10,561       7,229  

Poinsettia Finance

               

6.625%, 06/17/2031

    5,030       4,347  
              125,604  
                 

Mongolia — 0.3%

       

Development Bank of Mongolia LLC

               

11.000%, 03/07/2026

    1,200       1,242  

Mongolia Government International Bond

               

8.650%, 01/19/2028 (A)

    1,386       1,463  

8.650%, 01/19/2028

    368       388  

 

 

 

SEI Institutional Investments Trust

 

305

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

7.875%, 06/05/2029 (A)

  $ 510     $ 532  

7.875%, 06/05/2029

    450       470  

3.500%, 07/07/2027

    470       430  
              4,525  
                 

Montenegro — 0.0%

       

Montenegro Government International Bond

               

7.250%, 03/12/2031 (A)

    500       516  
                 
                 

Morocco — 0.3%

       

Morocco Government International Bond

               

6.500%, 09/08/2033 (A)

    1,213       1,295  

6.500%, 09/08/2033

    531       567  

3.000%, 12/15/2032

    204       172  

OCP

               

7.500%, 05/02/2054 (A)

    2,239       2,399  
              4,433  
                 

Mozambique — 0.1%

       

Mozambique International Bond

               

9.000%, 09/15/2031 (A)(B)

    1,601       1,347  

9.000%, 09/15/2031 (B)

    400       336  
              1,683  
                 

Nigeria — 1.2%

       

Nigeria Government International Bond

               

9.248%, 01/21/2049

    580       518  

8.747%, 01/21/2031

    1,496       1,429  

7.875%, 02/16/2032

    1,402       1,248  

7.696%, 02/23/2038

    1,720       1,380  

Nigeria Government International Bond MTN

               

8.375%, 03/24/2029

    729       706  

8.250%, 09/28/2051

    2,784       2,193  

7.375%, 09/28/2033

    6,315       5,301  

Nigeria OMO Bills

               

30.330%, 05/27/2025 (G)

  NGN 2,835,666       1,500  

26.335%, 05/20/2025 (G)

    8,824,494       4,691  

Nigeria Treasury Bills

               

24.355%, 03/27/2025 (G)

    2,549,240       1,407  

23.596%, 03/06/2025 (G)

    445,888       249  
              20,622  
                 

North Macedonia — 0.1%

       

North Macedonia Government International Bond

               

1.625%, 03/10/2028

  EUR 2,000       1,972  
                 
                 

Oman — 1.1%

       

EDO Sukuk

               

5.662%, 07/03/2031 (A)

  $ 1,686       1,714  

Oman Government International Bond

               

7.000%, 01/25/2051

    635       709  

6.750%, 10/28/2027

    6,914       7,259  

6.750%, 01/17/2048

    6,999       7,574  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

6.500%, 03/08/2047 (A)

  $ 897     $ 946  

6.500%, 03/08/2047

    402       424  
              18,626  
                 

Pakistan — 0.2%

       

Pakistan Global Sukuk Programme

               

7.950%, 01/31/2029

    663       595  

Pakistan Government International Bond

               

6.875%, 12/05/2027

    334       290  

Pakistan Government International Bond MTN

               

8.875%, 04/08/2051

    4,440       3,325  
              4,210  
                 

Panama — 1.3%

       

Aeropuerto Internacional de Tocumen

               

5.125%, 08/11/2061 (A)

    469       366  

Banco Nacional de Panama

               

2.500%, 08/11/2030 (A)

    320       261  

Empresa de Transmision Electrica

               

5.125%, 05/02/2049 (A)

    873       661  

Panama Bonos del Tesoro

               

3.362%, 06/30/2031

    3,000       2,460  

Panama Government International Bond

               

9.375%, 04/01/2029

    275       314  

8.125%, 04/28/2034

    699       743  

8.000%, 03/01/2038

    1,253       1,380  

7.500%, 03/01/2031

    383       410  

6.875%, 01/31/2036

    342       350  

6.700%, 01/26/2036

    886       902  

6.400%, 02/14/2035

    2,002       1,994  

4.500%, 04/16/2050

    7,784       5,518  

4.500%, 04/01/2056

    4,053       2,813  

4.500%, 01/19/2063

    1,771       1,204  

2.252%, 09/29/2032

    4,915       3,686  

Telecomunicaciones Digitales

               

4.500%, 01/30/2030 (A)

    227       207  
              23,269  
                 

Papua New Guinea — 0.0%

       

Papua New Guinea Government International Bond

               

8.375%, 10/04/2028

    400       387  
                 
                 

Paraguay — 0.6%

       

Bioceanico Sovereign Certificate

               

0.000%, 06/05/2034 (F)

           

Paraguay Government International Bond

               

7.900%, 02/09/2031 (A)

  PYG 22,253,000       2,972  

7.900%, 02/09/2031

    17,939,000       2,396  

6.100%, 08/11/2044

  $ 400       401  

5.850%, 08/21/2033 (A)

    1,790       1,838  

5.600%, 03/13/2048

    367       344  

5.400%, 03/30/2050

    946       860  

4.950%, 04/28/2031

    567       559  

 

 

 

306

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

3.849%, 06/28/2033

  $ 410     $ 372  
              9,742  
                 

Peru — 3.6%

       

Atlantica Transmision Sur

               

6.875%, 04/30/2043 (A)

    299       316  

Kallpa Generacion SA

               

4.125%, 08/16/2027 (A)

    275       267  

Peru Government Bond

               

7.600%, 08/12/2039 (A)

  PEN 21,168       5,974  

7.300%, 08/12/2033 (A)

    9,270       2,623  

6.950%, 08/12/2031

    82       23  

6.150%, 08/12/2032

    17,936       4,775  

5.940%, 02/12/2029

    10,462       2,877  

5.400%, 08/12/2034

    29,257       7,140  

5.350%, 08/12/2040

    3,082       698  

Peruvian Government International Bond

               

7.600%, 08/12/2039 (A)

    1,500       423  

6.950%, 08/12/2031 (A)

    3,666       1,035  

6.950%, 08/12/2031

    15,750       4,447  

6.900% 08/12/2037

    8,544       2,292  

6.900%, 08/12/2037

    4,007       1,075  

6.850%, 02/12/2042

    882       236  

5.940%, 02/12/2029

    13,804       3,796  

5.875%, 08/08/2054

  $ 3,633       3,786  

5.400%, 08/12/2034

  PEN 1,738       424  

5.375%, 02/08/2035

  $ 2,819       2,856  

3.600%, 01/15/2072

    1,900       1,274  

2.783%, 01/23/2031

    4,941       4,354  

1.950%, 11/17/2036

  EUR 2,211       1,926  

1.250%, 03/11/2033

    1,148       1,022  

Petroleos del Peru

               

5.625%, 06/19/2047 (A)

  $ 1,432       909  

5.625%, 06/19/2047

    11,966       7,592  

4.750%, 06/19/2032 (A)

    904       679  
              62,819  
                 

Philippines — 1.4%

       

Philippine Government Bond

               

8.000% 07/19/2031

  PHP 27,272       534  

6.750%, 09/15/2032

    73,860       1,361  

6.625%, 08/17/2033

    32,140       588  

6.250%, 01/25/2034

    478,580       8,560  

6.250%, 02/28/2044

    33,680       598  

Philippine Government International Bond

               

5.500%, 01/17/2048

  $ 1,000       1,047  

5.170%, 10/13/2027

    3,965       4,048  

2.950%, 05/05/2045

    300       217  

2.650%, 12/10/2045

    1,666       1,143  

1.950%, 01/06/2032

    6,125       5,107  

1.750%, 04/28/2041

  EUR 386       310  

1.648%, 06/10/2031

  $ 614       510  
              24,023  
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

Poland — 4.2%

       

Bank Gospodarstwa Krajowego

               

6.250%, 10/31/2028

  $ 200     $ 213  

6.250%, 07/09/2054

    394       425  

6.250%, 07/09/2054 (A)

    1,422       1,532  

5.750%, 07/09/2034 (A)

    1,300       1,360  

5.750%, 07/09/2034

    351       367  

Bank Gospodarstwa Krajowego MTN

               

5.375%, 05/22/2033

    575       588  

5.125%, 02/22/2033

  EUR 754       918  

0.500%, 07/08/2031

    140       127  

Poland Government Bond

               

7.500%, 07/25/2028

  PLN 70,051       19,681  

2.750%, 10/25/2029

    7,101       1,646  

2.500%, 07/25/2027

    9,731       2,359  

1.750%, 04/25/2032

    38,473       7,777  

1.250%, 10/25/2030

    7,679       1,582  

Republic of Poland Government Bond

               

6.000%, 10/25/2033

    11,689       3,163  

5.000%, 10/25/2034

    35,443       8,872  

4.750%, 07/25/2029

    10,897       2,760  

3.250%, 07/25/2025

    4,776       1,228  

Republic of Poland Government International Bond

               

5.500%, 04/04/2053

  $ 256       262  

5.500%, 03/18/2054

    6,157       6,301  

5.125%, 09/18/2034

    9,669       9,917  

4.625%, 03/18/2029

    834       849  

4.125%, 01/11/2044

  EUR 328       373  
              72,300  
                 

Qatar — 0.6%

       

Qatar Government International Bond

               

4.817%, 03/14/2049

  $ 1,828       1,796  

4.500%, 04/23/2028

    4,406       4,466  

Qatar Government International Bond MTN (A)

               

4.750%, 05/29/2034

    2,204       2,294  

4.625%, 05/29/2029

    2,079       2,128  

QatarEnergy (A)

               

3.300%, 07/12/2051

    382       285  

3.125%, 07/12/2041

    466       369  
              11,338  
                 

Romania — 2.0%

       

Romania Government Bond

               

8.750%, 10/30/2028

  RON 2,830       684  

8.250%, 09/29/2032

    4,925       1,198  

8.000%, 04/29/2030

    4,850       1,148  

7.900%, 02/24/2038

    965       236  

7.350%, 04/28/2031

    995       230  

6.700%, 02/25/2032

    13,850       3,088  

4.850%, 07/25/2029

    1,155       240  

4.750%, 10/11/2034

    3,550       681  

 

 

 

SEI Institutional Investments Trust

 

307

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

4.150%, 01/26/2028

  RON 965     $ 201  

2.500%, 10/25/2027

    4,905       977  

Romanian Government International Bond

               

7.125%, 01/17/2033 (A)

  $ 1,932       2,089  

7.125%, 01/17/2033

    112       121  

6.375%, 01/30/2034 (A)

    4,980       5,117  

4.000%, 02/14/2051

    5,880       4,194  

Romanian Government International Bond MTN

               

7.625%, 01/17/2053

    4,400       4,940  

6.375%, 09/18/2033

  EUR 561       654  

5.625%, 02/22/2036

    939       1,020  

5.625%, 02/22/2036 (A)

    400       435  

3.875%, 10/29/2035

    829       784  

3.750%, 02/07/2034

    5,622       5,421  

2.124%, 07/16/2031

    166       152  

2.000%, 01/28/2032

    906       803  

2.000%, 04/14/2033

    1,001       846  
              35,259  
                 

Russia — 0.1%

       

Serbia International Bond

               

6.000%, 06/12/2034 (A)

  $ 2,113       2,146  

Vnesheconombank Via VEB Finance

               

6.800%, 11/22/2025 (A)

    600       30  

6.800%, 11/22/2025 (H)

    240       14  
              2,190  
                 

Rwanda — 0.0%

       

Rwanda International Government Bond

               

5.500%, 08/09/2031

    810       649  
                 
                 

Saudi Arabia — 1.5%

       

Acwa Power Management And Investments One

               

5.950%, 12/15/2039

    3,323       3,286  

Greensaif Pipelines Bidco Sarl MTN

               

5.853%, 02/23/2036 (A)

    1,200       1,237  

Saudi Arabian Oil MTN

               

5.875%, 07/17/2064 (A)

    3,903       3,960  

Saudi Government International Bond MTN

               

5.750%, 01/16/2054

    3,553       3,637  

5.000%, 01/18/2053

    4,100       3,803  

4.750%, 01/16/2030 (A)

    7,236       7,319  

4.625%, 10/04/2047 (A)

    2,539       2,272  

4.625%, 10/04/2047

    700       626  
              26,140  
                 

Senegal — 0.2%

       

Senegal Government International Bond

               

6.750%, 03/13/2048

    2,077       1,543  

5.375%, 06/08/2037

  EUR 1,870       1,529  

4.750%, 03/13/2028

    530       551  
              3,623  
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

Serbia — 0.3%

       

Serbia International Bond

               

2.125%, 12/01/2030

  $ 1,049     $ 865  

1.650%, 03/03/2033

  EUR 814       696  

1.500%, 06/26/2029

    588       569  

Serbia International Bond MTN

               

2.050%, 09/23/2036

    2,126       1,712  

Serbia Treasury Bonds

               

5.875%, 02/08/2028

  RSD 61,170       606  

4.500%, 01/11/2026

    24,780       235  

4.500%, 08/20/2032

    14,680       132  
              4,815  
                 

South Africa — 7.2%

       

Bidvest Group UK

               

3.625%, 09/23/2026 (A)

  $ 528       507  

Eskom Holdings SOC Ltd MTN

               

8.450%, 08/10/2028 (A)

    1,784       1,853  

7.500%, 09/15/2033

  ZAR 52,000       2,313  

Sasol Financing USA LLC

               

8.750%, 05/03/2029 (A)

  $ 422       440  

6.500%, 09/27/2028

    540       530  

4.375%, 09/18/2026

    532       512  

South Africa Government International Bond

               

10.500% 12/21/2026

  ZAR 33       2  

9.000%, 01/31/2040

    343,291       16,241  

8.875% 02/28/2035

    181,598       9,137  

8.750% 01/31/2044

    343,909       15,527  

8.750% 02/28/2048

    269,065       12,097  

8.500% 01/31/2037

    367,620       17,249  

8.250% 03/31/2032

    71,256       3,659  

8.000%, 01/31/2030

    234,250       12,540  

7.300%, 04/20/2052

  $ 2,005       1,936  

7.000% 02/28/2031

  ZAR 130,375       6,445  

6.500% 02/28/2041

    113,425       4,202  

6.250% 03/31/2036

    120,826       4,806  

5.875%, 06/22/2030

  $ 199       197  

5.750%, 09/30/2049

    13,664       11,014  

5.650%, 09/27/2047

    284       229  

4.300%, 10/12/2028

    2,740       2,607  

Transnet SOC

               

8.250%, 02/06/2028

    1,200       1,236  

8.250%, 02/06/2028 (A)

    799       823  
              126,102  
                 

Sri Lanka — 0.7%

       

Sri Lanka Government International Bond

               

7.550%, 03/28/2030 (E)

    2,517       1,339  

6.850%, 03/14/2024 (E)

    1,445       755  

6.850%, 11/03/2025 (E)

    1,090       584  

6.825%, 07/18/2026 (A)(E)

    1,612       847  

6.825%, 07/18/2026 (E)

    800       420  

6.750%, 04/18/2028 (E)

    2,000       1,065  

 

 

 

308

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

6.750%, 04/18/2028 (A)(E)

  $ 9,110     $ 4,851  

6.350%, 06/28/2024 (E)

    472       248  

6.200%, 05/11/2027 (E)

    3,486       1,811  

5.750%, 04/18/2023 (E)

    1,512       790  
              12,710  
                 

Supranational — 0.9%

       

African Export-Import Bank

               

3.798%, 05/17/2031 (A)

    301       265  

Asian Development Bank MTN

               

13.000%, 03/07/2025

  COP 2,873,000       697  

12.750%, 03/03/2025

    4,561,000       1,107  

11.200%, 01/31/2025

    2,541,000       608  

10.100%, 01/23/2026

    4,813,000       1,159  

0.000%, 04/20/2043 (F)

  MXN 10,000       93  

Asian Infrastructure Investment Bank MTN

               

7.200%, 07/02/2031

  INR 56,500       676  

0.000%, 02/08/2038 (F)

  MXN 21,800       308  

Banque Ouest Africaine de Developpement

               

5.000%, 07/27/2027 (A)

  $ 1,274       1,236  

4.700%, 10/22/2031 (A)

    934       842  

4.700%, 10/22/2031

    430       388  

International Bank for Reconstruction & Development MTN

               

6.750%, 07/13/2029

  INR 264,300       3,138  

6.500%, 04/17/2030

    122,200       1,435  

International Finance MTN

               

0.000%, 08/16/2028 (F)

  COP 23,400,000       3,976  
              15,928  
                 

Suriname — 0.1%

       

Suriname Government International Bond

               

7.950%, 07/15/2033 (A)

  $ 2,033       1,962  
                 
                 

Tajikistan — 0.0%

       

Republic of Tajikistan International Bond

               

7.125%, 09/14/2027

    500       486  
                 
                 

Thailand — 2.1%

       

Thailand Government Bond

               

3.450%, 06/17/2043

  THB 132,609       4,184  

3.400% 06/17/2036

    78,115       2,482  

3.390%, 06/17/2037

    46,787       1,485  

3.350%, 06/17/2033

    103,419       3,246  

3.300%, 06/17/2038

    112,879       3,544  

2.875%, 06/17/2046

    4,865       137  

2.800%, 06/17/2034

    9,427       284  

2.750%, 06/17/2052

    2,778       76  

2.650%, 06/17/2028

    559,170       16,765  

2.000%, 06/17/2042

    87,380       2,269  

1.600%, 06/17/2035

    2,000       53  

1.585%, 12/17/2035

    1,182       32  

1.250% 03/12/2028

    90,056       2,564  
              37,121  
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

Trinidad & Tobago — 0.3%

       

Heritage Petroleum

               

9.000%, 08/12/2029

  $ 2,000     $ 2,086  

Telecommunications Services of Trinidad & Tobago

               

8.875%, 10/18/2029

    1,100       1,097  

Trinidad & Tobago Government International Bond

               

5.950%, 01/14/2031 (A)

    1,188       1,204  

5.950%, 01/14/2031

    400       405  
              4,792  
                 

Tunisia — 0.1%

       

Tunisian Republic

               

6.375%, 07/15/2026

  EUR 889       870  

6.375%, 07/15/2026 (A)

    650       636  
              1,506  
                 

Turkiye — 3.1%

       

Hazine Mustesarligi Varlik Kiralama

               

8.509%, 01/14/2029 (A)

  $ 5,843       6,304  

Istanbul Metropolitan Municipality

               

10.500%, 12/06/2028 (A)

    900       982  

10.500%, 12/06/2028

    318       347  

Limak Cimento Sanayi ve Ticaret

               

9.750%, 07/25/2029 (A)

    229       226  

TC Ziraat Bankasi

               

8.994%, H15T5Y + 4.327%, 08/02/2034 (A)(C)

    282       291  

Turkiye Government Bond

               

31.080%, 11/08/2028

  TRY 217,600       6,507  

26.200%, 10/05/2033

    449,086       12,918  

17.800%, 07/13/2033

    13,348       277  

17.300%, 07/19/2028

    66,341       1,413  

12.600%, 10/01/2025

    47,753       1,085  

1.500%, 06/18/2025

    62,555       1,735  

Turkiye Government International Bond

               

9.125%, 07/13/2030

  $ 3,561       3,993  

7.625%, 05/15/2034

    788       821  

7.125%, 07/17/2032

    4,466       4,518  

5.875%, 05/21/2030

  EUR 979       1,108  

5.750%, 05/11/2047

  $ 10,050       7,912  

4.875%, 04/16/2043

    1,600       1,170  

Turkiye Ihracat Kredi Bankasi (A)

               

9.375%, 01/31/2026

    539       564  

7.500%, 02/06/2028

    359       367  

Turkiye Vakiflar Bankasi TAO

               

9.000%, 10/12/2028 (A)

    726       778  
              53,316  
                 

Uganda — 0.1%

       

Republic of Uganda Government Bonds

               

14.250%, 06/22/2034

  UGX 5,200,000       1,298  
                 
                 

 

 

 

SEI Institutional Investments Trust

 

309

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

Ukraine — 0.9%

       

NAK Naftogaz Ukraine via Kondor Finance

               

7.125%, 07/19/2026 (E)

  EUR 647     $ 518  

NPC Ukrenergo

               

6.875%, 11/09/2028 (A)(E)

  $ 1,085       605  

State Agency of Roads of Ukraine

               

6.250%, 06/24/2030 (A)(E)

    554       174  

Ukraine Government Bond

               

15.840%, 02/26/2025 (E)(I)

  UAH 210,315       4,131  

Ukraine Government International Bond

               

9.750%, 11/01/2030 (A)(E)

  $ 1,047       352  

8.994%, 02/01/2026 (A)

    2,516       913  

7.750%, 09/01/2027 (A)(E)

    3,051       995  

7.750%, 09/01/2028 (E)

    4,180       1,335  

7.750%, 09/01/2028 (A)(E)

    2,005       640  

7.750%, 09/01/2029 (A)(E)

    6,552       2,060  

7.750%, 08/01/2041 (A)(C)(E)

    1,350       932  

7.750%, 08/01/2041 (C)(E)

    1,000       690  

7.253%, 03/15/2035 (E)

    864       264  

6.876%, 05/21/2031 (A)(E)

    2,734       833  

6.876%, 05/21/2031 (E)

    533       163  

6.750%, 06/20/2028 (E)

  EUR 1,487       470  
              15,075  
                 

United Arab Emirates — 1.2%

       

Abu Dhabi Crude Oil Pipeline LLC

               

4.600%, 11/02/2047 (A)

  $ 1,208       1,119  

4.600%, 11/02/2047

    550       509  

Abu Dhabi Developmental Holding PJSC

               

5.375%, 05/08/2029 (A)

    1,644       1,699  

Abu Dhabi Government International Bond

               

5.500%, 04/30/2054 (A)

    2,485       2,671  

3.125%, 09/30/2049

    2,827       2,085  

Abu Dhabi Government International Bond MTN

               

1.700%, 03/02/2031

    6,479       5,582  

Emirate of Dubai Government International Bonds MTN

               

3.900%, 09/09/2050

    670       517  

Finance Department Government of Sharjah MTN

               

4.000%, 07/28/2050 (A)

    2,246       1,540  

4.000%, 07/28/2050

    1,900       1,302  

Galaxy Pipeline Assets Bidco

               

2.625%, 03/31/2036 (A)

    827       698  

MDGH GMTN RSC MTN

               

4.375%, 11/22/2033 (A)

    319       311  

UAE International Government Bond MTN

               

4.951%, 07/07/2052

    282       278  

UAE INTERNATIONAL GOVERNMENT BOND

               

4.857%, 07/02/2034 (A)

    2,112       2,183  
              20,494  
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

United States — 0.1%

       

JPMorgan Chase Bank MTN (A)

               

8.375%, 04/19/2039

  IDR 1,563,000     $ 108  

7.000%, 09/18/2030 (C)

    16,509,000       1,090  
              1,198  
                 

Uruguay — 0.9%

       

Uruguay Government International Bond

               

9.750%, 07/20/2033

  UYU 253,036       6,298  

8.500%, 03/15/2028

    34       1  

8.250%, 05/21/2031

    11,959       276  

5.750%, 10/28/2034

  $ 5,632       6,110  

5.100%, 06/18/2050

    479       476  

4.375%, 01/23/2031

    683       685  

3.400%, 05/16/2045

  UYU 87,998       2,161  
              16,007  
                 

Uzbekistan — 0.5%

       

Republic of Uzbekistan International Bond

               

6.900%, 02/28/2032 (A)

  $ 1,107       1,107  

3.900%, 10/19/2031

    281       236  

Uzauto Motors AJ

               

4.850%, 05/04/2026

    2,050       1,920  

4.850%, 05/04/2026 (A)

    1,931       1,808  

Uzbek Industrial and Construction Bank ATB

               

8.950%, 07/24/2029 (A)

    1,000       990  

Uzbekneftegaz JSC

               

4.750%, 11/16/2028

    1,350       1,160  

4.750%, 11/16/2028 (A)

    864       742  
              7,963  
                 

Venezuela — 0.7%

       

La Electricidad de Caracas

               

8.500%, 12/31/2059 (E)

    500       39  

Petroleos de Venezuela

               

9.750%, 05/17/2035 (E)

    3,802       430  

6.000%, 05/16/2024 (E)

    9,758       963  

6.000%, 05/16/2024 (E)

    4,270       421  

6.000%, 05/16/2024 (E)

    1,477       146  

6.000%, 11/15/2026 (E)

    22,269       2,233  

5.500%, 04/12/2037 (E)

    1,620       164  

5.375%, 04/12/2027 (E)

    7,825       782  

Republic of Venezuela

               

12.750%, 08/23/2022 (E)

    5,600       887  

Venezuela Government International Bond

               

11.950%, 08/05/2031 (E)

    13,800       2,143  

9.250%, 05/07/2028 (E)

    4,477       659  

9.000%, 05/07/2024 (E)

    4,100       574  

8.250%, 10/13/2024 (E)

    3,881       534  

7.750%, 10/13/2024 (E)

    12,016       1,502  
              11,477  
                 

Vietnam — 0.1%

       

Mong Duong Finance Holdings BV

               

5.125%, 05/07/2029 (A)

    1,422       1,368  
                 
                 

 

 

 

310

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

GLOBAL BONDS (continued)

Zambia — 0.8%

       

Zambia Government Bond

               

13.000%, 08/29/2026

  ZMW 2,040     $ 70  

13.000%, 12/18/2027

    8,370       262  

13.000%, 01/25/2031

    56,225       1,414  

12.000%, 02/21/2029

    8,366       231  

11.000%, 01/25/2026

    27,670       970  

11.000%, 06/28/2026

    118,640       4,011  

11.000%, 08/21/2028

    16,734       475  

Zambia Government International Bond

               

5.750%, 06/30/2031 (A)(B)

  $ 859       750  

5.750%, 06/30/2031 (B)

    4,149       3,626  

0.500%, 12/31/2053

    3,841       1,903  

0.500%, 12/31/2053 (A)

    1,388       688  
              14,400  
                 

Total Global Bonds

               

(Cost $1,653,507) ($ Thousands)

            1,626,281  
                 
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

U.S. TREASURY OBLIGATIONS — 1.8%

U.S. Treasury Notes

               

5.278%, USBMMY3M + 0.245%, 01/31/2026 (C)

  $ 200     $ 200  

5.183%, USBMMY3M + 0.150%, 04/30/2026 (C)

    10,000       9,985  

3.125%, 08/31/2029

    21,700       21,081  
         

Total U.S. Treasury Obligations

       

(Cost $30,493) ($ Thousands)

    31,266  
                 
                 
      Number of
Participation
Notes
         

LOAN PARTICIPATIONS— 0.1%

Russia — 0.1%

       

SRBIJA, 1st Lien, Expires 06/10/2028

    1,700,000       1,877  
                 
                 

Total Loan Participations

               

(Cost $1,838) ($ Thousands)

            1,877  
                 
                 

Total Investments in Securities — 95.4%

               

(Cost $1,685,838) ($ Thousands)

  $ 1,659,424  
                 
                 

 

 
 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation
(Depreciation)(Thousands)

 

Long Contracts

                                       

Korea 3-Year Bond

    56       Sep-2024     $ 4,278     $ 4,432     $ 31  

U.S. 2-Year Treasury Note

    52       Dec-2024       10,802       10,792       (10 )

U.S. 5-Year Treasury Note

    218       Dec-2024       23,920       23,850       (70 )

U.S. 10-Year Treasury Note

    133       Dec-2024       15,186       15,104       (82 )

U.S. Long Treasury Bond

    73       Dec-2024       9,105       8,988       (117 )

U.S. Ultra Long Treasury Bond

    19       Dec-2024       2,545       2,507       (38 )
                      65,836       65,673       (286 )

Short Contracts

                                       

Euro-Bobl

    (14)       Sep-2024     $ (1,759 )   $ (1,824 )   $ (32 )

Euro-Bund 10-Year Bond

    (154)       Sep-2024       (21,907 )     (22,827 )     (526 )

Euro-Buxl

    (25)       Sep-2024       (3,502 )     (3,723 )     (153 )

Euro-Schatz

    (4)       Sep-2024       (458 )     (471 )     (4 )
                      (27,626 )     (28,845 )     (715 )
                    $ 38,210     $ 36,828     $ (1,001 )

 

A list of the open forward foreign currency contracts held by the Fund at August 31, 2024, is as follows:

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

Bank of America

    09/30/24       ZAR       6,300       USD       343     $ (10 )

Barclays PLC

    09/03/24       BRL       6,820       USD       1,242       38  

Barclays PLC

    09/04/24       USD       722       EUR       649       (4 )

Barclays PLC

    09/04/24       EUR       889       USD       994       10  

Barclays PLC

    09/04/24       EUR       1,775       USD       1,924       (41 )

Barclays PLC

    09/05/24       USD       1,242       BRL       6,820       (37 )

 

 

 

SEI Institutional Investments Trust

 

311

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

Barclays PLC

    09/05/24       BRL       6,226       USD       1,133     $ 34  

Barclays PLC

    09/09/24       EUR       1,650       HUF       657,361       27  

Barclays PLC

    09/09/24       CLP       2,153,281       USD       2,299       (50 )

Barclays PLC

    09/18/24       USD       1,611       IDR       26,000,000       68  

Barclays PLC

    09/18/24       EUR       1,986       PLN       8,581       22  

Barclays PLC

    09/18/24       PEN       2,400       USD       643       2  

Barclays PLC

    09/18/24       USD       2,445       HUF       881,120       40  

Barclays PLC

    09/18/24       USD       2,917       TRY       116,910       457  

Barclays PLC

    09/18/24       USD       4,416       MXN       82,202       (240 )

Barclays PLC

    09/18/24       USD       7,152       CZK       166,000       192  

Barclays PLC

    09/18/24       CZK       28,189       EUR       1,117       (11 )

Barclays PLC

    09/18/24       THB       64,700       USD       1,767       (147 )

Barclays PLC

    09/18/24       TRY       116,910       USD       3,313       (62 )

Barclays PLC

    09/18/24       IDR       10,961,740       USD       672       (36 )

Barclays PLC

    09/19/24       USD       1,204       KRW       1,645,497       30  

Barclays PLC

    09/19/24       CNY       4,800       USD       661       (17 )

Barclays PLC

    09/19/24       USD       9,699       CNY       69,919       187  

Barclays PLC

    09/26/24       EUR       12,250       USD       13,667       93  

Barclays PLC

    10/03/24       EUR       1,736       USD       1,928       3  

Barclays PLC

    10/08/24       CNY       16,743       USD       2,311       (63 )

Barclays PLC

    10/10/24       USD       8,255       MXN       151,011       (610 )

Barclays PLC

    10/15/24       USD       2,405       TRY       86,800       8  

Barclays PLC

    10/15/24       GBP       6,000       USD       7,771       (116 )

Barclays PLC

    12/18/24       USD       3,117       TRY       124,420       124  

Barclays PLC

    12/18/24       TRY       74,943       USD       1,932       (20 )

Barclays PLC

    01/09/25       USD       730       TRY       29,002       8  

Barclays PLC

    01/09/25       TRY       71,439       USD       1,811       (8 )

Barclays PLC

    03/19/25       USD       4,020       TRY       196,640       641  

Barclays PLC

    03/19/25       TRY       74,980       USD       1,803       26  

Barclays PLC

    03/19/25       TRY       40,585       USD       953       (10 )

Barclays PLC

    05/07/25       USD       1,007       TRY       45,710       27  

BNP Paribas

    09/03/24       USD       1,197       BRL       6,820       8  

BNP Paribas

    09/04/24       USD       497       EUR       450       1  

BNP Paribas

    09/04/24       USD       1,229       THB       43,131       45  

BNP Paribas

    09/04/24       EUR       1,294       USD       1,414       (18 )

BNP Paribas

    09/05/24       USD       772       EUR       704       7  

BNP Paribas

    09/05/24       EUR       1,117       CZK       28,396       19  

BNP Paribas

    09/05/24       USD       1,200       SGD       1,602       29  

BNP Paribas

    09/05/24       USD       1,212       MXN       22,536       (65 )

BNP Paribas

    09/05/24       USD       1,460       BRL       8,106       (28 )

BNP Paribas

    09/05/24       BRL       24,428       USD       4,454       141  

BNP Paribas

    09/05/24       BRL       2,488       USD       439        

BNP Paribas

    09/09/24       USD       970       MYR       4,339       35  

BNP Paribas

    09/09/24       EUR       6,364       HUF       2,518,804       56  

BNP Paribas

    09/09/24       HUF       1,520,628       EUR       3,884       13  

BNP Paribas

    09/09/24       HUF       1,864,547       EUR       4,679       (77 )

BNP Paribas

    09/12/24       USD       1,099       IDR       17,497,670       32  

BNP Paribas

    09/18/24       USD       3,149       THB       114,160       228  

BNP Paribas

    09/18/24       EUR       4,390       CZK       110,889       44  

BNP Paribas

    09/18/24       USD       6,775       MYR       30,921       397  

 

 

 

312

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

BNP Paribas

    09/18/24       EUR       13,021       PLN       56,342     $ 166  

BNP Paribas

    09/18/24       PLN       23,636       EUR       5,509       (18 )

BNP Paribas

    09/18/24       THB       44,688       USD       1,242       (80 )

BNP Paribas

    09/18/24       PHP       55,702       USD       952       (40 )

BNP Paribas

    09/18/24       CZK       59,461       EUR       2,351       (27 )

BNP Paribas

    09/18/24       ZAR       8,842       USD       499       1  

BNP Paribas

    09/18/24       ZAR       63,529       USD       3,479       (95 )

BNP Paribas

    09/18/24       INR       710,848       USD       8,487       13  

BNP Paribas

    09/18/24       INR       42,051       USD       501       (1 )

BNP Paribas

    09/18/24       IDR       55,493,265       USD       3,432       (152 )

BNP Paribas

    09/19/24       USD       1,132       KRW       1,495,028       (12 )

BNP Paribas

    09/19/24       USD       1,231       CNY       8,780       11  

BNP Paribas

    09/19/24       CNY       8,993       USD       1,242       (30 )

BNP Paribas

    10/01/24       USD       2,417       TWD       79,068       68  

BNP Paribas

    10/01/24       TWD       38,170       USD       1,177       (23 )

BNP Paribas

    10/03/24       EUR       560       USD       622       1  

BNP Paribas

    10/03/24       USD       2,473       SGD       3,214       (3 )

BNP Paribas

    10/10/24       USD       1,218       THB       42,977       56  

BNP Paribas

    10/10/24       USD       2,651       MXN       52,539       9  

BNP Paribas

    10/10/24       USD       2,925       MXN       54,709       (156 )

BNP Paribas

    10/10/24       MXN       120,603       USD       6,586       480  

BNP Paribas

    10/11/24       USD       1,208       TWD       39,479       35  

BNP Paribas

    10/21/24       USD       1,221       THB       44,024       85  

BNP Paribas

    11/12/24       EUR       1,115       HUF       446,501       18  

BNP Paribas

    11/22/24       USD       2,790       INR       234,672       2  

BNP Paribas

    11/22/24       USD       2,523       INR       211,973       (1 )

BNP Paribas

    12/03/24       USD       1,251       TWD       39,465        

BNP Paribas

    01/17/25       EUR       4,740       RON       23,794       9  

Citigroup

    09/04/24       USD       2,865       EUR       2,637       54  

Citigroup

    09/04/24       EUR       443       USD       490        

Citigroup

    09/04/24       EUR       40,848       USD       44,263       (951 )

Citigroup

    09/04/24       BRL       202,049       USD       36,365       688  

Citigroup

    09/05/24       USD       242       BRL       1,372        

Citigroup

    09/05/24       USD       367       BRL       1,945       (24 )

Citigroup

    09/05/24       USD       1,207       SGD       1,612       30  

Citigroup

    09/05/24       BRL       6,334       USD       1,132       14  

Citigroup

    09/05/24       THB       128,793       USD       3,629       (176 )

Citigroup

    09/09/24       EUR       1,080       HUF       424,763       2  

Citigroup

    09/09/24       USD       2,358       CLP       2,184,594       24  

Citigroup

    09/09/24       HUF       1,324,813       EUR       3,358       (17 )

Citigroup

    09/09/24       CLP       1,780,551       USD       1,948       6  

Citigroup

    09/18/24       EUR       391       CZK       9,937       6  

Citigroup

    09/18/24       USD       1,133       THB       41,426       92  

Citigroup

    09/18/24       USD       2,037       PEN       7,620       (4 )

Citigroup

    09/18/24       USD       2,345       EUR       2,172       60  

Citigroup

    09/18/24       USD       2,468       INR       206,262       (10 )

Citigroup

    09/18/24       PEN       2,600       USD       696       2  

Citigroup

    09/18/24       EGP       5,300       USD       106       (3 )

Citigroup

    09/18/24       USD       5,533       COP       22,360,780       (173 )

Citigroup

    09/18/24       USD       5,669       IDR       92,110,267       279  

 

 

 

SEI Institutional Investments Trust

 

313

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

Citigroup

    09/18/24       EUR       7,730       USD       8,378     $ (184 )

Citigroup

    09/18/24       USD       7,883       CZK       183,100       219  

Citigroup

    09/18/24       USD       9,156       ZAR       166,890       233  

Citigroup

    09/18/24       USD       1,917       MXN       37,800       3  

Citigroup

    09/18/24       USD       7,761       MXN       136,530       (826 )

Citigroup

    09/18/24       THB       12,962       USD       370       (14 )

Citigroup

    09/18/24       USD       29,326       PLN       118,620       1,384  

Citigroup

    09/18/24       MXN       43,868       USD       2,407       179  

Citigroup

    09/18/24       CZK       50,729       EUR       2,013       (15 )

Citigroup

    09/18/24       PLN       72,010       USD       18,305       (338 )

Citigroup

    09/18/24       ZMW       122,624       USD       4,612       (66 )

Citigroup

    09/18/24       CZK       241,170       USD       10,391       (280 )

Citigroup

    09/18/24       TWD       330,180       USD       10,091       (258 )

Citigroup

    09/18/24       INR       384,165       USD       4,572       (7 )

Citigroup

    09/18/24       ZAR       413,030       USD       22,006       (1,233 )

Citigroup

    09/18/24       PHP       423,980       USD       7,200       (349 )

Citigroup

    09/18/24       HUF       1,902,524       USD       5,170       (193 )

Citigroup

    09/18/24       UGX       15,992,291       USD       4,134       (157 )

Citigroup

    09/18/24       COP       27,216,524       USD       6,624       100  

Citigroup

    09/18/24       COP       6,824,703       USD       1,608       (28 )

Citigroup

    09/19/24       USD       1,770       CNY       12,808       41  

Citigroup

    09/19/24       CNY       8,013       USD       1,122       (10 )

Citigroup

    09/19/24       KRW       438,135       USD       321       (8 )

Citigroup

    09/23/24       USD       6,372       CLP       5,897,111       60  

Citigroup

    09/23/24       USD       4,306       CLP       3,939,265       (9 )

Citigroup

    09/24/24       USD       2,341       INR       196,300       (1 )

Citigroup

    09/27/24       COP       50,568,715       USD       12,421       314  

Citigroup

    10/03/24       EUR       550       USD       613       3  

Citigroup

    10/10/24       EUR       2,566       RON       12,821       7  

Citigroup

    10/10/24       THB       42,604       USD       1,175       (88 )

Citigroup

    11/12/24       EUR       549       HUF       219,814       9  

Citigroup

    11/12/24       HUF       671,126       EUR       1,694       (8 )

Citigroup

    11/20/24       USD       1,452       NGN       2,426,002       29  

Citigroup

    11/20/24       USD       297       NGN       388,690       (59 )

Citigroup

    11/20/24       NGN       885,080       USD       557       16  

Citigroup

    12/03/24       USD       33,362       BRL       187,109       (649 )

Citigroup

    12/18/24       USD       2,243       THB       75,458       5  

Citigroup

    12/18/24       USD       2,693       TWD       84,420       (11 )

Citigroup

    01/02/25       CNY       16,467       USD       2,310       (42 )

Citigroup

    01/17/25       EUR       306       RON       1,536       1  

Citigroup

    01/22/25       USD       1,545       EGP       76,101       (55 )

Citigroup

    01/22/25       EGP       27,778       USD       486       (57 )

Citigroup

    02/10/25       USD       240       NGN       425,409       11  

Citigroup

    02/13/25       USD       862       NGN       1,492,679       16  

Citigroup

    02/13/25       USD       298       NGN       398,690       (63 )

Citigroup

    02/13/25       NGN       1,600,000       USD       945       3  

Citigroup

    02/14/25       ZMW       46,151       USD       1,651       (57 )

Citigroup

    03/27/25       NGN       335,000       USD       206       12  

Citigroup

    05/14/25       ZMW       48,132       USD       1,670       (69 )

Citigroup

    05/20/25       USD       586       NGN       972,942       (36 )

 

 

 

314

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

Citigroup

    08/12/25       USD       1,211       NGN       2,241,990     $ 11  

Citigroup

    08/14/25       ZMW       48,775       USD       1,643       (69 )

Deutsche Bank

    09/09/24       CLP       1,656,442       USD       1,823       17  

Deutsche Bank

    09/18/24       INR       62,386       USD       744        

Deutsche Bank

    09/26/24       JPY       50,000       USD       344       (1 )

Deutsche Bank

    09/30/24       USD       459       ZAR       8,400       13  

Deutsche Bank

    09/30/24       USD       1,245       IDR       19,283,490       (2 )

Goldman Sachs

    09/04/24       EUR       2,472       USD       2,717       (19 )

Goldman Sachs

    09/04/24       BRL       33,820       USD       5,957       (15 )

Goldman Sachs

    09/04/24       THB       43,383       USD       1,186       (96 )

Goldman Sachs

    09/04/24       USD       4,171       BRL       23,892       47  

Goldman Sachs

    09/04/24       USD       46,168       BRL       240,476       (3,706 )

Goldman Sachs

    09/05/24       USD       607       EUR       554       6  

Goldman Sachs

    09/05/24       USD       6,793       BRL       36,289       (386 )

Goldman Sachs

    09/18/24       EUR       239       PLN       1,040       5  

Goldman Sachs

    09/18/24       USD       524       PLN       2,100       20  

Goldman Sachs

    09/18/24       USD       1,162       COP       4,680,650       (40 )

Goldman Sachs

    09/18/24       USD       1,286       IDR       20,839,324       60  

Goldman Sachs

    09/18/24       USD       1,632       PEN       6,100       (5 )

Goldman Sachs

    09/18/24       USD       3,884       INR       325,440       (5 )

Goldman Sachs

    09/18/24       PEN       2,510       USD       670        

Goldman Sachs

    09/18/24       PEN       3,613       USD       948       (16 )

Goldman Sachs

    09/18/24       USD       7,488       EUR       6,840       88  

Goldman Sachs

    09/18/24       USD       5,853       ZAR       108,126       230  

Goldman Sachs

    09/18/24       USD       1,756       ZAR       31,111       (6 )

Goldman Sachs

    09/18/24       USD       8,268       HUF       2,973,190       113  

Goldman Sachs

    09/18/24       USD       10,941       THB       398,199       839  

Goldman Sachs

    09/18/24       USD       12,241       RON       56,730       380  

Goldman Sachs

    09/18/24       PLN       25,231       USD       6,408       (125 )

Goldman Sachs

    09/18/24       INR       61,986       USD       741       2  

Goldman Sachs

    09/18/24       THB       97,266       USD       2,666       (212 )

Goldman Sachs

    09/18/24       ZAR       110,263       USD       6,006       (197 )

Goldman Sachs

    09/18/24       MXN       115,360       USD       6,356       496  

Goldman Sachs

    09/18/24       CZK       505,440       USD       22,062       (301 )

Goldman Sachs

    09/18/24       COP       6,824,703       USD       1,643       7  

Goldman Sachs

    09/18/24       IDR       13,643,810       USD       853       (28 )

Goldman Sachs

    09/19/24       USD       1,245       KRW       1,684,395       18  

Goldman Sachs

    10/03/24       THB       106,118       USD       3,135       (8 )

Goldman Sachs

    10/10/24       USD       3,607       MXN       67,809       (174 )

Goldman Sachs

    10/10/24       MXN       22,301       USD       1,121       (8 )

Goldman Sachs

    10/11/24       PEN       10,614       USD       2,800       (32 )

Goldman Sachs

    10/11/24       TWD       37,985       USD       1,174       (22 )

Goldman Sachs

    11/22/24       USD       2,471       INR       207,667        

Goldman Sachs

    12/03/24       USD       1,268       TWD       39,994       (1 )

Goldman Sachs

    12/18/24       USD       640       ZAR       11,510       3  

Goldman Sachs

    12/18/24       USD       1,500       TRY       59,690       55  

Goldman Sachs

    12/18/24       USD       2,044       MXN       40,800        

Goldman Sachs

    12/18/24       CZK       6,300       USD       279        

Goldman Sachs

    12/18/24       USD       8,056       TWD       253,260       (11 )

Goldman Sachs

    12/18/24       ZAR       16,800       USD       938        

 

 

 

SEI Institutional Investments Trust

 

315

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

Goldman Sachs

    12/18/24       TRY       29,100       USD       746     $ (12 )

Goldman Sachs

    12/18/24       CLP       320,000       USD       349        

Goldman Sachs

    01/09/25       USD       1,771       TRY       72,633       79  

Goldman Sachs

    01/22/25       EGP       48,323       USD       949       3  

Goldman Sachs

    03/24/25       USD       1,269       TRY       59,297       130  

Goldman Sachs

    05/07/25       USD       1,006       TRY       45,710       28  

Goldman Sachs

    05/27/25       USD       1,243       TRY       56,697       15  

Goldman Sachs

    06/18/25       USD       2,513       TRY       115,616       5  

Goldman Sachs

    06/18/25       USD       449       TRY       20,500       (3 )

Goldman Sachs

    06/18/25       TRY       43,990       USD       946       (12 )

JPMorgan Chase Bank

    09/03/24       USD       1,001       PHP       58,364       38  

JPMorgan Chase Bank

    09/03/24       USD       7,224       CNY       52,016       115  

JPMorgan Chase Bank

    09/03/24       CNY       52,016       USD       7,292       (46 )

JPMorgan Chase Bank

    09/04/24       USD       1,417       IDR       22,657,042       49  

JPMorgan Chase Bank

    09/04/24       EUR       2,798       USD       3,049       (48 )

JPMorgan Chase Bank

    09/04/24       USD       3,683       EUR       3,351       26  

JPMorgan Chase Bank

    09/04/24       USD       4,910       EUR       4,399       (40 )

JPMorgan Chase Bank

    09/04/24       USD       9,679       IDR       149,169,442       (28 )

JPMorgan Chase Bank

    09/04/24       USD       23,207       BRL       120,911       (1,857 )

JPMorgan Chase Bank

    09/04/24       BRL       32,480       USD       5,970       234  

JPMorgan Chase Bank

    09/04/24       BRL       3,420       USD       603       (1 )

JPMorgan Chase Bank

    09/04/24       IDR       171,826,485       USD       10,546       (572 )

JPMorgan Chase Bank

    09/05/24       USD       3,469       BRL       19,013       (113 )

JPMorgan Chase Bank

    09/05/24       USD       3,509       EUR       3,142       (31 )

JPMorgan Chase Bank

    09/05/24       EUR       4,399       USD       4,910       40  

JPMorgan Chase Bank

    09/05/24       BRL       7,473       USD       1,371       51  

JPMorgan Chase Bank

    09/05/24       CZK       84,147       EUR       3,325       (41 )

