Eaton Vance
Tax-Managed Global Buy-Write Opportunities Fund
September 30, 2023
Portfolio of Investments (Unaudited)

Common Stocks — 99.8%
Security Shares Value
Aerospace & Defense — 1.7%
Airbus SE(1)      58,150 $  7,783,289
General Dynamics Corp.(1)       5,823   1,286,708
L3Harris Technologies, Inc.(1)       6,745   1,174,439
Northrop Grumman Corp.(1)       1,439     633,434
RTX Corp.(1)      32,105   2,310,597
Safran S.A.      10,087   1,580,725
Textron, Inc.(1)      16,487   1,288,294
      $ 16,057,486
Air Freight & Logistics — 0.4%
Deutsche Post AG(1)      74,966 $  3,041,784
Expeditors International of Washington, Inc.(1)       3,871     443,733
      $  3,485,517
Automobile Components — 0.5%
Aptiv PLC(1)(2)       8,742 $    861,874
Denso Corp.     187,200   3,003,788
Yokohama Rubber Co., Ltd. (The)      52,300   1,088,394
      $  4,954,056
Automobiles — 3.5%
Bayerische Motoren Werke AG      43,980 $  4,466,921
Honda Motor Co., Ltd.      74,400     836,977
Isuzu Motors, Ltd.      58,000     729,153
Mazda Motor Corp.      26,000     295,217
Mercedes-Benz Group AG(1)      53,889   3,750,498
Stellantis NV     286,959   5,494,813
Tesla, Inc.(1)(2)      63,578  15,908,487
Toyota Motor Corp.      64,500   1,157,151
      $ 32,639,217
Banks — 4.4%
Bank of America Corp.(1)      50,000 $  1,369,000
BNP Paribas S.A.(1)      94,000   5,977,110
Citigroup, Inc.(1)       6,447     265,165
Credit Agricole S.A.(1)      88,088   1,083,025
Fifth Third Bancorp(1)      36,006     912,032
HSBC Holdings PLC(1)     700,000   5,477,768
Huntington Bancshares, Inc.(1)      87,053     905,351
ING Groep NV(1)     331,336   4,367,031
Intesa Sanpaolo SpA   2,042,702   5,231,803
JPMorgan Chase & Co.(1)      44,825   6,500,522
KBC Group NV      22,722    1,414,594
Security Shares Value
Banks (continued)
KeyCorp(1)      74,715 $    803,933
Lloyds Banking Group PLC   2,000,000   1,074,788
NatWest Group PLC     464,285   1,328,113
Nordea Bank Abp      90,000     988,055
PNC Financial Services Group, Inc. (The)(1)       6,406     786,465
Resona Holdings, Inc.      55,000     304,105
Standard Chartered PLC     160,392   1,475,210
Truist Financial Corp.(1)      21,845     624,985
      $ 40,889,055
Beverages — 1.8%
Asahi Group Holdings, Ltd.      14,400 $    537,906
Coca-Cola Co. (The)(1)      28,606   1,601,364
Constellation Brands, Inc., Class A(1)      28,994   7,287,062
Heineken Holding NV      24,773   1,866,923
Heineken NV       7,692     678,138
Kirin Holdings Co., Ltd.      54,500     763,024
PepsiCo, Inc.(1)      24,025   4,070,796
      $ 16,805,213
Biotechnology — 1.5%
AbbVie, Inc.(1)      26,528 $  3,954,264
Amgen, Inc.(1)      16,600   4,461,416
BioMarin Pharmaceutical, Inc.(1)(2)       9,584     847,992
Gilead Sciences, Inc.(1)      65,372   4,898,978
      $ 14,162,650
Broadline Retail — 3.5%
Amazon.com, Inc.(1)(2)     224,714 $ 28,565,644
Next PLC(1)      41,584   3,688,152
Prosus NV      18,666     550,013
      $ 32,803,809
Building Products — 0.4%
Daikin Industries, Ltd.      26,200 $  4,107,417
      $  4,107,417
Capital Markets — 1.4%
3i Group PLC     112,500 $  2,831,696
CME Group, Inc.(1)       1,503     300,931
Moody's Corp.(1)       9,981   3,155,693
S&P Global, Inc.(1)       9,242   3,377,119
St. James's Place PLC(1)     160,504   1,619,318
UBS Group AG      90,256   2,223,203
      $ 13,507,960
 
