ESHAX Holdings — Eaton Vance Short Duration High Income Fund

All 217 reported holdings of Eaton Vance Short Duration High Income Fund (ESHAX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Morgan Stanley & Co. LLC3.17%$2.88M
Venture Global Lng, Inc.1.91%$1.74M
Dish Network Corp.1.14%$1.03M
Hightower Holding LLC1.14%$1.03M
Sba Communications Corp.1.09%$994.37K
Terraform Power Operatin1.09%$990.73K
Cco Hldgs Llc/cap Corp.1.09%$988.80K
Atlas Luxco 4 / All Uni1.09%$986.41K
Avantor Funding, Inc.1.09%$986.22K
Proofpoint, Inc.1.07%$970.18K
Venture Global Calcasieu1.06%$958.48K
Alliant Hold / Co.-Issuer0.98%$886.67K
Atlantica Sustain Infra0.97%$885.49K
Athenahealth Group Inc0.97%$885.17K
Voltagrid LLC0.97%$880.55K
Mavis Tire Express Services Corp.0.94%$850.52K
Belron UK Finance PLC0.92%$832.79K
Spectrum Brands, Inc.0.91%$827.03K
Nrg Energy, Inc.0.88%$801.27K
Nrg Energy, Inc.0.88%$800.97K
Hess Midstream Operation0.87%$789.10K
Outfront Media Cap Llc/c0.82%$749.36K
Gfl Environmental, Inc.0.82%$744.24K
Cloud Software Grp, Inc.0.81%$737.04K
Standard Industri Inc/ny0.79%$716.51K
EMRLD Borrower LP0.79%$713.41K
Churchill Downs, Inc.0.77%$699.74K
Gee Automotive Holdings0.74%$676.72K
Rlj Lodging Trust LP0.74%$673.80K
Korn/ferry International0.73%$660.25K
Wbi Operating LLC0.72%$654.32K
1011778 Bc / New Red Fin0.71%$642.19K
Pattern Energy Op Lp/pat0.70%$638.95K
Sirius Xm Radio LLC0.70%$631.58K
Speedway Mot/speedway Fd0.68%$620.59K
Versant Media Group, Inc.0.67%$612.87K
James Hardie Intl Fin0.66%$598.58K
Directv Fin Llc/coinc0.66%$597.82K
Enersys0.65%$592.68K
Seaspan Corp.0.64%$578.78K
Lithia Motors, Inc.0.63%$575.34K
PetSmart Inc0.61%$551.63K
Neptune Bidco US, Inc.0.60%$546.58K
Rocketmtge Co.-Issuer, Inc.0.59%$538.66K
Cloud Software Grp, Inc.0.58%$531.08K
Diebold Nixdorf, Inc.0.58%$526.48K
Cougar Jv Subsidiary LLC0.58%$526.08K
Aar Escrow Issuer LLC0.58%$525.75K
Vistajet Malta/vm Holds0.57%$522.07K
LBM Acquisition LLC0.57%$519.66K
Calderys Financing Ii0.57%$518.03K
Sunoco LP0.57%$516.59K
Taylor Morrison Comm0.56%$504.92K
Wulf Compute LLC0.55%$502.67K
Gen Digital, Inc.0.55%$502.41K
Wynn Las Vegas Llc/corp0.55%$501.57K
Mcgraw-Hill Education0.55%$500.53K
Echostar Corp.0.55%$500.58K
Iqvia, Inc.0.55%$500.21K
Clearway Energy Op LLC0.55%$497.06K
Science Applications Int0.55%$496.95K
Transdigm, Inc.0.54%$493.78K
Api Group De, Inc.0.54%$492.29K
Uniti Group/csl Capital0.54%$491.63K
Global Net Lease/global0.54%$489.04K
Olympus Wtr US Hldg Corp.0.54%$486.70K
Axalta Coating Systems0.52%$476.42K
Cipher Compute LLC0.52%$472.18K
Carriage Purchaser, Inc.0.51%$466.75K
Sunoco LP0.51%$466.08K
Molina Healthcare, Inc.0.51%$463.65K
