EATON VANCE CORP - COM NON VTG (EV) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q1 2022

Type / Class
Equity / COM NON VTG
Symbol
EV
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of EATON VANCE CORP - COM NON VTG (EV) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2022 Q1 0 $0 -$34,000 0
2021 Q4 500 $34,000 -$204,000 $68.00 1
2021 Q3 5,291 $204,000 $38.56 1
2021 Q2 0 $0 -$834,000 0
2021 Q1 62 $4,000 -$6,219,858,996 $64.52 1
2020 Q4 91,678,440 $6,228,128,347 +$1,054,787,147 $67.93 369
2020 Q3 78,130,480 $2,981,845,775 -$31,709,955 $38.15 311
2020 Q2 78,890,017 $3,044,274,905 +$62,777,818 $38.60 326
2020 Q1 77,728,017 $2,507,074,031 -$55,587,391 $32.25 323
2019 Q4 79,096,068 $3,692,484,261 +$1,123,747 $46.69 361
2019 Q3 78,898,318 $3,544,700,833 -$82,210,564 $44.93 338
2019 Q2 80,709,883 $3,480,244,124 -$52,685,903 $43.13 344
2019 Q1 82,430,095 $3,322,663,884 +$15,791,484 $40.31 344
2018 Q4 82,412,642 $2,898,858,017 +$76,270,602 $35.18 350
2018 Q3 79,519,819 $4,178,731,880 -$107,976,729 $52.56 360
2018 Q2 81,647,880 $4,261,361,686 -$88,006,274 $52.19 361
2018 Q1 83,576,603 $4,652,460,181 -$1,449,399 $55.67 353
2017 Q4 84,885,007 $4,785,447,280 +$150,972,210 $56.39 368
2017 Q3 82,139,323 $4,055,608,822 +$77,649,257 $49.37 341
2017 Q2 81,066,485 $3,836,152,682 +$51,240,085 $47.32 361
2017 Q1 81,751,904 $3,675,295,052 +$502,458,454 $44.96 338
2016 Q4 80,598,621 $3,375,580,498 -$21,709,406 $41.88 338
2016 Q3 80,652,989 $3,147,578,030 +$8,081,102 $39.05 311
2016 Q2 81,242,805 $2,871,274,740 -$23,792,595 $35.34 300
2016 Q1 81,789,878 $2,741,246,577 -$69,555,851 $33.52 289
2015 Q4 84,007,486 $2,724,229,992 -$41,388,034 $32.43 300
2015 Q3 84,837,695 $2,835,462,268 -$27,691,028 $33.42 287
2015 Q2 86,471,517 $3,383,541,437 -$109,709,940 $39.13 307
2015 Q1 89,105,780 $3,709,981,880 +$121,608,299 $41.64 294
2014 Q4 86,318,392 $3,533,182,268 +$10,015,255 $40.93 307
2014 Q3 86,067,973 $3,241,690,866 -$135,589,946 $37.73 287
2014 Q2 89,652,000 $3,387,847,896 -$64,441,773 $37.79 293
2014 Q1 91,366,924 $3,485,753,965 -$68,843,519 $38.16 287