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Institutional Investment Manager
SENTINEL ASSET MANAGEMENT, INC.
SENTINEL ASSET MANAGEMENT, INC. (CIK: 0001093255), located at One National Life Drive, Montpelier, VT. Institutional holdings reported to the SEC.

Institutional Holdings (2017Q1)
Portfolio Summary: 190 holdings with a total value of $4,227,502,000.
#
Name
Shares
Value ($)
%
Options
Notes
101 PLANTRONICS INCORPORATED NEW 248,336 13,437,000 0.32%
102 TILE SHOP HLDGS INC 695,702 13,392,000 0.32%
103 TOWER SEMICONDUCTOR LTD 580,900 13,390,000 0.32%
104 KB HOME 672,294 13,365,000 0.32%
105 REGAL BELOIT CORP 176,152 13,326,000 0.32%
106 ISHARES TR 423,400 13,320,000 0.32%
107 MAGELLAN HEALTH INC COM NEW 191,922 13,252,000 0.31%
108 Acxiom Corp 464,688 13,230,000 0.31%
109 CAPITAL SR LIVING CORP COM 940,514 13,224,000 0.31%
110 BIO-TECHNE CORPORATION 129,969 13,211,000 0.31%
111 CommVault Systems Inc 260,007 13,208,000 0.31%
112 AMN HEALTHCARE SERVICES INC 325,164 13,202,000 0.31%
113 OMNICELL INC 324,639 13,197,000 0.31%
114 TEXAS ROADHOUSE INC 294,411 13,110,000 0.31%
115 ADVISORY BRD CO COM 279,029 13,059,000 0.31%
116 TRI POINTE HOMES INC COM 1,035,611 12,987,000 0.31%
117 COMERICA INC 187,600 12,866,000 0.30%
118 CALLAWAY GOLF CO 1,161,440 12,857,000 0.30%
119 XCERRA CORP 1,445,513 12,851,000 0.30%
120 MYR GROUP INC DEL COM 312,913 12,829,000 0.30%
121 ESTERLINE TECHNOLOGIES CORP 148,910 12,814,000 0.30%
122 OWENS & MINOR INC NEW 366,578 12,684,000 0.30%
123 CARRIZO OIL & GAS INC 441,543 12,655,000 0.30%
124 NETSCOUT SYS INC 332,875 12,633,000 0.30%
125 FINISAR CORP 461,313 12,612,000 0.30%
126 GRUBHUB INC 382,183 12,570,000 0.30%
127 QUANTA SVCS INC 335,190 12,439,000 0.29%
128 ASPEN TECHNOLOGY COM USD0.10 210,980 12,431,000 0.29%
129 BIO RAD LABS INC 62,277 12,414,000 0.29%
130 GULFPORT ENERGY CORP 717,755 12,338,000 0.29%
131 NUVASIVE INC 163,195 12,187,000 0.29%
132 VERIFONE SYS INC 650,047 12,175,000 0.29%
133 STIFEL FINANCIAL CP 241,710 12,131,000 0.29%
134 KNIGHT TRANSN INC 386,046 12,103,000 0.29%
135 MOBILE MINI INC 393,437 12,000,000 0.28%
136 VITAMIN SHOPPE INC 590,508 11,899,000 0.28%
137 HUB GROUP INC CL A 252,905 11,735,000 0.28%
138 EVERCORE PARTNERS INC 150,571 11,729,000 0.28%
139 CRANE CO 155,621 11,645,000 0.28%
140 MCCORMICK & CO INC 118,500 11,560,000 0.27%
141 PATTERSON COS INC 250,322 11,322,000 0.27%
142 WOODWARD INC 165,408 11,235,000 0.27%
143 MDC PARTNERS INC 1,161,235 10,916,000 0.26%
144 BOTTOMLINE TECH DEL INC COM 451,636 10,681,000 0.25%
145 PLANET FITNESS INC 550,549 10,609,000 0.25%
146 ICON PLC 131,933 10,518,000 0.25%
147 DOLBY LABORATORIES INC 199,869 10,475,000 0.25%
148 MICROSEMI CORP 201,668 10,392,000 0.25%
149 GENESEE AND WYOMING INC INC CL A 150,296 10,199,000 0.24%
150 BERRY PLASTICS GROUP INC 204,034 9,910,000 0.23%
Page 3 of 4

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0001144204-17-027284, filed 2017.05.15).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.