Grundlæggende statistik
Porteføljeværdi $ 113.704.886
Nuværende stillinger 69
Seneste beholdninger, ydeevne, AUM (fra 13F, 13D)

Eaton Vance New York Municipal Income Trust har afsløret 69 samlede besiddelser i deres seneste SEC-arkivering. Den seneste porteføljeværdi er beregnet til at være $ 113.704.886 USD. Faktiske aktiver under forvaltning (AUM) er denne værdi plus kontanter (som ikke er oplyst). Eaton Vance New York Municipal Income Trusts største beholdninger er TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES (US:US88034MGK62) , TENDER OPTION BOND TRUST (US:US88034NHH08) , NEW YORK ST THRUWAY AUTH 2ND GEN HIGHWAY & BRIDGE TRUST FUND (US:US650014WQ26) , TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES (US:US88034M4Y97) , and TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES (US:US88034MZG40) . Eaton Vance New York Municipal Income Trusts nye stillinger omfatter TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES (US:US88034MGK62) , TENDER OPTION BOND TRUST (US:US88034NHH08) , NEW YORK ST THRUWAY AUTH 2ND GEN HIGHWAY & BRIDGE TRUST FUND (US:US650014WQ26) , TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES (US:US88034M4Y97) , and TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES (US:US88034MZG40) .

Top øger dette kvartal

Vi bruger ændringen i porteføljeallokeringen, fordi dette er den mest meningsfulde metrik. Ændringer kan skyldes handler eller ændringer i aktiekurser.

Sikkerhed Aktier
(MM)
Værdi
(MM$)
Portefølje % ΔPortefølje %
2,47 3,0212 3,0212
1,75 2,1436 2,1436
1,50 1,8341 1,8035
1,23 1,5079 1,5079
1,02 1,2473 1,2473
0,97 1,1871 1,1871
0,95 1,1570 1,1570
0,76 0,9302 0,9302
2,95 3,6025 0,0565
4,97 6,0734 0,0483
Top falder i dette kvartal

Vi bruger ændringen i porteføljeallokeringen, fordi dette er den mest meningsfulde metrik. Ændringer kan skyldes handler eller ændringer i aktiekurser.

Sikkerhed Aktier
(MM)
Værdi
(MM$)
Portefølje % ΔPortefølje %
0,02 0,0306 -1,8194
6,24 7,6273 -0,2735
0,41 0,5033 -0,1692
6,28 7,6815 -0,1528
4,76 5,8255 -0,1508
5,07 6,1951 -0,1160
0,56 0,6863 -0,1034
2,10 2,5715 -0,1017
5,02 6,1419 -0,0905
5,02 6,1389 -0,0882
13F og Fondsarkivering

Denne formular blev indsendt den 2021-07-20 for rapporteringsperioden 2021-05-31. Denne investor har ikke oplyst værdipapirer, der tælles i aktier, så de aktierelaterede kolonner i nedenstående tabel er udeladt. Klik på linkikonet for at se den fulde transaktionshistorik.

Opgrader for at låse op for premium-data og eksportere til Excel .

