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Eaton Vance Corp  (NYSE: EV)
    Sector  Financial    Industry Investment Services
   Industry Investment Services
   Sector  Financial
 
Price: $21.8450 $-0.27 -1.241%
Day's High: $21.845 Week Perf: 2.75 %
Day's Low: $ 21.85 30 Day Perf: -12.32 %
Volume (M): 76 52 Wk High: $ 0.00
Volume (M$): $ 2 52 Wk Avg: $0.00
Open: $22.02 52 Wk Low: $0.00



 Market Capitalization (Millions $) 2,528
 Shares Outstanding (Millions) 116
 Employees 1,473
 Revenues (TTM) (Millions $) 1,730
 Net Income (TTM) (Millions $) 133
 Cash Flow (TTM) (Millions $) 283
 Capital Exp. (TTM) (Millions $) 21

Business Description


Our principal business is managing investment funds and providing investment management and advisory services to high-net-worth individuals and institutions. We seek to develop and sustain management expertise across a range of investment disciplines and to offer leading investment products and services through multiple distribution channels. In executing this strategy, we have developed broadly diversified investment management capabilities and a highly functional marketing, distribution and customer service organization. We measure our success as a Company based on investment performance delivered, reputation in the marketplace, progress achieving strategic objectives, employee development and satisfaction, business and financial results, and shareholder value created.

Through our subsidiaries Eaton Vance Management and Atlanta Capital Management, LLC (“Atlanta Capital”) and other affiliates, we manage active equity, income and alternative strategies across a range of investment styles and asset classes, including U.S. and global equities, floating-rate bank loans, municipal bonds, global income, high-yield and investment grade bonds. Through our subsidiary Parametric Portfolio Associates LLC (“Parametric”), we manage a range of engineered alpha strategies, including systematic equity, systematic alternatives and managed options strategies. Through Parametric, we also provide portfolio implementation and overlay services, including tax-managed core and specialty index strategies, centralized portfolio management of multi-manager portfolios and customized exposure management services. We also oversee the management of, and distribute, investment funds sub-advised by unaffiliated third-party managers, including global, regional and sector equity and asset allocation strategies. Our breadth of investment management capabilities supports a wide range of products and services offered to fund shareholders, retail managed account investors, institutional investors and high-net-worth clients. Although we manage and distribute a wide range of investment products and services, we operate in one business segment, namely as an investment adviser to funds and separate accounts.

We distribute our funds and retail managed accounts principally through financial intermediaries. We have broad market reach, with distribution partners including national and regional broker-dealers, independent broker-dealers, registered investment advisors, banks and insurance companies. We support these distribution partners with a team of approximately 130 sales professionals covering U.S. and international markets.

We have been in the investment management business for over 90 years, tracing our history to two Boston-based investment managers: Eaton & Howard, formed in 1924, and Vance, Sanders & Company, organized in 1934. Eaton & Howard, Vance Sanders, Inc. (renamed Eaton Vance Management, Inc. in June 1984 and reorganized as Eaton Vance Management in October 1990) was formed upon the acquisition of Eaton & Howard, Incorporated by Vance, Sanders & Company, Inc. on April 30, 1979. Following the 1979 merger of these predecessor organizations to form Eaton Vance, our managed assets consisted primarily of open-end mutual funds marketed to U.S. retail investors under the Eaton Vance brand and investment counsel services offered directly to high-net-worth and institutional investors. Over the ensuing years, we have expanded our product and distribution efforts to include closed-end, private and offshore funds, retail managed accounts, a broad array of products and services for U.S. and international institutional and high-net-worth investors and, most recently, unit investment trusts.

We also commit significant resources to serving institutional and high-net-worth clients who access investment management services on a direct basis and through investment consultants. Through our wholly owned affiliates and consolidated subsidiaries, we manage investments for a broad range of clients in the institutional and high-net-worth marketplace in the U.S. and internationally, including corporations, sovereign wealth funds, endowments, foundations, family offices and public and private employee retirement plans.