1

Eaton Vance
Tax-Managed Global Buy-Write Opportunities Fund
September 30, 2023
Portfolio of Investments (Unaudited) — continued

Security Shares Value
Chemicals — 2.3%
Air Liquide S.A.      36,478 $  6,144,044
Air Products and Chemicals, Inc.(1)      17,229   4,882,699
BASF SE(1)      21,421     969,620
Corteva, Inc.(1)       4,706     240,759
Daicel Corp.(1)      50,400     421,638
Dow, Inc.(1)       4,706     242,641
Eastman Chemical Co.(1)      20,943   1,606,747
Linde PLC(1)       2,800   1,041,759
Mitsubishi Gas Chemical Co., Inc.      18,200     244,626
Nitto Denko Corp.      22,800   1,495,119
Shin-Etsu Chemical Co., Ltd.     109,000   3,165,975
Sumitomo Chemical Co., Ltd.      10,700      29,103
Toray Industries, Inc.      56,000     291,372
Tosoh Corp.      85,900   1,101,332
      $ 21,877,434
Commercial Services & Supplies — 0.3%
SECOM Co., Ltd.      29,900 $  2,028,439
Waste Management, Inc.(1)       3,330     507,625
      $  2,536,064
Communications Equipment — 1.2%
Cisco Systems, Inc.(1)     194,533 $ 10,458,094
Nokia Oyj     200,000     752,014
      $ 11,210,108
Construction & Engineering — 0.2%
Ferrovial SE      59,598 $  1,821,135
      $  1,821,135
Construction Materials — 0.4%
CRH PLC      62,332 $  3,436,622
      $  3,436,622
Consumer Finance — 0.4%
American Express Co.(1)      22,280 $  3,323,953
Navient Corp.(1)      28,416     489,324
      $  3,813,277
Consumer Staples Distribution & Retail — 1.1%
Costco Wholesale Corp.(1)       8,600 $  4,858,656
Koninklijke Ahold Delhaize NV      94,107   2,836,355
Seven & i Holdings Co., Ltd.      33,700    1,319,361
Security Shares Value
Consumer Staples Distribution & Retail (continued)
Target Corp.(1)       7,168 $    792,566
Walmart, Inc.(1)       5,517     882,334
      $ 10,689,272
Containers & Packaging — 0.2%
Smurfit Kappa Group PLC      44,508 $  1,473,825
      $  1,473,825
Distributors — 0.2%
LKQ Corp.(1)      34,009 $  1,683,786
      $  1,683,786
Diversified Telecommunication Services — 0.6%
Deutsche Telekom AG(1)     244,879 $  5,136,776
United Internet AG(3)      32,975     704,833
      $  5,841,609
Electric Utilities — 1.2%
Acciona S.A.       8,786 $  1,118,940
Chubu Electric Power Co., Inc.      31,500     400,991
Edison International(1)      40,471   2,561,410
Iberdrola S.A.(1)     633,684   7,087,406
Tokyo Electric Power Co. Holdings, Inc.(2)      40,600     181,102
      $ 11,349,849
Electrical Equipment — 0.9%
ABB, Ltd.(1)     103,575 $  3,696,921
Accelleron Industries AG       5,372     139,244
Fujikura, Ltd.      69,000     554,463
Legrand S.A.(1)      47,726   4,385,365
      $  8,775,993
Electronic Equipment, Instruments & Components — 1.1%
Alps Alpine Co., Ltd.      82,200 $    712,610
Citizen Watch Co., Ltd.     164,000   1,008,805
Corning, Inc.(1)       7,504     228,647
Halma PLC      50,000   1,178,036
Kyocera Corp.      44,900   2,276,327
Omron Corp.      12,000     534,017
Taiyo Yuden Co., Ltd.      51,500   1,391,509
TDK Corp.      79,900   2,953,924
      $ 10,283,875
Entertainment — 1.6%
Electronic Arts, Inc.(1)      30,496 $  3,671,718
 
2

Eaton Vance
Tax-Managed Global Buy-Write Opportunities Fund
September 30, 2023
Portfolio of Investments (Unaudited) — continued

