Equity Funds

DAILY PRICING
YTD RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
as of
7.29.2016
as of
7.29.2016
as of
6.30.2016
as of
6.30.2016
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 41.43
POP 43.61
0.06 NAV
POP
6.98
1.63
2.60
-2.52
9.55
7.69
10.30
9.18
7.38
6.83
10.64
10.57
2.60
-2.52
9.55
7.69
10.30
9.18
7.38
6.83
10.64
10.57
SHARE:A
Sentinel Common Stock Fund1.0005.04.1998SCSCX
NAV 39.65
POP 39.65
0.06 NAV
POP
6.47
5.47
1.81
0.87
8.69
8.69
9.42
9.42
6.45
6.45
9.65
9.65
1.81
0.87
8.69
8.69
9.42
9.42
6.45
6.45
9.65
9.65
SHARE:C
Sentinel Common Stock Fund0.0005.04.2007SICWX
NAV 41.40
POP 41.40
0.06 NAV
POP
7.16
7.16
2.92
2.92
9.86
9.86
10.64
10.64
7.72
7.72
10.68
10.68
2.92
2.92
9.86
9.86
10.64
10.64
7.72
7.72
10.68
10.68
SHARE:I
Sentinel Common Stock Fund0.0012.23.2014SCRLX
NAV 41.45
POP 41.45
0.06 NAV
POP
7.18
7.18
2.99
2.99
9.75
9.75
10.42
10.42
7.43
7.43
10.64
10.64
2.99
2.99
9.75
9.75
10.42
10.42
7.43
7.43
10.64
10.64
SHARE:R6
Sentinel Small Company Fund5.0003.01.1993SAGWX
NAV 4.78
POP 5.03
-0.01 NAV
POP
8.14
2.80
-4.39
-9.10
7.85
6.04
8.28
7.17
7.68
7.13
10.79
10.54
-4.39
-9.10
7.85
6.04
8.28
7.17
7.68
7.13
10.79
10.54
SHARE:A
Sentinel Small Company Fund1.0007.09.2001SSCOX
NAV 3.14
POP 3.14
N/A NAV
POP
7.90
6.90
-4.94
-5.66
7.14
7.14
7.54
7.54
6.87
6.87
9.73
9.73
-4.94
-5.66
7.14
7.14
7.54
7.54
6.87
6.87
9.73
9.73
SHARE:C
Sentinel Small Company Fund0.0005.04.2007SIGWX
NAV 5.12
POP 5.12
N/A NAV
POP
8.47
8.47
-4.11
-4.11
8.19
8.19
8.67
8.67
8.06
8.06
10.96
10.96
-4.11
-4.11
8.19
8.19
8.67
8.67
8.06
8.06
10.96
10.96
SHARE:I
Sentinel Small Company Fund0.0012.23.2014SSRRX
NAV 4.82
POP 4.82
-0.01 NAV
POP
8.31
8.31
-3.33
-3.33
8.12
8.12
8.45
8.45
7.76
7.76
10.82
10.82
-3.33
-3.33
8.12
8.12
8.45
8.45
7.76
7.76
10.82
10.82
SHARE:R6
Sentinel Sustainable Core Opportunities Fund5.0006.13.1996MYPVX
NAV 20.76
POP 21.85
0.02 NAV
POP
6.03
0.73
-0.01
-5.01
8.57
6.74
9.70
8.59
5.44
4.90
6.75
6.48
-0.01
-5.01
8.57
6.74
9.70
8.59
5.44
4.90
6.75
6.48
SHARE:A
Sentinel Sustainable Core Opportunities Fund0.0003.31.2006CVALX
NAV 20.83
POP 20.83
0.01 NAV
POP
6.17
6.17
0.27
0.27
8.87
8.87
9.99
9.99
5.83
5.83
6.94
6.94
0.27
0.27
8.87
8.87
9.99
9.99
5.83
5.83
6.94
6.94
SHARE:I

