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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)
Original 13F HR (0000940394-16-003221) filed in 2016.11.15
#
Name
Shares
Value ($)
%
Options
Notes
551 LINCOLN NATL CORP IND 96,394 4,529 0.01%
552 LEGG MASON INC 135,432 4,534 0.01%
553 LINEAR TECHNOLOGY CORP 76,542 4,538 0.01%
554 M & T BK CORP 39,264 4,559 0.01%
555 CHARTER COMMUNICATIONS INC N 16,981 4,584 0.01%
556 VEREIT INC 443,617 4,600 0.01%
557 AMERICA MOVIL SAB DE CV 404,933 4,632 0.01%
558 SANOFI 121,448 4,638 0.01%
559 ZIONS BANCORPORATION 150,745 4,676 0.01%
560 HUNT J B TRANS SVCS INC 57,865 4,695 0.01%
561 MTS SYS CORP 102,100 4,700 0.01%
562 ALLSTATE CORP 68,235 4,720 0.01%
563 CBRE GROUP INC 168,749 4,722 0.01%
564 RINGCENTRAL INC CL A 200,000 4,732 0.01%
565 DOMINION ENERGY INC 63,881 4,744 0.01%
566 VODAFONE GROUP PLC NEW 164,290 4,789 0.01%
567 SCHWAB U.S. MID-CAP ETF 110,072 4,790 0.01%
568 POWERSHARES ETF TR II 75,493 4,790 0.01%
569 CATALENT INCORPORATED 186,000 4,806 0.01%
570 TOTAL SYS SVCS INC 102,024 4,810 0.01%
571 MCCORMICK & CO INC 48,884 4,884 0.01%
572 INTERNATIONAL SPEEDWAY CORP CL A 149,701 5,003 0.01%
573 CURTISS WRIGHT CORP 56,233 5,123 0.01%
574 KINDER MORGAN INC DEL 223,516 5,170 0.01%
575 TETRA TECH INC NEW 145,873 5,174 0.01%
576 ELECTRONIC ARTS INC 60,659 5,180 0.01%
577 AMETEK INC NEW 108,478 5,183 0.01%
578 GRAND CANYON ED INC 128,630 5,195 0.01%
579 TIFFANY 71,980 5,228 0.02%
580 METLIFE INC 119,392 5,305 0.02%
581 RICE ENERGY 203,219 5,306 0.02%
582 BATS GLOBAL MARKETS ORD (BATS) 180,054 5,425 0.02%
583 WESTROCK CO 111,995 5,430 0.02%
584 VOYA PRIME RATE TR 1,034,513 5,442 0.02%
585 INVESCO SR INCOME TR 1,260,253 5,469 0.02%
586 CONCHO RESOURCES 40,350 5,542 0.02%
587 SPDR GOLD TR 44,154 5,548 0.02%
588 WELLS FARGO INCOME OPPORTUNI 669,620 5,598 0.02%
589 U S CONCRETE INC COM 122,836 5,658 0.02%
590 STEWART INFORMATION SVCS COR 128,809 5,726 0.02%
591 MERCURY SYS INC COM 233,976 5,749 0.02%
592 FISERV INC 58,192 5,788 0.02%
593 ISHARES TR 67,562 5,789 0.02%
594 GRAINGER W W INC 26,554 5,970 0.02%
595 CHEMTURA CORP 182,889 6,001 0.02%
596 BHP GROUP LTD 173,565 6,014 0.02%
597 STIFEL FINANCIAL CP 156,596 6,021 0.02%
598 KANSAS CITY SOUTHERN 64,664 6,034 0.02%
599 FORD MTR CO DEL 503,132 6,073 0.02%
600 HOLOGIC INC 156,644 6,082 0.02%
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