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Institutional Investment Manager
EATON VANCE MANAGEMENT
EATON VANCE MANAGEMENT (CIK: 0001076598), located at One Post Office Square, Boston, MA. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q3)
Original 13F HR (0000940394-14-001487) filed in 2014.11.10
#
Name
Shares
Value ($)
%
Options
Notes
351 AMETEK INC NEW 137,869 6,923 0.02%
352 INVENSENSE INC 350,214 6,910 0.02%
353 CHESAPEAKE ENERGY CORP 71,210 6,836 0.02%
354 ROCK-TENN COMPANY 143,155 6,812 0.02%
355 TIME WARNER CABLE INC 47,306 6,788 0.02%
356 HCC INSURANCE HOLDINGS INC 139,623 6,743 0.02%
357 INTUITIVE SURGICAL INC 14,590 6,738 0.02%
358 APTARGROUP INC 110,247 6,692 0.02%
359 HNI Corp 182,861 6,582 0.02%
360 Connectone Bancorp Inc NEW 341,943 6,515 0.02%
361 RAYTHEON CO 63,757 6,479 0.02%
362 UNILEVER PLC 154,479 6,473 0.02%
363 NATIONAL INSTRS CORP 208,726 6,456 0.02%
364 JAZZ PHARMACEUTICALS PLC 39,846 6,398 0.02%
365 HESS CORP 67,355 6,353 0.02%
366 L BRANDS INC 93,476 6,262 0.02%
367 LEGGETT &PLATT INC 178,962 6,250 0.02%
368 WABTEC CORP 76,995 6,240 0.02%
369 EASTMAN CHEM CO 76,712 6,206 0.02%
370 BAKER HUGHES INC 95,252 6,198 0.02%
371 SERVICEMASTER GLOBAL HLDGS I 255,354 6,180 0.02%
372 CIGNA CORPORATION 67,485 6,121 0.02%
373 CONAGRA BRANDS INC 184,705 6,103 0.02%
374 ANTERO RES CORP 110,974 6,092 0.02%
375 KRAFT HEINZ CO COM 106,896 6,029 0.02%
376 LOCKHEED MARTIN CORP 32,456 5,933 0.02%
377 CARNIVAL CORP 146,131 5,871 0.02%
378 WRIGHT MEDICAL GROUP NV 189,131 5,731 0.02%
379 SM ENERGY CO 73,239 5,713 0.02%
380 YAHOO INC 139,661 5,692 0.02%
381 CULLEN FROST BANKERS INC 72,677 5,561 0.02%
382 TRW AUTOMOTIVE HLDGS CORP 54,662 5,535 0.02%
383 POLARIS INDS INC 36,674 5,494 0.02%
384 MULTI COLOR CORP COM 118,481 5,389 0.02%
385 AMERICAN ELEC PWR INC 102,269 5,340 0.02%
386 HSBC HLDGS PLC 104,386 5,312 0.02%
387 AMERICA MOVIL SAB DE CV 210,258 5,299 0.02%
388 KNOWLES CORP 192,387 5,099 0.02%
389 ISHARES TR 48,691 5,079 0.02%
390 XILINX INC 119,388 5,057 0.02%
391 LEGG MASON INC 98,189 5,024 0.01%
392 DUKE ENERGY CORP NEW 67,021 5,012 0.01%
393 GENERAL MLS INC 99,327 5,012 0.01%
394 FLOWERS FOODS INC 272,776 5,009 0.01%
395 SUNSTONE HOTEL INVS INC NEW 186,948 4,994 0.01%
396 EXELON CORP 146,433 4,992 0.01%
397 RED HAT INC 88,510 4,970 0.01%
398 AMERICAN INTL GROUP INC 91,836 4,961 0.01%
399 KIMBERLY CLARK CORP 45,901 4,938 0.01%
400 JPMORGAN CHASE & CO 91,985 4,883 0.01%
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