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Equity Funds

DAILY PRICING
YTD RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
as of
6.30.2015
as of
6.30.2015
as of
6.30.2015
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 42.82
POP 45.07
0.13 NAV
POP
1.43
-3.63
6.55
1.21
16.13
14.16
15.87
14.68
8.23
7.67
10.74
10.67
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 41.17
POP 41.17
0.12 NAV
POP
1.03
0.03
5.73
4.78
15.19
15.19
14.91
14.91
7.26
7.26
9.75
9.75
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 42.78
POP 42.78
0.13 NAV
POP
1.57
1.57
6.83
6.83
16.46
16.46
16.23
16.23
8.53
8.53
10.78
10.78
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 42.83
POP 42.83
0.13 NAV
POP
1.60
1.60
6.73
6.73
16.19
16.19
15.91
15.91
8.24
8.24
10.74
10.74
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 20.34
POP 21.41
0.03 NAV
POP
4.85
-0.39
3.33
-1.83
15.31
13.35
15.48
14.30
6.64
6.10
8.88
8.76
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 15.39
POP 15.39
0.02 NAV
POP
4.34
3.34
2.39
1.63
14.20
14.20
14.20
14.20
5.32
5.32
7.94
7.94
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 21.06
POP 21.06
0.03 NAV
POP
4.88
4.88
3.49
3.49
15.63
15.63
15.83
15.83
6.91
6.91
8.94
8.94
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 5.79
POP 6.09
0.01 NAV
POP
6.63
1.22
8.44
3.04
17.55
15.56
16.93
15.72
9.48
8.91
11.52
11.27
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 4.17
POP 4.17
0.01 NAV
POP
6.11
5.11
7.66
6.94
16.69
16.69
16.08
16.08
8.63
8.63
10.44
10.44
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 6.11
POP 6.11
0.02 NAV
POP
6.82
6.82
8.85
8.85
17.95
17.95
17.37
17.37
9.84
9.84
11.68
11.68
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 5.77
POP 5.77
0.01 NAV
POP
6.26
6.26
8.07
8.07
17.41
17.41
16.85
16.85
9.44
9.44
11.50
11.50
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 20.71
POP 21.80
0.06 NAV
POP
0.68
-4.34
5.79
0.50
16.35
14.37
15.69
14.51
6.43
5.89
7.12
6.83
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 20.78
POP 20.78
0.06 NAV
POP
0.78
0.78
6.09
6.09
16.65
16.65
16.02
16.02
6.78
6.78
7.30
7.30
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 18.63
POP 19.61
0.02 NAV
POP
6.15
0.87
7.15
1.78
16.23
14.26
15.95
14.76
6.40
5.86
8.91
8.64
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 19.47
POP 19.47
0.02 NAV
POP
6.22
6.22
7.28
7.28
16.32
16.32
16.04
16.04
6.34
6.34
9.05
9.05
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
6.30.2015
as of
6.30.2015
as of
6.30.2015
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 17.36
POP 18.27
-0.05 NAV
POP
9.32
3.83
0.21
-4.78
12.93
11.03
9.51
8.39
5.58
5.04
7.40
7.15
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 16.56
POP 16.56
-0.04 NAV
POP
8.59
7.59
-1.10
-1.92
11.25
11.25
7.92
7.92
4.17
4.17
6.07
6.07
-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 17.20
POP 17.20
-0.05 NAV
POP
9.55
9.55
0.60
0.60
13.48
13.48
10.01
10.01
5.93
5.93
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
6.30.2015
as of
6.30.2015
as of
6.30.2015
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 19.79
POP 20.83
0.03 NAV
POP
0.37
-4.62
3.08
-2.07
10.38
8.51
11.39
10.24
6.84
6.29
8.61
8.53
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 19.87
POP 19.87
0.03 NAV
POP
-0.01
-1.01
2.27
1.30
9.53
9.53
10.50
10.50
5.91
5.91
7.50
7.50
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 19.69
POP 19.69
0.03 NAV
POP
0.51
0.51
3.26
3.26
10.63
10.63
11.57
11.57
6.89
6.89
8.61
8.61
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 13.03
POP 13.72
N/A NAV
POP
1.63
-3.42
1.00
-4.07
6.99
5.17
7.41
6.31
5.33
4.78
6.48
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 12.97
POP 12.97
-0.01 NAV
POP
1.27
0.27
0.21
-0.70
6.20
6.20
6.64
6.64
4.49
4.49
5.67
5.67
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 13.01
POP 13.01
N/A NAV
POP
1.84
1.84
1.30
1.30
7.25
7.25
7.57
7.57
5.41
5.41
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
6.30.2015
as of
6.30.2015
as of
6.30.2015
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 9.99
POP 10.22
N/A NAV
POP
-0.18
-2.40
1.09
-1.16
-0.03
-0.79
1.51
1.06
3.75
3.51
5.91
5.82
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 10.00
POP 10.00
N/A NAV
POP
-0.61
-1.59
0.33
-0.66
-0.82
-0.82
0.70
0.70
2.79
2.79
4.87
4.87
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 9.99
POP 9.99
N/A NAV
POP
-0.07
-0.07
1.40
1.40
0.21
0.21
1.76
1.76
3.97
3.97
5.98
5.98
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 8.62
POP 8.71
N/A NAV
POP
0.60
-0.43
-0.94
-1.93
-0.11
-0.43
0.39
0.20
2.41
2.31
3.80
3.75
-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 8.62
POP 8.62
N/A NAV
POP
0.84
0.84
-0.68
-0.68
0.02
0.02
0.47
0.47
2.44
2.44
3.82
3.82
-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 8.63
POP 8.63
N/A NAV
POP
0.63
0.63
-0.98
-0.98
-0.29
-0.29
0.12
0.12
2.05
2.05
3.32
3.32
-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
-0.01 NAV
POP
-0.13
-2.35
-2.13
-4.32
3.34
2.57
N/A
N/A
N/A
N/A
4.74
4.22
-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 10.42
POP 10.42
-0.01 NAV
POP
-0.55
-1.54
-2.81
-3.77
2.74
2.74
N/A
N/A
N/A
N/A
4.27
4.27
-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
-0.01 NAV
POP
-0.04
-0.04
-1.97
-1.97
3.48
3.48
N/A
N/A
N/A
N/A
4.90
4.90
-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 10.45
POP 10.45
-0.01 NAV
POP
-0.23
-0.23
-2.35
-2.35
2.96
2.96
N/A
N/A
N/A
N/A
4.34
4.34
-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 10.46
POP 10.46
N/A NAV
POP
-0.04
-0.04
-1.94
-1.94
3.41
3.41
N/A
N/A
N/A
N/A
4.79
4.79
-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 9.94
POP 10.17
-0.01 NAV
POP
-0.26
-2.50
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
-0.26
-2.50
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 9.91
POP 9.91
-0.01 NAV
POP
-0.66
-1.65
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
-0.66
-1.65
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 9.95
POP 9.95
N/A NAV
POP
-0.12
-0.12
N/A
N/A
N/A
N/A
N/A
N/A
N/A
N/A
-0.12
-0.12
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 5.31.2015
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 2.84 Share Class:A
Sentinel Multi-Asset Income Fund 2.17 Share Class:C
Sentinel Multi-Asset Income Fund 3.10 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 1.04 Share Class:C
Sentinel Government Securities Fund 2.02 Share Class:I
Sentinel Low Duration Bond Fund 1.70 Share Class:A
Sentinel Low Duration Bond Fund 2.13 Share Class:I
Sentinel Low Duration Bond Fund 1.50 Share Class:S
Sentinel Total Return Bond Fund 2.03 Share Class:A
Sentinel Total Return Bond Fund 1.25 Share Class:C
Sentinel Total Return Bond Fund 2.25 Share Class:I
Sentinel Total Return Bond Fund 1.89 Share Class:R3
Sentinel Total Return Bond Fund 2.19 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 05.31.2015
 
