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Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund
ETW
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US Flag

NYSE

925M

Asset Management - Global

8.61USD
Shape-0.00 ( -0.04%)
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Relative Strenght

42
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Volume Buzz

-53%
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Earning Acce

No
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Dist 52w H.

1%

Quote Panel

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Updated October 16, 2024
1W 0.08 % 1M 2.46 % 3M 5.22 % 1Y 25.28 %

Key Metrics

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  • Market Cap

    925.10M


  • Shares Outstanding

    107.49M


  • Share in Float

    107.49M


  • Dividende

    0.8


  • Earning Date

    No Data


  • Price Target

    8.6066


  • Average Volume

    441484


  • Beta

    0.977


  • Range

    6.96-8.72


  • Industry

    Asset Management - Global


  • Website

    https://funds.eatonvance.com/Tax-Managed-Global-Buy-Write-Opportunities-Fund-ETW.php


  • Sector

    Financial Services


Fundamentals

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22.72x

P/E Ratio

13.14x

P/S Ratio

0.92x

P/B Ratio

0.0

Debt/Equity

186.9%

Net Margin

$1.0

EPS

How ETW compares to sector?

P/E Ratio

Relative Strength

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ETW

Sector

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Top 5 RS in Group

Symbol

Company

RS

5-Day Perf.

Forecast

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No Data Available

Analyst rating

No Data Available

Last analyst upgrade/downgrade

No Data Available

Earnings GrowthShape

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Current

Estimates

Q2.22

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N/A

NA
vs NA

Q3.22

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N/A

NA
vs NA

Q4.22

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N/A

NA
vs NA

Q1.23

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N/A

NA
vs NA

Q2.23

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N/A

NA
vs NA

Q3.23

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N/A

NA
vs NA

Q4.23

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N/A

0.38
vs NA

Q1.24

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N/A

NA
vs NA

Q2.24

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N/A

NA
vs NA

Q3.24

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N/A

1.54
vs NA

Sales GrowthShape

status-upYoY

Current

Estimates

Q2.22

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+50%

75.1M  vs 50M

Q3.22

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+5%

4.5M  vs 4.3M

Q4.22

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-69%

14.6M  vs 47.3M

Q1.23

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-2%

6.5M  vs 6.7M

Q2.23

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-91%

6.5M  vs 75.1M

Q3.23

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-10%

4M  vs 4.5M

Q4.23

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+237%

49.4M  vs 14.6M

Q1.24

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+30%

8.5M  vs 6.5M

Q2.24

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+31%

8.5M  vs 6.5M

Q3.24

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+86%

7.5M  vs 4M

Return on EquityShape

status-upQoQ

Q3.22

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+1%

0.01
vs 0.12

Q4.22

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+1%

0.01
vs 0.01

Q1.23

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+5%

0.05
vs 0.01

Q2.23

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+11%

0.11
vs 0.05

Q3.23

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+2%

0.02
vs 0.11

Q4.23

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+4%

0.04
vs 0.02

Q1.24

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+3%

0.03
vs 0.04

Q2.24

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+3%

0.03
vs 0.03

Institutionnal OwnershipShape

status-upQoQ

Q3.22

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127

127
vs 123

3%

Q4.22

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139

139
vs 127

9%

Q1.23

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131

131
vs 139

-6%

Q2.23

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134

134
vs 131

2%

Q3.23

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144

144
vs 134

7%

Q4.23

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143

143
vs 144

-1%

Q1.24

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143

143
vs 143

NA

Q2.24

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145

145
vs 143

1%

Earnings Growth

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