International Funds

DAILY PRICING
YTD RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
as of
7.29.2016
as of
7.29.2016
as of
6.30.2016
as of
6.30.2016
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 16.71
POP 17.59
0.08 NAV
POP
3.28
-1.88
-5.43
-10.14
5.38
3.60
3.09
2.03
2.73
2.20
6.81
6.58
-5.43
-10.14
5.38
3.60
3.09
2.03
2.73
2.20
6.81
6.58
SHARE:A
Sentinel International Equity Fund1.0005.04.1998SWFCX
NAV 15.82
POP 15.82
0.06 NAV
POP
2.53
1.53
-6.54
-7.45
3.94
3.94
1.62
1.62
1.36
1.36
5.49
5.49
-6.54
-7.45
3.94
3.94
1.62
1.62
1.36
1.36
5.49
5.49
SHARE:C
Sentinel International Equity Fund0.0008.27.2007SIIEX
NAV 16.55
POP 16.55
0.07 NAV
POP
3.44
3.44
-4.99
-4.99
5.87
5.87
3.58
3.58
3.11
3.11
6.98
6.98
-4.99
-4.99
5.87
5.87
3.58
3.58
3.11
3.11
6.98
6.98
SHARE:I

Asset Allocation Funds

DAILY PRICING
YTD RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
as of
7.29.2016
as of
7.29.2016
as of
6.30.2016
as of
6.30.2016
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 19.62
POP 20.65
0.02 NAV
POP
5.62
0.37
2.70
-2.43
6.66
4.86
7.48
6.38
6.43
5.88
8.53
8.46
2.70
-2.43
6.66
4.86
7.48
6.38
6.43
5.88
8.53
8.46
SHARE:A
Sentinel Balanced Fund1.0005.04.1998SBACX
NAV 19.69
POP 19.69
0.02 NAV
POP
5.17
4.17
1.93
0.96
5.85
5.85
6.64
6.64
5.52
5.52
7.43
7.43
1.93
0.96
5.85
5.85
6.64
6.64
5.52
5.52
7.43
7.43
SHARE:C
Sentinel Balanced Fund0.0008.27.2007SIBLX
NAV 19.51
POP 19.51
0.02 NAV
POP
5.74
5.74
2.94
2.94
6.92
6.92
7.66
7.66
6.51
6.51
8.54
8.54
2.94
2.94
6.92
6.92
7.66
7.66
6.51
6.51
8.54
8.54
SHARE:I
Sentinel Multi-Asset Income Fund5.0003.10.2003SECMX
NAV 12.38
POP 13.03
0.02 NAV
POP
7.64
2.22
4.27
-0.98
5.39
3.62
5.37
4.29
5.48
4.94
6.31
5.90
4.27
-0.98
5.39
3.62
5.37
4.29
5.48
4.94
6.31
5.90
SHARE:A
Sentinel Multi-Asset Income Fund1.0003.10.2003SMKCX
NAV 12.32
POP 12.32
0.02 NAV
POP
7.22
6.22
3.54
2.60
4.62
4.62
4.62
4.62
4.66
4.66
5.51
5.51
3.54
2.60
4.62
4.62
4.62
4.62
4.66
4.66
5.51
5.51
SHARE:C
Sentinel Multi-Asset Income Fund0.0012.17.2010SCSIX
NAV 12.36
POP 12.36
0.03 NAV
POP
7.81
7.81
4.48
4.48
5.66
5.66
5.57
5.57
5.58
5.58
6.39
6.39
4.48
4.48
5.66
5.66
5.57
5.57
5.58
5.58
6.39
6.39
SHARE:I