Truist Insurance Holdings LLC0.51%$459.68K
Aph/aph2/aph3/aquarian0.50%$455.38K
Bausch Health Companies Inc0.50%$455.16K
Cushman & Wakefield US0.50%$454.30K
Lgi Homes, Inc.0.50%$454.02K
Ardagh Metal Packaging0.49%$447.71K
Ken Garff Automotive LLC0.49%$445.19K
Aethon Un/aethin Un Fin0.49%$444.17K
Delivery Hero AG0.49%$443.01K
Cinemark USA, Inc.0.49%$442.57K
Ingram Micro, Inc.0.49%$442.55K
White Cap Supply Holding0.47%$423.98K
Clydesdale Acquisition0.46%$421.27K
Pebblebrook Hotel Trust0.46%$418.72K
Leeward Renewabl0.46%$418.34K
Medline Borrower LP0.46%$417.22K
Mohegan Tribal / Ms Dig0.46%$416.58K
Lcm Investments Holdings0.46%$416.35K
Specialty Building Produ0.46%$414.38K
Calderys Financing LLC0.45%$412.12K
Smyrna Ready Mix Concret0.45%$411.95K
Virgin Media Secured Fin0.45%$407.49K
Global Part/glp Finance0.44%$403.90K
K Hovnanian Enterprises0.44%$403.70K
Murphy Oil USA, Inc.0.44%$400.92K
Axalta Coat/dutch Hld Bv0.44%$398.44K
Lions Gate Capital Hol 10.44%$397.43K
Clear Channel Outdoor Ho0.43%$393.81K
Live Nation Entertainmen0.43%$392.55K
Irb Holding Corp.0.43%$392.25K
The Men's Wearhouse LLC0.43%$391.79K
Builders Firstsource, Inc.0.43%$391.73K
Team Health Holdings, Inc.0.43%$391.62K
Acadia Healthcare Co., Inc.0.43%$391.67K
Athenahealth Group, Inc.0.43%$391.10K
Teva Pharmaceuticals Ne0.43%$390.37K
Group 1 Automotive, Inc.0.43%$389.65K
Amwins Group, Inc.0.43%$387.12K
Motion Bondco Dac0.42%$384.23K
Cp Atlas Buyer, Inc.0.42%$381.50K
Ashton Woods Usa/finance0.42%$381.13K
Compass Minerals Interna0.42%$379.16K
Ont Gaming Gta/otg Co.-Is0.41%$375.72K
Esab Corp.0.41%$374.33K
Midas Opco Holdings LLC0.41%$369.33K
Hrt Dnt / Hrt Dnt Fin0.40%$367.47K
Apld Computeco 2 LLC0.40%$361.60K
Phoenix Aviation Capital0.39%$358.51K
Asbury Automotive Group0.39%$356.65K
Team Health Holdings, Inc.0.39%$353.39K
Big River Steel/brs Fin0.39%$350.55K
Park River Holdings Inc0.38%$349.24K
Peloton Interactive, Inc.0.38%$348.22K
Entegris, Inc.0.38%$345.96K
National Mentor Holdings0.38%$345.42K
Buckeye Partners LP0.38%$344.27K
Tenet Healthcare Corp.0.38%$342.55K
Brookfield Resid Propert0.37%$337.41K
Bausch & Lomb Corporation0.37%$335.67K
Zegona Finance PLC0.37%$334.67K
Iron Mountain, Inc.0.36%$328.85K
Great Can Gaming/raptor0.35%$317.05K
Arsenal Aic Parent LLC0.35%$315.17K
Allied Universal0.34%$312.82K
Xplr Infrast Operating0.34%$312.13K
US Acute Care Solutions0.34%$306.60K
Vistajet Malta/vm Holds0.33%$300.30K
Darling Ingredients, Inc.0.33%$299.97K
Evergreen Acqco 1 LP0.33%$297.91K
Patrick Industries, Inc.0.33%$295.98K
Risewell Homes, Inc.0.32%$293.99K
Sonic Automotive, Inc.0.32%$293.64K
Tkc Holdings, Inc.0.32%$291.91K
Dye & Durham Limited0.31%$280.22K
