| Name | Ex-Dividend Date | Dividend | Payment Date | Record Date | Declaration Date | Frequency |
|---|---|---|---|---|---|---|
SIFIX Paid SEI Institutional International Trust International Fixed Income Fund Class Y 16 Dec 2022 | 15 Dec 2022 | $0.01 | 16 Dec 2022 | 14 Dec 2022 | 15 Dec 2022 | Other |
SIFIX Paid SEI Institutional International Trust International Fixed Income Fund Class Y 16 Dec 2021 | 15 Dec 2021 | $0.13 | 16 Dec 2021 | 14 Dec 2021 | 15 Dec 2021 | Other |
SIFIX Paid SEI Institutional International Trust International Fixed Income Fund Class Y 11 Dec 2020 | 10 Dec 2020 | $0 | 11 Dec 2020 | 9 Dec 2020 | 10 Dec 2020 | Other |
SIFIX Paid SEI Institutional International Trust International Fixed Income Fund Class Y 30 Dec 2019 | 27 Dec 2019 | $0.29 | 30 Dec 2019 | 26 Dec 2019 | 27 Dec 2019 | Annual |
SIFIX Paid SEI Institutional International Trust International Fixed Income Fund Class Y 13 Dec 2019 | 12 Dec 2019 | $0.08 | 13 Dec 2019 | 11 Dec 2019 | 12 Dec 2019 | Other |
SIFIX Paid SEI Institutional International Trust International Fixed Income Fund Class Y 14 Dec 2018 | 13 Dec 2018 | $0.06 | 14 Dec 2018 | 12 Dec 2018 | 13 Dec 2018 | Other |
SIFIX Paid SEI Institutional International Trust International Fixed Income Fund Class Y 14 Dec 2016 | 13 Dec 2016 | $0.1 | 14 Dec 2016 | 12 Dec 2016 | 13 Dec 2016 | Other |
SIFIX Paid SEI Institutional International Trust International Fixed Income Fund Class Y 29 Dec 2015 | 28 Dec 2015 | $0.6 | 29 Dec 2015 | 24 Dec 2015 | 28 Dec 2015 | Annual |
SIFIX Paid SEI Institutional International Trust International Fixed Income Fund Class Y 10 Dec 2015 | 9 Dec 2015 | $0.02 | 10 Dec 2015 | 8 Dec 2015 | 9 Dec 2015 | Other |