Fixed Income

DAILY PRICING
YTD RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
AVERAGE ANNUAL TOTAL
RETURN (%)
as of
7.29.2016
as of
7.29.2016
as of
6.30.2016
as of
6.30.2016
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 10.05
POP 10.28
0.01 NAV
POP
2.74
0.41
3.32
0.99
1.61
0.83
1.61
1.15
4.16
3.92
5.82
5.74
3.32
0.99
1.61
0.83
1.61
1.15
4.16
3.92
5.82
5.74
SHARE:A
Sentinel Government Securities Fund1.0006.01.2006SCGGX
NAV 10.07
POP 10.07
0.02 NAV
POP
2.26
1.26
2.59
1.59
0.83
0.83
0.83
0.83
3.23
3.23
4.79
4.79
2.59
1.59
0.83
0.83
0.83
0.83
3.23
3.23
4.79
4.79
SHARE:C
Sentinel Government Securities Fund0.0005.04.2007SIBWX
NAV 10.05
POP 10.05
0.01 NAV
POP
2.86
2.86
3.53
3.53
1.83
1.83
1.84
1.84
4.40
4.40
5.90
5.90
3.53
3.53
1.83
1.83
1.84
1.84
4.40
4.40
5.90
5.90
SHARE:I
Sentinel Low Duration Bond Fund1.0003.27.1995SSIGX
NAV 8.54
POP 8.63
0.01 NAV
POP
2.37
1.29
0.88
-0.16
0.45
0.12
0.26
0.07
2.39
2.29
3.66
3.61
0.88
-0.16
0.45
0.12
0.26
0.07
2.39
2.29
3.66
3.61
SHARE:A
Sentinel Low Duration Bond Fund0.0001.31.2014SSBDX
NAV 8.55
POP 8.55
0.01 NAV
POP
2.52
2.52
1.26
1.26
0.70
0.70
0.41
0.41
2.46
2.46
3.70
3.70
1.26
1.26
0.70
0.70
0.41
0.41
2.46
2.46
3.70
3.70
SHARE:I
Sentinel Low Duration Bond Fund0.0003.04.2005SSSGX
NAV 8.55
POP 8.55
0.01 NAV
POP
2.28
2.28
0.72
0.72
0.31
0.31
0.04
0.04
2.04
2.04
3.20
3.20
0.72
0.72
0.31
0.31
0.04
0.04
2.04
2.04
3.20
3.20
SHARE:S
Sentinel Total Return Bond Fund2.2512.17.2010SATRX
NAV 10.56
POP 10.80
0.02 NAV
POP
4.57
2.17
2.78
0.47
3.05
2.27
4.25
3.78
N/A
N/A
4.39
3.96
2.78
0.47
3.05
2.27
4.25
3.78
N/A
N/A
4.39
3.96
SHARE:A
Sentinel Total Return Bond Fund1.0012.17.2010SCTRX
NAV 10.54
POP 10.54
0.02 NAV
POP
4.19
3.19
1.93
0.93
2.31
2.31
3.65
3.65
N/A
N/A
3.85
3.85
1.93
0.93
2.31
2.31
3.65
3.65
N/A
N/A
3.85
3.85
SHARE:C
Sentinel Total Return Bond Fund0.0012.17.2010SITRX
NAV 10.58
POP 10.58
0.02 NAV
POP
4.75
4.75
2.94
2.94
3.20
3.20
4.41
4.41
N/A
N/A
4.55
4.55
2.94
2.94
3.20
3.20
4.41
4.41
N/A
N/A
4.55
4.55
SHARE:I
Sentinel Total Return Bond Fund0.0012.23.2014SBRRX
NAV 10.56
POP 10.56
0.02 NAV
POP
4.57
4.57
2.78
2.78
2.81
2.81
3.93
3.93
N/A
N/A
4.06
4.06
2.78
2.78
2.81
2.81
3.93
3.93
N/A
N/A
4.06
4.06
SHARE:R3
Sentinel Total Return Bond Fund0.0012.23.2014STRRX
NAV 10.57
POP 10.57
0.02 NAV
POP
4.68
4.68
2.97
2.97
3.18
3.18
4.33
4.33
N/A
N/A
4.46
4.46
2.97
2.97
3.18
3.18
4.33
4.33
N/A
N/A
4.46
4.46
SHARE:R6
Sentinel Unconstrained Bond Fund Fund2.2512.23.2014SUBAX
NAV 9.96
POP 10.19
0.01 NAV
POP
3.91
1.60
1.64
-0.66
N/A
N/A
N/A
N/A
N/A
N/A
0.90
-0.60
1.64
-0.66
N/A
N/A
N/A
N/A
N/A
N/A
0.90
-0.60
SHARE:A
Sentinel Unconstrained Bond Fund Fund1.0012.23.2014SUBCX
NAV 9.93
POP 9.93
0.01 NAV
POP
3.63
2.63
0.87
-0.13
N/A
N/A
N/A
N/A
N/A
N/A
0.13
0.13
0.87
-0.13
N/A
N/A
N/A
N/A
N/A
N/A
0.13
0.13
SHARE:C
Sentinel Unconstrained Bond Fund Fund0.0012.23.2014SUBIX
NAV 9.97
POP 9.97
0.01 NAV
POP
4.10
4.10
1.77
1.77
N/A
N/A
N/A
N/A
N/A
N/A
1.08
1.08
1.77
1.77
N/A
N/A
N/A
N/A
N/A
N/A
1.08
1.08
SHARE:I


