Equity Funds

DAILY PRICING
YTD RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
as of
7.31.2015
as of
7.31.2015
as of
7.31.2015
as of
6.30.2015
FUND NAME MAX SALES
CHARGE (%)
INCEPTION
DATE
SYMBOL PRICE ($) CHANGE ($)   YTD 1YR 3YR 5YR 10YR SINCE
INCEPTION
1YR 3YR 5YR 10YR SINCE
INCEPTION
Sentinel Common Stock Fund5.0001.12.1934SENCX
NAV 43.69
POP 45.99
-0.08 NAV
POP
3.49
-1.68
9.79
4.31
16.31
14.33
14.82
13.64
8.11
7.55
10.76
10.69
6.55
1.21
16.13
14.16
15.87
14.68
8.23
7.67
10.74
10.67
SHARE:A
Sentinel Common Stock Fund1.0005.04.1998SCSCX
NAV 41.97
POP 41.97
-0.09 NAV
POP
2.99
1.99
8.89
7.91
15.37
15.37
13.88
13.88
7.15
7.15
9.76
9.76
5.73
4.78
15.19
15.19
14.91
14.91
7.26
7.26
9.75
9.75
SHARE:C
Sentinel Common Stock Fund0.0005.04.2007SICWX
NAV 43.66
POP 43.66
-0.08 NAV
POP
3.66
3.66
10.09
10.09
16.65
16.65
15.18
15.18
8.42
8.42
10.79
10.79
6.83
6.83
16.46
16.46
16.23
16.23
8.53
8.53
10.78
10.78
SHARE:I
Sentinel Common Stock Fund0.0012.23.2014SCRLX
NAV 43.71
POP 43.71
-0.08 NAV
POP
3.69
3.69
10.00
10.00
16.39
16.39
14.86
14.86
8.13
8.13
10.76
10.76
6.73
6.73
16.19
16.19
15.91
15.91
8.24
8.24
10.74
10.74
SHARE:R6
Sentinel Mid Cap Fund5.0009.15.1969SNTNX
NAV 20.19
POP 21.25
N/A NAV
POP
4.07
-1.13
6.34
1.04
15.44
13.48
14.14
12.98
6.17
5.62
8.84
8.72
3.33
-1.83
15.31
13.35
15.48
14.30
6.64
6.10
8.88
8.76
SHARE:A
Sentinel Mid Cap Fund1.0003.30.2000SMGCX
NAV 15.26
POP 15.26
N/A NAV
POP
3.46
2.46
5.38
4.61
14.34
14.34
12.89
12.89
4.85
4.85
7.90
7.90
2.39
1.63
14.20
14.20
14.20
14.20
5.32
5.32
7.94
7.94
SHARE:C
Sentinel Mid Cap Fund0.0008.27.2007SIMGX
NAV 20.91
POP 20.91
N/A NAV
POP
4.13
4.13
6.52
6.52
15.74
15.74
14.48
14.48
6.44
6.44
8.90
8.90
3.49
3.49
15.63
15.63
15.83
15.83
6.91
6.91
8.94
8.94
SHARE:I
Sentinel Small Company Fund5.0003.01.1993SAGWX
NAV 5.68
POP 5.98
-0.01 NAV
POP
4.60
-0.70
11.46
5.95
17.05
15.06
15.21
14.05
8.66
8.11
11.38
11.13
8.44
3.04
17.55
15.56
16.93
15.72
9.48
8.91
11.52
11.27
SHARE:A
Sentinel Small Company Fund1.0007.09.2001SSCOX
NAV 4.09
POP 4.09
-0.01 NAV
POP
4.07
3.07
10.76
10.02
16.22
16.22
14.35
14.35
7.83
7.83
10.30
10.30
7.66
6.94
16.69
16.69
16.08
16.08
8.63
8.63
10.44
10.44
SHARE:C
Sentinel Small Company Fund0.0005.04.2007SIGWX
NAV 5.99
POP 5.99
-0.02 NAV
POP
4.72
4.72
11.75
11.75
17.47
17.47
15.61
15.61
9.01
9.01
11.54
11.54
8.85
8.85
17.95
17.95
17.37
17.37
9.84
9.84
11.68
11.68
SHARE:I
Sentinel Small Company Fund0.0012.23.2014SSRRX
NAV 5.70
POP 5.70
-0.01 NAV
POP
4.97
4.97
11.85
11.85
17.19
17.19
15.29
15.29
8.70
8.70
11.40
11.40
8.07
8.07
17.41
17.41
16.85
16.85
9.44
9.44
11.50
11.50
SHARE:R6
Sentinel Sustainable Core Opportunities Fund5.0006.13.1996MYPVX
NAV 21.03
POP 22.14
-0.04 NAV
POP
2.24
-2.86
8.81
3.35
16.46
14.47
14.53
13.36
6.03
5.49
7.17
6.88
5.79
0.50
16.35
14.37
15.69
14.51
6.43
5.89
7.12
6.83
SHARE:A
Sentinel Sustainable Core Opportunities Fund0.0003.31.2006CVALX
NAV 21.11
POP 21.11
-0.04 NAV
POP
2.38
2.38
9.10
9.10
16.77
16.77
14.87
14.87
6.38
6.38
7.36
7.36
6.09
6.09
16.65
16.65
16.02
16.02
6.78
6.78
7.30
7.30
SHARE:I
Sentinel Sustainable Mid Cap Opportunities Fund5.0002.08.1994WAEGX
NAV 18.42
POP 19.39
-0.01 NAV
POP
4.96
-0.27
9.73
4.25
16.21
14.25
14.24
13.07
5.90
5.35
8.81
8.55
7.15
1.78
16.23
14.26
15.95
14.76
6.40
5.86
8.91
8.64
SHARE:A
Sentinel Sustainable Mid Cap Opportunities Fund0.0011.01.1999CEGIX
NAV 19.26
POP 19.26
N/A NAV
POP
5.07
5.07
9.89
9.89
16.34
16.34
14.31
14.31
5.83
5.83
8.96
8.96
7.28
7.28
16.32
16.32
16.04
16.04
6.34
6.34
9.05
9.05
SHARE:I

