Eaton Vance Enhanced Equity Income Fund (NYSE: EOI)
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Distribution Period:
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January- 2015
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Distribution Amount per Common Share:
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$0.0864
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Distribution Frequency:
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Monthly
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Fiscal Year End:
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September
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Source
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Current Distribution
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% of Current Distribution
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Cumulative Distributions for the Fiscal Year-to-Date
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% of the Cumulative Distributions for the Fiscal Year-to-Date
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Net Investment Income
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$0.0060
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6.90%
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$0.0257
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7.40%
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Net Realized Short-Term Capital Gains
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$0.0000
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0.00%
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$0.0000
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0.00%
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Net Realized Long-Term Capital Gains
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$0.0000
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0.00%
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$0.0247
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7.20%
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Return of Capital or Other Capital Source(s)
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$0.0804
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93.10%
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$0.2952
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85.40%
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Total per common share
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$0.0864
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100.00%
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$0.3456
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100.00%
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Average annual total return at NAV for the 5-year period ended on December 31, 2014 1
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11.69%
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Annualized current distribution rate expressed as a percentage of NAV as of December 31, 2014 2
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7.04%
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Cumulative total return at NAV for the fiscal year through December 31, 2014 3
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2.80%
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Cumulative fiscal year to date distribution rate as a percentage of NAV as of December 31, 2014 4
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1.76%
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Eaton Vance Enhanced Equity Income Fund II (NYSE: EOS)
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Distribution Period:
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January- 2015
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Distribution Amount per Common Share:
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$0.0875
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Distribution Frequency:
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Monthly
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Fiscal Year End:
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December
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Source
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Current Distribution
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% of Current Distribution
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Cumulative Distributions for the Fiscal Year-to-Date
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% of the Cumulative Distributions for the Fiscal Year-to-Date
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Net Investment Income
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$0.0000
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0.00%
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$0.0000
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0.00%
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Net Realized Short-Term Capital Gains
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$0.0118
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13.40%
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$0.0118
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13.40%
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Net Realized Long-Term Capital Gains
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$0.0301
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34.40%
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$0.0301
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34.40%
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Return of Capital or Other Capital Source(s)
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$0.0456
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52.20%
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$0.0456
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52.20%
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Total per common share
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$0.0875
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100.00%
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$0.0875
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100.00%
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Average annual total return at NAV for the 5-year period ended on December 31, 2014 1
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12.79%
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Annualized current distribution rate expressed as a percentage of NAV as of December 31, 2014 2
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7.22%
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Cumulative total return at NAV for the fiscal year through December 31, 2014 3
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10.98%
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Cumulative fiscal year to date distribution rate as a percentage of NAV as of December 31, 2014 4
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7.22%
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Eaton Vance Risk-Managed Diversified Equity Income Fund (NYSE: ETJ)
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Distribution Period:
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January- 2015
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Distribution Amount per Common Share:
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$0.0930
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Distribution Frequency:
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Monthly
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Fiscal Year End:
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December
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Source
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Current Distribution
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% of Current Distribution
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Cumulative Distributions for the Fiscal Year-to-Date
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% of the Cumulative Distributions for the Fiscal Year-to-Date
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Net Investment Income
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$0.0050
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5.40%
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$0.0050
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5.40%
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Net Realized Short-Term Capital Gains
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$0.0000
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0.00%
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$0.0000
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0.00%
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Net Realized Long-Term Capital Gains
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$0.0000
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0.00%
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$0.0000
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0.00%
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Return of Capital or Other Capital Source(s)
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$0.0880
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94.60%
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$0.0880
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94.60%
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Total per common share
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$0.0930
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100.00%
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$0.0930
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100.00%
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Average annual total return at NAV for the 5-year period ended on December 31, 2014 1
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4.85%
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Annualized current distribution rate expressed as a percentage of NAV as of December 31, 2014 2
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9.25%
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Cumulative total return at NAV for the fiscal year through December 31, 2014 3
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4.49%
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Cumulative fiscal year to date distribution rate as a percentage of NAV as of December 31, 2014 4
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9.25%
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Eaton Vance Short Duration Diversified Income Fund (NYSE: EVG)
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Distribution Period:
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January- 2015
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Distribution Amount per Common Share:
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$0.0900
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Distribution Frequency:
