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Separately Managed Accounts Performance

As of 12/31/25
QTD
YTD
1 Year
3 Year
5 Year
10 Year
Since Inception
Inception Date
Small Cap Equity (gross)
2.21 %
-1.00 %
-1.00 %
8.59 %
8.47 %
9.74 %
10.87 %
03/31/1991
Small Cap Equity (net)
1.95 %
-1.99 %
-1.99 %
7.52 %
7.41 %
8.66 %
9.99 %
Russell 2000 Index
2.19 %
12.81 %
12.81 %
13.73 %
6.09 %
9.62 %
9.50 %
SMID Cap Equity (Gross)
5.5 %
0.3 %
9.5 %
11.2 %
#N/A
#N/A
6.3 %
12/31/2021
SMID Cap Equity (Net)
5.3 %
-0.2 %
8.4 %
10.2 %
#N/A
#N/A
5.3 %
12/31/2021
Russell 2500 Index
8.6 %
0.4 %
9.9 %
11.3 %
11.4 %
8.4 %
2.2 %
Strategic Equity (gross)
4.17 %
15.87 %
15.87 %
18.03 %
12.38 %
13.48 %
10.26 %
03/31/2004
Strategic Equity (net)
3.98 %
15.02 %
15.02 %
17.16 %
11.55 %
12.64 %
9.45 %
S&P 500 Index
2.65 %
17.88 %
17.88 %
23.01 %
14.42 %
14.82 %
10.75 %
Equity Income (gross)
0.27 %
10.92 %
10.92 %
9.84 %
10.24 %
11.22 %
9.71 %
12/31/2004
Equity Income (net)
0.08 %
10.10 %
10.10 %
9.03 %
9.43 %
10.40 %
8.90 %
S&P 500 Index
2.65 %
17.88 %
17.88 %
23.01 %
14.42 %
14.82 %
10.70 %
Russell 1000 Value Index
3.81 %
15.90 %
15.90 %
13.90 %
11.32 %
10.53 %
8.26 %
Disciplined U.S. Equity (gross)
5.44 %
14.84 %
14.84 %
15.95 %
11.27 %
11.63 %
10.15 %
03/31/2002
Disciplined U.S. Equity (net)
5.25 %
13.99 %
13.99 %
15.10 %
10.45 %
10.80 %
9.34 %
Russell 1000 Index
2.41 %
17.37 %
17.37 %
22.74 %
13.59 %
14.59 %
9.96 %
Disciplined U.S. Growth Equity (gross)
3.00 %
18.04 %
18.04 %
22.53 %
14.40 %
15.59 %
13.41 %
12/31/2002
Disciplined U.S. Growth Equity (net)
2.81 %
17.18 %
17.18 %
21.63 %
13.55 %
14.74 %
12.57 %
Russell 1000 Growth Index
1.12 %
18.56 %
18.56 %
31.15 %
15.32 %
18.13 %
13.23 %
Disciplined U.S. Value Equity (gross)
4.26 %
15.85 %
15.85 %
12.75 %
12.05 %
10.68 %
9.58 %
04/30/2015
Disciplined U.S. Value Equity (net)
4.07 %
15.00 %
15.00 %
11.92 %
11.23 %
9.86 %
8.77 %
Russell 1000 Value Index
3.81 %
15.90 %
15.90 %
13.90 %
11.32 %
10.53 %
9.41 %
Disciplined U.S. Small Cap Equity (gross)
6.48 %
13.28 %
13.28 %
15.25 %
13.49 %
%
10.59 %
11/30/2017
Disciplined U.S. Small Cap Equity (net)
6.22 %
12.16 %
12.16 %
14.12 %
12.38 %
%
9.57 %
Russell 2000 Index
2.19 %
12.81 %
12.81 %
13.73 %
6.09 %
9.62 %
7.49 %
Disciplined International ADR Equity (gross)
7.41 %
35.30 %
35.30 %
22.29 %
12.75 %
8.72 %
7.69 %
12/31/2014
Disciplined International ADR Equity (net)
