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McKesson Corp 58155Q103 31370.00000000 NS USD 19355917.40000000 0.980848172870 Long EC CORP US N 1 N N N PNC FINANCIAL SERVICES CFGNEKW0P8842LEUIA51 PNC Financial Services Group Inc/The 693475BD6 5000000.00000000 PA USD 4942011.50000000 0.250433128531 Long DBT CORP US N 2 2027-05-15 Fixed 6.00000000 N N N N N N GOLDMAN SACHS GROUP INC 784F5XWPLTWKTBV3E584 Goldman Sachs Group Inc/The 38141GA38 4975000.00000000 PA USD 5217003.90000000 0.264368184541 Long DBT CORP US N 2 2029-02-10 Fixed 7.50000000 N N N N N N Emera Inc NQZVQT2P5IUF2PGA1Q48 Emera Inc 290876AD3 5475000.00000000 PA USD 5466794.62000000 0.277026162267 Long DBT CORP CA N 2 2076-06-15 Fixed 6.75000000 N N N N N N CITIGROUP INC 6SHGI4ZSSLCXXQSBB395 Citigroup Inc 172967MU2 18021000.00000000 PA USD 17296889.19000000 0.876508294996 Long DBT CORP US N 2 2025-12-10 Fixed 4.00000000 N N N N N N Apple Inc HWUPKR0MPOU8FGXBT394 Apple Inc 037833100 31175.00000000 NS USD 6923344.00000000 0.350835828249 Long EC CORP US N 1 N N N BANK OF MONTREAL NQQ6HPCNCCU6TUTQYE16 Bank of Montreal 06368LQ58 11692000.00000000 PA USD 12063700.37000000 0.611319950454 Long DBT CORP CA N 2 2084-05-26 Fixed 7.70000000 N N N N N N BANK OF NOVA SCOTIA L3I9ZG2KFGXZ61BMYR72 Bank of Nova Scotia/The 0641598V1 2365000.00000000 PA USD 2482949.20000000 0.125821790609 Long DBT CORP CA N 2 2084-01-27 Fixed 8.00000000 N N N N N N UBS Group AG 549300SZJ9VS8SGXAN81 UBS Group AG 000000000 2675000.00000000 PA USD 2669984.38000000 0.135299673303 Long DBT CORP CH Y 2 2025-08-07 Fixed 6.87500000 N N N N N N Mid-America Apartment Communities Inc 549300FQZKFR5YNSHZ21 Mid-America Apartment Communities Inc 59522J103 326471.00000000 NS USD 45630851.67000000 2.312312899571 Long EC US N 1 N N N Alcoa Corp 549300T12EZ1F6PWWU29 Alcoa Corp 013872106 624832.00000000 NS USD 20644449.28000000 1.046143664376 Long EC CORP US N 1 N N N ATHENE HOLDING LTD 549300H316CT32FQXI76 Athene Holding Ltd 04686J309 163096.00000000 NS USD 4048042.72000000 0.205131858312 Long EP CORP US N 1 N N N AMER AGCREDIT ACA N/A American AgCredit Corp 02369GAA3 9955000.00000000 PA USD 9755900.00000000 0.494373709701 Long DBT CORP US N 2 2026-06-15 Fixed 5.25000000 N N N N N N ESC GCB144A UNIFIN FIN 5493007GRMPGDJG93Z17 ESC GCB144A UNIFIN FIN 904ESCAJ9 2410000.00000000 PA USD 0.00000000 0.000000 Long DBT CORP MX N 3 2026-02-12 None 0.00000000 Y N N N N N Mettler-Toledo International Inc 5493000BD5GJNUDIUG10 Mettler-Toledo International Inc 592688105 18723.00000000 NS USD 28478244.69000000 1.443116009099 Long EC CORP US N 1 N N N BANK OF NOVA SCOTIA L3I9ZG2KFGXZ61BMYR72 Bank of Nova Scotia/The 0641598S8 7900000.00000000 PA USD 8388227.90000000 0.425067840459 Long DBT CORP CA N 2 2082-10-27 Fixed 8.62500000 N N N N N N SCE Trust IV N/A SCE Trust IV 78409G206 24025.00000000 NS USD 575639.00000000 0.029170121452 Long EP CORP US N 1 N N N BARCLAYS PLC 213800LBQA1Y9L22JB70 Barclays PLC 06738EBX2 7020000.00000000 PA USD 7227426.96000000 0.366245028937 Long DBT CORP GB N 2 2029-03-15 Fixed 8.00000000 N N N N N N SCE Trust V N/A SCE Trust V 78409W201 130020.00000000 NS USD 3151684.80000000 0.159709520022 Long EP CORP US N 1 N N N BARCLAYS PLC 213800LBQA1Y9L22JB70 Barclays PLC 06738EBN4 7552000.00000000 PA USD 7464823.49000000 0.378274939371 Long DBT CORP GB N 2 2025-12-15 Fixed 6.12500000 N N N N N N SCE Trust III N/A SCE Trust III 78409B207 116693.00000000 NS USD 