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Enhanced Equity Income Fund II

Section 16 filings, (SEC Website) 3
NAV 1 02/05/2010 Quote 12.43 0.04
Market 2 02/05/2010 Quote 12.29 0.17
1 Net Asset Value: without sales charge.  2 Market Price.
Literature
Fact Sheet
Online prospectus currently unavailable
Annual Report
Semiannual Report
Notice and Proxy Statement
Fund Holdings (1st or 3rd fiscal quarters)
Fund Holdings as of 12/31/2009
Investment Objective and Policies
The Fund’s primary investment objective is to provide current income, with a secondary objective of capital appreciation. The fund will pursue its investment objectives by investing primarily in a portfolio of mid- and large-capitalization common stocks. Under normal market conditions, the Fund will seek to generate current earnings from option premiums by selling covered call options on a substantial portion of its portfolio securities.
General Data
Symbol EOS
CUSIP 278277108
Fund Inception Date 1/31/2005
Performance Inception Date 1/31/2005
Portfolio Turnover Rate 141% for the fiscal year ending 12/31/2008
Performance
AVERAGE ANNUAL TOTAL RETURNS
Past performance is no guarantee of future results. Returns are historical and are calculated by determining the percentage change in net asset value or market price (as applicable) with all distributions reinvested. The Fund’s performance at market market price will differ from its results at NAV. Although market price performance generally reflects investment results over time, during shorter periods, returns at market price can also be affected by factors such as changing perceptions about the Fund, market conditions, fluctuations in supply and demand for the Fund’s shares, or changes in Fund distributions. Investment return and principal value will fluctuate so that shares, when sold, may be worth more or less than their original cost. Performance is for the stated time period only; due to market volatility, the Fund’s current performance may be lower or higher than quoted.

For certain periods following the ex date of distributions paid by the Fund, returns may be calculated based on the lower of the net asset value or market price of the shares on the distribution pay date rather than the true distribution reinvestment price.
For the periods ended January 31, 2010
         
Returns at NAV 1 1 Year 3 Year 5 Year 10 Year Life of Fund
Return Before Taxes +26.94% -3.54% +2.02% +2.06%
         
Returns at Market 2 1 Year 3 Year 5 Year 10 Year Life of Fund
Return Before Taxes +27.63% -4.49% +0.63% +1.86%
For the periods ended December 31, 2009
         
Returns at NAV 1 1 Year 3 Year 5 Year 10 Year Life of Fund
Return Before Taxes +25.19% -1.57% +2.84%
         
Returns at Market 2 1 Year 3 Year 5 Year 10 Year Life of Fund
Return Before Taxes +55.65% -0.43% +4.82%
Calendar Year Performance (Before Taxes)
  YTD 01/31/2010 2009 2008 2007 2006 01/31/2005 to
12/31/2009
NAV 1
-3.52%  +25.19%  -30.44%  +9.52%  +10.34%  +2.84% 
Market 2
-12.99%  +55.65%  -32.50%  -6.05%  +26.59%  +4.82% 

1 Net Asset Value   2 Market Price.
3 Includes all historical filings made with the Securities and Exchange Commission ("SEC") on behalf of a fund. Information found on the SEC
   web site is historical and may not represent current information about a fund. For search purposes, please note that closed-end funds are
   registered with the SEC pursuant to Form N-2 and not Form N-1A.
Performance inception date January 31, 2005.
Distribution History  
Pay Date Distribution
1/29/2010$0.12
12/31/2009$0.144
11/30/2009$0.144
10/30/2009$0.144
9/30/2009$0.144
8/31/2009$0.144
7/31/2009$0.144
6/30/2009$0.144
5/29/2009$0.144
4/30/2009$0.144
3/31/2009$0.144
2/27/2009$0.144
1/30/2009$0.144
The amount of distributions may vary depending on a number of factors. As portfolio and market conditions change, the rate of distributions on Fund common shares could change. A portion of the Fund's returns may be comprised of return of capital or short term capital gains. For additional information please click on "19(a) Fund Distribution Notices". The Fund will determine the tax characteristics of all fund distributions after the end of the calendar year and will provide shareholders such information at that time.