International Funds

DAILY PRICING
YTD RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
as of
7.31.2015
as of
7.31.2015
as of
7.31.2015
as of
6.30.2015
FUND NAME MAX SALES
CHARGE (%)
INCEPTION
DATE
SYMBOL PRICE ($) CHANGE ($)   YTD 1YR 3YR 5YR 10YR SINCE
INCEPTION
1YR 3YR 5YR 10YR SINCE
INCEPTION
Sentinel International Equity Fund5.0003.01.1993SWRLX
NAV 17.45
POP 18.37
0.06 NAV
POP
9.89
4.37
4.62
-0.60
12.95
11.03
7.84
6.74
5.40
4.86
7.39
7.14
0.21
-4.78
12.93
11.03
9.51
8.39
5.58
5.04
7.40
7.15
SHARE:A
Sentinel International Equity Fund1.0005.04.1998SWFCX
NAV 16.63
POP 16.63
0.06 NAV
POP
9.05
8.05
3.22
2.36
11.25
11.25
6.25
6.25
3.99
3.99
6.06
6.06
-1.10
-1.92
11.25
11.25
7.92
7.92
4.17
4.17
6.07
6.07
SHARE:C
Sentinel International Equity Fund0.0008.27.2007SIIEX
NAV 17.30
POP 17.30
0.06 NAV
POP
10.19
10.19
5.02
5.02
13.49
13.49
8.33
8.33
5.75
5.75
7.55
7.55
0.60
0.60
13.48
13.48
10.01
10.01
5.93
5.93
7.55
7.55
SHARE:I

Asset Allocation Funds

DAILY PRICING
YTD RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
as of
7.31.2015
as of
7.31.2015
as of
7.31.2015
as of
6.30.2015
FUND NAME MAX SALES
CHARGE (%)
INCEPTION
DATE
SYMBOL PRICE ($) CHANGE ($)   YTD 1YR 3YR 5YR 10YR SINCE
INCEPTION
1YR 3YR 5YR 10YR SINCE
INCEPTION
Sentinel Balanced Fund5.0011.15.1938SEBLX
NAV 20.09
POP 21.15
N/A NAV
POP
1.90
-3.18
5.52
0.26
10.36
8.48
10.63
9.51
6.83
6.29
8.62
8.54
3.08
-2.07
10.38
8.51
11.39
10.24
6.84
6.29
8.61
8.53
SHARE:A
Sentinel Balanced Fund1.0005.04.1998SBACX
NAV 20.16
POP 20.16
N/A NAV
POP
1.44
0.44
4.68
3.69
9.51
9.51
9.76
9.76
5.90
5.90
7.52
7.52
2.27
1.30
9.53
9.53
10.50
10.50
5.91
5.91
7.50
7.50
SHARE:C
Sentinel Balanced Fund0.0008.27.2007SIBLX
NAV 20.00
POP 20.00
0.01 NAV
POP
2.09
2.09
5.77
5.77
10.63
10.63
10.80
10.80
6.89
6.89
8.62
8.62
3.26
3.26
10.63
10.63
11.57
11.57
6.89
6.89
8.61
8.61
SHARE:I
Sentinel Multi-Asset Income Fund5.0003.10.2003SECMX
NAV 13.07
POP 13.76
0.02 NAV
POP
2.24
-2.85
2.38
-2.73
6.72
4.90
6.78
5.69
5.29
4.75
6.49
6.04
1.00
-4.07
6.99
5.17
7.41
6.31
5.33
4.78
6.48
6.04
SHARE:A
Sentinel Multi-Asset Income Fund1.0003.10.2003SMKCX
NAV 13.02
POP 13.02
0.03 NAV
POP
1.90
0.90
1.67
0.74
5.96
5.96
6.03
6.03
4.46
4.46
5.68
5.68
0.21
-0.70
6.20
6.20
6.64
6.64
4.49
4.49
5.67
5.67
SHARE:C
Sentinel Multi-Asset Income Fund0.0012.17.2010SCSIX
NAV 13.05
POP 13.05
0.02 NAV
POP
2.47
2.47
2.61
2.61
6.98
6.98
6.94
6.94
5.37
5.37
6.55
6.55
1.30
1.30
7.25
7.25
7.57
7.57
5.41
5.41
6.55
6.55
SHARE:I