We conduct our investment management business through direct and indirect wholly owned subsidiaries Eaton Vance Management, Boston Management and Research (“BMR”), Eaton Vance Investment Counsel (“EVIC”), Eaton Vance (Ireland) Limited (“EVAI”), Eaton Vance Trust Company (“EVTC”), and three other consolidated subsidiaries, Atlanta Capital, Parametric and Parametric Risk Advisors LLC (“Parametric Risk Advisors”), each with a range of investment management capabilities and one or more distinctive investment styles. Eaton Vance Management, BMR, EVIC, Atlanta Capital, Parametric and Parametric Risk Advisors (a wholly owned subsidiary of Parametric) are all registered with the U.S. Securities and Exchange Commission (“SEC”) as investment advisers under the Investment Advisers Act of 1940 (the “Advisers Act”). EVAI, registered under the Central Bank of Ireland, provides management services to the Eaton Vance International (Ireland) Funds Plc. EVTC, a trust company, is exempt from registration under the Advisers Act. Eaton Vance Distributors, Inc. (“EVD”), a wholly owned broker-dealer registered under the Securities Exchange Act of 1934 (the “Exchange Act”), markets and sells the Eaton Vance and Parametric funds and retail managed accounts. Eaton Vance Management (International) Limited (“EVMI”), a wholly owned financial services company registered under the Financial Services and Market Act in the United Kingdom, markets our products and services in Europe and certain other international markets. Eaton Vance Management International (Asia) Private Limited (“EVMIA”), a wholly owned financial services company registered under the Singapore Companies Act by the Accounting and Corporate Regulatory Authority in Singapore, markets our products and services in the Asia Pacific region. Eaton Vance Australia Pty. Ltd., a wholly owned company registered as an Australian propriety company with the Australian Securities and Investment Commission, markets our products and services in Australia and New Zealand.

We are headquartered in Boston, Massachusetts and also maintain offices in Atlanta, Georgia; Minneapolis, Minnesota; New York, New York; Seattle, Washington; Westport, Connecticut; London, England; Singapore; and Sydney, Australia. Our sales representatives operate throughout the United States and in the United Kingdom, Europe, Asia Pacific and Latin America. We are represented in the Middle East through an agreement with a third-party distributor.



   Company Address: Two International Place Boston 2110 MA
   Company Phone Number: 482-8260   Stock Exchange / Ticker: NYSE EV


   

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Fundamental Analysis

Valuation Current
Price to Earnings PE Ratio (TTM) 17.62
Price to Earnings PE Ratio (Expected) -
Price to Sales (TTM) 1.46
Price to Sales (Expected) -
Price to Book 1.91
PEG (TTM) -

Financial Strength Current
Quick Ratio 9.52
Working Capital Ratio 12.55
Leverage Ratio (MRQ) 2.91
Total Debt to Equity 0.47
Interest Coverage (TTM) 15.95
Debt Coverage (TTM) 0.61

Per Share Current
Earnings (TTM) 1.24 $
Revenues (TTM) 14.95 $
Cash Flow (TTM) 2.45 $
Cash 6.91 $
Book Value 11.44 $
Dividend (TTM) 1.52 $

Efficiency Current
Revenue per Employee (TTM) 1,174,722
Net Income per Employee (TTM) 90,519
Receivable Turnover Ratio (TTM) 7.38
Inventory Turnover Ratio (TTM) -
Asset Turnover Ratio (TTM) 0.5

Profitability Ratios Current
Gross Margin (MRQ) -
Operating Margin (MRQ) -3.03 %
Net Margin (MRQ) -7.53 %
Net Cash Flow Margin (MRQ) -8.78 %
Effective Tax Rate (TTM) 25.08 %

Management Effectiveness Current
Return On Assets (TTM) 3.85 %
Return On Investment (TTM) 3.02 %
Return On Equity (TTM) 10.41 %
Dividend Yield 6.96 %
Pay out Ratio (TTM) 122.58 %






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