2939496.67000000 0.148957028403 Long EP CORP US N 1 N N N S&P Global Inc Y6X4K52KMJMZE7I7MY94 S&P Global Inc 78409V104 42336.00000000 NS USD 20521529.28000000 1.039914775561 Long EC CORP US N 1 N N N Global X US Preferred ETF 5493002F5H3KM07K2Y09 Global X US Preferred ETF 37954Y657 821486.00000000 NS USD 16224348.50000000 0.822158012631 Long EC RF US N 1 N N N JPMorgan Chase & Co 8I5DZWZKVSZI1NUHU748 JPMorgan Chase & Co 46625H100 458381.00000000 NS USD 97543476.80000000 4.942950469231 Long EC CORP US N 1 N N N BANCO MERCANTIL DE NORTE 549300QTVYRPFHS0J362 Banco Mercantil del Norte SA/Grand Cayman 05971PAB4 4421000.00000000 PA USD 4357169.60000000 0.220796656274 Long DBT CORP MX N 2 2029-06-27 Fixed 7.50000000 N N N N N N Westinghouse Air Brake Technologies Corp 06BTX5UWZD0GQ5N5Y745 Westinghouse Air Brake Technologies Corp 929740108 214363.00000000 NS USD 34544597.45000000 1.750524379246 Long EC CORP US N 1 N N N NATWEST GROUP PLC 2138005O9XJIJN4JPN90 NatWest Group PLC 639057AD0 1477000.00000000 PA USD 1214276.26000000 0.061532637609 Long DBT CORP GB N 2 2031-06-28 Fixed 4.60000000 N N N N N N LIBERTY MUTUAL GROUP INC QUR0DG15Z6FFGYCHH861 Liberty Mutual Group Inc 53079EBM5 12676000.00000000 PA USD 11868187.42000000 0.601412462433 Long DBT CORP US N 2 2051-12-15 Fixed 4.12500000 N N N N N N Bristol-Myers Squibb Co HLYYNH7UQUORYSJQCN42 Bristol-Myers Squibb Co 110122108 692564.00000000 NS USD 32938343.84000000 1.669128551501 Long EC CORP US N 1 N N N Invitation Homes Inc N/A Invitation Homes Inc 46187W107 921481.00000000 NS USD 32500634.87000000 1.646947942099 Long EC US N 1 N N N STANDARD CHARTERED PLC U4LOSYZ7YG4W3S5F2G91 Standard Chartered PLC 853254BX7 4440000.00000000 PA USD 3736915.79000000 0.189365709154 Long DBT CORP GB N 2 2031-01-14 Fixed 4.75000000 N N N N N N American International Group Inc ODVCVCQG2BP6VHV36M30 American International Group Inc 026874784 575575.00000000 NS USD 45602807.25000000 2.310891767338 Long EC CORP US N 1 N N N BANK OF NOVA SCOTIA L3I9ZG2KFGXZ61BMYR72 Bank of Nova Scotia/The 064159VJ2 3300000.00000000 PA USD 3248524.95000000 0.164616829876 Long DBT CORP CA N 2 2025-06-04 Fixed 4.90000000 N N N N N N Eaton Corp PLC 549300VDIGTMXUNT7H71 Eaton Corp PLC 000000000 97431.00000000 NS USD 29695994.49000000 1.504824666026 Long EC CORP IE N 1 N N N SWEDBANK AB M312WZV08Y7LYUC71685 Swedbank AB 000000000 4600000.00000000 PA USD 4598850.00000000 0.233043648957 Long DBT CORP SE Y 2 2024-09-17 Fixed 5.62500000 N N N N N N BANCO BILBAO VIZCAYA ARG K8MS7FD7N5Z2WQ51AZ71 Banco Bilbao Vizcaya Argentaria SA 05946KAM3 4400000.00000000 PA USD 4755180.80000000 0.240965607724 Long DBT CORP ES N 2 2029-03-19 Fixed 9.37500000 N N N N N N BROOKFIELD BRP HOLDINGS 549300NSPD7QJ50GZW26 Brookfield BRP Holdings Canada Inc 11259P307 193316.00000000 NS USD 4852231.60000000 0.245883592125 Long EP CORP CA N 1 N N N ConocoPhillips WPTL2Z3FIYTHSP5V2253 ConocoPhillips 20825C104 338008.00000000 NS USD 37586489.60000000 1.904670230137 Long EC CORP US N 1 N N TORONTO-DOMINION BANK PT3QB789TSUIDF371261 Toronto-Dominion Bank/The 89117F8Z5 11275000.00000000 PA USD 11783491.23000000 0.597120539633 Long DBT CORP CA N 2 2082-10-31 Fixed 8.12500000 N N N N N N 2024-08-27 EATON VANCE TAX ADVANTAGED DIVIDEND INCOME FUND James Kirchner James Kirchner Treasurer XXXX NPORT-EX 2 NPORT_FH5C_88872828_0724.htm
Eaton Vance
Tax-Advantaged Dividend Income Fund
July 31, 2024
Portfolio of Investments (Unaudited)

