Eaton Vance
Enhanced Equity Income Fund II
March 31, 2024
Portfolio of Investments (Unaudited)

Common Stocks — 100.2%(1)
Security Shares Value
Aerospace & Defense — 0.8%
HEICO Corp.      46,486 $    8,878,826
      $    8,878,826
Automobile Components — 0.6%
Aptiv PLC(2)      83,854 $    6,678,971
      $    6,678,971
Automobiles — 0.6%
Tesla, Inc.(2)      37,944 $    6,670,176
      $    6,670,176
Beverages — 0.8%
Coca-Cola Co.     139,314 $    8,523,230
      $    8,523,230
Biotechnology — 1.4%
AbbVie, Inc.      56,568 $   10,301,033
Vertex Pharmaceuticals, Inc.(2)      13,876     5,800,307
      $   16,101,340
Broadline Retail — 8.3%
Amazon.com, Inc.(2)     515,423 $   92,972,001
      $   92,972,001
Building Products — 1.1%
Trane Technologies PLC      40,700 $   12,218,140
      $   12,218,140
Capital Markets — 2.8%
Blue Owl Capital, Inc.     308,536 $    5,818,989
Intercontinental Exchange, Inc.      40,405     5,552,859
S&P Global, Inc.      20,908     8,895,309
Tradeweb Markets, Inc., Class A     108,832    11,337,029
      $   31,604,186
Commercial Services & Supplies — 2.2%
Copart, Inc.(2)     205,247 $   11,887,906
Waste Connections, Inc.      76,804    13,211,056
      $   25,098,962
Security Shares Value
Consumer Staples Distribution & Retail — 2.5%
Costco Wholesale Corp.      26,633 $   19,512,135
Walmart, Inc.     139,071     8,367,902
      $   27,880,037
Electrical Equipment — 1.3%
AMETEK, Inc.      82,825 $   15,148,692
      $   15,148,692
Entertainment — 1.8%
Netflix, Inc.(2)      33,095 $   20,099,586
      $   20,099,586
Financial Services — 3.4%
Shift4 Payments, Inc., Class A(2)     157,901 $   10,432,519
Visa, Inc., Class A      99,798    27,851,626
      $   38,284,145
Food Products — 0.9%
Mondelez International, Inc., Class A     142,251 $    9,957,570
      $    9,957,570
Ground Transportation — 1.3%
Uber Technologies, Inc.(2)     190,745 $   14,685,457
      $   14,685,457
Health Care Equipment & Supplies — 2.6%
Intuitive Surgical, Inc.(2)      44,737 $   17,854,089
Stryker Corp.      32,011    11,455,777
      $   29,309,866
Health Care Providers & Services — 1.3%
UnitedHealth Group, Inc.      29,464 $   14,575,841
      $   14,575,841
Hotels, Restaurants & Leisure — 0.9%
Starbucks Corp.     113,004 $   10,327,436
      $   10,327,436
Interactive Media & Services — 10.9%
Alphabet, Inc., Class C(2)     556,616 $   84,750,352
Meta Platforms, Inc., Class A      77,582    37,672,268
      $  122,422,620
 
1

Eaton Vance
Enhanced Equity Income Fund II
March 31, 2024
Portfolio of Investments (Unaudited) — continued

Security Shares Value
IT Services — 1.0%
Accenture PLC, Class A      32,919 $   11,410,055
      $   11,410,055
Life Sciences Tools & Services — 1.2%
Illumina, Inc.(2)      37,918 $    5,206,899
Thermo Fisher Scientific, Inc.      14,137     8,216,566
      $   13,423,465
Pharmaceuticals — 2.8%
Eli Lilly & Co.      40,751 $   31,702,648
      $   31,702,648
Professional Services — 1.0%
TransUnion     146,997 $   11,730,361
      $   11,730,361
Real Estate Management & Development — 1.8%
CoStar Group, Inc.(2)      99,847 $    9,645,220
FirstService Corp.      67,207    11,142,921
      $   20,788,141
Semiconductors & Semiconductor Equipment — 15.5%
Advanced Micro Devices, Inc.(2)      65,103 $   11,750,440
Analog Devices, Inc.     113,685    22,485,756
Lam Research Corp.      31,761    30,858,035
NVIDIA Corp.     109,035    98,519,665
QUALCOMM, Inc.      61,046    10,335,088
      $  173,948,984
Software — 20.9%
Adobe, Inc.(2)      66,354 $   33,482,228
Autodesk, Inc.(2)      33,770     8,794,383
Fair Isaac Corp.(2)       5,727     7,156,517
Fortinet, Inc.(2)     127,630     8,718,405
Intuit, Inc.      50,857    33,057,050
Microsoft Corp.     272,305   114,564,160
Salesforce, Inc.      70,758    21,310,894
Zscaler, Inc.(2)      43,331     8,346,851
      $  235,430,488
Specialty Retail — 3.6%
Burlington Stores, Inc.(2)      29,480 $    6,844,961
Security Shares Value
Specialty Retail (continued)
Home Depot, Inc.      22,495 $    8,629,082
TJX Cos., Inc.     243,606    24,706,521
      $   40,180,564
Technology Hardware, Storage & Peripherals — 6.1%
Apple, Inc.     398,426 $   68,322,090
      $   68,322,090
Textiles, Apparel & Luxury Goods — 0.8%
NIKE, Inc., Class B      93,937 $    8,828,199
      $    8,828,199
Total Common Stocks
(identified cost $453,391,362)
    $1,127,202,077
    