Fixed Income

DAILY PRICING
YTD RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
as of
7.31.2015
as of
7.31.2015
as of
7.31.2015
as of
6.30.2015
FUND NAME MAX SALES
CHARGE (%)
INCEPTION
DATE
SYMBOL PRICE ($) CHANGE ($)   YTD 1YR 3YR 5YR 10YR SINCE
INCEPTION
1YR 3YR 5YR 10YR SINCE
INCEPTION
Sentinel Government Securities Fund2.2509.02.1986SEGSX
NAV 10.04
POP 10.27
0.03 NAV
POP
0.52
-1.72
2.19
-0.09
-0.08
-0.83
1.46
0.99
3.91
3.67
5.91
5.83
1.09
-1.16
-0.03
-0.79
1.51
1.06
3.75
3.51
5.91
5.82
SHARE:A
Sentinel Government Securities Fund1.0006.01.2006SCGGX
NAV 10.05
POP 10.05
0.03 NAV
POP
0.03
-0.96
1.43
0.44
-0.87
-0.87
0.65
0.65
2.95
2.95
4.88
4.88
0.33
-0.66
-0.82
-0.82
0.70
0.70
2.79
2.79
4.87
4.87
SHARE:C
Sentinel Government Securities Fund0.0005.04.2007SIBWX
NAV 10.04
POP 10.04
0.03 NAV
POP
0.66
0.66
2.52
2.52
0.16
0.16
1.70
1.70
4.14
4.14
5.99
5.99
1.40
1.40
0.21
0.21
1.76
1.76
3.97
3.97
5.98
5.98
SHARE:I
Sentinel Low Duration Bond Fund1.0003.27.1995SSIGX
NAV 8.60
POP 8.69
N/A NAV
POP
0.55
-0.48
-0.79
-1.79
-0.17
-0.50
0.28
0.09
2.41
2.31
3.78
3.73
-0.94
-1.93
-0.11
-0.43
0.39
0.20
2.41
2.31
3.80
3.75
SHARE:A
Sentinel Low Duration Bond Fund0.0001.31.2014SSBDX
NAV 8.60
POP 8.60
N/A NAV
POP
0.82
0.82
-0.53
-0.53
-0.04
-0.04
0.36
0.36
2.45
2.45
3.80
3.80
-0.68
-0.68
0.02
0.02
0.47
0.47
2.44
2.44
3.82
3.82
SHARE:I
Sentinel Low Duration Bond Fund0.0003.04.2005SSSGX
NAV 8.60
POP 8.60
-0.01 NAV
POP
0.46
0.46
-0.95
-0.95
-0.38
-0.38
-0.01
-0.01
2.04
2.04
3.30
3.30
-0.98
-0.98
-0.29
-0.29
0.12
0.12
2.05
2.05
3.32
3.32
SHARE:S
Sentinel Total Return Bond Fund2.2512.17.2010SATRX
NAV 10.45
POP 10.69
0.03 NAV
POP
0.04
-2.18
-1.93
-4.14
2.63
1.85
N/A
N/A
N/A
N/A
4.69
4.18
-2.13
-4.32
3.34
2.57
N/A
N/A
N/A
N/A
4.74
4.22
SHARE:A
Sentinel Total Return Bond Fund1.0012.17.2010SCTRX
NAV 10.41
POP 10.41
0.03 NAV
POP
-0.55
-1.53
-2.75
-3.71
2.01
2.01
N/A
N/A
N/A
N/A
4.19
4.19
-2.81
-3.77
2.74
2.74
N/A
N/A
N/A
N/A
4.27
4.27
SHARE:C
Sentinel Total Return Bond Fund0.0012.17.2010SITRX
NAV 10.46
POP 10.46
0.03 NAV
POP
0.14
0.14
-1.77
-1.77
2.80
2.80
N/A
N/A
N/A
N/A
4.85
4.85
-1.97
-1.97
3.48
3.48
N/A
N/A
N/A
N/A
4.90
4.90
SHARE:I
Sentinel Total Return Bond Fund0.0012.23.2014SBRRX
NAV 10.44
POP 10.44
0.03 NAV
POP
-0.15
-0.15
-2.21
-2.21
2.23
2.23
N/A
N/A
N/A
N/A
4.28
4.28
-2.35
-2.35
2.96
2.96
N/A
N/A
N/A
N/A
4.34
4.34
SHARE:R3
Sentinel Total Return Bond Fund0.0012.23.2014STRRX
NAV 10.45
POP 10.45
0.03 NAV
POP
0.05
0.05
-1.83
-1.83
2.67
2.67
N/A
N/A
N/A
N/A
4.72
4.72
-1.94
-1.94
3.41
3.41
N/A
N/A
N/A
N/A
4.79
4.79
SHARE:R6
Sentinel Unconstrained Bond Fund Fund2.2512.23.2014SUBAX
NAV 9.90
POP 10.13
0.02 NAV
POP
-0.48
-2.72
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
-0.48
-2.72
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
-0.26
-2.50
SHARE:A
Sentinel Unconstrained Bond Fund Fund1.0012.23.2014SUBCX
NAV 9.87
POP 9.87
0.02 NAV
POP
-0.94
-1.93
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
-0.94
-1.93
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
-0.66
-1.65
SHARE:C
Sentinel Unconstrained Bond Fund Fund0.0012.23.2014SUBIX
NAV 9.90
POP 9.90
0.02 NAV
POP
-0.43
-0.43
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
-0.43
-0.43
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
-0.12
-0.12
SHARE:I