Common Stocks — 98.7%
Security Shares Value
Aerospace & Defense — 1.8%
Huntington Ingalls Industries, Inc.     126,164 $   35,323,397
      $   35,323,397
Banks — 6.4%
JPMorgan Chase & Co.     458,381 $   97,543,477
M&T Bank Corp.(1)     118,490    20,400,423
Wells Fargo & Co.     145,704     8,646,075
      $  126,589,975
Beverages — 1.5%
Constellation Brands, Inc., Class A     123,620 $   30,306,679
      $   30,306,679
Biotechnology — 3.4%
AbbVie, Inc.(1)     251,934 $   46,688,409
Neurocrine Biosciences, Inc.(2)     142,223    20,134,510
      $   66,822,919
Building Products — 1.9%
Johnson Controls International PLC     535,138 $   38,283,773
      $   38,283,773
Capital Markets — 4.3%
Charles Schwab Corp.     805,123 $   52,485,969
Interactive Brokers Group, Inc., Class A      94,670    11,291,291
S&P Global, Inc.      42,336    20,521,529
      $   84,298,789
Chemicals — 2.6%
FMC Corp.     360,011 $   21,010,242
Linde PLC      68,569    31,096,041
      $   52,106,283
Communications Equipment — 1.1%
Cisco Systems, Inc.     428,961 $   20,783,160
      $   20,783,160
Consumer Staples Distribution & Retail — 3.4%
BJ's Wholesale Club Holdings, Inc.(1)(2)     491,961 $   43,272,890
Dollar Tree, Inc.(1)(2)     224,331    23,406,696
      $   66,679,586
Security Shares Value
Containers & Packaging — 1.1%
Ball Corp.     329,543 $   21,034,730
      $   21,034,730
Electric Utilities — 4.1%
NextEra Energy, Inc.(1)     752,019 $   57,446,732
Xcel Energy, Inc.     387,726    22,596,671
      $   80,043,403
Electrical Equipment — 3.2%
Eaton Corp. PLC      97,431 $   29,695,995
Emerson Electric Co.     286,466    33,548,033
      $   63,244,028
Electronic Equipment, Instruments & Components — 1.9%
Zebra Technologies Corp., Class A(1)(2)     108,140 $   37,977,687
      $   37,977,687
Energy Equipment & Services — 1.5%
Schlumberger NV(1)     604,362 $   29,184,641
      $   29,184,641
Entertainment — 3.0%
TKO Group Holdings, Inc.     198,430 $   21,698,320
Walt Disney Co.     401,710    37,636,210
      $   59,334,530
Financial Services — 0.2%
Fidelity National Information Services, Inc.(1)      60,039 $    4,612,796
      $    4,612,796
Food Products — 1.3%
General Mills, Inc.     210,449 $   14,129,546
Hershey Co.      61,497    12,144,427
      $   26,273,973
Ground Transportation — 1.2%
CSX Corp.     676,538 $   23,746,484
      $   23,746,484
Health Care Equipment & Supplies — 1.6%
Boston Scientific Corp.(1)(2)     415,032 $   30,662,564
      $   30,662,564
Health Care Providers & Services — 1.8%
McKesson Corp.      31,370 $   19,355,917
 
