EATON VANCE TAX ADVANTAGED GLOBAL DIVIDEND INCOME FUND - COM (ETG)

Historical Portfolio Holders from Q1 2014 to Q2 2024

All holders as of June 30, 2024
Q2 2024
Type / Class
Equity / COM
Shares, excl. options Q2 2024
15.9M
Holdings value Q2 2024
$297M
Value change Q2 2024
-$188K
Grand Portfolio weight change Q2 2024
0%
Number of holders
92
Number of buys Q2 2024
35
Number of sells Q2 2024
-45
Average buys Q2 2024 %
+0%
Average sells Q2 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q2 15.9M $297M -$188K $18.61 92
2024 Q1 15.9M $289M +$17.7M $18.25 96
2023 Q4 12.6M $215M +$21.4M $17.10 96
2023 Q3 11.3M $174M +$12.6M $15.38 91
2023 Q2 12.7M $212M +$9.78M $16.70 94
2023 Q1 12.1M $195M +$1.75M $16.15 95
2022 Q4 12M $181M +$1.88M $15.10 108
2022 Q3 11.9M $179M -$6.73M $15.09 88
2022 Q2 12.3M $198M -$2.9M $16.11 95
2022 Q1 12.2M $252M -$6.08M $20.58 100
2021 Q4 12.7M $288M -$8.65M $22.73 111
2021 Q3 13M $277M -$12.6M $21.28 97
2021 Q2 13.6M $285M -$9.48M $21.00 89
2021 Q1 14.1M $269M +$1.97M $19.09 101
2020 Q4 13.8M $252M +$9.75M $18.25 101
2020 Q3 12.9M $191M +$2.25M $14.87 87
2020 Q2 13.6M $194M -$4.56M $14.28 78
2020 Q1 12.8M $153M +$18.2M $11.95 86
2019 Q4 11.3M $204M +$1.32M $18.02 82
2019 Q3 11.2M $184M -$8.72M $16.46 77
2019 Q2 11.7M $188M -$4.78M $16.05 86
2019 Q1 12.2M $189M -$6.59M $15.54 87
2018 Q4 12.6M $170M +$15.6M $13.54 90
2018 Q3 11.3M $203M +$7.26M $17.89 83
2018 Q2 10.9M $186M -$2.51M $17.00 81
2018 Q1 11.1M $185M -$24.6M $16.71 87
2017 Q4 12.6M $218M +$9.19M $17.33 84
2017 Q3 11.8M $203M +$10.9M $17.20 72
2017 Q2 11.2M $191M -$5.13M $17.07 69
2017 Q1 11.3M $177M +$6.99M $15.66 66
2016 Q4 11.1M $157M +$19.6M $14.07 78
2016 Q3 9.72M $145M +$2.98M $14.90 58
2016 Q2 9.61M $138M -$16.8M $14.39 67
2016 Q1 10.4M $150M -$4.06M $14.45 74
2015 Q4 8.07M $125M +$12.4M $15.52 72
2015 Q3 9.82M $145M -$1.73M $14.80 64
2015 Q2 9.95M $168M +$3.93M $16.87 63
2015 Q1 10.1M $172M +$2.71M $16.96 64
2014 Q4 9.66M $156M +$5.15M $16.17 73
2014 Q3 9.21M $157M +$2.34M $17.02 59
2014 Q2 9.08M $160M +$12.7M $17.58 64
2014 Q1 8.32M $140M +$4.14M $16.77 66