Security Shares Value
Entertainment (continued)
Netflix, Inc.(1)(2)      21,340 $  8,057,984
Nintendo Co., Ltd.      22,400     930,786
Toho Co., Ltd.      14,100     481,030
Walt Disney Co. (The)(1)(2)      20,692   1,677,087
      $ 14,818,605
Financial Services — 1.7%
Berkshire Hathaway, Inc., Class B(1)(2)       8,108 $  2,840,233
Fidelity National Information Services, Inc.(1)      31,670   1,750,401
M&G PLC     286,752     687,033
Mastercard, Inc., Class A(1)      14,997   5,937,462
ORIX Corp.      42,300     789,842
PayPal Holdings, Inc.(1)(2)      33,387   1,951,804
Visa, Inc., Class A(1)       7,797   1,793,388
      $ 15,750,163
Food Products — 3.1%
Kikkoman Corp.       3,300 $    172,962
Mondelez International, Inc., Class A(1)     101,663   7,055,412
Nestle S.A.(1)     180,310  20,410,370
Nissin Foods Holdings Co., Ltd.      10,000     830,929
Toyo Suisan Kaisha, Ltd.       5,000     196,084
      $ 28,665,757
Gas Utilities — 0.1%
Italgas SpA      35,014 $    179,140
Snam SpA     152,501     715,576
      $    894,716
Ground Transportation — 0.6%
Canadian Pacific Kansas City, Ltd.(1)       8,498 $    632,336
Central Japan Railway Co.      17,000     413,406
CSX Corp.(1)     117,095   3,600,671
East Japan Railway Co.       5,700     326,193
Keio Corp.      15,200     522,548
      $  5,495,154
Health Care Equipment & Supplies — 1.5%
Abbott Laboratories(1)      68,052 $  6,590,836
Boston Scientific Corp.(1)(2)      20,000   1,056,000
DENTSPLY SIRONA, Inc.(1)      37,759   1,289,848
EssilorLuxottica S.A.       5,248     912,867
Olympus Corp.      31,100      403,786
Security Shares Value
Health Care Equipment & Supplies (continued)
Teleflex, Inc.(1)       6,010 $  1,180,424
Terumo Corp.     112,600   2,980,617
      $ 14,414,378
Health Care Providers & Services — 1.5%
McKesson Corp.(1)       7,905 $  3,437,489
UnitedHealth Group, Inc.(1)      20,230  10,199,764
      $ 13,637,253
Hotels, Restaurants & Leisure — 1.9%
Amadeus IT Group S.A.      24,489 $  1,479,201
Booking Holdings, Inc.(1)(2)       2,430   7,493,998
Compass Group PLC      91,736   2,232,999
Entain PLC     135,886   1,541,194
Flutter Entertainment PLC(2)       6,119     995,600
InterContinental Hotels Group PLC       9,889     731,334
Yum! Brands, Inc.(1)      22,953   2,867,748
      $ 17,342,074
Household Durables — 0.9%
Casio Computer Co., Ltd.      63,200 $    529,299
Nikon Corp.      35,000     368,616
PulteGroup, Inc.(1)      70,920   5,251,626
Sekisui Chemical Co., Ltd.      61,000     877,604
Sony Group Corp.      11,000     899,531
      $  7,926,676
Household Products — 0.4%
Clorox Co. (The)(1)       9,542 $  1,250,574
Henkel AG & Co. KGaA, PFC Shares       8,309     591,680
Procter & Gamble Co. (The)(1)       2,881     420,223
Reckitt Benckiser Group PLC      20,566   1,450,329
      $  3,712,806
Industrial Conglomerates — 1.6%
Honeywell International, Inc.(1)      19,811 $  3,659,884
Nisshinbo Holdings, Inc.      82,000     609,383
Siemens AG(1)      76,879  10,986,673
      $ 15,255,940
Insurance — 3.0%
Ageas S.A./NV      22,500 $    926,694
Allianz SE(1)      55,814  13,282,399
Allstate Corp. (The)(1)      14,109   1,571,884
Chubb, Ltd.(1)       1,376     286,456
Cincinnati Financial Corp.(1)       5,091      520,758
 
3

Eaton Vance
Tax-Managed Global Buy-Write Opportunities Fund
September 30, 2023
Portfolio of Investments (Unaudited) — continued