2022-07-28: Vigtig note - Vi har ændret behandlingen af kolonnen Δ Portefølje % i denne tabel. Tidligere rapporterede vi det som den procentvise ændring i porteføljeallokeringen. Vi rapporterer det nu som den rå ændring i porteføljeallokeringen (stadig rapporteret som en procent). I formeltermer rapporterede vi det tidligere som 100 * (aktuel allokering - forudgående tildeling) / forudgående tildeling. Vi indberetter det nu som (nuværende tildeling - forudgående tildeling).
Sikkerhed Type Δ Aktier
(%)
Værdi
($MM)
Portefølje
(%)
ΔPortefølje
(%)
US88034MGK62 / TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES 6,53 2,85 7,9906 0,0175
US88034NHH08 / TENDER OPTION BOND TRUST 6,28 0,62 7,6815 -0,1528
US650014WQ26 / NEW YORK ST THRUWAY AUTH 2ND GEN HIGHWAY & BRIDGE TRUST FUND 6,24 -0,92 7,6273 -0,2735
US88034M4Y97 / TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES 5,07 0,74 6,1951 -0,1160
US88034MZG40 / TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES 5,02 1,15 6,1419 -0,0905
US88034MZJ88 / TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES 5,02 1,17 6,1389 -0,0882
US88034M5K84 / TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES 4,97 3,46 6,0734 0,0483
US88034MZL35 / TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES 4,90 1,66 5,9960 -0,0567
US64972GMW14 / New York City Municipal Water Finance Authority, New York, Water and Sewer System Second General Resolution Revenue Bonds, Fiscal 2017 Series CC-1 4,82 1,43 5,8908 -0,0698
US44420RBE99 / Hudson Yards Infrastructure Corporation, New York, Revenue Bonds, Second Indenture Fiscal 2017 Series A 4,79 2,33 5,8593 -0,0180
US91802RBT59 / Utility Debt Securitization Authority, New York, Restructuring Bonds, Refunding Series 2015 4,76 0,04 5,8255 -0,1508
US64971PHJ75 / NEW YORK CITY NY INDL DEV AGY REVENUE 2,95 4,25 3,6025 0,0565
US64986MQ327 / NEW YORK ST HSG FIN AGY 2,68 0,98 3,2738 -0,0535
US653542AC49 / Niagara Area Development Corp. (Covanta), Series 2018 A, Ref. RB 2,62 0,00 3,2011 -0,0846
US119677QC99 / BUFFALO NY 2,47 3,0212 3,0212
US59261AXU68 / MET TRANSPRTN AUTH NY REVENUE 2,20 2,94 2,6963 0,0079
US64971PHH10 / NEW YORK CITY NY INDL DEV AGY REVENUE 2,10 -1,27 2,5715 -0,1017
US649519CM59 / NEW YORK ST LIBERTY DEV CORP LIBERTY REVENUE 2,07 -0,67 2,5274 -0,0841
US650010CK53 / NEW YORK ST THRUWAY AUTH GEN REVENUE JUNIOR INDEBTEDNESS OBL 2,02 3,11 2,4748 0,0114
US64983SJV88 / NEW YORK ST DORM AUTH REVENUES SECONDARILY INSURED 1,75 2,1436 2,1436
US63165TH570 / NASSAU CNTY NY 1,73 1,41 2,1166 -0,0248
US47325RAT68 / Jefferson Civic Facility Development Corp. (Samaritan Medical Center), Series 2017 A, Ref. RB 1,64 5,12 2,0098 0,0470
US4521522R15 / ILLINOIS ST 1,58 4,97 1,9369 0,0438
US62952EAD94 / NYU Langone Hospitals 1,56 -0,95 1,9037 -0,0684
US88034RPZ28 / TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES 1,50 6.145,83 1,8341 1,8035
US531127AC24 / New York Liberty Development Corp. (Goldman Sachs Headquarters), Series 2005, Ref. RB 1,41 2,77 1,7267 0,0030
US650116BX37 / NEW YORK ST TRANSPRTN DEV CORPSPL FAC REVENUE 1,37 1,86 1,6711 -0,0126
US68276FCK49 / ONONDAGA CNTY NY TRUST CULTURAL RESOURCE REVENUE 1,35 -0,81 1,6522 -0,0573
US64971PKV66 / New York City Industrial Development Agency 1,23 1,5079 1,5079
US88034WKJ26 / TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES 1,17 2,10 1,4258 -0,0071
US95737TAA43 / WESTCHESTER CO NY LOCAL DEV CORP REVENUE 1,16 0,26 1,4136 -0,0332