FUND NAME MORNINGSTAR
CATEGORY
OVERALL 3 YEARS 5 YEARS 10 YEARS
Sentinel Common Stock FundLarge Blend
(LW)
1369
(LW)
1369
(LW)
1223
(LW)
845
Sentinel Common Stock FundLarge Blend136913691223845
Sentinel Common Stock FundLarge Blend136913691223845
Sentinel Common Stock FundLarge Blend136913691223845
Sentinel Mid Cap FundMid-Cap Growth
(LW)
662
(LW)
662
(LW)
591
(LW)
449
Sentinel Mid Cap FundMid-Cap Growth662662591449
Sentinel Mid Cap FundMid-Cap Growth662662591449
Sentinel Small Company FundSmall Growth
(LW)
672
(LW)
672
(LW)
587
(LW)
414
Sentinel Small Company FundSmall Growth672672587414
Sentinel Small Company FundSmall Growth672672587414
Sentinel Small Company FundSmall Growth672672587414
Sentinel Sustainable Core Opportunities FundLarge Blend
(LW)
1369
(LW)
1369
(LW)
1223
(LW)
845
Sentinel Sustainable Core Opportunities FundLarge Blend136913691223845
Sentinel Sustainable Mid Cap Opportunities FundMid-Cap Growth
(LW)
662
(LW)
662
(LW)
591
(LW)
449
Sentinel Sustainable Mid Cap Opportunities FundMid-Cap Growth662662591449

