0000350894-24-000076.txt : 20240423 0000350894-24-000076.hdr.sgml : 20240423 20240423082934 ACCESSION NUMBER: 0000350894-24-000076 CONFORMED SUBMISSION TYPE: 8-K PUBLIC DOCUMENT COUNT: 18 CONFORMED PERIOD OF REPORT: 20240423 ITEM INFORMATION: Results of Operations and Financial Condition ITEM INFORMATION: Financial Statements and Exhibits FILED AS OF DATE: 20240423 DATE AS OF CHANGE: 20240423 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SEI INVESTMENTS CO CENTRAL INDEX KEY: 0000350894 STANDARD INDUSTRIAL CLASSIFICATION: SECURITY BROKERS, DEALERS & FLOTATION COMPANIES [6211] ORGANIZATION NAME: 02 Finance IRS NUMBER: 231707341 STATE OF INCORPORATION: PA FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 8-K SEC ACT: 1934 Act SEC FILE NUMBER: 000-10200 FILM NUMBER: 24862769 BUSINESS ADDRESS: STREET 1: 1 FREEDOM VALLEY DRIVE CITY: OAKS STATE: PA ZIP: 19456-1100 BUSINESS PHONE: 6106761000 MAIL ADDRESS: STREET 1: 1 FREEDOM VALLEY DRIVE CITY: OAKS STATE: PA ZIP: 19456-1100 FORMER COMPANY: FORMER CONFORMED NAME: SEI INVESTMENT CO DATE OF NAME CHANGE: 20040806 FORMER COMPANY: FORMER CONFORMED NAME: SEI CORP DATE OF NAME CHANGE: 19920703 8-K 1 seic-20240423.htm FORM 8-K seic-20240423
0000350894FALSE00003508942024-04-232024-04-23

UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
________________________________________
FORM 8-K
________________________________________
CURRENT REPORT
PURSUANT TO SECTION 13 OR 15(D)
OF THE SECURITIES EXCHANGE ACT OF 1934
April 23, 2024
Date of report (Date of earliest event reported)
________________________________________
GIF_sei_logo_final_black.gif
________________________________________
SEI INVESTMENTS COMPANY
(Exact name of registrant as specified in its charter)
________________________________________
Pennsylvania 0-10200 23-1707341
(State or Other Jurisdiction
of Incorporation)
 (Commission
File Number)
 (I.R.S. Employer
Identification No.)
1 Freedom Valley Drive
Oaks, Pennsylvania 19456
(Address of Principal Executive Offices and Zip Code)
(610) 676-1000
(Registrant's Telephone Number, Including Area Code)
________________________________________
Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions:
Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425)
Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12)
Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b))
Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c))
Securities registered pursuant to Section 12(b) of the Act:
Title of each classTrading SymbolName of each exchange on which registered
Common Stock, par value $0.01 per shareSEICThe NASDAQ Stock Market LLC




Indicate by check mark whether the registrant is an emerging growth company as defined in Rule 405 of the Securities Act of 1933 (§230.405 of this chapter) or Rule 12b-2 of the Securities Exchange Act of 1934 (§240.12b-2 of this chapter).
Emerging growth company
If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.




Item 2.02.    Results of Operations and Financial Condition.
During the quarter ended March 31, 2024, the Company made a determination to reorganize, effective January 1, 2024, some of its business segments based on how its current Chief Operating Decision Maker (CODM) manages its businesses, including with respect to resource allocation and performance assessment. As a result, one of the Company's client relationships formerly reported in the Private Banks segment will be reported in the Investment Managers segment and the Company’s family office services business, formerly reported in the Investment Managers segment, will be reported in the Investments in New Businesses segment. The business segment financial presentation was reclassified in 2024 to conform to this reorganization.
The reclassified results are being provided in exhibits as:
Reclassified Results by Business Segment due to Business Segment Restructuring Year Over Year Comparison
Reclassified Results by Business Segment due to Business Segment Restructuring
Reclassified Ending Asset Balances by Business Segment due to Business Segment Restructuring
Reclassified Average Asset Balances by Business Segment due to Business Segment Restructuring
The reclassified results are being provided solely to provide information concerning what the effect of the reclassifications would have been on the fiscal year 2022 and the fiscal and quarterly periods of 2023 had the reclassifications occurred on January 1, 2022, which may be considered in connection with the issuance of quarterly financial results reflecting the reclassifications during 2024. These changes did not affect the Company’s audited financial statements for the fiscal years ended December 31, 2023 and 2022 or the historical results of operations, financial condition or liquidity of the Company.

Item 9.01.    Financial Statements and Exhibits.



SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
SEI INVESTMENTS COMPANY
Date:April 23, 2024By:/s/ Dennis J. McGonigle
Dennis J. McGonigle
Chief Financial Officer


EX-99.1 2 ex991reclassifiedresultsby.htm RECLASSIFIED RESULTS BY BUSINESS SEGMENT YEAR OVER YEAR Document

Exhibit 99.1
Reclassified Results by Business Segment due to Business Segment Restructuring Year Over Year Comparison

(In thousands)As ReportedAmount RestatedAs ReportedAmountRestated
2022Reclassified20222023Reclassified2023
Private Banks:
Revenues (A)$575,625 ($5,615)$570,010 $503,317 ($7,000)$496,317 
Expenses473,209 ($5,388)467,821 455,820 ($7,330)448,490 
Operating Profit102,416 (227)102,189 47,497 33047,827 
Operating Margin18 %18 %%10 %
Investment Advisors:
Revenues447,766 447,766 436,298 436,298 
Expenses251,650 251,650 259,142 259,142 
Operating Profit196,116 196,116 177,156 177,156 
Operating Margin44 %44 %41 %41 %
Institutional Investors:
Revenues323,353 323,353 289,708 289,708 
Expenses172,252 172,252 165,455 165,455 
Operating Profit151,101 151,101 124,253 124,253 
Operating Margin47 %47 %43 %43 %
Investment Managers:
Revenues624,918 (25,257)599,661 670,486 (25,232)645,254 
Expenses404,850 (22,885)381,965 437,174 (17,978)419,196 
Operating Profit220,068 (2,372)217,696 233,312 (7,254)226,058 
Operating Margin35 %36 %35 %35 %
Investments in New Businesses:
Revenues19,375 30,87250,247 19,984 32,23252,216 
Expenses45,159 28,27373,432 45,437 25,30870,745 
Operating Loss(25,784)2,599(23,185)(25,453)6,924(18,529)
Totals:
Revenues$1,991,037 $—$1,991,037 $1,919,793 $—$1,919,793 
Expenses1,347,120 1,347,120 1,363,028 1,363,028 
Corporate Overhead Expenses168,164 168,164 132,241 132,241 
Income from Operations$475,753 $—$475,753 $424,524 $—$424,524 

(A) The 2022 full year Private Banks revenues includes one time early termination fees of $88.0 million from a significant investment processing client.


EX-99.2 3 ex992reclassifiedresultsby.htm RECLASSIFIED RESULTS BY BUSINESS SEGMENT Document

Exhibit 99.2
Reclassified Results by Business Segment due to Business Segment Restructuring

(In thousands)Full Year 1st Qtr.2nd Qtr.3rd Qtr.4th Qtr.Full Year
202220232023202320232023
Private Banks:
Revenues (A)$570,010 $120,902 $132,414 $119,664 $123,337 $496,317 
Expenses467,821 112,462 114,165 111,207 110,656 448,490 
Operating Profit102,189 8,440 18,249 8,457 12,681 47,827 
Operating Margin18 %%14 %%10 %10 %
Investment Advisors:
Revenues447,766 106,538 109,580 110,461 109,719 436,298 
Expenses251,650 63,546 64,178 64,280 67,138 259,142 
Operating Profit196,116 42,992 45,402 46,181 42,581 177,156 
Operating Margin44 %40 %41 %42 %39 %41 %
Institutional Investors:
Revenues323,353 74,290 75,145 70,479 69,794 289,708 
Expenses172,252 40,868 45,516 39,953 39,118 165,455 
Operating Profit151,101 33,422 29,629 30,526 30,676 124,253 
Operating Margin47 %45 %39 %43 %44 %43 %
Investment Managers:
Revenues599,661 154,497 159,204 162,982 168,571 645,254 
Expenses381,965 101,685 103,213 103,585 110,713 419,196 
Operating Profit217,696 52,812 55,991 59,397 57,858 226,058 
Operating Margin36 %34 %35 %36 %34 %35 %
Investments in New Businesses:
Revenues50,247 12,892 12,714 13,173 13,437 52,216 
Expenses73,432 17,639 17,015 18,265 17,826 70,745 
Operating Loss(23,185)(4,747)(4,301)(5,092)(4,389)(18,529)
Totals:
Revenues$1,991,037 $469,119 $489,057 $476,759 $484,858 $1,919,793 
Expenses1,347,120 336,200 344,087 337,290 345,451 1,363,028 
Corporate Overhead Expenses168,164 31,152 32,369 30,997 37,723 132,241 
Income from Operations$475,753 $101,767 $112,601 $108,472 $101,684 $424,524 

(A) The 2022 full year Private Banks revenues includes one time early termination fees of $88.0 million from a significant investment processing client.


