
EATON VANCE MANAGEMENT
Latest 13F filing data - Q3 2022
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | CHD | 309K | $22.10M |
![]() | WTRG | 309K | $12.78M |
![]() | ASGN | 309K | $27.89M |
![]() | ALNY | 307K | $61.51M |
![]() | FSV | 306K | $36.38M |
![]() | KMI | 305K | $5.07M |
![]() | ORLY | 304K | $213.82M |
![]() | ZWS | 304K | $7.44M |
![]() | TRU | 303K | $18.05M |
![]() | OGN | 302K | $7.08M |
![]() | FIVE | 301K | $41.40M |
![]() | NET | 300K | $16.58M |
![]() | AMT | 299K | $64.09M |
![]() | PNR | 298K | $12.10M |
![]() | BFAM | 298K | $17.17M |
![]() | FTNT | 297K | $14.59M |
![]() | CADE | 296K | $7.53M |
![]() | LKQ | 295K | $13.93M |
![]() | APD | 295K | $68.64M |
![]() | MPC | 294K | $29.18M |

Church & Dwight Co., Inc.
CHD
Shares Held
309K
Value
$22.10M

Essential Utilities, Inc.
WTRG
Shares Held
309K
Value
$12.78M

ASGN Incorporated
ASGN
Shares Held
309K
Value
$27.89M

Alnylam Pharmaceuticals, Inc.
ALNY
Shares Held
307K
Value
$61.51M

FirstService Corporation
FSV
Shares Held
306K
Value
$36.38M

Kinder Morgan, Inc.
KMI
Shares Held
305K
Value
$5.07M

O'Reilly Automotive, Inc.
ORLY
Shares Held
304K
Value
$213.82M

Zurn Elkay Water Solutions Corporation
ZWS
Shares Held
304K
Value
$7.44M

TransUnion
TRU
Shares Held
303K
Value
$18.05M

Organon & Co.
OGN
Shares Held
302K
Value
$7.08M

Five Below, Inc.
FIVE
Shares Held
301K
Value
$41.40M

Cloudflare, Inc.
NET
Shares Held
300K
Value
$16.58M

American Tower Corporation
AMT
Shares Held
299K
Value
$64.09M

Pentair plc
PNR
Shares Held
298K
Value
$12.10M

Bright Horizons Family Solutions Inc.
BFAM
Shares Held
298K
Value
$17.17M

Fortinet, Inc.
FTNT
Shares Held
297K
Value
$14.59M

Cadence Bank
CADE
Shares Held
296K
Value
$7.53M

LKQ Corporation
LKQ
Shares Held
295K
Value
$13.93M

Air Products and Chemicals, Inc.
APD
Shares Held
295K
Value
$68.64M

Marathon Petroleum Corporation
MPC
Shares Held
294K
Value
$29.18M
