SAAT AGGRESSIVE Valuation Analysis

SSGAX Fund  USD 17.45  0.18  1.04%   
SAAT AGGRESSIVE trades near a market-range earnings multiple — a reading that maps directly to the current earnings and balance-sheet profile. The market is pricing SAAT AGGRESSIVE at 14.36x trailing earnings. The shares trade at 1.65 times book and 1.02 times sales.
Below Model Estimate
Today
17.45
For Saat Aggressive Strategy, valuation is derived from the weighted behavior of its portfolio constituents over a 3 months horizon. Pricing gaps often arise from short-term dislocations between fund value and underlying asset movements.
19.11
Intrinsic Value
20.04
Current intrinsic value estimate framed by downside and upside probability thresholds.

Valuation Framework, Methodology & Assumptions

SAAT AGGRESSIVE is a fund with category exposure linked to SEI Funds, Large Blend Funds, Emerging Markets Funds. Valuation context is commonly framed through reported NAV, portfolio composition, and fee structure.

Saat Aggressive Strategy analytics rely on fund disclosures and market reference feeds, with quality checks and normalization applied. Valuation outputs are model-derived and depend on published assumptions and reference inputs.

The analysis above is generated by quantitative models and is provided for informational and educational purposes only. It does not constitute financial advice, investment recommendations, or an endorsement to buy or sell any security. All investing involves risk, including the possible loss of principal. Consult a qualified financial advisor before making investment decisions. See our Terms of Use for full details.

Financial data referenced in this analysis is derived from publicly available SEC filings, audited financial statements, and third-party market data providers. The intrinsic value estimate is generated by Macroaxis quantitative models that incorporate fundamental analysis, technical indicators, and risk metrics.

The methodology combines multiple analytical inputs:

  • Fundamental analysis - financial statements, profitability ratios, debt structure, and cash flow metrics sourced from SEC filings and public financial reports
  • Technical indicators - historical price patterns, momentum signals, and volatility measures
  • Risk assessment - probability of bankruptcy models, market risk metrics, and downside scenario analysis
  • Peer comparison - relative valuation against industry peers using standardized multiples

Model outputs are refreshed periodically as new financial data becomes available. Past model performance is not indicative of future results. The intrinsic value estimate reflects a point-in-time calculation and should be considered alongside other research and professional advice.

Data sourced from SEC filings (EDGAR), public financial statements, and market data providers.

Editorial review and methodology oversight provided by: Ellen Johnson, Member of Macroaxis Editorial Board