JPMorgan Chase Bank

    09/09/24       USD       312       TRY       10,736       2  

JPMorgan Chase Bank

    09/09/24       USD       576       KRW       793,920       19  

JPMorgan Chase Bank

    09/09/24       USD       286       KRW       382,229        

JPMorgan Chase Bank

    09/09/24       EUR       2,078       HUF       826,658       30  

JPMorgan Chase Bank

    09/09/24       USD       2,770       IDR       42,654,403       (11 )

JPMorgan Chase Bank

    09/09/24       USD       5,129       HUF       1,858,042       109  

JPMorgan Chase Bank

    09/09/24       USD       4,702       CLP       4,416,395       115  

JPMorgan Chase Bank

    09/09/24       USD       2,372       CLP       2,169,782       (5 )

JPMorgan Chase Bank

    09/09/24       USD       7,782       CNY       55,504       54  

JPMorgan Chase Bank

    09/09/24       USD       9,207       THB       336,734       747  

JPMorgan Chase Bank

    09/09/24       TRY       11,302       USD       329       (1 )

JPMorgan Chase Bank

    09/09/24       USD       732       BRL       4,226       14  

JPMorgan Chase Bank

    09/09/24       USD       17,532       BRL       98,616       (128 )

JPMorgan Chase Bank

    09/09/24       CNY       54,640       USD       7,661       (53 )

JPMorgan Chase Bank

    09/09/24       BRL       105,574       USD       19,784       1,153  

JPMorgan Chase Bank

    09/09/24       THB       333,265       USD       9,733       (118 )

JPMorgan Chase Bank

    09/09/24       KRW       1,176,149       USD       855       (26 )

JPMorgan Chase Bank

    09/09/24       HUF       1,181,603       USD       3,335       4  

JPMorgan Chase Bank

    09/09/24       HUF       676,439       USD       1,835       (72 )

JPMorgan Chase Bank

    09/09/24       CLP       232,050       USD       255       2  

JPMorgan Chase Bank

    09/09/24       CLP       5,299,542       USD       5,738       (42 )

JPMorgan Chase Bank

    09/09/24       IDR       42,654,403       USD       2,609       (149 )

JPMorgan Chase Bank

    09/11/24       USD       963       INR       80,698       (1 )

 

 

 

316

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

JPMorgan Chase Bank

    09/13/24       USD       4,705       COP       18,971,703     $ (154 )

JPMorgan Chase Bank

    09/13/24       COP       24,237,378       USD       5,836       22  

JPMorgan Chase Bank

    09/13/24       COP       540,897       USD       129        

JPMorgan Chase Bank

    09/16/24       USD       462       PEN       1,731        

JPMorgan Chase Bank

    09/16/24       PEN       8,425       USD       2,254       7  

JPMorgan Chase Bank

    09/16/24       PEN       2,187       USD       581       (2 )

JPMorgan Chase Bank

    09/18/24       EUR       1,084       PLN       4,716       20  

JPMorgan Chase Bank

    09/18/24       MYR       1,094       USD       233       (20 )

JPMorgan Chase Bank

    09/18/24       PEN       1,550       USD       418       4  

JPMorgan Chase Bank

    09/18/24       EUR       1,938       CZK       47,917       (26 )

JPMorgan Chase Bank

    09/18/24       USD       2,349       COP       9,504,237       (71 )

JPMorgan Chase Bank

    09/18/24       USD       2,407       INR       201,853       (1 )

JPMorgan Chase Bank

    09/18/24       USD       4,615       HUF       1,662,310       71  

JPMorgan Chase Bank

    09/18/24       USD       10,274       THB       370,706       693  

JPMorgan Chase Bank

    09/18/24       USD       11,586       IDR       187,000,543       492  

JPMorgan Chase Bank

    09/18/24       USD       4,043       IDR       62,442,052       (10 )

JPMorgan Chase Bank

    09/18/24       PLN       28,510       EUR       6,607       (64 )

JPMorgan Chase Bank

    09/18/24       PHP       34,760       USD       590       (29 )

JPMorgan Chase Bank

    09/18/24       CZK       48,265       EUR       1,911       (19 )

JPMorgan Chase Bank

    09/18/24       INR       66,210       USD       790       1  

JPMorgan Chase Bank

    09/18/24       INR       551,363       USD       6,564       (9 )

JPMorgan Chase Bank

    09/18/24       COP       6,982,364       USD       1,714       40  

JPMorgan Chase Bank

    09/18/24       IDR       152,399,827       USD       9,883       40  

JPMorgan Chase Bank

    09/18/24       IDR       58,265,708       USD       3,736       (26 )

JPMorgan Chase Bank

    09/19/24       CNY       1,267       USD       176       (3 )

JPMorgan Chase Bank

    09/19/24       THB       3,476       USD       96       (6 )

JPMorgan Chase Bank

    09/19/24       KRW       1,684,182       USD       1,238       (24 )

JPMorgan Chase Bank

    09/23/24       EUR       2,162       USD       2,400       5  

JPMorgan Chase Bank

    10/01/24       TWD       37,688       USD       1,162       (22 )

JPMorgan Chase Bank

    10/03/24       EUR       3,142       USD       3,514       32  

JPMorgan Chase Bank

    10/09/24       USD       73       TRY       2,606        

JPMorgan Chase Bank

    10/09/24       IDR       42,654,403       USD       2,766       18  

JPMorgan Chase Bank

    10/15/24       USD       100       ZAR       1,826       3  

JPMorgan Chase Bank

    10/15/24       USD       3,085       PHP       181,026       137  

JPMorgan Chase Bank

    10/15/24       USD       3,949       HUF       1,425,832       67  

JPMorgan Chase Bank

    10/15/24       USD       70       HUF       24,681        

JPMorgan Chase Bank

    10/15/24       PLN       8,343       USD       2,106       (53 )

JPMorgan Chase Bank

    10/15/24       HUF       109,501       USD       309        

JPMorgan Chase Bank

    10/15/24       HUF       212,163       USD       585       (13 )

JPMorgan Chase Bank

    10/15/24       ZAR       503,824       USD       27,488       (798 )

JPMorgan Chase Bank

    10/21/24       THB       43,383       USD       1,214       (73 )

JPMorgan Chase Bank

    11/04/24       USD       3,820       PHP       224,298       173  

JPMorgan Chase Bank

    11/12/24       USD       1       RON       6        

JPMorgan Chase Bank

    11/12/24       USD       451       MXN       9,084       6  

JPMorgan Chase Bank

    11/12/24       USD       309       MXN       6,137        

JPMorgan Chase Bank

    11/12/24       USD       5,393       PLN       21,495       167  

JPMorgan Chase Bank

    11/12/24       ZAR       12,953       USD       727       2  

JPMorgan Chase Bank

    11/12/24       ZAR       6,406       USD       356       (3 )

JPMorgan Chase Bank

    11/12/24       USD       25,955       ZAR       476,077       710  

JPMorgan Chase Bank

    11/12/24       MXN       341,518       USD       18,123       922  

 

 

 

SEI Institutional Investments Trust

 

317

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

JPMorgan Chase Bank

    11/18/24       USD       1,680       PHP       96,394     $ 35  

JPMorgan Chase Bank

    11/18/24       USD       13,672       KRW       18,697,073       412  

JPMorgan Chase Bank

    11/18/24       USD       297       KRW       393,680        

JPMorgan Chase Bank

    11/18/24       KRW       525,308       USD       395       (1 )

JPMorgan Chase Bank

    12/02/24       USD       1,250       PHP       70,336       2  

JPMorgan Chase Bank

    12/02/24       PHP       4,351       USD       77        

JPMorgan Chase Bank

    12/09/24       USD       576       BRL       3,292       (1 )

JPMorgan Chase Bank

    12/09/24       USD       1,442       CLP       1,325,711       2  

JPMorgan Chase Bank

    12/09/24       USD       3,326       HUF       1,181,603       (3 )

JPMorgan Chase Bank

    12/09/24       USD       4,769       THB       160,821       18  

JPMorgan Chase Bank

    12/09/24       USD       5,683       CNY       40,075       32  

JPMorgan Chase Bank

    12/09/24       BRL       52,392       USD       9,197       44  

JPMorgan Chase Bank

    12/18/24       USD       1,301       GHS       20,679       (51 )

JPMorgan Chase Bank

    12/18/24       USD       6,720       THB       226,373       23  

JPMorgan Chase Bank

    12/18/24       COP       2,100,000       USD       496       (1 )

JPMorgan Chase Bank

    01/06/25       CNY       16,501       USD       2,312       (46 )

JPMorgan Chase Bank

    01/17/25       EUR       2,612       RON       13,111       5  

JPMorgan Chase Bank

    02/10/25       USD       1,031       NGN       1,566,833       (108 )

JPMorgan Chase Bank

    02/10/25       NGN       379,618       USD       295       71  

JPMorgan Chase Bank

    03/19/25       USD       2,592       PKR       863,135       373  

JPMorgan Chase Bank

    05/20/25       USD       468       NGN       761,028       (38 )

Merrill Lynch

    09/18/24       USD       6,920       MXN       129,830       (325 )

Merrill Lynch

    09/18/24       USD       17,034       SGD       22,940       583  

Merrill Lynch

    09/18/24       PLN       27,459       USD       6,992       (117 )

Merrill Lynch

    09/18/24       MXN       83,092       USD       4,625       404  

Merrill Lynch

    09/18/24       COP       8,116,705       USD       2,001       55  

Merrill Lynch

    09/18/24       COP       21,922,793       USD       5,179       (77 )

Merrill Lynch

    09/23/24       USD       5,215       CLP       4,717,012       (70 )

Merrill Lynch

    09/23/24       CLP       6,345,580       USD       6,820       (101 )

Merrill Lynch

    12/18/24       USD       1,357       CNY       9,520       1  

Merrill Lynch

    05/07/25       USD       2,727       PKR       863,135       216  

Midland Walwyn Capital Inc.

    09/04/24       THB       60,623       USD       1,658       (133 )

Midland Walwyn Capital Inc.

    09/18/24       USD       247       IDR       3,982,054       10  

Midland Walwyn Capital Inc.

    09/18/24       USD       1,154       MYR       5,418       103  

Midland Walwyn Capital Inc.

    09/18/24       MYR       3,248       USD       752       (1 )

Midland Walwyn Capital Inc.

    09/18/24       IDR       5,732,077       USD       349       (21 )

Midland Walwyn Capital Inc.

    09/19/24       CNY       14,690       USD       2,020       (57 )

Midland Walwyn Capital Inc.

    10/08/24       USD       397       CNY       2,807        

Midland Walwyn Capital Inc.

    01/17/25       RON       1,387       EUR       276       (1 )

Morgan Stanley

    09/04/24       BRL       4,731       USD       862       26  

Morgan Stanley

    09/05/24       USD       862       BRL       4,733       (26 )

Morgan Stanley

    09/05/24       EUR       3,295       CZK       82,479       1  

Morgan Stanley

    09/09/24       EUR       1,207       HUF       472,813       (3 )

Morgan Stanley

    09/18/24       CZK       82,609       EUR       3,299       (1 )

Morgan Stanley

    09/27/24       COP       5,035,566       USD       1,214       8  

Morgan Stanley

    09/30/24       USD       931       ZAR       17,100       30  

Morgan Stanley

    09/30/24       USD       2,507       IDR       38,797,594       (5 )

Morgan Stanley

    09/30/24       ZAR       21,630       USD       1,177       (38 )

Morgan Stanley

    10/10/24       HKD       97,600       USD       12,526       (8 )

Morgan Stanley

    11/22/24       COP       200,000       USD       49       2  

 

 

 

318

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

Morgan Stanley

    01/09/25       TRY       30,196       USD       693     $ (76 )

Morgan Stanley

    03/24/25       TRY       27,120       USD       637       (3 )

SCB Securities

    09/04/24       THB       45,243       USD       1,236       (101 )

SCB Securities

    09/04/24       BRL       108,779       USD       19,777       569  

SCB Securities

    09/05/24       BRL       18,361       USD       3,376       134  

SCB Securities

    09/18/24       EUR       1,269       CZK       31,736       (1 )

SCB Securities

    09/18/24       USD       2,765       THB       100,315       203  

SCB Securities

    09/18/24       USD       19,745       BRL       108,779       (568 )

SCB Securities

    09/18/24       INR       72,571       USD       867       2  

SCB Securities

    09/18/24       PHP       144,569       USD       2,454       (121 )

SCB Securities

    09/19/24       USD       41       CNY       294       1  

SCB Securities

    09/19/24       CNY       6,356       USD       882       (16 )

Standard Bank

    09/18/24       USD       922       PLN       3,640       20  

Standard Bank

    09/18/24       USD       2,067       MXN       38,250       (124 )

Standard Bank

    09/18/24       PLN       2,070       USD       514       (21 )

Standard Bank

    09/18/24       USD       2,169       GHS       33,099       (64 )

Standard Bank

    09/18/24       USD       3,201       ZMW       84,180       10  

Standard Bank

    09/18/24       USD       3,683       INR       307,660       (15 )

Standard Bank

    09/18/24       USD       4,088       THB       148,997       320  

Standard Bank

    09/18/24       EUR       4,226       USD       4,540       (141 )

Standard Bank

    09/18/24       USD       6,333       COP       26,656,130       57  

Standard Bank

    09/18/24       USD       8,148       MYR       37,854       633  

Standard Bank

    09/18/24       USD       8,286       PHP       468,840       62  

Standard Bank

    09/18/24       USD       10,296       TWD       330,180       53  

Standard Bank

    09/18/24       ZMW       13,680       USD       498       (23 )

Standard Bank

    09/18/24       USD       14,247       IDR       232,475,406       767  

Standard Bank

    09/18/24       CZK       24,480       USD       1,058       (25 )

Standard Bank

    09/18/24       MYR       37,988       USD       8,499       (313 )

Standard Bank

    09/18/24       ZAR       71,270       USD       4,012       2  

Standard Bank

    09/18/24       ZAR       26,790       USD       1,491       (16 )

Standard Bank

    09/18/24       PEN       108,729       USD       28,770       (237 )

Standard Bank

    09/18/24       HUF       230,000       USD       622       (26 )

Standard Bank

    09/18/24       THB       452,160       USD       12,456       (920 )

Standard Bank

    09/18/24       PHP       481,160       USD       8,202       (365 )

Standard Bank

    09/18/24       UGX       5,399,799       USD       1,400       (48 )

Standard Bank

    09/18/24       COP       28,797,495       USD       7,105       202  

Standard Bank

    09/19/24       CNY       11,498       USD       1,592       (34 )

Standard Bank

    09/23/24       USD       1,155       CLP       1,090,020       34  

Standard Bank

    09/23/24       USD       1,921       CLP       1,744,869       (18 )

Standard Bank

    11/20/24       NGN       1,929,612       USD       1,221       44  

Standard Bank

    12/18/24       USD       356       MYR       1,530       2  

Standard Bank

    12/18/24       MYR       3,300       USD       769       (2 )

Standard Bank

    02/13/25       USD       3,016       NGN       4,841,000       (168 )

State Street

    09/05/24       BRL       6,252       USD       1,148       44  

State Street

    09/18/24       IDR       18,912,051       USD       1,224       3  

State Street

    09/27/24       COP       14,014,844       USD       3,420       65  

State Street

    09/30/24       IDR       12,496,260       USD       806        
                                            $ (1,101 )

 

 

 

SEI Institutional Investments Trust

 

319

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

 

A list of the open centrally cleared swap agreements held by the Fund at August 31, 2024, is as follows:

 

 

Credit Default Swaps - Buy Protection

       
 

Reference Entity/ Obligation

   

Pay Rate

   

Payment Frequency

   

Termination Date

   

Notional Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/ Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 
    CDX.EM.41.V1       1.00%       Quarterly       06/20/2029     $ 17,101     $ 449     $ 514     $ (65 )
    CDX.EM.41.V1       1.00%       Quarterly       06/20/2029       6,000       158       151       7  
                                          $ 607     $ 665     $ (58 )

 

 

Interest Rate Swaps

 
 

Fund Pays

   

Fund Receives

   

Payment Frequency

   

Termination Date

   

Currency

   

Notional Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/ Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 
    1-DAY BRL - CETIP       12.68%       Annually       01/04/2027       BRL       16,495     $ 64     $     $ 64  
    1-DAY BRL - CETIP       10.588%       Annually       01/02/2026       BRL       19,997       (58 )           (58 )
    1-DAY BRL - CETIP       11.055%       Annually       01/02/2026       BRL       18,647       (35 )           (35 )
    1-DAY BRL - CETIP       11.57%       Annually       01/02/2026       BRL       13,824       (10 )           (10 )
    1-DAY BRL - CETIP       10.29%       Annually       01/02/2029       BRL       6,476       (80 )           (80 )
    1-DAY BRL - CETIP       11.815%       Annually       01/04/2027       BRL       5,560       (2 )           (2 )
    1-DAY BRL - CETIP       10.828%       Annually       01/04/2027       BRL       7,312       (30 )           (30 )
    1-DAY BRL - CETIP       12.7575%       Annually       01/04/2027       BRL       21,758       91             91  
    1-DAY BRL - CETIP       10.17%       Annually       01/04/2027       BRL       10,697       (75 )           (75 )
    1-DAY BRL - CETIP       10.55%       Annually       01/04/2027       BRL       21,648       (111 )           (111 )
    1-DAY BRL - CETIP       9.69%       Annually       01/04/2027       BRL       10,190       (87 )           (87 )
    1-DAY BRL - CETIP       10.93%       Annually       01/04/2027       BRL       11,671       (44 )           (44 )
    1-DAY BRL - CETIP       11.5%       Annually       01/04/2027       BRL       55,465       (83 )     (8 )     (75 )
    1-DAY BRL - CETIP       11.79%       Annually       01/04/2027       BRL       14,674       (8 )           (8 )
    CLICP       5.36%       Semi-Annually       05/02/2027       CLP       3,912,435       69             69  
    6.12%       CLICP       Semi-Annually       10/24/2033       CLP       1,730,729       (172 )           (172 )
    5.56% FIXED       CLICP       Semi-Annually       12/20/2033       CLP       3,700,000       (199 )     (127 )     (72 )
    CLICP       1.36%       Semi-Annually       06/17/2025       CLP       2,668,591       (88 )           (88 )
    2.33%       CLICP       Semi-Annually       06/05/2030       CLP       1,146,740       153             153  
    7.81%       IBRCOL       Quarterly       08/08/2034       COP       2,201,966                    
    3.7% FIXED       SONIA       Annually       03/20/2054       GBP       3,200       69       (93 )     162  
    28-DAY MXN TIIE       8.04%       Monthly       01/07/2028       MXN       34,527       (60 )           (60 )
    28-DAY MXN TIIE       8.57934809%       Monthly       02/03/2028       MXN       54,682       (52 )     (4 )     (48 )
    28-DAY MXN TIIE       8.77%       Monthly       03/09/2029       MXN       39,140       (26 )           (26 )
    28-DAY MXN TIIE       9.685%       Monthly       05/13/2027       MXN       39,323       15             15  
    28-DAY MXN TIIE       9.49%       Monthly       05/28/2029       MXN       21,033       16             16  
    28-DAY MXN TIIE       8.935%       Monthly       08/17/2028       MXN       31,740       (12 )           (12 )
    28-DAY MXN TIIE       8.905%       Monthly       08/17/2028       MXN       31,740       (14 )           (14 )
    28-DAY MXN TIIE       6.381%       Monthly       09/16/2026       MXN       35,000       (108 )           (108 )
    7.64%       28-DAY MXN TIIE       Monthly       01/01/2032       MXN       38,803       153             153  
    9.77%       28-DAY MXN TIIE       Monthly       10/08/2038       MXN       33,236       (83 )           (83 )
    28-DAY MXN TIIE       9.26%       Monthly       10/30/2028       MXN       32,605       7             7  
    28-DAY MXN TIIE       6.205%       Monthly       12/08/2025       MXN       21,174       (50 )           (50 )
    28-DAY MXN TIIE       9.17%       Monthly       07/27/2029       MXN       23,457       4             4  
    28-DAY MXN TIIE       9.065%       Monthly       08/27/2029       MXN       76,802       2             2  
    10.0455% FIXED       28-DAY MXN TIIE       Monthly       03/20/2025       MXN       73,665       10             10  
    8.19% FIXED       3-MONTH JIBOR       Quarterly       11/23/2028       ZAR       167,550       (250 )           (250 )
    3-MONTH JIBOR       9.15%       Quarterly       03/20/2039       ZAR       83,000       8       44       (36 )
    3.16850%       6-MONTH EURIBOR       Semi-Annually       12/20/2033       EUR       4,400       (251 )     (60 )     (191 )
    6-MONTH BUBOR       6.18%       Semi-Annually       03/21/2029       HUF       65,582       4             4  
    6-MONTH PRIBOR       3.495%       Semi-Annually       02/08/2029       CZK       41,328       7             7  
    6-MONTH PRIBOR       3.3175%       Semi-Annually       03/18/2029       CZK       51,700       (9 )           (9 )
    6-MONTH PRIBOR       3.9985%       Semi-Annually       07/09/2026       CZK       189,862       59             59  
    3.8725%       6-MONTH PRIBOR       Annually       07/09/2034       CZK       34,799       (42 )           (42 )

 

 

 

320

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Continued)

 

 
 

Fund Pays

   

Fund Receives

   

Payment Frequency

   

Termination Date

   

Currency

   

Notional Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/ Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 
    3.809%       6-MONTH PRIBOR       Annually       07/11/2029       CZK       68,096     $ (53 )   $     $ (53 )
    6-MONTH PLN - WIBOR       5.415%       Semi-Annually       06/24/2026       PLN       33,012       61             61  
    5.2%       6-MONTH WIBOR       Annually       06/24/2034       PLN       6,310       (72 )           (72 )
    4.52%       6-MONTH WIBOR       Annually       08/22/2029       PLN       15,769       5             5  
    5.02% FIXED       6-MONTH WIBOR       Annually       08/20/2026       PLN       22,056       5             5  
    6-MONTH HUF - BUBOR       5.659% FIXED       Semi-Annually       02/26/2029       HUF       445,498       1             1  
    6-MONTH HUF - BUBOR       5.945% FIXED       Semi-Annually       12/20/2033       HUF       1,037,000       2             2  
    1-DAY BRL - CETIP       11.40% FIXED       Annually       01/02/2029       BRL       36,444       (175 )     (21 )     (154 )
    CNY-CNREPOFIX-CFXS       1.953% FIXED       Quarterly       06/21/2029       CNY       52,405       57             57  
    PRIBOR       3.17%       Semi-Annually       12/18/2029       CZK       52,185       (19 )           (19 )
    6-MONTH CZK       3.27% FIXED       Semi-Annually       08/20/2029       CZK       56,378       (15 )           (15 )
    6-MONTH BUBOR       5.9142% FIXED       Semi-Annually       07/30/2026       HUF       1,199,630       7             7  
    7.51% FIXED       CLICP       Semi-Annually       04/13/2025       CLP       2,122,536       (31 )           (31 )
    3-MONTH JIBOR       8.33% FIXED       Quarterly       03/06/2029       ZAR       153,000       270             270  
    1.1% FIXED       1-DAY JPOIS       Annually       09/18/2034       JPY       1,133,000       (136 )     (14 )     (122 )
    2.4% FIXED       6-MONTH EURIBOR       Annually       03/20/2054       EUR       1,500       (7 )     47       (54 )
    28-DAY MXN TIIE       10.155% FIXED       Monthly       07/27/2026       MXN       200,000       89       1       88  
    MXN INTERBANK       10.2595%       Monthly       06/29/2026       MXN       105,000       51             51  
    28-DAY MXN TIIE       10.2595% FIXED       Monthly       07/23/2026       MXN       70,640       38             38  
    28-DAY MXN TIIE       8.61% FIXED       Monthly       12/12/2029       MXN       353,380       (236 )           (236 )
    28-DAY MXN TIIE       8.836%       Monthly       12/12/2029       MXN       52,000       (11 )     2       (13 )
    28-DAY MXN TIIE       8.942% FIXED       Monthly       12/12/2029       MXN       83,000       6             6  
    28-DAY MXN TIIE       9.7429% FIXED       Monthly       02/27/2026       MXN       125,000       (12 )           (12 )
    6-MONTH PRIBOR       3.27% FIXED       Semi-Annually       08/20/2029       CZK       56,378       (15 )           (15 )
    6-MONTH PRIBOR       4.7697% FIXED       Semi-Annually       10/06/2028       CZK       40,711       94             94  
    6-MONTH PRIBOR       3.1895% FIXED       Semi-Annually       12/18/2029       CZK       166,000       (53 )           (53 )
    6-MONTH PRIBOR       3.1925% FIXED       Semi-Annually       12/18/2029       CZK       57,121       (18 )           (18 )
    6-MONTH PRIBOR       3.2145%       Semi-Annually       08/09/2029       CZK       80,600       (31 )           (31 )
    PRIBOR       3.187%       Semi-Annually       12/18/2029       CZK       57,121       (18 )           (18 )
    SOFR       4%       Annually       09/18/2034       USD       4,500       73       144       (71 )
    2.8% FIXED       THOR       Quarterly       03/20/2034       THB       140,000       (116 )     (38 )     (78 )
    4.6075% FIXED       6-MONTH WIBOR       Annually       12/18/2026       PLN       54,500       41             41  
    4.761%       6-MONTH WIBOR       Annually       12/18/2026       PLN       22,401                    
    5.03% FIXED       6-MONTH WIBOR       Annually       08/20/2026       PLN       22,056       4             4  
    5.376% FIXED       6-MONTH WIBOR       Annually       07/24/2026       PLN       49,490       (60 )     3       (63 )
    5.415% FIXED       6-MONTH WIBOR       Annually       07/24/2026       PLN       91,910       (128 )           (128 )
    4.713% FIXED       6-MONTH WIBOR       Annually       12/18/2026       PLN       22,401       6             6  
    4.7875%       WIBOR       Annually       12/18/2026       PLN       6,886       (1 )           (1 )
                                                  $ (1,705 )   $ (124 )   $ (1,581 )

 

A list of the open OTC swap agreements held by the Fund at August 31, 2024, is as follows:

 

 

Credit Default Swaps - Buy Protection

 
 

Counterparty

   

Reference Entity/ Obligation

   

Pay Rate

   

Payment Frequency

   

Termination Date

   

Notional Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/ Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 
    Barclays Bank PLC       BCYD       1.00%       Quarterly       06/20/2029     $ 4,500     $ 149     $ 188     $ (39 )
    Morgan Stanley       Republic of Turkey       1.00%       Quarterly       12/20/2025       3,700       7       29       (22 )
    Morgan Stanley       Republic of Colombia       1.00%       Quarterly       06/20/2026       6,400       (46 )     (22 )     (24 )
    Morgan Stanley       Republic of South Africa       1.00%       Quarterly       06/20/2026       4,900       (37 )     22       (59 )
    Morgan Stanley       Republic of Turkey       1.00%       Quarterly       06/20/2026       3,000       21       19       2  
    Morgan Stanley       Arab Republic of Egypt       1.00%       Quarterly       12/20/2028       2,500       437       805       (368 )
    Morgan Stanley       State of Israel       1.00%       Quarterly       06/20/2029       700       9       10       (1 )
    Morgan Stanley       State of Israel       1.00%       Quarterly       06/20/2029       700       9       10       (1 )
    Morgan Stanley       United States of Mexico       1.00%       Quarterly       06/20/2029       7,200       25       (13 )     38  
                                                  $ 574     $ 1,048     $ (474 )

 

 

 

SEI Institutional Investments Trust

 

321

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Emerging Markets Debt Fund (Concluded)

 

 
 

Interest Rate Swaps

 
 

Counterparty

   

Fund Pays

   

Fund Receives

   

Payment Frequency

   

Termination Date

   

Currency

   

Notional Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 
    ABSA Bank       4.91% FIXED       6-MONTH CLICP       Semi-Annually       06/10/2026       CLP       11,915,191     $ 10     $     $ 10  
    ABSA Bank       5.02% FIXED       6-MONTH CLICP       Semi-Annually       06/11/2026       CLP       3,971,202       (6 )           (6 )
    Bank of America       5.155%       CLICP       Semi-Annually       08/05/2026       CLP       2,322,320       (16 )           (16 )
    Citigroup       CNRR007       2.0847%       Quarterly       07/04/2025       CNY       56,261       47             47  
    Citigroup       1-DAY BRL - CETIP       9.845% FIXED       Annually       01/04/2027       BRL       24,572       18             18  
    Citigroup       1-DAY BRL - CETIP       9.945% FIXED       Annually       01/04/2027       BRL       35,389       63             63  
    Citigroup       CNRR007       2.4016%       Quarterly       07/04/2028       CNY       17,256       69             69  
    Citigroup       11.57997%       BRL CETIP       Annually       01/02/2029       BRL       1,878       6             6  
    Citigroup       CNRR007       2.09% FIXED       Quarterly       02/27/2029       CNY       25,190       27             27  
    Citigroup       CNRR007       2.0725% FIXED       Quarterly       03/07/2029       CNY       24,000       44             44  
    Citigroup       CNRR007       2.091% FIXED       Quarterly       04/11/2029       CNY       7,870       16             16  
    Citigroup       4.905% FIXED       6-MONTH-CLP-BLOOMBERG       Semi-Annually       06/14/2029       CLP       7,330,000       (29 )           (29 )
    Goldman Sachs       4.99% FIXED       CLICP       Semi-Annually       05/23/2026       CLP       12,852,000       20             20  
    JPMorgan Chase       28-DAY MXN TIIE       6.13%       Monthly       06/18/2026       MXN       47,000       (143 )           (143 )
                                                          $ 126     $     $ 126  

 

 

 

Percentages are based on Net Assets of $1,739,842 ($ Thousands).

(A)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On August 31, 2024, the value of these securities amounted to $197,378 ($ Thousands), representing 11.3% of the Net Assets of the Fund.

(B)

Step coupon security. Coupon rate will either increase (step-up bond) or decrease (step-down bond) at regular intervals until maturity. Interest rate shown reflects the rate currently in effect.

(C)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates on certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(D)

Perpetual security with no stated maturity date.

(E)

Security is in default on interest payment.

(F)

Zero coupon security.

(G)

Interest rate represents the security's effective yield at the time of purchase.

(H)

Security considered restricted, excluding 144A. The total market value of such securities as of August 31, 2024 was $14 ($ Thousands) and represented 0.0% of the Net Assets of the Fund. See table below for acquisition dates and acquisition cost.

(I)

Level 3 security in accordance with fair value hierarchy.

 

 
 

 

A list of the restricted securities, excluding 144a, held by the Fund at August 31, 2024, is as follows:

 

Description

 

Face Amount ($ Thousands)

   

Acquisition Date

   

Cost ($ Thousands)

   

Market Value
($ Thousands)

 

Global Bond

                               

Vnesheconombank Via VEB Finance

  $ 240       9/28/2011     $ 243     $ 14  
                    $ 243     $ 14  

 

See “Glossary” for abbreviations.

 

 

322

 

SEI Institutional Investments Trust

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Real Return Fund

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

U.S. TREASURY OBLIGATIONS — 99.4%

U.S. Treasury Inflation Indexed Bonds

               

2.125%, 04/15/2029

  $ 17,781     $ 18,107  

U.S. Treasury Inflation-Protected Securities

               

3.875%, 04/15/2029

    7,503       8,217  

3.625%, 04/15/2028

    6,313       6,710  

2.500%, 01/15/2029

    5,940       6,140  

2.375%, 01/15/2027

    6,532       6,589  

2.375%, 10/15/2028

    16,979       17,471  

2.000%, 01/15/2026

    6,742       6,690  

1.750%, 01/15/2028

    6,153       6,146  

1.625%, 10/15/2027

    16,608       16,571  

1.250%, 04/15/2028

    16,396       16,081  

0.875%, 01/15/2029

    11,472       11,081  

0.750%, 07/15/2028

    13,352       12,913  

0.625%, 01/15/2026

    14,236       13,874  

0.500%, 01/15/2028

    15,035       14,410  

0.375%, 01/15/2027

    13,292       12,798  

0.375%, 07/15/2027

    14,720       14,172  

0.250%, 07/15/2029

    13,534       12,699  

0.125%, 10/15/2025

    13,619       13,270  

0.125%, 10/15/2025

    1,533       1,494  

0.125%, 04/15/2026

    11,670       11,251  

0.125%, 07/15/2026

    14,335       13,856  

0.125%, 10/15/2026

    16,204       15,615  

0.125%, 04/15/2027

    16,555       15,795  
         

Total U.S. Treasury Obligations

       

(Cost $275,424) ($ Thousands)

    271,950  
                 
                 

Total Investments in Securities — 99.4%

               

(Cost $275,424) ($ Thousands)

  $ 271,950  
                 
                 

 

 

Percentages are based on Net Assets of $273,583 ($ Thousands).

 

See “Glossary” for abbreviations.

 

 

SEI Institutional Investments Trust

 

323

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

U.S. TREASURY OBLIGATIONS — 34.8%

U.S. Treasury Inflation-Protected Securities

               

1.250%, 04/15/2028

  $ 34,225     $ 33,567  

U.S. Treasury Notes

               

5.158%, USBMMY3M + 0.125%, 07/31/2025 (A)

    23,120       23,099  

4.375%, 07/31/2026

    25,849       26,043  

4.000%, 12/15/2025

    113,365       113,050  

3.750%, 08/31/2026

    181,550       180,947  

3.750%, 08/15/2027

    63,400       63,331  

3.625%, 08/31/2029

    370       368  

3.250%, 06/30/2027

    24,325       23,968  

2.500%, 03/31/2027

    16,900       16,361  

1.250%, 12/31/2026

    49,075       46,263  

0.750%, 08/31/2026

    70,640       66,366  

0.500%, 02/28/2026

    120,865       114,604  

0.500%, 10/31/2027

    32,610       29,441  

0.250%, 09/30/2025

    29,530       28,274  
         

Total U.S. Treasury Obligations

       

(Cost $762,415) ($ Thousands)

    765,682  
                 
                 
                 

CORPORATE OBLIGATIONS — 25.9%

Communication Services — 1.1%

       

AT&T

               

2.300%, 06/01/2027

    2,000       1,892  

Netflix

               

5.875%, 02/15/2025

    915       917  

Sprint Spectrum Co LLC / Sprint Spectrum Co II LLC / Sprint Spectrum Co III LLC

               

5.152%, 03/20/2028 (B)

    750       754  

4.738%, 03/20/2025 (B)

    155       154  

T-Mobile USA

               

3.750%, 04/15/2027

    640       629  

2.250%, 02/15/2026

    15,665       15,135  

Warnermedia Holdings

               

3.755%, 03/15/2027

    3,900       3,736  
                 
              23,217  
                 

Consumer Discretionary — 2.9%

       

BMW US Capital LLC

               

4.650%, 08/13/2026 (B)

    15,275       15,337  

Hyundai Capital America

               

5.450%, 06/24/2026 (B)

    10,355       10,481  

Toyota Motor Credit

               

5.200%, 05/15/2026

    16,040       16,264  

Volkswagen Group of America Finance LLC

               

4.900%, 08/14/2026 (B)

    12,830       12,857  

YMCA of Greater New York

               

2.303%, 08/01/2026

    8,590       8,076  
                 
              63,015  
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Consumer Staples — 2.4%

       

BAT Capital

               

3.557%, 08/15/2027

  $ 1,736     $ 1,694  

Bayer US Finance II LLC

               

4.375%, 12/15/2028 (B)

    245       240  

4.250%, 12/15/2025 (B)

    580       573  

Bayer US Finance LLC

               

6.250%, 01/21/2029 (B)

    1,445       1,514  

Bon Secours Mercy Health

               

3.382%, 11/01/2025

    4,504       4,418  

CommonSpirit Health

               

2.760%, 10/01/2024

    460       459  

1.547%, 10/01/2025

    11,740       11,269  

Constellation Brands

               

3.700%, 12/06/2026

    13,810       13,564  

JBS USA Holding Lux Sarl

               

5.125%, 02/01/2028

    1,270       1,276  

3.000%, 02/02/2029

    1,025       947  

Philip Morris International

               

4.750%, 02/12/2027

    17,135       17,289  
                 
              53,243  
                 

Energy — 0.1%

       

Energy Transfer

               

5.950%, 12/01/2025

    748       755  

Plains All American Pipeline/PAA Finance

               

4.500%, 12/15/2026

    1,500       1,493  
                 
              2,248  
                 

Financials — 11.7%

       

American Express

               

2.250%, 03/04/2025

    2,485       2,451  

Avolon Holdings Funding

               

3.250%, 02/15/2027 (B)

    990       948  

2.750%, 02/21/2028 (B)

    580       537  

2.528%, 11/18/2027 (B)

    133       123  

Bank of America

               

3.419%, TSFR3M + 1.302%, 12/20/2028 (A)

    4,689       4,521  

Bank of America MTN

               

2.551%, SOFRRATE + 1.050%, 02/04/2028 (A)

    17,840       17,013  

2.087%, SOFRRATE + 1.060%, 06/14/2029 (A)

    885       810  

1.319%, SOFRRATE + 1.150%, 06/19/2026 (A)

    2,515       2,441  

Bank of New York Mellon MTN

               

3.442%, TSFR3M + 1.331%, 02/07/2028 (A)

    1,165       1,137  

Citibank

               

4.929%, 08/06/2026

    12,505       12,611  

 

 

 

324

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Citigroup

               

6.065%, SOFRRATE + 0.686%, 10/30/2024 (A)

  $ 1,165     $ 1,165  

3.520%, TSFR3M + 1.413%, 10/27/2028 (A)

    1,645       1,595  

1.462%, SOFRRATE + 0.770%, 06/09/2027 (A)

    4,295       4,062  

Discover Bank

               

2.450%, 09/12/2024

    987       986  

DNB Bank

               

0.856%, H15T1Y + 0.330%, 09/30/2025 (A)(B)

    1,235       1,230  

Federation des Caisses Desjardins du Quebec

               

4.850%, 10/14/2025 (B)

    15,400       15,445  

General Electric MTN

               

5.884%, TSFR3M + 0.642%, 05/05/2026 (A)

    330       331  

Global Payments

               

2.150%, 01/15/2027

    1,725       1,633  

Goldman Sachs Bank USA NY

               

5.283%, SOFRRATE + 0.777%, 03/18/2027 (A)

    16,020       16,141  

Goldman Sachs Group

               

1.542%, SOFRRATE + 0.818%, 09/10/2027 (A)

    5,460       5,127  

1.431%, SOFRRATE + 0.798%, 03/09/2027 (A)

    515       489  

Guardian Life Global Funding

               

5.737%, 10/02/2028 (B)

    2,925       3,079  

HSBC Holdings PLC

               

2.099%, SOFRRATE + 1.929%, 06/04/2026 (A)

    2,455       2,398  

2.013%, SOFRRATE + 1.732%, 09/22/2028 (A)

    1,090       1,006  

ING Groep

               

3.869%, SOFRRATE + 1.640%, 03/28/2026 (A)

    1,230       1,221  

Jackson National Life Global Funding

               

5.600%, 04/10/2026 (B)

    13,310       13,446  

JPMorgan Chase

               

5.040%, SOFRRATE + 1.190%, 01/23/2028 (A)

    7,735       7,828  

2.182%, SOFRRATE + 1.890%, 06/01/2028 (A)

    2,000       1,880  

2.083%, SOFRRATE + 1.850%, 04/22/2026 (A)

    1,855       1,820  

2.005%, TSFR3M + 1.585%, 03/13/2026 (A)

    857       842  

1.578%, SOFRRATE + 0.885%, 04/22/2027 (A)

    2,478       2,358  

1.040%, TSFR3M + 0.695%, 02/04/2027 (A)

    3,805       3,616  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Lloyds Banking Group PLC

               

1.627%, H15T1Y + 0.850%, 05/11/2027 (A)

  $ 3,295     $ 3,124  

MassMutual Global Funding II MTN

               

5.100%, 04/09/2027 (B)

    10,840       11,077  

Metropolitan Life Global Funding I

               

3.450%, 12/18/2026 (B)

    2,500       2,450  

Metropolitan Life Global Funding I MTN

               

5.050%, 01/06/2028 (B)

    2,000       2,036  

Morgan Stanley

               

1.593%, SOFRRATE + 0.879%, 05/04/2027 (A)

    900       855  

0.985%, SOFRRATE + 0.720%, 12/10/2026 (A)

    3,775       3,590  

Morgan Stanley MTN

               

1.512%, SOFRRATE + 0.858%, 07/20/2027 (A)

    20,205       19,055  

Morgan Stanley Bank

               

4.754%, 04/21/2026

    11,550       11,596  

Nationwide Building Society MTN

               

2.972%, SOFRRATE + 1.290%, 02/16/2028 (A)(B)

    2,720       2,602  

Nationwide Mutual Insurance

               

7.891%, US0003M + 2.290%, 12/15/2024 (A)(B)

    1,000       999  

New York Life Global Funding MTN

               

5.450%, 09/18/2026 (B)

    6,694       6,834  

Northwestern Mutual Global Funding

               

5.070%, 03/25/2027 (B)

    5,070       5,179  

PNC Financial Services Group

               

6.615%, SOFRINDX + 1.730%, 10/20/2027 (A)

    8,035       8,357  

5.582%, SOFRRATE + 1.841%, 06/12/2029 (A)

    970       1,002  

Principal Life Global Funding II

               

5.000%, 01/16/2027 (B)

    9,035       9,154  

Royal Bank of Canada MTN

               

5.069%, SOFRRATE + 0.790%, 07/23/2027 (A)

    10,315       10,432  

Santander UK Group Holdings PLC

               

1.673%, SOFRRATE + 0.989%, 06/14/2027 (A)

    1,380       1,303  

State Street

               

5.272%, 08/03/2026

    14,155       14,376  

US Bancorp

               

6.787%, SOFRRATE + 1.880%, 10/26/2027 (A)

    325       340  

4.653%, SOFRRATE + 1.230%, 02/01/2029 (A)

    2,215       2,217  

Wells Fargo MTN

               

5.574%, SOFRRATE + 1.740%, 07/25/2029 (A)

    3,110       3,212  

2.393%, SOFRRATE + 2.100%, 06/02/2028 (A)

    2,000       1,887  

 

 

 

SEI Institutional Investments Trust

 

325

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

2.164%, TSFR3M + 1.012%, 02/11/2026 (A)

  $ 4,145     $ 4,088  

Willis North America

               

4.650%, 06/15/2027

    615       616  
                 
              256,671  
                 

Health Care — 0.9%

       

AbbVie

               

3.800%, 03/15/2025

    35       35  

Amgen

               

5.150%, 03/02/2028

    2,465       2,518  

Bristol-Myers Squibb

               

4.950%, 02/20/2026

    10,745       10,841  

HCA

               

5.875%, 02/15/2026

    1,500       1,512  

5.250%, 04/15/2025

    465       465  

3.125%, 03/15/2027

    1,000       964  

Humana

               

5.700%, 03/13/2026

    600       600  

3.850%, 10/01/2024

    1,500       1,498  

Revvity

               

0.850%, 09/15/2024

    1,170       1,168  

Thermo Fisher Scientific

               

1.215%, 10/18/2024

    1,375       1,368  
                 
              20,969  
                 

Industrials — 1.7%

       

AerCap Ireland Capital DAC / AerCap Global Aviation Trust

               

6.450%, 04/15/2027

    15,325       15,946  

2.450%, 10/29/2026

    255       243  

1.650%, 10/29/2024

    650       646  

Air Lease

               

3.375%, 07/01/2025

    400       394  

2.200%, 01/15/2027

    770       728  

Air Lease MTN

               

5.300%, 06/25/2026

    17,925       18,126  

BAE Systems Holdings

               

3.850%, 12/15/2025 (B)

    625       617  

Boeing

               

6.259%, 05/01/2027 (B)

    1,325       1,363  
                 
              38,063  
                 

Information Technology — 0.2%

       

Open Text

               

6.900%, 12/01/2027 (B)

    1,610       1,690  

Oracle

               

2.800%, 04/01/2027

    1,000       961  

1.650%, 03/25/2026

    1,865       1,781  
                 
              4,432  
                 

Materials — 0.8%

       

Amcor Flexibles North America

               

4.000%, 05/17/2025

    1,165       1,155  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Berry Global

               

5.500%, 04/15/2028

  $ 765     $ 777  

4.875%, 07/15/2026 (B)

    466       461  

International Flavors & Fragrances

               

2.300%, 11/01/2030 (B)

    440       382  

1.832%, 10/15/2027 (B)

    2,490       2,284  

Newmont

               

5.300%, 03/15/2026 (B)

    11,595       11,702  
                 
              16,761  
                 

Real Estate — 1.0%

       

American Tower

               

5.250%, 07/15/2028

    3,145       3,212  

3.600%, 01/15/2028

    175       169  

Crown Castle

               

3.800%, 02/15/2028

    3,700       3,596  

Digital Realty Trust

               

3.600%, 07/01/2029

    615       588  

DOC DR LLC

               

4.300%, 03/15/2027

    1,880       1,865  

Extra Space Storage

               

5.700%, 04/01/2028

    1,195       1,234  

4.000%, 06/15/2029

    1,230       1,193  

3.875%, 12/15/2027

    1,625       1,589  

GLP Capital LP / GLP Financing II

               

5.300%, 01/15/2029

    1,000       1,008  

4.000%, 01/15/2031

    1,370       1,269  

Healthcare Realty Holdings LP

               

3.500%, 08/01/2026

    1,625       1,588  

Hudson Pacific Properties LP

               

4.650%, 04/01/2029

    630       521  

3.950%, 11/01/2027

    52       46  

3.250%, 01/15/2030

    480       355  

Kilroy Realty

               

3.450%, 12/15/2024

    920       914  

LXP Industrial Trust

               

6.750%, 11/15/2028

    1,690       1,793  

VICI Properties

               

5.750%, 02/01/2027 (B)

    725       734  

VICI Properties LP

               

4.950%, 02/15/2030

    115       115  

VICI Properties LP / VICI Note Co

               

4.625%, 06/15/2025 (B)

    185       183  

4.125%, 08/15/2030 (B)

    310       292  
                 
              22,264  
                 

Utilities — 3.1%

       

Alliant Energy Finance LLC

               

5.950%, 03/30/2029 (B)

    1,565       1,643  

1.400%, 03/15/2026 (B)

    2,030       1,915  

American Electric Power

               

5.750%, 11/01/2027

    550       570  

 

 

 

326

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Dominion Energy

               

3.300%, 03/15/2025

  $ 1,570     $ 1,553  

Eversource Energy

               

2.900%, 03/01/2027

    2,505       2,404  

FirstEnergy Pennsylvania Electric

               

5.150%, 03/30/2026 (B)

    665       668  

4.000%, 04/15/2025 (B)

    315       312  

Georgia Power

               

5.004%, 02/23/2027

    12,725       12,924  

ITC Holdings

               

4.950%, 09/22/2027 (B)

    2,100       2,120  

National Rural Utilities Cooperative Finance MTN

               

4.800%, 02/05/2027

    12,290       12,440  

NextEra Energy Capital Holdings

               

5.749%, 09/01/2025

    17,095       17,236  

Southern California Edison

               

5.350%, 03/01/2026

    15,175       15,356  
                 
              69,141  
                 

Total Corporate Obligations

               

(Cost $565,042) ($ Thousands)

            570,024  
                 
                 
                 

ASSET-BACKED SECURITIES — 23.6%

Automotive — 13.0%

       
         

Ally Bank Auto Credit-Linked Notes, Ser 2024-A, Cl D

               

6.315%, 05/17/2032 (B)