Security Shares Value
Insurance (continued)
Hannover Rueck SE       5,000 $  1,097,094
Hartford Financial Services Group, Inc.(1)      14,283   1,012,807
Legal & General Group PLC     250,000     674,583
Lincoln National Corp.(1)      17,183     424,248
Marsh & McLennan Cos., Inc.(1)      18,342   3,490,483
MS&AD Insurance Group Holdings, Inc.      37,200   1,361,308
Principal Financial Group, Inc.(1)      17,247   1,242,991
Prudential PLC(1)     224,243   2,410,461
      $ 28,302,166
Interactive Media & Services — 5.0%
Alphabet, Inc., Class A(1)(2)     115,940 $ 15,171,908
Alphabet, Inc., Class C(1)(2)     113,763  14,999,652
Meta Platforms, Inc., Class A(1)(2)      56,352  16,917,434
      $ 47,088,994
IT Services — 0.6%
Capgemini SE(1)      23,097 $  4,030,283
NTT Data Group Corp.      62,200     832,320
Obic Co., Ltd.       2,300     348,497
Otsuka Corp.      15,600     660,012
      $  5,871,112
Leisure Products — 0.1%
Hasbro, Inc.(1)       6,865 $    454,051
Yamaha Corp.      25,600     699,178
      $  1,153,229
Life Sciences Tools & Services — 0.9%
Revvity, Inc.(1)       6,547 $    724,753
Thermo Fisher Scientific, Inc.(1)      14,903   7,543,451
      $  8,268,204
Machinery — 1.5%
Daimler Truck Holding AG      13,462 $    466,112
Dover Corp.(1)       7,424   1,035,722
Ebara Corp.      25,500   1,193,067
FANUC Corp.     112,135   2,916,342
Kawasaki Heavy Industries, Ltd.       8,200     198,398
Komatsu, Ltd.      29,200     787,557
Makita Corp.       7,700     189,876
Mitsui E&S Co. Ltd.      69,200     268,254
Parker-Hannifin Corp.(1)       7,147   2,783,899
SMC Corp.       1,500     672,393
Snap-on, Inc.(1)       5,378    1,371,713
Security Shares Value
Machinery (continued)
Stanley Black & Decker, Inc.(1)      23,555 $  1,968,727
Toyota Industries Corp.       6,400     503,779
      $ 14,355,839
Media — 0.5%
Comcast Corp., Class A(1)      96,531 $  4,280,184
Hakuhodo DY Holdings, Inc.      20,900     171,674
      $  4,451,858
Metals & Mining — 0.9%
Glencore PLC     948,599 $  5,401,805
Rio Tinto PLC(1)      54,826   3,442,659
      $  8,844,464
Multi-Utilities — 0.7%
CMS Energy Corp.(1)      90,509 $  4,806,933
NiSource, Inc.(1)      42,420   1,046,926
Veolia Environnement S.A.      37,663   1,088,692
      $  6,942,551
Oil, Gas & Consumable Fuels — 3.9%
APA Corp.(1)      25,465 $  1,046,611
BP PLC     193,968   1,250,305
Chevron Corp.(1)      33,237   5,604,423
ConocoPhillips(1)       2,940     352,212
Devon Energy Corp.(1)      11,014     525,368
Idemitsu Kosan Co., Ltd.       6,200     142,136
Marathon Petroleum Corp.(1)      27,916   4,224,807
Phillips 66(1)      26,813   3,221,582
Shell PLC(1)     253,138   8,023,010
TotalEnergies SE(1)     181,770  11,951,254
      $ 36,341,708
Personal Care Products — 1.0%
Estee Lauder Cos., Inc. (The), Class A(1)      16,077 $  2,323,931
Kao Corp.      28,554   1,058,354
Unilever PLC     128,549   6,358,906
      $  9,741,191
Pharmaceuticals — 6.4%
Astellas Pharma, Inc.     175,700 $  2,431,972
AstraZeneca PLC(1)      56,549   7,627,579
Bayer AG(1)      26,130   1,254,877
Chugai Pharmaceutical Co., Ltd.     105,900   3,265,325
Daiichi Sankyo Co., Ltd.      62,100   1,700,130
Eisai Co., Ltd.      14,646      811,736
 
4

Eaton Vance
Tax-Managed Global Buy-Write Opportunities Fund
September 30, 2023
Portfolio of Investments (Unaudited) — continued