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Monthly
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Fiscal Year End:
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October
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Source
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Current Distribution
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% of Current Distribution
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Cumulative Distributions for the Fiscal Year-to-Date
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% of the Cumulative Distributions for the Fiscal Year-to-Date
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Net Investment Income
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$0.0740
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81.80%
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$0.2420
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89.60%
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Net Realized Short-Term Capital Gains
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$0.0000
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0.00%
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$0.0000
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0.00%
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Net Realized Long-Term Capital Gains
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$0.0000
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0.00%
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$0.0000
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0.00%
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Return of Capital or Other Capital Source(s)
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$0.0160
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18.20%
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$0.0280
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10.40%
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Total per common share
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$0.0900
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100.00%
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$0.2700
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100.00%
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Average annual total return at NAV for the 5-year period ended on December 31, 2014 1
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4.95%
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Annualized current distribution rate expressed as a percentage of NAV as of December 31, 2014 2
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6.68%
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Cumulative total return at NAV for the fiscal year through December 31, 2014 3
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-0.53%
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Cumulative fiscal year to date distribution rate as a percentage of NAV as of December 31, 2014 4
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1.11%
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Eaton Vance Tax-Managed Buy-Write Income Fund (NYSE: ETB)
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Distribution Period:
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January- 2015
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Distribution Amount per Common Share:
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$0.1080
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Distribution Frequency:
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Monthly
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Fiscal Year End:
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December
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Source
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Current Distribution
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% of Current Distribution
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Cumulative Distributions for the Fiscal Year-to-Date
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% of the Cumulative Distributions for the Fiscal Year-to-Date
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Net Investment Income
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$0.0133
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12.30%
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$0.0133
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12.30%
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Net Realized Short-Term Capital Gains
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$0.0000
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0.00%
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$0.0000
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0.00%
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Net Realized Long-Term Capital Gains
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$0.0000
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0.00%
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$0.0000
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0.00%
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Return of Capital or Other Capital Source(s)
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$0.0947
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87.70%
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$0.0947
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87.70%
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Total per common share
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$0.1080
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100.00%
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$0.1080
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100.00%
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Average annual total return at NAV for the 5-year period ended on December 31, 2014 1
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11.17%
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Annualized current distribution rate expressed as a percentage of NAV as of December 31, 2014 2
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7.95%
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Cumulative total return at NAV for the fiscal year through December 31, 2014 3
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8.94%
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Cumulative fiscal year to date distribution rate as a percentage of NAV as of December 31, 2014 4
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7.95%
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Eaton Vance Tax-Managed Buy-Write Opportunities Fund (NYSE: ETV)
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Distribution Period:
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January- 2015
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Distribution Amount per Common Share:
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$0.1108
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Distribution Frequency:
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Monthly
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Fiscal Year End:
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December
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Source
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Current Distribution
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% of Current Distribution
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Cumulative Distributions for the Fiscal Year-to-Date
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% of the Cumulative Distributions for the Fiscal Year-to-Date
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Net Investment Income
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$0.0082
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7.40%
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$0.0082
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7.40%
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Net Realized Short-Term Capital Gains
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$0.0000
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0.00%
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$0.0000
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0.00%
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Net Realized Long-Term Capital Gains
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$0.0565
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51.00%
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$0.0565
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51.00%
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Return of Capital or Other Capital Source(s)
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$0.0461
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41.60%
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$0.0461
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41.60%
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Total per common share
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$0.1108
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100.00%
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$0.1108
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100.00%
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Average annual total return at NAV for the 5-year period ended on December 31, 2014 1
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11.41%
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Annualized current distribution rate expressed as a percentage of NAV as of December 31, 2014 2
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8.96%
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Cumulative total return at NAV for the fiscal year through December 31, 2014 3
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9.51%
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Cumulative fiscal year to date distribution rate as a percentage of NAV as of December 31, 2014 4
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8.96%
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Eaton Vance Tax-Managed Diversified Equity Income Fund (NYSE: ETY)
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Distribution Period:
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January- 2015
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Distribution Amount per Common Share:
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$0.0843
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Distribution Frequency:
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Monthly
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Fiscal Year End:
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October
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Source
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Current Distribution
