Eaton Vance Tax-Managed Diversified Equity Income Fund | as of January 31, 2011 |
Security | Shares | Value | ||||||
Aerospace & Defense 0.4%
|
||||||||
United Technologies Corp.
|
96,401 | $ | 7,837,401 | |||||
$ | 7,837,401 | |||||||
Automobiles 1.8%
|
||||||||
Bayerische Motoren Werke AG
|
64,364 | $ | 4,939,750 | |||||
Ford Motor
Co.(1)
|
1,423,488 | 22,704,633 | ||||||
Volkswagen AG, PFC Shares
|
37,852 | 6,123,841 | ||||||
$ | 33,768,224 | |||||||
Beverages 2.9%
|
||||||||
Anheuser-Busch InBev NV
|
81,670 | $ | 4,506,315 | |||||
Coca-Cola
Co. (The)
|
287,455 | 18,066,547 | ||||||
PepsiCo, Inc.
|
490,885 | 31,568,814 | ||||||
$ | 54,141,676 | |||||||
Biotechnology 1.3%
|
||||||||
Amgen,
Inc.(1)
|
225,332 | $ | 12,411,286 | |||||
Celgene
Corp.(1)
|
217,688 | 11,217,463 | ||||||
$ | 23,628,749 | |||||||
Capital Markets 3.3%
|
||||||||
Credit Suisse Group AG
|
107,005 | $ | 4,777,189 | |||||
Deutsche Bank AG
|
121,820 | 7,203,221 | ||||||
Goldman Sachs Group, Inc. (The)
|
114,609 | 18,752,325 | ||||||
Northern Trust Corp.
|
217,208 | 11,290,472 | ||||||
State Street Corp.
|
286,832 | 13,400,791 | ||||||
UBS AG(1)
|
368,882 | 6,604,593 | ||||||
$ | 62,028,591 | |||||||
Chemicals 1.3%
|
||||||||
BASF SE
|
115,331 | $ | 8,878,643 | |||||
Monsanto Co.
|
217,965 | 15,994,272 | ||||||
$ | 24,872,915 | |||||||
Commercial Banks 5.6%
|
||||||||
Banco Bilbao Vizcaya Argentaria SA
|
486,138 | $ | 5,960,682 | |||||
Banco Santander SA
|
840,504 | 10,291,259 | ||||||
Barclays PLC
|
1,129,282 | 5,288,947 | ||||||
BNP Paribas
|
65,613 | 4,897,259 | ||||||
HSBC Holdings PLC
|
1,585,095 | 17,282,359 | ||||||
Intesa Sanpaolo SpA
|
1,733,277 | 5,772,255 | ||||||
Itau Unibanco Holding SA ADR
|
476,155 | 10,237,333 | ||||||
KeyCorp
|
1,123,377 | 9,998,055 | ||||||
PNC Financial Services Group, Inc.
|
140,973 | 8,458,380 | ||||||
State Bank of India GDR
|
26,588 | 3,124,090 | ||||||
Wells Fargo & Co.
|
775,220 | 25,132,632 | ||||||
$ | 106,443,251 | |||||||
Communications Equipment 2.3%
|
||||||||
Cisco Systems,
Inc.(1)
|
1,322,275 | $ | 27,966,116 | |||||
QUALCOMM, Inc.
|
190,916 | 10,334,283 | ||||||
Telefonaktiebolaget LM Ericsson, Class B
|
377,635 | 4,655,792 | ||||||
$ | 42,956,191 | |||||||
Computers & Peripherals 3.6%
|
||||||||
Apple,
Inc.(1)
|
198,910 | $ | 67,494,141 | |||||
$ | 67,494,141 | |||||||
Security | Shares | Value | ||||||
Construction & Engineering 1.4%
|
||||||||
Fluor Corp.
|
385,631 | $ | 26,681,809 | |||||
$ | 26,681,809 | |||||||
Consumer Finance 0.6%
|
||||||||
American Express Co.
|
251,154 | $ | 10,895,061 | |||||
$ | 10,895,061 | |||||||
Diversified Financial Services 3.0%
|
||||||||
Citigroup,
Inc.(1)
|
3,971,126 | $ | 19,140,827 | |||||
JPMorgan Chase & Co.
