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

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / Common Shares, $0.01 par value
Symbol
EVM
Shares outstanding
24,663,000
Price per share
$9.54
All holders as of 31 Dec 2025
Q4 2025
Total 13F shares
0
Total reported value
$0
Share change
-12,932,501
Value change
-$122,732,188
Number of holders
0
Price from insider filings
$9.54
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) based on Schedule 13D/G filings

Filer Ownership Change % Holdings Value Net Change Nb Shares Change % Reporting Name Report Period
SIT INVESTMENT ASSOCIATES INC 16% +6.2% $36,543,167 +$2,228,450 4,069,395 +6.5% Sit Investment Associates, Inc. 11 Sep 2025

As of 31 Dec 2025, 0 institutional investors reported holding 0 shares of Eaton Vance California Municipal Bond Fund - Common Shares, $0.01 par value (EVM). This represents 0% of the company’s total 24,663,000 outstanding shares.

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

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 0 $0 -$122,732,188 $9.54 0
2025 Q3 12,932,501 $122,732,188 +$7,187,625 $9.49 53
2025 Q2 12,180,703 $108,652,313 +$5,090,644 $8.92 49
2025 Q1 11,606,695 $107,590,840 +$1,281,232 $9.27 47
2024 Q4 11,520,000 $105,698,043 +$1,602,439 $9.17 54
2024 Q3 11,244,325 $108,499,739 -$3,524,119 $9.65 53
2024 Q2 11,610,703 $110,416,024 -$1,790,449 $9.51 50
2024 Q1 11,774,449 $111,243,985 +$3,082,291 $9.45 51
2023 Q4 11,462,158 $104,894,976 +$14,758,338 $9.15 52
2023 Q3 9,824,367 $79,775,983 +$9,917,612 $8.12 48
2023 Q2 8,617,781 $76,754,858 +$4,349,187 $8.90 49
2023 Q1 8,129,201 $73,288,126 +$5,909,387 $9.02 45
2022 Q4 7,488,575 $64,781,619 +$13,875,491 $8.64 54
2022 Q3 5,778,326 $49,427,000 +$1,400,480 $8.51 48
2022 Q2 5,617,950 $52,116,000 -$329,737 $9.27 51
2022 Q1 5,631,684 $56,487,000 +$9,210,023 $10.04 50
2021 Q4 4,726,859 $54,806,000 -$7,913,378 $11.60 45
2021 Q3 5,016,575 $59,896,000 -$8,423,508 $11.94 43
2021 Q2 5,722,172 $68,453,000 -$7,115,848 $11.96 44
2021 Q1 6,317,387 $73,572,354 -$6,530,426 $11.64 43
2020 Q4 6,623,660 $77,822,000 -$2,570,359 $11.75 46
2020 Q3 6,814,476 $77,441,000 -$4,064,784 $11.36 43
2020 Q2 9,883,942 $110,112,000 +$9,122,900 $11.13 41
2020 Q1 6,692,327 $70,601,088 +$4,094,790 $10.55 46
2019 Q4 6,280,486 $70,654,208 +$2,534,517 $11.25 50
2019 Q3 5,935,072 $67,252,894 -$2,914,492 $11.33 46
2019 Q2 6,188,845 $68,256,000 -$3,231,756 $11.03 45
2019 Q1 6,504,987 $68,782,000 +$1,490,402 $10.55 46
2018 Q4 6,375,727 $63,095,000 +$15,111,766 $9.90 50
2018 Q3 4,819,855 $48,000,000 +$6,042,244 $9.96 44
2018 Q2 4,169,273 $43,055,000 +$8,997,487 $10.33 42
2018 Q1 3,297,554 $33,904,000 +$7,478,189 $10.26 39
2017 Q4 2,549,081 $29,329,000 +$572,595 $11.50 30
2017 Q3 2,498,507 $30,076,000 -$1,902,774 $12.04 27
2017 Q2 2,666,167 $30,979,000 -$4,381,370 $11.62 31
2017 Q1 3,046,408 $34,619,000 -$1,102,428 $11.36 33
2016 Q4 3,143,275 $35,774,000 +$9,767,031 $11.38 34
2016 Q3 2,281,113 $30,910,000 +$361,773 $13.56 25
2016 Q2 2,253,971 $31,157,000 -$1,478,857 $13.82 22
2016 Q1 2,349,764 $29,574,000 -$865,026 $12.58 25
2015 Q4 2,403,485 $29,210,000 +$1,562,635 $12.15 21
2015 Q3 2,271,719 $26,430,000 +$385,306 $11.63 17
2015 Q2 2,252,092 $25,433,446 +$1,806,170 $11.29 24
2015 Q1 2,080,396 $25,008,409 -$4,040,333 $12.02 21
2014 Q4 2,418,885 $28,471,784 +$589,592 $11.77 24
2014 Q3 2,277,039 $25,840,043 -$51,439 $11.35 25
2014 Q2 2,279,062 $26,409,586 -$2,072,573 $11.58 25
2014 Q1 2,478,593 $26,911,720 +$2,386,190 $10.86 30