Black Pearl Compute LLC0.29%$264.12K
United Wholesale Mtge Ll0.29%$262.59K
Constellium SE0.29%$260.57K
Herc Holdings, Inc.0.29%$260.24K
Rb Global Holdings, Inc.0.28%$253.70K
Tms International Corp.0.28%$253.16K
Olympus Wtr US Hldg Corp.0.28%$251.68K
Xplr Infrast Operating0.27%$248.29K
Stonebriar Abf LLC0.27%$246.97K
Ngl Enrgy Op/fin Corp.0.27%$245.78K
Caesars Entertain, Inc.0.27%$243.80K
Univision Communications0.27%$243.47K
Lifepoint Health, Inc.0.27%$241.27K
Perrigo Finance Unlimite0.26%$237.26K
Zscaler Inc.0.26%$236.47K
US Foods, Inc.0.26%$235.15K
Uwm Holdings LLC0.25%$224.59K
Primo / Triton Water Hld0.25%$224.43K
Spectacle Gary Holdings LLC0.25%$222.62K
New Flyer Holdings0.24%$215.94K
Allwyn Entertainment Fin0.23%$206.04K
Cco Hldgs Llc/cap Corp.0.23%$204.87K
Peninsula Pacific Entertainment LLC0.23%$204.66K
Risewell Homes, Inc.0.22%$201.53K
Bath & Body Works, Inc.0.22%$200.59K
Synergy Infrastructure H0.22%$199.96K
Brightstar Lottery PLC0.22%$199.24K
Allied Universal Holdco0.22%$197.17K
Arches Buyer, Inc.0.22%$195.87K
Burford Capital Glbl Fin0.21%$195.09K
Bwx Technologies, Inc.0.21%$194.99K
Men's Wearhouse, Inc. (The)0.21%$194.99K
Arches Buyer, Inc.0.21%$194.61K
Endo Luxembourg Finance Company I Sa rl0.21%$194.37K
Cooper-Standard Automoti0.21%$192.31K
Global Auto Ho/aag Fh UK0.21%$190.87K
Ineos US Finance LLC0.21%$186.75K
Specialty Building Products Holdings LLC0.20%$183.06K
Fortrea Holdings, Inc.0.20%$182.19K
Cars.com, Inc.0.20%$181.99K
Block, Inc.0.20%$180.28K
Azorra Finance0.20%$178.36K
Caesars Entertain, Inc.0.19%$169.01K
Dbr Land Holdings LLC0.19%$169.01K
Celanese US Holdings LLC0.18%$163.27K
Clarios Global LP0.18%$161.95K
Axon Enterprise, Inc.0.17%$153.75K
Apld Computeco LLC0.17%$150.56K
Toucan Finco Ltd/can/us0.17%$149.99K
Venture Global Calcasieu Pass, LLC0.16%$149.04K
Wesco Distribution, Inc.0.15%$133.74K
Enviva LLC0.14%$131.40K
Xplr Infrast Operating0.14%$128.28K
Mavis Tire Express Servi0.14%$124.70K
LifePoint Health Inc0.13%$121.73K
Realtruck Group, Inc.0.13%$114.08K
E.W. Scripps Company (The)0.12%$112.75K
Transdigm, Inc.0.11%$102.12K
Champions Financing, Inc.0.10%$95.43K
Crash Champions LLC0.09%$84.71K
Uwm Holdings LLC0.09%$77.80K
Park River Holdings, Inc.0.08%$73.84K
Hat Holdings I Llc/hat0.08%$73.85K
Tkc Holdings, Inc.0.07%$62.57K
Wesco Distribution, Inc.0.07%$60.11K
E.W. Scripps Company (The)0.06%$55.15K
Rivers Ent Borrower LLC0.05%$43.76K
Alliant Hold / Co.-Issuer0.02%$19.00K
Kennova Therapeutics.0.00%$2.87K
Par Health, Inc. Pve0.00%$129
Esc Gcb144a Enviva Par0.00%$0
Goldman Sachs International-0.01%$-6.88K

ESHAX overview: performance, fees, allocation and SEC filings