Eaton Vance California Municipal Bond Fund - Common Shares, $0.01 par value (EVM)

Historical Holders from Q1 2014 to Q3 2025

Symbol
EVM
Type / Class
Equity / Common Shares, $0.01 par value
Shares outstanding
24.7M
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares, excl. options
12.9M
Holdings value
$122M
% of all portfolios
0.001%
Grand Portfolio weight change
+0%
Number of holders
52
Number of buys
25
Number of sells
-17
Average Value change %
+0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Significant Owners of Eaton Vance California Municipal Bond Fund - Common Shares, $0.01 par value (EVM)

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
SIT INVESTMENT ASSOCIATES INC 16.5% +6.25% $36.5M $2.23M 4.07M +6.49% Sit Investment Associates, Inc. 11 Sep 2025

Institutional Holders of Eaton Vance California Municipal Bond Fund - Common Shares, $0.01 par value (EVM)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q3 12.9M $122M +$7.19M $9.49 52
2025 Q2 12.2M $109M +$5.09M $8.92 49
2025 Q1 11.6M $108M +$1.28M $9.27 47
2024 Q4 11.5M $106M +$1.6M $9.17 54
2024 Q3 11.2M $108M -$3.52M $9.65 53
2024 Q2 11.6M $110M -$1.79M $9.51 50
2024 Q1 11.8M $111M +$3.08M $9.45 51
2023 Q4 11.5M $105M +$14.8M $9.15 52
2023 Q3 9.82M $79.8M +$9.92M $8.12 48
2023 Q2 8.62M $76.8M +$4.35M $8.90 49
2023 Q1 8.13M $73.3M +$5.91M $9.02 45
2022 Q4 7.49M $64.8M +$13.9M $8.64 54
2022 Q3 5.78M $49.4M +$1.4M $8.51 48
2022 Q2 5.62M $52.1M -$330K $9.27 51
2022 Q1 5.63M $56.5M +$9.21M $10.04 50
2021 Q4 4.73M $54.8M -$7.91M $11.60 45
2021 Q3 5.02M $59.9M -$8.42M $11.94 43
2021 Q2 5.72M $68.5M -$7.12M $11.96 44
2021 Q1 6.32M $73.6M -$6.53M $11.64 43
2020 Q4 6.62M $77.8M -$2.57M $11.75 46
2020 Q3 6.81M $77.4M -$4.06M $11.36 43
2020 Q2 9.88M $110M +$9.12M $11.13 41
2020 Q1 6.69M $70.6M +$4.09M $10.55 46
2019 Q4 6.28M $70.7M +$2.53M $11.25 50
2019 Q3 5.94M $67.3M -$2.91M $11.33 46
2019 Q2 6.19M $68.3M -$3.23M $11.03 45
2019 Q1 6.5M $68.8M +$1.49M $10.55 46
2018 Q4 6.38M $63.1M +$15.1M $9.90 50
2018 Q3 4.82M $48M +$6.04M $9.96 44
2018 Q2 4.17M $43.1M +$9M $10.33 42
2018 Q1 3.3M $33.9M +$7.48M $10.26 39
2017 Q4 2.55M $29.3M +$573K $11.50 30
2017 Q3 2.5M $30.1M -$1.9M $12.04 27
2017 Q2 2.67M $31M -$4.38M $11.62 31
2017 Q1 3.05M $34.6M -$1.1M $11.36 33
2016 Q4 3.14M $35.8M +$9.77M $11.38 34
2016 Q3 2.28M $30.9M +$362K $13.56 25
2016 Q2 2.25M $31.2M -$1.48M $13.82 22
2016 Q1 2.35M $29.6M -$865K $12.58 25
2015 Q4 2.4M $29.2M +$1.56M $12.15 21
2015 Q3 2.27M $26.4M +$385K $11.63 17
2015 Q2 2.25M $25.4M +$1.81M $11.29 24
2015 Q1 2.08M $25M -$4.04M $12.02 21
2014 Q4 2.42M $28.5M +$590K $11.77 24
2014 Q3 2.28M $25.8M -$51.4K $11.35 25
2014 Q2 2.28M $26.4M -$2.07M $11.58 25
2014 Q1 2.48M $26.9M +$2.39M $10.86 30