    1,508       1,529  

AmeriCredit Automobile Receivables Trust, Ser 2021-1, Cl D

               

1.210%, 12/18/2026

    1,171       1,132  

AmeriCredit Automobile Receivables Trust, Ser 2022-2, Cl C

               

5.320%, 04/18/2028

    3,000       3,029  

ARI Fleet Lease Trust, Ser 2023-B, Cl A3

               

5.890%, 07/15/2032 (B)

    2,424       2,499  

Avis Budget Rental Car Funding AESOP LLC, Ser 2021-2A, Cl A

               

1.660%, 02/20/2028 (B)

    4,478       4,177  

Avis Budget Rental Car Funding AESOP LLC, Ser 2022-1A, Cl A

               

3.830%, 08/21/2028 (B)

    19,080       18,614  

Avis Budget Rental Car Funding AESOP LLC, Ser 2023-2A, Cl A

               

5.200%, 10/20/2027 (B)

    7,550       7,601  

BOF VII AL Funding Trust I, Ser 2023-CAR3, Cl A2

               

6.291%, 07/26/2032 (B)

    5,106       5,175  

CarMax Auto Owner Trust, Ser 2022-2, Cl A4

               

3.620%, 09/15/2027

    3,632       3,576  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

CarMax Auto Owner Trust, Ser 2023-2, Cl A3

               

5.050%, 01/18/2028

  $ 5,000     $ 5,019  

CarMax Auto Owner Trust, Ser 2023-2, Cl B

               

5.180%, 11/15/2028

    1,000       1,012  

CarMax Auto Owner Trust, Ser 2023-3, Cl A3

               

5.280%, 05/15/2028

    6,650       6,715  

CarMax Auto Owner Trust, Ser 2024-1, Cl A3

               

4.920%, 10/16/2028

    8,330       8,392  

CarMax Auto Owner Trust, Ser 2024-1, Cl B

               

5.170%, 08/15/2029

    4,120       4,187  

CarMax Auto Owner Trust, Ser 2024-2, Cl A3

               

5.500%, 01/16/2029

    3,700       3,776  

CarMax Auto Owner Trust, Ser 2024-3, Cl A3

               

4.890%, 07/16/2029

    10,000       10,109  

CarMax Auto Owner Trust, Ser 2024-A, Cl A3

               

5.400%, 11/15/2028

    6,900       6,997  

CarMax Auto Owner Trust, Ser 2024-A, Cl B

               

5.350%, 01/15/2030

    11,025       11,213  

Carvana Auto Receivables Trust, Ser 2024-P1, Cl A3

               

5.050%, 04/10/2029 (B)

    10,570       10,661  

Citizens Auto Receivables Trust, Ser 2023-1, Cl A3

               

5.840%, 01/18/2028 (B)

    9,415       9,523  

Credit Acceptance Auto Loan Trust, Ser 2023-3A, Cl A

               

6.390%, 08/15/2033 (B)

    6,440       6,570  

Drive Auto Receivables Trust, Ser 2021-2, Cl D

               

1.390%, 03/15/2029

    2,324       2,266  

DT Auto Owner Trust, Ser 2021-4A, Cl D

               

1.990%, 09/15/2027 (B)

    1,360       1,299  

Enterprise Fleet Financing LLC, Ser 2024-1, Cl A2

               

5.230%, 03/20/2030 (B)

    6,355       6,393  

Exeter Automobile Receivables Trust, Ser 2020-1A, Cl E

               

3.740%, 01/15/2027 (B)

    2,750       2,741  

Exeter Automobile Receivables Trust, Ser 2021-3A, Cl C

               

0.960%, 10/15/2026

    310       308  

Exeter Automobile Receivables Trust, Ser 2021-4A, Cl C

               

1.460%, 10/15/2027

    761       756  

Exeter Automobile Receivables Trust, Ser 2022-6A, Cl C

               

6.320%, 05/15/2028

    2,015       2,033  

Flagship Credit Auto Trust, Ser 2019-4, Cl D

               

3.120%, 01/15/2026 (B)

    854       849  

Flagship Credit Auto Trust, Ser 2020-3, Cl D

               

2.500%, 09/15/2026 (B)

    2,400       2,350  

 

 

 

SEI Institutional Investments Trust

 

327

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Flagship Credit Auto Trust, Ser 2021-1, Cl C

               

0.910%, 03/15/2027 (B)

  $ 1,377     $ 1,358  

Ford Credit Auto Owner Trust, Ser 2020-2, Cl A

               

1.060%, 04/15/2033 (B)

    5,000       4,792  

Ford Credit Floorplan Master Owner Trust A, Ser 2020-2, Cl A

               

1.060%, 09/15/2027

    2,740       2,637  

Ford Credit Floorplan Master Owner Trust A, Ser 2023-1, Cl B

               

5.310%, 05/15/2028 (B)

    2,450       2,468  

GM Financial Consumer Automobile Receivables Trust, Ser 2022-3, Cl A4

               

3.710%, 12/16/2027

    1,000       987  

GTE Auto Receivables Trust, Ser 2023-1, Cl A3

               

5.180%, 03/15/2028 (B)

    8,475       8,468  

Huntington Auto Trust, Ser 2024-1A, Cl A3

               

5.230%, 01/16/2029 (B)

    8,415       8,553  

Hyundai Auto Receivables Trust, Ser 2023-B, Cl A4

               

5.310%, 08/15/2029

    194       198  

JPMorgan Chase Bank - CACLN, Ser 2021-2, Cl B

               

0.889%, 12/26/2028 (B)

    183       182  

JPMorgan Chase Bank - CACLN, Ser 2021-3, Cl D

               

1.009%, 02/26/2029 (B)

    336       331  

LAD Auto Receivables Trust, Ser 2023-2A, Cl C

               

5.580%, 09/15/2028 (B)

    2,180       2,193  

Merchants Fleet Funding LLC, Ser 2024-1A, Cl A

               

5.820%, 04/20/2037 (B)

    13,825       14,002  

Navistar Financial Dealer Note Master Owner Trust, Ser 2023-1, Cl A

               

6.180%, 08/25/2028 (B)

    5,090       5,147  

Navistar Financial Dealer Note Master Owner Trust, Ser 2023-1, Cl B

               

6.480%, 08/25/2028 (B)

    1,363       1,372  

Navistar Financial Dealer Note Master Owner Trust, Ser 2024-1, Cl A

               

5.590%, 04/25/2029 (B)

    7,800       7,896  

Navistar Financial Dealer Note Master Owner Trust, Ser 2024-1, Cl B

               

5.790%, 04/25/2029 (B)

    1,270       1,286  

NextGear Floorplan Master Owner Trust, Ser 2024-1A, Cl A2

               

5.120%, 03/15/2029 (B)

    14,550       14,764  

Santander Drive Auto Receivables Trust, Ser 2020-4, Cl D

               

1.480%, 01/15/2027

    638       633  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Santander Drive Auto Receivables Trust, Ser 2022-4, Cl C

               

5.000%, 11/15/2029

  $ 3,185     $ 3,191  

SBNA Auto Lease Trust, Ser 2023-A, Cl A3

               

6.510%, 04/20/2027 (B)

    3,000       3,049  

SBNA Auto Lease Trust, Ser 2023-A, Cl A4

               

6.520%, 04/20/2028 (B)

    700       720  

SBNA Auto Lease Trust, Ser 2024-A, Cl A4

               

5.240%, 01/22/2029 (B)

    8,860       8,950  

Tesla Electric Vehicle Trust, Ser 2023-1, Cl A3

               

5.380%, 06/20/2028 (B)

    1,514       1,532  

Toyota Auto Loan Extended Note Trust, Ser 2022-1A, Cl A

               

3.820%, 04/25/2035 (B)

    8,360       8,245  

US Bank, Ser 2023-1, Cl B

               

6.789%, 08/25/2032 (B)

    1,314       1,328  

Westlake Automobile Receivables Trust, Ser 2020-3A, Cl D

               

1.650%, 02/17/2026 (B)

    265       265  

Westlake Automobile Receivables Trust, Ser 2023-1A, Cl B

               

5.410%, 01/18/2028 (B)

    2,940       2,945  

Westlake Flooring Master Trust, Ser 2024-1A, Cl B

               

6.070%, 02/15/2028 (B)

    11,725       11,797  

Wheels Fleet Lease Funding 1 LLC, Ser 2023-1A, Cl B

               

5.800%, 04/18/2038 (B)

    12,695       12,834  

World Omni Auto Receivables Trust, Ser 2023-C, Cl A3

               

5.150%, 11/15/2028

    5,000       5,034  
              287,658  
                 

Credit Cards — 3.2%

       
         

American Express Credit Account Master Trust, Ser 2023-1, Cl A

               

4.870%, 05/15/2028

    16,000       16,106  

American Express Credit Account Master Trust, Ser 2023-3, Cl A

               

5.230%, 09/15/2028

    5,485       5,589  

BA Credit Card Trust, Ser 2023-A1, Cl A1

               

4.790%, 05/15/2028

    2,979       2,996  

BA Credit Card Trust, Ser 2023-A2, Cl A2

               

4.980%, 11/15/2028

    5,389       5,470  

BA Credit Card Trust, Ser 2024-A1, Cl A

               

4.930%, 05/15/2029

    1,220       1,242  

Barclays Dryrock Issuance Trust, Ser 2023-1, Cl A

               

4.720%, 02/15/2029

    1,950       1,955  

CARDS II Trust, Ser 2024-1A, Cl B

               

5.450%, 07/16/2029 (B)

    5,735       5,773  

Chase Issuance Trust, Ser 2023-A1, Cl A

               

5.160%, 09/15/2028

    585       595  

 

 

 

328

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Discover Card Execution Note Trust, Ser 2022-A4, Cl A

               

5.030%, 10/15/2027

  $ 10,140     $ 10,171  

Evergreen Credit Card Trust, Ser 2024-1A, Cl B

               

5.510%, 07/17/2028 (B)

    5,540       5,582  

First National Master Note Trust, Ser 2023-1, Cl A

               

5.130%, 04/15/2029

    3,000       3,020  

Synchrony Card Funding LLC, Ser 2023-A1, Cl A

               

5.540%, 07/15/2029

    3,000       3,048  

Synchrony Card Funding LLC, Ser 2024-A1, Cl A

               

5.040%, 03/15/2030

    7,804       7,915  

WF Card Issuance Trust, Ser 2024-A1, Cl A

               

4.940%, 02/15/2029

    1,000       1,016  
              70,478  
                 

Other Asset-Backed Securities — 7.4%

       
         

Ameriquest Mortgage Securities Asset-Backed Pass-Through, Ser 2005-R9, Cl M1

               

6.097%, TSFR1M + 0.819%, 11/25/2035 (A)

    747       731  

AMMC CLO 15, Ser 2021-15A, Cl AR3

               

6.683%, TSFR3M + 1.382%, 01/15/2032 (A)(B)

    896       897  

AMMC CLO 22, Ser 2018-22A, Cl A

               

6.576%, TSFR3M + 1.292%, 04/25/2031 (A)(B)

    299       299  

Apidos CLO XII, Ser 2024-12A, Cl ARR

               

6.420%, TSFR3M + 1.080%, 04/15/2031 (A)(B)

    2,762       2,762  

Apidos CLO XXII, Ser 2020-22A, Cl A1R

               

6.604%, TSFR3M + 1.322%, 04/20/2031 (A)(B)

    1,261       1,263  

Barings CLO, Ser 2024-4A, Cl A1R

               

6.479%, TSFR3M + 1.150%, 10/15/2030 (A)(B)

    3,177       3,178  

Bear Stearns Asset Backed Securities Trust, Ser 2006-HE9, Cl 1A2

               

5.692%, TSFR1M + 0.414%, 11/25/2036 (A)

    1,916       1,881  

Carbone CLO, Ser 2017-1A, Cl A1

               

6.684%, TSFR3M + 1.402%, 01/20/2031 (A)(B)

    1,242       1,243  

Carrington Mortgage Loan Trust Series, Ser 2006-OPT1, Cl M1

               

5.917%, TSFR1M + 0.639%, 02/25/2036 (A)

    980       969  

Cedar Funding VII CLO, Ser 2024-7A, Cl AR

               

6.176%, TSFR3M + 1.080%, 01/20/2031 (A)(B)

    3,150       3,150  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

CIFC Funding, Ser 2018-3RA, Cl A1

               

6.525%, TSFR3M + 1.242%, 04/24/2031 (A)(B)

  $ 288     $ 288  

Citigroup Mortgage Loan Trust, Ser 2006-AMC1, Cl A1

               

5.682%, TSFR1M + 0.404%, 09/25/2036 (A)(B)

    1,411       1,350  

CNH Equipment Trust, Ser 2023-A, Cl A3

               

4.810%, 08/15/2028

    6,160       6,175  

Credit-Based Asset Servicing & Securitization LLC, Ser 2005-CB3, Cl M3

               

6.367%, TSFR1M + 1.089%, 06/25/2035 (A)

    11       11  

Dell Equipment Finance Trust, Ser 2023-2, Cl B

               

5.770%, 01/22/2029 (B)

    2,195       2,219  

Domino's Pizza Master Issuer LLC, Ser 2015-1A, Cl A2II

               

4.474%, 10/25/2045 (B)

    2,133       2,109  

Dryden 41 Senior Loan Fund, Ser 2018-41A, Cl BR

               

6.863%, TSFR3M + 1.562%, 04/15/2031 (A)(B)

    1,340       1,341  

FirstKey Homes Trust, Ser 2020-SFR1, Cl A

               

1.339%, 08/17/2037 (B)

    3,797       3,663  

FirstKey Homes Trust, Ser 2022-SFR2, Cl A

               

4.250%, 07/17/2039 (B)

    9,294       9,171  

Fremont Home Loan Trust, Ser 2005-E, Cl 2A4

               

6.052%, TSFR1M + 0.774%, 01/25/2036 (A)

    1,840       1,755  

Goldentree Loan Management US CLO 3, Ser 2018-3A, Cl AJ

               

6.844%, TSFR3M + 1.562%, 04/20/2030 (A)(B)

    1,700       1,703  

Goldentree Loan Management US CLO 4, Ser 2024-4A, Cl ARR

               

6.433%, TSFR3M + 1.150%, 04/24/2031 (A)(B)

    2,934       2,936  

GreatAmerica Leasing Receivables, Ser 2023-1, Cl A3

               

5.150%, 07/15/2027 (B)

    3,235       3,255  

Greenwood Park CLO Ltd., Ser 2018-1A, Cl A2

               

6.573%, TSFR3M + 1.272%, 04/15/2031 (A)(B)

    1,211       1,212  

GSAA Home Equity Trust, Ser 2005-6, Cl M1

               

6.037%, TSFR1M + 0.759%, 06/25/2035 (A)

    234       231  

GSAA Home Equity Trust, Ser 2007-8, Cl A3

               

6.292%, TSFR1M + 1.014%, 08/25/2037 (A)

    255       244  

 

 

 

SEI Institutional Investments Trust

 

329

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Hilton Grand Vacations Trust, Ser 2020-AA, Cl A

               

2.740%, 02/25/2039 (B)

  $ 1,161     $ 1,121  

HPEFS Equipment Trust, Ser 2024-1A, Cl B

               

5.180%, 05/20/2031 (B)

    4,400       4,433  

HSI Asset Securitization Trust, Ser 2006-OPT2, Cl M2

               

5.977%, TSFR1M + 0.699%, 01/25/2036 (A)

    355       349  

JPMorgan Mortgage Acquisition Trust, Ser 2007-CH4, Cl A5

               

5.632%, TSFR1M + 0.354%, 05/25/2037 (A)

    472       469  

JPMorgan Mortgage Acquisition Trust, Ser 2007-CH4, Cl M1

               

5.622%, TSFR1M + 0.344%, 05/25/2037 (A)

    3,000       2,916  

JPMorgan Mortgage Acquisition Trust, Ser 2007-CH5, Cl A1

               

5.552%, TSFR1M + 0.274%, 06/25/2037 (A)

    864       859  

LCM XXIV, Ser 2021-24A, Cl AR

               

6.524%, TSFR3M + 1.242%, 03/20/2030 (A)(B)

    2,695       2,694  

M&T Equipment, Ser 2023-1A, Cl A3

               

5.740%, 07/15/2030 (B)

    6,775       6,848  

Madison Park Funding XVII, Ser 2021-17A, Cl AR2

               

6.544%, TSFR3M + 1.262%, 07/21/2030 (A)(B)

    1,401       1,402  

Madison Park Funding XXIX, Ser 2024-29A, Cl AR

               

6.459%, TSFR3M + 1.180%, 10/18/2030 (A)(B)

    2,982       2,986  

Morgan Stanley ABS Capital I Trust, Ser 2006-NC3, Cl A2D

               

5.932%, TSFR1M + 0.654%, 03/25/2036 (A)

    476       462  

Morgan Stanley ABS Capital I Trust, Ser 2007-HE7, Cl A2B

               

6.392%, TSFR1M + 1.114%, 07/25/2037 (A)

    620       608  

MVW LLC, Ser 2021-1WA, Cl A

               

1.140%, 01/22/2041 (B)

    1,480       1,400  

Nationstar Home Equity Loan Trust, Ser 2007-B, Cl 2AV4

               

5.712%, TSFR1M + 0.434%, 04/25/2037 (A)

    482       475  

Navient Private Education Refi Loan Trust, Ser 2019-GA, Cl A

               

2.400%, 10/15/2068 (B)

    3,475       3,326  

Navient Private Education Refi Loan Trust, Ser 2020-DA, Cl A

               

1.690%, 05/15/2069 (B)

    2,079       1,944  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Navient Private Education Refi Loan Trust, Ser 2020-FA, Cl A

               

1.220%, 07/15/2069 (B)

  $ 2,348     $ 2,170  

Navient Private Education Refi Loan Trust, Ser 2020-GA, Cl A

               

1.170%, 09/16/2069 (B)

    1,542       1,419  

Navient Private Education Refi Loan Trust, Ser 2020-HA, Cl A

               

1.310%, 01/15/2069 (B)

    1,468       1,365  

Navient Private Education Refi Loan Trust, Ser 2021-A, Cl A

               

0.840%, 05/15/2069 (B)

    2,920       2,637  

Navient Private Education Refi Loan Trust, Ser 2021-BA, Cl A

               

0.940%, 07/15/2069 (B)

    5,621       5,046  

New Century Home Equity Loan Trust, Ser 2006-1, Cl A2B

               

5.752%, TSFR1M + 0.474%, 05/25/2036 (A)

    1,563       1,552  

Newcastle Mortgage Securities Trust, Ser 2007-1, Cl 1A1

               

5.582%, TSFR1M + 0.304%, 04/25/2037 (A)

    1,257       1,203  

OCP CLO, Ser 2024-6A, Cl A1R2

               

6.436%, TSFR3M + 1.150%, 10/17/2030 (A)(B)

    2,158       2,158  

Ownit Mortgage Loan Trust Series, Ser 2006-3, Cl A2D

               

5.932%, TSFR1M + 0.654%, 03/25/2037 (A)

    1,870       1,787  

Palmer Square Loan Funding, Ser 2021-2A, Cl A1

               

6.190%, TSFR3M + 1.062%, 05/20/2029 (A)(B)

    132       132  

Palmer Square Loan Funding, Ser 2024-3A, Cl A1BR

               

6.721%, TSFR3M + 1.400%, 04/15/2031 (A)(B)

    3,400       3,402  

People's Choice Home Loan Securities Trust, Ser 2005-4, Cl 1A3

               

6.072%, TSFR1M + 0.794%, 12/25/2035 (A)

    611       592  

Reese Park CLO, Ser 2021-1A, Cl XR

               

6.463%, TSFR3M + 1.162%, 10/15/2034 (A)(B)

    458       458  

Regatta XIII Funding, Ser 2024-2A, Cl A1R

               

6.446%, TSFR3M + 1.100%, 07/15/2031 (A)(B)

    2,846       2,845  

Rockford Tower CLO, Ser 2018-2A, Cl A

               

6.704%, TSFR3M + 1.422%, 10/20/2031 (A)(B)

    1,732       1,736  

 

 

 

330

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Saxon Asset Securities Trust, Ser 2006-3, Cl A3

               

5.732%, TSFR1M + 0.454%, 10/25/2046 (A)

  $ 923     $ 895  

Sierra Timeshare Receivables Funding LLC, Ser 2019-3A, Cl A

               

2.340%, 08/20/2036 (B)

    284       284  

SLM Student Loan Trust, Ser 2012-2, Cl A

               

6.163%, SOFR30A + 0.814%, 01/25/2029 (A)

    549       536  

SLM Student Loan Trust, Ser 2013-2, Cl A

               

5.913%, SOFR30A + 0.564%, 06/25/2043 (A)

    677       663  

SMB Private Education Loan Trust, Ser 2021-B, Cl A

               

1.310%, 07/17/2051 (B)

    476       439  

SoFi Professional Loan Program Trust, Ser 2020-A, Cl A2FX

               

2.540%, 05/15/2046 (B)

    2,011       1,905  

SoFi Professional Loan Program Trust, Ser 2021-A, Cl AFX

               

1.030%, 08/17/2043 (B)

           

SoFi Professional Loan Program Trust, Ser 2021-B, Cl AFX

               

1.140%, 02/15/2047 (B)

    1,342       1,166  

Stack Infrastructure Issuer LLC, Ser 2020-1A, Cl A2

               

1.893%, 08/25/2045 (B)

    1,000       964  

TIAA CLO IV, Ser 2024-1A, Cl A1AR

               

6.422%, TSFR3M + 1.140%, 01/20/2032 (A)(B)

    2,885       2,884  

T-Mobile US Trust, Ser 2024-1A, Cl A

               

5.050%, 09/20/2029 (B)

    8,480       8,564  

Trinity Rail Leasing LLC, Ser 2020-2A, Cl A1

               

1.830%, 11/19/2050 (B)

    1,842       1,744  

Vantage Data Centers Issuer LLC, Ser 2020-1A, Cl A2

               

1.645%, 09/15/2045 (B)

    1,317       1,265  

Verizon Master Trust Series, Ser 2024-4, Cl B

               

5.400%, 06/20/2029

    3,200       3,234  

Verizon Master Trust Series, Ser 2024-4, Cl C

               

5.600%, 06/20/2029

    3,585       3,623  

Verizon Master Trust, Ser 2023-4, Cl A1A

               

5.160%, 06/20/2029

    9,780       9,887  

Verizon Master Trust, Ser 2024-3, Cl A1A

               

5.340%, 04/22/2030

    8,675       8,893  

Voya CLO, Ser 2021-2A, Cl A1R

               

6.543%, TSFR3M + 1.242%, 06/07/2030 (A)(B)

    562       562  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Wells Fargo Home Equity Trust, Ser 2006-1, Cl M3

               

5.887%, TSFR1M + 0.609%, 05/25/2036 (A)

  $ 215     $ 215  
              162,553  
                 

Total Asset-Backed Securities

               

(Cost $516,558) ($ Thousands)

            520,689  
                 
                 

MORTGAGE-BACKED SECURITIES — 17.7%

Agency Mortgage-Backed Obligations — 11.7%

       

Connecticut Avenue Securities Trust, Ser 2022-R08, Cl 1M1

               

7.899%, SOFR30A + 2.550%, 07/25/2042(A)(B)

    1,333       1,368  

Connecticut Avenue Securities Trust, Ser 2023-R08, Cl 1M1

               

6.849%, SOFR30A + 1.500%, 10/25/2043(A)(B)

    2,267       2,275  

Connecticut Avenue Securities Trust, Ser 2024-R04, Cl 1M1

               

6.449%, SOFR30A + 1.100%, 05/25/2044(A)(B)

    1,290       1,290  

FHLMC

               

5.863%, RFUCCT1Y + 1.469%, 03/01/2037(A)

    4       4  

3.500%, 02/01/2034 to 05/01/2035

    6,251       6,118  

2.500%, 09/01/2030 to 11/01/2031

    6,699       6,391  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K057, Cl A2

               

2.570%, 07/25/2026

    1,000       969  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K062, Cl A2

               

3.413%, 12/25/2026

    1,500       1,473  

FHLMC Multifamily Structured Pass-Through Certificates, Ser K089, Cl A1

               

3.344%, 10/25/2028

    724       709  

FHLMC Multifamily Structured Pass-Through Certificates, Ser KF37, Cl A

               

5.826%, SOFR30A + 0.474%, 09/25/2027(A)

    78       78  

FHLMC Multifamily Structured Pass-Through Certificates, Ser KF39, Cl A

               

5.786%, SOFR30A + 0.434%, 11/25/2024(A)

    97       97  

FHLMC Multifamily Structured Pass-Through Certificates, Ser KF40, Cl A

               

5.806%, SOFR30A + 0.454%, 11/25/2027(A)

    40       40  

FHLMC Multifamily Structured Pass-Through Certificates, Ser KF43, Cl A

               

5.706%, SOFR30A + 0.354%, 01/25/2028(A)

    337       334  

 

 

 

SEI Institutional Investments Trust

 

331

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC Multifamily Structured Pass-Through Certificates, Ser KF51, Cl A

               

5.866%, SOFR30A + 0.514%, 08/25/2025(A)

  $ 115     $ 115  

FHLMC Multifamily Structured Pass-Through Certificates, Ser KF68, Cl A

               

5.956%, SOFR30A + 0.604%, 07/25/2026(A)

    448       448  

FHLMC Multifamily Structured Pass-Through Certificates, Ser KF86, Cl AL

               

5.756%, SOFR30A + 0.404%, 08/25/2027(A)

    324       322  

FHLMC Multifamily Structured Pass-Through Certificates, Ser KIR1, Cl A2

               

2.849%, 03/25/2026

    2,565       2,499  

FHLMC Multifamily Structured Pass-Through Certificates, Ser KJ34, Cl A1

               

0.681%, 06/25/2026

    214       209  

FHLMC Multifamily Structured Pass-Through Certificates, Ser KJ37, Cl A1

               

1.679%, 12/25/2027

    2,017       1,898  

FHLMC Multifamily Structured Pass-Through Certificates, Ser Q004, Cl AFL

               

5.863%, 12MTA + 0.740%, 05/25/2044(A)

    319       319  

FHLMC REMIC CMO, Ser 2005-2922, Cl FE

               

5.718%, SOFR30A + 0.364%, 02/15/2035(A)

    346       342  

FHLMC REMIC CMO, Ser 2005-2990, Cl LK

               

5.838%, SOFR30A + 0.484%, 10/15/2034(A)

    414       413  

FHLMC REMIC CMO, Ser 2006-3102, Cl FB

               

5.768%, SOFR30A + 0.414%, 01/15/2036(A)

    103       102  

FHLMC REMIC CMO, Ser 2006-3136, Cl KF

               

5.768%, SOFR30A + 0.414%, 04/15/2036(A)

    142       141  

FHLMC REMIC CMO, Ser 2009-3616, Cl FG

               

6.118%, SOFR30A + 0.764%, 03/15/2032(A)

    185       185  

FHLMC REMIC CMO, Ser 2010-3762, Cl FP

               

5.918%, SOFR30A + 0.564%, 03/15/2040(A)

    17       17  

FHLMC REMIC CMO, Ser 2011-3895, Cl FM

               

5.818%, SOFR30A + 0.464%, 12/15/2040(A)

    14       14  

FHLMC REMIC CMO, Ser 2012-4094, Cl BF

               

5.868%, SOFR30A + 0.514%, 08/15/2032(A)

    285       284  

FHLMC REMIC CMO, Ser 2012-4102, Cl LF

               

5.718%, SOFR30A + 0.364%, 01/15/2040(A)

    31       31  

FHLMC REMIC CMO, Ser 2013-4203, Cl DM

               

3.000%, 04/15/2033

    114       111  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC REMIC CMO, Ser 2015-4482, Cl CA

               

3.000%, 04/15/2034

  $ 694     $ 679  

FHLMC STACR REMIC Trust, Ser 2022-DNA2, Cl M1A

               

6.649%, SOFR30A + 1.300%, 02/25/2042(A)(B)

    595       596  

FNMA

               

3.500%, 09/01/2034

    2,966       2,897  

3.008%, 01/01/2026(A)

    1,431       1,407  

3.000%, 10/01/2030 to 02/01/2035

    7,506       7,230  

2.690%, 06/01/2026

    1,415       1,374  

2.500%, 02/01/2031 to 11/01/2034

    4,169       3,989  

2.000%, 04/01/2031

    635       600  

FNMA CMO, Ser 2024-49, Cl FC

               

6.500%, SOFR30A + 1.300%, 07/25/2054(A)

    6,354       6,349  

FNMA REMIC CMO, Ser 2005-83, Cl FP

               

5.793%, SOFR30A + 0.444%, 10/25/2035(A)

    425       420  

FNMA REMIC CMO, Ser 2006-31, Cl FP

               

5.763%, SOFR30A + 0.414%, 05/25/2036(A)

    71       71  

FNMA REMIC CMO, Ser 2006-56, Cl FE

               

5.893%, SOFR30A + 0.544%, 07/25/2036(A)

    356       353  

FNMA REMIC CMO, Ser 2007-98, Cl FD

               

5.913%, SOFR30A + 0.564%, 06/25/2037(A)

    221       218  

FNMA REMIC CMO, Ser 2008-24, Cl PF

               

6.113%, SOFR30A + 0.764%, 02/25/2038(A)

    32       32  

FNMA REMIC CMO, Ser 2010-43, Cl VF

               

6.013%, SOFR30A + 0.664%, 05/25/2040(A)

    266       264  

FNMA REMIC CMO, Ser 2012-111, Cl NF

               

5.813%, SOFR30A + 0.464%, 05/25/2042(A)

    391       386  

FNMA REMIC CMO, Ser 2012-113, Cl PB

               

2.000%, 10/25/2040

    346       333  

FNMA REMIC CMO, Ser 2012-54, Cl CF

               

6.163%, SOFR30A + 0.814%, 05/25/2042(A)

    133       132  

FNMA REMIC CMO, Ser 2016-48, Cl UF

               

5.863%, SOFR30A + 0.514%, 08/25/2046(A)

    151       150  

FNMA REMIC CMO, Ser 2019-79, Cl FA

               

5.963%, SOFR30A + 0.614%, 01/25/2050(A)

    384       377  

FNMA REMIC CMO, Ser 2020-10, Cl FA

               

5.963%, SOFR30A + 0.614%, 03/25/2050(A)

    1,039       1,023  

FNMA TBA

               

5.500%, 09/15/2054

    4,900       4,933  

5.000%, 09/15/2039 to 09/15/2054

    37,275       37,365  

 

 

 

332

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

4.500%, 09/15/2039 to 09/15/2054

  $ 42,475     $ 41,993  

4.000%, 09/14/2039 to 09/15/2039

    34,150       33,042  

3.500%, 09/01/2040 to 09/15/2054

    14,700       13,951  

FNMA, Ser 2015-M15, Cl A2

               

2.923%, 10/25/2025(A)

    957       939  

FNMA, Ser 2016-M3, Cl A2

               

2.702%, 02/25/2026

    2,268       2,208  

FRESB Mortgage Trust, Ser 2016-SB14, Cl A10F

               

2.590%, 03/25/2026(A)

    1,026       995  

FRESB Mortgage Trust, Ser 2016-SB15, Cl A10F

               

2.350%, 03/25/2026(A)

    1,589       1,539  

FRESB Mortgage Trust, Ser 2016-SB17, Cl A10F

               

2.420%, 05/25/2026(A)

    2,581       2,491  

FRESB Mortgage Trust, Ser 2018-SB50, Cl A10F

               

3.350%, 04/25/2028(A)

    809       781  

FRESB Mortgage Trust, Ser 2018-SB52, Cl A10F

               

3.480%, 06/25/2028(A)

    5,015       4,849  

FRESB Mortgage Trust, Ser 2018-SB53, Cl A10F

               

3.660%, 06/25/2028(A)

    4,170       4,036  

FRESB Mortgage Trust, Ser 2018-SB54, Cl A10F

               

3.520%, 05/25/2028(A)

    1,197       1,158  

FRESB Mortgage Trust, Ser 2019-SB59, Cl A10F

               

3.470%, 01/25/2029(A)

    423       410  

GNMA CMO, Ser 2007-1, Cl F

               

5.750%, TSFR1M + 0.414%, 01/20/2037(A)

    296       295  

GNMA CMO, Ser 2010-98, Cl QF

               

5.850%, TSFR1M + 0.514%, 01/20/2040(A)

    2       2  

GNMA CMO, Ser 2011-151, Cl BF

               

5.800%, TSFR1M + 0.464%, 04/20/2041(A)

    256       252  

GNMA CMO, Ser 2012-77, Cl FM

               

6.123%, TSFR1M + 0.784%, 11/16/2039(A)

    295       296  

GNMA CMO, Ser 2023-111, Cl FN

               

6.553%, SOFR30A + 1.200%, 08/20/2053(A)

    3,727       3,753  

GNMA CMO, Ser 2023-113, Cl FD

               

3.500%, SOFR30A + 1.350%, 08/20/2053(A)

    2,803       2,811  

GNMA CMO, Ser 2023-116, Cl FL

               

6.503%, SOFR30A + 1.150%, 08/20/2053(A)

    2,613       2,627  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

GNMA CMO, Ser 2023-128, Cl CF

               

6.553%, SOFR30A + 1.200%, 08/20/2053(A)

  $ 3,167     $ 3,190  

GNMA CMO, Ser 2024-104, Cl F

               

6.333%, SOFR30A + 1.000%, 06/20/2054(A)

    3,214       3,206  

GNMA CMO, Ser 2024-30, Cl CF

               

6.500%, SOFR30A + 1.250%, 02/20/2054(A)

    2,563       2,559  

GNMA CMO, Ser 2024-64, Cl YK

               

6.344%, SOFR30A + 1.000%, 04/20/2054(A)

    2,425       2,417  

GNMA CMO, Ser 2024-97, Cl FP

               

6.333%, SOFR30A + 1.000%, 06/20/2054(A)

    3,261       3,255  

GNMA TBA

               

5.500%, 09/15/2054

    3,975       4,001  

5.000%, 10/15/2054

    8,875       8,854  

4.500%, 09/15/2054

    10,375       10,163  

GNMA, Ser 2008-92, Cl E

               

5.556%, 03/16/2044(A)

    240       239  

GNMA, Ser 2010-159, Cl D

               

4.558%, 09/16/2044(A)

    296       294  

GNMA, Ser 2012-23, Cl D

               

3.488%, 07/16/2049(A)

    326       315  

GNMA, Ser 2014-157, Cl C

               

3.150%, 10/16/2054(A)

    1,044       1,007  

GNMA, Ser 2015-109, Cl B

               

3.313%, 10/16/2041(A)

    560       556  

GNMA, Ser 82737

               

2.000%, H15T1Y + 1.500%, 02/20/2041(A)

    60       60  
                 
                 
              258,318  

Non-Agency Mortgage-Backed Obligations — 6.0%

       

Arbor Multifamily Mortgage Securities Trust, Ser 2021-MF2, Cl A2

               

2.023%, 06/15/2054(B)

    1,007       949  

Ashford Hospitality Trust, Ser 2018-KEYS, Cl A

               

6.634%, TSFR1M + 1.172%, 06/15/2035(A)(B)

    95       94  

Banc of America Funding Trust, Ser 2014-R6, Cl 2A13

               

5.724%, 07/26/2036(A)(B)

    1,692       1,678  

Bank of America Commercial Mortgage Trust, Ser 2017-BNK3, Cl ASB

               

3.366%, 02/15/2050

    689       677  

BANK, Ser 2017-BNK7, Cl ASB

               

3.265%, 09/15/2060

    2,266       2,221  

BANK, Ser 2017-BNK8, Cl ASB

               

3.314%, 11/15/2050

    1,487       1,444  

BANK, Ser 2018-BN14, Cl ASB

               

4.185%, 09/15/2060

    374       371  

 

 

 

SEI Institutional Investments Trust

 

333

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

BANK, Ser 2018-BN14, Cl A2

               

4.128%, 09/15/2060

  $ 302     $ 301  

BANK, Ser 2019-BN21, Cl ASB

               

2.808%, 10/17/2052

    2,625       2,498  

BBCMS Mortgage Trust, Ser 2020-BID, Cl A

               

7.592%, TSFR1M + 2.254%, 10/15/2037(A)(B)

    1,000       998  

Benchmark Mortgage Trust, Ser 2018-B5, Cl A2

               

4.077%, 07/15/2051

    1,142       1,105  

Benchmark Mortgage Trust, Ser 2019-B9, Cl AAB

               

3.933%, 03/15/2052

    1,545       1,520  

Benchmark Mortgage Trust, Ser 2020-B17, Cl A2

               

2.211%, 03/15/2053

    9,585       8,982  

Benchmark Mortgage Trust, Ser B14, Cl ASB

               

2.957%, 12/15/2062

    3,000       2,858  

BHMS, Ser 2018-ATLS, Cl C

               

7.534%, TSFR1M + 2.197%, 07/15/2035(A)(B)

    3,690       3,667  

BMO Mortgage Trust, Ser 2022-C3, Cl A1

               

5.252%, 09/15/2054(A)

    1,198       1,197  

BX Commercial Mortgage Trust, Ser 2020-VKNG, Cl A

               

6.382%, TSFR1M + 1.044%, 10/15/2037(A)(B)

    965       960  

BX Commercial Mortgage Trust, Ser 2021-21M, Cl A

               

6.182%, TSFR1M + 0.844%, 10/15/2036(A)(B)

    528       520  

BX Commercial Mortgage Trust, Ser 2021-CIP, Cl A

               

6.373%, TSFR1M + 1.035%, 12/15/2038(A)(B)

    1,240       1,227  

BX Commercial Mortgage Trust, Ser 2021-VINO, Cl A

               

6.104%, TSFR1M + 0.767%, 05/15/2038(A)(B)

    1,137       1,125  

BX Commercial Mortgage Trust, Ser 2021-XL2, Cl A

               

6.140%, TSFR1M + 0.803%, 10/15/2038(A)(B)

    1,598       1,578  

BX Trust, Ser 2019-CALM, Cl B

               

6.552%, TSFR1M + 1.214%, 11/15/2032(A)(B)

    606       604  

BX Trust, Ser 2021-MFM1, Cl A

               

6.152%, TSFR1M + 0.814%, 01/15/2034(A)(B)

    1,333       1,322  

BXP Trust, Ser 2017-CC, Cl D

               

3.670%, 08/13/2037(A)(B)

    710       604  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

CAMB Commercial Mortgage Trust, Ser 2019-LIFE, Cl A

               

6.704%, TSFR1M + 1.367%, 12/15/2037(A)(B)

  $ 815     $ 814  

CAMB Commercial Mortgage Trust, Ser 2019-LIFE, Cl B

               

6.884%, TSFR1M + 1.547%, 12/15/2037(A)(B)

    2,000       1,996  

CD Commercial Mortgage Trust, Ser 2017-CD4, Cl ASB

               

3.317%, 05/10/2050

    5,229       5,130  

CD Mortgage Trust, Ser 2018-CD7, Cl ASB

               

4.213%, 08/15/2051

    317       313  

CIM Trust, Ser 2022-I1, Cl A1

               

4.350%, 02/25/2067(A)(B)

    901       888  

Citigroup Commercial Mortgage Trust, Ser 2016-GC36, Cl AAB

               

3.368%, 02/10/2049

           

Citigroup Commercial Mortgage Trust, Ser 2017-C4, Cl AAB

               

3.297%, 10/12/2050

    1,186       1,160  

Citigroup Commercial Mortgage Trust, Ser 2021-PRM2, Cl A

               

6.402%, TSFR1M + 1.064%, 10/15/2038(A)(B)

    1,782       1,766  

COMM Mortgage Trust, Ser 2015-DC1, Cl AM

               

3.724%, 02/10/2048

    930       899  

COMM Mortgage Trust, Ser 2015-PC1, Cl A4

               

3.620%, 07/10/2050

    918       914  

CSAIL Commercial Mortgage Trust, Ser 2016-C5, Cl ASB

               

3.533%, 11/15/2048

    11       11  

CSMC Series, Ser 2014-6R, Cl 15A2

               

3.849%, TSFR1M + 0.264%, 11/27/2036(A)(B)

    721       698  

CSMC Series, Ser 2015-6R, Cl 2A1

               

6.967%, TSFR1M + 0.314%, 11/27/2046(A)(B)

    880       875  

CSMC Trust, Ser 2022-RPL3, Cl A1

               

3.608%, 03/25/2061(A)(B)

    2,366       2,502  

DBGS Mortgage Trust, Ser 2018-BIOD, Cl A

               

6.436%, TSFR1M + 1.099%, 05/15/2035(A)(B)

    914       911  

DBGS Mortgage Trust, Ser 2018-C1, Cl ASB

               

4.302%, 10/15/2051

    338       335  

DBJPM Mortgage Trust, Ser 2016-C3, Cl ASB

               

2.756%, 08/10/2049

    696       681  

Extended Stay America Trust, Ser 2021-ESH, Cl A

               

6.532%, TSFR1M + 1.194%, 07/15/2038(A)(B)

    1,994       1,985  

 

 

 

334

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

First Franklin Mortgage Loan Trust, Ser 2006-FF15, Cl A5

               

5.552%, TSFR1M + 0.274%, 11/25/2036(A)

  $ 618     $ 611  

First Franklin Mortgage Loan Trust, Ser 2006-FF18, Cl A1

               

5.612%, TSFR1M + 0.334%, 12/25/2037(A)

    1,536       1,469  

First Franklin Mortgage Loan Trust, Ser 2006-FF9, Cl 1A

               

5.642%, TSFR1M + 0.364%, 06/25/2036(A)

    551       547  

Fontainebleau Miami Beach Trust, Ser 2019-FBLU, Cl A

               

3.144%, 12/10/2036(B)

    2,278       2,250  

Fontainebleau Miami Beach Trust, Ser 2019-FBLU, Cl B

               

3.447%, 12/10/2036(B)

    3,400       3,356  

FS Rialto, Ser 2019-FL1, Cl A

               

6.653%, TSFR1M + 1.314%, 12/16/2036(A)(B)

    330       329  

GS Mortgage Securities II Trust, Ser 2022-SHIP, Cl B

               

5.101%, 09/10/2038(A)(B)

    2,850       2,828  

GS Mortgage Securities Trust, Ser 2017-GS5, Cl AAB

               

3.467%, 03/10/2050

    575       565  

GS Mortgage Securities Trust, Ser 2023-SHIP, Cl A

               

4.466%, 09/10/2038(A)(B)

    10,570       10,399  

GS Mortgage-Backed Securities Trust, Ser 2018-RPL1, Cl A1A

               

3.750%, 10/25/2057(B)

    540       526  

GWT, Ser 2024-WLF2, Cl A

               

6.991%, TSFR1M + 1.691%, 05/15/2041(A)(B)

    1,478       1,475  

Hilton USA Trust, Ser 2016-HHV, Cl D

               

4.333%, 11/05/2038(A)(B)

    2,430       2,338  

Houston Galleria Mall Trust, Ser 2015-HGLR, Cl A1A1

               

3.087%, 03/05/2037(B)

    1,200       1,181  

Houston Galleria Mall Trust, Ser 2015-HGLR, Cl A1A2

               

3.087%, 03/05/2037(B)

    1,725       1,695  

Houston Galleria Mall Trust, Ser 2015-HGLR, Cl D

               

3.982%, 03/05/2037(B)

    1,400       1,349  

Impac CMB Trust Series, Ser 2004-6, Cl 1A1

               

6.192%, TSFR1M + 0.914%, 10/25/2034(A)

    388       383  

Independence Plaza Trust, Ser 2018-INDP, Cl A

               

3.763%, 07/10/2035(B)

    1,095       1,048  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

JPMCC Commercial Mortgage Securities Trust, Ser 2017-JP7, Cl ASB

               

3.241%, 09/15/2050

  $ 3,216     $ 3,127  

JPMDB Commercial Mortgage Securities Trust, Ser 2016-C2, Cl ASB

               

2.954%, 06/15/2049

    298       293  

JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2016-JP3, Cl ASB

               

2.777%, 08/15/2049

    1,909       1,864  

JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2016-NINE, Cl A

               

2.949%, 09/06/2038(A)(B)

    1,334       1,276  

JPMorgan Chase Commercial Mortgage Securities Trust, Ser 2021-MHC, Cl A

               

6.502%, TSFR1M + 1.164%, 04/15/2038(A)(B)

    1,502       1,496  

LHOME Mortgage Trust, Ser 2021-RTL3, Cl A1

               

3.363%, 09/25/2026(B)(C)

    126       125  

Merrill Lynch Mortgage Investors Trust, Ser 2004-A, Cl A1

               

5.852%, TSFR1M + 0.574%, 04/25/2029(A)

    121       112  

MF1, Ser 2020-FL4, Cl A

               

7.151%, TSFR1M + 1.814%, 12/15/2035(A)(B)

    1,036       1,036  

Mill City Mortgage Loan Trust, Ser 2018-4, Cl A1B

               

3.473%, 04/25/2066(A)(B)

    310       301  

Mill City Mortgage Loan Trust, Ser 2019-1, Cl A1

               

3.250%, 10/25/2069(A)(B)

    1,555       1,501  

Mill City Mortgage Loan Trust, Ser 2021-NMR1, Cl A1

               

1.125%, 11/25/2060(A)(B)

    1,607       1,519  

Morgan Stanley Capital I, Ser 2017-HR2, Cl ASB

               

3.509%, 12/15/2050

    880       862  

One New York Plaza Trust, Ser 2020-1NYP, Cl A

               

6.402%, TSFR1M + 1.064%, 01/15/2036(A)(B)

    952       907  

OPG Trust, Ser 2021-PORT, Cl A

               

5.936%, TSFR1M + 0.598%, 10/15/2036(A)(B)

    2,500       2,459  

Opteum Mortgage Acceptance Asset Backed Pass-Through Certificates, Ser 2005-2, Cl M5

               

6.367%, TSFR1M + 1.089%, 04/25/2035(A)

    16       15  

SREIT Trust, Ser 2021-MFP, Cl B

               

6.531%, TSFR1M + 1.194%, 11/15/2038(A)(B)

    1,435       1,417  

 

 

 

SEI Institutional Investments Trust

 

335

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Towd Point Mortgage Trust, Ser 2018-4, Cl A1

               

3.000%, 06/25/2058(A)(B)

  $ 1,569     $ 1,477  

Towd Point Mortgage Trust, Ser 2018-6, Cl A1

               

3.750%, 03/25/2058(A)(B)

    956       926  

Towd Point Mortgage Trust, Ser 2019-4, Cl A1

               

2.900%, 10/25/2059(A)(B)

    2,286       2,175  

Towd Point Mortgage Trust, Ser 2019-HY2, Cl A1

               

6.392%, TSFR1M + 1.114%, 05/25/2058(A)(B)

    1,073       1,104  

Towd Point Mortgage Trust, Ser 2020-3, Cl A1

               

3.088%, 02/25/2063(A)(B)

    158       151  

Towd Point Mortgage Trust, Ser 2020-4, Cl A1

               

1.750%, 10/25/2060(B)

    1,005       904  

Towd Point Mortgage Trust, Ser 2021-1, Cl A1

               

2.250%, 11/25/2061(A)(B)

    1,792       1,664  

Towd Point Mortgage Trust, Ser 2021-SJ1, Cl A1

               

2.250%, 07/25/2068(A)(B)

    596       567  

UBS Commercial Mortgage Trust, Ser 2017-C6, Cl ASB

               

3.504%, 12/15/2050

    606       591  

UBS Commercial Mortgage Trust, Ser 2017-C7, Cl ASB

               

3.586%, 12/15/2050

    2,435       2,387  

UBS Commercial Mortgage Trust, Ser 2018-C12, Cl A2

               

4.152%, 08/15/2051

    167       165  

Verus Securitization Trust, Ser 2023-4, Cl A1

               

5.811%, 05/25/2068(B)(C)

    2,904       2,905  

WaMu Mortgage Pass-Through Certificates, Ser 2005-AR15, Cl A1A1

               

5.912%, TSFR1M + 0.634%, 11/25/2045(A)

    797       749  

WB Commercial Mortgage Trust, Ser 2024-HQ, Cl A

               

5.937%, 03/15/2040(A)(B)

    1,600       1,619  

Wells Fargo Commercial Mortgage Trust, Ser 2015-C28, Cl A3

               

3.290%, 05/15/2048

    1,956       1,930  

Wells Fargo Commercial Mortgage Trust, Ser 2016-C32, Cl ASB

               

3.324%, 01/15/2059

           

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

Wells Fargo Commercial Mortgage Trust, Ser 2017-C41, Cl ASB

               

3.390%, 11/15/2050

  $ 674     $ 663  
                 
                 
              131,014  

Total Mortgage-Backed Securities

               

(Cost $389,455) ($ Thousands)

            389,332  
                 
                 
                 

U.S. GOVERNMENT AGENCY OBLIGATIONS — 2.1%

FHLB

               

2.750%, 03/25/2027

    16,360       15,856  

FHLMC

               

4.050%, 07/21/2025

    14,825       14,732  

0.600%, 10/20/2025

    9,805       9,427  

FNMA

               

0.700%, 07/30/2025

    6,920       6,678  
                 
                 
         

Total U.S. Government Agency Obligations

       

(Cost $47,910) ($ Thousands)

    46,693  
                 
                 
                 

MUNICIPAL BONDS — 0.8%

Colorado — 0.0%

       

Denver, Airport System Revenue, Ser C, RB

               

1.115%, 11/15/2024

    610       605  
                 
                 

Florida — 0.3%

       

County of Miami-Dade Florida Aviation Revenue, Ser C, RB

               

3.505%, 10/01/2025

    2,250       2,224  

Miami-Dade County, Aviation Revenue, Ser B, RB

               

2.949%, 10/01/2025

    3,145       3,090  

1.229%, 10/01/2025

    370       357  
                 
              5,671  
                 

Illinois — 0.3%

       

State of Illinois, Ser A, GO

               

5.213%, 05/01/2026

    5,215       5,254  
                 
                 

Massachusetts — 0.0%

       

Massachusetts State, Ser B, RB

               

4.110%, 07/15/2031

    606       598  
                 
                 

New York — 0.1%

       

New York City, Transitional Finance Authority, Future Tax Secured Revenue, Ser B, RB

               

2.310%, 11/01/2026

    820       788  

 

 

 

336

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MUNICIPAL BONDS (continued)

New York State, Urban Development, Ser B, RB

               

2.010%, 03/15/2030

  $ 1,800     $ 1,600  
                 
              2,388  
                 

Texas — 0.1%

       

Dallas Fort Worth, International Airport, Ser A, RB

               

2.156%, 11/01/2025

    2,400       2,334  
                 
                 
                 

Total Municipal Bonds

               

(Cost $16,930) ($ Thousands)

            16,850  
                 
                 
   


Shares

         

CASH EQUIVALENT — 9.7%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    212,498,274       212,498  

Total Cash Equivalent

               

(Cost $212,498) ($ Thousands)

            212,498  

Total Investments in Securities — 114.6%

               

(Cost $2,510,808) ($ Thousands)

  $ 2,521,768  
                 
                 

 

 
 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation
(Depreciation)(Thousands)

 

Long Contracts

                                       

U.S. 2-Year Treasury Note

    453       Dec-2024     $ 94,080     $ 94,019     $ (61 )
                                         
                                         

Short Contracts

                                       

U.S. 5-Year Treasury Note

    (330)       Dec-2024     $ (36,233 )   $ (36,102 )   $ 131  

U.S. Ultra Long Treasury Bond

    (42)       Dec-2024       (5,628 )     (5,541 )     87  

Ultra 10-Year U.S. Treasury Note

    (161)       Dec-2024       (19,064 )     (18,908 )     156  
                      (60,925 )     (60,551 )     374  
                    $ 33,155     $ 33,468     $ 313  

 

 

 

Percentages are based on Net Assets of $2,200,793 ($ Thousands).