1

Eaton Vance
Tax-Advantaged Dividend Income Fund
July 31, 2024
Portfolio of Investments (Unaudited) — continued

Security Shares Value
Health Care Providers & Services (continued)
UnitedHealth Group, Inc.      29,167 $   16,804,859
      $   36,160,776
Hotels, Restaurants & Leisure — 0.5%
McDonald's Corp.      36,848 $    9,779,459
      $    9,779,459
Household Products — 1.4%
Clorox Co.     213,015 $   28,103,069
      $   28,103,069
Industrial Conglomerates — 2.4%
3M Co.(1)     374,265 $   47,737,501
      $   47,737,501
Industrial REITs — 1.0%
First Industrial Realty Trust, Inc.     367,844 $   20,128,424
      $   20,128,424
Insurance — 6.1%
American International Group, Inc.     575,575 $   45,602,807
Arch Capital Group Ltd.(2)     193,119    18,496,938
Reinsurance Group of America, Inc.(1)     246,063    55,469,982
      $  119,569,727
Interactive Media & Services — 1.3%
Alphabet, Inc., Class C(1)     144,987 $   25,104,499
      $   25,104,499
Leisure Products — 2.4%
Hasbro, Inc.(1)     735,481 $   47,409,105
      $   47,409,105
Life Sciences Tools & Services — 4.4%
Mettler-Toledo International, Inc.(2)      18,723 $   28,478,245
Thermo Fisher Scientific, Inc.      95,542    58,599,730
      $   87,077,975
Machinery — 3.3%
Toro Co.     307,894 $   29,474,693
Westinghouse Air Brake Technologies Corp.     214,363    34,544,597
      $   64,019,290
Metals & Mining — 1.8%
Alcoa Corp.     624,832 $   20,644,449
Security Shares Value
Metals & Mining (continued)
Steel Dynamics, Inc.     115,106 $   15,334,422
      $   35,978,871
Multi-Utilities — 2.6%
CMS Energy Corp.     464,732 $   30,114,633
Sempra     254,764    20,396,406
      $   50,511,039
Oil, Gas & Consumable Fuels — 6.1%
Chevron Corp.(1)     371,274 $   59,578,339
ConocoPhillips(1)     338,008    37,586,489
EOG Resources, Inc.     186,306    23,623,601
      $  120,788,429
Pharmaceuticals — 5.5%
Bristol-Myers Squibb Co.     692,564 $   32,938,344
Johnson & Johnson      85,100    13,433,035
Sanofi SA     319,201    32,907,221
Zoetis, Inc.     164,438    29,605,417
      $  108,884,017
Professional Services — 1.2%
Robert Half, Inc.     375,105 $   24,077,990
      $   24,077,990
Residential REITs — 4.0%
Invitation Homes, Inc.     921,481 $   32,500,635
Mid-America Apartment Communities, Inc.     326,471    45,630,852
      $   78,131,487
Semiconductors & Semiconductor Equipment — 5.6%
Micron Technology, Inc.     460,586 $   50,581,555
ON Semiconductor Corp.(2)     412,584    32,284,698
Texas Instruments, Inc.     138,188    28,164,096
      $  111,030,349
Specialty Retail — 1.4%
Lithia Motors, Inc.      62,680 $   17,320,364
Lowe's Cos., Inc.      44,799    10,998,603
      $   28,318,967
 
2

Eaton Vance
Tax-Advantaged Dividend Income Fund
July 31, 2024
Portfolio of Investments (Unaudited) — continued

Security Shares Value
Technology Hardware, Storage & Peripherals — 0.4%
Apple, Inc.      31,175 $    6,923,344
      $    6,923,344
Total Common Stocks
(identified cost $1,427,902,003)
    $1,947,043,715
    
