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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
901 INTERNATIONAL BUSINESS MACHS 775,974 123,263 0.35%
902 SIMON PPTY GROUP INC NEW 597,558 123,700 0.36%
903 FORTIVE CORP 2,462,480 125,340 0.36%
904 GOODYEAR TIRE & RUBR CO 3,915,368 126,466 0.36%
905 C H ROBINSON WORLDWIDE INC 1,810,191 127,546 0.37%
906 THERMO FISHER SCIENTIFIC INC 825,033 131,230 0.38%
907 HALLIBURTON CO 2,970,548 133,318 0.38%
908 PHILIP MORRIS INTL INC 1,389,890 135,125 0.39%
909 CONSTELLATION BRANDS INC 836,499 139,269 0.40%
910 ILLINOIS TOOL WKS INC 1,171,571 140,401 0.40%
911 ROCKWELL AUTOMATION INC 1,149,042 140,574 0.40%
912 FEDERAL REALTY INVS 922,264 141,964 0.41%
913 ALTRIA GROUP INC 2,315,093 146,383 0.42%
914 UNITED PARCEL SERVICE INC 1,355,510 148,239 0.43%
915 TEXAS INSTRS INC 2,126,195 149,216 0.43%
916 KELLOGG CO 1,967,707 152,438 0.44%
917 PNC FINL SVCS GROUP INC 1,697,585 152,935 0.44%
918 BIOGEN INC 495,653 155,154 0.45%
919 BOEING CO 1,188,266 156,542 0.45%
920 EBAY INC 4,781,115 157,299 0.45%
921 ANADARKO PETR 2,501,748 158,511 0.46%
922 MERCK & CO INC 2,595,497 161,985 0.47%
923 CATERPILLAR INC 1,857,860 164,922 0.47%
924 TJX COS INC NEW 2,241,560 167,624 0.48%
925 COCA COLA CO 4,060,288 171,831 0.49%
926 CISCO SYS INC 5,545,971 175,918 0.51%
927 PROCTER AND GAMBLE CO 1,998,376 179,354 0.52%
928 3M CO 1,020,289 179,806 0.52%
929 COSTCO WHSL CORP NEW 1,185,795 180,846 0.52%
930 ABBVIE INC 2,878,748 181,563 0.52%
931 COMCAST CORP NEW 2,767,923 183,624 0.53%
932 QUALCOMM INC 2,718,634 186,226 0.54%
933 LOWES COS INC 2,657,026 191,864 0.55%
934 PPG INDS INC 1,919,001 198,348 0.57%
935 BRISTOL MYERS SQUIBB CO 3,782,536 203,954 0.59%
936 ORACLE CORP 5,318,938 208,928 0.60%
937 NEWELL BRANDS INC 3,989,747 210,100 0.60%
938 UNION PAC CORP 2,159,918 210,657 0.61%
939 TEVA PHARMACEUTICAL INDS LTD 4,670,242 214,878 0.62%
940 SEMPRA ENERGY 2,030,710 217,672 0.63%
941 STARBUCKS CORP 4,099,103 221,925 0.64%
942 BERKSHIRE HATHAWAY INC DEL 1,539,103 222,354 0.64%
943 EQUITY RESIDENTIAL 3,492,827 224,694 0.65%
944 AMGEN INC 1,483,196 247,412 0.71%
945 MEDTRONIC PLC 2,900,689 250,620 0.72%
946 GOLDMAN SACHS GROUP INC 1,566,115 252,567 0.73%
947 CVS HEALTH CORP 2,857,350 254,276 0.73%
948 SCHWAB CHARLES CORP 8,533,869 269,414 0.78%
949 PFIZER INC 8,066,852 273,224 0.79%
950 ZIMMER BIOMET HLDGS INC 2,161,922 281,093 0.81%
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