Eaton Vance Corporation (EV) : During the past 4 weeks, traders have been relatively bearish on Eaton Vance Corporation (EV), hence the stock is down -2.17% 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 -0.67% relative to the S&P 500. The 4-week change in the price of the stock is -2.69% and the stock has fallen -0.51% in the past 1 week.
The stock has recorded a 20-day Moving Average of 0.02% and the 50-Day Moving Average is 0.75%.The 200 Day SMA reached 14.95%
Eaton Vance Corporation (NYSE:EV): After opening at $38.69, the stock dipped to an intraday low of $38.51 on Friday. However, the bulls stepped in to buy at lower levels and pushed the stock higher. The stock touched an intraday high of $39.29 and the buying power remained strong till the end. The stock closed at $39.05 for the day, a gain of 2.04% for the day session. The total traded volume was 745,165. The stocks close on the previous trading day was $39.05.
Eaton Vance Corporation (EV) : 5 Wall Street analysts covering Eaton Vance Corporation (EV) believe that the average level the stock could reach for the short term is $36.8. The maximum price target given is $43 and the minimum target for short term is around $28, hence the standard deviation is calculated at $5.72.
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.