30-Day SEC Yield*

as of 6.30.2015
Share Class:A - Share Class:C - Share Class:I - Share Class:S - Share Class:R3 - Share Class:R6
FUND NAME 30-DAY YIELD (%) Share Class:A - Share Class:C - Share Class:I - Share Class:S - Share Class:R3 - Share Class:R6
Equity Funds Share Class:A -Share Class:C -Share Class:I -Share Class:R6 -
Sentinel Common Stock Fund - Share Class:A
Sentinel Common Stock Fund - Share Class:C
Sentinel Common Stock Fund - Share Class:I
Sentinel Common Stock Fund - Share Class:R6
Sentinel Mid Cap Fund - Share Class:A
Sentinel Mid Cap Fund - Share Class:C
Sentinel Mid Cap Fund - Share Class:I
Sentinel Small Company Fund - Share Class:A
Sentinel Small Company Fund - Share Class:C
Sentinel Small Company Fund - Share Class:I
Sentinel Small Company Fund - Share Class:R6
Sentinel Sustainable Core Opportunities Fund - Share Class:A
Sentinel Sustainable Core Opportunities Fund - Share Class:I
Sentinel Sustainable Mid Cap Opportunities Fund - Share Class:A
Sentinel Sustainable Mid Cap Opportunities Fund - Share Class:I
International Funds Share Class:A -Share Class:C -Share Class:I -
Sentinel International Equity Fund - Share Class:A
Sentinel International Equity Fund - Share Class:C
Sentinel International Equity Fund - Share Class:I
Asset Allocation Funds Share Class:A -Share Class:C -Share Class:I -
Sentinel Balanced Fund - Share Class:A
Sentinel Balanced Fund - Share Class:C
Sentinel Balanced Fund - Share Class:I
Sentinel Multi-Asset Income Fund 2.73 Share Class:A
Sentinel Multi-Asset Income Fund 2.06 Share Class:C
Sentinel Multi-Asset Income Fund 3.13 Share Class:I
Fixed Income Share Class:A -Share Class:C -Share Class:I -Share Class:R3 -Share Class:R6 -Share Class:S -
Sentinel Government Securities Fund 1.78 Share Class:A
Sentinel Government Securities Fund 1.06 Share Class:C
Sentinel Government Securities Fund 2.09 Share Class:I
Sentinel Low Duration Bond Fund 1.60 Share Class:A
Sentinel Low Duration Bond Fund 2.03 Share Class:I
Sentinel Low Duration Bond Fund 1.62 Share Class:S
Sentinel Total Return Bond Fund 1.85 Share Class:A
Sentinel Total Return Bond Fund 1.11 Share Class:C
Sentinel Total Return Bond Fund 2.08 Share Class:I
Sentinel Total Return Bond Fund 1.90 Share Class:R3
Sentinel Total Return Bond Fund 2.09 Share Class:R6

* SEC annualized yield is computed by dividing net investment income by the product of the average daily number of shares outstanding that were eligible to receive dividends and the maximum offering price per share on the last day for the 30-day or one month period ending on the date for which other performance data is shown above.

Expense ratio data is sourced from the Fund's most recent prospectus.