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% of Current Distribution
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Cumulative Distributions for the Fiscal Year-to-Date
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% of the Cumulative Distributions for the Fiscal Year-to-Date
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Net Investment Income
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$0.0055
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6.50%
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$0.0169
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6.70%
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Net Realized Short-Term Capital Gains
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$0.0000
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0.00%
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$0.0000
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0.00%
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Net Realized Long-Term Capital Gains
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$0.0000
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0.00%
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$0.0000
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0.00%
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Return of Capital or Other Capital Source(s)
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$0.0788
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93.50%
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$0.2360
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93.30%
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Total per common share
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$0.0843
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100.00%
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$0.2529
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100.00%
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Average annual total return at NAV for the 5-year period ended on December 31, 2014 1
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10.00%
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Annualized current distribution rate expressed as a percentage of NAV as of December 31, 2014 2
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8.24%
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Cumulative total return at NAV for the fiscal year through December 31, 2014 3
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0.99%
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Cumulative fiscal year to date distribution rate as a percentage of NAV as of December 31, 2014 4
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1.37%
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Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund (NYSE: ETW)
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Distribution Period:
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January- 2015
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Distribution Amount per Common Share:
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$0.0973
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Distribution Frequency:
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Monthly
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Fiscal Year End:
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December
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Source
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Current Distribution
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% of Current Distribution
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Cumulative Distributions for the Fiscal Year-to-Date
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% of the Cumulative Distributions for the Fiscal Year-to-Date
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Net Investment Income
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$0.0081
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8.30%
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$0.0081
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8.30%
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Net Realized Short-Term Capital Gains
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$0.0000
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0.00%
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$0.0000
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0.00%
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Net Realized Long-Term Capital Gains
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$0.0000
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0.00%
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$0.0000
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0.00%
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Return of Capital or Other Capital Source(s)
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$0.0892
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91.70%
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$0.0892
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91.70%
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Total per common share
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$0.0973
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100.00%
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$0.0973
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100.00%
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Average annual total return at NAV for the 5-year period ended on December 31, 2014 1
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8.67%
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Annualized current distribution rate expressed as a percentage of NAV as of December 31, 2014 2
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9.50%
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Cumulative total return at NAV for the fiscal year through December 31, 2014 3
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2.97%
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Cumulative fiscal year to date distribution rate as a percentage of NAV as of December 31, 2014 4
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9.50%
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Eaton Vance Tax-Managed Global Diversified Equity Income Fund (NYSE: EXG)
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Distribution Period:
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January- 2015
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Distribution Amount per Common Share:
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$0.0813
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Distribution Frequency:
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Monthly
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Fiscal Year End:
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October
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Source
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Current Distribution
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% of Current Distribution
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Cumulative Distributions for the Fiscal Year-to-Date
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% of the Cumulative Distributions for the Fiscal Year-to-Date
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Net Investment Income
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$0.0063
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7.70%
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$0.0193
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7.90%
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Net Realized Short-Term Capital Gains
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$0.0000
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0.00%
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$0.0000
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0.00%
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Net Realized Long-Term Capital Gains
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$0.0000
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0.00%
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$0.0000
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0.00%
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Return of Capital or Other Capital Source(s)
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$0.0750
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92.30%
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$0.2246
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92.10%
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Total per common share
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$0.0813
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100.00%
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$0.2439
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100.00%
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Average annual total return at NAV for the 5-year period ended on December 31, 2014 1
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7.94%
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Annualized current distribution rate expressed as a percentage of NAV as of December 31, 2014 2
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9.45%
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Cumulative total return at NAV for the fiscal year through December 31, 2014 3
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-1.10%
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Cumulative fiscal year to date distribution rate as a percentage of NAV as of December 31, 2014 4
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1.58%
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1 Average annual total return at NAV represents the change in NAV of the Fund, with all distributions reinvested, for the 5-year period ended
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on December 31, 2014.
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2 The annualized current distribution rate is the cumulative distribution rate annualized as a percentage of the Fund's NAV as of December 31, 2014.
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3 Cumulative total return at NAV is the percentage change in the Fund's NAV for the period from the beginning of its fiscal year to December 31, 2014
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including distributions paid and assuming reinvestment of those distributions.
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4 Cumulative fiscal year distribution rate for the period from the beginning of its fiscal year to December 31, 2014 measured on the dollar value of the
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distributions in year-to-date period as a percentage of the Fund's NAV as of December 31, 2014.
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