7.21 %
34.31 %
34.31 %
21.40 %
11.92 %
7.92 %
7.08 %
MSCI World ex US Index
5.20 %
31.85 %
31.85 %
17.64 %
9.46 %
8.55 %
7.44 %
Disciplined International Equity (gross)
12.52 %
23.26 %
26.19 %
19.22 %
#N/A
#N/A
11.09 %
03/31/2021
Disciplined International Equity (net)
12.32 %
22.81 %
25.27 %
18.35 %
#N/A
#N/A
10.27 %
03/31/2021
MSCI World ex US Index
12.04 %
18.99 %
18.70 %
15.73 %
11.51 %
6.65 %
7.60 %
03/31/2021
Total Market Plus Equity (gross)
4.72 %
19.87 %
19.87 %
15.58 %
14.02 %
12.68 %
9.72 %
12/31/2006
Total Market Plus Equity (net)
4.47 %
18.70 %
18.70 %
14.45 %
12.81 %
11.38 %
8.42 %
Russell 3000 Index
2.40 %
17.15 %
17.15 %
22.25 %
13.15 %
14.29 %
10.51 %
Long/Short Equity (gross)
4.51 %
14.18 %
14.18 %
11.48 %
11.52 %
6.64 %
5.01 %
11/30/2006
Long/Short Equity (net)
4.19 %
12.79 %
12.79 %
10.11 %
10.16 %
5.33 %
3.72 %
Russell 3000 Index
2.40 %
17.15 %
17.15 %
22.25 %
13.15 %
14.29 %
10.53 %
70 FTSE 3-Month U.S. T-Bill/ 30 Russell 3000
1.02 %
4.40 %
4.40 %
5.03 %
3.31 %
2.23 %
4.45 %
Women in Leadership U.S. Equity (gross)
5.08 %
15.37 %
15.37 %
16.83 %
11.77 %
%
12.36 %
12/31/2015
Women in Leadership U.S. Equity (net)
4.88 %
14.52 %
14.52 %
15.97 %
10.95 %
%
11.53 %
Russell 1000 Index
2.41 %
17.37 %
17.37 %
22.74 %
13.59 %
14.59 %
14.59 %
Energy Resilience (gross)
%
%
%
%
%
%
1.94 %
10/31/2025
Energy Resilience (net)
%
%
%
%
%
%
1.81 %
Russell 1000 Index
2.41 %
17.37 %
17.37 %
22.74 %
13.59 %
14.59 %
1.51 %
Secured Options (gross)
2.97 %
8.69 %
8.69 %
12.98 %
8.90 %
7.77 %
7.54 %
12/31/2003
Secured Options (Net)
2.83 %
8.10 %
8.10 %
12.37 %
8.29 %
7.07 %
6.87 %
CBOE Buywrite Index
6.53 %
8.91 %
8.91 %
13.52 %
9.33 %
7.31 %
6.10 %
CBOE Putwrite Index
5.05 %
9.28 %
9.28 %
13.77 %
10.57 %
7.89 %
7.38 %
Global Secured Options (gross)
7.03 %
25.15 %
25.15 %
18.53 %
11.81 %
%
9.50 %
04/30/2017
Global Secured Options (Net)
6.88 %
24.48 %
24.48 %
17.89 %
11.19 %
%
8.81 %
MSCI ACWI
3.29 %
22.34 %
22.34 %
20.66 %
11.19 %
11.72 %
11.59 %
As of 12/31/25
QTD
2.21 %
YTD
-1.00 %
1 Year
-1.00 %
3 Year
8.59 %
5 Year
8.47 %
10 Year
9.74 %
Since Inception
10.87 %
Inception Date
03/31/1991
As of 12/31/25
QTD
1.95 %
YTD
-1.99 %
1 Year
-1.99 %
3 Year
7.52 %
5 Year
7.41 %
10 Year
8.66 %
Since Inception
9.99 %
Inception Date
As of 12/31/25
QTD
2.19 %
YTD
12.81 %
1 Year
12.81 %
3 Year
13.73 %
5 Year
6.09 %
10 Year
