Eaton Vance Corporation (NYSE:EV) : During the past 4 weeks, traders have been relatively bearish on Eaton Vance Corporation (NYSE:EV), hence the stock is down -1.73% when compared to the S&P 500 during the same period. However, in the past 1 week, the selling of the stock is down by -1.99% relative to the S&P 500. The 4-week change in the price of the stock is -0.14% and the stock has fallen -0.73% in the past 1 week.
The company shares have dropped -9.69% from its 1 Year high price. On Jul 17, 2015, the shares registered one year high at $40.11 and the one year low was seen on Feb 3, 2016. The 50-Day Moving Average price is $35.57 and the 200 Day Moving Average price is recorded at $32.60.
The stock has recorded a 20-day Moving Average of 0.45% and the 50-Day Moving Average is 0.29%.
Eaton Vance Corporation (NYSE:EV): stock turned positive on Friday. Though the stock opened at $35.04, the bulls momentum made the stock top out at $35.4399 level for the day. The stock recorded a low of $34.91 and closed the trading day at $35.32, in the green by 2.47%. The total traded volume for the day was 640,768. The stock had closed at $34.47 in the previous days trading.
In an insider trading activity, Smith Winthrop H Jr, director of Eaton Vance Corp, unloaded 8,197 shares at an average price of $37.2 on June 23, 2016. The total amount of the transaction was worth $304,928, according to the disclosed information with the Securities and Exchange Commission in a Form 4 filing.
Eaton Vance Corp is managing investment funds and providing investment management and advisory services to institutions and high-net-worth individuals. The Company develops and sustains management expertise across a range of investment disciplines and offers investment products and services through multiple distribution channels. The Companys principal investment affiliates Eaton Vance Management, Parametric, Atlanta Capital and Hexavest offer a range of strategies. The Eaton Vance Management offers Equity, income and alternative strategies based on in-depth fundamental analysis. The Parametric offers rules-based alpha-seeking equity, alternative and options strategies and implementation services. The Atlanta Capital actively manages high-quality US stock and bond portfolios constructed using bottom-up fundamental analysis. The Hexavest offer global equity and tactical allocation strategies combining fundamental research and quantitative models.