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ETV

Eaton Vance Tax-Managed Buy-Write Opportunities Fund

Eaton Vance Tax-Managed Buy-Write Opportunities Fund (ETV) is currently in an uptrend, trading above both the 50-day and 200-day moving averages. RSI is at 57.3, with 3/3 trend checks passing.

Price
$15.06
2026-07-16
Trend score
3/3
Uptrend
RSI (14)
57.3
Neutral
Price above MA50Price above MA200MA50 above MA200
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Chart View

ETV with MA50 and MA200

15.2514.7214.2013.6813.1507/3110/2401/2204/1707/15
ETV2025-07-312026-07-15
PriceMA50MA200
Technical Indicators

Key levels & signals

MA50
$14.77+1.95% vs price
MA200
$14.44+4.31% vs price
RSI (14)
57.3Neutral zone
MACD Signal
MixedMACD near signal line
Macro Support
$13.72–$14.424.2% below price · 7 touches
Support Quality
7 touches1.0× zone volume
Chart Summary
Trend summary for ETV

Eaton Vance Tax-Managed Buy-Write Opportunities Fund (ETV) is still trading in a constructive trend overall. The latest available price is $15.06, and 3 of 3 core trend checks are currently passing. Price is trading above the 50-day moving average by 1.9% and above the 200-day moving average by 4.3%.

Momentum and stretch context

ETV currently has an RSI reading of 57.3, which leans mildly positive without looking too stretched. In other words, momentum is supportive, but not yet extreme enough to dominate the entire chart read.

What traders may watch next

For traders reviewing ETV next, the key question is whether the trend still looks healthy or whether price has started to outrun itself. A strong uptrend can stay strong, but entries often become more difficult when price is already extended, so many traders will watch for pullbacks, support reactions, or fresh bases rather than chasing strength blindly.

Company profile

About Eaton Vance Tax-Managed Buy-Write Opportunities Fund

The Eaton Vance Tax-Managed Buy-Write Opportunities Fund, a closed-end equity mutual fund, is operated by Eaton Vance Management and co-managed by Parametric Portfolio Associates LLC. Its investment strategy focuses on publicly traded U.S. equities, specifically targeting companies across a diverse range of sectors. A key part of its methodology involves writing (selling) call options on one or more major U.S. indices, covering a substantial portion of its common stock portfolio's value. The fund measures its performance against a suite of benchmarks: the S&P 500 Index, the CBOE S&P 500 BuyWrite Index, the NASDAQ-100 Index, and the CBOE NASDAQ-100 BuyWrite Index. This U.S.-domiciled fund was established on June 30, 2005.

Sector
Financial Services
Industry
Asset Management
CEO
Thomas Chanlin Seto
Market cap
$1.76B
Beta
0.84
52-week range
$13.13 – $15.31
Dividend
Yes · $1.19
Exchange
NYSE
Country
US
IPO date
28 Jun 2005
ISIN
US27828Y1082
CUSIP
27828Y108
Company profile data from Financial Modeling Prep. ETV listed on NYSE.
Share dilution

ETV shares outstanding over time

Tracking total shares outstanding is one way to spot dilution — a rising line means the company has issued more shares (stock-based compensation, secondary offerings, convertible debt), which spreads the same earnings and ownership across more shares. A falling line usually reflects buybacks.

Jun 2012Dec 2025
Shares outstanding (latest)
116.8M
Since Jun 2012
+83.5%
Trend
More shares outstanding
Historical shares-outstanding data from Financial Modeling Prep. ETV28 data points from Jun 2012 to Dec 2025.
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FAQ

Common questions about ETV

Is this page a buy or sell recommendation?

No. This page is designed to help you review chart structure, momentum and technical context more quickly, but it is not personal financial advice.

Why can a stock look bullish and overbought at the same time?

Strong trending stocks can still become stretched in the short term. That is why trend traders and dip buyers can read the same chart differently.

What should I do next after reading this page?

Open the full dashboard, review the chart in more detail, compare indicators, and decide whether the setup still makes sense within your own process.