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Eaton Vance Enhanced Equity Income Fund

Regulatory Filings Mar 1, 2006

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N-Q 1 a06-1570_1nq.htm QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS

UNITED STATES SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM N-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED

MANAGEMENT INVESTMENT COMPANIES

Investment Company Act File Number 811-21614
Eaton Vance Enhanced Equity Income Fund
(Exact Name of
Registrant as Specified in Charter)
The Eaton Vance Building, 255 State Street, Boston, Massachusetts 02109
(Address of
Principal Executive Offices) (Zip code)
Alan R. Dynner, Esq. Eaton Vance Management, 255 State Street, Boston, Massachusetts 02109
(Name and Address
of Agent for Services)
Registrant’s Telephone
Number, Including Area Code: (617)
482-8260
Date of Fiscal Year End: September
30
Date of Reporting Period: December
31, 2005

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Item 1. Schedule of Investments

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Eaton Vance Enhanced Equity Income Fund as of December 31, 2005

PORTFOLIO OF INVESTMENTS (Unaudited)

Common Stocks (2) — 99.6%

Security Shares Value
Advertising — 0.7%
Lamar Advertising Co. (1) 125,000 $ 5,767,500
$ 5,767,500
Aerospace & Defense — 5.0%
Alliant Techsystems, Inc. (1) 93,300 7,106,661
General Dynamics Corp. 73,497 8,382,333
L-3 Communications Holdings, Inc. 105,000 7,806,750
Northrop Grumman Corp. 148,100 8,902,291
Precision Castparts Corp. 137,078 7,102,011
$ 39,300,046
Apparel — 1.6%
Nike, Inc., Class B 142,000 12,324,180
$ 12,324,180
Asset Management — 2.7 %
Affiliated Managers Group, Inc. (1) 99,000 7,944,750
T. Rowe Price Group, Inc. 181,700 13,087,851
$ 21,032,601
Auto and Parts — 1.3%
BorgWarner, Inc. 169,700 10,288,911
$ 10,288,911
Beverages — 2.2%
Anheuser-Busch Companies, Inc. 133,600 5,739,456
PepsiCo, Inc. 197,000 11,638,760
$ 17,378,216
Biotechnology — 1.1%
Genzyme Corp. (1) 124,200 8,790,876
$ 8,790,876
Business Services — 2.0%
Cintas Corp. 130,200 5,361,636
Paychex, Inc. 278,800 10,627,856
$ 15,989,492
Chemicals — 1.2%
Monsanto Co. 122,700 9,512,931
$ 9,512,931
Chemicals-Specialty — 1.4%
Ecolab, Inc. 301,900 10,949,913
$ 10,949,913

1

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Commercial Banks — 7.2% — Bank of New York Co., Inc. 318,000 $ 10,128,300
Commerce Bancorp, Inc. 234,500 8,069,145
North Fork Bancorporation, Inc. 356,850 9,763,416
Sovereign Bancorporation, Inc. 311,200 6,728,144
SunTrust Banks, Inc. 159,000 11,568,840
Wells Fargo & Co. 175,400 11,020,382
$ 57,278,227
Commercial Printing — 0.8%
Donnelley (R.R.) & Sons Co. 188,000 6,431,480
$ 6,431,480
Communications Equipment — 0.8%
Cisco Systems, Inc. (1) 371,100 6,353,232
$ 6,353,232
Computer Software — 2.9%
Microsoft Corp. 369,000 9,649,350
Oracle Corp. (1) 778,800 9,509,148
SAP AG ADR 87,600 3,948,132
$ 23,106,630
Computers &
Peripherals — 1.4%
International Business Machines Corp. 132,300 10,875,060
$ 10,875,060
Department Stores — 0.9%
Federated Department Stores, Inc. 108,000 7,163,640
$ 7,163,640
Diversified Metals/Mining — 1.1%
Phelps Dodge Corp. 58,200 8,373,234
$ 8,373,234
Diversified Telecommunication
Services — 0.8%
Sprint Nextel Corp. 262,300 6,127,328
$ 6,127,328
Electrical Equipment — 1.2%
Emerson Electric Co. 126,200 9,427,140
$ 9,427,140
Electronic Equipment &
Instruments — 1.2%
Flextronics International, Ltd. (1) 882,300 9,211,212
$ 9,211,212
Entertainment — 0.6%
Harrah’s Entertainment, Inc. 66,000 4,705,140
$ 4,705,140

