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Originator-Name: webmaster@www.sec.gov
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0000940394-06-000657.txt : 20060703
0000940394-06-000657.hdr.sgml : 20060703
20060703104626
ACCESSION NUMBER: 0000940394-06-000657
CONFORMED SUBMISSION TYPE: 424B3
PUBLIC DOCUMENT COUNT: 2
FILED AS OF DATE: 20060703
DATE AS OF CHANGE: 20060703
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: EATON VANCE CORP
CENTRAL INDEX KEY: 0000350797
STANDARD INDUSTRIAL CLASSIFICATION: INVESTMENT ADVICE [6282]
IRS NUMBER: 042718215
STATE OF INCORPORATION: MD
FISCAL YEAR END: 1031
FILING VALUES:
FORM TYPE: 424B3
SEC ACT: 1933 Act
SEC FILE NUMBER: 333-73080
FILM NUMBER: 06939762
BUSINESS ADDRESS:
STREET 1: 255 STATE STREET
CITY: BOSTON
STATE: MA
ZIP: 02109
BUSINESS PHONE: 6174828260
MAIL ADDRESS:
STREET 1: 255 STATE STEET
STREET 2: 11TH FLOOR
CITY: BOSTON
STATE: MA
ZIP: 02109
424B3
1
supp17.htm
EATON VANCE CORP. PROSPECTUS SUPP #17 DTD 7-3-06
supp17.pdf -- Converted by SECPublisher 4.0, created by BCL Technologies Inc., for SEC Filing
PROSPECTUS SUPPLEMENT NO. 17
To Prospectus Dated February 8, 2002
As Supplemented:
July 3, 2006
|
Eaton Vance Corp.
Non-Voting Common Stock
|
This Prospectus Supplement No. 17 supplements and amends the Prospectus dated February 8, 2002 of Eaton Vance Corp., as supplemented (the Prospectus), relating to the resale of shares of our non-voting common stock deliverable
upon exchange of Liquid Yield Option Notes due 2031 issued by Eaton Vance Management by certain holders of LYONs who are named as selling stockholders in this Prospectus Supplement and the Prospectus.
You should read this Prospectus Supplement in conjunction with the Prospectus. This Prospectus Supplement updates information in the Prospectus, and, accordingly, to the extent inconsistent, the information in this Prospectus Supplement
supersedes the information contained in the Prospectus.
Investing in the Notes involves risks. See "Risk Factors" beginning on page 4 of the Prospectus.
Neither the Securities and Exchange Commission nor any state securities commission has approved or disapproved of these securities or passed upon the adequacy or accuracy of this Prospectus. Any representation to the contrary is a criminal
offense.
The date of this Prospectus Supplement is July 3, 2006.
Trademark of Merrill Lynch & Co., Inc.
|
The table of selling stockholders contained in the
Prospectus is hereby amended and restated as set forth below to update entities
as selling stockholders. The table below sets forth, as of July 3, 2006,
information regarding the beneficial ownership of our non-voting common stock
that each selling stockholder may offer pursuant to the Prospectus. The
information contained in the table, which gives effect to the change described
above, is based solely on information provided by or on behalf of selling
stockholders through July 3, 2006. Information about other selling stockholders
will be set forth in future prospectus supplements, if required.