International Funds

 
MORNINGSTAR RATINGS | NUMBER OF FUNDS IN CATEGORY | LW = Load Waived
as of 05.31.2015
 
FUND NAME MORNINGSTAR
CATEGORY
OVERALL 3 YEARS 5 YEARS 10 YEARS
Sentinel International Equity FundForeign Large Blend
(LW)
652
(LW)
652
(LW)
573
(LW)
325
Sentinel International Equity FundForeign Large Blend652652573325
Sentinel International Equity FundForeign Large Blend652652573325

Asset Allocation Funds

 
MORNINGSTAR RATINGS | NUMBER OF FUNDS IN CATEGORY | LW = Load Waived
as of 05.31.2015
 
FUND NAME MORNINGSTAR
CATEGORY
OVERALL 3 YEARS 5 YEARS 10 YEARS
Sentinel Balanced FundModerate Allocation
(LW)
816
(LW)
816
(LW)
706
(LW)
473
Sentinel Balanced FundModerate Allocation816816706473
Sentinel Balanced FundModerate Allocation816816706473
Sentinel Multi-Asset Income FundConservative Allocation
(LW)
679
(LW)
679
(LW)
549
(LW)
300
Sentinel Multi-Asset Income FundConservative Allocation679679549300
Sentinel Multi-Asset Income FundConservative Allocation679679549300

Fixed Income

 
MORNINGSTAR RATINGS | NUMBER OF FUNDS IN CATEGORY | LW = Load Waived
as of 05.31.2015
 
FUND NAME MORNINGSTAR
CATEGORY
OVERALL 3 YEARS 5 YEARS 10 YEARS
Sentinel Government Securities FundIntermediate Government
(LW)
304
(LW)
304
(LW)
276
(LW)
227
Sentinel Government Securities FundIntermediate Government304304276227
Sentinel Government Securities FundIntermediate Government304304276227
Sentinel Low Duration Bond FundShort-Term Bond
(LW)
472
(LW)
472
(LW)
393
(LW)
279
Sentinel Low Duration Bond FundShort-Term Bond472472393279
Sentinel Low Duration Bond FundShort-Term Bond472472393279
Sentinel Total Return Bond FundIntermediate-Term Bond
(LW)
930
(LW)
930N/A0N/A0
Sentinel Total Return Bond FundIntermediate-Term Bond930930N/A0N/A0
Sentinel Total Return Bond FundIntermediate-Term Bond930930N/A0N/A0
Sentinel Total Return Bond FundIntermediate-Term Bond930930N/A0N/A0
Sentinel Total Return Bond FundIntermediate-Term Bond930930N/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 05.31.2015
 
FUND NAME MORNINGSTAR
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Common Stock FundLarge Blend739 out of 1598
46%
865 out of 1369
63%
627 out of 1223
51%
157 out of 845
19%
Sentinel Common Stock FundLarge Blend924 out of 1598
58%
1030 out of 1369
75%
860 out of 1223
70%
464 out of 845
55%
Sentinel Common Stock FundLarge Blend651 out of 1598
41%
769 out of 1369
56%
513 out of 1223
42%
106 out of 845
13%
Sentinel Common Stock FundLarge Blend690 out of 1598
43%
853 out of 1369
62%
618 out of 1223
51%
156 out of 845
19%
Sentinel Mid Cap FundMid-Cap Growth722 out of 768
94%
556 out of 662
84%
410 out of 591
69%
408 out of 449
90%
Sentinel Mid Cap FundMid-Cap Growth736 out of 768
95%
615 out of 662
92%
517 out of 591
87%
440 out of 449
98%
Sentinel Mid Cap FundMid-Cap Growth716 out of 768
93%
528 out of 662
79%
384 out of 591
65%
400 out of 449
88%
Sentinel Small Company FundSmall Growth509 out of 740
69%
473 out of 672
70%
354 out of 587
60%
165 out of 414
40%
Sentinel Small Company FundSmall Growth562 out of 740
76%
543 out of 672
80%
431 out of 587
74%
267 out of 414
64%
Sentinel Small Company FundSmall Growth497 out of 740
67%
441 out of 672
65%
298 out of 587
51%
128 out of 414
31%
Sentinel Small Company FundSmall Growth533 out of 740
72%
488 out of 672
72%
362 out of 587
61%
172 out of 414
41%
Sentinel Sustainable Core Opportunities FundLarge Blend850 out of 1598
53%
908 out of 1369
66%
714 out of 1223
58%
639 out of 845
75%
Sentinel Sustainable Core Opportunities FundLarge Blend765 out of 1598
48%
835 out of 1369
61%
611 out of 1223
50%
551 out of 845
65%
Sentinel Sustainable Mid Cap Opportunities FundMid-Cap Growth624 out of 768
81%
489 out of 662
74%
382 out of 591
64%
415 out of 449
92%
Sentinel Sustainable Mid Cap Opportunities FundMid-Cap Growth613 out of 768
79%
481 out of 662
72%
380 out of 591
64%
421 out of 449
93%

