StockScan > Holders > Eaton Vance Management

Eaton Vance Management's Portfolio and 13F Filing

Value: $73.33B
CIK: 0001076598
Phone: 617-672-6134
Address: Two International Place, Boston, MA (02110)
Latest 13F Filing:
Eaton Vance Management's Stock Holdings & 13F Form
# Stock Name Symbol Current Price

Previous Holdings

(# Shares)

Current Holdings

(# Shares)

Current Value Percent
1221 The Hain Celestial Group, Inc. HAIN $7.38 17,278

17,278

up arrow 0

$127,512 0.00%
1222 Canada Goose Holdings Inc. Subo GOOS $13.29 8,600

8,600

up arrow 0

$114,294 0.00%
1223 FibroGen, Inc FGEN $1.20 94,482

94,482

up arrow 0

$113,378 0.00%
1224 JBG SMITH Properties JBGS $14.80 7,410

7,410

up arrow 0

$109,668 0.00%
1225 Douglas Emmett, Inc. DEI $14.18 7,682

7,682

up arrow 0

$108,931 0.00%
1226 CoStar Group, Inc. CSGP $87.50 1,214

1,214

up arrow 0

$106,225 0.00%
1227 Eaton Vance Risk-Managed Divers ETJ $8.45 12,400

12,400

up arrow 0

$104,780 0.00%
1228 Mednax, Inc. MD $7.74 11,364

11,364

up arrow 0

$87,957 0.00%
1229 TAL Education Group American De TAL $12.93 6,647

6,647

up arrow 0

$85,946 0.00%
1230 Zillow Group, Inc. Z $44.10 1,861

1,861

up arrow 0

$82,070 0.00%
1231 Beyond Meat Inc BYND $7.19 11,362

11,362

up arrow 0

$81,693 0.00%
1232 Hudson Pacific Properties, Inc. HPP $5.36 14,415

14,415

up arrow 0

$77,264 0.00%
1233 Neogen Corporation NEOG $13.54 5,643

5,643

up arrow 0

$76,406 0.00%
1234 ADTRAN, Inc. ADTN $5.27 13,090

13,090

up arrow 0

$68,984 0.00%
1235 Canadian Pacific Railway Limite CP $82.06 804

804

up arrow 0

$65,976 0.00%
1236 New York Community Bancorp, Inc NYCB $3.69 17,617

17,617

up arrow 0

$65,007 0.00%
1237 Autohome Inc. American Deposita ATHM $29.28 2,007

2,007

up arrow 0

$58,765 0.00%
1238 Lloyds Banking Group Plc Americ LYG $2.82 N/A 20,767 $58,563 0.00%
1239 Conduent Incorporated CNDT $3.82 14,557

14,557

up arrow 0

$55,608 0.00%
1240 iShares Expanded Tech-Software Sector ETF IGV $84.27 634

634

up arrow 0

$53,427 0.00%