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Eaton Vance Income Fund of Boston (ECIBX) is an MF managed by Eaton Vance. Its largest position is MORGAN STANLEY (MS), representing 3.17% of fund assets.

Eaton Vance Income Fund of Boston Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
ECIBX
Type:
MF
Manager:
Eaton Vance
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 24, 2026
Showing 49 out of 49 holdings
Holding Weight Market Value Shares
-
MORGAN STANLEY
3.17% $128,799,445.37 128,799,445
-
ABC TECHNOLOGIES INC
0.94% $38,254,029.89 40,585,462
-
Bausch Health Companies Inc.
0.70% $28,488,110.48 29,196,116
-
NEW GENERATION GAS GATHERING LLC
0.56% $22,835,967.94 23,506,757
-
IRB HOLDING CORP.
0.53% $21,540,434.95 21,459,960
-
PENINSULA GAMING LLC
0.53% $21,396,460.90 71,579
-
QXO, Inc.
0.49% $20,094,955.79 2,093
-
FORTRESS INTERMEDIATE 3 INC.
0.48% $19,541,909.93 19,615,468
-
EVERGREEN ACQCO 1 LP
0.45% $18,253,393.23 18,202,154
-
PELOTON INTERACTIVE, INC.
0.44% $17,917,031.60 17,794,605
-
GFL Environmental Inc.
0.42% $17,058,783.00 425,300
-
PETSMART INC TL B
0.40% $16,418,227.89 16,331,426
-
ALLIANT PRIVATE PLACEMENT
0.39% $15,984,438.81 16,273,240
-
CLARIOS GLOBAL LP
0.32% $13,089,935.66 11,065,000
-
HARD ROCK INDIANA CASINO
0.32% $12,923,324.31 13,271,707
-
ASSOCIATED MATERIALS INC
0.30% $12,385,569.18 17,089,437
-
PENINSULA PACIFIC ENTERTAINMENT LLC
0.30% $12,172,637.69 12,193,000
-
SPECIALTY BUILDING PRODUCTS HOLDINGS LLC
0.27% $10,953,096.70 12,499,896
-
EMRLD BORROWER LP
0.27% $10,790,862.01 10,765,187
-
ASCENT CAPITAL GROUP INC
0.26% $10,781,230.68 320,298
-
TRUIST INSURAN 03/07/2032
0.25% $10,249,390.78 10,326,842
-
CP ATLAS BUYER INC
0.23% $9,497,087.15 10,555,955
-
LBM ACQUISITION LLC
0.23% $9,414,664.32 11,201,266
-
MAVIS TIRE EXPRESS SERVICES TOPCO CORP
0.23% $9,409,280.80 9,383,055
-
E.W. SCRIPPS Co
0.23% $9,408,307.84 9,527,400
-
CLARIOS GLOBAL LP
0.22% $9,013,190.20 8,962,775
-
MEN'S WEARHOUSE LLC/THE
0.22% $8,852,380.03 8,762,000
-
ENDO LUXEMBOURG FINANCE COMPANY I SA RL
0.21% $8,501,694.59 8,578,905
-
LIFEPOINT HEALTH INC
0.20% $7,995,295.40 8,017,825
-
INTERIOR LOGIC GROUP, INC. (SIGNAL PARENT)
0.20% $7,970,093.17 12,873,885
-
VENTURE GLOBAL CALCASIEU PASS LLC
0.16% $6,560,706.06 6,532,128
-
SWORD PURCHASER LLC
0.15% $6,189,962.50 6,365,000
-
PENINSULA PACIFIC ENTERTAINMENT LLC
0.15% $6,031,534.88 6,031,535
-
Energy Transfer LP
0.14% $5,552,250.00 275,000
-
PARK RIVER HOLDINGS INC
0.13% $5,438,196.19 5,436,375
-
CRASH CHAMPIONS LLC
0.13% $5,194,061.59 5,427,442
-
CLYDESDALE ACQUISITION HOLDINGS INC
0.12% $4,970,653.93 5,195,000
-
EMRLD BORROWER LP
0.12% $4,882,864.44 4,870,566
-
ENVIVA LLC
0.11% $4,456,093.50 220,054
-
E.W. SCRIPPS Co
0.10% $3,990,029.21 3,955,419
-
TRANSDIGM INC
0.08% $3,245,644.56 3,236,986
-
CHARTER COMMUNICATIONS, INC. /MO/
0.07% $2,973,060.00 18,000
-
WHITE CAP SUPPLY HOLDINGS LLC(F/K/A WHITE CAP BUYER LLC)
0.07% $2,686,820.68 2,695,000
-
KENNOVA THERAPEUTICS.
0.01% $254,020.15 2,829
-
CITIBANK NA
0.00% $20,758.55 1
-
PAR HEALTH, INC. PVE
0.00% $11,405.11 2,829
-
ACC CLAIMS HOLDINGS LLC
0.00% $0.00 11,599,560
-
IFIT HEALTH FITNESS INC
0.00% $0.00 128,520
-
GOLDMAN SACHS INTERNATIONAL
-0.01% -$226,433.08 1
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