Security Shares Value
Pharmaceuticals (continued)
Eli Lilly & Co.(1)      13,232 $  7,107,304
Johnson & Johnson(1)      13,558   2,111,659
Merck & Co., Inc.(1)      25,250   2,599,488
Novartis AG(1)     123,663  12,629,533
Pfizer, Inc.(1)      14,458     479,572
Roche Holding AG PC(1)      38,191  10,426,182
Sanofi(1)      63,182   6,784,183
UCB S.A.       9,177     751,681
      $ 59,981,221
Professional Services — 0.9%
Ceridian HCM Holding, Inc.(1)(2)      11,651 $    790,520
Equifax, Inc.(1)      11,910   2,181,674
Experian PLC      79,133   2,588,248
Recruit Holdings Co., Ltd.      12,400     379,378
Robert Half, Inc.(1)      26,747   1,960,020
Wolters Kluwer NV         961     116,354
      $  8,016,194
Real Estate Management & Development — 0.5%
CBRE Group, Inc., Class A(1)(2)      37,761 $  2,789,027
Daito Trust Construction Co., Ltd.       5,500     579,335
Heiwa Real Estate Co., Ltd.      26,700     710,246
Sumitomo Realty & Development Co., Ltd.      13,600     353,077
      $  4,431,685
Residential REITs — 0.1%
UNITE Group PLC (The)      75,723 $    825,537
      $    825,537
Semiconductors & Semiconductor Equipment — 9.3%
Advantest Corp.     107,200 $  2,990,185
Analog Devices, Inc.(1)      25,340   4,436,781
ASML Holding NV(1)      25,161  14,813,539
Enphase Energy, Inc.(1)(2)       4,000     480,600
Infineon Technologies AG      85,739   2,839,739
Intel Corp.(1)     163,942   5,828,138
Lam Research Corp.(1)         864     541,529
Marvell Technology, Inc.(1)      82,514   4,466,483
Micron Technology, Inc.(1)      48,799   3,319,796
NVIDIA Corp.(1)      32,241  14,024,512
NXP Semiconductors NV(1)      40,985   8,193,721
ON Semiconductor Corp.(1)(2)      30,000   2,788,500
STMicroelectronics NV      35,000    1,509,307
Security Shares Value
Semiconductors & Semiconductor Equipment (continued)
Texas Instruments, Inc.(1)      75,299 $ 11,973,294
Tokyo Electron, Ltd.      66,900   9,138,021
      $ 87,344,145
Software — 7.3%
Adobe, Inc.(1)(2)      19,153 $  9,766,115
Crowdstrike Holdings, Inc., Class A(1)(2)      11,401   1,908,299
Dassault Systemes SE      40,765   1,514,111
Datadog, Inc., Class A(1)(2)      20,556   1,872,446
Microsoft Corp.(1)     152,708  48,217,551
Oracle Corp.(1)      34,518   3,656,147
Sage Group PLC (The)      46,259     556,676
Trend Micro, Inc.      14,897     563,901
      $ 68,055,246
Specialized REITs — 0.3%
American Tower Corp.(1)      17,793 $  2,926,059
      $  2,926,059
Specialty Retail — 2.1%
Fast Retailing Co., Ltd.      56,700 $ 12,350,123
Fnac Darty S.A.         922      22,583
Home Depot, Inc. (The)(1)       9,972   3,013,139
Lowe's Cos., Inc.(1)      19,382   4,028,355
USS Co., Ltd.      27,200     449,652
      $ 19,863,852
Technology Hardware, Storage & Peripherals — 5.8%
Apple, Inc.(1)     306,876 $ 52,540,240
Hewlett Packard Enterprise Co.(1)      64,216   1,115,432
HP, Inc.(1)      26,241     674,394
      $ 54,330,066
Textiles, Apparel & Luxury Goods — 2.7%
Kering S.A.(1)       7,414 $  3,368,646
LVMH Moet Hennessy Louis Vuitton SE(1)      24,802  18,721,304
NIKE, Inc., Class B(1)      33,397   3,193,421
      $ 25,283,371
Tobacco — 0.4%
British American Tobacco PLC(1)      81,683 $  2,564,738
Japan Tobacco, Inc.      34,000     782,274
      $  3,347,012
 
5

Eaton Vance
Tax-Managed Global Buy-Write Opportunities Fund
September 30, 2023
Portfolio of Investments (Unaudited) — continued