9.62 %
Since Inception
9.50 %
Inception Date
As of 12/31/25
QTD
5.5 %
YTD
0.3 %
1 Year
9.5 %
3 Year
11.2 %
5 Year
#N/A
10 Year
#N/A
Since Inception
6.3 %
Inception Date
12/31/2021
As of 12/31/25
QTD
5.3 %
YTD
-0.2 %
1 Year
8.4 %
3 Year
10.2 %
5 Year
#N/A
10 Year
#N/A
Since Inception
5.3 %
Inception Date
12/31/2021
As of 12/31/25
QTD
8.6 %
YTD
0.4 %
1 Year
9.9 %
3 Year
11.3 %
5 Year
11.4 %
10 Year
8.4 %
Since Inception
2.2 %
Inception Date
As of 12/31/25
QTD
4.17 %
YTD
15.87 %
1 Year
15.87 %
3 Year
18.03 %
5 Year
12.38 %
10 Year
13.48 %
Since Inception
10.26 %
Inception Date
03/31/2004
As of 12/31/25
QTD
3.98 %
YTD
15.02 %
1 Year
15.02 %
3 Year
17.16 %
5 Year
11.55 %
10 Year
12.64 %
Since Inception
9.45 %
Inception Date
As of 12/31/25
QTD
2.65 %
YTD
17.88 %
1 Year
17.88 %
3 Year
23.01 %
5 Year
14.42 %
10 Year
14.82 %
Since Inception
10.75 %
Inception Date
As of 12/31/25
QTD
0.27 %
YTD
10.92 %
1 Year
10.92 %
3 Year
9.84 %
5 Year
10.24 %
10 Year
11.22 %
Since Inception
9.71 %
Inception Date
12/31/2004
As of 12/31/25
QTD
0.08 %
YTD
10.10 %
1 Year
10.10 %
3 Year
9.03 %
5 Year
9.43 %
10 Year
10.40 %
Since Inception
8.90 %
Inception Date
As of 12/31/25
QTD
2.65 %
YTD
17.88 %
1 Year
17.88 %
3 Year
23.01 %
5 Year
14.42 %
10 Year
14.82 %
Since Inception
10.70 %
Inception Date
As of 12/31/25
QTD
3.81 %
YTD
15.90 %
1 Year
15.90 %
3 Year
13.90 %
5 Year
11.32 %
10 Year
10.53 %
Since Inception
8.26 %
Inception Date
As of 12/31/25
QTD
5.44 %
YTD
14.84 %
1 Year
14.84 %
3 Year
15.95 %
5 Year
11.27 %
10 Year
11.63 %
Since Inception
10.15 %
Inception Date
03/31/2002
As of 12/31/25
QTD
5.25 %
YTD
13.99 %
1 Year
13.99 %
3 Year
15.10 %
5 Year
10.45 %
10 Year
10.80 %
Since Inception
9.34 %
Inception Date
As of 12/31/25
QTD
2.41 %
YTD
17.37 %
1 Year
17.37 %
3 Year
22.74 %
5 Year
13.59 %
10 Year
14.59 %
Since Inception
9.96 %
Inception Date
Disciplined U.S. Growth Equity
For information on the mutual fund, click here.
As of 12/31/25
QTD
3.00 %
YTD
18.04 %
1 Year
18.04 %
3 Year
22.53 %
5 Year
14.40 %
10 Year
15.59 %
Since Inception
13.41 %
Inception Date
12/31/2002
As of 12/31/25
QTD
2.81 %
YTD
17.18 %
1 Year
17.18 %
3 Year
21.63 %
5 Year
13.55 %
10 Year
14.74 %
Since Inception
12.57 %
Inception Date
As of 12/31/25
QTD
1.12 %
YTD
18.56 %
1 Year
18.56 %
3 Year
31.15 %
5 Year
15.32 %
10 Year
18.13 %
Since Inception
13.23 %
Inception Date
