TypeDateAccessionPeriodSize
SCHEDULE 13D/A
Mar 10, 2026
0000897101-26-000086
—
41.1 KB
NPORT-P
Feb 27, 2026
0001410368-26-020601
Dec 31, 2025
5.3 MB
4
Jan 23, 2026
0001225208-26-000807
Dec 31, 2025
2.9 KB
3
Jan 23, 2026
0001225208-26-000790
Dec 31, 2025
2.9 KB
N-CSRS
Nov 26, 2025
0001193125-25-300027EATON VANCE LIMITED DURATION INCOME FUND
Sep 30, 2025
4.0 MB
DEF 14A
Nov 25, 2025
0001133228-25-012732EATON VANCE LIMITED DURATION INCOME FUND - DEF 14A
Jan 7, 2026
17.3 MB
NPORT-P
Nov 24, 2025
0001410368-25-028954
Sep 30, 2025
2.0 MB
4
Nov 7, 2025
0001225208-25-009006
Sep 30, 2025
3.0 KB
3
Nov 7, 2025
0001225208-25-009004
Mar 31, 2025
2.9 KB
40-17G
Oct 22, 2025
0001133228-25-011083EATON VANCE GROWTH TRUST - 40-17G
—
784.2 KB
SCHEDULE 13D
Oct 20, 2025
0000897101-25-000584
—
26.6 KB
8-K
Aug 28, 2025
0001076598-25-000386LIMITED DURATION INCOME FUND (EVV)
Aug 28, 2025
12.5 KB
NPORT-P
Aug 27, 2025
0001752724-25-207503
Jun 30, 2025
5.4 MB
8-K
Aug 14, 2025
0001076598-25-000328LIMITED DURATION INCOME FUND (EVV)
Aug 14, 2025
12.5 KB
N-PX
Aug 12, 2025
0001140361-25-030480
Jun 30, 2025
3.6 KB
SCHEDULE 13G
Jul 7, 2025
0000897101-25-000424
—
12.6 KB
N-CSR
May 28, 2025
0001193125-25-129438EATON VANCE LIMITED DURATION INCOME FUND
Mar 31, 2025
4.3 MB
N-CEN
May 27, 2025
0001752724-25-120949
Mar 31, 2025
85.7 KB
NPORT-P
May 19, 2025
0001752724-25-107453
Mar 31, 2025
2.0 MB
NPORT-P
Feb 28, 2025
0001752724-25-045730
Dec 31, 2024
5.2 MB
N-CSRS
Nov 26, 2024
0001193125-24-266042EATON VANCE LIMITED DURATION INCOME FUND
Sep 30, 2024
3.9 MB
DEF 14A
Nov 26, 2024
0000940394-24-001051DEFINITIVE PROXY STATEMENT
Jan 8, 2025
4.9 MB
NPORT-P
Nov 19, 2024
0001752724-24-257164
Sep 30, 2024
2.0 MB
40-17G
Oct 17, 2024
0000940394-24-001005EATON VANCE FIDELITY BOND
—
722.6 KB
8-K
Oct 10, 2024
0000940394-24-000995EATON VANCE LIMITED DURATION INCOME FUND
Oct 10, 2024
19.1 KB