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

(A)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates on certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(B)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On August 31, 2024, the value of these securities amounted to $558,158 ($ Thousands), representing 25.4% of the Net Assets of the Fund.

(C)

Step coupon security. Coupon rate will either increase (step-up bond) or decrease (step-down bond) at regular intervals until maturity. Interest rate shown reflects the rate currently in effect.

 

 

 

 

 

SEI Institutional Investments Trust

 

337

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Limited Duration Bond Fund (Concluded)

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Daily Income Trust, Government Fund,
Institutional Class

  $ 44,980     $ 1,153,346     $ (985,828 )   $     $     $ 212,498     $ 901     $  

 

                                                               

 

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

 

See “Glossary” for abbreviations.

 

 

338

 

SEI Institutional Investments Trust

 

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS — 88.2%

Communication Services — 5.2%

       

Alphabet

               

2.050%, 08/15/2050

  $ 1,356     $ 825  

America Movil

               

6.125%, 03/30/2040

    735       792  

AT&T

               

8.750%, 11/15/2031

    1,150       1,372  

6.800%, 05/15/2036

    2,915       3,286  

4.900%, 08/15/2037

    3,040       2,957  

Charter Communications Operating LLC / Charter Communications Operating Capital

               

6.100%, 06/01/2029

    4,760       4,918  

Comcast

               

6.450%, 03/15/2037

    6,445       7,323  

5.650%, 06/15/2035

    295       313  

5.650%, 06/01/2054

    2,180       2,281  

5.350%, 05/15/2053

    6,745       6,752  

5.100%, 06/01/2029

    2,403       2,480  

4.550%, 01/15/2029

    7,170       7,237  

4.200%, 08/15/2034

    14,987       14,259  

3.999%, 11/01/2049

    1,080       881  

3.969%, 11/01/2047

    3,473       2,834  

3.950%, 10/15/2025

    2,370       2,351  

3.900%, 03/01/2038

    1,380       1,223  

3.375%, 08/15/2025

    2,500       2,469  

3.300%, 02/01/2027

    1,870       1,827  

3.150%, 03/01/2026

    3,535       3,468  

2.987%, 11/01/2063

    4,549       2,810  

2.937%, 11/01/2056

    13,193       8,392  

2.887%, 11/01/2051

    3,035       1,987  

1.500%, 02/15/2031

    15,355       12,767  

Cox Communications

               

5.450%, 09/01/2034 (A)

    7,330       7,288  

1.800%, 10/01/2030 (A)

    3,600       2,998  

Crown Castle Towers LLC

               

3.663%, 05/15/2025 (A)

    3,940       3,895  

Discovery Communications LLC

               

5.000%, 09/20/2037

    1       1  

Meta Platforms

               

5.750%, 05/15/2063

    1,205       1,284  

5.600%, 05/15/2053

    6,095       6,424  

5.550%, 08/15/2064

    8,275       8,477  

5.400%, 08/15/2054

    6,095       6,216  

4.800%, 05/15/2030

    10,880       11,220  

4.450%, 08/15/2052

    8,260       7,390  

Paramount Global

               

6.875%, 04/30/2036

    2,760       2,753  

Rogers Communications

               

5.000%, 02/15/2029

    6,563       6,638  

Sprint Spectrum Co LLC / Sprint Spectrum Co II LLC / Sprint Spectrum Co III LLC

               

5.152%, 03/20/2028 (A)

    10,024       10,075  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Time Warner Cable LLC

               

6.750%, 06/15/2039

  $ 3,105     $ 3,088  

6.550%, 05/01/2037

    2,145       2,116  

T-Mobile USA

               

4.500%, 04/15/2050

    3,110       2,699  

3.375%, 04/15/2029

    10,370       9,854  

Verizon Communications

               

7.750%, 12/01/2030

    1,750       2,051  

4.780%, 02/15/2035 (A)

    3,263       3,217  

Walt Disney

               

3.500%, 05/13/2040

    6,400       5,305  

2.750%, 09/01/2049

    4,533       3,007  

2.000%, 09/01/2029

    2,525       2,268  

Warnermedia Holdings

               

5.141%, 03/15/2052

    9,300       7,073  

5.050%, 03/15/2042

    4,350       3,486  

4.279%, 03/15/2032

    2,625       2,295  
                 
              216,922  
                 

Consumer Discretionary — 5.4%

       

Air Canada Pass-Through Trust, Ser 2015-1, Cl A

               

3.600%, 03/15/2027 (A)

    2,842       2,744  

Amazon.com

               

3.950%, 04/13/2052

    12,523       10,550  

3.875%, 08/22/2037

    4,470       4,106  

3.100%, 05/12/2051

    9,120       6,574  

1.650%, 05/12/2028

    2,520       2,313  

American Honda Finance MTN

               

5.800%, 10/03/2025

    9,545       9,662  

5.650%, 11/15/2028

    7,680       8,061  

5.125%, 07/07/2028

    1,326       1,361  

2.300%, 09/09/2026

    3,200       3,074  

BMW US Capital LLC

               

5.050%, 04/02/2026 (A)

    10,225       10,303  

4.650%, 08/13/2029 (A)

    4,240       4,263  

2.550%, 04/01/2031 (A)

    7,250       6,386  

British Airways Pass-Through Trust, Ser 2020-1A

               

4.250%, 11/15/2032 (A)

    3,007       2,871  

Daimler Truck Finance North America LLC

               

5.125%, 09/25/2027 (A)

    8,310       8,447  

Ferguson Finance PLC

               

4.500%, 10/24/2028 (A)

    1,717       1,702  

3.250%, 06/02/2030 (A)

    3,790       3,498  

Ford Motor Credit LLC

               

6.050%, 03/05/2031

    3,800       3,905  

General Motors Financial

               

5.950%, 04/04/2034

    3,575       3,700  

5.750%, 02/08/2031

    2,315       2,392  

5.350%, 07/15/2027

    2,825       2,876  

Home Depot

               

5.400%, 06/25/2064

    1,575       1,619  

 

 

 

SEI Institutional Investments Trust

 

339

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.300%, 06/25/2054

  $ 2,245     $ 2,292  

5.125%, 04/30/2025

    9,240       9,267  

4.950%, 06/25/2034

    12,030       12,328  

4.500%, 12/06/2048

    2,035       1,853  

4.400%, 03/15/2045

    3,217       2,920  

4.250%, 04/01/2046

    445       394  

3.900%, 06/15/2047

    1,505       1,254  

3.350%, 04/15/2050

    1,380       1,032  

3.300%, 04/15/2040

    965       790  

3.250%, 04/15/2032

    4,344       4,009  

2.800%, 09/14/2027

    3,380       3,252  

2.750%, 09/15/2051

    3,000       1,969  

Hyundai Capital America

               

5.950%, 09/21/2026 (A)

    7,675       7,851  

5.450%, 06/24/2026 (A)

    8,115       8,214  

5.400%, 01/08/2031 (A)

    4,125       4,236  

5.350%, 03/19/2029 (A)

    214       218  

5.300%, 03/19/2027 (A)

    7,770       7,884  

Hyundai Capital Services

               

5.125%, 02/05/2029 (A)

    3,420       3,469  

Lowe's

               

1.700%, 09/15/2028

    2,780       2,502  

1.300%, 04/15/2028

    3,000       2,694  

Massachusetts Institute of Technology

               

5.600%, 07/01/2111

    3,525       3,908  

Northwestern University

               

4.643%, 12/01/2044

    115       112  

3.662%, 12/01/2057

    2,075       1,694  

O'Reilly Automotive

               

5.750%, 11/20/2026

    4,575       4,686  

Resorts World Las Vegas LLC / RWLV Capital

               

4.625%, 04/06/2031 (A)

    2,465       2,144  

Toyota Motor Credit

               

5.100%, 03/21/2031

    8,110       8,360  

5.050%, 05/16/2029

    7,770       8,005  

Toyota Motor Credit MTN

               

4.550%, 08/09/2029

    4,245       4,281  

University of Southern California

               

5.250%, 10/01/2111

    3,535       3,665  

2.805%, 10/01/2050

    204       142  

Volkswagen Group of America Finance LLC

               

1.250%, 11/24/2025 (A)

    9,505       9,101  
                 
              224,933  
                 

Consumer Staples — 4.5%

       

Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide

               

4.900%, 02/01/2046

    14,765       14,175  

4.700%, 02/01/2036

    14,736       14,555  

Anheuser-Busch InBev Worldwide

               

8.000%, 11/15/2039

    5,774       7,547  

5.550%, 01/23/2049

    5,035       5,277  

5.000%, 06/15/2034

    1,325       1,359  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.750%, 01/23/2029

  $ 5,220     $ 5,317  

4.600%, 04/15/2048

    256       237  

4.439%, 10/06/2048

    1,370       1,225  

BAT Capital

               

4.390%, 08/15/2037

    3,458       3,085  

2.259%, 03/25/2028

    5,280       4,865  

Campbell Soup

               

5.300%, 03/20/2026

    5,110       5,170  

Coca-Cola

               

5.400%, 05/13/2064

    1,340       1,387  

5.300%, 05/13/2054

    225       233  

5.200%, 01/14/2055

    4,550       4,636  

CVS Pass-Through Trust

               

8.353%, 07/10/2031 (A)

    1,465       1,609  

7.507%, 01/10/2032 (A)

    1,021       1,080  

6.036%, 12/10/2028

    1,546       1,566  

4.163%, 08/11/2036 (A)

    1,573       1,419  

Diageo Capital PLC

               

5.375%, 10/05/2026

    7,300       7,437  

5.300%, 10/24/2027

    3,786       3,890  

ERAC USA Finance LLC

               

5.000%, 02/15/2029 (A)

    2,780       2,850  

General Mills

               

4.700%, 01/30/2027

    3,075       3,092  

JBS USA Holding Lux Sarl

               

6.750%, 03/15/2034 (A)

    7,088       7,771  

6.500%, 12/01/2052

    4,720       4,972  

5.750%, 04/01/2033

    1,247       1,276  

5.125%, 02/01/2028

    9,825       9,875  

3.000%, 02/02/2029

    2,915       2,693  

2.500%, 01/15/2027

    4,575       4,344  

Kenvue

               

5.100%, 03/22/2043

    860       866  

Kroger

               

5.000%, 09/15/2034

    2,555       2,547  

Mars

               

4.200%, 04/01/2059 (A)

    1,620       1,331  

3.200%, 04/01/2030 (A)

    2,435       2,283  

2.700%, 04/01/2025 (A)

    1,780       1,756  

Nestle Holdings

               

3.500%, 09/24/2025 (A)

    5,465       5,414  

PepsiCo

               

5.250%, 07/17/2054

    5,640       5,850  

4.200%, 07/18/2052

    1,730       1,516  

Philip Morris International

               

5.625%, 09/07/2033

    2,915       3,061  

5.125%, 11/17/2027

    6,085       6,221  

5.125%, 02/15/2030

    2,955       3,038  

5.125%, 02/13/2031

    5,485       5,626  

4.500%, 03/20/2042

    2,830       2,563  

4.375%, 11/15/2041

    2,207       1,957  

3.875%, 08/21/2042

    3,890       3,220  

0.875%, 05/01/2026

    3,360       3,166  

 

 

 

340

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Reynolds American

               

8.125%, 05/01/2040

  $ 980     $ 1,146  

7.250%, 06/15/2037

    2,870       3,257  

4.450%, 06/12/2025

    1,124       1,118  

Triton Container International

               

2.050%, 04/15/2026 (A)

    2,335       2,222  

Walmart

               

4.500%, 04/15/2053

    4,346       4,089  
                 
              185,189  
                 

Energy — 4.3%

       

BP Capital Markets America

               

3.937%, 09/21/2028

    2,370       2,334  

3.379%, 02/08/2061

    1,681       1,164  

3.060%, 06/17/2041

    345       263  

3.001%, 03/17/2052

    5,500       3,721  

2.939%, 06/04/2051

    555       372  

2.772%, 11/10/2050

    1,810       1,175  

BP Capital Markets PLC

               

3.723%, 11/28/2028

    10,659       10,389  

Cheniere Corpus Christi Holdings LLC

               

5.125%, 06/30/2027

    2,120       2,141  

2.742%, 12/31/2039

    2,925       2,380  

Chevron

               

2.236%, 05/11/2030

    6,587       5,909  

ConocoPhillips

               

5.550%, 03/15/2054

    5,170       5,314  

5.050%, 09/15/2033

    7,405       7,594  

4.025%, 03/15/2062

    4,165       3,293  

Diamondback Energy

               

4.250%, 03/15/2052

    3,050       2,446  

Energy Transfer LP

               

6.550%, 12/01/2033

    2,365       2,586  

6.050%, 12/01/2026

    7,375       7,593  

5.950%, 05/15/2054

    3,055       3,085  

5.250%, 04/15/2029

    5,000       5,111  

4.000%, 10/01/2027

    3,865       3,795  

Eni SpA

               

5.950%, 05/15/2054 (A)

    2,630       2,704  

5.500%, 05/15/2034 (A)

    3,970       4,091  

Enterprise Products Operating LLC

               

5.550%, 02/16/2055

    1,955       1,989  

4.850%, 01/31/2034

    4,850       4,869  

4.850%, 08/15/2042

    3,620       3,403  

4.850%, 03/15/2044

    2,570       2,403  

EOG Resources

               

4.375%, 04/15/2030

    2,065       2,068  

Exxon Mobil

               

4.227%, 03/19/2040

    935       859  

4.114%, 03/01/2046

    1,750       1,524  

3.452%, 04/15/2051

    3,265       2,483  

3.095%, 08/16/2049

    1,125       809  

2.995%, 08/16/2039

    2,830       2,278  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Galaxy Pipeline Assets Bidco

               

2.940%, 09/30/2040 (A)

  $ 2,912     $ 2,419  

1.750%, 09/30/2027 (A)

    2,483       2,365  

Greensaif Pipelines Bidco Sarl

               

6.103%, 08/23/2042 (A)

    2,525       2,590  

Hess

               

6.000%, 01/15/2040

    5,910       6,275  

HF Sinclair

               

5.000%, 02/01/2028 (A)

    6,075       5,988  

Occidental Petroleum

               

6.050%, 10/01/2054

    1,110       1,129  

5.550%, 10/01/2034

    2,980       3,028  

Sabal Trail Transmission LLC

               

4.246%, 05/01/2028 (A)

    3,700       3,630  

Sabine Pass Liquefaction LLC

               

5.900%, 09/15/2037

    2,930       3,089  

Saudi Arabian Oil MTN

               

5.750%, 07/17/2054 (A)

    2,835       2,843  

Schlumberger Investment

               

5.000%, 06/01/2034

    3,800       3,874  

Shell International Finance BV

               

6.375%, 12/15/2038

    1,640       1,873  

4.550%, 08/12/2043

    3,205       3,000  

4.125%, 05/11/2035

    4,275       4,088  

4.000%, 05/10/2046

    4,145       3,477  

3.750%, 09/12/2046

    4,600       3,703  

2.500%, 09/12/2026

    355       343  

2.375%, 11/07/2029

    2,905       2,654  

Spectra Energy Partners LP

               

3.375%, 10/15/2026

    1,965       1,916  

Tennessee Gas Pipeline LLC

               

8.375%, 06/15/2032

    3,445       4,054  

2.900%, 03/01/2030 (A)

    4,099       3,716  

Texas Eastern Transmission LP

               

3.500%, 01/15/2028 (A)

    3,373       3,242  

TotalEnergies Capital

               

5.638%, 04/05/2064

    30       31  

5.488%, 04/05/2054

    315       325  

3.883%, 10/11/2028

    5,330       5,248  

TotalEnergies Capital International

               

3.386%, 06/29/2060

    700       494  

3.127%, 05/29/2050

    2,340       1,664  

2.986%, 06/29/2041

    280       212  
                 
              177,415  
                 

Financials — 34.5%

       

AIA Group

               

3.600%, 04/09/2029 (A)

    8,100       7,805  

AIB Group PLC MTN

               

5.871%, SOFRRATE + 1.910%, 03/28/2035 (A)(B)

    780       807  

Aircastle

               

5.750%, 10/01/2031 (A)

    2,850       2,893  

 

 

 

SEI Institutional Investments Trust

 

341

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Alleghany

               

3.250%, 08/15/2051

  $ 3,470     $ 2,493  

Ally Financial

               

6.184%, SOFRRATE + 2.290%, 07/26/2035 (B)

    4,535       4,619  

American Express

               

6.489%, SOFRRATE + 1.940%, 10/30/2031 (B)

    4,178       4,589  

5.284%, SOFRRATE + 1.420%, 07/26/2035 (B)

    4,579       4,679  

2.550%, 03/04/2027

    5,980       5,723  

American International Group

               

4.800%, 07/10/2045

    315       293  

ANZ New Zealand International

               

1.250%, 06/22/2026 (A)

    6,120       5,779  

Aon North America

               

5.750%, 03/01/2054

    3,995       4,137  

Apollo Global Management

               

5.800%, 05/21/2054

    4,320       4,446  

ASB Bank

               

1.625%, 10/22/2026 (A)

    4,970       4,675  

Athene Global Funding

               

2.950%, 11/12/2026 (A)

    10,525       10,128  

2.500%, 03/24/2028 (A)

    5,135       4,711  

Athene Global Funding MTN

               

4.860%, 08/27/2026 (A)

    4,690       4,697  

Avolon Holdings Funding

               

6.375%, 05/04/2028 (A)

    3,450       3,586  

5.750%, 03/01/2029 (A)

    2,390       2,448  

5.750%, 11/15/2029 (A)

    3,500       3,583  

Banco Santander

               

6.607%, 11/07/2028

    5,765       6,208  

5.439%, 07/15/2031

    4,600       4,738  

Bank of America

               

6.000%, 10/15/2036

    485       527  

5.872%, SOFRRATE + 1.840%, 09/15/2034 (B)

    6,845       7,275  

5.819%, SOFRRATE + 1.570%, 09/15/2029 (B)

    5,520       5,766  

5.468%, SOFRRATE + 1.650%, 01/23/2035 (B)

    11,805       12,219  

5.288%, SOFRRATE + 1.910%, 04/25/2034 (B)

    6,735       6,908  

4.571%, SOFRRATE + 1.830%, 04/27/2033 (B)

    21,485       21,019  

3.419%, TSFR3M + 1.302%, 12/20/2028 (B)

    7,995       7,709  

3.366%, TSFR3M + 1.072%, 01/23/2026 (B)

    12,030       11,931  

3.311%, SOFRRATE + 1.580%, 04/22/2042 (B)

    9,230       7,278  

2.592%, SOFRRATE + 2.150%, 04/29/2031 (B)

    6,300       5,651  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

2.572%, SOFRRATE + 1.210%, 10/20/2032 (B)

  $ 2,205     $ 1,907  

Bank of America MTN

               

5.425%, SOFRRATE + 1.913%, 08/15/2035 (B)

    7,085       7,100  

4.948%, SOFRRATE + 2.040%, 07/22/2028 (B)

    4,075       4,117  

4.271%, TSFR3M + 1.572%, 07/23/2029 (B)

    10,455       10,344  

4.183%, 11/25/2027

    7,485       7,410  

3.974%, TSFR3M + 1.472%, 02/07/2030 (B)

    5,120       4,983  

3.705%, TSFR3M + 1.774%, 04/24/2028 (B)

    15,045       14,706  

3.559%, TSFR3M + 1.322%, 04/23/2027 (B)

    690       678  

2.972%, SOFRRATE + 1.330%, 02/04/2033 (B)

    1,455       1,283  

2.676%, SOFRRATE + 1.930%, 06/19/2041 (B)

    32,603       23,828  

Bank of Ireland Group PLC

               

5.601%, SOFRRATE + 1.620%, 03/20/2030 (A)(B)

    3,380       3,461  

Bank of New York Mellon MTN

               

5.834%, SOFRINDX + 2.074%, 10/25/2033 (B)

    5,447       5,802  

Bank of Nova Scotia

               

4.900%, H15T5Y + 4.551%(B)(C)

    3,150       3,101  

Barclays PLC

               

7.325%, H15T1Y + 3.050%, 11/02/2026 (B)

    5,220       5,351  

5.690%, SOFRRATE + 1.740%, 03/12/2030 (B)

    1,436       1,481  

Berkshire Hathaway Finance

               

3.850%, 03/15/2052

    3,685       3,033  

1.450%, 10/15/2030

    4,000       3,417  

BlackRock Funding

               

5.350%, 01/08/2055

    2,590       2,658  

5.250%, 03/14/2054

    5,200       5,273  

Blackstone Holdings Finance LLC

               

6.200%, 04/22/2033 (A)

    2,200       2,392  

3.500%, 09/10/2049 (A)

    2,250       1,671  

3.150%, 10/02/2027 (A)

    1,878       1,804  

2.550%, 03/30/2032 (A)

    2,000       1,714  

BNP Paribas

               

5.497%, SOFRRATE + 1.590%, 05/20/2030 (A)(B)

    3,210       3,294  

5.125%, H15T1Y + 1.450%, 01/13/2029 (A)(B)

    4,495       4,563  

BPCE MTN

               

5.975%, SOFRRATE + 2.100%, 01/18/2027 (A)(B)

    2,785       2,820  

Brighthouse Financial Global Funding MTN

               

5.550%, 04/09/2027 (A)

    8,935       9,051  

 

 

 

342

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Brookfield Finance

               

5.968%, 03/04/2054

  $ 9,500     $ 10,004  

2.724%, 04/15/2031

    4,200       3,719  

Canadian Imperial Bank of Commerce

               

6.092%, 10/03/2033

    3,995       4,297  

5.615%, 07/17/2026

    7,155       7,276  

Cantor Fitzgerald LP

               

4.500%, 04/14/2027 (A)

    2,335       2,301  

Capital One Financial

               

5.884%, SOFRRATE + 1.990%, 07/26/2035 (B)

    855       877  

3.650%, 05/11/2027

    4,523       4,413  

Charles Schwab

               

5.875%, 08/24/2026

    2,915       2,988  

5.643%, SOFRRATE + 2.210%, 05/19/2029 (B)

    8,928       9,237  

Chubb INA Holdings LLC

               

6.700%, 05/15/2036

    1,000       1,160  

4.650%, 08/15/2029

    3,595       3,648  

4.350%, 11/03/2045

    1,138       1,022  

CI Financial

               

3.200%, 12/17/2030

    5,775       4,775  

Cincinnati Financial

               

6.920%, 05/15/2028

    3,363       3,646  

6.125%, 11/01/2034

    2,882       3,079  

Citadel Finance LLC

               

3.375%, 03/09/2026 (A)

    3,615       3,510  

Citadel LP

               

4.875%, 01/15/2027 (A)

    3,620       3,601  

Citibank

               

5.570%, 04/30/2034

    910       956  

Citigroup

               

6.174%, SOFRRATE + 2.661%, 05/25/2034 (B)

    5,191       5,480  

5.449%, SOFRRATE + 1.447%, 06/11/2035 (B)

    4,985       5,123  

5.174%, SOFRRATE + 1.364%, 02/13/2030 (B)

    14,825       15,108  

4.450%, 09/29/2027

    190       189  

4.281%, TSFR3M + 2.101%, 04/24/2048 (B)

    2,918       2,510  

3.057%, SOFRRATE + 1.351%, 01/25/2033 (B)

    6,134       5,397  

2.904%, SOFRRATE + 1.379%, 11/03/2042 (B)

    2,160       1,571  

2.561%, SOFRRATE + 1.167%, 05/01/2032 (B)

    13,030       11,287  

2.520%, SOFRRATE + 1.177%, 11/03/2032 (B)

    2,676       2,286  

CME Group

               

5.300%, 09/15/2043

    2,500       2,623  

Commonwealth Bank of Australia

               

1.125%, 06/15/2026 (A)

    3,668       3,468  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Cooperatieve Rabobank UA

               

3.758%, H15T1Y + 1.420%, 04/06/2033 (A)(B)

  $ 3,345     $ 3,084  

Corebridge Financial

               

3.850%, 04/05/2029

    2,820       2,723  

3.500%, 04/04/2025

    4,305       4,260  

Credit Agricole

               

1.247%, SOFRRATE + 0.892%, 01/26/2027 (A)(B)

    4,210       4,002  

Danske Bank

               

6.466%, H15T1Y + 2.100%, 01/09/2026 (A)(B)

    5,584       5,604  

Depository Trust & Clearing

               

3.375%, H15T5Y + 2.606%(A)(B)(C)

    3,250       3,091  

Deutsche Bank NY

               

6.819%, SOFRRATE + 2.510%, 11/20/2029 (B)

    4,410       4,693  

Equitable Financial Life Global Funding

               

1.400%, 07/07/2025 (A)

    1,473       1,431  

1.400%, 08/27/2027 (A)

    1,973       1,803  

F&G Global Funding

               

1.750%, 06/30/2026 (A)

    10,151       9,535  

Federation des Caisses Desjardins du Quebec

               

4.400%, 08/23/2025 (A)

    5,170       5,148  

GA Global Funding Trust

               

5.500%, 01/08/2029 (A)

    5,900       6,052  

3.850%, 04/11/2025 (A)

    5,890       5,839  

2.250%, 01/06/2027 (A)

    1,550       1,465  

1.950%, 09/15/2028 (A)

    4,705       4,239  

1.625%, 01/15/2026 (A)

    6,360       6,090  

Goldman Sachs Capital I

               

6.345%, 02/15/2034

    4,595       4,989  

Goldman Sachs Group

               

6.750%, 10/01/2037

    460       519  

6.450%, 05/01/2036

    670       740  

5.798%, SOFRRATE + 1.075%, 08/10/2026 (B)

    2,890       2,909  

5.727%, SOFRRATE + 1.265%, 04/25/2030 (B)

    3,695       3,851  

4.411%, TSFR3M + 1.692%, 04/23/2039 (B)

    1,030       952  

4.017%, TSFR3M + 1.635%, 10/31/2038 (B)

    1,512       1,339  

3.850%, 01/26/2027

    150       148  

3.500%, 11/16/2026

    6,113       5,977  

3.436%, SOFRRATE + 1.632%, 02/24/2043 (B)

    2,073       1,641  

3.272%, TSFR3M + 1.463%, 09/29/2025 (B)

    8,785       8,767  

3.210%, SOFRRATE + 1.513%, 04/22/2042 (B)

    7,270       5,623  

2.650%, SOFRRATE + 1.264%, 10/21/2032 (B)

    5,467       4,719  

 

 

 

SEI Institutional Investments Trust

 

343

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

2.640%, SOFRRATE + 1.114%, 02/24/2028 (B)

  $ 4,975     $ 4,747  

2.600%, 02/07/2030

    1,065       967  

2.383%, SOFRRATE + 1.248%, 07/21/2032 (B)

    23,926       20,372  

1.992%, SOFRRATE + 1.090%, 01/27/2032 (B)

    460       387  

1.948%, SOFRRATE + 0.913%, 10/21/2027 (B)

    6,340       5,989  

1.431%, SOFRRATE + 0.798%, 03/09/2027 (B)

    9,215       8,750  

Goldman Sachs Group MTN

               

4.800%, 07/08/2044

    4,945       4,699  

HSBC Bank USA

               

7.000%, 01/15/2039

    7,096       8,296  

HSBC Holdings PLC

               

7.390%, SOFRRATE + 3.350%, 11/03/2028 (B)

    5,152       5,545  

4.041%, TSFR3M + 1.808%, 03/13/2028 (B)

    11,362       11,163  

2.999%, SOFRRATE + 1.430%, 03/10/2026 (B)

    1,140       1,126  

Huntington Bancshares

               

6.208%, SOFRRATE + 2.020%, 08/21/2029 (B)

    4,365       4,586  

Intercontinental Exchange

               

5.250%, 06/15/2031

    12,390       12,873  

4.250%, 09/21/2048

    1,454       1,282  

3.000%, 06/15/2050

    1,100       776  

International Bank for Reconstruction & Development

               

3.875%, 02/14/2030

    12,420       12,436  

3.500%, 07/12/2028

    5,290       5,233  

Jackson Financial

               

3.125%, 11/23/2031

    3,295       2,851  

Jackson National Life Global Funding

               

5.500%, 01/09/2026 (A)

    3,000       3,019  

JPMorgan Chase

               

8.750%, 09/01/2030

    1,361       1,645  

7.750%, 07/15/2025

    1,690       1,732  

6.400%, 05/15/2038

    2,812       3,254  

6.254%, SOFRRATE + 1.810%, 10/23/2034 (B)

    15,545       17,039  

6.060%, TSFR3M + 0.812%, 02/01/2027 (B)

    1,630       1,589  

5.766%, SOFRRATE + 1.490%, 04/22/2035 (B)

    4,325       4,594  

5.581%, SOFRRATE + 1.160%, 04/22/2030 (B)

    4,000       4,165  

5.336%, SOFRRATE + 1.620%, 01/23/2035 (B)

    3,900       4,016  

5.294%, SOFRRATE + 1.460%, 07/22/2035 (B)

    9,389       9,635  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.995%, SOFRRATE + 1.125%, 07/22/2030 (B)

  $ 130     $ 132  

4.912%, SOFRRATE + 2.080%, 07/25/2033 (B)

    595       598  

4.565%, SOFRRATE + 1.750%, 06/14/2030 (B)

    5,965       5,969  

3.964%, TSFR3M + 1.642%, 11/15/2048 (B)

    3,784       3,170  

3.882%, TSFR3M + 1.622%, 07/24/2038 (B)

    6,195       5,527  

3.509%, TSFR3M + 1.207%, 01/23/2029 (B)

    15,147       14,661  

3.157%, SOFRRATE + 1.460%, 04/22/2042 (B)

    10,745       8,390  

2.522%, SOFRRATE + 2.040%, 04/22/2031 (B)

    7,903       7,092  

2.069%, SOFRRATE + 1.015%, 06/01/2029 (B)

    5,040       4,612  

1.953%, SOFRRATE + 1.065%, 02/04/2032 (B)

    2,500       2,112  

KKR Group Finance II LLC

               

5.500%, 02/01/2043 (A)

    1,985       1,964  

KKR Group Finance III LLC

               

5.125%, 06/01/2044 (A)

    5,343       5,017  

KKR Group Finance XII LLC

               

4.850%, 05/17/2032 (A)

    3,073       3,043  

Kreditanstalt fuer Wiederaufbau

               

3.875%, 06/15/2028

    13,775       13,816  

Lloyds Banking Group PLC

               

5.679%, H15T1Y + 1.750%, 01/05/2035 (B)

    2,641       2,730  

2.438%, H15T1Y + 1.000%, 02/05/2026 (B)

    4,500       4,444  

1.627%, H15T1Y + 0.850%, 05/11/2027 (B)

    2,636       2,499  

LSEGA Financing PLC

               

3.200%, 04/06/2041 (A)

    3,618       2,819  

1.375%, 04/06/2026 (A)

    5,011       4,767  

Macquarie Bank

               

5.208%, 06/15/2026 (A)

    2,680       2,713  

Macquarie Group MTN

               

6.207%, 11/22/2024 (A)

    1,593       1,595  

1.629%, SOFRRATE + 0.910%, 09/23/2027 (A)(B)

    3,944       3,700  

Marsh & McLennan

               

6.250%, 11/01/2052

    2,790       3,189  

5.700%, 09/15/2053

    300       319  

5.450%, 03/15/2054

    350       360  

4.900%, 03/15/2049

    1,045       989  

4.750%, 03/15/2039

    5,100       4,954  

4.350%, 01/30/2047

    1,270       1,108  

Massachusetts Mutual Life Insurance

               

3.375%, 04/15/2050 (A)

    1,153       827  

3.200%, 12/01/2061 (A)

    7,385       4,741  

 

 

 

344

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

MassMutual Global Funding II

               

1.200%, 07/16/2026 (A)

  $ 6,000     $ 5,654  

Mastercard

               

3.300%, 03/26/2027

    2,790       2,735  

Met Tower Global Funding MTN

               

1.250%, 09/14/2026 (A)

    7,645       7,173  

MetLife

               

6.375%, 06/15/2034

    3,885       4,340  

5.250%, 01/15/2054

    1,720       1,726  

5.000%, 07/15/2052

    5,335       5,137  

4.050%, 03/01/2045

    1,250       1,058  

Metropolitan Life Global Funding I

               

2.950%, 04/09/2030 (A)

    2,755       2,537  

Metropolitan Life Global Funding I MTN

               

5.150%, 03/28/2033 (A)

    4,990       5,117  

2.400%, 01/11/2032 (A)

    6,095       5,204  

Mitsubishi UFJ Financial Group

               

5.719%, H15T1Y + 1.080%, 02/20/2026 (B)

    3,480       3,487  

5.063%, H15T1Y + 1.550%, 09/12/2025 (B)

    6,040       6,038  

Moody's

               

2.000%, 08/19/2031

    2,847       2,415  

Morgan Stanley

               

5.948%, H15T5Y + 2.430%, 01/19/2038 (B)

    930       963  

5.466%, SOFRRATE + 1.730%, 01/18/2035 (B)

    7,270       7,491  

5.320%, SOFRRATE + 1.555%, 07/19/2035 (B)

    3,050       3,116  

5.297%, SOFRRATE + 2.620%, 04/20/2037 (B)

    360       357  

5.123%, SOFRRATE + 1.730%, 02/01/2029 (B)

    3,195       3,251  

5.042%, SOFRRATE + 1.215%, 07/19/2030 (B)

    5,385       5,477  

4.210%, SOFRRATE + 1.610%, 04/20/2028 (B)

    16,044       15,900  

3.217%, SOFRRATE + 1.485%, 04/22/2042 (B)

    867       680  

1.593%, SOFRRATE + 0.879%, 05/04/2027 (B)

    9,665       9,182  

Morgan Stanley MTN

               

5.831%, SOFRRATE + 1.580%, 04/19/2035 (B)

    5,260       5,564  

5.656%, SOFRRATE + 1.260%, 04/18/2030 (B)

    4,390       4,571  

5.250%, SOFRRATE + 1.870%, 04/21/2034 (B)

    6,360       6,467  

4.300%, 01/27/2045

    4,520       4,055  

3.971%, TSFR3M + 1.455%, 07/22/2038 (B)

    3,395       3,025  

2.475%, SOFRRATE + 1.000%, 01/21/2028 (B)

    3,885       3,698  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

2.239%, SOFRRATE + 1.178%, 07/21/2032 (B)

  $ 10,150     $ 8,589  

Mutual of Omaha Global Funding

               

5.350%, 04/09/2027 (A)

    3,450       3,511  

Nasdaq

               

5.550%, 02/15/2034

    6,875       7,161  

5.350%, 06/28/2028

    2,905       3,001  

Nationwide Building Society MTN

               

2.972%, SOFRRATE + 1.290%, 02/16/2028 (A)(B)

    5,465       5,228  

Nationwide Mutual Insurance

               

9.375%, 08/15/2039 (A)

    1,450       1,929  

4.350%, 04/30/2050 (A)

    2,171       1,721  

NatWest Group PLC

               

7.472%, H15T1Y + 2.850%, 11/10/2026 (B)

    7,616       7,821  

1.642%, H15T1Y + 0.900%, 06/14/2027 (B)

    4,320       4,087  

New York Life Global Funding

               

4.900%, 06/13/2028 (A)

    8,225       8,387  

New York Life Global Funding MTN

               

3.600%, 08/05/2025 (A)

    5,000       4,952  

1.450%, 01/14/2025 (A)

    3,500       3,453  

New York Life Insurance

               

5.875%, 05/15/2033 (A)

    2,224       2,365  

3.750%, 05/15/2050 (A)

    1,420       1,103  

Northwestern Mutual Global Funding MTN

               

4.900%, 06/12/2028 (A)

    3,000       3,055  

4.000%, 07/01/2025 (A)

    3,300       3,280  

Nuveen LLC

               

5.550%, 01/15/2030 (A)

    4,010       4,157  

Pacific Life Global Funding II

               

5.500%, 08/28/2026 (A)

    7,865       8,011  

Pacific Life Insurance

               

4.300%, SOFRRATE + 2.796%, 10/24/2067 (A)(B)

    3,845       3,115  

Peachtree Corners Funding Trust

               

3.976%, 02/15/2025 (A)

    4,431       4,391  

PNC Financial Services Group

               

6.875%, SOFRRATE + 2.284%, 10/20/2034 (B)

    1,050       1,182  

5.812%, SOFRRATE + 1.322%, 06/12/2026 (B)

    4,661       4,683  

5.582%, SOFRRATE + 1.841%, 06/12/2029 (B)

    14,285       14,754  

5.401%, SOFRRATE + 1.599%, 07/23/2035 (B)

    6,200       6,350  

2.600%, 07/23/2026

    8,465       8,163  

Principal Life Global Funding II

               

2.250%, 11/21/2024 (A)

    3,110       3,088  

1.500%, 08/27/2030 (A)

    3,374       2,812  

1.375%, 01/10/2025 (A)

    3,500       3,454  

 

 

 

SEI Institutional Investments Trust

 

345

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Prologis Targeted US Logistics Fund LP

               

5.250%, 04/01/2029 (A)

  $ 2,300     $ 2,349  

5.250%, 01/15/2035 (A)

    7,831       7,905  

Prudential Financial MTN

               

5.700%, 12/14/2036

    1,660       1,771  

1.500%, 03/10/2026

    2,445       2,343  

Prudential Funding Asia PLC

               

3.125%, 04/14/2030

    2,008       1,867  

Prudential Insurance of America

               

8.300%, 07/01/2025 (A)

    2,820       2,879  

Radian Group

               

6.200%, 05/15/2029

    3,100       3,228  

Royal Bank of Canada MTN

               

6.000%, 11/01/2027

    10,174       10,663  

4.950%, 02/01/2029

    2,890       2,956  

2.300%, 11/03/2031

    2,115       1,825  

S&P Global

               

2.700%, 03/01/2029

    6,138       5,735  

2.450%, 03/01/2027

    12,055       11,535  

Santander UK Group Holdings PLC

               

6.833%, SOFRRATE + 2.749%, 11/21/2026 (B)

    5,410       5,516  

Securian Financial Group

               

4.800%, 04/15/2048 (A)

    3,138       2,792  

Skandinaviska Enskilda Banken

               

5.375%, 03/05/2029 (A)

    3,115       3,199  

Societe Generale MTN

               

7.367%, 01/10/2053 (A)

    1,672       1,737  

State Street

               

5.159%, SOFRRATE + 1.890%, 05/18/2034 (B)

    3,189       3,263  

4.421%, SOFRRATE + 1.605%, 05/13/2033 (B)

    3,026       2,970  

3.031%, SOFRRATE + 1.490%, 11/01/2034 (B)

    5,445       4,979  

Sumitomo Mitsui Financial Group

               

0.948%, 01/12/2026

    3,000       2,851  

Synchrony Bank

               

5.400%, 08/22/2025

    3,320       3,322  

Synchrony Financial

               

5.935%, SOFRINDX + 2.130%, 08/02/2030 (B)

    5,510       5,609  

Toronto-Dominion Bank MTN

               

5.523%, 07/17/2028

    9,950       10,309  

Travelers

               

5.450%, 05/25/2053

    8,355       8,737  

Truist Bank

               

2.250%, 03/11/2030

    1,010       878  

Truist Financial MTN

               

7.161%, SOFRRATE + 2.446%, 10/30/2029 (B)

    10,799       11,734  

6.047%, SOFRRATE + 2.050%, 06/08/2027 (B)

    1,250       1,276  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.867%, SOFRRATE + 2.361%, 06/08/2034 (B)

  $ 11,385     $ 11,896  

5.711%, SOFRRATE + 1.922%, 01/24/2035 (B)

    9,010       9,331  

5.122%, SOFRRATE + 1.852%, 01/26/2034 (B)

    1,790       1,780  

4.916%, SOFRRATE + 2.240%, 07/28/2033 (B)

    5,465       5,285  

4.873%, SOFRRATE + 1.435%, 01/26/2029 (B)

    4,925       4,937  

1.887%, SOFRRATE + 0.862%, 06/07/2029 (B)

    8,496       7,677  

1.267%, SOFRRATE + 0.609%, 03/02/2027 (B)

    12,780       12,083  

1.200%, 08/05/2025

    3,458       3,339  

UBS

               

4.500%, 06/26/2048

    3,355       3,085  

UBS Group

               

6.537%, SOFRRATE + 3.920%, 08/12/2033 (A)(B)

    1,995       2,164  

5.699%, H15T1Y + 1.770%, 02/08/2035 (A)(B)

    3,150       3,267  

4.703%, H15T1Y + 2.050%, 08/05/2027 (A)(B)

    11,960       11,936  

3.869%, SOFRRATE + 1.410%, 01/12/2029 (A)(B)

    3,120       3,023  

1.494%, H15T1Y + 0.850%, 08/10/2027 (A)(B)

    2,100       1,969  

US Bancorp

               

6.787%, SOFRRATE + 1.880%, 10/26/2027 (B)

    1,173       1,226  

5.850%, SOFRRATE + 2.090%, 10/21/2033 (B)

    5,429       5,704  

5.836%, SOFRRATE + 2.260%, 06/12/2034 (B)

    5,160       5,421  

5.775%, SOFRRATE + 2.020%, 06/12/2029 (B)

    5,460       5,670  

5.678%, SOFRRATE + 1.860%, 01/23/2035 (B)

    6,485       6,746  

5.100%, SOFRRATE + 1.250%, 07/23/2030 (B)

    4,495       4,576  

4.839%, SOFRRATE + 1.600%, 02/01/2034 (B)

    3,710       3,647  

USAA Capital

               

3.375%, 05/01/2025 (A)

    3,949       3,912  

Visa

               

4.150%, 12/14/2035

    1,125       1,092  

2.700%, 04/15/2040

    360       276  

2.000%, 08/15/2050

    3,610       2,157  

Wells Fargo

               

6.600%, 01/15/2038

    2,620       2,979  

6.491%, SOFRRATE + 2.060%, 10/23/2034 (B)

    3,390       3,733  

5.950%, 12/15/2036

    1,035       1,073  

 

 

 

346

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

5.606%, 01/15/2044

  $ 1,196     $ 1,211  

5.499%, SOFRRATE + 1.780%, 01/23/2035 (B)

    3,110       3,209  

5.389%, SOFRRATE + 2.020%, 04/24/2034 (B)

    3,600       3,689  

3.068%, SOFRRATE + 2.530%, 04/30/2041 (B)

    985       753  

3.000%, 04/22/2026

    8,965       8,750  

Wells Fargo MTN

               

5.707%, SOFRRATE + 1.070%, 04/22/2028 (B)

    4,325       4,442  

5.557%, SOFRRATE + 1.990%, 07/25/2034 (B)

    10,290       10,619  

4.900%, 11/17/2045

    1,655       1,517  

4.750%, 12/07/2046

    3,498       3,128  

4.611%, SOFRRATE + 2.130%, 04/25/2053 (B)

    2,760       2,500  

4.400%, 06/14/2046

    1,225       1,042  

3.584%, TSFR3M + 1.572%, 05/22/2028 (B)

    12,541       12,203  

3.196%, TSFR3M + 1.432%, 06/17/2027 (B)

