Capital Investment Advisors’s Eaton Vance Municipal Bond Fund EIM Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Shares
Change %
Capital Flow Portfolio Weight Portfolio Position
2025
Q2
$375K Sell
38,733
-925
-2% -$8.95K 0.01% 507
2025
Q1
$395K Hold
39,658
0.01% 481
2024
Q4
$411K Buy
39,658
+1,053
+3% +$10.9K 0.01% 452
2024
Q3
$415K Hold
38,605
0.01% 445
2024
Q2
$408K Sell
38,605
-974
-2% -$10.3K 0.01% 431
2024
Q1
$410K Sell
39,579
-253
-0.6% -$2.62K 0.01% 430
2023
Q4
$404K Sell
39,832
-4,627
-10% -$46.9K 0.01% 422
2023
Q3
$398K Sell
44,459
-2,595
-6% -$23.3K 0.01% 399
2023
Q2
$468K Sell
47,054
-420
-0.9% -$4.18K 0.01% 353
2023
Q1
$494K Sell
47,474
-876
-2% -$9.11K 0.01% 351
2022
Q4
$502K Sell
48,350
-7,727
-14% -$80.2K 0.02% 355
2022
Q3
$543K Sell
56,077
-1,673
-3% -$16.2K 0.02% 326
2022
Q2
$618K Sell
57,750
-3,946
-6% -$42.2K 0.02% 320
2022
Q1
$710K Sell
61,696
-1,689
-3% -$19.4K 0.02% 320
2021
Q4
$861K Sell
63,385
-896
-1% -$12.2K 0.03% 295
2021
Q3
$860K Sell
64,281
-3,923
-6% -$52.5K 0.03% 290
2021
Q2
$933K Buy
68,204
+2,223
+3% +$30.4K 0.03% 285
2021
Q1
$878K Sell
65,981
-5,297
-7% -$70.5K 0.03% 274
2020
Q4
$969K Buy
71,278
+47
+0.1% +$639 0.04% 249
2020
Q3
$938K Buy
71,231
+6,946
+11% +$91.5K 0.04% 235
2020
Q2
$818K Sell
64,285
-5,120
-7% -$65.2K 0.04% 246
2020
Q1
$866K Sell
69,405
-9,931
-13% -$124K 0.06% 214
2019
Q4
$1.02M Sell
79,336
-553
-0.7% -$7.12K 0.05% 230
2019
Q3
$1.04M Sell
79,889
-2,340
-3% -$30.3K 0.05% 219
2019
Q2
$1.02M Sell
82,229
-4,990
-6% -$62K 0.06% 221
2019
Q1
$1.08M Buy
87,219
+5,796
+7% +$71.9K 0.06% 209
2018
Q4
$919K Buy
81,423
+5,356
+7% +$60.5K 0.06% 219
2018
Q3
$877K Buy
76,067
+16,451
+28% +$190K 0.05% 231
2018
Q2
$704K Buy
59,616
+40,964
+220% +$484K 0.04% 244
2018
Q1
$220K Buy
18,652
+5,665
+44% +$66.8K 0.01% 441
2017
Q4
$162K Hold
12,987
0.01% 460
2017
Q3
$165K Hold
12,987
0.01% 445
2017
Q2
$165K Hold
12,987
0.01% 443
2017
Q1
$163K Sell
12,987
-437
-3% -$5.49K 0.01% 434
2016
Q4
$167K Hold
13,424
0.01% 428
2016
Q3
$183K Hold
13,424
0.02% 413
2016
Q2
$190K Hold
13,424
0.02% 394
2016
Q1
$179K Buy
+13,424
New +$179K 0.02% 390