Short-Term Investments — 0.2%
Security Shares Value
Morgan Stanley Institutional Liquidity Funds - Government Portfolio, Institutional Class, 5.22%(3)   2,467,764 $    2,467,764
Total Short-Term Investments
(identified cost $2,467,764)
    $    2,467,764
Total Investments — 100.4%
(identified cost $455,859,126)
    $1,129,669,841
Total Written Covered Call Options — (0.6)%
(premiums received $8,669,421)
    $   (6,279,753)
Other Assets, Less Liabilities — 0.2%     $    1,429,301
Net Assets — 100.0%     $1,124,819,389
The percentage shown for each investment category in the Portfolio of Investments is based on net assets.
(1) All or a portion of each applicable common stock for which a written call option is outstanding at March 31, 2024 has been pledged as collateral for such written option.
(2) Non-income producing security.
(3) May be deemed to be an affiliated investment company. The rate shown is the annualized seven-day yield as of March 31, 2024.
 
2

Eaton Vance
Enhanced Equity Income Fund II
March 31, 2024
Portfolio of Investments (Unaudited) — continued

Written Covered Call Options (Exchange-Traded) — (0.6)%      
Description Number of
Contracts
Notional
Amount
Exercise
Price
Expiration
Date
Value
AbbVie, Inc. 280 $  5,098,800 $   185 4/26/24 $   (70,140)
Accenture PLC, Class A 160    5,545,760     350 4/26/24     (82,400)
Adobe, Inc. 330   16,651,800     540 4/19/24     (84,150)
Advanced Micro Devices, Inc. 325    5,865,925     197 4/26/24   (108,875)
Alphabet, Inc., Class C 2,780   42,328,280     162 4/26/24   (390,590)
Amazon.com, Inc. 2,575   46,447,850     185 4/12/24   (356,637)
AMETEK, Inc. 425    7,773,250     185 4/19/24     (72,250)
Analog Devices, Inc. 565   11,175,135     205 4/26/24   (170,912)
Apple, Inc. 1,990   34,124,520     180  5/3/24   (453,720)
Aptiv PLC 415    3,305,475      85 4/19/24     (22,825)
Autodesk, Inc. 165    4,296,930     275  5/3/24     (50,738)
Burlington Stores, Inc. 145    3,366,755     235 4/26/24     (86,275)
Coca-Cola Co. 695    4,252,010      62 4/26/24     (34,403)
Copart, Inc. 1,025    5,936,800      58 4/19/24   (128,125)
CoStar Group, Inc. 360    3,477,600      95 4/19/24   (112,500)
Costco Wholesale Corp. 130    9,524,190     755 4/19/24     (47,125)
Eli Lilly & Co. 200   15,559,200     800 4/19/24   (235,500)
Fair Isaac Corp. 25    3,124,025   1,400 4/19/24     (10,938)
Fortinet, Inc. 635    4,337,685      73 4/26/24     (51,117)
HEICO Corp. 230    4,393,000     190 4/19/24   (102,350)
Home Depot, Inc. 110    4,219,600     410 4/26/24      (7,865)
Illumina, Inc. 185    2,540,420     153 4/26/24     (33,763)
Intercontinental Exchange, Inc. 200    2,748,600     140 4/19/24     (23,000)
Intuit, Inc. 250   16,250,000     670 4/26/24   (248,750)
Intuitive Surgical, Inc. 220    8,779,980     415 4/26/24   (196,900)
Lam Research Corp. 155   15,059,335   1,020  4/5/24     (43,478)
Meta Platforms, Inc., Class A 385   18,694,830     535  5/3/24   (484,137)
Microsoft Corp. 1,360   57,217,920     440  5/3/24   (833,000)
Mondelez International, Inc., Class A 710    4,970,000      73  5/3/24     (44,375)
Netflix, Inc. 165   10,020,945     635  4/5/24     (22,110)
NIKE, Inc., Class B 465    4,370,070      98  5/3/24     (43,013)
NVIDIA Corp. 545   49,244,020     980 4/12/24   (438,725)
QUALCOMM, Inc. 305    5,163,650     182  5/3/24   (139,537)
S&P Global, Inc. 100    4,254,500     440 4/26/24     (30,750)
Salesforce, Inc. 350   10,541,300     320 4/26/24     (72,625)
Shift4 Payments, Inc., Class A 535    3,534,745      90 4/19/24     (10,700)
Starbucks Corp. 565    5,163,535      94 4/26/24     (48,025)
Stryker Corp. 160    5,725,920     370 4/19/24     (28,000)
Tesla, Inc. 185    3,252,115     180 4/19/24   (147,537)
Thermo Fisher Scientific, Inc. 70    4,068,470     620 4/12/24      (2,800)
TJX Cos., Inc. 1,215   12,322,530     102  4/5/24     (64,395)
Tradeweb Markets, Inc., Class A 540    5,625,180     110 4/19/24     (21,600)
Trane Technologies PLC 200    6,004,000     300 4/19/24   (125,000)
TransUnion 730    5,825,400      85 4/19/24     (47,450)
Uber Technologies, Inc. 950    7,314,050      83 4/19/24     (68,400)
UnitedHealth Group, Inc. 145    7,173,150     500  4/5/24     (60,175)
Vertex Pharmaceuticals, Inc. 65    2,717,065     440 4/26/24     (21,613)
Visa, Inc., Class A 495   13,814,460     290  5/3/24   (166,320)
Walmart, Inc. 695    4,181,815      63 4/12/24      (3,128)
3