Expense Ratios

Share Class:A - Share Class:C - Share Class:I - Share Class:S - Share Class:R3 - Share Class:R6
FUND NAME EXPENSE RATIO (%) Share Class:A - Share Class:C - Share Class:I - Share Class:S - Share Class:R3 - Share Class:R6
Equity Funds Share Class:A -Share Class:C -Share Class:I -Share Class:R6 -
Sentinel Common Stock Fund 0.99 Share Class:A
Sentinel Common Stock Fund 1.78 Share Class:C
Sentinel Common Stock Fund 0.71 Share Class:I
Sentinel Common Stock Fund 0.84 Share Class:R6
Sentinel Mid Cap Fund 1.33 Share Class:A
Sentinel Mid Cap Fund 2.24 Share Class:C
Sentinel Mid Cap Fund 1.00 Share Class:I
Sentinel Small Company Fund 1.21 Share Class:A
Sentinel Small Company Fund 1.92 Share Class:C
Sentinel Small Company Fund 0.86 Share Class:I
Sentinel Small Company Fund 0.93 Share Class:R6
Sentinel Sustainable Core Opportunities Fund 1.24 Share Class:A
Sentinel Sustainable Core Opportunities Fund 0.97 Share Class:I
Sentinel Sustainable Mid Cap Opportunities Fund 1.33 Share Class:A
Sentinel Sustainable Mid Cap Opportunities Fund 1.26 Share Class:I
International Funds Share Class:A -Share Class:C -Share Class:I -
Sentinel International Equity Fund 1.41 Share Class:A
Sentinel International Equity Fund 2.86 Share Class:C
Sentinel International Equity Fund 0.92 Share Class:I
Asset Allocation Funds Share Class:A -Share Class:C -Share Class:I -
Sentinel Balanced Fund 1.08 Share Class:A
Sentinel Balanced Fund 1.83 Share Class:C
Sentinel Balanced Fund 0.81 Share Class:I
Sentinel Multi-Asset Income Fund 1.06 Share Class:A
Sentinel Multi-Asset Income Fund 1.78 Share Class:C
Sentinel Multi-Asset Income Fund 0.77 Share Class:I
Fixed Income Share Class:A -Share Class:C -Share Class:I -Share Class:R3 -Share Class:R6 -Share Class:S -
Sentinel Government Securities Fund 0.92 Share Class:A
Sentinel Government Securities Fund 1.73 Share Class:C
Sentinel Government Securities Fund 0.68 Share Class:I
Sentinel Low Duration Bond Fund 0.93 Share Class:A
Sentinel Low Duration Bond Fund 0.66 Share Class:I
Sentinel Low Duration Bond Fund 1.02 Share Class:S
Sentinel Total Return Bond Fund 0.96 Share Class:A
Sentinel Total Return Bond Fund 1.75 Share Class:C
Sentinel Total Return Bond Fund 0.80 Share Class:I
Sentinel Total Return Bond Fund 1.34 Share Class:R3
Sentinel Total Return Bond Fund 0.84 Share Class:R6
Sentinel Unconstrained Bond Fund Fund 1.56 Share Class:A
Sentinel Unconstrained Bond Fund Fund 3.56 Share Class:C
Sentinel Unconstrained Bond Fund Fund 1.14 Share Class:I

Equity Funds

 
MORNINGSTAR RATINGS | NUMBER OF FUNDS IN CATEGORY | LW = Load Waived
as of 06.30.2015
 
FUND NAME MORNINGSTAR
CATEGORY
OVERALL 3 YEARS 5 YEARS 10 YEARS
Sentinel Common Stock FundLarge Blend
(LW)
1380
(LW)
1380
(LW)
1225
(LW)
854
Sentinel Common Stock FundLarge Blend138013801225854
Sentinel Common Stock FundLarge Blend138013801225854
Sentinel Common Stock FundLarge Blend138013801225854
Sentinel Mid Cap FundMid-Cap Growth
(LW)
657
(LW)
657
(LW)
585
(LW)
451
Sentinel Mid Cap FundMid-Cap Growth657657585451
Sentinel Mid Cap FundMid-Cap Growth657657585451
Sentinel Small Company FundSmall Growth
(LW)
667
(LW)
667
(LW)
588
(LW)
413
Sentinel Small Company FundSmall Growth667667588413
Sentinel Small Company FundSmall Growth667667588413
Sentinel Small Company FundSmall Growth667667588413
Sentinel Sustainable Core Opportunities FundLarge Blend
(LW)
1380
(LW)
1380
(LW)
1225
(LW)
854
Sentinel Sustainable Core Opportunities FundLarge Blend138013801225854
Sentinel Sustainable Mid Cap Opportunities FundMid-Cap Growth
(LW)
657
(LW)
657
(LW)
585
(LW)
451
Sentinel Sustainable Mid Cap Opportunities FundMid-Cap Growth657657585451

International Funds

 
MORNINGSTAR RATINGS | NUMBER OF FUNDS IN CATEGORY | LW = Load Waived
as of 06.30.2015
 