|
833,020 | 37,435,919 | ||||||
$ | 56,576,746 | |||||||
Diversified Telecommunication
Services 1.5%
|
||||||||
AT&T, Inc.
|
317,386 | $ | 8,734,463 | |||||
France Telecom SA
|
208,988 | 4,558,054 | ||||||
Koninklijke KPN NV
|
519,866 | 8,181,701 | ||||||
Verizon Communications, Inc.
|
186,293 | 6,635,757 | ||||||
$ | 28,109,975 | |||||||
Electric Utilities 1.1%
|
||||||||
American Electric Power Co., Inc.
|
257,104 | $ | 9,173,471 | |||||
E.ON AG
|
187,425 | 6,252,900 | ||||||
Iberdrola SA
|
512,650 | 4,386,832 | ||||||
$ | 19,813,203 | |||||||
Electrical Equipment 1.6%
|
||||||||
Emerson Electric Co.
|
519,132 | $ | 30,566,492 | |||||
$ | 30,566,492 | |||||||
Electronic Equipment, Instruments &
Components 1.2%
|
||||||||
Corning, Inc.
|
1,039,966 | $ | 23,097,645 | |||||
$ | 23,097,645 | |||||||
Energy Equipment & Services 2.6%
|
||||||||
Halliburton Co.
|
450,518 | $ | 20,273,310 | |||||
Schlumberger, Ltd.
|
313,446 | 27,893,560 | ||||||
$ | 48,166,870 | |||||||
Food & Staples Retailing 1.6%
|
||||||||
Metro AG
|
51,228 | $ | 3,609,065 | |||||
Tesco PLC
|
629,574 | 4,058,286 | ||||||
Wal-Mart Stores, Inc.
|
397,453 | 22,285,190 | ||||||
$ | 29,952,541 | |||||||
Food Products 1.8%
|
||||||||
Danone SA
|
63,455 | $ | 3,814,951 | |||||
Nestle SA
|
469,921 | 25,387,844 | ||||||
Unilever NV
|
158,607 | 4,686,362 | ||||||
$ | 33,889,157 | |||||||
Health Care Equipment &
Supplies 1.5%
|
||||||||
Covidien PLC
|
381,920 | $ | 18,129,742 | |||||
Varian Medical Systems,
Inc.(1)
|
141,992 | 9,594,400 | ||||||
$ | 27,724,142 | |||||||
Health Care Providers &
Services 2.7%
|
||||||||
AmerisourceBergen Corp.
|
545,675 | $ | 19,567,906 | |||||
Fresenius Medical Care AG & Co. KGaA ADR
|
227,329 | 13,312,386 | ||||||
UnitedHealth Group, Inc.
|
440,556 | 18,084,824 | ||||||
$ | 50,965,116 | |||||||
Security | Shares | Value | ||||||
Hotels, Restaurants & Leisure 1.6%
|
||||||||
Carnival Corp.
|
159,683 | $ | 7,139,427 | |||||
McDonalds Corp.
|
307,816 | 22,676,805 | ||||||
$ | 29,816,232 | |||||||
Household Products 1.6%
|
||||||||
Procter & Gamble Co.
|
384,350 | $ | 24,264,016 | |||||
Reckitt Benckiser Group PLC
|
96,161 | 5,226,578 | ||||||
$ | 29,490,594 | |||||||
Industrial Conglomerates 2.1%
|
||||||||
General Electric Co.
|
1,008,102 | $ | 20,303,174 | |||||
Philips Electronics NV
|
175,039 | 5,453,901 | ||||||
Siemens AG
|
104,342 | 13,375,971 | ||||||
$ | 39,133,046 | |||||||
Insurance 2.9%
|
||||||||
Allianz SE
|
35,639 | $ | 4,954,079 | |||||
AXA SA
|
235,963 | 4,993,865 | ||||||
Lincoln National Corp.
|
341,755 | 9,856,214 | ||||||
MetLife, Inc.
|
294,880 | 13,496,658 | ||||||
Prudential Financial, Inc.
