Eaton Vance Tax-Advantaged Dividend Income Fund - COM (EVT) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q4 2025

Type / Class
Equity / COM
Symbol
EVT on NYSE
Price per share
$25.18
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
13,798,137
Total reported value
$337,281,549
% of total 13F portfolios
0%
Share change
+14,935
Value change
+$403,743
Number of holders
142
Price from insider filings
$25.18
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

As of 30 Sep 2025, 142 institutional investors reported holding 13,798,137 shares of Eaton Vance Tax-Advantaged Dividend Income Fund - COM (EVT).

Institutional Holders of Eaton Vance Tax-Advantaged Dividend Income Fund - COM (EVT) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2025 Q4 1,313,090 $33,066,975 +$769,654 $25.18 29
2025 Q3 13,798,137 $337,281,549 +$403,743 $24.45 142
2025 Q2 13,688,609 $329,834,774 +$4,026,800 $24.10 143
2025 Q1 13,523,305 $314,618,149 -$4,293,249 $23.27 134
2024 Q4 13,720,280 $330,111,007 -$1,718,031 $24.05 132
2024 Q3 13,458,447 $332,253,754 -$3,326,030 $24.69 131
2024 Q2 13,615,573 $317,096,937 -$2,790,236 $23.29 125
2024 Q1 13,699,337 $323,274,468 +$23,948,238 $23.60 126
2023 Q4 11,880,229 $264,325,907 +$24,001,935 $22.25 117
2023 Q3 11,546,403 $244,497,462 +$13,176,886 $21.18 110
2023 Q2 10,902,274 $248,025,080 +$10,386,254 $22.75 108
2023 Q1 10,441,524 $236,123,897 -$3,788,948 $22.61 111
2022 Q4 10,316,297 $235,273,989 +$33,354 $22.80 117
2022 Q3 10,289,714 $224,410,208 +$8,371,652 $21.75 108
2022 Q2 9,863,214 $235,514,718 +$160,067 $23.87 108
2022 Q1 9,796,843 $282,582,963 +$12,868,541 $28.98 111
2021 Q4 9,347,780 $278,387,080 -$5,467,577 $29.79 121
2021 Q3 9,481,060 $260,310,791 -$13,219,221 $27.45 109
2021 Q2 9,961,676 $275,295,098 +$8,699,505 $27.64 108
2021 Q1 9,691,655 $254,787,098 +$5,596,638 $26.27 117
2020 Q4 9,667,984 $228,523,046 +$14,286,206 $23.65 113
2020 Q3 8,923,098 $175,795,378 -$7,213,751 $19.70 92
2020 Q2 9,637,204 $185,540,000 -$2,062,610 $19.24 88
2020 Q1 9,340,944 $157,215,191 +$14,323,433 $16.83 94
2019 Q4 8,412,914 $214,701,870 -$9,847,994 $25.52 104
2019 Q3 8,703,701 $213,725,303 +$3,474,753 $24.57 96
2019 Q2 8,568,356 $203,937,587 -$16,160,773 $23.80 96
2019 Q1 9,289,491 $207,100,328 -$21,115,996 $22.29 105
2018 Q4 10,290,762 $196,442,324 +$1,292,523 $18.99 100
2018 Q3 9,948,276 $243,889,053 +$411,452 $24.52 94
2018 Q2 9,952,418 $229,009,035 -$2,600,644 $23.02 94
2018 Q1 10,062,484 $220,507,214 +$7,986,477 $21.90 94
2017 Q4 9,687,822 $225,454,840 -$6,005,779 $23.27 96
2017 Q3 9,848,437 $217,952,581 +$5,426,278 $22.13 84
2017 Q2 9,603,804 $210,113,711 -$14,273,835 $21.88 84
2017 Q1 10,298,363 $218,124,637 -$2,887,008 $21.15 82
2016 Q4 10,448,747 $214,729,212 -$6,459,221 $20.54 82
2016 Q3 10,768,468 $217,017,000 -$8,188,646 $20.15 73
2016 Q2 11,174,665 $225,298,000 -$28,542,707 $20.13 79
2016 Q1 12,466,033 $239,347,000 -$4,435,960 $19.19 81
2015 Q4 12,949,441 $250,049,067 +$4,841,569 $19.34 93
2015 Q3 12,434,192 $228,751,757 -$1,296,776 $18.38 83
2015 Q2 11,611,331 $229,975,067 +$4,473,548 $19.80 85
2015 Q1 13,392,064 $275,980,826 +$875,882 $20.61 82
2014 Q4 12,154,932 $252,815,719 +$1,969,814 $20.80 77
2014 Q3 11,996,505 $242,224,744 +$6,503,498 $20.19 72
2014 Q2 11,689,839 $241,954,304 +$13,958,573 $20.70 76
2014 Q1 11,166,551 $219,929,610 +$6,546,382 $19.66 75