Eaton Vance Corporation (EV) has an average broker rating of 3.29, which is interpreted as a Hold, as rated by 7 equity analysts. 1 other analysts advise a Buy. Nevertheless, the majority of 4 analysts consider that the stock is a Hold with neither a large upside nor a downside. Ranking by Zacks Investment Research for Coach Inc is 3, which is also a Hold. 1 brokerage firm advices Strong Sell on the share due to lack of confidence about the future of the company. 1 considers that the stock is a Sell.
Eaton Vance Corporation (EV) has been rated by 5 research analysts. Fundamentally, the highest shorterm price forecast for the stock is expected to reach $43 and the lowest price target forecast is $28. The average forecast of all the analysts is $35.4 and the expected standard deviation is $5.55.
Company shares have received an average consensus rating of Hold for the current week
Eaton Vance Corporation (NYSE:EV): During Tuesdays trading session, Bulls were in full control of the stock right from the opening. The stock opened at $36.39 and $36.36 proved to be the low of the day. Continuous buying at higher levels pushed the stock towards an intraday high of $36.71. The buying momentum continued till the end and the stock did not give up its gains. It closed at $36.64, notching a gain of 1.89% for the day. The total traded volume was 1,318,302 . The stock had closed at $35.96 on the previous day.
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.