SELLING
STOCKHOLDERS |
|
|
|
|
|
|
|
Percentage of |
|
|
Shares of Non- |
|
|
|
Non-Voting |
|
|
Voting Common |
|
Shares of Non- |
|
Common |
|
|
Stock Beneficially |
|
Voting Common |
|
Stock |
|
|
Owned Prior to |
|
Stock That May be |
|
Outstanding |
Selling Stockholder (1) |
|
Offering (2) |
|
Offered Hereby (3) |
|
(4) |
|
White River Securities L.L.C. |
|
62,490 |
|
62,490 |
|
* |
Bear Stearns & Co. Inc. |
|
62,490 |
|
62,490 |
|
* |
Julius Baer Multibond Convertbond |
|
28,732 |
|
28,732 |
|
* |
R2 Investments, LDC |
|
287,314 |
|
287,314 |
|
* |
KBC Financial Products USA Inc. |
|
43,098 |
|
43,098 |
|
* |
KBC Financial Products (Cayman Islands) |
|
1,278,546 |
|
1,278,546 |
|
* |
JMG Triton Offshore Fund, Ltd |
|
41,660 |
|
41,660 |
|
* |
UFJ Investments Asia Ltd |
|
287,314 |
|
287,314 |
|
* |
MLQA Convertible Securities Arbitrage Ltd. |
|
574,628 |
|
574,628 |
|
* |
Deutsche Banc Alex Brown Inc. |
|
1,120,524 |
|
1,120,524 |
|
* |
First Union International Capital Markets Inc. |
|
287,314 |
|
287,314 |
|
* |
Gaia Offshore Master Fund Ltd. |
|
248,526 |
|
248,526 |
|
* |
Lyxor Master Fund |
|
387,788 |
|
38,788 |
|
* |
Merrill Lynch, Pierce, Fenner & Smith, Inc. (5)
|
|
199,684 |
|
199,684 |
|
* |
UBS AG LON F/B/O PB |
|
143,658 |
|
143,658 |
|
* |
CALAMOS® Convertible Growth and Income |
|
|
|
|
|
|
Fund CALAMOS® Investment Trust |
|
71,828 |
|
71,828 |
|
* |
State of Florida, Office of the Treasurer |
|
71,828 |
|
71,828 |
|
* |
TD Securities (USA) Inc. |
|
508,544 |
|
508,544 |
|
* |
Dodeca Fund, L.P. |
|
57,462 |
|
57,462 |
|
* |
Akela Capital Master Fund, LLC |
|
86,194 |
|
86,194 |
|
* |
Amaranth L.L.C. |
|
878,730 |
|
870,130 |
|
* |
Sunrise Partners Limited Partnership |
|
71,898 |
|
57,462 |
|
* |
Susquehanna Capital Group |
|
359,142 |
|
359,142 |
|
* |
Topanga XI |
|
11,492 |
|
11,492 |
|
* |
|
(footnotes on following page) |
|
|
|
|
|
|
2
|
|
|
|
|
|
Percentage of |
|
|
Shares of Non- |
|
|
|
Non-Voting |
|
|
Voting Common |
|
Shares of Non- |
|
Common |
|
|
Stock Beneficially |
|
Voting Common |
|
Stock |
|
|
Owned Prior to |
|
Stock That May be |
|
Outstanding |
Selling Stockholder (1) |
|
Offering (2) |
|
Offered Hereby (3) |
|
(4) |
|
Citigroup Global Markets Ltd. |
|
1,221,084 |
|
1,221,084 |
|
* |
Canadian Imperial Holdings Inc. |
|
287,314 |
|
287,314 |
|
* |
Banc of America Securities LLC |
|
11,492 |
|
11,492 |
|
* |
Citigroup Global Markets Inc. |
|
252,836 |
|
252,836 |
|
* |
SultonBrook Capital Portfolio, LP |
|
1,967,095 |
|
1,967,095 |
|
* |
CSS, LLC |
|
86,194 |
|
86,194 |
|
* |
Argent LowLev Convertible Arbitrage |
|
|
|
|
|
|
Fund Ltd. |
|
78,724 |
|
78,724 |
|
* |
Argent LowLev Convertible Arbitrage |
|
|
|
|
|
|
Fund LLC |
|
17,526 |
|
17,526 |
|
* |
Argent LowLev Convertible Arbitrage |
|
|
|
|
|
|
Fund II, LLC |
|
1,724 |
|
1,724 |
|
* |
Class C Trading Company, Ltd. |
|
18,388 |
|
18,388 |
|
* |
Goldman Sachs & Co. |
|
389,569 |
|
287,314 |
|
* |
HFR CA Global Select Master Trust Account |
|
18,675 |
|
18,675 |
|
* |
Lyxor Master Fund |
|
|
|
|
|
|
Ref: Argent/LowLev CB c/o
Argent |
|
31,030 |
|
31,030 |
|
* |
Partners Group Alternative |
|
|
|
|
|
|
Strategies PCC LTD |
|
14,365 |
|
14,365 |
|
* |
Silver Convertible Arbitrage Fund, LDC |
|
6,321 |
|
6,321 |
|
* |
Xavex Convertible Arbitrage 2 Fund |
|
575 |
|
575 |
|
* |
|
|
Total (6)
|
|
|
|
3,187,606 |
|
2.3% |
|
|
|
*Less than one percent (1%) |
|
|
|
|
|
|
(1) |
The non-voting common stock share figures
reported in this table for the various selling stockholders are based on