|
235,505 | 14,485,912 | ||||||
Prudential PLC
|
698,928 | 7,573,993 | ||||||
$ | 55,360,721 | |||||||
Internet & Catalog Retail 1.2%
|
||||||||
Amazon.com,
Inc.(1)
|
129,465 | $ | 21,962,443 | |||||
$ | 21,962,443 | |||||||
Internet Software & Services 2.7%
|
||||||||
Akamai Technologies,
Inc.(1)
|
358,002 | $ | 17,298,657 | |||||
Google, Inc.,
Class A(1)
|
56,386 | 33,851,899 | ||||||
$ | 51,150,556 | |||||||
IT Services 3.0%
|
||||||||
Accenture PLC, Class A
|
490,806 | $ | 25,261,785 | |||||
International Business Machines Corp.
|
188,505 | 30,537,810 | ||||||
$ | 55,799,595 | |||||||
Leisure Equipment & Products 0.4%
|
||||||||
Hasbro, Inc.
|
190,574 | $ | 8,402,408 | |||||
$ | 8,402,408 | |||||||
Machinery 3.1%
|
||||||||
Danaher Corp.
|
705,595 | $ | 32,499,706 | |||||
Deere & Co.
|
281,021 | 25,544,809 | ||||||
$ | 58,044,515 | |||||||
Media 1.5%
|
||||||||
Comcast Corp., Class A
|
1,008,675 | $ | 22,947,356 | |||||
Vivendi SA
|
169,602 | 4,848,437 | ||||||
$ | 27,795,793 | |||||||
Metals & Mining 4.3%
|
||||||||
Anglo American PLC
|
151,770 | $ | 7,440,975 | |||||
BHP Billiton, Ltd. ADR
|
104,060 | 9,264,462 | ||||||
Freeport-McMoRan Copper & Gold, Inc.
|
243,216 | 26,449,740 | ||||||
Goldcorp, Inc.
|
947,196 | 38,086,751 | ||||||
$ | 81,241,928 | |||||||
Multi-Utilities 0.8%
|
||||||||
PG&E Corp.
|
306,831 | $ | 14,200,139 | |||||
$ | 14,200,139 | |||||||
Security | Shares | Value | ||||||
Multiline Retail 0.4%
|
||||||||
Target Corp.
|
150,078 | $ | 8,228,777 | |||||
$ | 8,228,777 | |||||||
Oil, Gas & Consumable Fuels 12.9%
|
||||||||
Apache Corp.
|
256,929 | $ | 30,667,045 | |||||
BG Group PLC
|
223,328 | 5,011,168 | ||||||
BP PLC
|
1,509,464 | 11,861,132 | ||||||
ConocoPhillips
|
318,981 | 22,794,382 | ||||||
Exxon Mobil Corp.
|
522,870 | 42,185,152 | ||||||
Hess Corp.
|
377,583 | 31,762,282 | ||||||
Occidental Petroleum Corp.
|
222,427 | 21,504,242 | ||||||
Peabody Energy Corp.
|
272,338 | 17,271,676 | ||||||
Petroleo Brasileiro SA ADR
|
99,297 | 3,647,179 | ||||||
Royal Dutch Shell PLC, Class B
|
560,199 | 19,520,385 | ||||||
Southwestern Energy
Co.(1)
|
379,646 | 14,996,017 | ||||||
Statoil ASA
|
430,780 | 10,468,128 | ||||||
Total SA
|
192,525 | 11,265,850 | ||||||
$ | 242,954,638 | |||||||
Pharmaceuticals 4.4%
|
||||||||
AstraZeneca PLC
|
131,580 | $ | 6,415,036 | |||||
Bayer AG
|
120,858 | 8,924,083 | ||||||
Bristol-Myers Squibb Co.
|
366,517 | 9,228,898 | ||||||
GlaxoSmithKline PLC
|
374,570 | 6,763,373 | ||||||
Johnson & Johnson
|
121,742 | 7,276,519 | ||||||
Novartis AG
|
196,909 | 10,961,889 | ||||||
Novo Nordisk A/S, Class B
|
51,034 | 5,745,907 | ||||||
Pfizer, Inc.
|
1,156,656 | 21,074,272 | ||||||
Sanofi-Aventis
|
89,793 | 6,136,697 | ||||||
$ | 82,526,674 | |||||||
Real Estate Investment Trusts
(REITs) 0.9%
|
||||||||
AvalonBay Communities, Inc.
|
74,082 | $ | 8,588,326 | |||||
Boston Properties, Inc.
|
94,121 | 8,882,199 | ||||||
$ | 17,470,525 | |||||||
Road & Rail 1.3%
|
||||||||
CSX Corp.