30-Day SEC Yield*

as of 6.30.2016
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 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
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 3.79 Share Class:A
Sentinel Multi-Asset Income Fund 3.29 Share Class:C
Sentinel Multi-Asset Income Fund 4.28 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 1.73 Share Class:A
Sentinel Government Securities Fund 0.95 Share Class:C
Sentinel Government Securities Fund 1.97 Share Class:I
Sentinel Low Duration Bond Fund 1.97 Share Class:A
Sentinel Low Duration Bond Fund 2.31 Share Class:I
Sentinel Low Duration Bond Fund 1.81 Share Class:S
Sentinel Total Return Bond Fund 1.89 Share Class:A
Sentinel Total Return Bond Fund 1.09 Share Class:C
Sentinel Total Return Bond Fund 2.13 Share Class:I
Sentinel Total Return Bond Fund 1.94 Share Class:R3
Sentinel Total Return Bond Fund 2.13 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 1.76 Share Class:R6
Sentinel Small Company Fund 1.21 Share Class:A
Sentinel Small Company Fund 1.95 Share Class:C
Sentinel Small Company Fund 0.88 Share Class:I
Sentinel Small Company Fund 2.97 Share Class:R6
Sentinel Sustainable Core Opportunities Fund 1.21 Share Class:A
Sentinel Sustainable Core Opportunities Fund 0.93 Share Class:I
International Funds Share Class:A -Share Class:C -Share Class:I -
Sentinel International Equity Fund 1.42 Share Class:A
Sentinel International Equity Fund 2.71 Share Class:C
Sentinel International Equity Fund 1.03 Share Class:I
Asset Allocation Funds Share Class:A -Share Class:C -Share Class:I -
Sentinel Balanced Fund 1.05 Share Class:A
Sentinel Balanced Fund 1.83 Share Class:C
Sentinel Balanced Fund 0.82 Share Class:I
Sentinel Multi-Asset Income Fund 1.07 Share Class:A
Sentinel Multi-Asset Income Fund 1.80 Share Class:C
Sentinel Multi-Asset Income Fund 0.80 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 0.96 Share Class:A
Sentinel Government Securities Fund 1.74 Share Class:C
Sentinel Government Securities Fund 0.73 Share Class:I
Sentinel Low Duration Bond Fund 0.95 Share Class:A
Sentinel Low Duration Bond Fund 0.61 Share Class:I
Sentinel Low Duration Bond Fund 1.07 Share Class:S
Sentinel Total Return Bond Fund 0.97 Share Class:A
Sentinel Total Return Bond Fund 1.78 Share Class:C
Sentinel Total Return Bond Fund 0.77 Share Class:I
Sentinel Total Return Bond Fund 3.40 Share Class:R3
Sentinel Total Return Bond Fund 2.90 Share Class:R6
Sentinel Unconstrained Bond Fund Fund 1.41 Share Class:A
Sentinel Unconstrained Bond Fund Fund 2.85 Share Class:C
Sentinel Unconstrained Bond Fund Fund 1.05 Share Class:I