Corporate Bonds — 20.9%
Security Principal
Amount
(000's omitted)
Value
Banks — 14.0%
Australia & New Zealand Banking Group Ltd., 6.75% to 6/15/26(3)(4)(5) $     1,110 $    1,121,625
Banco Bilbao Vizcaya Argentaria SA:      
6.125% to 11/16/27(4)(5)       5,600     5,282,304
9.375% to 3/19/29(4)(5)       4,400     4,755,181
Banco Davivienda SA, 6.65% to 4/22/31(3)(4)(5)       1,800     1,393,337
Banco de Credito e Inversiones SA, 8.75% to 2/8/29(3)(4)(5)       3,020     3,180,679
Banco Mercantil del Norte SA/Grand Cayman:      
7.50% to 6/27/29(3)(4)(5)       4,421     4,357,170
7.625% to 1/10/28(3)(4)(5)       2,101     2,102,693
8.375% to 10/14/30(3)(4)(5)       2,300     2,367,586
Banco Santander SA, 9.625% to 5/21/33(4)(5)      10,800    12,353,688
Bank of America Corp., Series TT, 6.125% to 4/27/27(4)(5)      11,331    11,379,848
Bank of Montreal, 7.70% to 5/26/29, 5/26/84(5)      11,692    12,063,700
Bank of New York Mellon Corp., Series G, 4.70% to 9/20/25(4)(5)         684       674,035
Bank of Nova Scotia:      
4.90% to 6/4/25(4)(5)       3,300     3,248,525
8.00% to 1/27/29, 1/27/84(5)       2,365     2,482,949
8.625% to 10/27/27, 10/27/82(5)       7,900     8,388,228
Barclays PLC:      
6.125% to 12/15/25(4)(5)       7,552     7,464,823
8.00% to 3/15/29(4)(5)       7,020     7,227,427
BBVA Bancomer SA, 8.45% to 6/29/33, 6/29/38(3)(5)       1,800     1,901,837
BNP Paribas SA:      
4.625% to 2/25/31(3)(4)(5)       2,362     1,984,202
7.75% to 8/16/29(3)(4)(5)       4,890     5,048,914
Citigroup, Inc., Series W, 4.00% to 12/10/25(4)(5)      18,021    17,296,889
CoBank ACB, 7.25% to 7/1/29(4)(5)       4,720     4,829,882
Discover Bank, 5.974%, 8/9/28       2,450     2,458,425
Farm Credit Bank of Texas, 7.75% to 6/15/29(4)(5)       5,268     5,377,405
HSBC Holdings PLC, 4.60% to 12/17/30(4)(5)      10,317      8,969,428
Security Principal
Amount
(000's omitted)
Value
Banks (continued)
Huntington Bancshares, Inc., Series F, 5.625% to 7/15/30(4)(5) $     7,374 $    7,100,005
ING Groep NV, 6.50% to 4/16/25(4)(5)       9,405     9,381,113
JPMorgan Chase & Co., Series KK, 3.65% to 6/1/26(4)(5)      15,209    14,480,391
NatWest Group PLC:      
4.60% to 6/28/31(4)(5)       1,477     1,214,276
6.00% to 12/29/25(4)(5)       3,129     3,096,438
8.00% to 8/10/25(4)(5)       1,403     1,419,426
PNC Financial Services Group, Inc., Series U, 6.00% to 5/15/27(4)(5)       5,000     4,942,011
Royal Bank of Canada, 7.50% to 5/2/29, 5/2/84(5)       6,960     7,245,624
Societe Generale SA:      
5.375% to 11/18/30(3)(4)(5)       9,541     7,965,950
9.375% to 11/22/27(3)(4)(5)       1,350     1,388,020
10.00% to 11/14/28(3)(4)(5)       2,200     2,328,293
Standard Chartered PLC, 4.75% to 1/14/31(3)(4)(5)       4,440     3,736,916
State Street Corp., Series J, 6.70% to 9/15/29(4)(5)       4,700     4,705,724
Sumitomo Mitsui Financial Group, Inc., 6.60% to 6/5/34(4)(5)       7,340     7,412,659
Swedbank AB, Series NC5, 5.625% to 9/17/24(4)(5)(6)       4,600     4,598,850
Toronto-Dominion Bank, 8.125% to 10/31/27, 10/31/82(5)      11,275    11,783,491
Truist Financial Corp.:      
Series P, 4.95% to 9/1/25(4)(5)       1,900     1,866,986
Series Q, 5.10% to 3/1/30(4)(5)       5,618     5,275,297
UBS Group AG:      
4.375% to 2/10/31(3)(4)(5)       1,499     1,256,081
4.875% to 2/12/27(3)(4)(5)       5,500     5,193,515
6.875% to 8/7/25(4)(5)(6)       2,675     2,669,984
9.25% to 11/13/33(3)(4)(5)       4,480     5,081,014
UniCredit SpA, 7.296% to 4/2/29, 4/2/34(3)(5)       7,295     7,578,792
Wells Fargo & Co., Series BB, 3.90% to 3/15/26(4)(5)      17,645    16,936,580
      $  276,368,216
Capital Markets — 0.6%
AerCap Holdings NV, 5.875% to 10/10/24, 10/10/79(5) $       910 $      908,472
Charles Schwab Corp.:      
Series G, 5.375% to 6/1/25(4)(5)       4,750     4,706,288
Series I, 4.00% to 6/1/26(4)(5)       7,612     7,117,903
      $   12,732,663
Diversified Financial Services — 1.4%
AerCap Ireland Capital DAC/AerCap Global Aviation Trust, 6.95% to 12/10/29, 3/10/55(5) $     2,010 $    2,033,362
 
