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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 (2016Q3)
Portfolio Summary: 971 holdings with a total value of $34,744,170,000.
#
Name
Shares
Value ($)
%
Options
Notes
151 INVESCO LTD 1,481,816 46,336,000 0.13%
152 INCYTE 489,424 46,148,000 0.13%
153 DEERE & CO 539,737 46,067,000 0.13%
154 ISHARES TR 435,940 46,044,000 0.13%
155 ZAYO GROUP HOLDINGS 1,534,896 45,602,000 0.13%
156 AFLAC INC 628,508 45,171,000 0.13%
157 ALERE INC 135,372 44,790,000 0.13%
158 ARISTA NETWORKS INC COM 523,374 44,529,000 0.13%
159 WR BERKLEY 764,371 44,150,000 0.13%
160 NVIDIA CORPORATION 642,405 44,018,000 0.13%
161 ANTERO RESOURCE CORP 1,633,197 44,015,000 0.13%
162 YUM BRANDS INC 484,349 43,984,000 0.13%
163 CORNING INC 1,856,817 43,914,000 0.13%
164 PAYCHEX INC 748,772 43,331,000 0.12%
165 SALESFORCE COM INC 579,019 41,301,000 0.12%
166 BOSTON SCIENTIFIC CORP 1,724,744 41,049,000 0.12%
167 SALLY BEAUTY HLDGS INC COM 1,580,228 40,580,000 0.12%
168 PROGRESSIVE CORP OHIO 1,283,911 40,443,000 0.12%
169 MICROCHIP TECHNOLOGY 648,812 40,317,000 0.12%
170 MASTERCARD INCORPORATED 394,553 40,154,000 0.12%
171 WELLS FARGO & CO NEW 28,606 37,453,000 0.11%
172 FRANKLIN RESOURCES INC 1,049,375 37,326,000 0.11%
173 PUBLIC STORAGE 166,120 37,068,000 0.11%
174 AGILENT TECHNOLOGIES INC 770,700 36,292,000 0.10%
175 PAYPAL HLDGS INC 885,636 36,285,000 0.10%
176 LAZARD LTD 986,999 35,887,000 0.10%
177 ILLUMINA INC 196,308 35,661,000 0.10%
178 HCA HOLDINGS INC 456,459 34,522,000 0.10%
179 AVALONBAY COMM 194,095 34,518,000 0.10%
180 BLACKROCK CORPOR HI YLD FD I 2,946,989 31,886,000 0.09%
181 FIFTH THIRD BANCORP 1,548,436 31,681,000 0.09%
182 BLUE BUFFALO PET PRODS INC 1,305,455 31,018,000 0.09%
183 EDWARDS LIFESCIENCES CORP 248,567 29,967,000 0.09%
184 BIOMARIN 323,618 29,941,000 0.09%
185 EXPRESS SCRIPTS HLDG CO 421,890 29,756,000 0.09%
186 HEXCEL CORP NEW COM 671,202 29,734,000 0.09%
187 AIR PRODS & CHEMS INC 197,386 29,675,000 0.09%
188 DOVER CORP 400,223 29,472,000 0.08%
189 GENUINE PARTS CO 291,748 29,306,000 0.08%
190 MOODYS CORP 268,562 29,080,000 0.08%
191 COOPER COS INC 160,106 28,701,000 0.08%
192 MACYS INC 771,070 28,568,000 0.08%
193 HANESBRANDS INC 1,125,429 28,417,000 0.08%
194 TRAVELERS COMPANIES INC 236,702 27,114,000 0.08%
195 SHIRE PLC 139,384 27,021,000 0.08%
196 SPDR S&P MIDCAP 400 ETF TR 95,364 26,918,000 0.08%
197 AMERIPRISE FINL INC 265,888 26,528,000 0.08%
198 SYSCO CORP 535,695 26,254,000 0.08%
199 REGENERON PHARMACEUTICALS 64,012 25,734,000 0.07%
200 CREDIT SUISSE GROUP 1,946,441 25,576,000 0.07%
Page 4 of 20

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000940394-16-003221, filed 2016.11.15).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.