Eaton Vance
Enhanced Equity Income Fund II
March 31, 2024
Portfolio of Investments (Unaudited) — continued

Written Covered Call Options (Exchange-Traded)(continued)      
Description Number of
Contracts
Notional
Amount
Exercise
Price
Expiration
Date
Value
Waste Connections, Inc. 380 $  6,536,380 $   175 4/19/24 $   (54,150)
Zscaler, Inc 215    4,141,545     205 4/26/24    (76,862)
Total             $(6,279,753)
At March 31, 2024, the Fund had sufficient cash and/or securities to cover commitments under open derivative contracts.
The Fund is subject to equity price risk in the normal course of pursuing its investment objectives. The Fund writes covered call options on individual stocks above the current value of the stock to generate premium income. In writing call options on individual stocks, the Fund in effect sells potential appreciation in the value of the applicable stock above the exercise price in exchange for the option premium received. The Fund retains the risk of loss, minus the premium received, should the price of the underlying stock decline.
Affiliated Investments
At March 31, 2024, the value of the Fund's investment in funds that may be deemed to be affiliated was $2,467,764, which represents 0.2% of the Fund's net assets. Transactions in such investments by the Fund for the fiscal year to date ended March 31, 2024 were as follows:
Name Value,
beginning
of period
Purchases Sales
proceeds
Net realized
gain (loss)
Change in
unrealized
appreciation
(depreciation)
Value, end
of period
Dividend
income
Shares,
end of period
Short-Term Investments
Liquidity Fund, Institutional Class(1) $3,503,042 $31,930,813 $(32,966,091) $ — $ — $2,467,764 $46,188 2,467,764
(1) Represents investment in Morgan Stanley Institutional Liquidity Funds - Government Portfolio.
Fair Value Measurements
Under generally accepted accounting principles for fair value measurements, a three-tier hierarchy to prioritize the assumptions, referred to as inputs, is used in valuation techniques to measure fair value. The three-tier hierarchy of inputs is summarized in the three broad levels listed below.
Level 1 – quoted prices in active markets for identical investments
Level 2 – other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.)
Level 3 – significant unobservable inputs (including a fund's own assumptions in determining the fair value of investments)
In cases where the inputs used to measure fair value fall in different levels of the fair value hierarchy, the level disclosed is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
4

Eaton Vance
Enhanced Equity Income Fund II
March 31, 2024
Portfolio of Investments (Unaudited) — continued

At March 31, 2024, the hierarchy of inputs used in valuing the Fund’s investments and open derivative instruments, which are carried at fair value, were as follows:
Asset Description  Level 1 Level 2 Level 3 Total
Common Stocks $1,127,202,077* $    — $    — $1,127,202,077
Short-Term Investments     2,467,764     —     —     2,467,764
Total Investments $1,129,669,841 $    — $    — $1,129,669,841
Liability Description         
Written Covered Call Options $   (6,279,753) $    — $    — $   (6,279,753)
Total $   (6,279,753) $    — $    — $   (6,279,753)
* The level classification by major category of investments is the same as the category presentation in the Portfolio of Investments.
For information on the Fund's policy regarding the valuation of investments and other significant accounting policies, please refer to the Fund's most recent financial statements included in its semiannual or annual report to shareholders.
5

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