Disciplined U.S. Value Equity
For information on the mutual fund, click here.
As of 12/31/25
QTD
4.26 %
YTD
15.85 %
1 Year
15.85 %
3 Year
12.75 %
5 Year
12.05 %
10 Year
10.68 %
Since Inception
9.58 %
Inception Date
04/30/2015
As of 12/31/25
QTD
4.07 %
YTD
15.00 %
1 Year
15.00 %
3 Year
11.92 %
5 Year
11.23 %
10 Year
9.86 %
Since Inception
8.77 %
Inception Date
As of 12/31/25
QTD
3.81 %
YTD
15.90 %
1 Year
15.90 %
3 Year
13.90 %
5 Year
11.32 %
10 Year
10.53 %
Since Inception
9.41 %
Inception Date
Disciplined U.S. Small Cap Equity
For information on the mutual fund, click here.
As of 12/31/25
QTD
6.48 %
YTD
13.28 %
1 Year
13.28 %
3 Year
15.25 %
5 Year
13.49 %
10 Year
%
Since Inception
10.59 %
Inception Date
11/30/2017
As of 12/31/25
QTD
6.22 %
YTD
12.16 %
1 Year
12.16 %
3 Year
14.12 %
5 Year
12.38 %
10 Year
%
Since Inception
9.57 %
Inception Date
As of 12/31/25
QTD
2.19 %
YTD
12.81 %
1 Year
12.81 %
3 Year
13.73 %
5 Year
6.09 %
10 Year
9.62 %
Since Inception
7.49 %
Inception Date
Disciplined International ADR Equity
As of 12/31/25
QTD
7.41 %
YTD
35.30 %
1 Year
35.30 %
3 Year
22.29 %
5 Year
12.75 %
10 Year
8.72 %
Since Inception
7.69 %
Inception Date
12/31/2014
As of 12/31/25
QTD
7.21 %
YTD
34.31 %
1 Year
34.31 %
3 Year
21.40 %
5 Year
11.92 %
10 Year
7.92 %
Since Inception
7.08 %
Inception Date
As of 12/31/25
QTD
5.20 %
YTD
31.85 %
1 Year
31.85 %
3 Year
17.64 %
5 Year
9.46 %
10 Year
8.55 %
Since Inception
7.44 %
Inception Date
Disciplined International Equity
For information on the mutual fund, click here.
As of 12/31/25
QTD
12.52 %
YTD
23.26 %
1 Year
26.19 %
3 Year
19.22 %
5 Year
#N/A
10 Year
#N/A
Since Inception
11.09 %
Inception Date
03/31/2021
As of 12/31/25
QTD
12.32 %
YTD
22.81 %
1 Year
25.27 %
3 Year
18.35 %
5 Year
#N/A
10 Year
#N/A
Since Inception
10.27 %
Inception Date
03/31/2021
As of 12/31/25
QTD
12.04 %
YTD
18.99 %
1 Year
18.70 %
3 Year
15.73 %
5 Year
11.51 %
10 Year
6.65 %
Since Inception
7.60 %
Inception Date
03/31/2021
As of 12/31/25
QTD
4.72 %
YTD
19.87 %
1 Year
19.87 %
3 Year
15.58 %
5 Year
14.02 %
10 Year
12.68 %
Since Inception
9.72 %
Inception Date
12/31/2006
As of 12/31/25
QTD
4.47 %
YTD
18.70 %
1 Year
18.70 %
3 Year
14.45 %
5 Year
12.81 %
10 Year
11.38 %
Since Inception
8.42 %
Inception Date
As of 12/31/25
QTD
2.40 %
YTD
17.15 %
1 Year
17.15 %
3 Year
22.25 %
5 Year
13.15 %
10 Year
14.29 %
Since Inception
10.51 %