    12,260       11,951  

2.879%, TSFR3M + 1.432%, 10/30/2030 (B)

    4,705       4,313  

2.393%, SOFRRATE + 2.100%, 06/02/2028 (B)

    8,865       8,363  

XL Group

               

5.250%, 12/15/2043

    2,417       2,353  
                 
              1,428,445  
                 

Health Care — 9.2%

       

AbbVie

               

5.400%, 03/15/2054

    3,910       4,052  

5.050%, 03/15/2034

    10,530       10,851  

4.950%, 03/15/2031

    7,910       8,145  

4.550%, 03/15/2035

    3,630       3,581  

4.500%, 05/14/2035

    8,060       7,924  

4.250%, 11/21/2049

    2,100       1,831  

Advocate Health & Hospitals

               

4.272%, 08/15/2048

    2,984       2,672  

Amgen

               

5.650%, 03/02/2053

    2,800       2,880  

5.507%, 03/02/2026

    10,275       10,277  

Ascension Health

               

3.945%, 11/15/2046

    2,394       2,047  

3.106%, 11/15/2039

    1,775       1,444  

2.532%, 11/15/2029

    3,730       3,432  

Astrazeneca Finance LLC

               

5.000%, 02/26/2034

    2,795       2,878  

4.900%, 02/26/2031

    8,110       8,335  

1.200%, 05/28/2026

    12,200       11,574  

AstraZeneca PLC

               

6.450%, 09/15/2037

    9,075       10,458  

3.375%, 11/16/2025

    1,383       1,365  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Banner Health

               

2.907%, 01/01/2042

  $ 2,652     $ 1,994  

Blue Cross & Blue Shield of Minnesota

               

3.790%, 05/01/2025 (A)

    2,086       2,060  

Bristol-Myers Squibb

               

5.550%, 02/22/2054

    2,414       2,492  

3.400%, 07/26/2029

    3,982       3,826  

3.200%, 06/15/2026

    1,775       1,742  

CVS Health

               

6.050%, 06/01/2054

    2,220       2,239  

5.050%, 03/25/2048

    5,240       4,645  

Elevance Health

               

2.550%, 03/15/2031

    4,780       4,223  

Eli Lilly

               

5.200%, 08/14/2064

    1,095       1,109  

5.100%, 02/09/2064

    3,585       3,576  

5.050%, 08/14/2054

    2,085       2,093  

4.950%, 02/27/2063

    3,205       3,128  

4.875%, 02/27/2053

    2,677       2,622  

HCA

               

5.500%, 06/15/2047

    1,225       1,184  

5.250%, 06/15/2049

    5,210       4,836  

Health Care Service A Mutual Legal Reserve

               

5.875%, 06/15/2054 (A)

    4,273       4,400  

5.200%, 06/15/2029 (A)

    990       1,010  

3.200%, 06/01/2050 (A)

    2,225       1,509  

Humana

               

5.950%, 03/15/2034

    10,778       11,396  

Johnson & Johnson

               

3.750%, 03/03/2047

    1,400       1,180  

3.700%, 03/01/2046

    440       372  

2.900%, 01/15/2028

    2,565       2,481  

1.300%, 09/01/2030

    3,530       3,027  

Kaiser Foundation Hospitals

               

4.150%, 05/01/2047

    940       824  

3.150%, 05/01/2027

    2,005       1,955  

2.810%, 06/01/2041

    4,995       3,778  

Medtronic

               

4.375%, 03/15/2035

    1,732       1,696  

Medtronic Global Holdings SCA

               

4.250%, 03/30/2028

    4,847       4,852  

Memorial Health Services

               

3.447%, 11/01/2049

    1,870       1,455  

Merck

               

4.900%, 05/17/2044

    4,660       4,563  

4.500%, 05/17/2033

    3,015       3,018  

3.600%, 09/15/2042

    2,145       1,775  

2.750%, 12/10/2051

    4,355       2,865  

Nationwide Children's Hospital

               

4.556%, 11/01/2052

    1,135       1,082  

New York and Presbyterian Hospital

               

4.763%, 08/01/2116

    1,395       1,255  

1.651%, 08/01/2030

    2,487       2,117  

 

 

 

SEI Institutional Investments Trust

 

347

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Northwell Healthcare

               

4.260%, 11/01/2047

  $ 2,065     $ 1,751  

Novartis Capital

               

4.400%, 05/06/2044

    1,140       1,064  

3.000%, 11/20/2025

    4,455       4,384  

NY Society for Relief of Ruptured & Crippled Maintaining Hospital Special Surgery

               

2.667%, 10/01/2050

    2,920       1,910  

OhioHealth

               

2.834%, 11/15/2041

    4,000       2,994  

Orlando Health Obligated Group

               

3.327%, 10/01/2050

    810       616  

Pfizer

               

4.200%, 09/15/2048

    3,790       3,282  

3.000%, 12/15/2026

    2,255       2,198  

Pfizer Investment Enterprises Pte

               

5.340%, 05/19/2063

    4,640       4,605  

5.300%, 05/19/2053

    6,000       6,029  

5.110%, 05/19/2043

    8,105       8,013  

4.750%, 05/19/2033

    16,010       16,096  

Pharmacia LLC

               

6.600%, 12/01/2028

    1,100       1,196  

Quest Diagnostics

               

4.600%, 12/15/2027

    3,880       3,904  

Roche Holdings

               

5.593%, 11/13/2033 (A)

    1,700       1,824  

5.265%, 11/13/2026 (A)

    7,380       7,534  

5.218%, 03/08/2054 (A)

    25       26  

2.625%, 05/15/2026 (A)

    3,145       3,060  

1.930%, 12/13/2028 (A)

    10,791       9,813  

Royalty Pharma PLC

               

5.900%, 09/02/2054

    2,260       2,289  

5.400%, 09/02/2034

    1,585       1,603  

Rush Obligated Group

               

3.922%, 11/15/2029

    3,828       3,732  

Solventum

               

5.600%, 03/23/2034 (A)

    4,075       4,154  

Stanford Health Care

               

3.310%, 08/15/2030

    1,070       1,013  

Sutter Health

               

5.164%, 08/15/2033

    5,794       5,952  

Takeda Pharmaceutical

               

2.050%, 03/31/2030

    3,352       2,943  

Thermo Fisher Scientific

               

5.000%, 12/05/2026

    7,380       7,499  

4.800%, 11/21/2027

    2,222       2,263  

UnitedHealth Group

               

5.875%, 02/15/2053

    9,420       10,184  

5.750%, 07/15/2064

    3,230       3,391  

5.625%, 07/15/2054

    13,345       13,939  

5.500%, 07/15/2044

    5,760       5,932  

5.375%, 04/15/2054

    2,000       2,022  

4.950%, 01/15/2032

    1,515       1,547  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.800%, 01/15/2030

  $ 2,800     $ 2,858  

4.750%, 07/15/2045

    425       401  

4.750%, 05/15/2052

    2,620       2,431  

4.625%, 07/15/2035

    4,550       4,513  

4.500%, 04/15/2033

    3,788       3,743  

4.200%, 01/15/2047

    1,432       1,234  

3.875%, 12/15/2028

    1,835       1,809  

3.850%, 06/15/2028

    1,380       1,363  

3.700%, 12/15/2025

    1,920       1,900  

2.300%, 05/15/2031

    8,655       7,555  

UPMC

               

5.035%, 05/15/2033

    4,040       4,091  

Wyeth LLC

               

6.000%, 02/15/2036

    1,400       1,546  

5.950%, 04/01/2037

    3,960       4,328  
                 
              378,659  
                 

Industrials — 6.5%

       

AerCap Ireland Capital DAC / AerCap Global Aviation Trust

               

6.450%, 04/15/2027

    4,996       5,198  

6.150%, 09/30/2030

    2,115       2,254  

6.100%, 01/15/2027

    3,230       3,325  

3.300%, 01/30/2032

    9,380       8,338  

3.000%, 10/29/2028

    5,930       5,546  

2.450%, 10/29/2026

    2,850       2,716  

AGCO

               

5.800%, 03/21/2034

    950       977  

Airbus

               

3.950%, 04/10/2047 (A)

    2,800       2,385  

BAE Systems Holdings

               

3.800%, 10/07/2024 (A)

    1,700       1,697  

BAE Systems PLC

               

5.800%, 10/11/2041 (A)

    1,040       1,088  

3.400%, 04/15/2030 (A)

    1,387       1,302  

3.000%, 09/15/2050 (A)

    2,780       1,889  

1.900%, 02/15/2031 (A)

    2,718       2,289  

Boeing

               

7.008%, 05/01/2064 (A)

    1,035       1,115  

6.858%, 05/01/2054 (A)

    1,915       2,062  

6.528%, 05/01/2034 (A)

    7,550       7,996  

6.298%, 05/01/2029 (A)

    2,940       3,071  

5.805%, 05/01/2050

    4,270       4,030  

5.150%, 05/01/2030

    9,675       9,650  

3.750%, 02/01/2050

    1,635       1,129  

3.100%, 05/01/2026

    3,985       3,854  

Burlington Northern Santa Fe LLC

               

5.500%, 03/15/2055

    2,760       2,889  

5.200%, 04/15/2054

    345       347  

4.900%, 04/01/2044

    2,563       2,471  

4.550%, 09/01/2044

    5,190       4,761  

4.450%, 01/15/2053

    3,424       3,068  

4.375%, 09/01/2042

    380       345  

 

 

 

348

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

4.150%, 04/01/2045

  $ 3,165     $ 2,739  

Canadian National Railway

               

3.850%, 08/05/2032

    2,990       2,843  

Caterpillar

               

3.803%, 08/15/2042

    1,595       1,361  

Caterpillar Financial Services

               

5.150%, 08/11/2025

    8,905       8,950  

Caterpillar Financial Services MTN

               

3.600%, 08/12/2027

    9,705       9,576  

Continental Airlines Pass-Through Trust, Ser 2012-2, Cl A

               

4.000%, 10/29/2024

    2,495       2,487  

CSX

               

3.350%, 09/15/2049

    3,226       2,378  

Cummins

               

5.450%, 02/20/2054

    3,528       3,622  

Deere

               

3.100%, 04/15/2030

    2,333       2,193  

Delta Air Lines Pass-Through Trust, Ser 2015-1, Cl A

               

3.875%, 07/30/2027

    955       905  

Delta Air Lines Pass-Through Trust, Ser 2020-1, Cl AA

               

2.000%, 06/10/2028

    2,435       2,263  

Emerson Electric

               

2.200%, 12/21/2031

    6,250       5,403  

1.800%, 10/15/2027

    1,955       1,818  

General Dynamics

               

4.250%, 04/01/2040

    1,015       927  

4.250%, 04/01/2050

    2,505       2,199  

2.850%, 06/01/2041

    3,710       2,788  

Genpact Luxembourg Sarl

               

3.375%, 12/01/2024

    5,226       5,193  

Honeywell International

               

5.250%, 03/01/2054

    9,219       9,357  

1.750%, 09/01/2031

    1,980       1,671  

JetBlue Pass-Through Trust, Ser 2019-1, Cl AA

               

2.750%, 05/15/2032

    2,863       2,504  

John Deere Capital MTN

               

4.950%, 07/14/2028

    2,100       2,154  

2.800%, 07/18/2029

    11,720       10,958  

2.650%, 06/10/2026

    365       355  

2.350%, 03/08/2027

    9,575       9,141  

L3Harris Technologies

               

4.400%, 06/15/2028

    3,750       3,734  

Lockheed Martin

               

5.250%, 01/15/2033

    6,748       7,079  

4.070%, 12/15/2042

    3,300       2,920  

PACCAR Financial MTN

               

5.000%, 05/13/2027

    4,165       4,258  

5.000%, 03/22/2034

    5,000       5,151  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Penske Truck Leasing Lp

               

5.250%, 07/01/2029 (A)

  $ 4,850     $ 4,947  

Penske Truck Leasing LP / PTL Finance

               

4.000%, 07/15/2025 (A)

    2,904       2,876  

3.950%, 03/10/2025 (A)

    2,752       2,731  

Protective Life Global Funding

               

1.618%, 04/15/2026 (A)

    7,358       7,019  

1.170%, 07/15/2025 (A)

    1,476       1,430  

RTX

               

4.500%, 06/01/2042

    2,300       2,082  

Ryder System

               

6.300%, 12/01/2028

    2,200       2,344  

Ryder System MTN

               

4.625%, 06/01/2025

    4,800       4,781  

Siemens Financieringsmaatschappij

               

1.700%, 03/11/2028 (A)

    5,315       4,894  

Snap-on

               

3.100%, 05/01/2050

    3,240       2,294  

TTX

               

4.600%, 02/01/2049 (A)

    3,000       2,787  

TTX MTN

               

5.500%, 09/25/2026 (A)

    1,510       1,536  

Union Pacific

               

4.950%, 05/15/2053

    355       347  

3.500%, 02/14/2053

    6,385       4,833  

3.375%, 02/14/2042

    1,145       914  

2.950%, 03/10/2052

    10,931       7,482  

2.375%, 05/20/2031

    3,670       3,251  

Union Pacific MTN

               

3.550%, 08/15/2039

    1,280       1,096  

United Airlines Pass-Through Trust

               

2.700%, 05/01/2032

    2,252       1,996  

United Airlines Pass-Through Trust, Ser 2019-1, Cl AA

               

4.150%, 08/25/2031

    1,218       1,158  

Verisk Analytics

               

3.625%, 05/15/2050

    2,485       1,863  

Waste Management

               

4.950%, 07/03/2031

    3,274       3,362  
                 
              268,742  
                 

Information Technology — 4.0%

       

Amphenol

               

5.250%, 04/05/2034

    2,870       2,953  

Analog Devices

               

2.950%, 10/01/2051

    1,918       1,329  

1.700%, 10/01/2028

    2,585       2,347  

Apple

               

4.650%, 02/23/2046

    725       710  

3.850%, 05/04/2043

    465       411  

3.850%, 08/04/2046

    5,165       4,454  

3.350%, 02/09/2027

    4,135       4,071  

3.250%, 02/23/2026

    5,340       5,267  

 

 

 

SEI Institutional Investments Trust

 

349

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

2.850%, 08/05/2061

  $ 2,000     $ 1,325  

2.650%, 05/11/2050

    3,755       2,542  

2.375%, 02/08/2041

    2,230       1,626  

Broadcom

               

5.050%, 07/12/2029

    3,932       4,009  

4.926%, 05/15/2037 (A)

    2,500       2,442  

CDW LLC

               

5.100%, 03/01/2030

    2,910       2,923  

Cisco Systems

               

5.900%, 02/15/2039

    3,307       3,659  

5.300%, 02/26/2054

    3,414       3,525  

4.950%, 02/26/2031

    10,220       10,568  

IBM International Capital Pte

               

5.300%, 02/05/2054

    3,325       3,274  

5.250%, 02/05/2044

    2,085       2,075  

4.600%, 02/05/2027

    1,805       1,817  

Intel

               

5.700%, 02/10/2053

    1,390       1,329  

5.125%, 02/10/2030

    14,435       14,575  

4.900%, 08/05/2052

    1,039       886  

4.875%, 02/10/2026

    7,250       7,239  

3.200%, 08/12/2061

    888       522  

International Business Machines

               

4.150%, 05/15/2039

    2,325       2,087  

2.200%, 02/09/2027

    2,700       2,566  

Intuit

               

5.500%, 09/15/2053

    7,835       8,245  

5.250%, 09/15/2026

    7,425       7,567  

1.350%, 07/15/2027

    2,989       2,765  

KLA

               

5.650%, 11/01/2034

    2,000       2,147  

4.950%, 07/15/2052

    1,817       1,763  

Microsoft

               

3.700%, 08/08/2046

    4,759       4,105  

3.450%, 08/08/2036

    615       562  

3.041%, 03/17/2062

    1,100       771  

2.525%, 06/01/2050

    1,078       718  

2.400%, 08/08/2026

    4,575       4,433  

NXP BV / NXP FUNDING LLC / NXP USA

               

5.000%, 01/15/2033

    1,975       1,976  

Oracle

               

4.375%, 05/15/2055

    680       559  

4.000%, 07/15/2046

    2,275       1,810  

3.800%, 11/15/2037

    2,190       1,883  

3.600%, 04/01/2040

    3,963       3,192  

2.950%, 04/01/2030

    8,775       8,059  

QUALCOMM

               

4.300%, 05/20/2047

    3,261       2,904  

Sprint Capital

               

8.750%, 03/15/2032

    5,600       6,909  

Texas Instruments

               

5.050%, 05/18/2063

    3,558       3,499  

2.250%, 09/04/2029

    4,695       4,297  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Vontier

               

1.800%, 04/01/2026

  $ 1,205     $ 1,146  

Wipro IT Services LLC

               

1.500%, 06/23/2026 (A)

    4,937       4,671  
                 
              164,512  
                 

Materials — 1.6%

       

Anglo American Capital PLC

               

4.750%, 03/16/2052 (A)

    4,890       4,204  

ArcelorMittal

               

6.350%, 06/17/2054

    2,415       2,429  

6.000%, 06/17/2034

    2,285       2,367  

Barrick North America Finance LLC

               

5.750%, 05/01/2043

    4,115       4,243  

BHP Billiton Finance USA

               

6.420%, 03/01/2026

    1,590       1,633  

5.100%, 09/08/2028

    7,595       7,786  

5.000%, 09/30/2043

    1,400       1,371  

4.875%, 02/27/2026

    3,545       3,560  

Celanese US Holdings LLC

               

6.700%, 11/15/2033

    1,255       1,357  

Cleco Corporate Holdings LLC

               

3.375%, 09/15/2029

    1,780       1,623  

Ecolab

               

1.650%, 02/01/2027

    8,255       7,770  

Freeport-McMoRan

               

5.250%, 09/01/2029

    1,674       1,697  

Glencore Funding LLC

               

5.634%, 04/04/2034 (A)

    5,425       5,524  

International Flavors & Fragrances

               

5.000%, 09/26/2048

    3,025       2,717  

3.468%, 12/01/2050 (A)

    9,485       6,572  

3.268%, 11/15/2040 (A)

    1,953       1,459  

2.300%, 11/01/2030 (A)

    3,545       3,074  

PPG Industries

               

1.200%, 03/15/2026

    3,355       3,182  

Rio Tinto Finance USA

               

5.200%, 11/02/2040

    2,285       2,304  

2.750%, 11/02/2051

    4,000       2,611  
                 
              67,483  
                 

Real Estate — 2.3%

       

AvalonBay Communities MTN

               

3.350%, 05/15/2027

    5,480       5,342  

Boston Properties

               

4.500%, 12/01/2028

    2,630       2,562  

Federal Realty OP LP

               

1.250%, 02/15/2026

    5,026       4,774  

Prologis LP

               

5.250%, 06/15/2053

    1,820       1,803  

5.250%, 03/15/2054

    1,335       1,324  

4.750%, 06/15/2033

    2,905       2,904  

 

 

 

350

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Realty Income

               

5.625%, 10/13/2032

  $ 6,530     $ 6,849  

4.450%, 09/15/2026

    1,416       1,412  

3.400%, 01/15/2030

    2,150       2,024  

3.200%, 01/15/2027

    1,830       1,767  

2.100%, 03/15/2028

    3,021       2,782  

Regency Centers LP

               

5.250%, 01/15/2034

    3,450       3,512  

5.100%, 01/15/2035

    2,610       2,618  

4.650%, 03/15/2049

    295       258  

4.400%, 02/01/2047

    1,630       1,393  

2.950%, 09/15/2029

    3,730       3,455  

Sabra Health Care LP

               

3.900%, 10/15/2029

    4,275       4,000  

Scentre Group Trust 1/ Scentre Group Trust 2

               

3.750%, 03/23/2027 (A)

    905       885  

3.625%, 01/28/2026 (A)

    13,406       13,186  

Scentre Group Trust 2

               

4.750%, H15T5Y + 4.379%, 09/24/2080 (A)(B)

    6,340       6,271  

Simon Property Group LP

               

6.750%, 02/01/2040

    470       533  

6.650%, 01/15/2054

    330       383  

5.850%, 03/08/2053

    1,930       2,016  

5.500%, 03/08/2033

    8,037       8,396  

4.250%, 11/30/2046

    2,179       1,843  

3.800%, 07/15/2050

    1,190       924  

2.650%, 02/01/2032

    2,000       1,740  

2.450%, 09/13/2029

    4,536       4,126  

Sun Communities Operating LP

               

5.500%, 01/15/2029

    4,420       4,517  

2.300%, 11/01/2028

    115       104  

UDR

               

5.125%, 09/01/2034

    1,920       1,913  
                 
              95,616  
                 

Utilities — 10.7%

       

AEP Texas

               

5.450%, 05/15/2029

    3,680       3,810  

3.450%, 01/15/2050

    2,695       1,892  

AEP Transmission LLC

               

5.400%, 03/15/2053

    1,800       1,809  

Alabama Power

               

3.850%, 12/01/2042

    600       502  

3.700%, 12/01/2047

    2,800       2,196  

3.125%, 07/15/2051

    3,187       2,210  

1.450%, 09/15/2030

    4,916       4,153  

Ameren Illinois

               

4.500%, 03/15/2049

    4,560       4,062  

3.850%, 09/01/2032

    13,035       12,316  

American Electric Power

               

5.625%, 03/01/2033

    3,555       3,714  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Arizona Public Service

               

5.550%, 08/01/2033

  $ 4,920     $ 5,058  

Atmos Energy

               

4.125%, 03/15/2049

    3,795       3,157  

Baltimore Gas and Electric

               

2.250%, 06/15/2031

    4,495       3,880  

Berkshire Hathaway Energy

               

6.125%, 04/01/2036

    2,372       2,587  

3.250%, 04/15/2028

    1,720       1,659  

CenterPoint Energy Houston Electric LLC

               

5.200%, 10/01/2028

    4,215       4,325  

4.500%, 04/01/2044

    2,215       1,977  

3.000%, 03/01/2032

    1,630       1,442  

2.900%, 07/01/2050

    790       519  

Chile Electricity Lux MPC Sarl

               

6.010%, 01/20/2033 (A)

    5,356       5,543  

CMS Energy

               

3.000%, 05/15/2026

    7,285       7,072  

Commonwealth Edison

               

4.700%, 01/15/2044

    3,300       3,050  

3.200%, 11/15/2049

    1,600       1,124  

Connecticut Light and Power

               

5.250%, 01/15/2053

    3,000       3,015  

Consolidated Edison of New York

               

5.900%, 11/15/2053

    6,255       6,720  

5.500%, 03/15/2034

    4,080       4,292  

4.625%, 12/01/2054

    5,681       5,073  

3.875%, 06/15/2047

    3,000       2,396  

Consumers Energy

               

4.700%, 01/15/2030

    3,774       3,828  

Dominion Energy

               

3.375%, 04/01/2030

    595       557  

Dominion Energy South Carolina

               

4.600%, 06/15/2043

    1,000       911  

DTE Energy

               

5.850%, 06/01/2034

    3,475       3,660  

4.950%, 07/01/2027

    2,460       2,487  

4.875%, 06/01/2028

    5,240       5,298  

Duke Energy

               

5.800%, 06/15/2054

    4,075       4,170  

4.850%, 01/05/2029

    3,780       3,832  

Duke Energy Carolinas LLC

               

5.400%, 01/15/2054

    3,070       3,107  

5.300%, 02/15/2040

    2,400       2,444  

3.875%, 03/15/2046

    5,500       4,444  

2.850%, 03/15/2032

    2,770       2,461  

2.550%, 04/15/2031

    2,855       2,519  

Duke Energy Florida LLC

               

5.950%, 11/15/2052

    2,100       2,252  

5.875%, 11/15/2033

    7,925       8,531  

Duke Energy Indiana LLC

               

6.350%, 08/15/2038

    245       275  

4.900%, 07/15/2043

    250       237  

 

 

 

SEI Institutional Investments Trust

 

351

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Duke Energy Ohio

               

5.250%, 04/01/2033

  $ 2,985     $ 3,067  

2.125%, 06/01/2030

    1,255       1,102  

Duke Energy Progress LLC

               

4.200%, 08/15/2045

    2,520       2,147  

4.100%, 05/15/2042

    1,061       905  

East Ohio Gas

               

3.000%, 06/15/2050 (A)

    1,120       721  

2.000%, 06/15/2030 (A)

    2,370       2,038  

1.300%, 06/15/2025 (A)

    2,700       2,619  

Electricite de France

               

6.000%, 04/22/2064 (A)

    3,500       3,472  

5.950%, 04/22/2034 (A)

    845       888  

Entergy Arkansas LLC

               

5.750%, 06/01/2054

    3,015       3,133  

4.200%, 04/01/2049

    2,765       2,300  

Entergy Louisiana LLC

               

4.200%, 09/01/2048

    3,215       2,652  

Entergy Mississippi LLC

               

2.850%, 06/01/2028

    3,925       3,702  

Entergy Texas

               

5.800%, 09/01/2053

    3,795       3,976  

3.550%, 09/30/2049

    2,040       1,497  

Exelon

               

5.150%, 03/15/2028

    4,570       4,665  

FirstEnergy Pennsylvania Electric

               

5.200%, 04/01/2028 (A)

    3,560       3,620  

Florida Power & Light

               

5.960%, 04/01/2039

    150       163  

5.950%, 02/01/2038

    3,769       4,124  

5.690%, 03/01/2040

    5,557       5,870  

4.125%, 02/01/2042

    3,705       3,260  

2.850%, 04/01/2025

    2,515       2,486  

Georgia Power

               

5.250%, 03/15/2034

    4,730       4,878  

4.300%, 03/15/2043

    2,305       2,002  

Indiana Michigan Power

               

4.250%, 08/15/2048

    580       488  

Indianapolis Power & Light

               

5.700%, 04/01/2054 (A)

    2,395       2,477  

4.050%, 05/01/2046 (A)

    65       53  

Kentucky Utilities

               

5.450%, 04/15/2033

    2,345       2,445  

Massachusetts Electric

               

1.729%, 11/24/2030 (A)

    1,300       1,077  

MidAmerican Energy

               

3.150%, 04/15/2050

    2,700       1,905  

Monongahela Power

               

5.850%, 02/15/2034 (A)

    3,480       3,673  

3.550%, 05/15/2027 (A)

    10,095       9,848  

National Grid PLC

               

5.418%, 01/11/2034

    2,990       3,055  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

National Rural Utilities Cooperative Finance

               

8.427%, TSFR3M + 3.172%, 04/30/2043 (B)

  $ 1,542     $ 1,542  

5.800%, 01/15/2033

    2,280       2,435  

4.450%, 03/13/2026

    7,360       7,357  

4.400%, 11/01/2048

    1,000       867  

4.300%, 03/15/2049

    2,558       2,197  

National Rural Utilities Cooperative Finance MTN

               

5.100%, 05/06/2027

    4,140       4,218  

Nevada Power

               

6.000%, 03/15/2054

    5,660       6,044  

New England Power

               

5.936%, 11/25/2052 (A)

    1,046       1,104  

NextEra Energy Capital Holdings

               

5.250%, 03/15/2034

    4,210       4,281  

4.450%, 06/20/2025

    10,825       10,784  

1.900%, 06/15/2028

    6,165       5,618  

Niagara Mohawk Power

               

4.278%, 10/01/2034 (A)

    1,959       1,799  

NiSource

               

5.350%, 04/01/2034

    3,445       3,517  

Northern States Power

               

7.125%, 07/01/2025

    3,220       3,280  

6.250%, 06/01/2036

    600       668  

4.500%, 06/01/2052

    2,845       2,514  

2.250%, 04/01/2031

    2,770       2,413  

NSTAR Electric

               

3.250%, 05/15/2029

    3,788       3,601  

OGE Energy

               

5.450%, 05/15/2029

    2,665       2,758  

Oglethorpe Power

               

5.375%, 11/01/2040

    1,710       1,661  

4.500%, 04/01/2047

    1,990       1,694  

4.250%, 04/01/2046

    1,055       845  

4.200%, 12/01/2042

    170       137  

Ohio Power

               

2.600%, 04/01/2030

    5,235       4,698  

Oncor Electric Delivery LLC

               

7.500%, 09/01/2038

    115       143  

5.650%, 11/15/2033

    4,155       4,415  

5.550%, 06/15/2054 (A)

    5,265       5,403  

5.350%, 10/01/2052

    1,459       1,445  

5.300%, 06/01/2042

    1,241       1,243  

3.750%, 04/01/2045

    3,725       2,977  

Pacific Gas and Electric

               

6.750%, 01/15/2053

    3,010       3,292  

6.400%, 06/15/2033

    2,290       2,447  

5.800%, 05/15/2034

    3,220       3,314  

5.250%, 03/01/2052

    170       153  

4.950%, 07/01/2050

    3,125       2,723  

4.500%, 07/01/2040

    2,280       1,974  

4.200%, 06/01/2041

    2,340       1,901  

 

 

 

352

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.500%, 08/01/2050

  $ 315     $ 218  

PacifiCorp

               

6.000%, 01/15/2039

    4,410       4,664  

5.800%, 01/15/2055

    4,141       4,212  

5.500%, 05/15/2054

    390       385  

3.300%, 03/15/2051

    3,553       2,428  

2.900%, 06/15/2052

    5,290       3,314  

PECO Energy

               

2.850%, 09/15/2051

    2,100       1,369  

Potomac Electric Power

               

5.500%, 03/15/2054

    4,820       4,931  

PPL Electric Utilities

               

4.150%, 06/15/2048

    2,400       2,049  

3.950%, 06/01/2047

    1,802       1,496  

Public Service Electric and Gas MTN

               

4.050%, 05/01/2048

    2,792       2,354  

Public Service Enterprise Group

               

5.850%, 11/15/2027

    3,392       3,525  

Public Service of Colorado

               

6.250%, 09/01/2037

    210       231  

5.750%, 05/15/2054

    5,405       5,633  

4.100%, 06/01/2032

    4,690       4,509  

3.200%, 03/01/2050

    1,760       1,226  

Public Service of New Hampshire

               

3.600%, 07/01/2049

    2,000       1,546  

2.200%, 06/15/2031

    5,455       4,682  

San Diego Gas & Electric

               

4.950%, 08/15/2028

    3,344       3,411  

4.500%, 08/15/2040

    2,025       1,891  

3.320%, 04/15/2050

    455       328  

Sempra

               

3.800%, 02/01/2038

    1,250       1,065  

Southern California Edison

               

2.850%, 08/01/2029

    2,785       2,575  

Southern California Gas

               

5.750%, 06/01/2053

    2,849       2,960  

5.600%, 04/01/2054

    2,560       2,648  

4.300%, 01/15/2049

    1,125       950  

3.750%, 09/15/2042

    190       154  

2.550%, 02/01/2030

    4,835       4,374  

Union Electric

               

4.000%, 04/01/2048

    1,120       922  

3.900%, 09/15/2042

    90       76  

Virginia Electric and Power

               

6.350%, 11/30/2037

    1,780       1,961  

5.000%, 04/01/2033

    6,093       6,138  

5.000%, 01/15/2034

    3,020       3,041  

3.150%, 01/15/2026

    3,000       2,942  

2.950%, 11/15/2051

    6,000       3,962  

Wisconsin Electric Power

               

1.700%, 06/15/2028

    4,000       3,640  

Wisconsin Power & Light

               

6.375%, 08/15/2037

    50       55  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

3.050%, 10/15/2027

  $ 2,510     $ 2,411  

Wisconsin Public Service

               

3.300%, 09/01/2049

    2,475       1,798  
                 
              444,410  
                 

Total Corporate Obligations

               

(Cost $3,734,566) ($ Thousands)

            3,652,326  
                 
                 
                 

U.S. TREASURY OBLIGATIONS — 7.5%

U.S. Treasury Bonds

               

4.625%, 05/15/2044

    14,950       15,569  

4.625%, 05/15/2054

    31,000       33,131  

4.500%, 02/15/2044

    23,896       24,493  

4.375%, 08/15/2043

    4,736       4,783  

4.250%, 02/15/2054

    17,217       17,284  

4.250%, 08/15/2054

    6,093       6,131  

4.125%, 08/15/2044

    32,345       31,562  

U.S. Treasury Notes

               

4.625%, 06/15/2027

    2,250       2,298  

4.625%, 04/30/2029

    1,495       1,551  

4.500%, 05/15/2027

    35,935       36,544  

4.250%, 06/30/2029

    19,410       19,841  

4.125%, 07/31/2031

    10,940       11,145  

4.000%, 07/31/2029

    35,475       35,893  

4.000%, 02/15/2034

    4,307       4,334  

3.875%, 08/15/2034

    50,715       50,533  

3.750%, 08/15/2027

    16,715       16,697  
         

Total U.S. Treasury Obligations

       

(Cost $308,047) ($ Thousands)

    311,789  
                 
                 
                 

MUNICIPAL BONDS — 2.7%

Alabama — 0.1%

       

Alabama State, Economic Settlement Authority, Ser B, RB

               

4.263%, 09/15/2032

    5,475       5,358  
                 
                 

California — 0.8%

       

California State University, RB

               

5.183%, 11/01/2053

    8,690       8,775  

California State University, Ser D, RB

               

1.490%, 11/01/2028

    2,580       2,322  

California State, Build America Project, GO

               

7.600%, 11/01/2040

    585       733  

7.550%, 04/01/2039

    2,305       2,872  

7.500%, 04/01/2034

    5,125       6,124  

California State, Health Facilities Financing Authority, RB

               

1.679%, 06/01/2028

    4,975       4,541  

 

 

 

SEI Institutional Investments Trust

 

353

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MUNICIPAL BONDS (continued)

East Bay, Municipal Utility District Water System Revenue, Build America Project, Sub-Ser, RB

               

5.874%, 06/01/2040

  $ 300     $ 324  

Riverside County, Pension Obligation, RB

               

3.818%, 02/15/2038

    2,105       1,969  

San Francisco, Public Utilities Commission, Water Revenue, Build America Project, Ser DE, RB

               

6.000%, 11/01/2040

    3,705       3,938  

University of California Regents, Build America Project, Ser H, RB

               

6.548%, 05/15/2048

    120       137  

University of California Regents, RB

               

4.132%, 05/15/2032

    3,210       3,137  
                 
              34,872  
                 

Colorado — 0.1%

       

City & County of Denver's Airport System Revenue, Ser C, RB

               

2.037%, 11/15/2028

    4,000       3,685  

Colorado State, COP

               

6.817%, 03/15/2028

    1,980       2,141  
                 
              5,826  
                 

Connecticut — 0.1%

       

Connecticut State, Ser A, GO

               

4.657%, 05/15/2030

    2,000       2,046  

3.875%, 06/15/2028

    2,555       2,533  
                 
              4,579  
                 

Georgia — 0.1%

       

Georgia State, Municipal Electric Authority, Build America Project, Ser 2010A, RB

               

7.055%, 04/01/2057

    899       1,051  

6.637%, 04/01/2057

    2,358       2,656  
                 
              3,707  
                 

Illinois — 0.2%

       

Greater Chicago, Metropolitan Water Reclamation District, Build America Project, GO

               

5.720%, 12/01/2038

    2,580       2,750  

Sales Tax Securitization, Ser A, RB

               

4.637%, 01/01/2040

    3,815       3,702  
                 
              6,452  
                 

Kansas — 0.0%

       

Kansas State, Development Finance Authority, Ser H, RB

               

4.727%, 04/15/2037

    1,455       1,450  
                 
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MUNICIPAL BONDS (continued)

Massachusetts — 0.2%

       

Massachusetts Clean Water Trust, Build America Project, RB

               

5.192%, 08/01/2040

  $ 2,995     $ 3,022  

Massachusetts State, Build America Project, GO

               

4.910%, 05/01/2029

    100       101  

Massachusetts State, Build America Project, RB

               

5.731%, 06/01/2040

    80       83  

Massachusetts State, Educational Financing Authority, Ser A, RB

               

2.925%, 07/01/2028

    2,550       2,397  

1.638%, 07/01/2026

    2,125       2,008  
                 
              7,611  
                 

Michigan — 0.2%

       

Michigan State, Finance Authority, RB

               

3.084%, 12/01/2034

    1,685       1,501  

2.671%, 09/01/2049 (B)

    4,600       4,387  

University of Michigan, Ser C, RB

               

3.599%, 04/01/2047

    4,520       3,925  
                 
              9,813  
                 

New Jersey — 0.1%

       

New Jersey State, Transportation Trust Fund Authority, Build America Project, Ser C, RB

               

5.754%, 12/15/2028

    2,300       2,339  
                 
                 

New York — 0.4%

       

New York & New Jersey, Port Authority, RB

               

4.926%, 10/01/2051

    165       165  

New York & New Jersey, Port Authority, Ser 174, RB

               

4.458%, 10/01/2062

    205       186  

New York & New Jersey, Port Authority, Ser 181, RB

               

4.960%, 08/01/2046

    1,315       1,288  

New York City, Transitional Finance Authority, Future Tax Secured Revenue, Sub-Ser, RB

               

3.480%, 08/01/2026

    2,100       2,069  

New York State, Dormitory Authority, Build America Project, RB

               

5.289%, 03/15/2033

    3,000       3,053  

New York State, Urban Development, Build America Project, RB

               

5.770%, 03/15/2039

    7,350       7,597  
                 
              14,358  
                 

 

 

 

354

 

SEI Institutional Investments Trust

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MUNICIPAL BONDS (continued)

Ohio — 0.1%

       

American Municipal Power, Build America Project, RB

               

6.053%, 02/15/2043

  $ 3,065     $ 3,339  
                 
                 

Oregon — 0.1%

       

Oregon State, School Boards Association, Ser B, GO

               

5.550%, 06/30/2028

    3,259       3,320  
                 
                 

Pennsylvania — 0.1%

       

Pennsylvania State, Economic Development Financing Authority, RB

               

2.152%, 06/15/2029

    5,465       4,988  
                 
                 

Texas — 0.1%

       

Grand Parkway, Transportation Corp, Ser E, RB

               

5.184%, 10/01/2042

    555       574  

North Texas, Tollway Authority, Build America Project, Ser B, RB

               

6.718%, 01/01/2049

    845       997  

Texas State, Build America Project, GO

               

5.517%, 04/01/2039

    565       604  
                 
              2,175  
                 
                 

Total Municipal Bonds

               

(Cost $116,345) ($ Thousands)

            110,187  
                 
                 

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

SOVEREIGN DEBT — 0.7%

                 

CDP Financial

               

5.600%, 11/25/2039(A)

  $ 700     $ 751  

Chile Government International Bond

               

5.330%, 01/05/2054

    2,090       2,066  

3.860%, 06/21/2047

    415       337  

3.100%, 01/22/2061

    330       216  

Israel Government International Bond

               

3.875%, 07/03/2050

    2,530       1,859  

Korea Development Bank

               

4.375%, 02/15/2028

    5,150       5,176  

Province of British Columbia Canada

               

4.200%, 07/06/2033

    7,195       7,134  

Province of Quebec Canada MTN

               

6.350%, 01/30/2026

    270       276  

Republic of Poland Government International Bond

               

4.875%, 10/04/2033

    3,460       3,505  

Saudi Government International Bond MTN

               

5.750%, 01/16/2054(A)

    6,225       6,372  
                 

Total Sovereign Debt

       

(Cost $27,417) ($ Thousands)

    27,692  
                 
                 
   


Shares

         

CASH EQUIVALENT — 1.2%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    51,239,657       51,240  

Total Cash Equivalent

               

(Cost $51,240) ($ Thousands)

            51,240  

Total Investments in Securities — 100.3%

               

(Cost $4,237,615) ($ Thousands)

  $ 4,153,234  
                 
                 

 

 
 
 

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation
(Depreciation)(Thousands)

 

Long Contracts

                                       

U.S. 2-Year Treasury Note

    284       Dec-2024     $ 58,971     $ 58,943     $ (28 )

U.S. 5-Year Treasury Note

    359       Dec-2024       39,369       39,274       (95 )
                      98,340       98,217       (123 )

Short Contracts

                                       

Ultra 10-Year U.S. Treasury Note

    (488)       Dec-2024     $ (57,685 )   $ (57,309 )   $ 376  
                    $ 40,655     $ 40,908     $ 253  

 

 

 

Percentages are based on Net Assets of $4,140,029 ($ Thousands).

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

(A)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On August 31, 2024, the value of these securities amounted to $687,556 ($ Thousands), representing 16.6% of the Net Assets of the Fund.

 

(B)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates on certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(C)

Perpetual security with no stated maturity date.

