EVG
Eaton Vance Short Duration Diversified Income Fund
Financial · ·
$10.64
Data: 2026-06-03
✗ ETHICAL FAIL

NONE MOAT
LIMITED
Data Confidence: 0.0%
Key Metrics

How this company measures up on the fundamentals that matter

Market Cap
$145M
Total market value of the company
9.83
Very cheap relative to earnings
N/A
Based on estimated future earnings — lower means cheaper
Rev Growth
-11.0%
Year-over-year revenue change
Profit Margin
113.5%
How much profit the company keeps from each dollar of revenue
9.8%
Return on equity — how efficiently it uses shareholder money
Analyst Target
N/A
Recommendation
NONE
Consensus view from ? analysts covering this stock
About Eaton Vance Short Duration Diversified Income Fund

Eaton Vance Short Duration Diversified Income Fund is a closed ended fixed income mutual fund launched and managed by Eaton Vance Management. The fund invests in fixed income markets of the United States. It primarily invests in senior, secured floating-rate loans, bank deposits denominated in foreign currencies, debt obligations of foreign governmental and corporate issuers, and mortgage-backed securities. The fund invests in fixed income securities operating across diversified sectors. It inve

https://funds.eatonvance.com/Short-Duration-Diversified-Income-Fund-EVG.php

Country: United States Industry: Asset Management
Ethical Screening

Five compliance checks based on AAOIFI standards — all must pass for ethical clearance

Business Activity
FAIL
Core business does not involve prohibited activities
Debt Ratio
0.0% PENDING
Debt must be below 33% of total assets
Cash Ratio
0.0% PENDING
Interest-bearing cash below 33% of assets
Receivables
0.0% PENDING
Receivables below 49% of assets
Revenue Purity
0.0% PENDING
Non-compliant revenue below 5% — any excess requires purification
Quantitative Intelligence

Statistical analysis of price behaviour, risk, and market regime — independent of fundamental data

MARKUP
Price trending up with increasing momentum
0.775
Good returns relative to risk taken
-0.0332
No positive edge detected — the data suggests staying out
0.912
Acceptable balance between returns and drawdown risk
Annual Return
7.5%
Historical annualised return based on price data
-8.2%
Largest peak-to-trough decline — the worst it has been
SIDEWAYS
Price consolidating — no clear directional bias
Days in State
292
How long the current regime has persisted — longer means more stable
Market Data

Trading characteristics and market positioning

0.43
Very low correlation to market moves
52W High
$11.45
7% below the year high
52W Low
$10.40
2% above the year low
Avg Volume
38,044
Average daily shares traded — higher means easier to buy and sell
4.0
Days it would take all short sellers to cover — higher means more crowded
Short % Float
N/A
823.0%
Annual dividend as a percentage of the share price
$1.10
Earnings per share over the last 12 months
Financial Health

Balance sheet strength and cash generation — the foundation of long-term value

19.58
Heavy leverage — higher financial risk if revenues decline
Quick Ratio
N/A
Like current ratio but excludes inventory — stricter test
Gross Margin
100.0%
Revenue left after cost of goods — higher means pricing power
Operating Margin
81.6%
Profit from core operations before interest and tax
$8M
Positive — the business generates more cash than it spends
Revenue (TTM)
$13M
Total revenue over the last 12 months
Net Income
$15M
Profitable — the bottom line is positive
Explore the Ethical Screener View Track Record

Data sourced from public filings and market feeds. Not financial advice. Updated: 2026-06-03

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