Inception Date
As of 12/31/25
QTD
4.51 %
YTD
14.18 %
1 Year
14.18 %
3 Year
11.48 %
5 Year
11.52 %
10 Year
6.64 %
Since Inception
5.01 %
Inception Date
11/30/2006
As of 12/31/25
QTD
4.19 %
YTD
12.79 %
1 Year
12.79 %
3 Year
10.11 %
5 Year
10.16 %
10 Year
5.33 %
Since Inception
3.72 %
Inception Date
As of 12/31/25
QTD
2.40 %
YTD
17.15 %
1 Year
17.15 %
3 Year
22.25 %
5 Year
13.15 %
10 Year
14.29 %
Since Inception
10.53 %
Inception Date
As of 12/31/25
QTD
1.02 %
YTD
4.40 %
1 Year
4.40 %
3 Year
5.03 %
5 Year
3.31 %
10 Year
2.23 %
Since Inception
4.45 %
Inception Date
Women in Leadership U.S. Equity
For information on the mutual fund, click here.
As of 12/31/25
QTD
5.08 %
YTD
15.37 %
1 Year
15.37 %
3 Year
16.83 %
5 Year
11.77 %
10 Year
%
Since Inception
12.36 %
Inception Date
12/31/2015
As of 12/31/25
QTD
4.88 %
YTD
14.52 %
1 Year
14.52 %
3 Year
15.97 %
5 Year
10.95 %
10 Year
%
Since Inception
11.53 %
Inception Date
As of 12/31/25
QTD
2.41 %
YTD
17.37 %
1 Year
17.37 %
3 Year
22.74 %
5 Year
13.59 %
10 Year
14.59 %
Since Inception
14.59 %
Inception Date
As of 12/31/25
QTD
%
YTD
%
1 Year
%
3 Year
%
5 Year
%
10 Year
%
Since Inception
1.94 %
Inception Date
10/31/2025
As of 12/31/25
QTD
%
YTD
%
1 Year
%
3 Year
%
5 Year
%
10 Year
%
Since Inception
1.81 %
Inception Date
As of 12/31/25
QTD
2.41 %
YTD
17.37 %
1 Year
17.37 %
3 Year
22.74 %
5 Year
13.59 %
10 Year
14.59 %
Since Inception
1.51 %
Inception Date
As of 12/31/25
QTD
2.97 %
YTD
8.69 %
1 Year
8.69 %
3 Year
12.98 %
5 Year
8.90 %
10 Year
7.77 %
Since Inception
7.54 %
Inception Date
12/31/2003
As of 12/31/25
QTD
2.83 %
YTD
8.10 %
1 Year
8.10 %
3 Year
12.37 %
5 Year
8.29 %
10 Year
7.07 %
Since Inception
6.87 %
Inception Date
As of 12/31/25
QTD
6.53 %
YTD
8.91 %
1 Year
8.91 %
3 Year
13.52 %
5 Year
9.33 %
10 Year
7.31 %
Since Inception
6.10 %
Inception Date
As of 12/31/25
QTD
5.05 %
YTD
9.28 %
1 Year
9.28 %
3 Year
13.77 %
5 Year
10.57 %
10 Year
7.89 %
Since Inception
7.38 %
Inception Date
As of 12/31/25
QTD
7.03 %
YTD
25.15 %
1 Year
25.15 %
3 Year
18.53 %
5 Year
11.81 %
10 Year
%
Since Inception
9.50 %
Inception Date
04/30/2017
As of 12/31/25
QTD
6.88 %
YTD
24.48 %
1 Year
24.48 %
3 Year
17.89 %
5 Year
11.19 %
10 Year
%
Since Inception
8.81 %
Inception Date
As of 12/31/25
QTD
3.29 %
YTD
22.34 %
1 Year
22.34 %
3 Year
20.66 %
5 Year
11.19 %
10 Year
11.72 %
Since Inception
11.59 %
Inception Date

