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Eaton Vance Focused Growth Opportunities Fund

Current holdings

Data for period
31 Aug 21
(Last reporting period)
Total assets
$351.26M
Liabilities
$13.09M
Net assets
$338.18M
Number of holdings
36

Holding trends

Total assets and liabilities
Assets
Liabilities
Total number of holdings

Holdings history data

$Dollar values in millions. Negative values are Short positions. "0" is less than $100,000.
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Holding Nov 19 Feb 20 May 20 Aug 20 Nov 20 Feb 21 May 21 Aug 21
10X Genomics Inc
A O Smith Corp
AbbVie Inc
Adobe Inc
Alphabet Inc
Amazon.com Inc
AMETEK Inc
Amgen Inc
Anthem Inc
Apple Inc
Aptiv PLC
Argenx SE
Arista Networks Inc
AstraZeneca PLC
AutoZone Inc
Bank of America Corp
BHP Group Ltd
Blueprint Medicines Corp
Boeing Co/The
Boston Scientific Corp
Bristol-Myers Squibb Co
Centene Corp
Charles Schwab Corp/The
Constellation Brands Inc
CSX Corp
Dollar General Corp
EOG Resources Inc
EV CASH RESERVES FUND LLC EV CASH RESERVES FUND LLC
EV CASH RESERVES FUND LLC EV CASH RESERVES FUND LLC
EV CASH RESERVES FUND LLC EV CASH RESERVES FUND LLC
EV CASH RESERVES FUND LLC EV CASH RESERVES FUND LLC
EV CASH RESERVES FUND LLC EV CASH RESERVES FUND LLC
EV CASH RESERVES FUND LLC EV CASH RESERVES FUND LLC
EV CASH RESERVES FUND LLC EV CASH RESERVES FUND LLC
EV CASH RESERVES FUND LLC EV CASH RESERVES FUND LLC
Facebook Inc
Fortune Brands Home & Security Inc
GoDaddy Inc
Goldman Sachs Group Inc/The
Haemonetics Corp
Hexcel Corp
Inari Medical Inc
Incyte Corp
Intel Corp
Intuit Inc
Intuitive Surgical Inc
Lamb Weston Holdings Inc
Logitech International SA
Lowe's Cos Inc
Merck & Co Inc
Micron Technology Inc
Microsoft Corp
Mondelez International Inc
Netflix Inc
Palantir Technologies Inc
PayPal Holdings Inc
Planet Fitness Inc
QUALCOMM Inc
Sailpoint Technologies Holdings Inc
salesforce.com Inc
Schlumberger Ltd
State Street Global Advisors
Sysco Corp
Texas Instruments Inc
Thermo Fisher Scientific Inc
TJX Cos Inc/The
Trane Technologies PLC
Uber Technologies Inc
Union Pacific Corp
UnitedHealth Group Inc
Vertex Pharmaceuticals Inc
VF Corp
Visa Inc
Walt Disney Co/The
Waste Connections Inc
Wynn Resorts Ltd
Zebra Technologies Corp
Zscaler Inc