Eaton Vance Municipal Bond Fund - COM (EIM)

Historical Holders from Q1 2014 to Q1 2025

Symbol
EIM on NYSE
CUSIP
27827X101
Type / Class
Equity / COM
All holders as of December 31, 2024
Q4 2024
Shares, excl. options
21M
Holdings value
$218M
% of all portfolios
0.001%
Grand Portfolio weight change
+0%
Number of holders
115
Number of buys
53
Number of sells
-35
Average Value change %
0%
Average buys %
+0%
Average sells %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of Eaton Vance Municipal Bond Fund - COM (EIM)

Period Reported Shares, Excl. Options Value, Excl. Options Change Price Investors
2025 Q1 1.3M $13M -$90.5K $9.97 25
2024 Q4 21M $218M +$4.94M $10.36 115
2024 Q3 20.3M $219M -$122M $10.76 111
2024 Q2 31.5M $333M -$10.3M $10.58 110
2024 Q1 32.6M $337M +$9.75M $10.35 120
2023 Q4 31.4M $318M +$27.6M $10.13 129
2023 Q3 29.2M $262M +$16.9M $8.96 116
2023 Q2 27.3M $271M +$5.65M $9.95 121
2023 Q1 26.6M $277M +$6.08M $10.40 118
2022 Q4 26.1M $271M +$35.9M $10.39 134
2022 Q3 22.6M $219M +$17.2M $9.68 134
2022 Q2 20.8M $222M +$38M $10.70 126
2022 Q1 18M $207M +$9.14M $11.50 130
2021 Q4 16.9M $230M -$9.99M $13.58 134
2021 Q3 17.5M $234M -$18.1M $13.38 115
2021 Q2 19.1M $261M -$17.5M $13.68 119
2021 Q1 20.3M $271M -$6.38M $13.30 122
2020 Q4 20.6M $280M -$7.36M $13.60 117
2020 Q3 21.2M $279M -$59.4M $13.17 108
2020 Q2 34.3M $436M +$14.9M $12.72 107
2020 Q1 24.6M $307M +$18.2M $12.48 118
2019 Q4 23.1M $298M -$40.4M $12.88 112
2019 Q3 26.3M $341M +$21.3M $12.96 111
2019 Q2 24.7M $307M -$88.5M $12.43 110
2019 Q1 31.8M $393M +$110M $12.40 110
2018 Q4 22.9M $258M +$36.1M $11.29 98
2018 Q3 19.7M $228M +$19.5M $11.53 88
2018 Q2 17.8M $210M +$27.6M $11.81 84
2018 Q1 15.4M $182M +$25.3M $11.82 81
2017 Q4 13.3M $166M +$12.8M $12.51 81
2017 Q3 12.2M $154M +$7.55M $12.68 70
2017 Q2 11.5M $146M +$8.79M $12.69 66
2017 Q1 10.7M $135M +$4.48M $12.55 69
2016 Q4 10.4M $129M +$23.9M $12.41 68
2016 Q3 8.38M $114M -$7.12M $13.62 69
2016 Q2 8.74M $124M -$22.5M $14.17 64
2016 Q1 10.3M $137M -$2.58M $13.30 62
2015 Q4 10.7M $139M +$8.34M $12.98 69
2015 Q3 10.2M $128M +$3.93M $12.51 61
2015 Q2 9.9M $120M -$153K $12.17 68
2015 Q1 10M $130M +$12.6M $12.91 68
2014 Q4 8.8M $113M +$12.5M $12.83 66
2014 Q3 7.82M $97.9M +$14M $12.52 61
2014 Q2 6.8M $84.5M -$656K $12.43 60
2014 Q1 6.85M $81.4M -$2.7M $11.88 60