3

Eaton Vance
Tax-Advantaged Dividend Income Fund
July 31, 2024
Portfolio of Investments (Unaudited) — continued

Security Principal
Amount
(000's omitted)
Value
Diversified Financial Services (continued)
Air Lease Corp., Series B, 4.65% to 6/15/26(4)(5) $     6,530 $    6,319,408
Ally Financial, Inc., 6.70%, 2/14/33       2,420     2,488,941
American AgCredit Corp., Series A, 5.25% to 6/15/26(3)(4)(5)       9,955     9,755,900
Goldman Sachs Group, Inc.:      
Series V, 4.125% to 11/10/26(4)(5)       2,007     1,881,511
Series W, 7.50% to 2/10/29(4)(5)       4,975     5,217,004
Unifin Financiera SAB de CV:      
7.375%, 2/12/26(3)(7)(8)       2,410             0
7.375%, 2/12/26(3)(7)(8)       2,410             0
      $   27,696,126
Electric Utilities — 0.4%
Dominion Energy, Inc., Series C, 4.35% to 1/15/27(4)(5) $     1,933 $    1,844,028
Edison International, Series B, 5.00% to 12/15/26(4)(5)       1,455     1,401,971
Emera, Inc., Series 16-A, 6.75% to 6/15/26, 6/15/76(5)       5,475     5,466,795
      $    8,712,794
Financial Services — 0.1%
Ally Financial, Inc., Series B, 4.70% to 5/15/26(4)(5) $     2,800 $    2,575,815
      $    2,575,815
Food Products — 0.5%
Land O' Lakes, Inc., 8.00%(3)(4) $    11,397 $   10,129,084
      $   10,129,084
Independent Power and Renewable Electricity Producers — 0.3%
Algonquin Power & Utilities Corp., 4.75% to 1/18/27, 1/18/82(5) $     5,554 $    5,082,788
      $    5,082,788
Insurance — 2.0%
Allianz SE, 3.50% to 11/17/25(3)(4)(5) $     5,800 $    5,504,603
Corebridge Financial, Inc., 6.875% to 9/15/27, 12/15/52(5)       7,050     7,179,347
Global Atlantic Fin Co., 7.95% to 7/15/29, 10/15/54(3)(5)       2,210     2,248,317
Liberty Mutual Group, Inc., 4.125% to 9/15/26, 12/15/51(3)(5)      12,676    11,868,187
QBE Insurance Group Ltd., 5.875% to 5/12/25(3)(4)(5)      12,035    11,953,958
      $   38,754,412
Oil and Gas — 0.6%
BP Capital Markets PLC, 6.45% to 12/1/33(4)(5) $     6,770 $    7,003,836
Security Principal
Amount
(000's omitted)
Value
Oil and Gas (continued)
Petroleos Mexicanos, 6.50%, 3/13/27 $     5,300 $    5,100,567
      $   12,104,403
Pipelines — 0.6%
Enbridge, Inc., Series NC5, 8.25% to 10/15/28, 1/15/84(5) $    11,320 $   11,900,195
      $   11,900,195
Telecommunications — 0.4%
Rogers Communications, Inc., 5.25% to 3/15/27, 3/15/82(3)(5) $     7,540 $    7,315,352
      $    7,315,352
Total Corporate Bonds
(identified cost $410,767,785)
    $  413,371,848
    