Equity Funds

 
MORNINGSTAR RATINGS | NUMBER OF FUNDS IN CATEGORY | LW = Load Waived
as of 06.30.2016
 
FUND NAME MORNINGSTAR
CATEGORY
OVERALL 3 YEARS 5 YEARS 10 YEARS
Sentinel Common Stock FundLarge Blend
(LW)
1392
(LW)
1392
(LW)
1206
(LW)
895
Sentinel Common Stock FundLarge Blend139213921206895
Sentinel Common Stock FundLarge Blend139213921206895
Sentinel Common Stock FundLarge Blend139213921206895
Sentinel Small Company FundSmall Growth
(LW)
655
(LW)
655
(LW)
591
(LW)
431
Sentinel Small Company FundSmall Growth655655591431
Sentinel Small Company FundSmall Growth655655591431
Sentinel Small Company FundSmall Growth655655591431
Sentinel Sustainable Core Opportunities FundLarge Blend
(LW)
1392
(LW)
1392
(LW)
1206
(LW)
895
Sentinel Sustainable Core Opportunities FundLarge Blend139213921206895

International Funds

 
MORNINGSTAR RATINGS | NUMBER OF FUNDS IN CATEGORY | LW = Load Waived
as of 06.30.2016
 
FUND NAME MORNINGSTAR
CATEGORY
OVERALL 3 YEARS 5 YEARS 10 YEARS
Sentinel International Equity FundForeign Large Blend
(LW)
720
(LW)
720
(LW)
631
(LW)
380
Sentinel International Equity FundForeign Large Blend720720631380
Sentinel International Equity FundForeign Large Blend720720631380

Asset Allocation Funds

 
MORNINGSTAR RATINGS | NUMBER OF FUNDS IN CATEGORY | LW = Load Waived
as of 06.30.2016
 
FUND NAME MORNINGSTAR
CATEGORY
OVERALL 3 YEARS 5 YEARS 10 YEARS
Sentinel Balanced FundAllocation--50% to 70% Equity
(LW)
820
(LW)
820
(LW)
704
(LW)
479
Sentinel Balanced FundAllocation--50% to 70% Equity820820704479
Sentinel Balanced FundAllocation--50% to 70% Equity820820704479
Sentinel Multi-Asset Income FundAllocation--30% to 50% Equity
(LW)
480
(LW)
480
(LW)
409
(LW)
271
Sentinel Multi-Asset Income FundAllocation--30% to 50% Equity480480409271
Sentinel Multi-Asset Income FundAllocation--30% to 50% Equity480480409271

Fixed Income

 
MORNINGSTAR RATINGS | NUMBER OF FUNDS IN CATEGORY | LW = Load Waived
as of 06.30.2016
 
FUND NAME MORNINGSTAR
CATEGORY
OVERALL 3 YEARS 5 YEARS 10 YEARS
Sentinel Government Securities FundIntermediate Government
(LW)
301
(LW)
301
(LW)
285
(LW)
218
Sentinel Government Securities FundIntermediate Government301301285218
Sentinel Government Securities FundIntermediate Government301301285218
Sentinel Low Duration Bond FundShort-Term Bond
(LW)
493
(LW)
493
(LW)
405
(LW)
284
Sentinel Low Duration Bond FundShort-Term Bond493493405284
Sentinel Low Duration Bond FundShort-Term Bond493493405284
Sentinel Total Return Bond FundIntermediate-Term Bond
(LW)
953
(LW)
953
(LW)
836N/A0
Sentinel Total Return Bond FundIntermediate-Term Bond953953836N/A0
Sentinel Total Return Bond FundIntermediate-Term Bond953953836N/A0
Sentinel Total Return Bond FundIntermediate-Term Bond953953836N/A0
Sentinel Total Return Bond FundIntermediate-Term Bond953953836N/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 06.30.2016
 