 

 

 

SEI Institutional Investments Trust

 

355

 

 

 

 

SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Intermediate Duration Credit Fund (Concluded)

 

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Daily Income Trust, Government Fund,
Institutional Class

  $ 33,054     $ 545,489     $ (527,303 )   $     $     $ 51,240     $ 561     $  

 

                                                               

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

356

 

SEI Institutional Investments Trust

 

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Dynamic Asset Allocation Fund

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK — 74.6%

                 

Communication Services — 6.6%

       

Alphabet Inc, Cl A

    161,072     $ 26,316  

Alphabet Inc, Cl C

    134,100       22,141  

AT&T Inc

    197,743       3,935  

Charter Communications Inc, Cl A *

    2,715       943  

Comcast Corp, Cl A

    107,932       4,271  

Electronic Arts Inc

    6,744       1,024  

Fox Corp

    10,366       417  

Interpublic Group of Cos Inc/The

    10,600       346  

Live Nation Entertainment Inc *

    3,900       381  

Match Group Inc *

    7,300       272  

Meta Platforms Inc, Cl A

    60,104       31,333  

Netflix Inc *

    11,832       8,298  

News Corp

    3,400       100  

News Corp, Cl A

    10,400       295  

Omnicom Group Inc

    5,399       542  

Paramount Global, Cl B

    14,240       149  

Take-Two Interactive Software Inc *

    4,400       711  

T-Mobile US Inc

    14,209       2,824  

Verizon Communications Inc

    115,992       4,846  

Walt Disney Co/The

    50,221       4,539  

Warner Bros Discovery Inc *

    61,680       484  
                 
              114,167  

Consumer Discretionary — 7.3%

       

Airbnb Inc, Cl A *

    11,800       1,384  

Amazon.com Inc *

    251,080       44,818  

Aptiv PLC *

    7,624       545  

AutoZone Inc *

    469       1,492  

Bath & Body Works Inc

    6,100       188  

Best Buy Co Inc

    5,300       532  

Booking Holdings Inc

    919       3,593  

BorgWarner Inc

    6,200       211  

Caesars Entertainment Inc *

    5,900       222  

CarMax Inc *

    4,400       372  

Carnival Corp, Cl A *

    28,000       462  

Chipotle Mexican Grill Inc, Cl A *

    36,800       2,064  

Darden Restaurants Inc

    3,300       522  

Deckers Outdoor Corp *

    700       671  

Domino's Pizza Inc

    1,000       414  

DR Horton Inc

    8,174       1,543  

eBay Inc

    13,881       820  

Etsy Inc *

    3,200       176  

Expedia Group Inc *

    3,585       499  

Ford Motor Co

    104,376       1,168  

Garmin Ltd

    4,300       788  

General Motors Co

    31,495       1,568  

Genuine Parts Co

    3,850       552  

Hasbro Inc

    3,600       245  

Hilton Worldwide Holdings Inc

    6,861       1,507  

Home Depot Inc/The

    27,243       10,039  

Las Vegas Sands Corp

    10,236       399  

Lennar Corp, Cl A

    6,795       1,237  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

LKQ Corp

    7,300     $ 304  

Lowe's Cos Inc

    15,778       3,921  

Lululemon Athletica Inc *

    3,200       830  

Marriott International Inc/MD, Cl A

    6,428       1,509  

McDonald's Corp

    19,879       5,738  

MGM Resorts International *

    7,015       264  

Mohawk Industries Inc *

    1,528       237  

NIKE Inc, Cl B

    32,478       2,706  

Norwegian Cruise Line Holdings Ltd *

    12,400       222  

NVR Inc *

    80       734  

O'Reilly Automotive Inc *

    1,596       1,803  

Pool Corp

    1,100       387  

PulteGroup Inc

    5,900       777  

Ralph Lauren Corp, Cl A

    1,100       188  

Ross Stores Inc

    8,916       1,343  

Royal Caribbean Cruises Ltd *

    6,300       1,037  

Starbucks Corp

    31,266       2,957  

Tapestry Inc

    6,300       258  

Tesla Inc *

    76,129       16,300  

TJX Cos Inc/The

    31,242       3,664  

Tractor Supply Co

    2,994       801  

Ulta Beauty Inc *

    1,332       470  

Wynn Resorts Ltd

    2,600       200  

Yum! Brands Inc

    7,812       1,054  
                 
              125,735  

Consumer Staples — 4.5%

       

Altria Group Inc

    46,036       2,475  

Archer-Daniels-Midland Co

    13,807       842  

Brown-Forman Corp, Cl B

    4,925       225  

Bunge Global SA

    4,000       406  

Campbell Soup Co

    5,400       269  

Church & Dwight Co Inc

    6,817       695  

Clorox Co/The

    3,400       538  

Coca-Cola Co/The

    106,588       7,724  

Colgate-Palmolive Co

    21,982       2,341  

Conagra Brands Inc

    13,300       415  

Constellation Brands Inc, Cl A

    4,407       1,061  

Costco Wholesale Corp

    12,151       10,843  

Dollar General Corp

    6,110       507  

Dollar Tree Inc *

    5,697       481  

Estee Lauder Cos Inc/The, Cl A

    6,365       583  

General Mills Inc

    15,569       1,126  

Hershey Co/The

    4,055       783  

Hormel Foods Corp

    7,900       257  

J M Smucker Co/The

    2,882       331  

Kellanova

    7,300       588  

Kenvue Inc

    51,205       1,124  

Keurig Dr Pepper Inc

    29,067       1,064  

Kimberly-Clark Corp

    9,291       1,344  

Kraft Heinz Co/The

    21,766       771  

Kroger Co/The

    18,467       983  

Lamb Weston Holdings Inc

    4,000       248  

McCormick & Co Inc/MD

    7,000       560  

 

 

 

SEI Institutional Investments Trust

 

357

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Dynamic Asset Allocation Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Molson Coors Beverage Co, Cl B

    5,000     $ 270  

Mondelez International Inc, Cl A

    35,989       2,584  

Monster Beverage Corp *

    19,776       932  

PepsiCo Inc

    37,790       6,533  

Philip Morris International Inc

    42,842       5,282  

Procter & Gamble Co/The

    64,826       11,120  

Sysco Corp

    13,869       1,081  

Target Corp

    12,393       1,904  

Tyson Foods Inc, Cl A

    7,972       513  

Walgreens Boots Alliance Inc

    19,552       181  

Walmart Inc

    117,376       9,065  
                 
              78,049  

Energy — 2.6%

       

APA Corp

    9,000       256  

Baker Hughes Co, Cl A

    26,279       924  

Chevron Corp

    47,127       6,973  

ConocoPhillips

    32,269       3,672  

Coterra Energy Inc, Cl A

    20,481       498  

Devon Energy Corp

    17,444       781  

Diamondback Energy Inc

    4,900       956  

EOG Resources Inc

    15,365       1,979  

EQT Corp

    16,100       540  

Exxon Mobil Corp

    123,130       14,522  

Halliburton Co

    24,419       759  

Hess Corp

    7,647       1,056  

Kinder Morgan Inc

    53,184       1,147  

Marathon Oil Corp

    15,500       444  

Marathon Petroleum Corp

    9,681       1,715  

Occidental Petroleum Corp

    18,403       1,049  

ONEOK Inc

    16,066       1,484  

Phillips 66

    11,306       1,586  

Schlumberger NV

    38,138       1,678  

Targa Resources Corp

    6,200       911  

Valero Energy Corp

    9,051       1,328  

Williams Cos Inc/The

    33,605       1,538  
                 
              45,796  

Financials — 9.9%

       

Aflac Inc

    14,255       1,573  

Allstate Corp/The

    7,312       1,382  

American Express Co

    15,676       4,055  

American International Group Inc

    18,263       1,407  

Ameriprise Financial Inc

    2,663       1,197  

Aon PLC, Cl A

    5,845       2,009  

Arch Capital Group Ltd *

    10,347       1,170  

Arthur J Gallagher & Co

    5,857       1,714  

Assurant Inc

    1,500       295  

Bank of America Corp

    187,063       7,623  

Bank of New York Mellon Corp/The

    20,658       1,409  

Berkshire Hathaway Inc, Cl B *

    49,678       23,643  

BlackRock Inc, Cl A

    3,776       3,405  

Blackstone Inc

    19,200       2,733  

Brown & Brown Inc

    6,500       683  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Capital One Financial Corp

    10,555     $ 1,551  

Cboe Global Markets Inc

    2,900       596  

Charles Schwab Corp/The

    40,098       2,610  

Chubb Ltd

    11,195       3,181  

Cincinnati Financial Corp

    4,400       603  

Citigroup Inc

    52,663       3,299  

Citizens Financial Group Inc

    12,465       537  

CME Group Inc, Cl A

    9,609       2,073  

Corpay Inc *

    1,900       600  

Discover Financial Services

    6,918       960  

Everest Group Ltd

    1,200       471  

FactSet Research Systems Inc

    1,000       423  

Fidelity National Information Services Inc

    15,356       1,266  

Fifth Third Bancorp

    18,842       804  

Fiserv Inc *

    15,679       2,738  

Franklin Resources Inc

    8,200       166  

Global Payments Inc

    6,991       776  

Globe Life Inc

    2,300       242  

Goldman Sachs Group Inc/The

    8,888       4,535  

Hartford Financial Services Group Inc/The

    8,108       941  

Huntington Bancshares Inc/OH

    39,826       596  

Intercontinental Exchange Inc

    15,391       2,486  

Invesco Ltd

    13,000       222  

Jack Henry & Associates Inc

    2,000       346  

JPMorgan Chase & Co

    78,805       17,715  

KeyCorp

    25,954       443  

KKR & Co Inc

    17,800       2,203  

Loews Corp

    5,100       418  

M&T Bank Corp

    4,590       790  

MarketAxess Holdings Inc

    1,100       267  

Marsh & McLennan Cos Inc

    13,620       3,099  

Mastercard Inc, Cl A

    22,587       10,917  

MetLife Inc

    16,445       1,274  

Moody's Corp

    4,236       2,066  

Morgan Stanley

    34,522       3,577  

MSCI Inc, Cl A

    2,163       1,256  

Nasdaq Inc

    10,588       763  

Northern Trust Corp

    5,605       511  

PayPal Holdings Inc *

    27,933       2,023  

PNC Financial Services Group Inc/The

    10,947       2,026  

Principal Financial Group Inc

    6,020       490  

Progressive Corp/The

    16,183       4,081  

Prudential Financial Inc

    9,939       1,204  

Raymond James Financial Inc

    5,208       623  

Regions Financial Corp

    25,682       601  

S&P Global Inc

    8,846       4,540  

Synchrony Financial

    11,311       568  

T Rowe Price Group Inc

    6,098       647  

Travelers Cos Inc/The

    6,055       1,381  

Truist Financial Corp

    36,874       1,639  

US Bancorp

    41,667       1,968  

Visa Inc, Cl A

    43,224       11,946  

W R Berkley Corp

    8,475       506  

 

 

 

358

 

SEI Institutional Investments Trust

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Dynamic Asset Allocation Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Wells Fargo & Co

    95,979     $ 5,612  

Willis Towers Watson PLC

    2,802       819  
                 
              172,293  

Health Care — 9.2%

       

Abbott Laboratories

    47,919       5,428  

AbbVie Inc

    48,557       9,532  

Agilent Technologies Inc

    8,156       1,166  

Align Technology Inc *

    1,913       454  

Amgen Inc

    14,774       4,932  

Baxter International Inc

    14,138       536  

Becton Dickinson & Co

    7,765       1,882  

Biogen Inc *

    4,050       829  

Bio-Rad Laboratories Inc, Cl A *

    563       190  

Bio-Techne Corp

    4,300       318  

Boston Scientific Corp *

    40,572       3,318  

Bristol-Myers Squibb Co

    54,326       2,714  

Cardinal Health Inc

    6,798       766  

Catalent Inc *

    5,000       305  

Cencora Inc

    4,561       1,093  

Centene Corp *

    14,084       1,110  

Charles River Laboratories International Inc *

    1,400       277  

Cigna Group/The

    7,662       2,772  

Cooper Cos Inc/The

    5,500       581  

CVS Health Corp

    33,612       1,924  

Danaher Corp

    18,176       4,895  

DaVita Inc *

    1,400       211  

Dexcom Inc *

    10,730       744  

Edwards Lifesciences Corp *

    16,636       1,164  

Elevance Health Inc

    6,443       3,588  

Eli Lilly & Co

    21,907       21,031  

GE HealthCare Technologies Inc

    11,734       995  

Gilead Sciences Inc

    33,343       2,634  

HCA Healthcare Inc

    5,345       2,114  

Henry Schein Inc *

    3,500       247  

Hologic Inc *

    6,512       529  

Humana Inc

    3,149       1,116  

IDEXX Laboratories Inc *

    2,278       1,096  

Incyte Corp *

    4,400       289  

Insulet Corp *

    1,900       385  

Intuitive Surgical Inc *

    9,778       4,817  

IQVIA Holdings Inc *

    5,009       1,260  

Johnson & Johnson

    66,080       10,960  

Labcorp Holdings Inc

    2,365       544  

McKesson Corp

    3,477       1,951  

Medtronic PLC

    36,635       3,245  

Merck & Co Inc

    69,644       8,249  

Mettler-Toledo International Inc *

    560       806  

Moderna Inc *

    9,238       715  

Molina Healthcare Inc *

    1,600       560  

Pfizer Inc

    156,140       4,530  

Quest Diagnostics Inc

    3,100       487  

Regeneron Pharmaceuticals Inc *

    2,936       3,478  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

ResMed Inc

    4,023     $ 986  

Revvity Inc

    3,400       417  

Solventum Corp *

    3,814       245  

STERIS PLC

    2,713       654  

Stryker Corp

    9,379       3,380  

Teleflex Inc

    1,300       319  

Thermo Fisher Scientific Inc

    10,504       6,461  

UnitedHealth Group Inc

    25,257       14,907  

Universal Health Services Inc, Cl B

    1,700       405  

Vertex Pharmaceuticals Inc *

    6,966       3,454  

Viatris Inc

    33,274       402  

Waters Corp *

    1,651       572  

West Pharmaceutical Services Inc

    2,054       644  

Zimmer Biomet Holdings Inc

    5,638       651  

Zoetis Inc, Cl A

    12,230       2,244  
                 
              158,508  

Industrials — 6.3%

       

3M Co

    15,256       2,055  

A O Smith Corp

    3,300       276  

Allegion plc

    2,433       338  

American Airlines Group Inc *

    19,100       203  

AMETEK Inc

    6,409       1,096  

Automatic Data Processing Inc

    10,992       3,033  

Axon Enterprise Inc *

    2,000       730  

Boeing Co/The *

    15,496       2,692  

Broadridge Financial Solutions Inc

    3,300       702  

Builders FirstSource Inc *

    3,400       592  

Carrier Global Corp

    23,078       1,680  

Caterpillar Inc

    13,515       4,813  

CH Robinson Worldwide Inc

    3,200       331  

Cintas Corp

    2,321       1,869  

Copart Inc *

    23,272       1,232  

CSX Corp

    52,183       1,788  

Cummins Inc

    3,798       1,188  

Dayforce Inc *

    4,300       246  

Deere & Co

    6,962       2,686  

Delta Air Lines Inc

    17,846       758  

Dover Corp

    3,806       708  

Eaton Corp PLC

    11,016       3,381  

Emerson Electric Co

    15,319       1,614  

Equifax Inc

    3,390       1,041  

Expeditors International of Washington Inc

    3,838       474  

Fastenal Co

    15,811       1,080  

FedEx Corp

    6,088       1,819  

Fortive Corp

    9,788       728  

GE Vernova Inc *

    7,555       1,519  

Generac Holdings Inc *

    1,700       266  

General Dynamics Corp

    6,091       1,823  

General Electric Co

    30,120       5,260  

Honeywell International Inc

    17,977       3,738  

Howmet Aerospace Inc

    10,729       1,037  

Hubbell Inc, Cl B

    1,500       600  

Huntington Ingalls Industries Inc

    1,100       311  

 

 

 

SEI Institutional Investments Trust

 

359

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Dynamic Asset Allocation Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

IDEX Corp

    2,100     $ 434  

Illinois Tool Works Inc

    7,218       1,827  

Ingersoll Rand Inc

    11,083       1,014  

Jacobs Solutions Inc

    3,500       528  

JB Hunt Transport Services Inc

    2,300       398  

Johnson Controls International PLC

    18,572       1,353  

L3Harris Technologies Inc

    5,196       1,230  

Leidos Holdings Inc

    3,800       602  

Lockheed Martin Corp

    5,903       3,354  

Masco Corp

    6,100       485  

Nordson Corp

    1,500       385  

Norfolk Southern Corp

    5,969       1,529  

Northrop Grumman Corp

    3,817       1,997  

Old Dominion Freight Line Inc

    4,976       959  

Otis Worldwide Corp

    11,145       1,055  

PACCAR Inc

    13,987       1,345  

Parker-Hannifin Corp

    3,503       2,103  

Paychex Inc

    8,447       1,108  

Paycom Software Inc

    1,400       228  

Pentair PLC

    4,546       403  

Quanta Services Inc

    4,014       1,104  

Republic Services Inc, Cl A

    5,643       1,175  

Rockwell Automation Inc

    3,105       845  

Rollins Inc

    7,825       393  

RTX Corp

    36,606       4,515  

Snap-on Inc

    1,500       426  

Southwest Airlines Co

    16,630       481  

Stanley Black & Decker Inc

    4,300       440  

Textron Inc

    5,400       492  

Trane Technologies PLC

    6,079       2,199  

TransDigm Group Inc

    1,516       2,082  

Uber Technologies Inc *

    57,600       4,212  

Union Pacific Corp

    16,822       4,308  

United Airlines Holdings Inc *

    9,165       404  

United Parcel Service Inc, Cl B

    19,622       2,522  

United Rentals Inc

    1,796       1,331  

Veralto Corp

    6,059       681  

Verisk Analytics Inc, Cl A

    3,916       1,068  

Waste Management Inc

    9,767       2,071  

Westinghouse Air Brake Technologies Corp

    4,886       829  

WW Grainger Inc

    1,177       1,159  

Xylem Inc/NY

    6,700       921  
                 
              109,702  

Information Technology — 22.9%

       

Adobe Inc *

    12,284       7,056  

Advanced Micro Devices Inc *

    44,433       6,601  

Akamai Technologies Inc *

    4,200       428  

Amphenol Corp, Cl A

    32,222       2,173  

Analog Devices Inc

    13,710       3,220  

ANSYS Inc *

    2,421       778  

Apple Inc

    395,056       90,468  

Applied Materials Inc

    22,903       4,518  

Arista Networks Inc *

    7,061       2,495  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Autodesk Inc *

    5,892     $ 1,522  

Broadcom Inc

    119,540       19,463  

Cadence Design Systems Inc *

    7,463       2,007  

CDW Corp/DE

    3,741       844  

Cisco Systems Inc

    111,492       5,635  

Cognizant Technology Solutions Corp, Cl A

    13,718       1,067  

Corning Inc

    21,388       895  

Crowdstrike Holdings Inc, Cl A *

    6,200       1,719  

Enphase Energy Inc *

    3,768       456  

EPAM Systems Inc *

    1,577       317  

F5 Inc *

    1,600       325  

Fair Isaac Corp *

    669       1,158  

First Solar Inc *

    2,935       667  

Fortinet Inc *

    17,498       1,342  

Gartner Inc *

    2,093       1,030  

Gen Digital Inc

    15,600       413  

GoDaddy Inc, Cl A *

    3,900       653  

Hewlett Packard Enterprise Co

    36,275       703  

HP Inc

    23,736       859  

Intel Corp

    114,563       2,525  

International Business Machines Corp

    25,308       5,115  

Intuit Inc

    7,673       4,836  

Jabil Inc

    3,400       372  

Juniper Networks Inc

    8,900       346  

Keysight Technologies Inc *

    4,879       752  

KLA Corp

    3,682       3,017  

Lam Research Corp

    3,542       2,908  

Microchip Technology Inc

    14,354       1,179  

Micron Technology Inc

    29,762       2,864  

Microsoft Corp

    203,760       84,996  

Monolithic Power Systems Inc

    1,348       1,260  

Motorola Solutions Inc

    4,430       1,958  

NetApp Inc

    5,700       688  

NVIDIA Corp

    674,270       80,488  

ON Semiconductor Corp *

    11,930       929  

Oracle Corp

    43,819       6,191  

Palo Alto Networks Inc *

    8,700       3,156  

PTC Inc *

    3,300       591  

Qorvo Inc *

    2,700       313  

QUALCOMM Inc

    30,768       5,394  

Roper Technologies Inc

    2,863       1,587  

Salesforce Inc

    26,754       6,766  

Seagate Technology Holdings PLC

    5,400       538  

ServiceNow Inc *

    5,567       4,760  

Skyworks Solutions Inc

    4,454       488  

Super Micro Computer Inc *

    1,364       597  

Synopsys Inc *

    4,253       2,210  

TE Connectivity Ltd

    8,468       1,301  

Teledyne Technologies Inc *

    1,302       563  

Teradyne Inc

    4,300       588  

Texas Instruments Inc

    25,107       5,381  

Trimble Inc *

    6,900       391  

Tyler Technologies Inc *

    1,200       705  

 

 

 

360

 

SEI Institutional Investments Trust

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Dynamic Asset Allocation Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

VeriSign Inc *

    2,340     $ 430  

Western Digital Corp *

    9,003       591  

Zebra Technologies Corp, Cl A *

    1,400       484  
                 
              396,070  

Materials — 1.7%

       

Air Products and Chemicals Inc

    5,974       1,666  

Albemarle Corp

    3,196       288  

Amcor PLC

    40,107       459  

Avery Dennison Corp

    2,200       488  

Ball Corp

    8,500       542  

Celanese Corp, Cl A

    2,800       366  

CF Industries Holdings Inc

    5,046       419  

Corteva Inc

    19,159       1,098  

Dow Inc

    19,573       1,049  

DuPont de Nemours Inc

    11,539       972  

Eastman Chemical Co

    3,300       338  

Ecolab Inc

    6,987       1,769  

FMC Corp

    3,600       232  

Freeport-McMoRan Inc, Cl B

    38,385       1,700  

International Flavors & Fragrances Inc

    7,073       736  

International Paper Co

    9,600       465  

Linde PLC

    13,233       6,329  

LyondellBasell Industries NV, Cl A

    7,155       706  

Martin Marietta Materials Inc

    1,670       892  

Mosaic Co/The

    8,763       250  

Newmont Corp

    31,797       1,698  

Nucor Corp

    6,382       969  

Packaging Corp of America

    2,500       524  

PPG Industries Inc

    6,515       845  

Sherwin-Williams Co/The

    6,249       2,308  

Smurfit WestRock

    13,541       642  

Steel Dynamics Inc

    4,025       481  

Vulcan Materials Co

    3,621       888  
                 
              29,119  

Real Estate — 1.8%

       

Alexandria Real Estate Equities Inc

    4,403       526  

American Tower Corp, Cl A

    12,556       2,813  

AvalonBay Communities Inc

    3,915       884  

BXP

    4,000       301  

Camden Property Trust

    2,900       363  

CBRE Group Inc, Cl A *

    8,265       952  

CoStar Group Inc *

    11,390       880  

Crown Castle Inc

    11,494       1,288  

Digital Realty Trust Inc

    8,922       1,353  

Equinix Inc

    2,614       2,181  

Equity Residential

    9,629       721  

Essex Property Trust Inc

    1,766       533  

Extra Space Storage Inc

    5,845       1,035  

Federal Realty Investment Trust

    2,100       242  

Healthpeak Properties Inc

    18,600       414  

Host Hotels & Resorts Inc

    19,585       347  

Invitation Homes Inc

    15,800       582  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Iron Mountain Inc

    8,171     $ 925  

Kimco Realty Corp

    18,300       426  

Mid-America Apartment Communities Inc

    3,263       530  

Prologis Inc

    24,908       3,184  

Public Storage

    4,356       1,497  

Realty Income Corp

    23,253       1,444  

Regency Centers Corp

    4,500       327  

SBA Communications Corp, Cl A

    3,012       683  

Simon Property Group Inc

    8,633       1,445  

UDR Inc

    8,300       369  

Ventas Inc

    11,100       689  

VICI Properties Inc, Cl A

    28,796       964  

Welltower Inc

    15,993       1,930  

Weyerhaeuser Co

    20,278       618  
                 
              30,446  

Utilities — 1.8%

       

AES Corp/The

    19,600       336  

Alliant Energy Corp

    7,100       414  

Ameren Corp

    7,496       619  

American Electric Power Co Inc

    14,524       1,456  

American Water Works Co Inc

    5,372       769  

Atmos Energy Corp

    4,222       552  

CenterPoint Energy Inc

    17,592       480  

CMS Energy Corp

    8,200       556  

Consolidated Edison Inc

    9,637       979  

Constellation Energy Corp

    8,426       1,657  

Dominion Energy Inc

    23,094       1,291  

DTE Energy Co

    5,717       715  

Duke Energy Corp

    20,700       2,359  

Edison International

    10,671       929  

Entergy Corp

    5,911       713  

Evergy Inc

    6,299       373  

Eversource Energy

    9,708       656  

Exelon Corp

    27,726       1,056  

FirstEnergy Corp

    14,264       626  

NextEra Energy Inc

    56,598       4,557  

NiSource Inc

    12,100       400  

NRG Energy Inc

    5,800       493  

PG&E Corp

    56,498       1,113  

Pinnacle West Capital Corp

    3,100       271  

PPL Corp

    20,318       648  

Public Service Enterprise Group Inc

    13,727       1,108  

Sempra

    16,776       1,379  

Southern Co/The

    29,267       2,529  

Vistra Corp

    9,100       777  

WEC Energy Group Inc

    8,755       814  

Xcel Energy Inc

    15,346       940  
                 
              31,565  

Total Common Stock

               

(Cost $349,282) ($ Thousands)

            1,291,450  

 

 

 

SEI Institutional Investments Trust

 

361

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Dynamic Asset Allocation Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

FOREIGN COMMON STOCK — 0.4%

                 

China — 0.1%

       

NXP Semiconductors NV

    7,017     $ 1,799  
                 
                 
                 

Ireland — 0.3%

       

Accenture PLC, Cl A

    17,316       5,921  
                 
                 
                 

Total Foreign Common Stock

               

(Cost $2,622) ($ Thousands)

            7,720  
                 

CASH EQUIVALENT — 1.4%

SEI Daily Income Trust, Government Fund, Institutional Class

               

5.200%**

    23,547,084       23,547  

Total Cash Equivalent

               

(Cost $23,547) ($ Thousands)

            23,547  
                 

PURCHASED OPTIONS — 0.2%

Total Purchased Options

               

(Cost $9,439) ($ Thousands)

            3,093  
                 
                 

PURCHASED SWAPTION — 0.2%

Total Purchased Swaption

               

(Cost $2,975) ($ Thousands)

            3,892  
                 

Total Investments in Securities — 76.8%

               

(Cost $387,865) ($ Thousands)

  $ 1,329,702  
                 
                 

WRITTEN OPTIONS — (0.5)%

Total Written Options

               

(Premiums Received $4,887) ($ Thousands)

          $ (7,162 )
                 
                 

WRITTEN SWAPTION — (0.0)%

Total Written Swaption

               

(Premiums Received $600) ($ Thousands)

          $ (548 )
                 
                 

 

 
 

 

A list of open exchange traded options contracts for the Fund at August 31, 2024, is as follows:

 

Description

 

Number of Contracts

   

Notional Amount
(Thousands)

   

Exercise Price

   

Expiration Date

   

Value
(Thousands)

 

PURCHASED OPTIONS — 0.2%

                               

Call Options

                               

EUR Put/USD Call

    426,000,000     $ 447,300     $ 1.05       10/19/2024     $ 96  

USD Call/CNH Put

    340,000,000       2,465,000       7.25       8/16/2025       2,997  
                                         
                                         
                                         

Total Purchased Options

          $ 2,912,300                     $ 3,093  

WRITTEN OPTIONS — (0.5)%

                               

Put Options

                                       

CNH Call/USD Put

    (340,000,000 )   $ (2,329,000 )     6.85       08/16/2025     $ (6,280 )
                                         
                                         
                                         

 

 

 

362

 

SEI Institutional Investments Trust

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Dynamic Asset Allocation Fund (Continued)

 

 

A list of open exchange traded options contracts for the Fund at August 31, 2024, is as follows:

Description

 

Number of Contracts

   

Notional Amount
(Thousands)

   

Exercise Price

   

Expiration Date

   

Value
(Thousands)

 

WRITTEN OPTIONS (continued)

                               

Call Options

                                       

USD Call/CNH Put

    (340,000,000 )   $ (2,628,540 )   $ 7.73       08/16/2025     $ (882 )
                                         
                                         
                                         

Total Written Options

          $ (4,957,540 )                   $ (7,162 )
                                         
                                         

 

A list of open OTC swaptions held by the Fund at August 31, 2024, is as follows:

 

Description

 

Counterparty

   

Number of Contracts/ Notional Amount

   

Exercise Price

   

Expiration Date

   

Value
(Thousands)

 

PURCHASED SWAPTION — 0.2%

                       

Call Swaptions

                               

Swaption

    Bank of America Merrill Lynch     $ 1,696,000,000     $ 0.12       05/17/2025     $ 3,892  
                                         

WRITTEN SWAPTION — 0.0%

                       

Call Swaptions

                               

Swaption

    Bank of America Merrill Lynch     $ (1,696,000,000 )     0.87       05/17/2025     $ (548 )
                                         

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation(Thousands)

 

Long Contracts

                                       

S&P 500 Index E-MINI^

    1,522       Sep-2024     $ 421,838     $ 430,802     $ 8,964  

 

A list of the open centrally cleared swap agreements held by the Fund at August 31, 2024, is as follows:

 

 

Interest Rate Swaps

 
 

Fund Pays

   

Fund Receives

   

Payment Frequency

   

Termination Date

   

Currency

   

Notional Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/ Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 
    2.385%^       U.S. CPI       Annually       07/31/2029       USD       265,000     $ (732 )   $     $ (732 )
    2.39%^       U.S. CPI       Annually       07/31/2029       USD       265,000       (793 )           (793 )
    2.4%^       U.S. CPI       Annually       08/01/2029       USD       107,000       (373 )           (373 )
    2.659%^       U.S. CPI       Annually       02/27/2033       USD       269,000       6,960             6,960  
    0.281%       1-Day JPY-MUTKCALM Compounded-OIS       Annually       05/15/2026       JPY       264,893,382       3,994             3,994  
    0.293%       TONAR       Annually       05/15/2026       JPY       209,944,853       2,996             2,996  
    SOFR       3.41%       Annually       12/11/2028       USD       1,023,842       4,477             4,477  
    3.432%       SOFR       Annually       12/11/2056       USD       107,637       (2,468 )           (2,468 )
    3.707%       SOFR       Annually       03/05/2034       USD       345,000       (3,419 )           (3,419 )
    3.726%       USD-SOFR-OIS COMPOUND       Annually       06/18/2034       USD       163,000       (1,597 )           (1,597 )
    3.745%       USD-SOFR-OIS COMPOUND       Annually       06/11/2034       USD       164,000       (1,738 )           (1,738 )
    4.161%       SOFR       Annually       11/02/2056       USD       214,675       (32,009 )           (32,009 )
    4.2725%       SOFR       Annually       07/22/2025       USD       1,150,000       1,003             1,003  
    SOFR       4.35%       Annually       11/02/2031       USD       837,500       38,156             38,156  
    4.36%       USD-SOFR-OIS COMPOUND       Annually       07/26/2025       USD       517,500       5             5  
                                                  $ 14,462     $     $ 14,462  

 

 

 

SEI Institutional Investments Trust

 

363

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Dynamic Asset Allocation Fund (Concluded)

 

 

A list of open OTC swap agreements held by the Fund at August 31, 2024, is as follows:

 

Total Return Swap

Counterparty

 

Reference Entity/ Obligation

   

Fund Pays

   

Fund Receives

   

Payment Frequency

   

Termination Date

   

Currency

   

Notional
Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/
Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 

Goldman Sachs^

    +BCOMTR/0.075%       3-MONTH TREASURY BILL RATE + 7.5 BPS       INDEX RETURN       Annually       09/13/2024       USD       74,133     $ (5,427 )   $     $ (5,427 )
                                                            $ (5,427 )   $     $ (5,427 )

 

 

Percentages are based on Net Assets of $1,732,024 ($ Thousands).

*

Non-income producing security.

Real Estate Investment Trust.

**

The rate reported is the 7-day effective yield as of August 31, 2024.

Investment in Affiliated Security.

^

Security, or a portion thereof, is held by DAA Commodity Strategy Subsidiary, Ltd. as of August 31, 2024.

 

The following is a summary of the Fund’s transactions with affiliates for the period ended August 31, 2024 ($ Thousands):

 

Security Description

 

Value
5/31/2024

   

Purchases
at Cost

   

Proceeds
from Sales

   

Realized Gain (Loss)

   

Change in Unrealized Appreciation (Depreciation)

   

Value
8/31/2024

   

Income

   

Capital Gains

 

SEI Daily Income Trust, Government Fund,
Institutional Class

  $ 19,589     $ 49,453     $ (45,495 )   $     $     $ 23,547     $ 233     $  

 

                                                               

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

364

 

SEI Institutional Investments Trust

 

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

U.S. TREASURY OBLIGATIONS — 63.2%

U.S. Treasury Bills ^

               

5.297%, 11/14/2024 (A)

  $ 9,000     $ 8,910  

5.296%, 10/24/2024 (A)

    4,000       3,971  

5.289%, 11/07/2024 (A)

    7,000       6,936  

5.288%, 10/17/2024 (A)

    9,000       8,944  

5.272%, 10/10/2024 (A)

    8,000       7,958  

5.249%, 09/26/2024 (A)

    9,400       9,369  

5.230%, 11/21/2024 (A)

    9,500       9,396  

5.213%, 10/03/2024 (A)

    6,000       5,974  

5.201%, 10/31/2024 (A)

    9,700       9,621  

U.S. Treasury Inflation-Protected Securities

               

0.750%, 07/15/2028

    106,229       102,738  

0.375%, 07/15/2027 (B)

    187,173       180,204  

0.250%, 07/15/2029

    44,901       42,130  

0.125%, 07/15/2026

    15,183       14,676  

U.S. Treasury Notes ^

               

5.278%, USBMMY3M + 0.245%, 01/31/2026 (C)

    8,300       8,301  

5.233%, USBMMY3M + 0.200%, 01/31/2025 (C)(H)

    10,300       10,300  

5.203%, USBMMY3M + 0.170%, 10/31/2025 (C)

    9,200       9,195  

5.202%, USBMMY3M + 0.169%, 04/30/2025 (C)

    7,500       7,499  

5.183%, USBMMY3M + 0.150%, 04/30/2026 (C)

    900       899  

5.173%, USBMMY3M + 0.140%, 10/31/2024 (C)(H)

    10,000       9,998  

5.158%, USBMMY3M + 0.125%, 07/31/2025 (C)

    7,600       7,593  

5.000%, 08/31/2025

    1,000       1,006  

4.875%, 05/31/2026

    800       811  

4.750%, 07/31/2025

    1,200       1,203  

4.625%, 02/28/2025

    700       699  

4.500%, 04/15/2027

    1,000       1,016  

4.375%, 08/15/2026

    1,200       1,210  

4.375%, 07/15/2027

    800       812  

4.000%, 02/15/2026

    700       699  
         

Total U.S. Treasury Obligations

       

(Cost $470,850) ($ Thousands)

    472,068  
                 
                 
   


Shares

         

COMMON STOCK — 28.8%

                 

Communication Services — 2.3%

       

Alphabet Inc, Cl A

    12,715       2,077  

Alphabet Inc, Cl C

    10,669       1,762  

AST SpaceMobile Inc, Cl A *

    2,092       61  

AT&T Inc (D)

    106,703       2,123  

Cogent Communications Holdings Inc

    796       56  

Electronic Arts Inc

    1,669       253  

Frontier Communications Parent Inc *

    3,600       104  

GCI Liberty - Escrow *

    1,350        

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Iridium Communications Inc

    1,840     $ 47  

Liberty Media Corp-Liberty Formula One, Cl C *

    1,205       94  

Live Nation Entertainment Inc *

    1,019       100  

Lumen Technologies Inc *

    17,026       89  

Madison Square Garden Sports Corp, Cl A *

    224       47  

Match Group Inc *

    938       35  

Meta Platforms Inc, Cl A

    4,748       2,475  

Netflix Inc *

    2,713       1,903  

Pinterest Inc, Cl A *

    1,345       43  

ROBLOX Corp, Cl A *

    4,785       210  

Roku Inc, Cl A *

    1,148       78  

Spotify Technology SA *

    894       307  

Take-Two Interactive Software Inc *

    962       156  

Telephone and Data Systems Inc

    2,374       56  

TKO Group Holdings Inc, Cl A

    559       66  

T-Mobile US Inc

    7,297       1,450  

Verizon Communications Inc

    61,819       2,583  

Walt Disney Co/The

    11,596       1,048  

Warner Bros Discovery Inc *(D)

    14,974       117  
                 
              17,340  

Consumer Staples — 7.5%

       

Albertsons Cos Inc, Cl A

    6,916       136  

Altria Group Inc (D)

    31,172       1,676  

Andersons Inc/The

    1,006       51  

Archer-Daniels-Midland Co

    8,940       545  

BellRing Brands Inc *

    2,519       141  

BJ's Wholesale Club Holdings Inc *

    2,289       183  

Boston Beer Co Inc/The, Cl A *

    226       61  

Brown-Forman Corp, Cl A

    1,163       53  

Brown-Forman Corp, Cl B

    3,097       141  

Bunge Global SA

    2,608       264  

Cal-Maine Foods Inc

    723       52  

Campbell Soup Co

    3,895       194  

Casey's General Stores Inc

    654       237  

Celsius Holdings Inc *

    2,871       109  

Central Garden & Pet Co, Cl A *

    1,527       52  

Chefs' Warehouse Inc/The *

    463       20  

Church & Dwight Co Inc

    4,440       452  

Clorox Co/The

    2,191       347  

Coca-Cola Co/The (D)

    70,983       5,144  

Coca-Cola Consolidated Inc

    84       113  

Colgate-Palmolive Co

    14,956       1,593  

Conagra Brands Inc

    8,383       262  

Constellation Brands Inc, Cl A

    2,966       714  

Costco Wholesale Corp (D)

    8,075       7,206  

Coty Inc, Cl A *

    8,833       83  

Darling Ingredients Inc *

    3,085       129  

Dollar General Corp

    3,959       329  

Dollar Tree Inc *

    3,606       305  

Edgewell Personal Care Co

    1,406       57  

elf Beauty Inc *

    1,023       153  

Energizer Holdings Inc

    1,064       35  

 

 

 

SEI Institutional Investments Trust

 

365

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Estee Lauder Cos Inc/The, Cl A

    4,188     $ 384  

Flowers Foods Inc

    3,606       84  

Freshpet Inc *

    872       119  

General Mills Inc

    10,209       738  

Grocery Outlet Holding Corp *

    2,231       42  

Hain Celestial Group Inc/The *

    2,310       19  

Herbalife Ltd *

    2,495       20  

Hershey Co/The

    2,786       538  

Hormel Foods Corp

    5,567       181  

Ingles Markets Inc, Cl A

    394       29  

Ingredion Inc

    1,321       177  

Inter Parfums Inc

    259       33  

J & J Snack Foods Corp

    343       58  

J M Smucker Co/The

    1,807       207  

Kellanova

    4,840       390  

Kenvue Inc

    35,394       777  

Keurig Dr Pepper Inc

    17,652       646  

Kimberly-Clark Corp

    6,191       896  

Kraft Heinz Co/The

    15,025       532  

Kroger Co/The

    12,012       639  

Lamb Weston Holdings Inc

    2,760       171  

Lancaster Colony Corp

    385       66  

Maplebear Inc *

    3,713       133  

McCormick & Co Inc/MD

    4,775       382  

MGP Ingredients Inc

    315       28  

Molson Coors Beverage Co, Cl B

    3,237       175  

Mondelez International Inc, Cl A

    24,287       1,744  

Monster Beverage Corp *

    13,512       637  

National Beverage Corp

    330       15  

Nu Skin Enterprises Inc, Cl A

    1,445       13  

PepsiCo Inc (D)

    25,108       4,341  

Performance Food Group Co *

    2,944       220  

Philip Morris International Inc (D)

    28,283       3,487  

Pilgrim's Pride Corp *

    1,324       62  

Post Holdings Inc *

    957       111  

PriceSmart Inc

    663       59  

Primo Water Corp

    2,994       66  

Procter & Gamble Co/The (D)

    42,907       7,360  

Reynolds Consumer Products Inc

    1,564       49  

Simply Good Foods Co/The *

    2,255       71  

Spectrum Brands Holdings Inc

    552       52  

Sprouts Farmers Market Inc *

    1,846       192  

Sysco Corp

    9,056       706  

Target Corp

    8,383       1,288  

TreeHouse Foods Inc *

    1,204       50  

Tyson Foods Inc, Cl A (D)

    5,199       334  

United Natural Foods Inc *

    1,642       25  

Universal Corp/VA

    684       37  

US Foods Holding Corp *

    4,294       254  

Utz Brands Inc

    999       17  

Vector Group Ltd

    2,517       38  

Vita Coco Co Inc/The *

    334       9  

Vital Farms Inc *

    691       22  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Walgreens Boots Alliance Inc

    13,180     $ 122  

Walmart Inc (D)

    78,043       6,027  

WD-40 Co

    260       68  

Weis Markets Inc

    617       42  

WK Kellogg Co

    2,003       34  
                 
              55,853  

Energy — 6.7%

       

Antero Midstream Corp

    9,622       143  

Antero Resources Corp *

    7,603       205  

APA Corp

    9,746       278  

Archrock Inc

    4,828       98  

Atlas Energy Solutions Inc, Cl A

    1,722       36  

Baker Hughes Co, Cl A

    25,891       911  

Berry Corp

    4,396       27  

Bristow Group Inc *

    416       17  

Cactus Inc, Cl A

    1,614       96  

California Resources Corp

    1,679       88  

Centrus Energy Corp, Cl A *

    700       28  

ChampionX Corp

    5,224       163  

Cheniere Energy Inc

    5,866       1,087  

Chesapeake Energy Corp

    3,096       231  

Chevron Corp (D)

    44,143       6,531  

Chord Energy Corp

    1,590       236  

Civitas Resources Inc

    2,005       123  

Clean Energy Fuels Corp *

    7,126       22  

CNX Resources Corp *

    3,626       100  

Comstock Resources Inc

    3,259       35  

ConocoPhillips (D)

    29,943       3,407  

CONSOL Energy Inc

    820       84  

Core Laboratories Inc

    1,242       24  

Coterra Energy Inc, Cl A

    19,193       467  

Crescent Energy Co, Cl A

    3,331       40  

CVR Energy Inc

    501       13  

Delek US Holdings Inc

    2,371       48  

Devon Energy Corp

    16,310       730  

DHT Holdings Inc

    5,005       54  

Diamond Offshore Drilling Inc *

    2,351       34  

Diamondback Energy Inc

    4,587       895  

Dorian LPG Ltd

    858       33  

Dril-Quip Inc *

    1,494       24  

DT Midstream Inc

    2,508       197  

Energy Fuels Inc/Canada *

    6,451       32  

EOG Resources Inc

    14,701       1,894  

EQT Corp

    15,054       504  

Expro Group Holdings NV *

    1,878       37  

Exxon Mobil Corp (D)

    114,689       13,526  

Green Plains Inc *

    2,152       30  

Gulfport Energy Corp *

    384       56  

Halliburton Co

    22,927       713  

Helix Energy Solutions Group Inc *

    5,206       58  

Helmerich & Payne Inc

    2,670       87  

Hess Corp

    7,146       987  

HF Sinclair Corp

    4,282       210  

 

 

 

366

 

SEI Institutional Investments Trust

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

International Seaways Inc

    1,220     $ 63  

Kinder Morgan Inc

    50,293       1,085  

Kinetik Holdings Inc, Cl A

    995       44  

Liberty Energy Inc, Cl A

    4,166       86  

Magnolia Oil & Gas Corp, Cl A

    4,726       121  

Marathon Oil Corp

    15,013       430  

Marathon Petroleum Corp (D)

    8,998       1,594  

Matador Resources Co

    3,024       172  

Murphy Oil Corp

    3,936       147  

Nabors Industries Ltd *

    440       33  

New Fortress Energy Inc, Cl A

    2,545       31  

Newpark Resources Inc *

    4,300       35  

NextDecade Corp *

    4,583       21  

Noble Corp PLC

    3,095       118  

Northern Oil & Gas Inc

    2,512       100  

NOV Inc

    10,337       184  

Occidental Petroleum Corp

    16,278       928  

Oceaneering International Inc *

    2,489       67  

ONEOK Inc

    14,917       1,378  

Ovintiv Inc

    6,743       289  

Par Pacific Holdings Inc *

    1,423       32  

Patterson-UTI Energy Inc

    9,060       83  

PBF Energy Inc, Cl A

    2,798       95  

Peabody Energy Corp

    2,741       64  

Permian Resources Corp, Cl A

    16,037       228  

Phillips 66

    10,825       1,519  

ProPetro Holding Corp *

    4,553       36  

Range Resources Corp

    5,929       177  

REX American Resources Corp *

    440       20  

SandRidge Energy Inc

    1,794       24  

Schlumberger NV

    36,529       1,607  

Select Water Solutions Inc, Cl A

    1,009       12  

Sitio Royalties Corp, Cl A

    1,710       38  

SM Energy Co

    3,005       137  

Southwestern Energy Co *

    29,830       190  

Talos Energy Inc *

    3,994       46  

Targa Resources Corp

    5,600       823  

Texas Pacific Land Corp

    494       429  

Tidewater Inc *

    1,266       112  

Transocean Ltd *

    19,394       92  

Uranium Energy Corp *

    9,689       51  

VAALCO Energy Inc

    598       4  

Valaris Ltd *

    1,371       84  

Valero Energy Corp (D)

    8,329       1,222  

Viper Energy Inc, Cl A

    2,332       111  

Vital Energy Inc *

    595       21  

Weatherford International PLC

    1,916       201  

Williams Cos Inc/The

    31,561       1,445  

World Kinect Corp

    1,633       47  
                 
              50,515  

Health Care — 5.9%

       

10X Genomics Inc, Cl A *

    1,298       30  

Abbott Laboratories

    11,622       1,316  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

AbbVie Inc

    11,796     $ 2,316  

Acadia Healthcare Co Inc *

    869       71  

ACADIA Pharmaceuticals Inc *

    1,915       32  

Agilent Technologies Inc

    2,054       294  

Align Technology Inc *

    543       129  

Alkermes PLC *

    1,229       35  

Alnylam Pharmaceuticals Inc *

    819       215  

Amedisys Inc *

    307       30  

Amgen Inc (D)

    3,591       1,199  

Amicus Therapeutics Inc *

    2,796       32  

AMN Healthcare Services Inc *

    384       20  

Amphastar Pharmaceuticals Inc *

    518       25  

Apellis Pharmaceuticals Inc *

    992       39  

Arrowhead Pharmaceuticals Inc *

    1,007       24  

Avantor Inc *

    4,642       120  

Avidity Biosciences Inc *

    998       44  

Axsome Therapeutics Inc *

    335       30  

Azenta Inc *

    455       23  

Baxter International Inc (D)

    3,817       145  

Becton Dickinson & Co

    1,994       483  

Biogen Inc *

    1,033       212  

Biohaven Ltd *

    529       21  

BioMarin Pharmaceutical Inc *

    1,238       113  

Bio-Rad Laboratories Inc, Cl A *

    109       37  

Bio-Techne Corp

    1,241       92  

Blueprint Medicines Corp *

    574       55  

Boston Scientific Corp *

    9,801       802  

Bridgebio Pharma Inc *

    1,239       35  

Bristol-Myers Squibb Co

    13,355       667  

Bruker Corp

    555       37  

Cardinal Health Inc

    1,767       199  

Catalent Inc *

    1,403       86  

Cencora Inc

    1,199       287  

Centene Corp *

    3,420       270  

Certara Inc *

    1,670       20  

Charles River Laboratories International Inc *

    423       84  

Chemed Corp

    142       83  

Cigna Group/The

    1,907       690  

Cooper Cos Inc/The

    1,359       144  

Crinetics Pharmaceuticals Inc *

    769       41  

CVS Health Corp

    8,614       493  

Cytokinetics Inc *

    1,026       59  

Danaher Corp

    4,381       1,180  

DaVita Inc *

    377       57  

Denali Therapeutics Inc *

    1,280       31  

DENTSPLY SIRONA Inc

    1,927       49  

Dexcom Inc *

    2,464       171  

Doximity Inc, Cl A *

    603       22  

Dynavax Technologies Corp, Cl A *

    1,968       22  

Dyne Therapeutics Inc *

    2,414       111  

Edwards Lifesciences Corp *

    4,117       288  

Elanco Animal Health Inc *

    4,345       67  

 

 

 

SEI Institutional Investments Trust

 

367

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Elevance Health Inc

    1,529     $ 851  

Eli Lilly & Co

    5,618       5,393  

Encompass Health Corp

    696       65  

Ensign Group Inc/The

    457       69  

Envista Holdings Corp *

    1,835       34  

Evolent Health Inc, Cl A *

    1,554       50  

Exact Sciences Corp *

    1,120       69  

Exelixis Inc *

    1,690       44  

Fortrea Holdings Inc *

    800       18  

GE HealthCare Technologies Inc

    2,757       234  

Gilead Sciences Inc (D)

    8,367       661  

Glaukos Corp *

    414       55  

Globus Medical Inc, Cl A *

    913       66  

GRAIL Inc *

    1        

Guardant Health Inc *

    379       10  

Haemonetics Corp *

    263       20  

Halozyme Therapeutics Inc *

    659       42  

HCA Healthcare Inc

    1,324       524  

HealthEquity Inc *

    472       38  

Henry Schein Inc *

    1,157       82  

Hims & Hers Health Inc *

    1,212       18  

Hologic Inc *

    1,703       138  

Humana Inc

    791       280  

Ideaya Biosciences Inc *

    220       9  

IDEXX Laboratories Inc *

    573       276  

Illumina Inc *

    1,202       158  

Inari Medical Inc *

    571       25  

Incyte Corp *

    1,271       83  

Insmed Inc *

    1,299       99  

Inspire Medical Systems Inc *

    203       36  

Insulet Corp *

    521       106  

Integer Holdings Corp *

    208       27  

Integra LifeSciences Holdings Corp *

    764       16  

Intellia Therapeutics Inc *

    1,368       31  

Intra-Cellular Therapies Inc *

    779       57  

Intuitive Surgical Inc *

    2,349       1,157  

Ionis Pharmaceuticals Inc *

    1,251       60  

Iovance Biotherapeutics Inc *

    2,165       25  

IQVIA Holdings Inc *

    1,181       297  

Jazz Pharmaceuticals PLC *

    607       70  

Johnson & Johnson

    15,933       2,643  

Krystal Biotech Inc *

    207       40  

Labcorp Holdings Inc

    622       143  

Lantheus Holdings Inc *

    349       37  

LivaNova PLC *

    534       27  

Madrigal Pharmaceuticals Inc *

    114       28  

Masimo Corp *

    264       31  

McKesson Corp

    868       487  

Medpace Holdings Inc *

    203       72  

Medtronic PLC

    8,929       791  

Merck & Co Inc

    16,748       1,984  

Merit Medical Systems Inc *

    610       59  

Mettler-Toledo International Inc *

    150       216  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Moderna Inc *

    2,118     $ 164  

Molina Healthcare Inc *

    438       153  

Natera Inc *

    838       99  

Neogen Corp *

    849       15  

Neurocrine Biosciences Inc *

    701       89  

Omnicell Inc *

    671       30  

Option Care Health Inc *

    1,743       56  

Organon & Co

    2,315       52  

Penumbra Inc *

    248       50  

Perrigo Co PLC

    1,200       35  

Pfizer Inc

    37,446       1,086  

Prestige Consumer Healthcare Inc *

    385       29  

Privia Health Group Inc *

    1,592       32  

PROCEPT BioRobotics Corp *

    582       46  

Progyny Inc *

    1,026       24  

PTC Therapeutics Inc *

    720       25  

QIAGEN NV

    1,615       74  

Quest Diagnostics Inc

    873       137  

QuidelOrtho Corp *

    663       28  

R1 RCM Inc *

    2,352       33  

RadNet Inc *

    508       34  

Regeneron Pharmaceuticals Inc *

    690       817  

Repligen Corp *

    352       53  

ResMed Inc

    969       237  

REVOLUTION Medicines Inc *

    1,449       62  

Revvity Inc

    811       99  

Roivant Sciences Ltd *

    2,796       34  

Royalty Pharma PLC, Cl A

    3,483       101  

Sarepta Therapeutics Inc *

    614       83  

Select Medical Holdings Corp

    1,118       40  

Solventum Corp *

    1,151       74  

Sotera Health Co *

    1,761       27  

SpringWorks Therapeutics Inc *

    519       22  

STAAR Surgical Co *

    652       22  

STERIS PLC

    665       160  

Stryker Corp

    2,398       864  

Tandem Diabetes Care Inc *

    721       31  

Teladoc Health Inc *

    1,526       11  

Teleflex Inc

    341       84  

Tenet Healthcare Corp *

    673       112  

TG Therapeutics Inc *

    1,747       41  

Thermo Fisher Scientific Inc

    2,522       1,551  

TransMedics Group Inc *

    126       21  

Twist Bioscience Corp *

    246       11  

Ultragenyx Pharmaceutical Inc *

    748       42  

United Therapeutics Corp *

    322       117  

UnitedHealth Group Inc (D)

    6,074       3,585  

Universal Health Services Inc, Cl B

    485       115  

Vaxcyte Inc *

    608       49  

Veeva Systems Inc, Cl A *

    997       216  

Vertex Pharmaceuticals Inc *

    1,767       876  

Viatris Inc

    9,634       116  

Viking Therapeutics Inc *

    743       48  

 

 

 

368

 

SEI Institutional Investments Trust

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Waters Corp *

    445     $ 154  

West Pharmaceutical Services Inc

    482       151  

Zimmer Biomet Holdings Inc

    1,358       157  

Zoetis Inc, Cl A

    3,112       571  
                 
              44,073  

Information Technology — 1.9%

       