Press Releases
1/29/2010 Eaton Vance Enhanced Equity Income Fund II January 2010 Distribution
1/15/2010 Eaton Vance Closed-End Enhanced Equity Income Funds Declare and Announce Changes in Monthly Distributions
12/31/2009 Eaton Vance Enhanced Equity Income Fund II December 2009 Distribution
12/21/2009 Eaton Vance Enhanced Equity Income Fund II Report of Earnings
12/15/2009 Eaton Vance Closed-End Enhanced Equity Income Funds Declare Monthly Distributions
12/14/2009 Eaton Vance Enhanced Equity Income Fund II Eaton Vance Risk-Managed Diversified Equity Income Fund Annual Meeting of Shareholders
11/30/2009 Eaton Vance Enhanced Equity Income Fund II November 2009 Distribution
11/19/2009 Trustees of Eaton Vance Enhanced Equity Income Fund and Eaton Vance Enhanced Equity Income Fund II Approve Change in Investment Policies
11/13/2009 Eaton Vance Closed-End Enhanced Equity Income Funds Declare Monthly Distributions
10/30/2009 Eaton Vance Enhanced Equity Income Fund II October 2009 Distribution
10/20/2009 Eaton Vance To Internalize Management of the Funds' Option Strategies
10/14/2009 Eaton Vance Closed-End Enhanced Equity Income Funds Declare Monthly Distributions
9/30/2009 Eaton Vance Enhanced Equity Income Fund II September 2009 Distribution
9/14/2009 Eaton Vance Closed-End Enhanced Equity Income Funds Declare Monthly Distributions
9/2/2009 Eaton Vance Enhanced Equity Income Fund II Report of Earnings
9/2/2009 Eaton Vance Enhanced Equity Income Fund Report of Earnings
8/31/2009 Eaton Vance Enhanced Equity Income Fund II August 2009 Distribution
8/14/2009 Eaton Vance Closed-End Enhanced Equity Income Funds Declare Monthly Distributions
7/31/2009 Eaton Vance Enhanced Equity Income Fund II July 2009 Distribution
7/15/2009 Eaton Vance Closed-End Enhanced Equity Income Funds Declare Monthly Distributions
6/30/2009 Eaton Vance Enhanced Equity Income Fund II June 2009 Distribution
6/12/2009 Eaton Vance Enhanced Equity Income Fund II Report of Earnings
6/12/2009 Eaton Vance Closed-End Enhanced Equity Income Funds Declare Monthly Distributions
5/29/2009 Eaton Vance Enhanced Equity Income Fund II May 2009 Distribution
5/13/2009 Eaton Vance Closed-End Enhanced Equity Income Funds Declare Monthly Distributions
4/30/2009 Eaton Vance Enhanced Equity Income Fund II April 2009 Distribution
4/24/2009 Eaton Vance Enhanced Equity Income Fund II Eaton Vance Risk-Managed Diversified Equity Income Fund Annual Meeting of Shareholders
4/14/2009 Eaton Vance Closed-End Enhanced Equity Income Funds Declare Monthly Distributions
3/31/2009 Eaton Vance Enhanced Equity Income Fund II March 2009 Distribution
3/13/2009 Eaton Vance Closed-End Enhanced Equity Income Funds Declare Monthly Distributions
3/9/2009 Eaton Vance Enhanced Equity Income Fund II Report of Earnings
2/11/2009 Eaton Vance Closed-End Enhanced Equity Income Funds Declare Monthly Distributions
Portfolio Management
Walter A. Row
(since 1/27/2005)
Untitled Document Vice President, Eaton Vance Management, Head of Structured  Equity Portfolios
  • Experience in Financial Services Industry dating to 1981
  • Joined Eaton Vance in 1996
  • Director of Equity Research from 2000 - 2007
  • B.S. Yale University
  • M.B.A. Harvard Business School
  • CFA Charterholder
Michael A. Allison
(since 7/1/2008)
Untitled Document

Vice President, Eaton Vance Management

  • 18 years' investment experience
  • Joined Eaton Vance in 2000
  • B.S.B.A. University of Denver
  • CFA Charterholder


Important Disclosure
Market price performance is shown before applicable commissions that a shareholder may encounter when purchasing or selling shares of the fund. All performance information is for common shares of the fund. Closed-end funds, unlike open-end funds, are not continuously offered. There is a one-time public offering and once issued, shares of closed-end funds are sold in the open market through a stock exchange. Net asset value (NAV) is total assets less total liabilities divided by the number of shares outstanding. At the time of sale, your shares may have a market price that is above or below NAV. There is no assurance that the fund will achieve its investment objective. The fund is subject to investment risks, including possible loss of principal invested. This data is provided for information only and is not intended for trading purposes.