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Eaton Vance Corp (NYSE:EV) has been downgraded to Hold in a statement by Zacks Investment Research earlier today.

Displaying a price of $38.52, Eaton Vance Corp (NYSE:EV) traded 0.68% higher on the day. The last close is up 7.94% relative to the two hundred day moving average, compared with the S&P 500 Index which has fallen -0.01% over the same period. The company has recorded a 50-day average of $38.93 and 200-day moving average of $35.69. 539,919 shares of the stock were exchanged, down from ann average volume of 797,478

Zacks Investment Research has downgraded Eaton Vance Corp(NYSE:EV) to Hold in a statement released Thursday September 15 2016.

Previously on 8/19/2016, KBW released a statement about Eaton Vance Corp(NYSE:EV) upped the target price from $38.00 to $40.00 that indicated a possible upside of 0.00%.

Performance Graphic:

Eaton Vance Corp (NYSE:EV)

Also covering Eaton Vance Corp’s stock price target, a total of 10 brokerages have released a ratings update on Eaton Vance Corp. The average target is $32.80 with 0 rating the company a strong buy, one analyst rating the company a buy, nine firms rating the stock a hold, two firms rating the company to underperform, and finally 0 analysts rating the stock as sell.

Eaton Vance Corp has a price-earnings of 19 with a one-year low of $26.44 and a one-year high of $40.36 and has a market cap of $0.0.

More About Eaton Vance Corp (NYSE:EV)

Eaton Vance Corp. is engaged in business of managing investment funds and providing investment management and advisory services to individuals and institutions. The Company seeks to develop and sustain management expertise across a range of investment disciplines, and offer investment products and services through various distribution channels. It operates in the investment adviser segment managing funds and separate accounts. The Company, through its subsidiaries, Eaton Vance Management and Atlanta Capital Management, LLC, and other affiliates, manages active equity, income and alternative strategies across a range of investment styles and asset classes, including the United States and global equities, floating-rate bank loans, municipal bonds and investment grade bonds. Through its subsidiary, Parametric Portfolio Associates LLC (Parametric), it manages a range of engineered alpha strategies, including systematic equity, and systematic alternatives and managed options strategies.

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