Financials [ 6/12 ] | Capital Markets [ 27/75 ]
NYSE MKT | Common Stock
Eaton Vance California Municipal Bond Fund is a close-ended fixed income mutual fund launched and managed by Eaton Vance Management.
The fund invests in the fixed income market of United States.
It invests primarily in high grade municipal obligations comprising of various industries, such as general obligations, hospital, electric utilities, transportation, water and sewer, public education, and private education.
The fund was formerly known as Eaton Vance Insured California Municipal Bond Fund.
Eaton Vance California Municipal Bond Fund was formed in 2002 and is domiciled in United States.
Reported date | EPSChange YoY | EstimateSurprise |
---|---|---|
Feb 28, 24 | 0.00 Decreased by N/A% | - |
Nov 27, 23 | 0.00 Decreased by N/A% | - |
Aug 30, 23 | 0.00 Decreased by N/A% | - |
May 25, 23 | 0.00 Decreased by N/A% | - |
Mar 1, 23 | 0.00 Decreased by N/A% | - |
Nov 30, 22 | 0.00 Decreased by N/A% | - |
Aug 31, 22 | 0.00 Decreased by N/A% | - |
Jun 10, 22 | 0.00 Decreased by N/A% | - |
Fiscal ending date | RevenueChange YoY | IncomeChange YoY | ProfitChange YoY |
---|---|---|---|
Mar 31, 23 | 3.97 M Decreased by -1.43% | 10.80 M Increased by +186.20% | Increased by +271.82% Increased by +187.44% |
Dec 31, 22 | 3.97 M Decreased by -1.43% | 10.80 M Increased by +186.20% | Increased by +271.82% Increased by +187.44% |
Sep 30, 22 | 4.20 M Decreased by -7.89% | -16.03 M Decreased by -282.74% | Decreased by -381.66% Decreased by -298.38% |
Jun 30, 22 | 4.20 M Decreased by -7.89% | -16.03 M Decreased by -282.74% | Decreased by -381.66% Decreased by -298.38% |
Mar 31, 22 | 4.03 M Decreased by -13.84% | -12.54 M Decreased by -542.59% | Decreased by -310.85% Decreased by -645.83% |
Dec 31, 21 | 4.03 M Decreased by -13.84% | -12.54 M Decreased by -542.59% | Decreased by -310.85% Decreased by -645.83% |
Sep 30, 20 | 4.56 M Decreased by -4.76% | 8.77 M Increased by +13.54% | Increased by +192.39% Increased by +19.21% |
Jun 30, 20 | 4.56 M Decreased by -4.76% | 8.77 M Increased by +13.54% | Increased by +192.39% Increased by +19.21% |