Related Literature & Disclosures

Form ADV Part 1 link

Form ADV Part 2A link

Form ADV Part 2B link

Form CRS link

This website is for informational purposes only and is not a solicitation for any product or service. GIM products are actively managed and their characteristics will vary. All investment has risk, including the risk of loss of principal. There can be no assurance that efforts to manage risk or to achieve any articulated investment objective will be successful. An investor should consider investment objectives, risks, charges and expenses carefully before investing.

Performance quoted is past performance and is not a guarantee of future results. Products have fees that reduce their performance, indexes do not.

Investors cannot invest directly in an index.

Glenmede Investment Management, LP claims compliance with the Global Investment Performance Standards (GIPS®).

GIPS® is a registered trademark of CFA Institute. CFA Institute does not endorse or promote this organization, nor does it warrant the accuracy or quality of the content contained herein.

Glenmede Investment Management, LP, a registered Investment Advisor, is an affiliate of the Glenmede Trust Company, NA (GTC). The “Firm” is defined as all investment advisory accounts managed by Glenmede Investment Management LP. Effective January 1, 2007, the Investment Product Management Group of GTC became Glenmede Investment Management, LP. All performance prior to January 1, 2007, shown here as the performance of GIM, was previously reported as the performance of the Investment Product Management Group of the Glenmede Trust Company.

All of the composites’ valuations and returns are computed and stated in U.S. Dollars. Net numbers are net of max allowable management fee for this strategy. Additional information regarding the Company’s policies for valuing portfolios, calculating performance and preparing compliant presentations, is available upon request. A GIPS® compliant presentation, as well as a complete list of firm composites and performance, can be requested from GIM Client Service at 215.419.6662. Please see the GIPS® presentation for further explanation.

The CBOE Put/Write T-W Index is a benchmark index designed to track the performance of a hypothetical short put strategy. CBOE introduced the CBOE S&P 500 PutWrite T-W Index on July 3, 2014. The PWT Index replicates the methodology used to calculate the PUT Index, with one exception. That is, on each roll date the SPX puts are deemed to be sold at the Ptwap, a price equal to the time-weighted average of reported bid prices, of the selected SPX put option beginning at 11:30 a.m. ET and ending at 12:00 p.m. ET. Accordingly, Ptwap is used in place of the Pvwap on PWT roll dates. CBOE has not calculated a separate series of historical values for the PWT Index prior to July 3, 2014. Rather, historical values for the PWT Index prior to July 3, 2014, may be considered the same as PUT Index values. The Index is unmanaged.

The FTSE 3 Month US T Bill Index Series is intended to track the daily performance of 3 month US Treasury bills. The indexes are designed to operate as a reference rate for a series of funds. The Index is unmanaged.

The MSCI All Country World captures large and mid-cap representation across 23 Developed Markets (DM) and 23 Emerging Markets (EM) countries. With 2,480 constituents, the index covers approximately 85% of the global investable equity opportunity set. The Index is unmanaged.

The MSCI World ex US Index is a free float-adjusted market capitalization index that is designed to measure the equity market performance of developed markets, excluding the US. The MSCI World ex US Index consists of the following 22 developed market country indices: Australia, Austria, Belgium, Canada, Denmark, Finland, France, Germany, Hong Kong, Ireland, Israel, Italy, Japan, the Netherlands, New Zealand, Norway, Portugal, Singapore, Spain, Sweden, Switzerland, and the United Kingdom. The Index is unmanaged.

The S&P 500 Index consists of 500 widely held common stocks. This unmanaged Index is a total return index with dividends reinvested.

The Russell 1000 Index is an unmanaged, market value weighted index, which measures performance of the largest 1,000 companies in the market.

The Russell 1000 Growth Index is an unmanaged, market value weighted index, which measures performance of the largest 1,000 companies in the market. Returns include the reinvestment of dividends and other income.

The Russell 1000 Value Index is an unmanaged, market value weighted index, which measures the performance of those 1,000 largest companies in the Russell 3000 Index with lower price-to-book ratios and lower forecasted growth values.

The Russell 2000 Index is an unmanaged, market value weighted index, which measures performance of the 2,000 companies that are between the1,000th and 3,000th largest in the market.

The Russell 3000 Index is an unmanaged market value weighted index with dividends reinvested, which measures performance of the 3,000 largest companies in the market.