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Zusammensetzung von Eaton Vance Short Duration High Income Fund

Eaton Vance Mutual Funds Trust · Mit einem anderen Fonds vergleichen · Fehler melden

Nettovermögen
90,8 Mio. $
Anleihen
46 von 43 Gesellschaften

Die Anleihen, die er hält

43 Gesellschaften, 46 Anleihen. Nur Emittenten, deren Aktien diese Website bereits abbildet, erscheinen hier.

RangGesellschaftAnleihenWertGewicht
1NRG Energy Inc21,6 Mio. $1,76 %
2SBA Communications Corp1994.369,8 $1,09 %
3SUNOCO LP2982.674,3 $1,08 %
4GFL Environmental Inc1744.240,1 $0,82 %
5Churchill Downs Inc1699.739,1 $0,77 %
6Korn Ferry1660.246,7 $0,73 %
7Versant Media Group Inc1612.865,2 $0,67 %
8EnerSys1592.683,5 $0,65 %
9Lithia Motors Inc1575.340,4 $0,63 %
10Diebold Nixdorf Inc1526.482,7 $0,58 %
11Gen Digital Inc1502.412 $0,55 %
12EchoStar Corp1500.582,2 $0,55 %
13Science Applications International Corp1496.948,5 $0,55 %
14Molina Healthcare Inc1463.646,5 $0,51 %
15LGI Homes Inc1454.018,2 $0,50 %
16Delivery Hero SE1443.007,2 $0,49 %
17Pebblebrook Hotel Trust1418.724,7 $0,46 %
18Caesars Entertainment Inc2412.809,6 $0,45 %
19Clear Channel Outdoor Holdings Inc1393.812,9 $0,43 %
20Live Nation Entertainment Inc1392.549,8 $0,43 %
21Builders FirstSource Inc1391.728,6 $0,43 %
22Acadia Healthcare Co Inc1391.670,2 $0,43 %
23Group 1 Automotive Inc1389.646 $0,43 %
24Compass Minerals International Inc1379.158,2 $0,42 %
25Esab Corp1374.335 $0,41 %
26Asbury Automotive Group Inc1356.651 $0,39 %
27Entegris Inc1345.955,4 $0,38 %
28Tenet Healthcare Corp1342.549,4 $0,38 %
29Iron Mountain Inc1328.853,5 $0,36 %
30Darling Ingredients Inc1299.970,3 $0,33 %
31Patrick Industries Inc1295.980,7 $0,33 %
32Sonic Automotive Inc1293.640,5 $0,32 %
33Constellium SE1260.566 $0,29 %
34Herc Holdings Inc1260.244,5 $0,29 %
35NGL Energy Partners LP1245.783,9 $0,27 %
36Zscaler Inc1236.470 $0,26 %
37Bath & Body Works Inc1200.587,8 $0,22 %
38Brightstar Lottery PLC1199.235,1 $0,22 %
39BWX Technologies Inc1194.987,6 $0,21 %
40Fortrea Holdings Inc1182.191,8 $0,20 %
41Cars.com Inc1181.989,1 $0,20 %
42Block Inc1180.283,3 $0,20 %
43Axon Enterprise Inc1153.752,4 $0,17 %
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