Security Shares Value
Trading Companies & Distributors — 0.7%
Ferguson PLC      20,627 $  3,394,588
Mitsubishi Corp.      21,400   1,019,717
Sumitomo Corp.      96,700   1,929,930
      $  6,344,235
Transportation Infrastructure — 0.1%
Aeroports de Paris S.A.       6,667 $    786,247
      $    786,247
Wireless Telecommunication Services — 1.0%
KDDI Corp.     113,000 $  3,458,982
SoftBank Group Corp.     114,496   4,823,202
T-Mobile US, Inc.(1)(2)       5,440     761,872
      $  9,044,056
Total Common Stocks
(identified cost $312,921,971)
    $934,058,993
    
Short-Term Investments — 0.1%
Security Shares Value
Morgan Stanley Institutional Liquidity Funds - Government Portfolio, Institutional Class, 5.27%(4)   1,046,382 $  1,046,382
Total Short-Term Investments
(identified cost $1,046,382)
    $  1,046,382
Total Investments — 99.9%
(identified cost $313,968,353)
    $935,105,375
Total Written Call Options — (0.2)%
(premiums received $7,906,866)
    $ (2,289,683)
Other Assets, Less Liabilities — 0.3%     $  3,264,149
Net Assets — 100.0%     $936,079,841
The percentage shown for each investment category in the Portfolio of Investments is based on net assets.
(1) Security (or a portion thereof) has been pledged as collateral for written options.
(2) Non-income producing security.
(3) Security exempt from registration under Regulation S of the Securities Act of 1933, as amended, which exempts from registration securities offered and sold outside the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933, as amended. At September 30, 2023, the aggregate value of these securities is $704,833 or 0.1% of the Fund's net assets.
(4) May be deemed to be an affiliated investment company. The rate shown is the annualized seven-day yield as of September 30, 2023.
Country Concentration of Portfolio
Country Percentage of
Total Investments
Value
United States 55.7% $521,151,113
Japan 11.1 104,006,792
France 8.2 76,133,728
United Kingdom 7.5 70,435,065
Switzerland 5.3 49,811,909
Germany 5.2 48,589,006
Netherlands 3.9 36,752,516
Spain 1.0 9,685,547
Ireland 0.8 6,947,806
Italy 0.7 6,126,519
Belgium 0.3 3,092,969
Finland 0.2 1,740,069
Canada 0.1 632,336
Total Investments 100.0% $935,105,375
 
6

Eaton Vance
Tax-Managed Global Buy-Write Opportunities Fund
September 30, 2023
Portfolio of Investments (Unaudited) — continued

Written Call Options (Exchange-Traded) — (0.2)%              
Description Number of
Contracts
Notional
Amount
Exercise
Price
Expiration
Date
Value
Dow Jones Euro Stoxx 50 Index 1,050 EUR     43,833,930 EUR  4,300  10/6/23 $   (33,905)
Dow Jones Euro Stoxx 50 Index 1,050 EUR     43,833,930 EUR  4,400 10/13/23    (19,633)
Dow Jones Euro Stoxx 50 Index 1,030 EUR     42,998,998 EUR  4,300 10/20/23   (175,460)
Dow Jones Euro Stoxx 50 Index 1,050 EUR     43,833,930 EUR  4,300 10/27/23   (267,537)
FTSE 100 Index   770 GBP     58,582,216 GBP  7,875 10/20/23   (140,164)
NASDAQ 100 Index    11 USD     16,186,764 USD 15,800  10/2/23        (28)
NASDAQ 100 Index    11 USD     16,186,764 USD 15,700  10/4/23       (330)
NASDAQ 100 Index    11 USD     16,186,764 USD 15,650  10/6/23     (1,155)
NASDAQ 100 Index    11 USD     16,186,764 USD 15,600  10/9/23     (2,393)
NASDAQ 100 Index    11 USD     16,186,764 USD 15,600 10/11/23     (5,225)
NASDAQ 100 Index    11 USD     16,186,764 USD 15,600 10/13/23     (9,570)
NASDAQ 100 Index    11 USD     16,186,764 USD 15,500 10/16/23    (19,360)
NASDAQ 100 Index    11 USD     16,186,764 USD 15,500 10/18/23    (26,455)
NASDAQ 100 Index    12 USD     17,658,288 USD 15,050 10/20/23   (162,480)
NASDAQ 100 Index    11 USD     16,186,764 USD 15,000 10/23/23   (185,460)
NASDAQ 100 Index    11 USD     16,186,764 USD 14,900 10/25/23   (256,630)
NASDAQ 100 Index    11 USD     16,186,764 USD 15,150 10/27/23   (176,165)
Nikkei 225 Index   450 JPY 14,335,929,000 JPY 33,500 10/13/23    (71,265)
S&P 500 Index    57 USD     24,441,885 USD  4,560  10/2/23       (143)
S&P 500 Index    57 USD     24,441,885 USD  4,530  10/4/23       (285)
S&P 500 Index    56 USD     24,013,080 USD  4,525  10/6/23       (420)
S&P 500 Index    56 USD     24,013,080 USD  4,530  10/9/23       (560)
S&P 500 Index    57 USD     24,441,885 USD  4,525 10/11/23     (1,425)
S&P 500 Index    57 USD     24,441,885 USD  4,535 10/13/23     (2,280)
S&P 500 Index    57 USD     24,441,885 USD  4,510 10/16/23     (6,412)
S&P 500 Index    57 USD     24,441,885 USD  4,510 10/18/23    (10,117)
S&P 500 Index    57 USD     24,441,885 USD  4,400 10/20/23   (116,280)
S&P 500 Index    58 USD     24,870,690 USD  4,390 10/23/23   (132,530)
S&P 500 Index    57 USD     24,441,885 USD  4,360 10/25/23   (230,850)
S&P 500 Index    57 USD     24,441,885 USD  4,390 10/27/23   (191,520)
SMI Index   390 CHF     42,757,650 CHF 11,400 10/20/23    (43,646)
Total             $(2,289,683)
Abbreviations:
PC – Participation Certificate
PFC Shares – Preference Shares
REITs – Real Estate Investment Trusts
Currency Abbreviations:
CHF – Swiss Franc
EUR – Euro
GBP – British Pound Sterling
JPY – Japanese Yen
USD – United States Dollar
7