FUND NAME MORNINGSTAR
CATEGORY
OVERALL 3 YEARS 5 YEARS 10 YEARS
Sentinel International Equity FundForeign Large Blend
(LW)
668
(LW)
668
(LW)
584
(LW)
331
Sentinel International Equity FundForeign Large Blend668668584331
Sentinel International Equity FundForeign Large Blend668668584331

Asset Allocation Funds

 
MORNINGSTAR RATINGS | NUMBER OF FUNDS IN CATEGORY | LW = Load Waived
as of 06.30.2015
 
FUND NAME MORNINGSTAR
CATEGORY
OVERALL 3 YEARS 5 YEARS 10 YEARS
Sentinel Balanced FundModerate Allocation
(LW)
815
(LW)
815
(LW)
703
(LW)
472
Sentinel Balanced FundModerate Allocation815815703472
Sentinel Balanced FundModerate Allocation815815703472
Sentinel Multi-Asset Income FundConservative Allocation
(LW)
676
(LW)
676
(LW)
549
(LW)
307
Sentinel Multi-Asset Income FundConservative Allocation676676549307
Sentinel Multi-Asset Income FundConservative Allocation676676549307

Fixed Income

 
MORNINGSTAR RATINGS | NUMBER OF FUNDS IN CATEGORY | LW = Load Waived
as of 06.30.2015
 
FUND NAME MORNINGSTAR
CATEGORY
OVERALL 3 YEARS 5 YEARS 10 YEARS
Sentinel Government Securities FundIntermediate Government
(LW)
303
(LW)
303
(LW)
273
(LW)
224
Sentinel Government Securities FundIntermediate Government303303273224
Sentinel Government Securities FundIntermediate Government303303273224
Sentinel Low Duration Bond FundShort-Term Bond
(LW)
468
(LW)
468
(LW)
393
(LW)
276
Sentinel Low Duration Bond FundShort-Term Bond468468393276
Sentinel Low Duration Bond FundShort-Term Bond468468393276
Sentinel Total Return Bond FundIntermediate-Term Bond
(LW)
935
(LW)
935N/A0N/A0
Sentinel Total Return Bond FundIntermediate-Term Bond935935N/A0N/A0
Sentinel Total Return Bond FundIntermediate-Term Bond935935N/A0N/A0
Sentinel Total Return Bond FundIntermediate-Term Bond935935N/A0N/A0
Sentinel Total Return Bond FundIntermediate-Term Bond935935N/A0N/A0
Sentinel Unconstrained Bond Fund FundNontraditional BondN/A0N/A0N/A0N/A0
Sentinel Unconstrained Bond Fund FundNontraditional BondN/A0N/A0N/A0N/A0
Sentinel Unconstrained Bond Fund FundNontraditional BondN/A0N/A0N/A0N/A0


Equity Funds

 
MORNINGSTAR RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2015
 
FUND NAME MORNINGSTAR
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Common Stock FundLarge Blend710 out of 1611
44%
890 out of 1380
64%
668 out of 1225
54%
147 out of 854
17%
Sentinel Common Stock FundLarge Blend910 out of 1611
56%
1048 out of 1380
76%
882 out of 1225
72%
437 out of 854
51%
Sentinel Common Stock FundLarge Blend610 out of 1611
38%
808 out of 1380
58%
586 out of 1225
48%
101 out of 854
12%
Sentinel Common Stock FundLarge Blend656 out of 1611
41%
873 out of 1380
63%
661 out of 1225
54%
143 out of 854
17%
Sentinel Mid Cap FundMid-Cap Growth710 out of 756
93%
535 out of 657
81%
441 out of 585
75%
404 out of 451
89%
Sentinel Mid Cap FundMid-Cap Growth720 out of 756
95%
609 out of 657
92%
519 out of 585
88%
440 out of 451
97%
Sentinel Mid Cap FundMid-Cap Growth704 out of 756
93%
502 out of 657
76%
415 out of 585
71%
396 out of 451
87%
Sentinel Small Company FundSmall Growth432 out of 733
59%
398 out of 667
60%
381 out of 588
65%
161 out of 413
39%
Sentinel Small Company FundSmall Growth483 out of 733
66%
483 out of 667
72%
450 out of 588
76%
261 out of 413
63%
Sentinel Small Company FundSmall Growth416 out of 733
57%
347 out of 667
52%
340 out of 588
58%
117 out of 413
28%
Sentinel Small Company FundSmall Growth449 out of 733
61%
417 out of 667
62%
390 out of 588
66%
167 out of 413
40%
Sentinel Sustainable Core Opportunities FundLarge Blend899 out of 1611
56%
840 out of 1380
61%
723 out of 1225
59%
678 out of 854
79%
Sentinel Sustainable Core Opportunities FundLarge Blend843 out of 1611
52%
752 out of 1380
54%
635 out of 1225
52%
585 out of 854
68%
Sentinel Sustainable Mid Cap Opportunities FundMid-Cap Growth524 out of 756
69%
446 out of 657
68%
403 out of 585
69%
413 out of 451
91%
Sentinel Sustainable Mid Cap Opportunities FundMid-Cap Growth514 out of 756
68%
432 out of 657
66%
394 out of 585
67%
417 out of 451
92%