EX-99.3 4 ex993reclassifiedendingass.htm RECLASSIFIED ENDING ASSETS Document
Exhibit 99.3
Reclassified Ending Asset Balances due to Business Segment Restructuring

(In millions)Dec. 31,Mar. 31,Jun. 30,Sept. 30,Dec. 31,
20222023202320232023
Private Banks:
Equity and fixed-income programs$22,377 $23,653 $24,091 $23,039 $24,496 
Collective trust fund programs
Liquidity funds3,201 3,427 3,433 3,636 3,916 
Total assets under management$25,585 $27,086 $27,531 $26,681 $28,416 
Client assets under administration4,151 4,299 4,154 4,399 7,267 
Total assets$29,736 $31,385 $31,685 $31,080 $35,683 
Investment Advisors:
Equity and fixed-income programs$66,240 $68,065 $69,439 $66,911 $71,634 
Liquidity funds5,436 4,965 4,968 5,175 4,812 
Total Platform assets under management$71,676 $73,030 $74,407 $72,086 $76,446 
Platform-only assets13,931 14,980 16,103 16,232 18,324 
Platform-only assets-deposit program— — — — 843 
Total Platform assets$85,607 $88,010 $90,510 $88,318 $95,613 
Institutional Investors:
Equity and fixed-income programs$73,178 $74,939 $75,854 $72,387 $77,208 
Collective trust fund programs
Liquidity funds1,557 1,576 1,353 2,119 1,734 
Total assets under management$74,740 $76,519 $77,211 $74,510 $78,943 
Client assets under advisement4,314 4,559 4,368 4,085 6,120 
Total assets$79,054 $81,078 $81,579 $78,595 $85,063 
Investment Managers:
Collective trust fund programs (A)$141,285 $146,176 $149,779 $146,991 $156,376 
Liquidity funds199 203 249 180 114 
Total assets under management$141,484 $146,379 $150,028 $147,171 $156,490 
Client assets under administration (E)794,149 829,352 857,801 871,385 920,757 
Total assets$935,633 $975,731 $1,007,829 $1,018,556 $1,077,247 
Investments in New Businesses:
Equity and fixed-income programs$1,912 $2,031 $2,104 $2,017 $2,174 
Liquidity funds215 217 217 202 209 
Total assets under management$2,127 $2,248 $2,321 $2,219 $2,383 
Client assets under advisement1,077 1,081 1,098 1,070 1,150 
Client assets under administration (E)16,342 16,476 15,769 14,997 14,807 
Total assets$19,546 $19,805 $19,188 $18,286 $18,340 
LSV Asset Management:
Equity and fixed-income programs (B)$83,753 $84,964 $86,469 $83,684 $89,312 
Total:
Equity and fixed-income programs (C)$247,460 $253,652 $257,957 $248,038 $264,824 
Collective trust fund programs141,297 146,186 149,790 147,001 156,381 
Liquidity funds10,608 10,388 10,220 11,312 10,785 
Total assets under management$399,365 $410,226 $417,967 $406,351 $431,990 
Client assets under advisement5,391 5,640 5,466 5,155 7,270 
Client assets under administration (D)814,642 850,127 877,724 890,781 942,831 
Platform-only assets13,931 14,980 16,103 16,232 19,167 
Total assets$1,233,329 $1,280,973 $1,317,260 $1,318,519 $1,401,258 
(A)Collective trust fund program assets in the Investment Managers segment are included in assets under management since SEI is the trustee. Fees earned on this product are less than fees earned on customized asset management programs.
(B)Equity and fixed-income programs include $1.9 billion of assets managed by LSV in which fees are based solely on performance and are not calculated as an asset-based fee (as of December 31, 2023).
(C)Equity and fixed-income programs include $6.3 billion of assets invested in various asset allocation funds (as of December 31, 2023).
(D)    In addition to the assets presented, SEI also administers an additional $11.2 billion in Funds of Funds assets on which SEI does not earn an administration fee (as of December 31, 2023).
(E)    Due to the reorganization of business segments, client assets under administration were reclassified from Investment Managers to Investments in New Businesses.


