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© 2022 SEI 1 Mark T. Morgan Client Portfolio Manager - Client Service Team, Institutional Group (610) 676-3012 SEI Investments Management Corporation 1 Freedom Valley Drive, Oaks, Pennsylvania 19456, 1-800-DIAL-SEI www.seic.com This Brochure Supplement provides information about Mark T. Morgan that supplements the SEI Investments Management Corporation ("SIMC") brochure. You should have received a copy of that Brochure. Please contact 1-800-DIAL-SEI if you did not receive SIMC's Brochure or if you have any questions about the contents of this supplement. Additional information about Mark T. Morgan is available on the SEC's website at www.adviserinfo.sec.gov. Education Background and Business Experience: Year of Birth: 1968 Professional designations held: CFA Formal education after high school: Mark T. Morgan earned his Bachelor of Business Administration in Finance from the University of Iowa. Business Background: Mr. Morgan is based out of the Chicago Office (190 S. LaSalle Street, Suite 1240, Chicago, IL 60603) Mark T. Morgan serves as a Client Portfolio Manager for the SEI Institutional Group where he is responsible for working with clients in the Midwest from our Chicago office. He began his career at SEI in 2010. Prior to his employment with SEI, he was a Managing Director and member of BlackRock's Account Management team where he was responsible for developing and maintaining relationships with Midwest institutional investors, including public and private pension plans, endowments, and foundations. Prior to BlackRock, he was a Director and Institutional Investment Specialist at Deutsche Asset Management/Scudder Investments where he was responsible for the firm's key accounts in the Midwest. Mr. Morgan began his career with ABN AMRO Asset Management and La Salle Bank in Chicago; he began as a Fixed Income Portfolio Manager, managing short and intermediate duration strategies for institutional clients and proceeded to become a Senior Vice President responsible for institutional client service and sales. Disciplinary Information: SIMC is required to disclose any material facts regarding any legal or disciplinary events that would materially impact a client's evaluation of Mark T. Morgan. No events have occurred that are applicable to this item. Other Business Activities: SIMC is required to disclose any outside business activity or occupation for compensation that could potentially create a conflict of interest with clients. Mark T. Morgan is not actively engaged in any such activities. Additional Compensation: Members of the Institutional Group receive a salary and regular incentive compensation (which may include stock options), they may also receive event compensation based on SIMC's receipt of new assets through client referrals. Supervision: The Institutional Group's Client Portfolio Management Team and Advisory Team work collaboratively to develop investment strategies for their clients. Roger Messina, Vice President and Managing Director of the Institutional Group, supervises the Institutional Group Client Portfolio Managers. Mr. Messina supervises the June 30, 2022 Institutional Group.

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