International Funds

 
MORNINGSTAR RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2015
 
FUND NAME MORNINGSTAR
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel International Equity FundForeign Large Blend100 out of 781
13%
108 out of 668
16%
225 out of 584
39%
116 out of 331
35%
Sentinel International Equity FundForeign Large Blend156 out of 781
20%
273 out of 668
41%
454 out of 584
77%
245 out of 331
74%
Sentinel International Equity FundForeign Large Blend86 out of 781
11%
87 out of 668
13%
139 out of 584
24%
98 out of 331
30%

Asset Allocation Funds

 
MORNINGSTAR RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2015
 
FUND NAME MORNINGSTAR
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Balanced FundModerate Allocation347 out of 917
38%
377 out of 815
46%
181 out of 703
26%
86 out of 472
18%
Sentinel Balanced FundModerate Allocation502 out of 917
55%
538 out of 815
66%
349 out of 703
50%
255 out of 472
54%
Sentinel Balanced FundModerate Allocation299 out of 917
33%
330 out of 815
41%
148 out of 703
21%
79 out of 472
17%
Sentinel Multi-Asset Income FundConservative Allocation326 out of 805
41%
218 out of 676
32%
226 out of 549
41%
94 out of 307
31%
Sentinel Multi-Asset Income FundConservative Allocation501 out of 805
62%
328 out of 676
48%
346 out of 549
63%
205 out of 307
67%
Sentinel Multi-Asset Income FundConservative Allocation242 out of 805
30%
178 out of 676
26%
209 out of 549
38%
90 out of 307
29%

Fixed Income

 
MORNINGSTAR RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2015
 
FUND NAME MORNINGSTAR
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Government Securities FundIntermediate Government230 out of 316
72%
274 out of 303
90%
242 out of 273
88%
119 out of 224
53%
Sentinel Government Securities FundIntermediate Government305 out of 316
96%
301 out of 303
99%
271 out of 273
99%
205 out of 224
91%
Sentinel Government Securities FundIntermediate Government182 out of 316
57%
253 out of 303
83%
220 out of 273
80%
87 out of 224
40%
Sentinel Low Duration Bond FundShort-Term Bond530 out of 544
97%
452 out of 468
96%
376 out of 393
95%
209 out of 276
75%
Sentinel Low Duration Bond FundShort-Term Bond518 out of 544
95%
443 out of 468
93%
378 out of 393
94%
205 out of 276
73%
Sentinel Low Duration Bond FundShort-Term Bond533 out of 544
97%
461 out of 468
98%
384 out of 393
97%
235 out of 276
85%
Sentinel Total Return Bond FundIntermediate-Term Bond1023 out of 1043
98%
141 out of 935
15%
N/AN/A
Sentinel Total Return Bond FundIntermediate-Term Bond1028 out of 1043
98%
263 out of 935
28%
N/AN/A
Sentinel Total Return Bond FundIntermediate-Term Bond1017 out of 1043
97%
115 out of 935
13%
N/AN/A
Sentinel Total Return Bond FundIntermediate-Term Bond1025 out of 1043
98%
192 out of 935
21%
N/AN/A
Sentinel Total Return Bond FundIntermediate-Term Bond1019 out of 1043
98%
136 out of 935
15%
N/AN/A
Sentinel Unconstrained Bond Fund FundNontraditional BondN/AN/AN/AN/A
Sentinel Unconstrained Bond Fund FundNontraditional BondN/AN/AN/AN/A
Sentinel Unconstrained Bond Fund FundNontraditional BondN/AN/AN/AN/A