FUND NAME MORNINGSTAR
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Common Stock FundLarge Blend466 out of 1523
31%
776 out of 1392
56%
656 out of 1206
54%
171 out of 895
19%
Sentinel Common Stock FundLarge Blend579 out of 1523
38%
962 out of 1392
69%
848 out of 1206
70%
474 out of 895
53%
Sentinel Common Stock FundLarge Blend436 out of 1523
29%
683 out of 1392
49%
565 out of 1206
47%
N/A
Sentinel Common Stock FundLarge Blend428 out of 1523
28%
N/AN/AN/A
Sentinel Small Company FundSmall Growth126 out of 729
17%
191 out of 655
29%
168 out of 591
29%
90 out of 431
21%
Sentinel Small Company FundSmall Growth142 out of 729
20%
264 out of 655
40%
270 out of 591
46%
188 out of 431
44%
Sentinel Small Company FundSmall Growth120 out of 729
17%
157 out of 655
24%
139 out of 591
24%
N/A
Sentinel Small Company FundSmall Growth100 out of 729
14%
N/AN/AN/A
Sentinel Sustainable Core Opportunities FundLarge Blend791 out of 1523
52%
989 out of 1392
71%
798 out of 1206
66%
739 out of 895
82%
Sentinel Sustainable Core Opportunities FundLarge Blend761 out of 1523
50%
925 out of 1392
66%
731 out of 1206
60%
632 out of 895
70%

International Funds

 
MORNINGSTAR RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2016
 
FUND NAME MORNINGSTAR
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel International Equity FundForeign Large Blend94 out of 823
12%
31 out of 720
5%
62 out of 631
10%
83 out of 380
22%
Sentinel International Equity FundForeign Large Blend132 out of 823
16%
77 out of 720
11%
220 out of 631
35%
186 out of 380
49%
Sentinel International Equity FundForeign Large Blend85 out of 823
11%
18 out of 720
3%
47 out of 631
8%
N/A

Asset Allocation Funds

 
MORNINGSTAR RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2016
 
FUND NAME MORNINGSTAR
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Balanced FundAllocation--50% to 70% Equity136 out of 895
15%
237 out of 820
29%
152 out of 704
22%
66 out of 479
14%
Sentinel Balanced FundAllocation--50% to 70% Equity185 out of 895
21%
433 out of 820
53%
270 out of 704
38%
189 out of 479
39%
Sentinel Balanced FundAllocation--50% to 70% Equity120 out of 895
14%
193 out of 820
24%
131 out of 704
19%
N/A
Sentinel Multi-Asset Income FundAllocation--30% to 50% Equity60 out of 568
11%
79 out of 480
17%
99 out of 409
24%
47 out of 271
17%
Sentinel Multi-Asset Income FundAllocation--30% to 50% Equity72 out of 568
13%
196 out of 480
41%
212 out of 409
52%
141 out of 271
52%
Sentinel Multi-Asset Income FundAllocation--30% to 50% Equity55 out of 568
10%
55 out of 480
12%
76 out of 409
19%
N/A

Fixed Income

 
MORNINGSTAR RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2016
 
FUND NAME MORNINGSTAR
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Government Securities FundIntermediate Government214 out of 309
69%
287 out of 301
95%
261 out of 285
91%
126 out of 218
58%
Sentinel Government Securities FundIntermediate Government263 out of 309
85%
301 out of 301
100%
284 out of 285
99%
204 out of 218
93%
Sentinel Government Securities FundIntermediate Government188 out of 309
61%
280 out of 301
93%
238 out of 285
83%
N/A
Sentinel Low Duration Bond FundShort-Term Bond460 out of 571
80%
462 out of 493
93%
386 out of 405
95%
215 out of 284
75%
Sentinel Low Duration Bond FundShort-Term Bond366 out of 571
64%
N/AN/AN/A
Sentinel Low Duration Bond FundShort-Term Bond482 out of 571
84%
469 out of 493
95%
397 out of 405
98%
242 out of 284
85%
Sentinel Total Return Bond FundIntermediate-Term Bond994 out of 1061
93%
759 out of 953
79%
152 out of 836
18%
N/A
Sentinel Total Return Bond FundIntermediate-Term Bond1032 out of 1061
97%
903 out of 953
94%
428 out of 836
51%
N/A
Sentinel Total Return Bond FundIntermediate-Term Bond977 out of 1061
92%
697 out of 953
73%
116 out of 836
14%
N/A
Sentinel Total Return Bond FundIntermediate-Term Bond994 out of 1061
93%
N/AN/AN/A
Sentinel Total Return Bond FundIntermediate-Term Bond971 out of 1061
91%
N/AN/AN/A
Sentinel Unconstrained Bond Fund FundNontraditional Bond124 out of 406
31%
N/AN/AN/A
Sentinel Unconstrained Bond Fund FundNontraditional Bond170 out of 406
42%
N/AN/AN/A
Sentinel Unconstrained Bond Fund FundNontraditional Bond117 out of 406
29%
N/AN/AN/A

