ETG

Eaton Vance Tax-Advantaged Global Dividend Income Fund

Fundamental data last updated:August 21, 2026

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company profile

SECTOR

Financial Services

industry

Asset Management - Income

Exchange

NYSE

County of HQ

US

Next Earnings Date

Not Scheduled

Business Summary

Eaton Vance Tax-Advantaged Global Dividend Income Fund is a closed ended equity mutual fund launched and managed by Eaton Vance Management. The fund invests in public equity markets across the globe. It seeks to invest in stocks of companies operating across diversified sectors. The fund primarily invests in dividend paying value stocks of companies. It employs fundamental analysis to create its portfolio. The fund benchmarks the performance of its portfolio against the MSCI World Index. Eaton Vance Tax-Advantaged Global Dividend Income Fund was formed on November 14, 2003 and is domiciled in the United States.

 


VALUATION

P/E

5.44

Market Cap ($M USD)

$1.77B

Forward P/E

N/A

PEG

N/A

PRICE TO SALES

12.38

PRICE TO BOOK

1.00

EV / EBITDA

6.23

5-Year Average P/E

Free Cash Flow Yield

1.59%

DCF Value

$-1.36

Graham Number

$47.26

Price to FCF

62.90

EV to FCF

76.01

Earnings Yield

18.39%

FCF Yield

1.59%

DIVIDEND

Yield

6.68%

Annual Payout

$1.55

Payout Ratio

54.46%

Consecutive Years of Dividend Growth

5-Year Dividend Growth Rate

Financial Health & Profitability

Earnings Per Share

$4.27

Next Year EPS Growth Estimate

N/A

Next Year Revenue Growth Estimate

N/A

Return on Equity (ROE)

19.89%

FREE CASH FLOW

Operating Margin

240.17%

Debt-to-Equity

0.21

Piotroski F-Score

4

Altman Z-Score

3.80

Return on Invested Capital (ROIC)

16.06%

Current Ratio

0.00

Quick Ratio

0.00

Net Debt to EBITDA

1.07

Interest Coverage

37.18

Gross Profit margin

37.69%

FCF PER SHARE

$0.37

REVENUE PER SHARE

$1.88

Gainseekers Quantitative Analysis

Summary

The market seems to be mispricing ETG Eaton Vance Tax-Advantaged Global Dividend Income Fund relative to its intrinsic value. With a Price/Book ratio just under 1, it suggests the stock is trading near its book value, yet the DCF value is negative, indicating potential overvaluation concerns. The robust Earnings Yield of 18.56% and a solid Altman Z-score of 3.76 highlight financial stability and a strong return on equity at 19.89%, suggesting efficient management. However, the absence of a Forward P/E and a high Price to FCF ratio of 62.30 raises questions about future growth expectations.

AI Exposure / Tech Reliance

Operating within the Asset Management - Income sector, ETG is positioned to leverage AI for enhanced data analytics and investment decision-making. However, as a traditional financial services entity, its adaptability to rapid tech shifts may be slower compared to tech-centric firms. The industry’s inherent resilience to tech disruption provides a cushion, but proactive adaptation is crucial.

The Bull Case

For value or GARP investors, ETG presents a compelling case with its impressive ROIC of 16.06%, indicating efficient capital use. The operating margin of 240.17% underscores significant pricing power, while a decent FCF Yield of 1.61% suggests some cash flow generation capability. Despite a middling Piotroski F-Score of 4, the fund's ability to maintain a healthy dividend yield of 6.74% with a reasonable payout ratio of 54.46% signals a commitment to returning value to shareholders.

The Bear Case

Despite its strengths, ETG faces structural risks with a Price/Sales ratio of 12.26, indicating a potentially overvalued stock relative to its revenue. The negative DCF value further questions its current valuation, while the Price to FCF ratio of 62.30 highlights inefficiencies in cash flow generation. Trading close to its 52-week high, the stock appears technically overextended, suggesting limited upside potential without significant growth catalysts.

Market Sentiment & Smart Money

Short Interest %

Analyst Consensus

N/A

Average Analyst Price Target

N/A

Institutional Ownership %

1-Year Beta

1.21

Insider Buying % (6 Mo)

Distance to 52-Week High

1.85%

Distance to 52-Week Low

16.78%

EARNINGS SURPRISE %

N/A

50-DAY SMA

$21.71

200-DAY SMA

$21.93

⚠️ Financial Disclaimer:
This content is for informational purposes only and is not financial advice. Information may be delayed or inaccurate. We may earn a commission from partner links.