Adobe Inc *

    1,102       633  

Akamai Technologies Inc *

    269       27  

Amdocs Ltd

    325       28  

ANSYS Inc *

    226       73  

AppLovin Corp, Cl A *

    498       46  

Atlassian Corp, Cl A *

    475       79  

Autodesk Inc *

    542       140  

Bentley Systems Inc, Cl B

    742       38  

BILL Holdings Inc *

    323       18  

Cadence Design Systems Inc *

    642       173  

Cloudflare Inc, Cl A *

    874       72  

Cognizant Technology Solutions Corp, Cl A

    1,279       99  

Confluent Inc, Cl A *

    828       18  

Crowdstrike Holdings Inc, Cl A *

    517       143  

Datadog Inc, Cl A *

    758       88  

DocuSign Inc, Cl A *

    860       51  

DXC Technology Co *

    1,118       23  

Dynatrace Inc *

    1,096       55  

Elastic NV *

    325       25  

EPAM Systems Inc *

    189       38  

Fair Isaac Corp *

    61       106  

Five9 Inc *

    447       14  

Fortinet Inc *

    1,558       119  

Gartner Inc *

    214       105  

Gen Digital Inc

    1,464       39  

Globant SA *

    104       21  

GoDaddy Inc, Cl A *

    506       85  

Guidewire Software Inc *

    193       29  

HubSpot Inc *

    118       59  

International Business Machines Corp

    2,136       432  

Intuit Inc

    716       451  

Manhattan Associates Inc *

    171       45  

Microsoft Corp (D)

    18,279       7,625  

MicroStrategy Inc, Cl A *

    330       44  

MongoDB Inc, Cl A *

    171       50  

Nutanix Inc, Cl A *

    491       31  

Okta Inc, Cl A *

    355       28  

Oracle Corp

    3,731       527  

Palantir Technologies Inc, Cl A *

    4,771       150  

Palo Alto Networks Inc *

    715       259  

PTC Inc *

    318       57  

Roper Technologies Inc

    243       135  

Salesforce Inc

    2,386       603  

ServiceNow Inc *

    553       473  

Snowflake Inc, Cl A *

    722       82  

SPS Commerce Inc *

    193       39  

Synopsys Inc *

    363       189  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

Twilio Inc, Cl A *

    774     $ 49  

Tyler Technologies Inc *

    98       58  

UiPath Inc, Cl A *

    2,002       26  

Unity Software Inc *

    978       16  

VeriSign Inc *

    212       39  

Workday Inc, Cl A *

    534       140  

Zoom Video Communications Inc, Cl A *

    745       51  

Zscaler Inc *

    250       50  
                 
              14,093  

Real Estate — 3.0%

       

Acadia Realty Trust

    1,420       32  

Agree Realty Corp

    1,625       119  

Alexander & Baldwin Inc

    2,292       45  

Alexandria Real Estate Equities Inc

    2,637       315  

American Assets Trust Inc

    1,440       39  

American Homes 4 Rent, Cl A

    4,815       191  

American Tower Corp, Cl A

    6,796       1,523  

Americold Realty Trust Inc

    3,951       115  

Apartment Investment and Management Co, Cl A *

    4,422       41  

Apple Hospitality REIT Inc

    2,807       41  

AvalonBay Communities Inc

    2,064       466  

Brixmor Property Group Inc

    4,134       113  

Broadstone Net Lease Inc, Cl A

    3,987       73  

BXP Inc

    2,435       183  

Camden Property Trust

    1,403       176  

CareTrust REIT Inc

    2,654       79  

CBRE Group Inc, Cl A *

    4,498       518  

Community Healthcare Trust Inc

    944       18  

Compass Inc, Cl A *

    4,431       23  

COPT Defense Properties

    1,824       54  

CoStar Group Inc *

    6,236       482  

Cousins Properties Inc

    2,881       82  

Crown Castle Inc

    6,326       709  

CubeSmart

    3,306       171  

Cushman & Wakefield PLC *

    4,153       54  

DiamondRock Hospitality Co

    4,058       36  

Digital Realty Trust Inc

    4,699       712  

DigitalBridge Group Inc

    3,683       46  

Douglas Emmett Inc

    2,945       47  

Easterly Government Properties Inc, Cl A

    2,585       34  

EastGroup Properties Inc

    758       141  

Elme Communities

    2,655       47  

Empire State Realty Trust Inc, Cl A

    2,829       31  

EPR Properties

    884       42  

Equinix Inc

    1,380       1,151  

Equity Commonwealth *

    2,349       48  

Equity LifeStyle Properties Inc

    2,568       187  

Equity Residential

    5,359       401  

Essential Properties Realty Trust Inc

    2,294       73  

Essex Property Trust Inc

    963       291  

Extra Space Storage Inc

    3,016       534  

Federal Realty Investment Trust

    1,100       126  

 

 

 

SEI Institutional Investments Trust

 

369

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

First Industrial Realty Trust Inc

    1,822     $ 103  

Four Corners Property Trust Inc

    1,127       32  

Gaming and Leisure Properties Inc

    3,661       190  

Global Net Lease Inc

    3,525       30  

Healthcare Realty Trust Inc, Cl A

    5,015       89  

Healthpeak Properties Inc

    10,987       245  

Highwoods Properties Inc

    1,127       36  

Host Hotels & Resorts Inc

    10,517       186  

Howard Hughes Holdings Inc *

    469       35  

Independence Realty Trust Inc

    2,888       60  

Innovative Industrial Properties Inc, Cl A

    383       48  

InvenTrust Properties Corp

    1,459       43  

Invitation Homes Inc

    8,542       315  

Iron Mountain Inc

    4,236       480  

JBG SMITH Properties

    2,091       36  

Jones Lang LaSalle Inc *

    754       192  

Kennedy-Wilson Holdings Inc

    3,440       38  

Kilroy Realty Corp

    1,506       55  

Kimco Realty Corp

    9,612       224  

Kite Realty Group Trust

    3,172       83  

Lamar Advertising Co, Cl A

    1,214       153  

LTC Properties Inc

    630       23  

LXP Industrial Trust, Cl B

    5,939       62  

Macerich Co/The

    2,339       37  

Medical Properties Trust Inc

    5,740       26  

Mid-America Apartment Communities Inc

    1,786       290  

National Health Investors Inc

    543       44  

National Storage Affiliates Trust

    1,000       47  

Newmark Group Inc, Cl A

    894       12  

NNN REIT Inc

    2,306       108  

Omega Healthcare Investors Inc

    3,918       155  

Opendoor Technologies Inc *

    9,235       20  

Outfront Media Inc

    2,979       51  

Park Hotels & Resorts Inc

    2,647       40  

Pebblebrook Hotel Trust

    3,202       43  

Phillips Edison & Co Inc

    2,331       86  

Piedmont Office Realty Trust Inc, Cl A

    3,953       39  

PotlatchDeltic Corp

    1,559       68  

Prologis Inc

    13,537       1,730  

Public Storage

    2,301       791  

Rayonier Inc

    1,989       61  

Realty Income Corp

    12,289       763  

Regency Centers Corp

    2,638       192  

Retail Opportunity Investments Corp

    2,153       33  

Rexford Industrial Realty Inc

    3,283       167  

Ryman Hospitality Properties Inc

    969       101  

Sabra Health Care REIT Inc

    3,721       63  

SBA Communications Corp, Cl A

    1,559       353  

Seaport Entertainment Group Inc *

           

Service Properties Trust

    5,418       25  

Simon Property Group Inc

    4,708       788  

SITE Centers Corp

    872       53  

SL Green Realty Corp

    1,003       67  

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

St Joe Co/The

    928     $ 55  

STAG Industrial Inc

    2,579       105  

Sun Communities Inc

    1,858       251  

Sunstone Hotel Investors Inc

    2,968       31  

Tanger Inc

    1,732       53  

Terreno Realty Corp

    1,535       106  

UDR Inc

    4,822       215  

Uniti Group Inc

    4,971       22  

Urban Edge Properties

    1,219       26  

Ventas Inc

    6,134       381  

Veris Residential Inc

    1,495       26  

VICI Properties Inc, Cl A

    15,170       508  

Vornado Realty Trust

    2,422       83  

Welltower Inc

    8,673       1,047  

Weyerhaeuser Co

    11,262       343  

WP Carey Inc

    3,124       188  

Xenia Hotels & Resorts Inc

    2,525       36  

Zillow Group Inc, Cl A *

    586       31  

Zillow Group Inc, Cl C *

    2,676       148  
                 
              22,275  

Utilities — 1.5%

       

AES Corp/The

    5,814       100  

ALLETE Inc

    454       29  

Alliant Energy Corp

    2,550       149  

Ameren Corp

    2,323       192  

American Electric Power Co Inc

    4,656       467  

American States Water Co

    617       50  

American Water Works Co Inc

    1,692       242  

Atmos Energy Corp

    1,351       177  

Avista Corp

    373       14  

Black Hills Corp

    539       32  

Brookfield Renewable Corp, Cl A

    1,331       38  

California Water Service Group

    479       27  

CenterPoint Energy Inc

    5,777       158  

Chesapeake Utilities Corp

    224       27  

CMS Energy Corp

    2,557       174  

Consolidated Edison Inc

    3,068       312  

Constellation Energy Corp

    2,690       529  

Dominion Energy Inc

    7,382       413  

DTE Energy Co

    1,767       221  

Duke Energy Corp

    6,533       744  

Edison International

    3,241       282  

Entergy Corp

    1,805       218  

Essential Utilities Inc

    2,547       99  

Evergy Inc

    2,139       127  

Eversource Energy

    3,228       218  

Exelon Corp

    8,790       335  

FirstEnergy Corp

    4,716       207  

IDACORP Inc, Cl Rights

    524       53  

MGE Energy Inc

    522       45  

National Fuel Gas Co

    1,190       71  

New Jersey Resources Corp

    716       33  

NextEra Energy Inc

    17,700       1,425  

 

 

 

370

 

SEI Institutional Investments Trust

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK (continued)

NiSource Inc

    3,504     $ 116  

Northwestern Energy Group Inc

    385       21  

NRG Energy Inc

    2,020       172  

OGE Energy Corp

    1,958       77  

ONE Gas Inc

    504       35  

Ormat Technologies Inc

    663       49  

Otter Tail Corp

    547       46  

PG&E Corp

    17,583       346  

Pinnacle West Capital Corp

    1,173       103  

Portland General Electric Co

    1,147       55  

PPL Corp

    6,957       222  

Public Service Enterprise Group Inc

    4,517       365  

Sempra

    5,571       458  

SJW Group

    574       34  

Southern Co/The

    9,272       801  

Southwest Gas Holdings Inc

    639       46  

Spire Inc

    462       30  

TXNM Energy Inc

    1,354       55  

UGI Corp

    1,531       38  

Vistra Corp

    2,964       253  

WEC Energy Group Inc

    2,616       243  

Xcel Energy Inc

    4,806       294  
                 
              11,067  

Total Common Stock

               

(Cost $102,937) ($ Thousands)

            215,216  
   

Face Amount
(Thousands)

         

CORPORATE OBLIGATIONS — 7.0%

Communication Services — 0.5%

       

Altice France

               

3.375%, 01/15/2028

  EUR 112       88  

Charter Communications Operating LLC / Charter Communications Operating Capital

               

2.250%, 01/15/2029

  $ 233       206  

DISH DBS

               

5.250%, 12/01/2026 (E)

    920       788  

Globo Comunicacao e Participacoes

               

4.875%, 01/22/2030 (E)

    727       671  

Prosus

               

3.680%, 01/21/2030

    207       191  

Prosus MTN

               

3.061%, 07/13/2031

    1,328       1,137  

Tencent Holdings MTN

               

3.240%, 06/03/2050 (E)

    412       289  

Time Warner Cable LLC

               

4.500%, 09/15/2042

    245       186  
                 
              3,556  
                 

Consumer Discretionary — 0.8%

       

DR Horton

               

5.000%, 10/15/2034

    338       337  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Ford Motor

               

3.250%, 02/12/2032

  $ 369     $ 314  

Ford Motor Credit LLC

               

6.125%, 03/08/2034

    338       342  

General Motors Financial

               

5.750%, 02/08/2031

    708       732  

Harley-Davidson Financial Services

               

6.500%, 03/10/2028 (E)

    26       27  

3.050%, 02/14/2027 (E)

    634       606  

Hasbro

               

6.050%, 05/14/2034

    159       165  

Hilton Domestic Operating

               

5.875%, 04/01/2029 (E)

    518       528  

Hyundai Capital America

               

6.100%, 09/21/2028 (E)

    292       306  

5.275%, 06/24/2027 (E)

    94       95  

5.250%, 01/08/2027 (E)

    200       203  

Las Vegas Sands Corp

               

3.900%, 08/08/2029

    211       198  

LKQ

               

6.250%, 06/15/2033

    157       165  

Marriott International

               

5.300%, 05/15/2034

    277       282  

4.900%, 04/15/2029

    401       406  

MDC Holdings

               

6.000%, 01/15/2043

    340       357  

Nissan Motor

               

4.345%, 09/17/2027 (E)

    1,034       1,002  

Wynn Macau

               

5.625%, 08/26/2028 (E)

    341       326  
                 
              6,391  
                 

Consumer Staples — 0.4%

       

Cargill

               

5.125%, 10/11/2032 (E)

    210       216  

Cencosud

               

5.950%, 05/28/2031 (E)

    212       219  

General Mills

               

4.700%, 01/30/2027

    194       195  

Imperial Brands Finance MTN

               

5.875%, 07/01/2034 (E)

    600       612  

JBS USA Holding Lux Sarl

               

6.750%, 03/15/2034 (E)

    347       380  

Philip Morris International

               

5.375%, 02/15/2033

    606       625  

Pilgrim's Pride

               

6.875%, 05/15/2034

    441       488  

Virgolino de Oliveira Finance

               

10.500%, 01/28/2018 (E)(F)

    499        
                 
              2,735  
                 

 

 

 

SEI Institutional Investments Trust

 

371

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Energy — 0.4%

       

Devon Energy

               

5.200%, 09/15/2034

  $ 559     $ 553  

Ecopetrol

               

8.625%, 01/19/2029

    611       653  

EnLink Midstream LLC

               

5.650%, 09/01/2034

    114       116  

Occidental Petroleum

               

5.375%, 01/01/2032

    195       198  

5.200%, 08/01/2029

    184       186  

ONEOK

               

6.050%, 09/01/2033

    271       286  

ONEOK Partners

               

6.125%, 02/01/2041

    54       56  

Ovintiv

               

6.500%, 02/01/2038

    55       58  

6.250%, 07/15/2033

    121       128  

Var Energi

               

8.000%, 11/15/2032 (E)

    357       411  

7.500%, 01/15/2028 (E)

    276       294  
                 
              2,939  
                 

Financials — 3.3%

       

AIB Group

               

6.608%, SOFRRATE + 2.330%, 09/13/2029 (C)(E)

    308       327  

Ally Financial

               

6.992%, SOFRRATE + 3.260%, 06/13/2029 (C)

    300       318  

American Express

               

5.098%, SOFRRATE + 1.000%, 02/16/2028 (C)

    708       717  

Athene Global Funding

               

5.620%, 05/08/2026 (E)

    263       266  

5.583%, 01/09/2029 (E)

    32       33  

2.717%, 01/07/2029 (E)

    80       73  

2.550%, 11/19/2030 (E)

    47       41  

1.985%, 08/19/2028 (E)

    211       190  

Aviation Capital Group LLC

               

5.500%, 12/15/2024 (E)

    334       333  

4.875%, 10/01/2025 (E)

    175       174  

4.125%, 08/01/2025 (E)

    6       6  

3.500%, 11/01/2027 (E)

    104       100  

1.950%, 01/30/2026 (E)

    406       389  

1.950%, 09/20/2026 (E)

    142       133  

Banco Bilbao Vizcaya Argentaria

               

7.883%, H15T1Y + 3.300%, 11/15/2034 (C)

    200       227  

5.381%, 03/13/2029

    200       206  

Banco de Credito del Peru S.A. MTN

               

3.125%, H15T5Y + 3.000%, 07/01/2030 (C)(E)

    728       708  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Banco Santander

               

9.625%, H15T5Y + 5.298%(C)(G)

  $ 200     $ 232  

6.921%, 08/08/2033

    400       433  

4.175%, H15T1Y + 2.000%, 03/24/2028 (C)

    200       197  

Bank of Ireland Group

               

6.253%, H15T1Y + 2.650%, 09/16/2026 (C)(E)

    368       372  

Bank of Ireland Group PLC

               

5.601%, SOFRRATE + 1.620%, 03/20/2030 (C)(E)

    251       257  

Barclays PLC

               

5.674%, SOFRRATE + 1.490%, 03/12/2028 (C)

    253       258  

BPCE

               

6.508%, H15T1Y + 2.791%, 01/18/2035 (C)(E)

    704       731  

CaixaBank

               

6.684%, SOFRRATE + 2.080%, 09/13/2027 (C)(E)

    229       237  

6.037%, SOFRRATE + 2.260%, 06/15/2035 (C)(E)

    391       407  

Capital One Financial

               

6.377%, SOFRRATE + 2.860%, 06/08/2034 (C)

    470       499  

Charles Schwab

               

4.000%, H15T5Y + 3.168%(C)(G)

    583       548  

Citigroup

               

7.625%, H15T5Y + 3.211%(C)(G)

    73       78  

4.000%, H15T5Y + 3.597%(C)(G)

    348       338  

2.561%, SOFRRATE + 1.167%, 05/01/2032 (C)

    853       739  

Credit Agricole MTN

               

6.251%, SOFRRATE + 2.670%, 01/10/2035 (C)(E)

    470       493  

Deutsche Bank NY

               

3.961%, SOFRRATE + 2.581%, 11/26/2025 (C)

    295       294  

2.129%, SOFRRATE + 1.870%, 11/24/2026 (C)

    330       318  

Goldman Sachs Group

               

8.238%, TSFR3M + 3.136%(C)(G)

    182       182  

4.125%, H15T5Y + 2.949%(C)(G)

    296       281  

HSBC Holdings PLC

               

8.113%, SOFRRATE + 4.250%, 11/03/2033 (C)

    465       542  

7.399%, SOFRRATE + 3.020%, 11/13/2034 (C)

    297       333  

ING Groep

               

6.083%, SOFRRATE + 1.560%, 09/11/2027 (C)

    371       381  

Intesa Sanpaolo

               

7.200%, 11/28/2033 (E)

    231       258  

 

 

 

372

 

SEI Institutional Investments Trust

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

JPMorgan Chase

               

2.963%, SOFRRATE + 1.260%, 01/25/2033 (C)

  $ 1,103     $ 977  

Lloyds Banking Group

               

7.953%, H15T1Y + 3.750%, 11/15/2033 (C)

    323       374  

7.500%, USISDA05 + 4.496%(C)(G)

    805       811  

Lloyds Banking Group PLC

               

4.976%, H15T1Y + 2.300%, 08/11/2033 (C)

    535       531  

Moody's

               

5.000%, 08/05/2034

    305       308  

Morgan Stanley

               

0.406%, 10/29/2027 (C)

  EUR 438       457  

Morgan Stanley Bank

               

5.504%, SOFRRATE + 0.865%, 05/26/2028 (C)

  $ 250       256  

Nationwide Building Society MTN

               

2.972%, SOFRRATE + 1.290%, 02/16/2028 (C)(E)

    307       294  

NatWest Group

               

8.125%, H15T5Y + 3.752%(C)(G)

    252       267  

3.032%, H15T5Y + 2.350%, 11/28/2035 (C)

    239       210  

PNC Financial Services Group

               

8.317%, TSFR3M + 3.302%(C)(G)

    262       263  

Principal Life Global Funding II

               

5.100%, 01/25/2029 (E)

    439       448  

Santander Holdings USA

               

6.499%, SOFRRATE + 2.356%, 03/09/2029 (C)

    24       25  

6.174%, SOFRRATE + 2.500%, 01/09/2030 (C)

    24       25  

Societe Generale

               

5.519%, H15T1Y + 1.500%, 01/19/2028 (C)(E)

    221       223  

2.889%, H15T1Y + 1.300%, 06/09/2032 (C)(E)

    200       170  

2.797%, H15T1Y + 1.300%, 01/19/2028 (C)(E)

    303       287  

Standard Chartered

               

7.027%, US0003M + 1.510%(C)(E)(G)

    400       380  

6.000%, H15T5Y + 5.661%(C)(E)(G)

    514       512  

3.971%, H15T1Y + 1.650%, 03/30/2026 (C)(E)

    207       205  

Sumitomo Mitsui Financial Group

               

5.316%, 07/09/2029

    332       342  

Svenska Handelsbanken

               

4.750%, H15T5Y + 4.048%(C)(G)

    600       539  

Swiss Re Finance Luxembourg

               

5.000%, H15T5Y + 3.582%, 04/02/2049 (C)

    200       200  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Swiss RE Subordinated Finance

               

5.698%, TSFR3M + 1.813%, 04/05/2035 (C)(E)

  $ 400     $ 411  

Trust Fibra Uno

               

5.250%, 01/30/2026

    654       651  

UBS Group

               

9.250%, H15T5Y + 4.745%(C)(E)(G)

    278       307  

9.250%, H15T5Y + 4.758%(C)(E)(G)

    215       248  

6.373%, SOFRRATE + 3.340%, 07/15/2026 (C)(E)

    277       280  

UniCredit

               

2.569%, H15T1Y + 2.300%, 09/22/2026 (C)(E)

    421       409  

1.982%, H15T1Y + 1.200%, 06/03/2027 (C)(E)

    229       218  

Wells Fargo

               

3.900%, H15T5Y + 3.453%(C)(G)

    306       298  

Wells Fargo MTN

               

3.350%, SOFRRATE + 1.500%, 03/02/2033 (C)

    1,063       956  
                 
              24,531  
                 

Health Care — 0.2%

       

CVS Health

               

5.700%, 06/01/2034

    454       465  

DaVita

               

3.750%, 02/15/2031 (E)

    630       561  

Organon & Co

               

2.875%, 04/30/2028

  EUR 200       211  
                 
              1,237  
                 

Industrials — 0.6%

       

APCOA Holdings GmbH

               

4.625%, 01/15/2027

    226       244  

Boeing

               

6.528%, 05/01/2034 (E)

  $ 223       236  

6.298%, 05/01/2029 (E)

    168       176  

5.150%, 05/01/2030

    75       75  

3.625%, 02/01/2031

    83       75  

3.250%, 02/01/2028

    85       80  

Caterpillar Financial Services

               

4.450%, 10/16/2026

    559       561  

Delta Air Lines

               

4.750%, 10/20/2028 (E)

    450       446  

Embraer Netherlands Finance BV

               

5.400%, 02/01/2027

    575       581  

ENA Master Trust

               

4.000%, 05/19/2048 (E)

    269       197  

Honeywell International

               

4.125%, 11/02/2034

  EUR 720       835  

Lima Metro Line 2 Finance

               

5.875%, 07/05/2034

  $ 200       201  

4.350%, 04/05/2036

    498       461  

 

 

 

SEI Institutional Investments Trust

 

373

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Regal Rexnord

               

6.050%, 02/15/2026

  $ 770     $ 780  
                 
              4,948  
                 

Information Technology — 0.1%

       

Broadcom

               

5.050%, 07/12/2027

    223       226  

TSMC Arizona

               

3.875%, 04/22/2027

    345       340  
                 
              566  
                 

Materials — 0.1%

       

Freeport Indonesia MTN

               

4.763%, 04/14/2027 (E)

    225       223  

Glencore Funding LLC

               

6.500%, 10/06/2033 (E)

    327       353  

5.338%, 04/04/2027 (E)

    297       302  

Volcan Cia Minera SAA

               

4.375%, 02/11/2026 (E)

    69       59  
                 
              937  
                 

Real Estate — 0.0%

       

American Tower

               

5.200%, 02/15/2029

    284       290  
                 
                 
                 

Utilities — 0.6%

       

Aegea Finance Sarl

               

6.750%, 05/20/2029

    280       281  

AES Panama Generation Holdings SRL

               

4.375%, 05/31/2030 (E)

    287       257  

Alexander Funding Trust II

               

7.467%, 07/31/2028 (E)

    104       112  

American Electric Power

               

6.950%, H15T5Y + 2.675%, 12/15/2054 (C)

    372       388  

Comision Federal de Electricidad

               

4.688%, 05/15/2029 (E)

    501       484  

Duke Energy Carolinas NC Storm Funding LLC

               

2.617%, 07/01/2041

    314       251  

Electricite de France

               

9.125%, H15T5Y + 5.411%(C)(E)(G)

    261       295  

Engie Energia Chile

               

6.375%, 04/17/2034 (E)

    330       347  

3.400%, 01/28/2030

    349       316  

NextEra Energy Capital Holdings

               

6.700%, H15T5Y + 2.364%, 09/01/2054 (C)

    67       68  

Niagara Mohawk Power

               

5.290%, 01/17/2034 (E)

    212       213  

NRG Energy

               

7.000%, 03/15/2033 (E)

    456       502  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

CORPORATE OBLIGATIONS (continued)

Terraform Global Operating LLC

               

6.125%, 03/01/2026 (E)

  $ 77     $ 77  

Vistra

               

7.000%, H15T5Y + 5.740%(C)(E)(G)

    272       275  

Vistra Operations LLC

               

6.950%, 10/15/2033 (E)

    415       461  
                 
              4,327  
                 

Total Corporate Obligations

               

(Cost $52,062) ($ Thousands)

            52,457  
                 
                 
                 

MORTGAGE-BACKED SECURITIES — 3.8%

Agency Mortgage-Backed Obligations — 2.5%

       

Connecticut Avenue Securities Trust, Ser 2021-R03, Cl 1M2

               

6.999%, SOFR30A + 1.650%, 12/25/2041(C)(E)

    304       307  

Connecticut Avenue Securities Trust, Ser 2022-R01, Cl 1M2

               

7.249%, SOFR30A + 1.900%, 12/25/2041(C)(E)

    1,008       1,022  

Connecticut Avenue Securities Trust, Ser 2022-R02, Cl 2M1

               

6.549%, SOFR30A + 1.200%, 01/25/2042(C)(E)

    278       278  

Connecticut Avenue Securities Trust, Ser 2022-R03, Cl 1M2

               

8.849%, SOFR30A + 3.500%, 03/25/2042(C)(E)

    744       781  

Connecticut Avenue Securities Trust, Ser 2022-R04, Cl 1M2

               

8.449%, SOFR30A + 3.100%, 03/25/2042(C)(E)

    185       192  

Connecticut Avenue Securities Trust, Ser 2023-R02, Cl 1M1

               

7.649%, SOFR30A + 2.300%, 01/25/2043(C)(E)

    1,133       1,164  

Connecticut Avenue Securities Trust, Ser 2023-R03, Cl 2M1

               

7.849%, SOFR30A + 2.500%, 04/25/2043(C)(E)

    932       948  

Connecticut Avenue Securities Trust, Ser 2023-R04, Cl 1M1

               

7.648%, SOFR30A + 2.300%, 05/25/2043(C)(E)

    765       781  

Connecticut Avenue Securities Trust, Ser 2023-R05, Cl 1M1

               

7.248%, SOFR30A + 1.900%, 06/25/2043(C)(E)

    828       839  

FHLMC CMO, Ser 2016-4585, Cl DS, IO

               

0.532%, 05/15/2046(C)

    556       70  

 

 

 

374

 

SEI Institutional Investments Trust

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC CMO, Ser 2017-4693, Cl SL, IO

               

0.682%, 06/15/2047(C)

  $ 830     $ 113  

FHLMC CMO, Ser 2017-4719, Cl JS, IO

               

0.682%, 09/15/2047(C)

    612       78  

FHLMC CMO, Ser 2020-4954, Cl SL, IO

               

0.587%, 02/25/2050(C)

    879       103  

FHLMC CMO, Ser 2020-4981, Cl HS, IO

               

0.637%, 06/25/2050(C)

    1,711       189  

FHLMC Multifamily Structured Credit Risk, Ser 2021-MN1, Cl M1

               

7.349%, SOFR30A + 2.000%, 01/25/2051(C)(E)

    52       52  

FHLMC STACR REMIC Trust, Ser 2021-DNA5, Cl M2

               

6.999%, SOFR30A + 1.650%, 01/25/2034(C)(E)

    129       130  

FHLMC STACR REMIC Trust, Ser 2021-DNA6, Cl M2

               

6.849%, SOFR30A + 1.500%, 10/25/2041(C)(E)

    976       980  

FHLMC STACR REMIC Trust, Ser 2021-DNA7, Cl M2

               

7.149%, SOFR30A + 1.800%, 11/25/2041(C)(E)

    953       963  

FHLMC STACR REMIC Trust, Ser 2021-HQA4, Cl M1

               

6.299%, SOFR30A + 0.950%, 12/25/2041(C)(E)

    920       915  

FHLMC STACR REMIC Trust, Ser 2021-HQA4, Cl M2

               

7.699%, SOFR30A + 2.350%, 12/25/2041(C)(E)

    635       643  

FHLMC STACR REMIC Trust, Ser 2022-DNA1, Cl M1A

               

6.349%, SOFR30A + 1.000%, 01/25/2042(C)(E)

    285       285  

FHLMC STACR REMIC Trust, Ser 2022-DNA1, Cl M1B

               

7.199%, SOFR30A + 1.850%, 01/25/2042(C)(E)

    533       539  

FHLMC STACR REMIC Trust, Ser 2022-DNA2, Cl M1A

               

6.649%, SOFR30A + 1.300%, 02/25/2042(C)(E)

    323       323  

FHLMC STACR REMIC Trust, Ser 2022-DNA4, Cl M1A

               

7.549%, SOFR30A + 2.200%, 05/25/2042(C)(E)

    337       343  

FHLMC STACR REMIC Trust, Ser 2022-DNA5, Cl M1A

               

8.299%, SOFR30A + 2.950%, 06/25/2042(C)(E)

    419       431  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

FHLMC STACR REMIC Trust, Ser 2022-DNA7, Cl M1A

               

7.849%, SOFR30A + 2.500%, 03/25/2052(C)(E)

  $ 598     $ 607  

FHLMC STACR REMIC Trust, Ser 2023-DNA1, Cl M1A

               

7.448%, SOFR30A + 2.100%, 03/25/2043(C)(E)

    439       447  

FHLMC STACR REMIC Trust, Ser 2023-DNA2, Cl M1A

               

7.448%, SOFR30A + 2.100%, 04/25/2043(C)(E)

    261       266  

FHLMC STACR REMIC Trust, Ser 2023-HQA1, Cl M1A

               

7.349%, SOFR30A + 2.000%, 05/25/2043(C)(E)

    763       771  

FHLMC STACR REMIC Trust, Ser 2023-HQA1, Cl M1B

               

8.849%, SOFR30A + 3.500%, 05/25/2043(C)(E)

    1,327       1,410  

FNMA

               

3.000%, 02/01/2052

    1,964       1,761  

FNMA CMO, Ser 2014-78, Cl SE, IO

               

0.637%, 12/25/2044(C)

    601       78  

FNMA CMO, Ser 2016-77, Cl DS, IO

               

0.537%, 10/25/2046(C)

    578       74  

FNMA CMO, Ser 2017-62, Cl AS, IO

               

0.687%, 08/25/2047(C)

    705       97  

FNMA Connecticut Avenue Securities, Ser 2015-C04, Cl 1M2

               

11.163%, SOFR30A + 5.814%, 04/25/2028(C)

    53       55  

FNMA Connecticut Avenue Securities, Ser 2021-R02, Cl 2M2

               

7.349%, SOFR30A + 2.000%, 11/25/2041(C)(E)

    429       432  

GNMA CMO, Ser 2017-122, Cl SA, IO

               

0.750%, 08/20/2047(C)

    560       81  
                 
                 
              18,548  

Non-Agency Mortgage-Backed Obligations — 1.3%

       

Alternative Loan Trust, Ser 2005-20CB, Cl 3A6

               

5.500%, 07/25/2035

    31       22  

Alternative Loan Trust, Ser 2006-24CB, Cl A16

               

5.750%, 08/25/2036

    186       100  

Alternative Loan Trust, Ser 2006-J1, Cl 1A13

               

5.500%, 02/25/2036

    72       50  

AREIT Trust, Ser 2022-CRE6, Cl A

               

6.603%, SOFR30A + 1.250%, 01/20/2037(C)(E)

    1,091       1,084  

 

 

 

SEI Institutional Investments Trust

 

375

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

BAMLL Commercial Mortgage Securities Trust, Ser 2013-WBRK, Cl D

               

3.652%, 03/10/2037(C)(E)

  $ 395     $ 323  

BAMLL Commercial Mortgage Securities Trust, Ser 2017-SCH, Cl AF

               

6.384%, TSFR1M + 1.047%, 11/15/2033(C)(E)

    1,535       1,533  

BBCMS Mortgage Trust, Ser 2020-BID, Cl A

               

7.592%, TSFR1M + 2.254%, 10/15/2037(C)(E)

    710       708  

BFLD Trust, Ser 2021-FPM, Cl A

               

7.052%, TSFR1M + 1.714%, 06/15/2038(C)(E)

    1,065       1,062  

BX Commercial Mortgage Trust, Ser 2019-IMC, Cl E

               

7.533%, TSFR1M + 2.196%, 04/15/2034(C)(E)

    610       595  

BX Commercial Mortgage Trust, Ser 2019-IMC, Cl D

               

7.283%, TSFR1M + 1.946%, 04/15/2034(C)(E)

    152       148  

Chase Mortgage Finance Trust, Ser 2007-S5, Cl 1A17

               

6.000%, 07/25/2037

    71       33  

CHL Mortgage Pass-Through Trust, Ser 2006-10, Cl 1A8

               

6.000%, 05/25/2036

    91       40  

CHL Mortgage Pass-Through Trust, Ser 2006-13, Cl 1A19

               

6.250%, 09/25/2036

    48       21  

COMM Mortgage Trust, Ser 2010-C1, Cl D

               

5.985%, 07/10/2046(C)(E)

    503       471  

Deutsche Alt-A Securities Mortgage Loan Trust, Ser 2006-AR4, Cl A2

               

5.772%, TSFR1M + 0.494%, 12/25/2036(C)

    132       43  

GS Mortgage Securities Trust, Ser 2011-GC5, Cl D

               

5.296%, 08/10/2044(C)(E)

    12       6  

GS Mortgage Securities Trust, Ser 2021-1, Cl AS

               

2.638%, 08/17/2026

    23       22  

GS Mortgage Securities Trust, Ser 2021-1, Cl A1

               

1.433%, 08/17/2026

    244       238  

GS Mortgage Securities Trust, Ser 2021-1, Cl A2

               

2.435%, 08/17/2026

    657       641  

HFX, Ser 2017-1A, Cl A3

               

3.622%, 03/15/2035

    328       327  

HomeBanc Mortgage Trust, Ser 2005-1, Cl A1

               

5.892%, TSFR1M + 0.614%, 03/25/2035(C)

    20       15  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

MORTGAGE-BACKED SECURITIES (continued)

JPMBB Commercial Mortgage Securities Trust, Ser 2014-C22, Cl XA, IO

               

0.674%, 09/15/2047(C)

  $ 1,693     $  

JPMorgan Chase, Ser 2019-CL1, Cl M3

               

7.492%, TSFR1M + 2.214%, 04/25/2047(C)(E)

    88       89  

LB-UBS Commercial Mortgage Trust, Ser 2006-C6, Cl AJ

               

5.452%, 09/15/2039(C)

    84       28  

LSTAR Commercial Mortgage Trust, Ser 2016-4, Cl A2

               

2.579%, 03/10/2049(E)

    104       102  

Natixis Commercial Mortgage Securities Trust, Ser 2019-MILE, Cl A

               

6.916%, TSFR1M + 1.579%, 07/15/2036(C)(E)

    294       265  

Neighborly Issuer LLC, Ser 2023-1A, Cl A2

               

7.308%, 01/30/2053(E)

    774       792  

PMT Credit Risk Transfer Trust, Ser 2019-2R, Cl A

               

9.214%, TSFR1M + 3.864%, 05/30/2025(C)(E)

           

PMT Credit Risk Transfer Trust, Ser 2019-3R, Cl A

               

9.161%, SOFR30A + 3.814%, 11/27/2031(C)(E)

    28       29  

PMT Credit Risk Transfer Trust, Ser 2020-1R, Cl A

               

8.811%, SOFR30A + 3.464%, 02/25/2025(C)(E)

    93       93  

Wells Fargo Commercial Mortgage Trust, Ser 2016-NXS6, Cl C

               

4.538%, 11/15/2049(C)

    620       569  

Wells Fargo Credit Risk Transfer Securities Trust, Ser 2015-WF1, Cl 2M2

               

10.963%, SOFR30A + 5.614%, 11/25/2025(C)(E)

    22       23  

Wells Fargo Credit Risk Transfer Securities Trust, Ser 2015-WF1, Cl 1M2

               

10.713%, SOFR30A + 5.364%, 11/25/2025(C)(E)

    91       94  
                 
                 
              9,566  

Total Mortgage-Backed Securities

               

(Cost $29,126) ($ Thousands)

            28,114  
                 
                 
                 

ASSET-BACKED SECURITIES — 3.5%

Automotive — 1.5%

       
         

ACM Auto Trust, Ser 2024-1A, Cl A

               

7.710%, 01/21/2031(E)

    412       414  

 

 

 

376

 

SEI Institutional Investments Trust

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

American Credit Acceptance Receivables Trust, Ser 2023-3, Cl B

               

6.090%, 11/12/2027(E)

  $ 1,152     $ 1,156  

Americredit Automobile Receivables Trust, Ser 2023-1, Cl A2A

               

5.840%, 10/19/2026

    277       277  

Arivo Acceptance Auto Loan Receivables Trust, Ser 2024-1A, Cl A

               

6.460%, 04/17/2028(E)

    159       160  

Avis Budget Rental Car Funding AESOP LLC, Ser 2023-3A, Cl A

               

5.440%, 02/22/2028(E)

    589       596  

Avis Budget Rental Car Funding AESOP LLC, Ser 2023-5A, Cl B

               

6.120%, 04/20/2028(E)

    485       495  

Carvana Auto Receivables Trust, Ser 2021-N3, Cl C

               

1.020%, 06/12/2028

    55       53  

Carvana Auto Receivables Trust, Ser 2021-N4, Cl D

               

2.300%, 09/11/2028

    147       142  

Carvana Auto Receivables Trust, Ser 2021-P4, Cl D

               

2.610%, 09/11/2028

    420       389  

CPS Auto Receivables Trust, Ser 2022-A, Cl C

               

2.170%, 04/16/2029(E)

    398       394  

DT Auto Owner Trust, Ser 2023-1A, Cl A

               

5.480%, 04/15/2027(E)

    127       127  

FHF Trust, Ser 2021-2A, Cl A

               

0.830%, 12/15/2026(E)

    42       42  

FHF Trust, Ser 2023-1A, Cl A2

               

6.570%, 06/15/2028(E)

    272       275  

Flagship Credit Auto Trust, Ser 2023-2, Cl A2

               

5.760%, 04/15/2027(E)

    319       320  

Ford Credit Auto Owner Trust, Ser 2021-1, Cl D

               

2.310%, 10/17/2033(E)

    510       483  

GLS Auto Receivables Issuer Trust, Ser 2024-3A, Cl A2

               

5.350%, 08/16/2027(E)

    700       700  

Hertz Vehicle Financing III LLC, Ser 2022-1A, Cl C

               

2.630%, 06/25/2026(E)

    600       586  

LAD Auto Receivables Trust, Ser 2022-1A, Cl A

               

5.210%, 06/15/2027(E)

    179       179  

Lendbuzz Securitization Trust, Ser 2023-1A, Cl A2

               

6.920%, 08/15/2028(E)

    796       808  

Lendbuzz Securitization Trust, Ser 2023-2A, Cl A2

               

7.090%, 10/16/2028(E)

    381       388  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Research-Driven Pagaya Motor Asset Trust VII, Ser 2022-3A, Cl A

               

5.380%, 11/25/2030(E)

  $ 247     $ 246  

Santander Bank Auto Credit-Linked Notes, Ser 2022-A, Cl B

               

5.281%, 05/15/2032(E)

    140       140  

Santander Bank Auto Credit-Linked Notes, Ser 2022-B, Cl B

               

5.721%, 08/16/2032(E)

    92       92  

Santander Bank Auto Credit-Linked Notes, Ser 2022-C, Cl B

               

6.451%, 12/15/2032(E)

    177       178  

Santander Drive Auto Receivables Trust, Ser 2023-3, Cl B

               

5.610%, 07/17/2028

    545       550  

Santander Drive Auto Receivables Trust, Ser 2024-4, Cl A2

               

5.410%, 07/15/2027

    728       728  

Tricolor Auto Securitization Trust, Ser 2023-1A, Cl A

               

6.480%, 08/17/2026(E)

    53       53  

Tricolor Auto Securitization Trust, Ser 2024-2A, Cl A

               

6.360%, 12/15/2027(E)

    403       405  

United Auto Credit Securitization Trust, Ser 2024-1, Cl A

               

6.170%, 08/10/2026(E)

    117       118  

Westlake Automobile Receivables Trust, Ser 2023-1A, Cl A2A

               

5.510%, 06/15/2026(E)

    164       164  

Westlake Automobile Receivables Trust, Ser 2023-2A, Cl A2A

               

5.870%, 07/15/2026(E)

    189       189  

World Omni Select Auto Trust, Ser 2023-A, Cl A2A

               

5.920%, 03/15/2027

    197       197  
              11,044  
                 

Credit Cards — 0.1%

       
         

Brex Commercial Charge Card Master Trust, Ser 2024-1, Cl A1

               

6.050%, 07/15/2027(E)

    650       657  
                 
                 

Other Asset-Backed Securities — 1.9%

       
         

AB Issuer LLC, Ser 2021-1, Cl A2

               

3.734%, 07/30/2051(E)

    706       641  

Affirm Asset Securitization Trust, Ser 2021-Z2, Cl A

               

1.170%, 11/16/2026(E)

    15       15  

Affirm Asset Securitization Trust, Ser 2022-X1, Cl A

               

1.750%, 02/15/2027(E)

    7       7  

 

 

 

SEI Institutional Investments Trust

 

377

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Affirm Asset Securitization Trust, Ser 2024-X1, Cl A

               

6.270%, 05/15/2029(E)

  $ 455     $ 456  

Amur Equipment Finance Receivables XI LLC, Ser 2022-2A, Cl A2

               

5.300%, 06/21/2028(E)

    153       153  

Apidos CLO XXXV, Ser 2021-35A, Cl A

               

6.594%, TSFR3M + 1.312%, 04/20/2034(C)(E)

    853       854  

Atalaya Equipment Leasing Trust, Ser 2021-1A, Cl B

               

2.080%, 02/15/2027(E)

    128       127  

Ballyrock CLO 15, Ser 2021-1A, Cl C

               

8.663%, TSFR3M + 3.362%, 04/15/2034(C)(E)

    500       499  

Bellemeade Re, Ser 2022-2, Cl M1A

               

9.348%, SOFR30A + 4.000%, 09/27/2032(C)(E)

    796       813  

Bellemeade Re, Ser 2023-1, Cl M1A

               

7.549%, SOFR30A + 2.200%, 10/25/2033(C)(E)

    678       684  

Cajun Global LLC, Ser 2021-1, Cl A2

               

3.931%, 11/20/2051(E)

    161       150  

College Ave Student Loans LLC, Ser 2021-C, Cl B

               

2.720%, 07/26/2055(E)

    168       151  

Dext ABS LLC, Ser 2023-1, Cl A2

               

5.990%, 03/15/2032(E)

    747       749  

Diamond Issuer, Ser 2021-1A, Cl A

               

2.305%, 11/20/2051(E)

    768       709  

Eagle RE, Ser 2023-1, Cl M1A

               

7.348%, SOFR30A + 2.000%, 09/26/2033(C)(E)

    670       673  

Flatiron CLO 21, Ser 2021-1A, Cl D

               

8.441%, TSFR3M + 3.162%, 07/19/2034(C)(E)

    540       539  

GCI Funding I LLC, Ser 2021-1, Cl A

               

2.380%, 06/18/2046(E)

    219       198  

Hardee's Funding LLC, Ser 2018-1A, Cl A23

               

5.710%, 06/20/2048(E)

    364       354  

Hardee's Funding LLC, Ser 2020-1A, Cl A2

               

3.981%, 12/20/2050(E)

    257       238  

Kings Park CLO, Ser 2021-1A, Cl A

               

6.674%, TSFR3M + 1.392%, 01/21/2035(C)(E)

    706       706  

Marlette Funding Trust, Ser 2023-3A, Cl B

               

6.710%, 09/15/2033(E)

    1,350       1,363  

Marlette Funding Trust, Ser 2024-1A, Cl A

               

5.950%, 07/17/2034(E)

    311       312  

MVW LLC, Ser 2021-2A, Cl B

               

1.830%, 05/20/2039(E)

    169       159  

Nelnet Student Loan Trust, Ser 2021-DA, Cl AFX

               

1.630%, 04/20/2062(E)

    136       127  

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

ASSET-BACKED SECURITIES (continued)

Neuberger Berman Loan Advisers CLO 43, Ser 2021-43A, Cl A

               

6.677%, TSFR3M + 1.392%, 07/17/2035(C)(E)

  $ 624     $ 625  

NMEF Funding LLC, Ser 2022-B, Cl A2

               

6.070%, 06/15/2029(E)

    136       137  

Octane Receivables Trust, Ser 2021-2A, Cl B

               

2.020%, 09/20/2028(E)

    575       556  

Pagaya AI Debt Grantor Trust, Ser 2024-5, Cl A

               

6.278%, 10/15/2031(E)

    527       530  

Pagaya AI Debt Trust, Ser 2023-5, Cl A

               

7.179%, 04/15/2031(E)

    206       206  

Pagaya AI Debt Trust, Ser 2024-3, Cl A

               

6.258%, 10/15/2031(E)

    497       500  

Rad CLO 14, Ser 2021-14A, Cl A

               

6.733%, TSFR3M + 1.432%, 01/15/2035(C)(E)

    500       501  

Regatta XIX Funding, Ser 2022-1A, Cl A1

               

6.602%, TSFR3M + 1.320%, 04/20/2035(C)(E)

    691       692  

SMB Private Education Loan Trust, Ser 2021-E, Cl A1A

               

1.680%, 02/15/2051(E)

    288       269  
              14,693  
                 

Total Asset-Backed Securities

               

(Cost $26,625) ($ Thousands)

            26,394  
                 
                 

U.S. GOVERNMENT AGENCY OBLIGATIONS — 1.4%

FFCB^

               

5.510%, SOFRRATE + 0.170%, 01/23/2025(C)

    1,900       1,902  

FHLB^

               

5.500%, SOFRRATE + 0.160%, 07/10/2025(C)

    900       901  

5.480%, SOFRRATE + 0.140%, 04/21/2025(C)

    1,100       1,101  

5.350%, SOFRRATE + 0.010%, 11/25/2024(C)

    800       800  

FHLMC^

               

5.150%, 01/27/2026

    1,100       1,100  

4.200%, 08/28/2025

    700       697  

0.375%, 07/21/2025

    700       676  

 

 

 

378

 

SEI Institutional Investments Trust

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Face Amount
(Thousands)

   

Market Value
($ Thousands)

 

U.S. GOVERNMENT AGENCY OBLIGATIONS (continued)

FNMA^

               

5.060%, 02/07/2025

  $ 600     $ 600  

0.625%, 04/22/2025

    1,300       1,268  

0.500%, 06/17/2025

    1,500       1,453  
                 
                 
         