Exchange-Traded Funds — 0.8%
Security Shares Value
Equity Funds — 0.8%
Global X U.S. Preferred ETF     821,486 $   16,224,349
Total Exchange-Traded Funds
(identified cost $19,117,161)
    $   16,224,349
    
Preferred Stocks — 1.9%
Security Shares Value
Banks — 0.1%
Citizens Financial Group, Inc., 7.375%      94,474 $    2,414,755
Farm Credit Bank of Texas, 9.611%, (3 mo. SOFR + 4.01%)(3)(9)       8,283       840,725
      $    3,255,480
Capital Markets — 0.3%
Affiliated Managers Group, Inc., 4.75%     281,231 $    5,357,450
      $    5,357,450
Electric Utilities — 0.8%
Brookfield BRP Holdings Canada, Inc.:      
4.625%     247,187 $    3,858,589
7.25%     193,316     4,852,231
SCE Trust III, Series H, 8.591%, (3 mo. SOFR + 3.25%)(9)     116,693      2,939,497
 
4

Eaton Vance
Tax-Advantaged Dividend Income Fund
July 31, 2024
Portfolio of Investments (Unaudited) — continued

Security Shares Value
Electric Utilities (continued)
SCE Trust IV, Series J, 5.375% to 9/15/25(5)      24,025 $      575,639
SCE Trust V, Series K, 5.45% to 3/15/26(5)     130,020     3,151,685
      $   15,377,641
Insurance — 0.5%
American National Group, Inc., Series B, 6.625% to 9/1/25(5)     222,346 $    5,525,298
Athene Holding Ltd., Series C, 6.375% to 6/30/25(5)     163,096     4,048,043
      $    9,573,341
Wireless Telecommunication Services — 0.2%
U.S. Cellular Corp., 5.50%     196,865 $    4,016,046
      $    4,016,046
Total Preferred Stocks
(identified cost $40,892,539)
    $   37,579,958
    
Short-Term Investments — 0.4%
Security Shares Value
Morgan Stanley Institutional Liquidity Funds - Government Portfolio, Institutional Class, 5.21%(10)   7,083,918 $    7,083,918
Total Short-Term Investments
(identified cost $7,083,918)
    $    7,083,918
Total Investments — 122.7%(11)
(identified cost $1,905,763,406)
    $2,421,303,788
Other Assets, Less Liabilities — (22.7)%     $ (447,938,286)
Net Assets — 100.0%     $1,973,365,502
The percentage shown for each investment category in the Portfolio of Investments is based on net assets.
(1) All or a portion of this security was on loan at July 31, 2024 pursuant to the Liquidity Agreement. The aggregate market value of securities on loan at July 31, 2024 was $374,601,368 and the total market value of the collateral received by State Street Bank and Trust Company was $381,986,460 comprised of cash.
(2) Non-income producing security.
(3) Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended. These securities may be sold in certain transactions in reliance on an exemption from registration (normally to qualified institutional buyers). At July 31, 2024, the aggregate value of these securities is $117,602,750 or 6.0% of the Fund's net assets.
(4) Perpetual security with no stated maturity date but may be subject to calls by the issuer.
(5) Security converts to variable rate after the indicated fixed-rate coupon period.
(6) Security exempt from registration under Regulation S of the Securities Act of 1933, as amended, which exempts from registration securities offered and sold outside the United States. Security may not be offered or sold in the United States except pursuant to an exemption from, or in a transaction not subject to, the registration requirements of the Securities Act of 1933, as amended. At July 31, 2024, the aggregate value of these securities is $7,268,834 or 0.4% of the Fund's net assets.
(7) For fair value measurement disclosure purposes, security is categorized as Level 3.
(8) Issuer is in default with respect to interest and/or principal payments and is non-income producing.
(9) Variable rate security. The stated interest rate represents the rate in effect at July 31, 2024.
(10) May be deemed to be an affiliated investment company. The rate shown is the annualized seven-day yield as of July 31, 2024.
(11) The Fund has granted a security interest in all the Fund’s investments, unless otherwise pledged, in connection with the Liquidity Agreement.
Country Concentration of Portfolio
Country Percentage of
Total Investments
Value
United States 89.3% $2,162,057,789
Canada 3.5 83,688,467
United Kingdom 1.4 33,128,734
Spain 0.9 22,391,173
France 0.8 18,715,379
Mexico 0.6 15,829,853
Switzerland 0.6 14,200,594
Australia 0.5 13,075,583
Netherlands 0.4 9,381,113
Italy 0.3 7,578,792
Japan 0.3 7,412,659
Germany 0.2 5,504,603
Sweden 0.2 4,598,850
Chile 0.1 3,180,679
Ireland 0.1 2,941,834
Colombia 0.1 1,393,337
Exchange-Traded Funds 0.7 16,224,349
Total Investments 100.0% $2,421,303,788
Abbreviations:
REITs – Real Estate Investment Trusts
SOFR – Secured Overnight Financing Rate
 