International Funds

 
MORNINGSTAR RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 05.31.2015
 
FUND NAME MORNINGSTAR
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel International Equity FundForeign Large Blend95 out of 765
13%
129 out of 652
20%
173 out of 573
30%
116 out of 325
36%
Sentinel International Equity FundForeign Large Blend134 out of 765
18%
283 out of 652
43%
434 out of 573
75%
243 out of 325
74%
Sentinel International Equity FundForeign Large Blend86 out of 765
12%
99 out of 652
15%
110 out of 573
19%
95 out of 325
29%

Asset Allocation Funds

 
MORNINGSTAR RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 05.31.2015
 
FUND NAME MORNINGSTAR
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Balanced FundModerate Allocation393 out of 934
42%
384 out of 816
47%
171 out of 706
24%
97 out of 473
21%
Sentinel Balanced FundModerate Allocation547 out of 934
58%
531 out of 816
65%
346 out of 706
49%
274 out of 473
58%
Sentinel Balanced FundModerate Allocation332 out of 934
36%
347 out of 816
43%
145 out of 706
21%
91 out of 473
19%
Sentinel Multi-Asset Income FundConservative Allocation292 out of 813
36%
237 out of 679
35%
211 out of 549
38%
90 out of 300
30%
Sentinel Multi-Asset Income FundConservative Allocation465 out of 813
57%
332 out of 679
49%
329 out of 549
60%
196 out of 300
65%
Sentinel Multi-Asset Income FundConservative Allocation247 out of 813
30%
206 out of 679
30%
194 out of 549
35%
83 out of 300
28%

Fixed Income

 
MORNINGSTAR RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 05.31.2015
 
FUND NAME MORNINGSTAR
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Government Securities FundIntermediate Government204 out of 319
64%
263 out of 304
86%
230 out of 276
83%
116 out of 227
51%
Sentinel Government Securities FundIntermediate Government299 out of 319
93%
301 out of 304
99%
274 out of 276
99%
205 out of 227
90%
Sentinel Government Securities FundIntermediate Government179 out of 319
56%
247 out of 304
81%
214 out of 276
77%
83 out of 227
36%
Sentinel Low Duration Bond FundShort-Term Bond535 out of 548
97%
458 out of 472
97%
371 out of 393
94%
210 out of 279
75%
Sentinel Low Duration Bond FundShort-Term Bond526 out of 548
96%
453 out of 472
94%
378 out of 393
94%
208 out of 279
73%
Sentinel Low Duration Bond FundShort-Term Bond540 out of 548
98%
465 out of 472
98%
384 out of 393
97%
241 out of 279
86%
Sentinel Total Return Bond FundIntermediate-Term Bond1021 out of 1048
97%
142 out of 930
16%
N/AN/A
Sentinel Total Return Bond FundIntermediate-Term Bond1028 out of 1048
98%
263 out of 930
28%
N/AN/A
Sentinel Total Return Bond FundIntermediate-Term Bond1016 out of 1048
97%
121 out of 930
13%
N/AN/A
Sentinel Total Return Bond FundIntermediate-Term Bond1025 out of 1048
97%
189 out of 930
21%
N/AN/A
Sentinel Total Return Bond FundIntermediate-Term Bond1021 out of 1048
97%
148 out of 930
16%
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 05.31.2015
 