Total U.S. Government Agency Obligations

       

(Cost $10,599) ($ Thousands)

    10,498  
                 
                 
                 

SOVEREIGN DEBT — 0.2%

                 

Colombia Government International Bond

               

3.125%, 04/15/2031

    213       174  

Dominican Republic International Bond

               

4.875%, 09/23/2032(E)

    881       828  

Magyar Export-Import Bank Zrt

               

6.125%, 12/04/2027(E)

    831       846  
                 

Total Sovereign Debt

       

(Cost $1,850) ($ Thousands)

    1,848  
                 
                 
   


Shares

         

FOREIGN COMMON STOCK — 0.2%

                 

Belgium — 0.0%

       

Communication Services — 0.0%

       

Liberty Global Ltd, Cl A *

    3,322       64  
                 
                 
                 
                 
                 

Cameroon — 0.0%

       

Energy — 0.0%

       

Golar LNG Ltd

    2,558       85  
                 
                 
                 
                 
                 

Canada — 0.0%

       

Energy — 0.0%

       

Teekay Tankers Ltd, Cl A

    521       30  
                 
                 
                 

Utilities — 0.0%

       

Brookfield Infrastructure Corp, Cl A

    720       29  
                 
                 
                 
              59  
                 

Ghana — 0.0%

       

Energy — 0.0%

       

Kosmos Energy Ltd *

    14,422       70  
                 
                 
                 
                 
                 

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

FOREIGN COMMON STOCK (continued)

Ireland — 0.1%

       

Information Technology — 0.1%

       

Accenture PLC, Cl A

    1,554     $ 531  
                 
                 
                 
                 
                 

Mexico — 0.0%

       

Energy — 0.0%

       

Borr Drilling Ltd

    6,100       37  
                 
                 
                 
                 
                 

Monaco — 0.0%

       

Energy — 0.0%

       

Scorpio Tankers Inc

    1,208       87  
                 
                 
                 
                 
                 

Norway — 0.0%

       

Energy — 0.0%

       

FLEX LNG Ltd

    871       23  

Seadrill Ltd *

    1,279       55  

SFL Corp Ltd, Cl B

    4,446       53  
                 
              131  
                 
                 

Puerto Rico — 0.0%

       

Communication Services — 0.0%

       

Liberty Latin America Ltd, Cl C *

    3,003       29  
                 
                 
                 
                 
                 

United Kingdom — 0.1%

       

Communication Services — 0.0%

       

Liberty Global PLC *

    3,481       68  
                 
                 
                 

Energy — 0.1%

       

TechnipFMC PLC

    11,510       309  
                 
                 
                 
                 

Total Foreign Common Stock

               

(Cost $868) ($ Thousands)

            1,470  
      Number of
Rights
         

RIGHTS — 0.0%

Novartis AG CVR *

    972        

Abiomed Inc CVR *

    366        

Mirati Therapeutics CVR *

    600        

Total Rights

               

(Cost $—) ($ Thousands)

             
                 
                 

 

 

 

SEI Institutional Investments Trust

 

379

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

         

Market Value
($ Thousands)

 

PURCHASED OPTIONS — 0.0%

Total Purchased Options

               

(Cost $123) ($ Thousands)

          $  
                 

Total Investments in Securities — 108.1%

               

(Cost $695,040) ($ Thousands)

  $ 808,065  
                 
                 
                 
   


Shares

         

COMMON STOCK SOLD SHORT— (12.8)%

Communication Services — (0.5)%

       

Cable One Inc

    (94 )     (33 )

Charter Communications Inc, Cl A *

    (1,123 )     (390 )

Comcast Corp, Cl A

    (46,589 )     (1,843 )

EchoStar Corp, Cl A *

    (801 )     (15 )

Fox Corp

    (5,710 )     (230 )

Interpublic Group of Cos Inc/The

    (4,710 )     (154 )

Liberty Broadband Corp, Cl C *

    (1,451 )     (90 )

Liberty Media Corp-Liberty SiriusXM *

    (2,335 )     (56 )

Liberty Media Corp-Liberty SiriusXM, Cl A *

    (1,117 )     (27 )

New York Times Co/The, Cl A

    (2,077 )     (114 )

News Corp

    (1,070 )     (31 )

News Corp, Cl A

    (4,363 )     (124 )

Nexstar Media Group Inc, Cl A

    (461 )     (79 )

Omnicom Group Inc

    (2,688 )     (270 )

Paramount Global, Cl B

    (7,141 )     (75 )

TEGNA Inc

    (3,498 )     (49 )

Trade Desk Inc/The, Cl A *

    (5,188 )     (542 )
                 
                 
              (4,122 )
                 

Consumer Discretionary — (8.5)%

       

Abercrombie & Fitch Co, Cl A *

    (415 )     (61 )

Academy Sports & Outdoors Inc

    (752 )     (42 )

Acushnet Holdings Corp

    (759 )     (51 )

Adient PLC *

    (4,413 )     (100 )

ADT Inc

    (5,888 )     (43 )

Adtalem Global Education Inc *

    (390 )     (30 )

Advance Auto Parts Inc

    (776 )     (35 )

Airbnb Inc, Cl A *

    (6,243 )     (732 )

Amazon.com Inc *

    (28,246 )     (5,042 )

American Axle & Manufacturing Holdings Inc *

    (7,572 )     (49 )

American Eagle Outfitters Inc

    (2,376 )     (49 )

Aptiv PLC *

    (14,344 )     (1,026 )

Aramark

    (3,380 )     (124 )

Asbury Automotive Group Inc *

    (190 )     (47 )

AutoNation Inc *

    (346 )     (62 )

AutoZone Inc *

    (152 )     (484 )

Bath & Body Works Inc

    (2,208 )     (68 )

Beazer Homes USA Inc *

    (555 )     (17 )

Best Buy Co Inc

    (1,621 )     (163 )

Bloomin' Brands Inc

    (1,131 )     (20 )

Booking Holdings Inc

    (489 )     (1,912 )

Boot Barn Holdings Inc *

    (370 )     (50 )

BorgWarner Inc

    (12,339 )     (420 )

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK SOLD SHORT (continued)

Boyd Gaming Corp

    (1,022 )   $ (61 )

Bright Horizons Family Solutions Inc *

    (746 )     (105 )

Brinker International Inc *

    (893 )     (64 )

Brunswick Corp/DE

    (1,985 )     (157 )

Burlington Stores Inc *

    (590 )     (158 )

Caesars Entertainment Inc *

    (2,874 )     (108 )

Capri Holdings Ltd *

    (3,189 )     (114 )

CarMax Inc *

    (1,471 )     (124 )

Carnival Corp, Cl A *

    (13,682 )     (226 )

Carter's Inc

    (1,158 )     (76 )

Carvana Co, Cl A *

    (939 )     (141 )

Cava Group Inc *

    (1,090 )     (124 )

Cavco Industries Inc *

    (275 )     (114 )

Century Communities Inc

    (698 )     (70 )

Champion Homes Inc *

    (1,496 )     (140 )

Cheesecake Factory Inc/The

    (1,043 )     (41 )

Chipotle Mexican Grill Inc, Cl A *

    (19,031 )     (1,067 )

Choice Hotels International Inc

    (358 )     (46 )

Churchill Downs Inc

    (1,064 )     (148 )

Columbia Sportswear Co

    (909 )     (73 )

Coursera Inc *

    (1,987 )     (16 )

Cracker Barrel Old Country Store Inc

    (645 )     (26 )

Crocs Inc *

    (1,716 )     (251 )

Dana Inc

    (7,103 )     (80 )

Darden Restaurants Inc

    (1,702 )     (269 )

Dave & Buster's Entertainment Inc *

    (472 )     (15 )

Deckers Outdoor Corp *

    (716 )     (687 )

Dick's Sporting Goods Inc

    (474 )     (112 )

Domino's Pizza Inc

    (518 )     (215 )

DoorDash Inc, Cl A *

    (4,890 )     (629 )

Dorman Products Inc *

    (1,566 )     (178 )

DR Horton Inc

    (8,316 )     (1,570 )

DraftKings Inc, Cl A *

    (5,771 )     (199 )

Dream Finders Homes Inc, Cl A *

    (293 )     (10 )

Duolingo Inc, Cl A *

    (414 )     (88 )

Dutch Bros Inc, Cl A *

    (1,044 )     (32 )

eBay Inc

    (4,623 )     (273 )

Ethan Allen Interiors Inc

    (929 )     (29 )

Etsy Inc *

    (1,074 )     (59 )

Expedia Group Inc *

    (1,903 )     (265 )

Figs Inc, Cl A *

    (3,720 )     (23 )

Five Below Inc *

    (567 )     (43 )

Floor & Decor Holdings Inc, Cl A *

    (944 )     (106 )

Foot Locker Inc

    (1,312 )     (41 )

Ford Motor Co

    (205,526 )     (2,300 )

Fox Factory Holding Corp *

    (2,062 )     (83 )

Frontdoor Inc *

    (1,442 )     (69 )

GameStop Corp, Cl A *

    (2,211 )     (52 )

Gap Inc/The

    (1,464 )     (33 )

Garmin Ltd

    (4,342 )     (796 )

General Motors Co

    (60,608 )     (3,017 )

Gentex Corp

    (12,691 )     (398 )

Gentherm Inc *

    (1,847 )     (93 )

 

 

 

380

 

SEI Institutional Investments Trust

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK SOLD SHORT (continued)

Genuine Parts Co

    (1,303 )   $ (187 )

G-III Apparel Group Ltd *

    (753 )     (20 )

Goodyear Tire & Rubber Co/The *

    (16,045 )     (141 )

Graham Holdings Co, Cl B

    (59 )     (47 )

Grand Canyon Education Inc *

    (480 )     (70 )

Green Brick Partners Inc *

    (719 )     (57 )

Group 1 Automotive Inc

    (98 )     (37 )

H&R Block Inc

    (2,090 )     (132 )

Hanesbrands Inc *

    (12,648 )     (80 )

Harley-Davidson Inc

    (7,020 )     (263 )

Hasbro Inc

    (4,066 )     (277 )

Helen of Troy Ltd *

    (630 )     (34 )

Hilton Grand Vacations Inc *

    (1,025 )     (40 )

Hilton Worldwide Holdings Inc

    (3,456 )     (759 )

Home Depot Inc/The

    (8,679 )     (3,198 )

Hovnanian Enterprises Inc, Cl A *

    (40 )     (9 )

Hyatt Hotels Corp, Cl A

    (657 )     (100 )

Installed Building Products Inc

    (646 )     (144 )

International Game Technology PLC

    (1,910 )     (43 )

Jack in the Box Inc

    (358 )     (18 )

KB Home

    (1,873 )     (157 )

Kohl's Corp

    (1,410 )     (27 )

Kontoor Brands Inc

    (1,700 )     (127 )

Las Vegas Sands Corp

    (5,106 )     (199 )

Laureate Education Inc, Cl A

    (2,672 )     (41 )

La-Z-Boy Inc, Cl Z

    (1,661 )     (67 )

LCI Industries

    (1,180 )     (139 )

Lear Corp

    (3,106 )     (362 )

Leggett & Platt Inc

    (4,111 )     (52 )

Lennar Corp, Cl A

    (6,763 )     (1,231 )

Lennar Corp, Cl B

    (374 )     (63 )

LGI Homes Inc *

    (728 )     (79 )

Light & Wonder Inc, Cl A *

    (1,350 )     (148 )

Lithia Motors Inc, Cl A

    (251 )     (76 )

LKQ Corp

    (2,593 )     (108 )

Lowe's Cos Inc

    (5,010 )     (1,245 )

Lucid Group Inc *

    (32,845 )     (132 )

Lululemon Athletica Inc *

    (3,423 )     (888 )

Luminar Technologies Inc, Cl A *

    (19,027 )     (19 )

M/I Homes Inc *

    (798 )     (127 )

Macy's Inc

    (2,706 )     (42 )

Malibu Boats Inc, Cl A *

    (818 )     (30 )

Marriott International Inc/MD, Cl A

    (3,381 )     (793 )

Marriott Vacations Worldwide Corp

    (690 )     (51 )

Mattel Inc *

    (9,605 )     (182 )

McDonald's Corp

    (10,384 )     (2,997 )

Meritage Homes Corp

    (959 )     (190 )

MGM Resorts International *

    (4,001 )     (150 )

Modine Manufacturing Co *

    (2,804 )     (341 )

Mohawk Industries Inc *

    (1,483 )     (230 )

Murphy USA Inc

    (162 )     (84 )

Newell Brands Inc

    (12,951 )     (92 )

NIKE Inc, Cl B

    (33,743 )     (2,811 )

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK SOLD SHORT (continued)

Nordstrom Inc

    (533 )   $ (12 )

Norwegian Cruise Line Holdings Ltd *

    (6,051 )     (108 )

NVR Inc *

    (84 )     (770 )

Ollie's Bargain Outlet Holdings Inc *

    (618 )     (55 )

O'Reilly Automotive Inc *

    (544 )     (615 )

Oxford Industries Inc

    (494 )     (43 )

Papa John's International Inc

    (547 )     (26 )

Patrick Industries Inc

    (1,257 )     (162 )

Peloton Interactive Inc, Cl A *

    (10,473 )     (49 )

Penn Entertainment Inc *

    (2,204 )     (41 )

Penske Automotive Group Inc

    (239 )     (41 )

Phinia Inc

    (2,396 )     (115 )

Planet Fitness Inc, Cl A *

    (1,409 )     (114 )

Polaris Inc

    (1,666 )     (141 )

Pool Corp

    (373 )     (131 )

PulteGroup Inc

    (5,865 )     (772 )

PVH Corp

    (1,669 )     (165 )

QuantumScape Corp, Cl A *

    (15,989 )     (93 )

Ralph Lauren Corp, Cl A

    (1,202 )     (206 )

Red Rock Resorts Inc, Cl A

    (667 )     (39 )

RH *

    (29 )     (7 )

Rivian Automotive Inc, Cl A *

    (40,973 )     (579 )

Ross Stores Inc

    (3,019 )     (455 )

Royal Caribbean Cruises Ltd *

    (3,241 )     (534 )

Sabre Corp *

    (7,233 )     (22 )

Service Corp International/US

    (2,041 )     (160 )

Shake Shack Inc, Cl A *

    (703 )     (70 )

SharkNinja Inc

    (1,856 )     (178 )

Signet Jewelers Ltd

    (342 )     (29 )

Six Flags Entertainment Corp

    (775 )     (34 )

Skechers USA Inc, Cl A *

    (3,710 )     (254 )

Smith & Wesson Brands Inc

    (288 )     (4 )

Sonos Inc *

    (3,264 )     (40 )

Standard Motor Products Inc

    (1,277 )     (41 )

Starbucks Corp

    (16,186 )     (1,531 )

Steven Madden Ltd

    (2,245 )     (101 )

Stoneridge Inc *

    (1,344 )     (19 )

Strategic Education Inc

    (223 )     (22 )

Stride Inc *

    (781 )     (64 )

Sturm Ruger & Co Inc

    (893 )     (38 )

Sweetgreen Inc, Cl A *

    (1,562 )     (49 )

Tapestry Inc

    (6,382 )     (261 )

Taylor Morrison Home Corp, Cl A *

    (3,081 )     (207 )

Tempur Sealy International Inc

    (4,620 )     (242 )

Tesla Inc *

    (22,679 )     (4,856 )

Texas Roadhouse Inc, Cl A

    (1,019 )     (172 )

Thor Industries Inc

    (2,839 )     (304 )

TJX Cos Inc/The

    (9,914 )     (1,163 )

Toll Brothers Inc

    (2,908 )     (419 )

TopBuild Corp *

    (890 )     (350 )

Topgolf Callaway Brands Corp *

    (5,232 )     (53 )

Tractor Supply Co

    (943 )     (252 )

Travel + Leisure Co

    (967 )     (43 )

 

 

 

SEI Institutional Investments Trust

 

381

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK SOLD SHORT (continued)

Tri Pointe Homes Inc *

    (2,838 )   $ (126 )

Ulta Beauty Inc *

    (457 )     (161 )

Under Armour Inc, Cl A *

    (3,380 )     (26 )

Under Armour Inc, Cl C *

    (7,914 )     (59 )

United Parks & Resorts Inc *

    (881 )     (43 )

Urban Outfitters Inc *

    (315 )     (11 )

Vail Resorts Inc

    (616 )     (112 )

Valvoline Inc *

    (1,059 )     (45 )

VF Corp

    (9,179 )     (167 )

Vista Outdoor Inc *

    (1,329 )     (53 )

Visteon Corp *

    (1,609 )     (163 )

Vizio Holding Corp, Cl A *

    (3,540 )     (40 )

Wayfair Inc, Cl A *

    (1,001 )     (43 )

Wendy's Co/The

    (3,490 )     (59 )

Whirlpool Corp

    (1,707 )     (171 )

Williams-Sonoma Inc

    (1,109 )     (149 )

Wingstop Inc

    (442 )     (171 )

Winnebago Industries Inc

    (1,553 )     (93 )

Wolverine World Wide Inc

    (2,562 )     (35 )

Worthington Enterprises Inc

    (948 )     (43 )

Wyndham Hotels & Resorts Inc

    (1,023 )     (80 )

Wynn Resorts Ltd

    (1,362 )     (105 )

XPEL Inc *

    (1,360 )     (59 )

YETI Holdings Inc *

    (2,608 )     (105 )

Yum! Brands Inc

    (4,055 )     (547 )
                 
                 
              (63,694 )
                 

Information Technology — (2.3)%

       

Advanced Micro Devices Inc *

    (3,089 )     (459 )

Amphenol Corp, Cl A

    (2,513 )     (170 )

Analog Devices Inc

    (984 )     (231 )

Apple Inc

    (23,782 )     (5,446 )

Applied Materials Inc

    (1,592 )     (314 )

Arista Networks Inc *

    (457 )     (162 )

Arrow Electronics Inc *

    (114 )     (15 )

Broadcom Inc

    (8,419 )     (1,371 )

CDW Corp/DE

    (254 )     (57 )

Ciena Corp *

    (329 )     (19 )

Cisco Systems Inc

    (8,328 )     (421 )

Corning Inc

    (1,514 )     (63 )

Dell Technologies Inc, Cl C

    (459 )     (53 )

Enphase Energy Inc *

    (395 )     (48 )

Entegris Inc

    (255 )     (30 )

F5 Inc *

    (125 )     (25 )

First Solar Inc *

    (284 )     (65 )

Hewlett Packard Enterprise Co

    (3,055 )     (59 )

HP Inc

    (1,751 )     (63 )

Intel Corp

    (7,365 )     (162 )

Jabil Inc

    (150 )     (16 )

Juniper Networks Inc

    (475 )     (19 )

Keysight Technologies Inc *

    (490 )     (76 )

KLA Corp

    (265 )     (217 )

Lam Research Corp

    (233 )     (191 )

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK SOLD SHORT (continued)

Littelfuse Inc

    (120 )   $ (33 )

Marvell Technology Inc

    (1,369 )     (104 )

Microchip Technology Inc

    (932 )     (77 )

Micron Technology Inc

    (1,940 )     (187 )

Monolithic Power Systems Inc

    (97 )     (91 )

Motorola Solutions Inc

    (313 )     (138 )

NetApp Inc

    (523 )     (63 )

NVIDIA Corp

    (44,034 )     (5,256 )

ON Semiconductor Corp *

    (942 )     (73 )

Pure Storage Inc, Cl A *

    (588 )     (30 )

Qorvo Inc *

    (220 )     (26 )

QUALCOMM Inc

    (2,027 )     (355 )

Skyworks Solutions Inc

    (374 )     (41 )

Super Micro Computer Inc *

    (110 )     (48 )

Teledyne Technologies Inc *

    (131 )     (57 )

Teradyne Inc

    (447 )     (61 )

Texas Instruments Inc

    (1,834 )     (393 )

Trimble Inc *

    (661 )     (38 )

Western Digital Corp *

    (626 )     (41 )

Zebra Technologies Corp, Cl A *

    (165 )     (57 )
                 
                 
              (16,921 )
                 

Materials — (1.5)%

       

Air Products and Chemicals Inc

    (1,665 )     (464 )

Albemarle Corp

    (877 )     (79 )

Alcoa Corp

    (1,354 )     (43 )

Alpha Metallurgical Resources Inc

    (129 )     (31 )

Amcor PLC

    (11,305 )     (129 )

AptarGroup Inc

    (460 )     (70 )

Arch Resources Inc

    (92 )     (13 )

Ashland Inc

    (308 )     (28 )

ATI Inc *

    (877 )     (56 )

Avery Dennison Corp

    (690 )     (153 )

Avient Corp

    (945 )     (46 )

Axalta Coating Systems Ltd *

    (1,499 )     (55 )

Balchem Corp

    (334 )     (59 )

Ball Corp

    (2,299 )     (147 )

Berry Global Group Inc

    (925 )     (64 )

Cabot Corp

    (325 )     (34 )

Carpenter Technology Corp

    (358 )     (52 )

Celanese Corp, Cl A

    (813 )     (106 )

CF Industries Holdings Inc

    (1,623 )     (135 )

Chemours Co/The

    (647 )     (13 )

Cleveland-Cliffs Inc *

    (3,724 )     (49 )

Coeur Mining Inc *

    (753 )     (5 )

Commercial Metals Co

    (978 )     (52 )

Constellium SE, Cl A *

    (997 )     (17 )

Corteva Inc

    (5,419 )     (310 )

CRH PLC

    (5,152 )     (468 )

Crown Holdings Inc

    (994 )     (90 )

Dow Inc

    (6,004 )     (322 )

DuPont de Nemours Inc

    (3,130 )     (264 )

Eagle Materials Inc

    (299 )     (77 )

 

 

 

382

 

SEI Institutional Investments Trust

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

COMMON STOCK SOLD SHORT (continued)

Eastman Chemical Co

    (866 )   $ (89 )

Ecolab Inc

    (1,873 )     (474 )

Element Solutions Inc

    (2,435 )     (65 )

FMC Corp

    (777 )     (50 )

Freeport-McMoRan Inc, Cl B

    (11,792 )     (522 )

Graphic Packaging Holding Co

    (2,907 )     (87 )

HB Fuller Co

    (554 )     (47 )

Hecla Mining Co

    (7,022 )     (42 )

Huntsman Corp

    (2,090 )     (46 )

Innospec Inc

    (229 )     (26 )

International Flavors & Fragrances Inc

    (2,063 )     (214 )

International Paper Co

    (2,902 )     (140 )

Knife River Corp *

    (517 )     (41 )

Linde PLC

    (3,604 )     (1,724 )

Louisiana-Pacific Corp

    (639 )     (62 )

LyondellBasell Industries NV, Cl A

    (1,992 )     (197 )

Martin Marietta Materials Inc

    (502 )     (268 )

Materion Corp

    (223 )     (26 )

Minerals Technologies Inc

    (230 )     (18 )

Mosaic Co/The

    (2,544 )     (73 )

NewMarket Corp

    (35 )     (20 )

Newmont Corp

    (9,295 )     (496 )

Nucor Corp

    (1,797 )     (273 )

O-I Glass Inc, Cl I *

    (2,154 )     (27 )

Olin Corp

    (1,146 )     (50 )

Packaging Corp of America

    (763 )     (160 )

PPG Industries Inc

    (2,016 )     (261 )

Quaker Chemical Corp

    (184 )     (31 )

Reliance Inc

    (440 )     (126 )

Royal Gold Inc

    (526 )     (74 )

RPM International Inc

    (1,042 )     (121 )

Scotts Miracle-Gro Co/The, Cl A

    (547 )     (39 )

Sealed Air Corp

    (1,614 )     (56 )

Sensient Technologies Corp

    (512 )     (40 )

Sherwin-Williams Co/The

    (1,880 )     (694 )

Silgan Holdings Inc

    (479 )     (25 )

Smurfit WestRock PLC

    (1,582 )     (75 )

Sonoco Products Co

    (1,159 )     (66 )

Steel Dynamics Inc

    (1,287 )     (154 )

Summit Materials Inc, Cl A *

    (741 )     (30 )

Sylvamo Corp

    (496 )     (39 )

Tronox Holdings PLC

    (1,784 )     (25 )

United States Steel Corp

    (1,735 )     (66 )

Vulcan Materials Co

    (1,080 )     (265 )

Warrior Met Coal Inc

    (248 )     (15 )

Westlake Corp

    (186 )     (27 )
                 
                 
              (10,897 )
                 

Total Common Stock Sold Short

               

(Proceeds $95,978) ($ Thousands)

            (95,634 )
                 
                 

 

             

Description

 

Shares

   

Market Value
($ Thousands)

 

FOREIGN COMMON STOCK SOLD SHORT— (0.1)%

Argentina — (0.0)%

       

Materials — (0.0)%

       

Arcadium Lithium PLC *

    (11,463 )   $ (31 )
                 
                 
                 
                 
                 
                 

Bahamas — (0.0)%

       

Consumer Discretionary — (0.0)%

       

OneSpaWorld Holdings Ltd

    (2,273 )     (36 )
                 
                 
                 
                 
                 
                 

Finland — (0.0)%

       

Consumer Discretionary — (0.0)%

       

Amer Sports Inc *

    (3,396 )     (47 )
                 
                 
                 
                 
                 
                 

Luxembourg — (0.0)%

       

Consumer Discretionary — (0.0)%

       

Birkenstock Holding Plc *

    (602 )     (30 )
                 
                 
                 
                 
                 
                 

Mexico — (0.0)%

       

Materials — (0.0)%

       

Southern Copper Corp

    (838 )     (85 )
                 
                 
                 
                 
                 
                 

South Korea — (0.1)%

       

Consumer Discretionary — (0.1)%

       

Coupang Inc, Cl A *

    (9,359 )     (207 )
                 
                 
                 
                 
                 
                 

Thailand — (0.0)%

       

Information Technology — (0.0)%

       

Fabrinet *

    (148 )     (36 )
                 
                 
                 
                 
                 
                 

Total Foreign Common Stock Sold Short

               

(Proceeds $430) ($ Thousands)

            (472 )
                 
                 

Total Investments Sold Short — (12.9)%

               

(Proceeds $96,408) ($ Thousands)

  $ (96,106 )
                 
                 

WRITTEN OPTIONS — (0.0)%

Total Written Options

               

(Premiums Received $64) ($ Thousands)

          $ (1 )
                 
                 

 

 

 

SEI Institutional Investments Trust

 

383

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

 

 

A list of open exchange traded options contracts for the Fund at August 31, 2024, is as follows:

 

Description

 

Number of Contracts

   

Notional Amount
(Thousands)

   

Exercise Price

   

Expiration Date

   

Value
(Thousands)

 

PURCHASED OPTIONS — 0.0%

                               

Call Options

                               

Lead LME Spot Option ^

    75     $ 4,313     $ 2,300.00       9/21/2024     $  

Nickel LME Future^

    24       2,736       19,000.00       9/21/2024        
                                         
                                         
                                         

Total Purchased Options

          $ 7,049                     $  

WRITTEN OPTIONS — 0.0%

                               

Put Options

                                       

Lead LME Spot Option^

    (15)     $ (825 )     2,200.00       09/21/2024     $  

Nickel LME Future^

    (8)       (768 )     16,000.00       09/21/2024       (1 )
                                         
              (1,593 )                     (1 )
                                         
                                         

Call Options

                                       

Lead LME Spot Option^

    (75)       (4,688 )     2,500.00       09/21/2024        

Nickel LME Future^

    (24)       (3,024 )     21,000.00       09/21/2024        
                                         
              (7,712 )                      
                                         
                                         

Total Written Options

          $ (9,305 )                   $ (1 )
                                         
                                         

 

A list of the open futures contracts held by the Fund at August 31, 2024, is as follows:

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation
(Depreciation)(Thousands)

 

Long Contracts

                                       

Brent Crude^

    16       Nov-2024     $ 1,267     $ 1,231     $ (36 )

Brent Crude^

    86       Jan-2025       6,839       6,512       (327 )

Brent Crude^

    15       Mar-2025       1,190       1,127       (63 )

Brent Crude^

    31       May-2025       2,443       2,314       (129 )

Coffee C^

    54       Dec-2024       4,785       4,943       158  

Coffee C^

    19       Mar-2025       1,633       1,725       92  

Coffee C^

    9       May-2025       781       809       28  

Copper^

    44       Dec-2024       4,600       4,632       32  

Copper^

    11       May-2025       1,134       1,178       44  

Copper^

    23       Mar-2025       2,607       2,448       (159 )

Corn^

    99       Mar-2025       2,246       2,074       (172 )

Corn^

    48       May-2025       1,029       1,028       (1 )

Corn^

    56       Dec-2024       1,154       1,123       (31 )

Cotton No. 2^

    15       Dec-2024       541       524       (17 )

Cotton No. 2^

    8       May-2025       283       291       8  

Cotton No. 2^

    20       Mar-2025       721       716       (5 )

Feeder Cattle^

    8       Oct-2024       965       951       (14 )

Feeder Cattle^

    15       Nov-2024       1,778       1,764       (14 )

Gasoline^

    4       Jan-2025       358       337       (21 )

Gasoline^

    8       Mar-2025       730       681       (49 )

Gasoline^

    4       May-2025       384       372       (12 )

Gasoline^

    23       Nov-2024       2,077       1,985       (92 )

Gold^

    28       Dec-2024       6,793       7,077       284  

Gold^

    35       Feb-2025       8,681       8,924       243  

Gold^

    29       Apr-2025       7,260       7,448       188  

KC HRW Wheat^

    19       Dec-2024       567       538       (29 )

KC HRW Wheat^

    24       Mar-2025       783       693       (90 )

KC HRW Wheat^

    12       May-2025       353       350       (3 )

 

 

 

384

 

SEI Institutional Investments Trust

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation
(Depreciation)(Thousands)

 

Lean Hogs^

    80       Dec-2024     $ 2,240     $ 2,328     $ 88  

Lean Hogs^

    93       Oct-2024       2,874       3,059       185  

Lean Hogs^

    21       Apr-2025       629       669       40  

Lean Hogs^

    11       Feb-2025       324       332       8  

Live Cattle^

    49       Dec-2024       3,490       3,480       (10 )

Live Cattle^

    8       Feb-2025       601       571       (30 )

Live Cattle^

    50       Oct-2024       3,601       3,573       (28 )

Live Cattle^

    16       Apr-2025       1,182       1,153       (29 )

LME Copper^

    3       Oct-2024       737       689       (48 )

LME Lead^

    5       Mar-2025       281       262       (19 )

LME Lead^

    3       May-2025       160       158       (2 )

LME Lead^

    7       Nov-2024       363       359       (4 )

LME Lead^

    3       Jan-2025       172       156       (16 )

LME Nickel^

    1       Nov-2024       110       101       (9 )

LME Nickel^

    20       Dec-2024       1,953       2,018       65  

LME Nickel^

    4       Jan-2025       468       405       (63 )

LME Nickel^

    8       Mar-2025       864       817       (47 )

LME Nickel^

    4       May-2025       402       413       11  

LME Primary Aluminum^

    6       Nov-2024       361       367       6  

LME Primary Aluminum^

    11       May-2025       655       691       36  

LME Primary Aluminum^

    23       Mar-2025       1,486       1,433       (53 )

LME Primary Aluminum^

    11       Jan-2025       720       679       (41 )

LME Primary Aluminum^

    113       Dec-2024       7,098       6,943       (155 )

LME Zinc^

    6       May-2025       410       440       30  

LME Zinc^

    12       Mar-2025       880       876       (4 )

LME Zinc^

    6       Jan-2025       446       436       (10 )

LME Zinc^

    69       Dec-2024       4,735       5,009       274  

LME Zinc^

    21       Nov-2024       1,490       1,519       29  

Low Sulphur Gasoil^

    60       Nov-2024       4,313       4,196       (117 )

Low Sulphur Gasoil^

    6       May-2025       428       415       (13 )

Low Sulphur Gasoil^

    12       Mar-2025       901       833       (68 )

Low Sulphur Gasoil^

    6       Jan-2025       453       417       (36 )

Natural Gas^

    210       Nov-2024       5,867       5,245       (622 )

Natural Gas^

    36       Jan-2025       1,372       1,199       (173 )

Natural Gas^

    84       Mar-2025       2,724       2,427       (297 )

Natural Gas^

    43       May-2025       1,276       1,215       (61 )

NY Harbor ULSD^

    3       Jan-2025       316       291       (25 )

NY Harbor ULSD^

    5       Nov-2024       509       482       (27 )

NY Harbor ULSD^

    3       May-2025       297       286       (11 )

NY Harbor ULSD^

    6       Mar-2025       629       578       (51 )

NYMEX Cocoa^

    11       Dec-2024       836       845       9  

Platinum^

    1       Oct-2024       48       46       (2 )

Silver^

    16       Mar-2025       2,472       2,363       (109 )

Silver^

    8       May-2025       1,151       1,191       40  

Silver^

    25       Dec-2024       3,621       3,644       23  

Soybean^

    15       Jan-2025       790       763       (27 )

Soybean^

    29       Mar-2025       1,599       1,496       (103 )

Soybean^

    14       May-2025       736       732       (4 )

Soybean^

    16       Nov-2024       913       800       (113 )

Soybean Meal^

    89       Dec-2024       2,816       2,785       (31 )

Soybean Meal^

    15       May-2025       478       477       (1 )

Soybean Meal^

    15       Jan-2025       488       471       (17 )

Soybean Meal^

    30       Mar-2025       974       948       (26 )

Soybean Oil^

    18       Jan-2025       455       454       (1 )

Soybean Oil^

    115       Dec-2024       2,832       2,899       67  

Soybean Oil^

    18       May-2025       443       458       15  

Soybean Oil^

    37       Mar-2025       1,015       937       (78 )

Sugar No. 11^

    19       May-2025       382       401       19  

Sugar No. 11^

    54       Mar-2025       1,180       1,189       9  

 

 

 

SEI Institutional Investments Trust

 

385

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Continued)

 

 

Type of Contract

 

Number of
Contracts

   

Expiration Date

   

Notional Amount (Thousands)

   

Value
(Thousands)

   

Unrealized Appreciation
(Depreciation)(Thousands)

 

Sugar No. 11^

    48       Mar-2025     $ 1,060     $ 1,057     $ (3 )

Sugar No. 11^

    132       Oct-2024       2,888       2,865       (23 )

U.S. 5-Year Treasury Note

    79       Dec-2024       8,650       8,642       (8 )

Wheat^

    37       Mar-2025       1,197       1,058       (139 )

Wheat^

    18       May-2025       533       525       (8 )

Wheat^

    74       Dec-2024       2,094       2,040       (54 )

WTI Crude Oil^

    143       Nov-2024       10,751       10,388       (363 )

WTI Crude Oil^

    16       May-2025       1,166       1,122       (44 )

WTI Crude Oil^

    32       Mar-2025       2,422       2,262       (160 )

WTI Crude Oil^

    16       Jan-2025       1,203       1,142       (61 )
                      176,992       174,315       (2,677 )

Short Contracts

                                       

Gasoline^

    (15)       Nov-2024     $ (1,321 )   $ (1,295 )   $ 26  

LME Lead^

    (2)       Sep-2024       (103 )     (101 )     2  

MSCI EAFE Index

    (91)       Sep-2024       (10,744 )     (11,186 )     (442 )

NY Harbor ULSD^

    (15)       Nov-2024       (1,482 )     (1,445 )     37  

Palladium^

    (9)       Dec-2024       (861 )     (866 )     (5 )

S&P 500 Index E-MINI

    (78)       Sep-2024       (21,440 )     (22,077 )     (637 )

Soybean^

    (2)       Jan-2025       (100 )     (102 )     (2 )

Soybean^

    (2)       Nov-2024       (98 )     (100 )     (2 )

U.S. 2-Year Treasury Note

    (42)       Dec-2024       (8,729 )     (8,717 )     12  

U.S. Ultra Long Treasury Bond

    (11)       Dec-2024       (1,468 )     (1,451 )     17  

Ultra 10-Year U.S. Treasury Note

    (97)       Dec-2024       (11,406 )     (11,391 )     15  
                      (57,752 )     (58,731 )     (979 )
                    $ 119,240     $ 115,584     $ (3,656 )

 

A list of the open forward foreign currency contracts held by the Fund at August 31, 2024, is as follows:

 

Counterparty

 

Settlement Date

   

Currency to Deliver
(Thousands)

   

Currency to Receive
(Thousands)

   

Unrealized Appreciation
(Depreciation)
(Thousands)

 

Morgan Stanley

    10/25/24       EUR       1,665       USD       1,825     $ (22 )
                                                 

 

A list of the open centrally cleared swap agreements held by the Fund at August 31, 2024, is as follows:

 

 

Credit Default Swap - Buy Protection

       
 

Reference Entity/ Obligation

   

Pay Rate

   

Payment Frequency

   

Termination Date

   

Notional Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/ Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 
    Itraxx Australia Series 41       1.00%       Quarterly       06/20/2029     $ 16,850     $ (288 )   $ (252 )   $ (36 )
                                                               

 

 

Credit Default Swap - Sell Protection

       
 

Reference Entity/ Obligation

   

Receive Rate

   

Payment Frequency

   

Termination Date

   

Notional Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/ Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 
    CDX.NA.IG.42       1.00%       Quarterly       06/20/2029     $ 16,850     $ 373     $ 341     $ 32  
                                                               

 

 

Interest Rate Swaps

 
 

Fund Pays

   

Fund Receives

   

Payment Frequency

   

Termination Date

   

Currency

   

Notional Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/ Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 
    1.8315%       SOFR       Annually       04/21/2025       USD       2,040     $ 36     $ 38     $ (2 )

 

 

 

386

 

SEI Institutional Investments Trust

 

 

 

 

CONSOLIDATED SCHEDULE OF INVESTMENTS (Unaudited)

August 31, 2024

Multi-Asset Real Return Fund (Concluded)

 

 
 

Fund Pays

   

Fund Receives

   

Payment Frequency

   

Termination Date

   

Currency

   

Notional Amount
(Thousands)

   

Value
(Thousands)

   

Upfront Payments/ Receipts
(Thousands)

   

Net Unrealized
Appreciation
(Depreciation)
(Thousands)

 
    1.9795%       SOFR       Annually       06/09/2025       USD       1,240     $ 24     $ 26     $ (2 )
    2.4095%       SOFR       Annually       11/10/2035       USD       1,300       128       156       (28 )
    1.9550%       SOFR       Annually       08/04/2025       USD       1,833       39       44       (5 )
    1.1650%       SOFR       Annually       10/04/2026       USD       7,010       359       429       (70 )
    2.2275%       SOFR       Annually       04/04/2027       USD       3,640       124       173       (49 )
    1.9950%       SOFR       Annually       07/12/2027       USD       720       31       41       (10 )
    1.7600%       SOFR       Annually       06/04/2029       USD       5,145       374       467       (93 )
    1.2925%       SOFR       Annually       09/27/2029       USD       2,440       241       281       (40 )
    0.0275%       SOFR       Annually       06/05/2027       USD       15,050       1,400       1,572       (172 )
    1.4550%       SOFR       Annually       11/08/2026       USD       1,040       49       59       (10 )
    1.4725%       SOFR       Annually       11/09/2026       USD       1,230       57       70       (13 )
    1.3945%       SOFR       Annually       05/21/2031       USD       17,160       2,073       2,327       (254 )
                                                  $ 4,935     $ 5,683     $ (748 )

 

 

 

As of August 31, 2024, the open Reverse Repurchase Agreements held by the Fund are listed below:

 
       
 

Multi-Asset Real Return Fund

 
 

Principal Amount ($ Thousands)

 

Counterparty

 

Rate

   

Value ($ Thousands)

 
  $ (11,519 )

HSBC

    5.44 %     $ (11,519 )
    (67,237 )

HSBC

    5.45 %       (67,237 )
                    $ (78,756 )

 

 

Percentages are based on Net Assets of $747,241 ($ Thousands).

^

Security, or a portion thereof, is held by MARR Commodity Strategy Subsidiary, Ltd. as of August 31, 2024.

*

Non-income producing security.

Real Estate Investment Trust.

Expiration date not available.

(A)

Interest rate represents the security's effective yield at the time of purchase.

(B)

Security, or a portion thereof, has been pledged as collateral on reverse repurchase agreements. The total market value of such securities as of August 31, 2024 was $79,786 ($ Thousands).

(C)

Variable or floating rate security. The rate shown is the effective interest rate as of period end. The rates on certain securities are not based on published reference rates and spreads and are either determined by the issuer or agent based on current market conditions; by using a formula based on the rates of underlying loans; or by adjusting periodically based on prevailing interest rates.

(D)

Security, or portion thereof, has been pledged as collateral on securities sold short. The total market value of such securities as of August 31, 2024 was $57,580 ($ Thousands).

(E)

Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration normally to qualified institutions. On August 31, 2024, the value of these securities amounted to $70,780 ($ Thousands), representing 9.5% of the Net Assets of the Fund.

(F)

Security is in default on interest payment.

(G)

Perpetual security with no stated maturity date.

(H)

Security, or portion thereof, has been pledged as collateral on futures contracts. The total market value of such securities as of August 31, 2024 was $7,641 ($ Thousands).

   

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

 

SEI Institutional Investments Trust

 

387

 

 

 

 

 

Glossary (abbreviations which may be used in the preceding Schedules of Investments) (Unaudited):

August 31, 2024

 

 

Currency Abbreviations

AUD — Australian Dollar

BRL — Brazilian Real

CAD — Canadian Dollar

CLP — Chilean Peso

CHF — Swiss Franc

CNH — Chinese Yuan Offshore

CNY — Chinese Yuan Onshore

COP — Colombian Peso

CZK — Czech Koruna

DKK — Danish Krone

DOP — Dominican Peso

EGP — Egyptian Pound

EUR — Euro

GBP — British Pound Sterling

GHS — Ghanaian Cedi

HKD — Hong Kong Dollar

HUF — Hungarian Forint

IDR — Indonesian Rupiah

ILS — Israeli New Shekels

INR — Indian Rupee

JPY — Japanese Yen

KRW — Korean Won

MXN — Mexican Peso

MYR — Malaysian Ringgit

NGN — Nigerian Naira

NOK — Norwegian Krone

NZD — New Zealand Dollar

PEN — Peruvian Nuevo Sol

PHP— Philippine Peso

PLN — Polish Zloty

RON — Romanian Leu

RSD — Serbian Dinar

RUB — Russian Ruble

SEK — Swedish Krona

SGD — Singapore Dollar

THB — Thai Baht

TWD — Taiwan Dollar

TRY — Turkish Lira

UAH — Ukrainian Hryvnia

UGX — Ugandan Shilling

USD — United States Dollar

UYU — Uruguayan Peso

ZAR — South African Rand

ZMW — Zambian Kwacha

 
 

 

Portfolio Abbreviations

ABS — Asset-Backed Security

ACES — Alternative Credit Enhancement Structure

ACWI — All Country World Index

ADR — American Depositary Receipt

AGC — Assured Guaranty Corporation

AGM— Assured Guaranty Municipal

AID — Agency for International Development

ARM — Adjustable Rate Mortgage

BOBL — Bundesobligationen (German Debt Issuance)

BPS — Basis Points

BUBOR — Budapest Interbank Offered Rate

BUND — German Fixed Interest Bond

BUXL — German Debt Agency Bond

CDO — Collateralized Debt Obligation

CETIP — Central of Custody and Financial Settlement of Securities

Cl — Class

CLICP — Chile Indice de Camara Promedio Interbank Overnight Index

CLO — Collateralized Loan Obligation

CMBX — Commercial Mortgage-Backed Index

CMO — Collateralized Mortgage Obligation

COOVIBR — Colombia Overnight Interbank Reference Rate

CPI — Consumer Price Index

CVR — Contingent Value Rights

DAC — Designated Activity Company

EAFE — Europe, Australasia and Far East

ESG — Environmental, Social and Governance

ETF — Exchange-Traded Fund

EURIBOR — Euro London Interbank Offered Rate

FBIL — Financial Benchmarks India Pvt. Ltd.

FEDEF — U.S. Federal Funds Effective Rate

FFCB — Federal Farm Credit Bank

FHLB — Federal Home Loan Bank

FHLMC — Federal Home Loan Mortgage Corporation

FNMA — Federal National Mortgage Association

FREMF— Freddie Mac Multi-Family

FTSE— Financial Times Stock Exchange

GDR — Global Depositary Receipt

GMAC — General Motors Acceptance Corporation

GNMA — Government National Mortgage Association

GO — General Obligation

H15T7Y — Harmonized Index of Consumer Prices

HRW — Hard Red Winter

IBEX— Spanish Stock Exchange Index

IBR — Interbank Rate of Columbia

ICE— Intercontinental Exchange

IO — Interest Only — face amount represents notional amount

JIBAR — Johannesburg Interbank Average Rate

JSC — Joint-Stock Company

LIBOR— London Interbank Offered Rate

LLC — Limited Liability Company

LLLP — Limited Liability Limited Partnership

LP — Limited Partnership

LTD — Limited

MEXIBOR — Mexican Interbank Offered Rate

MIBOR — Mumbai Interbank Overnight Rate

MSCI — Morgan Stanley Capital International

MTN — Medium Term Note

MXN TIIE — Mexican Interbank Equilibrium Interest Rate

NASDAQ — National Association of Securities Dealers and Automated Quotations

NATL— National Public Finance Guarantee Corporation

 

 

 

388

 

SEI Institutional Investments Trust

 

 

 

 

Glossary (abbreviations which may be used in the preceding Schedules of Investments) (Unaudited):

August 31, 2024

 (Concluded)

 

NIBOR — Norwegian Interbank Offered Rate

NVDR — Non-Voting Depository Receipt

NYMEX — New York Mercantile Exchange

OIS — Overnight Index Swap

OMX — OM Stockholm 30 Dividend Point Index

OTC — Over The Counter

PIK — Payment-in-Kind

PJSC — Public Joint-Stock Company

PLC — Public Limited Company

PO — Principal Only

PRIBOR — Prague Interbank Offered Rate

Pty — Proprietary

QPSC — Qatari Joint-Stock Company

RB — Revenue Bond

REIT — Real Estate Investment Trust

REMIC — Real Estate Mortgage Investment Conduit

Re-REMIC — Resecuritization of Real Estate Mortgage Investment Conduit

RFUCCT1Y — Refinitiv US IBOR Consumer Cash Fallback 1 Year

S&P — Standard & Poor's

Ser — Series

SOFR — Secured Overnight Financing Rate

SOFR30A — Secured Overnight Financing Rate 30-day Average

SOFRINDX — Custom SOFR Index

SPDR — Standard & Poor's Depository Receipt

SPI — Share Price Index

STACR — Structured Agency Credit Risk

STRIPS — Separately Traded Registered Interest and Principal Securities

TBA — To Be Announced

TELBOR — Tel Aviv Interbank Offer Rate

THOR — Thai Overnight Repurchase Rate

TOPIX — Tokyo Price Index

TSFR1M — Term Secured Overnight Financing Rate 1 Month

TSFR3M — Term Secured Overnight Financing Rate 3 Month

TSFR6M — Term Secured Overnight Financing Rate 6 Month

TSFR12M — Term Secured Overnight Financing Rate 12 Month

TSX — Toronto Stock Exchange

ULC — Unlimited Liability Company

ULSD — Ultra-Low Sulfur Diesel

UMBS — Uniform Mortgage-Backed Securities

WIBOR— Warsaw Interbank Offered Rate

WTI — West Texas Intermediate

 

 

 

SEI Institutional Investments Trust

 

389