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Get Insiders for : 
Eaton Vance Insured Municipal Bond Fund (EIM)  
$10.04 0.03 (0.3%) as of 4:30 Fri 4/19


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Exchange: American Stock Exchange
Security Type: Mutual Fund
Shares Out: 68,168,000
Market Cap: 684.41(M)
Last Volume: 54,523 Avg Vol: 167,008
52 Week Range: $8.64 - $10.42
Level I Sector: Financials
Level II Sector: Financial Services
Level III Sector: Closed - End Fund - Debt

Member Indexes:

    AMEX COMPOSITE

Rankings:

     
Insider 3 Months    :   -
Insider 6 Months    :   -
Insider 3/6 Months :   -
Guru Rank Number :  -
Guru Rank Value     :  -
Guru Occurances    :  -

 

            6 Months   1 Year   2 Year  
 
Company Profile   Eaton Vance Municipal Bond Fund is a non-diversified, closed-end management investment company. The Fund's investment objective is to achieve current-income exempt from regular federal income tax, including alternative minimum tax, and taxes in its specified state. The Fund seeks to achieve its objective by investing primarily in high grade municipal obligations that are insured as to the timely payment of principal and interest. As of Sep 30 2017, the Fund's investment portfolio totaled $1,523,290,216 and assets totaled $1,543,671,786.


 
 
Summary  (Direct Transactions Only) 3 Months 6 Months 12 Months 24 Months
Total Shares Bought 0 0 0 47,665
Total Buy Value $0 $0 $0 $506,465
Total People Bought 0 0 0 1
Total Buy Transactions 0 0 0 2
Total Shares Sold 0 0 0 0
Total Sell Value $0 $0 $0 $0
Total People Sold 0 0 0 0
Total Sell Transactions 0 0 0 0
End Date 2024-01-21 2023-10-20 2023-04-21 2022-04-21

   
Records found: 10
  Page 1 of 1  
Filer's Name Relation Title Off-Dir-10% Tran. Date Form Action Price Mkt Value D/I Shares Holdings
Rank

 
3m +/-  
Form
   Lippincott Daniel 10% Owner   –       –       •   2024-04-11 3 IO $0.00 $0 D/D 0 5,000 -0%     
   Brandon Craig R Portfolio Management   •       •      –    2022-06-15 4 B $10.37 $259,190 D/D 25,000 69,415 2.44 -9%     
   Brandon Craig R Portfolio Management   •       •      –    2022-04-21 4 B $10.91 $247,275 D/D 22,665 44,415 2.44 -3%     
   Brandon Craig R Portfolio Management   •       •      –    2022-03-16 4 B $11.44 $248,777 D/D 21,750 21,750 2.44 -5%     
   Karpus George W 10% Owner   –       –       •   2020-07-28 4 S $13.93 $1,085,593 D/D (77,932) 418,419 -1%     
   Karpus George W 10% Owner   –       –       •   2020-06-17 4 S $12.65 $385,673 D/D (30,488) 496,351 -2%     
   Karpus George W 10% Owner   –       –       •   2020-06-16 4 S $12.71 $47,027 D/D (3,700) 526,839 -2%     
   Karpus George W 10% Owner   –       –       •   2019-12-18 4 S $13.66 $1,407,663 D/D (103,050) 530,539     -
   Karpus George W 10% Owner   –       –       •   2019-05-21 4 S $13.37 $3,045,312 D/D (227,772) 633,589     -
   Karpus George W 10% Owner   –       –       •   2019-02-28 3 IO $0.00 $0 D/D 0 9,381,976     -

  10 Records found
  1    
  Page 1 of 1
  Transaction Code Key: Ownership Code Key
  B - Buy AB - Automatic Buy D - Direct Ownership
  S - Sell AS - Automatic Sell I - Indirect Ownership
  OE - Options Exercised A - Acquired
  IO - Initital Ownership D - Disposed