US650116AP12 / NEW YORK ST TRANSPRTN DEV CORPSPL FAC REVENUE 1,10 1,48 1,3452 -0,0151
US86476RCW25 / Suffolk County Economic Development Corporation, New York, Revenue Bonds, Catholic Health Services of Long Island Obligated Group Project, Refunding S 1,07 -0,83 1,3076 -0,0462
US12008HAB50 / Build New York City Resource Corporation, New York, Solid Waste Disposal Revenue Bonds, Pratt Paper NY, Inc Project, Series 2014 1,06 0,00 1,3006 -0,0341
US650010CR07 / NEW YORK ST THRUWAY AUTH GEN REVENUE JUNIOR INDEBTEDNESS OBL 1,06 2,82 1,2952 0,0018
US682832BF68 / ONONDAGA NY CIVIC DEV CORP 1,05 -1,03 1,2866 -0,0482
US7741324Z40 / ROCKVILLE CENTRE NY 1,02 1,2473 1,2473
US649906CX08 / NEW YORK ST DORM AUTH REVENUES NON ST SUPPORTED DEBT 1,00 -1,28 1,2283 -0,0490
US7741324Y74 / ROCKVILLE CENTRE NY 0,97 1,1871 1,1871
US650116DA16 / NEW YORK ST TRANSPRTN DEV CORPSPL FAC REVENUE 0,96 3,56 1,1758 0,0107
US7741324X91 / ROCKVILLE CENTRE NY 0,95 1,1570 1,1570
US650116AV89 / New York Transportation Development Corp. (LaGuardia Airport Terminal B Redevelopment), Series 2016 A, RB 0,84 1,45 1,0286 -0,0126
US464723FH34 / ISLIP NY 0,76 0,9302 0,9302
CMS LIQUIDATING TR 11/18 VAR / DBT (000000000) 0,56 -10,81 0,6863 -0,1034
US113168BE77 / BROOKHAVEN NY LOCAL DEV CORP REVENUE 0,53 4,71 0,6535 0,0131
US95737TAB26 / WESTCHESTER CO NY LOCAL DEV CORP REVENUE 0,51 0,80 0,6194 -0,0109
US113168BK38 / BROOK NY 4% 11/1/2045 0,49 3,38 0,5984 0,0039
US653544EF99 / NIAGARA NY FRONTIER TRANSPRTNAUTH 0,43 5,35 0,5308 0,0138
US61237WAG15 / Montefiore Obligated Group 0,41 -23,18 0,5033 -0,1692
US649906CA05 / NEW YORK ST DORM AUTH REVENUES NON ST SUPPORTED DEBT 0,40 -1,23 0,4912 -0,0193
US59261AG351 / MET TRANSPRTN AUTH NY REVENUE 0,36 5,51 0,4453 0,0115
US864772FA16 / Suffolk County Industrial Development Agency, New York, Revenue Bonds, Nissequogue Cogeneration Partners Facility, Series 1998 0,36 0,00 0,4379 -0,0116
US649906BY99 / NEW YORK ST DORM AUTH REVENUES NON ST SUPPORTED DEBT 0,33 -1,21 0,3990 -0,0154
US113168AS72 / Brookhaven Local Development Corp 0,29 1,74 0,3593 -0,0034
US890090AE33 / TOMPKINS CNTY NY DEV CORP CONTINUING CARE RETMNT REVENUE 0,24 0,00 0,2894 -0,0078
US890090AF08 / TOMPKINS CNTY NY DEV CORP CONTINUING CARE RETMNT REVENUE 0,24 0,00 0,2887 -0,0076
US940739QY49 / WASHINGTONVILLE NY CENTRL SCHDIST 0,22 5,19 0,2729 0,0065
US940739QZ14 / WASHINGTONVILLE NY CENTRL SCHDIST 0,22 5,88 0,2642 0,0077
US940739RA53 / WASHINGTONVILLE NY CENTRL SCHDIST 0,21 6,60 0,2570 0,0086
US940739RB37 / WASHINGTONVILLE NY CENTRL SCHDIST 0,20 6,81 0,2500 0,0095
US11943KCG58 / BUFFALO & ERIE CNT 5% 11/15/22 0,17 0,58 0,2135 -0,0045
US98608MAE12 / YONKERS NY ECON DEV CORP EDUCTNL REVENUE 0,15 2,82 0,1787 0,0004
US940739RC10 / WASHINGTONVILLE NY CENTRL SCHDIST 0,15 6,62 0,1782 0,0069
US64971PLM58 / NEW YORK CITY NY INDL DEV AGY REVENUE 0,14 -2,17 0,1661 -0,0075
US890090AH63 / TOMPKINS CNTY NY DEV CORP CONTINUING CARE RETMNT REVENUE 0,10 0,00 0,1225 -0,0038
US64971PLL75 / New York City Industrial Development Agency 0,09 -1,08 0,1126 -0,0052
US98608MAG69 / YONKERS NY ECON DEV CORP EDUCTNL REVENUE 0,05 2,27 0,0558 0,0002
US98608MAF86 / Yonkers Economic Development Corporation, New York, Educational Revenue Bonds, Lamartine/Warburton LLC-Charter School of Educational Excellence Projec 0,03 3,70 0,0350 0,0001
US88034RPZ28 / TENDER OPTION BOND TRUST RECEIPTS / CTFS VARIOUS STATES 0,02 -98,37 0,0306 -1,8194