EIUTX Holdings — Eaton Vance Dividend Builder Fund

All 58 reported holdings of Eaton Vance Dividend Builder Fund (EIUTX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Broadcom Inc4.00%$36.53M
JPMorgan Chase & Co3.73%$34.11M
UnitedHealth Group Inc3.25%$29.72M
Coca-Cola Co/The3.23%$29.48M
Johnson & Johnson2.61%$23.90M
Chevron Corp2.60%$23.80M
KLA Corp2.52%$23.02M
AbbVie Inc2.49%$22.72M
Lam Research Corp2.46%$22.49M
Cisco Systems Inc2.43%$22.26M
Lamar Advertising Co2.27%$20.78M
Sempra2.20%$20.15M
Eaton Corp PLC2.17%$19.81M
Iron Mountain Inc2.13%$19.46M
Waste Management Inc2.06%$18.86M
Southern Co/The2.05%$18.70M
EOG Resources Inc2.04%$18.64M
Blackrock Inc2.03%$18.56M
Alphabet Inc1.97%$18.02M
Merck & Co Inc1.96%$17.89M
Amphenol Corp1.95%$17.79M
Microsoft Corp1.92%$17.52M
AMETEK Inc1.89%$17.32M
Analog Devices Inc1.89%$17.32M
Apple Inc1.88%$17.16M
Gilead Sciences Inc1.75%$16.03M
3M Co1.74%$15.95M
Texas Instruments Inc1.72%$15.77M
PepsiCo Inc1.71%$15.67M
Quest Diagnostics Inc1.59%$14.52M
American Financial Group Inc/OH1.57%$14.39M
Morgan Stanley & Co. LLC1.57%$14.36M
CME Group Inc1.51%$13.85M
L3Harris Technologies Inc1.50%$13.72M
Visa Inc1.39%$12.73M
Carrier Global Corp1.27%$11.60M
Eli Lilly & Co1.26%$11.51M
Wyndham Hotels & Resorts Inc1.26%$11.49M
Nokia Oyj1.25%$11.39M
TJX Cos Inc/The1.23%$11.24M
T-Mobile US Inc1.19%$10.92M
Motorola Solutions Inc1.19%$10.88M
International Paper Co1.17%$10.71M
NVIDIA Corp1.13%$10.34M
Domino's Pizza Inc1.11%$10.12M
Fastenal Co1.10%$10.09M
International Flavors & Fragrances Inc1.10%$10.04M
Home Depot Inc/The1.06%$9.66M
Crh PLC0.99%$9.03M
Rocket Cos Inc0.95%$8.71M
Meta Platforms Inc0.93%$8.51M
Evercore Inc0.92%$8.43M
SLB Ltd0.91%$8.31M
Fidelity National Financial Inc0.90%$8.21M
International Business Machines Corp0.89%$8.10M
Intercontinental Exchange Inc0.84%$7.68M
EQT Corp0.80%$7.36M
Accenture PLC0.76%$6.93M

EIUTX overview: performance, fees, allocation and SEC filings