Equity Funds

 
LIPPER RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2016
 
FUND NAME LIPPER
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Common Stock FundLarge-Cap Core Funds254 out of 853
30%
408 out of 772
53%
362 out of 691
52%
107 out of 523
20%
Sentinel Common Stock FundLarge-Cap Core Funds321 out of 853
38%
540 out of 772
70%
501 out of 691
73%
260 out of 523
50%
Sentinel Common Stock FundLarge-Cap Core Funds239 out of 853
28%
358 out of 772
46%
307 out of 691
44%
N/A
Sentinel Common Stock FundLarge-Cap Core Funds231 out of 853
27%
N/AN/AN/A
Sentinel Small Company FundSmall-Cap Core Funds324 out of 847
38%
256 out of 715
36%
274 out of 620
44%
55 out of 425
13%
Sentinel Small Company FundSmall-Cap Core Funds370 out of 847
44%
344 out of 715
48%
380 out of 620
61%
127 out of 425
30%
Sentinel Small Company FundSmall-Cap Core Funds306 out of 847
36%
201 out of 715
28%
216 out of 620
35%
N/A
Sentinel Small Company FundSmall-Cap Core Funds256 out of 847
30%
N/AN/AN/A
Sentinel Sustainable Core Opportunities FundLarge-Cap Core Funds471 out of 853
55%
549 out of 772
71%
465 out of 691
67%
437 out of 523
84%
Sentinel Sustainable Core Opportunities FundLarge-Cap Core Funds454 out of 853
53%
513 out of 772
66%
414 out of 691
60%
365 out of 523
70%

International Funds

 
LIPPER RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2016
 
FUND NAME LIPPER
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel International Equity FundInternational Multi-Cap Growth114 out of 423
27%
54 out of 370
15%
96 out of 328
29%
68 out of 192
35%
Sentinel International Equity FundInternational Multi-Cap Growth159 out of 423
38%
98 out of 370
26%
195 out of 328
59%
142 out of 192
74%
Sentinel International Equity FundInternational Multi-Cap Growth104 out of 423
25%
41 out of 370
11%
72 out of 328
22%
N/A

Asset Allocation Funds

 
LIPPER RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2016
 
FUND NAME LIPPER
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Balanced FundMixed-Asset Target Allocation Growth65 out of 494
13%
179 out of 457
39%
106 out of 402
26%
40 out of 308
13%
Sentinel Balanced FundMixed-Asset Target Allocation Growth100 out of 494
20%
274 out of 457
60%
174 out of 402
43%
119 out of 308
39%
Sentinel Balanced FundMixed-Asset Target Allocation Growth55 out of 494
11%
144 out of 457
32%
97 out of 402
24%
N/A
Sentinel Multi-Asset Income FundMixed-Asset Target Allocation Conserv36 out of 355
10%
45 out of 327
14%
45 out of 274
16%
28 out of 197
14%
Sentinel Multi-Asset Income FundMixed-Asset Target Allocation Conserv45 out of 355
13%
99 out of 327
30%
99 out of 274
36%
85 out of 197
43%
Sentinel Multi-Asset Income FundMixed-Asset Target Allocation Conserv34 out of 355
10%
32 out of 327
10%
34 out of 274
12%
N/A