2

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Financial Services — 6.4 % — American Express Co. 198,800 $ 10,230,248
Citigroup, Inc. 237,600 11,530,728
Countrywide Financial Corp. 199,000 6,803,810
Goldman Sachs Group, Inc. 112,100 14,316,291
Merrill Lynch & Co., Inc. 115,400 7,816,042
$ 50,697,119
Health Services — 1.6%
Caremark Rx, Inc. (1) 183,000 9,477,570
UnitedHealth Group, Inc. 54,800 3,405,272
$ 12,882,842
Healthcare Equipment — 2.7%
Edwards Lifesciences Corp. (1) 138,400 5,758,824
Fisher Scientific International, Inc. (1) 155,000 9,588,300
Stryker Corp. 132,800 5,900,304
$ 21,247,428
Healthcare Services — 1.0%
Laboratory Corporation of America Holdings (1) 142,300 7,662,855
$ 7,662,855
Healthcare Supplies — 0.7%
DENTSPLY International, Inc. 98,700 5,299,203
$ 5,299,203
Hotel/Resort/Cruise — 2.8 %
Carnival Corp. 204,100 10,913,227
Starwood Hotels & Resorts Worldwide, Inc. 171,100 10,926,446
$ 21,839,673
Industrial Conglomerates — 1.0%
Tyco International, Ltd. 285,300 8,233,758
$ 8,233,758
Insurance — 3.7%
Aflac, Inc. 213,900 9,929,238
Allstate Corp. 127,600 6,899,332
MGIC Investment Corp. 70,000 4,607,400
PartnerRe, Ltd. 123,600 8,116,812
$ 29,552,782
Integrated Telecommunication
Services — 0.9%
AT&T, Inc. 291,500 7,138,835
$ 7,138,835
Internet Software &
Services — 1.2%
Google, Inc., Class A (1) 22,000 9,126,920
$ 9,126,920

3

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Machinery — 1.2% — Deere & Co. 144,900 $ 9,869,139
$ 9,869,139
Media — 1.6%
Time Warner, Inc. 418,500 7,298,640
Walt Disney Co. 226,000 5,417,220
$ 12,715,860
Medical
Products — 1.7%
Biomet, Inc. 190,300 6,959,271
Charles River
Laboratories International, Inc. (1) 152,700 6,469,899
$ 13,429,170
Metals-Industrial — 2.9%
Alcoa, Inc. 315,200 9,320,464
Freeport-McMoRan
Copper & Gold, Inc., Class B 95,500 5,137,900
Inco, Ltd. (1) 201,000 8,757,570
$ 23,215,934
Mining — 1.2%
Newmont Mining Corp. 183,000 9,772,200
$ 9,772,200
Oil and
Gas — 2.4%
BP PLC ADR 176,000 11,302,720
Marathon Oil Corp. 121,000 7,377,370
$ 18,680,090
Oil and
Gas-Equipment and Services — 2.5 %
Halliburton Co. 172,000 10,657,120
Williams Co., Inc. 396,100 9,177,637
$ 19,834,757
Oil and
Gas-Exploration and Production — 4.3 %
Burlington
Resources, Inc. 111,000 9,568,200
Canadian Natural
Resources, Ltd. 174,000 8,633,880
Chesapeake Energy Corp. 205,500 6,520,515
Nabors Industries,
Ltd. (1) 42,500 3,219,375
Noble Corp. 84,500 5,960,630
$ 33,902,600
Personal
Products — 1.7%
Colgate-Palmolive Co. 117,100 6,422,935
Procter &
Gamble Co. (The) 122,070 7,065,412
$ 13,488,347
Pharmaceuticals — 3.4%
Johnson &
Johnson 126,800 7,620,680
Sepracor, Inc. (1) 143,000 7,378,800