EX-99.4 5 ex994reclassifiedaverageas.htm RECLASSIFIED AVERAGE ASSETS Document
Exhibit 99.4
Reclassified Average Asset Balances due to Business Segment Restructuring
(In millions)Full Year1st Qtr.2nd Qtr.3rd Qtr.4th Qtr.Full Year
202220232023202320232023
Private Banks:
Equity and fixed-income programs$23,326 $23,576 $23,748 $23,920 $23,309 $23,638 
Collective trust fund programs
Liquidity funds3,834 3,253 3,500 3,585 3,808 3,537 
Total assets under management$27,167 $26,836 $27,255 $27,511 $27,122 $27,181 
Client assets under administration4,204 4,316 4,282 4,221 7,083 4,976 
Total assets$31,371 $31,152 $31,537 $31,732 $34,205 $32,157 
Investment Advisors:
Equity and fixed-income programs$70,394 $67,578 $68,371 $69,309 $68,369 $68,407 
Liquidity funds5,682 4,995 4,808 4,990 5,046 4,960 
Total Platform assets under management$76,076 $72,573 $73,179 $74,299 $73,415 $73,367 
Platform-only assets13,574 14,812 15,548 16,544 17,201 16,026 
Platform-only assets-deposit program— — — — 281 70 
Total Platform assets$89,650 $87,385 $88,727 $90,843 $90,897 $89,463 
Institutional Investors:
Equity and fixed-income programs$79,415 $74,653 $74,865 $75,023 $73,644 $74,546 
Collective trust fund programs
Liquidity funds1,939 1,715 1,537 1,611 1,682 1,636 
Total assets under management$81,359 $76,373 $76,406 $76,638 $75,329 $76,186 
Client assets under advisement4,330 4,431 4,583 4,294 4,607 4,479 
Total assets$85,689 $80,804 $80,989 $80,932 $79,936 $80,665 
Investment Managers:
Collective trust fund programs (A)$125,595 $144,914 $147,543 $150,379 $149,551 $148,097 
Liquidity funds311 317 286 237 205 261 
Total assets under management$125,906 $145,231 $147,829 $150,616 $149,756 $148,358 
Client assets under administration (E)821,256 820,014 843,065 873,821 901,487 859,596 
Total assets$947,162 $965,245 $990,894 $1,024,437 $1,051,243 $1,007,954 
Investments in New Businesses:
Equity and fixed-income programs$1,968 $1,991 $2,057 $2,096 $2,069 $2,053 
Liquidity funds247 212 199 211 197 205 
Total assets under management$2,215 $2,203 $2,256 $2,307 $2,266 $2,258 
Client assets under advisement1,191 1,098 1,075 1,101 1,080 1,089 
Client assets under administration (E)16,391 16,396 16,231 15,682 14,781 15,773 
Total assets$19,797 $19,697 $19,562 $19,090 $18,127 $19,120 
LSV Asset Management:
Equity and fixed-income programs (B)$87,220 $86,987 $84,492 $86,671 $84,492 $85,661 
Total:
Equity and fixed-income programs (C)$262,323 $254,785 $253,533 $257,019 $251,883 $254,305 
Collective trust fund programs125,607 144,926 147,554 150,389 149,559 148,107 
Liquidity funds12,013 10,492 10,330 10,634 10,938 10,599 
Total assets under management$399,943 $410,203 $411,417 $418,042 $412,380 $413,011 
Client assets under advisement5,521 5,529 5,658 5,395 5,687 5,568 
Client assets under administration (D)841,851 840,726 863,578 893,724 923,351 880,345 
Platform-only assets13,574 14,812 15,548 16,544 17,482 16,096 
Total assets$1,260,889 $1,271,270 $1,296,201 $1,333,705 $1,358,900 $1,315,020 
(A)    Collective trust fund program average assets in the Investment Managers segment are included in assets under management since SEI is the trustee. Fees earned on this product are less than fees earned on customized asset management programs.
(B)    Equity and fixed-income programs during fourth-quarter 2023 include $1.8 billion of average assets managed by LSV in which fees are based solely on performance and are not calculated as an asset-based fee.
(C)    Equity and fixed-income programs include $6.1 billion of average assets invested in various asset allocation funds during fourth-quarter 2023.
(D)    In addition to the assets presented, SEI also administers an additional $11.3 billion of average assets in Funds of Funds assets during fourth-quarter 2023 on which SEI does not earn an administration fee.
(E)    Due to the reorganization of business segments, client assets under administration were reclassified from Investment Managers to Investments in New Businesses.


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Cover
Apr. 23, 2024
Cover [Abstract]  
Document Type 8-K
Document Period End Date Apr. 23, 2024
Entity Registrant Name SEI INVESTMENTS COMPANY
Entity Central Index Key 0000350894
Amendment Flag false
Entity Incorporation, State or Country Code PA
Entity File Number 0-10200
Entity Tax Identification Number 23-1707341
Entity Address, Address Line One 1 Freedom Valley Drive
Entity Address, City or Town Oaks
Entity Address, State or Province PA
Entity Address, Postal Zip Code 19456
City Area Code 610
Local Phone Number 676-1000
Written Communications false
Soliciting Material false
Pre-commencement Tender Offer false
Pre-commencement Issuer Tender Offer false
Title of 12(b) Security Common Stock, par value $0.01 per share
Trading Symbol SEIC
Security Exchange Name NASDAQ
Entity Emerging Growth Company false
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