information supplied to us, as of July 3, 2006, by the respective selling
stockholders named in the table. As of that date, these selling
stockholders had supplied us with information indicating that,
collectively, they owned more than the $110,945,000 aggregate principal
amount at maturity of LYONs currently outstanding (which amount would be
exchangeable into a maximum 3,187,606 shares of non- voting common stock).
This reflects, we believe, that one or more selling stockholders supplied
us with information for inclusion in the table and then subsequently (i)
exercised their right to require EVM to repurchase their LYONs, in whole
or in part, for cash on August 13, 2002, pursuant to the terms of the
Indenture governing the LYONs; and/or (ii) sold their LYONs in
transactions exempt from the registration requirements of the Securities
Act of 1933, as amended, to persons who also supplied us information with
respect to the shares deliverable upon exchange of the same LYONs.
|
|
(2) |
The number of shares of non-voting common
stock deliverable upon exchange of the LYONs are subject to change under
certain circumstances described in the Indenture governing the LYONs. As a
result, the number of shares of non-voting common stock deliverable upon
exchange of the LYONs may increase or decrease at any time. |
|
3
(3) |
Assumes that the full amount of LYONs reported as held by a selling stockholder is exchanged for shares of non-voting common stock at an exchange rate of 28.7314 shares of non-voting common stock per $1,000 principal amount at maturity of
LYONs, and that all shares received upon exchange are offered hereunder by that selling stockholder. Since exchange of the LYONs for shares of non-voting common stock is conditioned upon the occurrence of specified events, and since Eaton Vance
Management has the right to pay cash in lieu of delivering shares of non-voting common stock upon exchange, there can be no assurance that any selling stockholder will be able to exchange its LYONs, or that it will receive shares of non-voting
common stock upon any such exchange. |
|
(4) |
Calculated based on Rule 13d-3(d)(1)(i) of the Exchange Act, using 127,613,866 shares of non-voting common stock outstanding as of April 30, 2006. In calculating this amount for each holder, we treated as outstanding the number of shares of
non-voting common stock deliverable upon exchange of all of that holders LYONs, but we did not assume exchange of any other holders LYONs. |
|
(5) |
Merrill Lynch, Pierce, Fenner & Smith, Inc. (Merrill Lynch) is not aware of any position, office, or directorship relationship with the company or its affiliates; however, Merrill Lynch may or may not have, from time to time,
acted in a financial investment advisory capacity to the company or its affiliates. |
|
(6) |
The total non-voting common stock share figure above represents the maximum number of shares deliverable upon exchange of the aggregate principal amount at maturity of LYONs outstanding as of July 3, 2006. Accordingly, this figure represents
the maximum number of shares of non-voting common stock that could be sold hereunder. |
|
The Prospectus, together with all Prospectus Supplements, constitutes the Prospectus required to be delivered by Section 5(b) of the Securities Act of 1933, as amended, with respect to offers and sales of non-voting common stock deliverable
upon exchange of the LYONs.
4
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-----END PRIVACY-ENHANCED MESSAGE-----