Eaton Vance Corporation (EV) : 1 Analyst considers the fundamentals to be worthy of a Buy recommendation. 4 analysts believe that the current prices are in a balance with the stocks fundamentals, hence they propose Hold on Eaton Vance Corporation (EV). Zacks Investment Research suggests a Buy with a rank of 2. 1 analysts perceive the stock to be overvalued at the existing levels, hence their call is to Sell the stock.The median of all the 6 Wall Street Analysts endorse the stock as a Hold with a rating of 3.
Eaton Vance Corporation (EV) : The consensus price target for Eaton Vance Corporation (EV) is $36.4 for the short term with a standard deviation of $5.5. The most optimist securities analyst among the 5 who monitor the stock believes that the stock can reach $43, however, the pessimist price target for the company is $28.
Shares of Eaton Vance Corp. rose by 4.02% in the last five trading days and 6.57% for the last 4 weeks. Eaton Vance Corp. is up 11.15% in the last 3-month period. Year-to-Date the stock performance stands at 25.75%. Eaton Vance Corporation (NYSE:EV): stock turned positive on Tuesday. Though the stock opened at $39.94, the bulls momentum made the stock top out at $40.1 level for the day. The stock recorded a low of $39.76 and closed the trading day at $39.82, in the green by 0.48%. The total traded volume for the day was 686,204. The stock had closed at $39.63 in the previous days trading.
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.