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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 (2017Q1)
Portfolio Summary: 1,034 holdings with a total value of $37,246,382,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 8,907,512 1,279,653,000 3.44%
2 ALPHABET INC 1,128,168 935,883,000 2.51%
3 JPMORGAN CHASE & CO 10,187,217 894,845,000 2.40%
4 JOHNSON & JOHNSON 7,006,747 872,690,000 2.34%
5 WELLS FARGO & CO NEW 14,330,817 797,653,000 2.14%
6 AMAZON COM INC 860,569 762,929,000 2.05%
7 FACEBOOK INC 5,063,643 719,290,000 1.93%
8 MICROSOFT CORP 9,140,554 601,997,000 1.62%
9 INTEL CORP 15,444,240 557,074,000 1.50%
10 GENERAL ELECTRIC CO 18,363,550 547,234,000 1.47%
11 EXXON MOBIL CORP 5,975,172 490,024,000 1.32%
12 DISNEY WALT CO 3,761,845 426,556,000 1.15%
13 LILLY ELI & CO 5,023,944 422,564,000 1.13%
14 VISA INC 4,482,302 398,342,000 1.07%
15 PFIZER INC 11,441,932 391,428,000 1.05%
16 CELGENE CORP 3,124,801 388,819,000 1.04%
17 ALPHABET INC 452,916 383,982,000 1.03%
18 CHUBB LIMITED 2,815,206 383,572,000 1.03%
19 CHEVRON CORP NEW 3,523,316 378,298,000 1.02%
20 PEPSICO INC 2,915,509 326,129,000 0.88%
21 HOME DEPOT INC 2,200,118 323,043,000 0.87%
22 NEXTERA ENERGY INC 2,495,051 320,290,000 0.86%
23 BERKSHIRE HATHAWAY INC DEL 1,907,661 317,969,000 0.85%
24 SCHLUMBERGER LTD 3,870,727 302,304,000 0.81%
25 ALLERGAN PLC 1,227,955 293,383,000 0.79%
26 NIKE INC 5,263,175 293,317,000 0.79%
27 SCHWAB CHARLES CORP 7,014,071 286,244,000 0.77%
28 PROCTER AND GAMBLE CO 3,092,132 277,828,000 0.75%
29 UNITED TECHNOLOGIES CORP 2,470,201 277,181,000 0.74%
30 VERIZON COMMUNICATIONS INC 5,582,002 272,123,000 0.73%
31 GOLDMAN SACHS GROUP INC 1,140,770 262,058,000 0.70%
32 ZOETIS INC 4,904,489 261,753,000 0.70%
33 C H ROBINSON WORLDWIDE INC 3,289,455 254,242,000 0.68%
34 EBAY INC 7,348,158 246,678,000 0.66%
35 STARBUCKS CORP 4,187,057 244,482,000 0.66%
36 EOG RES INC 2,499,730 243,849,000 0.65%
37 ORACLE CORP 5,327,981 237,681,000 0.64%
38 AMGEN INC 1,427,923 234,279,000 0.63%
39 US BANCORP DEL 4,508,565 232,191,000 0.62%
40 ZIMMER BIOMET HLDGS INC 1,833,959 223,945,000 0.60%
41 CSX CORP 4,793,172 223,122,000 0.60%
42 COSTCO WHSL CORP NEW 1,325,462 222,267,000 0.60%
43 LAUDER ESTEE COS INC 2,612,623 221,524,000 0.59%
44 ALTRIA GROUP INC 3,064,624 218,875,000 0.59%
45 COLGATE PALMOLIVE CO 2,950,867 215,974,000 0.58%
46 COMCAST CORP NEW 5,690,621 213,910,000 0.57%
47 SEMPRA ENERGY 1,918,956 212,045,000 0.57%
48 BOEING CO 1,182,247 209,092,000 0.56%
49 QUALCOMM INC 3,460,221 198,409,000 0.53%
50 MARRIOTT INTL INC NEW 2,095,725 197,375,000 0.53%
Page 1 of 21

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000940394-17-001132, filed 2017.05.15).

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.