|
356,424 | $ | 25,163,534 | |||||
$ | 25,163,534 | |||||||
Semiconductors & Semiconductor
Equipment 0.7%
|
||||||||
Intel Corp.
|
615,126 | $ | 13,200,604 | |||||
$ | 13,200,604 | |||||||
Software 4.4%
|
||||||||
Microsoft Corp.
|
1,066,019 | $ | 29,555,376 | |||||
Oracle Corp.
|
986,261 | 31,589,940 | ||||||
salesforce.com,
inc.(1)
|
125,457 | 16,201,517 | ||||||
SAP AG
|
109,938 | 6,360,197 | ||||||
$ | 83,707,030 | |||||||
Specialty Retail 1.4%
|
||||||||
Home Depot, Inc.
|
503,417 | $ | 18,510,643 | |||||
Industria de Diseno Textil SA
|
114,472 | 8,656,027 | ||||||
$ | 27,166,670 | |||||||
Textiles, Apparel & Luxury
Goods 1.5%
|
||||||||
LVMH Moet Hennessy Louis Vuitton SA
|
58,445 | $ | 9,120,247 | |||||
NIKE, Inc., Class B
|
242,421 | 19,994,884 | ||||||
$ | 29,115,131 | |||||||
Security | Shares | Value | ||||||
Tobacco 1.2%
|
||||||||
British American Tobacco PLC
|
120,651 | $ | 4,455,975 | |||||
Philip Morris International, Inc.
|
304,921 | 17,453,678 | ||||||
$ | 21,909,653 | |||||||
Wireless Telecommunication Services 2.1%
|
||||||||
American Tower Corp.,
Class A(1)
|
126,774 | $ | 6,447,726 | |||||
Vodafone Group PLC
|
12,011,062 | 33,710,234 | ||||||
$ | 40,157,960 | |||||||
Total Common Stocks
(identified cost $1,573,512,136) |
$ | 1,873,609,062 | ||||||
Interest |
||||||||
Description | (000s omitted) | Value | ||||||
Eaton Vance Cash Reserves Fund, LLC,
0.21%(2)
|
$ | 16,841 | $ | 16,841,062 | ||||
Total Short-Term Investments
(identified cost $16,841,062) |
$ | 16,841,062 | ||||||
Total Investments 100.4%
(identified cost $1,590,353,198) |
$ | 1,890,450,124 | ||||||
Number of |
Strike |
Expiration |
||||||||||||
Description | Contracts | Price | Date | Value | ||||||||||
S&P 500 Index
|
1,840 | $ | 1,285 | 2/19/11 | $ | (3,164,800 | ) | |||||||
S&P 500 Index
|
3,800 | 1,295 | 2/19/11 | (4,541,000 | ) | |||||||||
S&P 500 Index
|
1,655 | 1,300 | 2/19/11 | (1,539,150 | ) | |||||||||
Total Call Options Written
(premiums received $13,263,364) |
$ | (9,244,950 | ) | |||||||||||
Other Assets, Less Liabilities 0.1%
|
$ | 2,424,898 | ||||||||||||
Net Assets 100.0%
|
$ | 1,883,630,072 | ||||||||||||
The percentage shown for each investment category in the Portfolio of Investments is based on net assets. | ||||||
ADR
|
- | American Depositary Receipt | ||||
GDR
|
- | Global Depositary Receipt | ||||
PFC Shares
|
- | Preference Shares | ||||
(1)
|
Non-income producing security. | |||||
(2)
|
Affiliated investment company available to Eaton Vance portfolios and funds which invests in high quality, U.S. dollar denominated money market instruments. The rate shown is the annualized seven-day yield as of January 31, 2011. Net income allocated from the investment in Eaton Vance Cash Reserves Fund, LLC for the fiscal year to date ended January 31, 2011 was $15,719. |
Percentage |
||||||||
Country | of Net Assets | Value | ||||||
United States
|
71.8 | % | $ | 1,352,991,182 | ||||
United Kingdom
|
7.2 | 134,608,441 | ||||||
Germany
|
4.5 | 83,934,136 | ||||||
France
|
2.6 | 49,635,360 | ||||||
Switzerland
|
2.5 | 47,731,515 | ||||||
Netherlands
|
2.5 | 46,215,524 | ||||||
Ireland
|
2.3 | 43,391,527 | ||||||
Canada
|