5

Eaton Vance
Tax-Advantaged Dividend Income Fund
July 31, 2024
Portfolio of Investments (Unaudited) — continued

The Fund did not have any open derivative instruments at July 31, 2024.
Affiliated Investments
At July 31, 2024, the value of the Fund's investment in funds that may be deemed to be affiliated was $7,083,918, which represents 0.4% of the Fund's net assets. Transactions in such investments by the Fund for the fiscal year to date ended July 31, 2024 were as follows:
Name Value,
beginning
of period
Purchases Sales
proceeds
Net realized
gain (loss)
Change in
unrealized
appreciation
(depreciation)
Value, end
of period
Dividend
income
Shares,
end of period
Short-Term Investments
Liquidity Fund, Institutional Class(1) $16,799,199 $347,704,822 $(357,420,103) $ — $ — $7,083,918 $742,776 7,083,918
(1) Represents investment in Morgan Stanley Institutional Liquidity Funds - Government Portfolio.
Fair Value Measurements
Under generally accepted accounting principles for fair value measurements, a three-tier hierarchy to prioritize the assumptions, referred to as inputs, is used in valuation techniques to measure fair value. The three-tier hierarchy of inputs is summarized in the three broad levels listed below.
Level 1 – quoted prices in active markets for identical investments
Level 2 – other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.)
Level 3 – significant unobservable inputs (including a fund's own assumptions in determining the fair value of investments)
In cases where the inputs used to measure fair value fall in different levels of the fair value hierarchy, the level disclosed is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
At July 31, 2024, the hierarchy of inputs used in valuing the Fund’s investments, which are carried at fair value, were as follows:
Asset Description Level 1 Level 2 Level 3* Total
Common Stocks:        
Communication Services $   84,439,029 $        — $ — $   84,439,029
Consumer Discretionary    85,507,531         —  —    85,507,531
Consumer Staples   151,363,307         —  —   151,363,307
Energy   149,973,070         —  —   149,973,070
Financials   335,071,287         —  —   335,071,287
Health Care   296,701,030  32,907,221  —   329,608,251
Industrials   296,432,463         —  —   296,432,463
Information Technology   176,714,540         —  —   176,714,540
Materials   109,119,884         —  —   109,119,884
Real Estate    98,259,911         —  —    98,259,911
Utilities   130,554,442         —  —   130,554,442
Total Common Stocks $1,914,136,494 $32,907,221** $ — $1,947,043,715
Corporate Bonds $          — $413,371,848 $0 $  413,371,848
Exchange-Traded Funds    16,224,349         —  —    16,224,349
Preferred Stocks:        
Communication Services     4,016,046         —  —     4,016,046
Financials    17,345,546     840,725  —    18,186,271
6

Eaton Vance
Tax-Advantaged Dividend Income Fund
July 31, 2024
Portfolio of Investments (Unaudited) — continued

Asset Description(continued) Level 1 Level 2 Level 3* Total
Utilities $   15,377,641 $        — $ — $   15,377,641
Total Preferred Stocks $   36,739,233 $    840,725 $ — $   37,579,958
Short-Term Investments $    7,083,918 $        — $ — $    7,083,918
Total Investments $1,974,183,994 $447,119,794 $0 $2,421,303,788
* None of the unobservable inputs for Level 3 assets, individually or collectively, had a material impact on the Fund.
** Includes foreign equity securities whose values were adjusted to reflect market trading of comparable securities or other correlated instruments that occurred after the close of trading in their applicable foreign markets.
For information on the Fund's policy regarding the valuation of investments and other significant accounting policies, please refer to the Fund's most recent financial statements included in its semi-annual or annual report to shareholders.
7