Eaton Vance
Tax-Managed Global Buy-Write Opportunities Fund
September 30, 2023
Portfolio of Investments (Unaudited) — continued

At September 30, 2023, 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 index call options above the current value of the index to generate premium income. In writing index call options, the Fund in effect, sells potential appreciation in the value of the applicable index above the exercise price in exchange for the option premium received. The Fund retains the risk of loss, minus the premium received, should the value of the underlying index decline.
Affiliated Investments
At September 30, 2023, the value of the Fund's investment in funds that may be deemed to be affiliated was $1,046,382, which represents 0.1% of the Fund's net assets. Transactions in such investments by the Fund for the fiscal year to date ended September 30, 2023 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) $1,376,597 $96,783,832 $(97,114,047) $ — $ — $1,046,382 $125,508 1,046,382
(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.
At September 30, 2023, the hierarchy of inputs used in valuing the Fund’s investments and open derivative instruments, which are carried at value, were as follows:
Asset Description  Level 1 Level 2 Level 3 Total
Common Stocks:        
Communication Services $ 65,537,839 $ 15,707,283 $    — $ 81,245,122
Consumer Discretionary  73,322,129  70,327,941     — 143,650,070
Consumer Staples  30,542,918  42,418,333     —  72,961,251
Energy  14,975,003  21,366,705     —  36,341,708
Financials  45,637,388  56,625,233     — 102,262,621
Health Care  58,483,238  51,980,468     — 110,463,706
Industrials  27,629,996  59,407,225     —  87,037,221
Information Technology 186,490,719  50,603,833     — 237,094,552
Materials   6,972,846  28,659,499     —  35,632,345
Real Estate   5,715,086   2,468,195     —   8,183,281
Utilities   8,415,269  10,771,847     —  19,187,116
Total Common Stocks $523,722,431 $410,336,562* $    — $934,058,993
8

Eaton Vance
Tax-Managed Global Buy-Write Opportunities Fund
September 30, 2023
Portfolio of Investments (Unaudited) — continued

Asset Description (continued) Level 1 Level 2 Level 3 Total
Short-Term Investments $  1,046,382 $        — $    — $  1,046,382
Total Investments $524,768,813 $410,336,562 $    — $935,105,375
Liability Description         
Written Call Options $ (1,538,073) $   (751,610) $    — $ (2,289,683)
Total $ (1,538,073) $   (751,610) $    — $ (2,289,683)
* Includes foreign equity securities whose values were adjusted to reflect market trading of comparable securities or other correlated instruments that occurred after the close of trading in their applicable foreign markets.
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.
9

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