2.0 | 38,086,751 | ||||||
Spain
|
1.6 | 29,294,800 | ||||||
Brazil
|
0.7 | 13,884,512 | ||||||
Norway
|
0.6 | 10,468,128 | ||||||
Australia
|
0.5 | 9,264,462 | ||||||
Panama
|
0.4 | 7,139,427 | ||||||
Italy
|
0.3 | 5,772,255 | ||||||
Denmark
|
0.3 | 5,745,907 | ||||||
Sweden
|
0.2 | 4,655,792 | ||||||
Belgium
|
0.2 | 4,506,315 | ||||||
India
|
0.2 | 3,124,090 | ||||||
Total Investments
|
100.4 | % | $ | 1,890,450,124 | ||||
Aggregate cost
|
$ | 1,590,613,600 | ||
Gross unrealized appreciation
|
$ | 334,598,821 | ||
Gross unrealized depreciation
|
(34,762,297 | ) | ||
Net unrealized appreciation
|
$ | 299,836,524 | ||
Number of |
Premiums |
|||||||
Contracts | Received | |||||||
Outstanding, beginning of period
|
7,845 | $ | 19,474,633 | |||||
Options written
|
22,375 | 38,516,217 | ||||||
Options terminated in closing purchase transactions
|
(22,925 | ) | (44,727,486 | ) | ||||
Outstanding, end of period
|
7,295 | $ | 13,263,364 | |||||
| Level 1 quoted prices in active markets for identical investments | |
| Level 2 other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.) | |
| Level 3 significant unobservable inputs (including a funds own assumptions in determining the fair value of investments) |
Quoted Prices in |
||||||||||||||||
Active Markets for |
Significant Other |
Significant |
||||||||||||||
Identical Assets | Observable Inputs | Unobservable Inputs | ||||||||||||||
Asset Description | (Level 1) | (Level 2) | (Level 3) | Total | ||||||||||||
Common Stocks
|
||||||||||||||||
Consumer Discretionary
|
$ | 158,691,217 | $ | 27,564,461 | $ | | $ | 186,255,678 | ||||||||
Consumer Staples
|
113,638,245 | 55,745,376 | | 169,383,621 | ||||||||||||
Energy
|
232,994,845 | 58,126,663 | | 291,121,508 | ||||||||||||
Financials
|
223,175,195 | 85,599,700 | | 308,774,895 | ||||||||||||
Health Care
|
139,897,696 | 44,946,985 | | 184,844,681 | ||||||||||||
Industrials
|
181,972,896 | 5,453,901 | | 187,426,797 | ||||||||||||
Information Technology
|
326,389,773 | 11,015,989 | | 337,405,762 | ||||||||||||
Materials
|
89,795,225 | 16,319,618 | | 106,114,843 | ||||||||||||
Telecommunication Services
|
21,817,946 | 46,449,989 | | 68,267,935 | ||||||||||||
Utilities
|
23,373,610 | 10,639,732 | | 34,013,342 | ||||||||||||
Total Common Stocks
|
$ | 1,511,746,648 | $ | 361,862,414 | * | $ | | $ | 1,873,609,062 | |||||||
Short-Term Investments
|
$ | | $ | 16,841,062 | $ | | $ | 16,841,062 | ||||||||
Total Investments
|
$ | 1,511,746,648 | $ | 378,703,476 | $ | | $ | 1,890,450,124 | ||||||||
Liability Description | ||||||||||||||||
Call Options Written
|
$ | (9,244,950 | ) | $ | | $ | | $ | (9,244,950 | ) | ||||||
Total
|
$ | (9,244,950 | ) | $ | | $ | | $ | (9,244,950 | ) | ||||||
* | Includes foreign equity securities whose values were adjusted to reflect market trading of comparable securities or other correlated instruments that occurred after the close of trading in their applicable foreign markets. |
By: | /s/ Walter A. Row, III | |||
Walter A. Row, III | ||||
President | ||||
By: | /s/ Walter A. Row, III | |||
Walter A. Row, III | ||||
President | ||||
By: | /s/ Barbara E. Campbell | |||
Barbara E. Campbell | ||||
Treasurer | ||||