Equity Funds

 
LIPPER RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2015
 
FUND NAME LIPPER
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Common Stock FundLarge-Cap Core Funds367 out of 845
43%
487 out of 770
63%
370 out of 690
54%
94 out of 492
19%
Sentinel Common Stock FundLarge-Cap Core Funds491 out of 845
58%
593 out of 770
77%
519 out of 690
75%
237 out of 492
48%
Sentinel Common Stock FundLarge-Cap Core Funds314 out of 845
37%
434 out of 770
56%
312 out of 690
45%
N/A
Sentinel Common Stock FundLarge-Cap Core FundsN/AN/AN/AN/A
Sentinel Mid Cap FundMid-Cap Core Funds278 out of 383
73%
296 out of 341
87%
212 out of 299
71%
181 out of 208
87%
Sentinel Mid Cap FundMid-Cap Core Funds304 out of 383
79%
318 out of 341
93%
262 out of 299
88%
203 out of 208
98%
Sentinel Mid Cap FundMid-Cap Core Funds271 out of 383
71%
279 out of 341
82%
188 out of 299
63%
N/A
Sentinel Small Company FundSmall-Cap Core Funds79 out of 792
10%
309 out of 688
45%
229 out of 616
37%
52 out of 396
13%
Sentinel Small Company FundSmall-Cap Core Funds122 out of 792
15%
404 out of 688
59%
316 out of 616
51%
134 out of 396
34%
Sentinel Small Company FundSmall-Cap Core Funds68 out of 792
9%
251 out of 688
36%
169 out of 616
27%
N/A
Sentinel Small Company FundSmall-Cap Core FundsN/AN/AN/AN/A
Sentinel Sustainable Core Opportunities FundLarge-Cap Core Funds481 out of 845
57%
453 out of 770
59%
401 out of 690
58%
378 out of 492
77%
Sentinel Sustainable Core Opportunities FundLarge-Cap Core Funds450 out of 845
53%
403 out of 770
52%
341 out of 690
49%
N/A
Sentinel Sustainable Mid Cap Opportunities FundMid-Cap Core Funds86 out of 383
22%
258 out of 341
76%
180 out of 299
60%
189 out of 208
91%
Sentinel Sustainable Mid Cap Opportunities FundMid-Cap Core Funds79 out of 383
21%
255 out of 341
75%
175 out of 299
59%
192 out of 208
92%

International Funds

 
LIPPER RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2015
 
FUND NAME LIPPER
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel International Equity FundInternational Multi-Cap Growth105 out of 387
27%
80 out of 339
24%
149 out of 315
47%
72 out of 167
43%
Sentinel International Equity FundInternational Multi-Cap Growth139 out of 387
36%
157 out of 339
46%
238 out of 315
76%
132 out of 167
79%
Sentinel International Equity FundInternational Multi-Cap Growth90 out of 387
23%
60 out of 339
18%
116 out of 315
37%
N/A

Asset Allocation Funds

 
LIPPER RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2015
 
FUND NAME LIPPER
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Balanced FundMixed-Asset Target Allocation Growth228 out of 509
45%
344 out of 473
73%
180 out of 422
43%
71 out of 314
23%
Sentinel Balanced FundMixed-Asset Target Allocation Growth311 out of 509
61%
407 out of 473
86%
299 out of 422
71%
181 out of 314
58%
Sentinel Balanced FundMixed-Asset Target Allocation Growth211 out of 509
41%
321 out of 473
68%
157 out of 422
37%
N/A
Sentinel Multi-Asset Income FundMixed-Asset Target Allocation Conserv145 out of 369
39%
59 out of 321
18%
75 out of 270
28%
37 out of 163
23%
Sentinel Multi-Asset Income FundMixed-Asset Target Allocation Conserv234 out of 369
63%
113 out of 321
35%
136 out of 270
50%
92 out of 163
56%
Sentinel Multi-Asset Income FundMixed-Asset Target Allocation Conserv106 out of 369
29%
48 out of 321
15%
N/AN/A

Fixed Income

 
LIPPER RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2015
 
FUND NAME LIPPER
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Government Securities FundGeneral US Govt Funds64 out of 103
62%
80 out of 98
82%
77 out of 95
81%
28 out of 77
36%
Sentinel Government Securities FundGeneral US Govt Funds94 out of 103
91%
94 out of 98
96%
91 out of 95
96%
N/A
Sentinel Government Securities FundGeneral US Govt Funds49 out of 103
48%
69 out of 98
70%
63 out of 95
66%
N/A
Sentinel Low Duration Bond FundSht Inv Grade Debt Funds291 out of 295
99%
246 out of 249
99%
196 out of 202
97%
101 out of 150
67%
Sentinel Low Duration Bond FundSht Inv Grade Debt Funds284 out of 295
96%
N/AN/AN/A
Sentinel Low Duration Bond FundSht Inv Grade Debt Funds293 out of 295
99%
249 out of 249
100%
199 out of 202
99%
117 out of 150
78%
Sentinel Total Return Bond FundGeneral Bond Funds44 out of 53
83%
19 out of 41
46%
N/AN/A
Sentinel Total Return Bond FundGeneral Bond Funds45 out of 53
85%
21 out of 41
51%
N/AN/A
Sentinel Total Return Bond FundGeneral Bond Funds43 out of 53
81%
18 out of 41
44%
N/AN/A
Sentinel Total Return Bond FundGeneral Bond FundsN/AN/AN/AN/A
Sentinel Total Return Bond FundGeneral Bond FundsN/AN/AN/AN/A
Sentinel Unconstrained Bond Fund FundAlt Credit Focus FundsN/AN/AN/AN/A
Sentinel Unconstrained Bond Fund FundAlt Credit Focus FundsN/AN/AN/AN/A
Sentinel Unconstrained Bond Fund FundAlt Credit Focus FundsN/AN/AN/AN/A


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