FUND NAME LIPPER
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Common Stock FundLarge-Cap Core Funds360 out of 846
43%
462 out of 764
60%
328 out of 687
48%
93 out of 489
19%
Sentinel Common Stock FundLarge-Cap Core Funds483 out of 846
57%
579 out of 764
76%
484 out of 687
70%
239 out of 489
49%
Sentinel Common Stock FundLarge-Cap Core Funds310 out of 846
37%
394 out of 764
52%
251 out of 687
37%
N/A
Sentinel Common Stock FundLarge-Cap Core FundsN/AN/AN/AN/A
Sentinel Mid Cap FundMid-Cap Core Funds304 out of 382
80%
310 out of 344
90%
190 out of 302
63%
188 out of 207
91%
Sentinel Mid Cap FundMid-Cap Core Funds325 out of 382
85%
328 out of 344
95%
258 out of 302
85%
204 out of 207
99%
Sentinel Mid Cap FundMid-Cap Core Funds298 out of 382
78%
304 out of 344
88%
166 out of 302
55%
N/A
Sentinel Small Company FundSmall-Cap Core Funds111 out of 785
14%
426 out of 683
62%
178 out of 606
29%
65 out of 391
17%
Sentinel Small Company FundSmall-Cap Core Funds203 out of 785
26%
480 out of 683
70%
297 out of 606
49%
152 out of 391
39%
Sentinel Small Company FundSmall-Cap Core Funds97 out of 785
12%
393 out of 683
58%
138 out of 606
23%
N/A
Sentinel Small Company FundSmall-Cap Core FundsN/AN/AN/AN/A
Sentinel Sustainable Core Opportunities FundLarge-Cap Core Funds426 out of 846
50%
495 out of 764
65%
388 out of 687
56%
356 out of 489
73%
Sentinel Sustainable Core Opportunities FundLarge-Cap Core Funds375 out of 846
44%
443 out of 764
58%
316 out of 687
46%
N/A
Sentinel Sustainable Mid Cap Opportunities FundMid-Cap Core Funds206 out of 382
54%
287 out of 344
83%
164 out of 302
54%
197 out of 207
95%
Sentinel Sustainable Mid Cap Opportunities FundMid-Cap Core Funds200 out of 382
52%
282 out of 344
82%
158 out of 302
52%
198 out of 207
96%

International Funds

 
LIPPER RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 05.31.2015
 
FUND NAME LIPPER
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel International Equity FundInternational Multi-Cap Growth74 out of 384
19%
59 out of 339
17%
130 out of 315
41%
72 out of 165
44%
Sentinel International Equity FundInternational Multi-Cap Growth120 out of 384
31%
126 out of 339
37%
232 out of 315
74%
129 out of 165
78%
Sentinel International Equity FundInternational Multi-Cap Growth65 out of 384
17%
44 out of 339
13%
96 out of 315
30%
N/A

Asset Allocation Funds

 
LIPPER RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 05.31.2015
 
FUND NAME LIPPER
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Balanced FundMixed-Asset Target Allocation Growth295 out of 510
58%
353 out of 473
75%
163 out of 423
39%
75 out of 309
24%
Sentinel Balanced FundMixed-Asset Target Allocation Growth365 out of 510
72%
418 out of 473
88%
293 out of 423
69%
189 out of 309
61%
Sentinel Balanced FundMixed-Asset Target Allocation Growth257 out of 510
50%
336 out of 473
71%
147 out of 423
35%
N/A
Sentinel Multi-Asset Income FundMixed-Asset Target Allocation Conserv118 out of 368
32%
66 out of 320
21%
68 out of 270
25%
34 out of 158
22%
Sentinel Multi-Asset Income FundMixed-Asset Target Allocation Conserv203 out of 368
55%
111 out of 320
35%
128 out of 270
47%
88 out of 158
56%
Sentinel Multi-Asset Income FundMixed-Asset Target Allocation Conserv97 out of 368
26%
57 out of 320
18%
N/AN/A

Fixed Income

 
LIPPER RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 05.31.2015
 
FUND NAME LIPPER
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Government Securities FundGeneral US Govt Funds58 out of 104
56%
74 out of 99
75%
69 out of 96
72%
28 out of 78
36%
Sentinel Government Securities FundGeneral US Govt Funds92 out of 104
88%
94 out of 99
95%
92 out of 96
96%
N/A
Sentinel Government Securities FundGeneral US Govt Funds47 out of 104
45%
66 out of 99
67%
58 out of 96
60%
N/A
Sentinel Low Duration Bond FundSht Inv Grade Debt Funds289 out of 294
98%
244 out of 248
98%
193 out of 200
97%
101 out of 151
67%
Sentinel Low Duration Bond FundSht Inv Grade Debt Funds280 out of 294
95%
N/AN/AN/A
Sentinel Low Duration Bond FundSht Inv Grade Debt Funds292 out of 294
99%
248 out of 248
100%
197 out of 200
99%
121 out of 151
80%
Sentinel Total Return Bond FundGeneral Bond Funds40 out of 52
77%
20 out of 40
50%
N/AN/A
Sentinel Total Return Bond FundGeneral Bond Funds49 out of 52
94%
22 out of 40
55%
N/AN/A
Sentinel Total Return Bond FundGeneral Bond Funds39 out of 52
75%
19 out of 40
48%
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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