Fixed Income

 
LIPPER RANKINGS | NUMBER OF FUNDS IN CATEGORY | Percentile
as of 06.30.2016
 
FUND NAME LIPPER
CATEGORY
1 YEAR 3 YEARS 5 YEARS 10 YEARS
Sentinel Government Securities FundGeneral US Govt Funds83 out of 101
82%
88 out of 98
90%
81 out of 93
87%
33 out of 74
45%
Sentinel Government Securities FundGeneral US Govt Funds87 out of 101
86%
98 out of 98
100%
92 out of 93
99%
63 out of 74
85%
Sentinel Government Securities FundGeneral US Govt Funds76 out of 101
75%
85 out of 98
87%
72 out of 93
77%
N/A
Sentinel Low Duration Bond FundSht Inv Grade Debt Funds230 out of 313
73%
236 out of 259
91%
209 out of 217
96%
98 out of 152
64%
Sentinel Low Duration Bond FundSht Inv Grade Debt Funds170 out of 313
54%
N/AN/AN/A
Sentinel Low Duration Bond FundSht Inv Grade Debt Funds244 out of 313
78%
244 out of 259
94%
215 out of 217
99%
114 out of 152
75%
Sentinel Total Return Bond FundGeneral Bond Funds31 out of 52
60%
24 out of 39
62%
17 out of 29
59%
N/A
Sentinel Total Return Bond FundGeneral Bond Funds38 out of 52
73%
29 out of 39
74%
23 out of 29
79%
N/A
Sentinel Total Return Bond FundGeneral Bond Funds30 out of 52
58%
23 out of 39
59%
15 out of 29
52%
N/A
Sentinel Total Return Bond FundGeneral Bond Funds31 out of 52
60%
N/AN/AN/A
Sentinel Total Return Bond FundGeneral Bond Funds29 out of 52
56%
N/AN/AN/A
Sentinel Unconstrained Bond Fund FundAlt Credit Focus Funds64 out of 281
23%
N/AN/AN/A
Sentinel Unconstrained Bond Fund FundAlt Credit Focus Funds93 out of 281
33%
N/AN/AN/A
Sentinel Unconstrained Bond Fund FundAlt Credit Focus Funds63 out of 281
22%
N/AN/AN/A


All of the mutual fund performance information contained in this table was supplied by Lipper, A Thomson Reuters Company, subject to the following: Copyright 2015 © Thomson Reuters. All rights reserved. Any copying, republication or redistribution of Lipper content, including by caching, framing or similar means, is expressly prohibited without the prior written consent of Lipper. Lipper shall not be liable for any errors or delays in the content, or for any actions taken in reliance thereon.

Copyright © 2016, Sentinel Investments. All rights reserved.
Research our firm on FINRA BrokerCheck.
Home   |   Privacy Policy   |   Business Continuity Statement   |   Proxy Voting Information   |   Sitemap   |   Sales Charge Reductions and Waivers
Before investing, carefully consider a fund’s objectives, risks, charges and expenses. Summary and full prospectuses containing this and other information are available from sentinelinvestments.com. Please read them carefully. Investment return and principal value in any of the Funds will vary so that you may have a gain or loss when you sell shares. The performance data shown represents past performance, which is not a guarantee of future results. Current performance may be higher or lower than any data quoted. Mutual funds are not insured by the Federal Deposit Insurance Corporation or any other government agency and are neither guaranteed by, nor deposits or other obligations of, any bank or affiliate. The Funds referred to on this Website may be offered only to persons in the United States and by way of prospectus.

Sentinel Investments is the unifying brand name for Sentinel Financial Services Company, Sentinel Asset Management, Inc., and Sentinel Administrative Services, Inc.

Sentinel Funds are distributed by Sentinel Financial Services Company, member FINRA, One National Life Drive, Montpelier, Vermont 05604.