4

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| Watson
Pharmaceuticals, Inc. (1) | 146,800 | $ |
| --- | --- | --- |
| Wyeth | 161,300 | 7,431,091 |
| | | $ 27,203,039 |
| Railroads — 2.2% | | |
| Canadian Pacific Railway,
Ltd. | 183,900 | 7,714,605 |
| CSX Corp. | 198,000 | 10,052,460 |
| | | $ 17,767,065 |
| REITs — 1.3% | | |
| Simon Property
Group, Inc. | 132,100 | 10,122,823 |
| | | $ 10,122,823 |
| Restaurants — 1.0% | | |
| Yum! Brands, Inc. | 160,000 | 7,500,800 |
| | | $ 7,500,800 |
| Retail-Food
and Drug — 3.6% | | |
| CVS Corp. | 303,400 | 8,015,828 |
| Safeway, Inc. | 278,000 | 6,577,480 |
| Walgreen Co. | 315,000 | 13,941,900 |
| | | $ 28,535,208 |
| Retail-General — 0.9% | | |
| BJ’s Wholesale
Club, Inc. (1) | 235,000 | 6,946,600 |
| | | $ 6,946,600 |
| Retail-Specialty
and Apparel — 1.1% | | |
| Bed Bath and
Beyond, Inc. (1) | 237,400 | 8,582,010 |
| | | $ 8,582,010 |
| Semiconductors &
Semiconductor Equipment — 3.7% | | |
| Altera Corp. (1) | 240,000 | 4,447,200 |
| Analog
Devices, Inc. | 184,500 | 6,618,015 |
| Applied Materials, Inc. | 428,800 | 7,692,672 |
| Intel Corp. | 248,500 | 6,202,560 |
| Linear Technology Corp. | 129,300 | 4,663,851 |
| | | $ 29,624,298 |
| Services-Data
Processing — 1.8% | | |
| Electronic Data Systems
Corp. | 321,000 | 7,716,840 |
| Fiserv, Inc. (1) | 156,000 | 6,750,120 |
| | | $ 14,466,960 |
| Tobacco — 1.0% | | |
| Altria Group, Inc. | 102,700 | 7,673,744 |
| | | $ 7,673,744 |
| Total Common Stocks (identified cost $755,014,327) | | $ 787,399,048 |

5

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Commercial Paper — 3.7%

Principal
Amount
Security (000’s omitted) Value
General Electric Capital
Corp., 4.20%, 1/3/06 $ 29,374 $ 29,367,146
Total Commercial Paper (at amortized cost, $29,367,146) $ 29,367,146

Short-Term Investments — 0.3%

Principal
Amount
Security (000’s omitted) Value
Investors Bank and Trust
Company Time Deposit, 4.23%, 1/3/06 $ 2,000 $ 2,000,000
Total
Short-Term Investments (at amortized cost, $2,000,000) $ 2,000,000
Total Investments — 103.6% (identified cost $786,381,473) $ 818,766,194

Covered Call Options Written — (3.1)%

Type of Contract Number of — Contracts Premium — Received Value
Affiliated Managers Group, Inc., Expires 3/18/06, Strike 80.00 625 $ 188,167 $ (221,875 )
Aflac, Inc., Expires 2/18/06, Strike 45.00 310 74,988 (69,750 )
Alcoa, Inc., Expires 1/21/06, Strike 25.00 670 64,261 (321,600 )
Alliant Techsystems, Inc., Expires 2/18/06, Strike 75.00 375 100,122 (115,312 )
Allstate Corp., Expires 1/21/06, Strike 55.00 565 117,988 (16,950 )
Altera Corp., Expires 1/21/06, Strike 20.00 1,580 216,334 (23,700 )
Altria Group, Inc., Expires 3/18/06, Strike 80.00 1,027 177,665 (123,240 )
American Express Co., Expires 1/21/06, Strike 50.00 545 69,213 (111,725 )
Analog Devices, Inc., Expires 6/17/06, Strike 40.00 1,845 464,920 (230,625 )
Anheuser-Busch Companies, Inc., Expires 3/18/06, Strike 45.00 480 61,398 (24,000 )
Applied Materials, Inc., Expires 4/22/06, Strike 18.00 1,515 203,759 (174,225 )
AT&T, Inc., Expires 4/22/06, Strike 25.00 2,915 112,223 (131,175 )
Bank of New York Co., Inc., Expires 4/22/06, Strike 30.00 1,040 189,274 (278,200 )
Bed Bath and Beyond, Inc., Expires 1/21/06, Strike 42.50 1,290 305,494 (6,450 )
Biomet, Inc., Expires 1/21/06, Strike 35.00 680 94,857 (136,000 )

6

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BJ’s Wholesale Club, Inc., Expires 3/18/06, Strike 25.00 390 $ $ )
BorgWarner, Inc., Expires 1/21/06, Strike 55.00 655 250,146 (386,450 )
BP PLC ADR, Expires 4/22/06, Strike 70.00 1,760 223,510 (123,200 )
Burlington Resources, Inc., Expires 1/21/06, Strike 75.00 645 233,516 (735,300 )
Canadian Natural Resources, Ltd., Expires 3/18/06, Strike 50.00 1,740 586,355 (556,800 )
Canadian Pacific Railway, Ltd., Expires 3/18/06, Strike 45.00 1,839 178,375 (137,925 )
Caremark Rx, Inc., Expires 1/21/06, Strike 50.00 1,075 270,810 (263,375 )
Carnival Corp., Expires 1/21/06, Strike 50.00 1,055 263,525 (390,350 )
Charles River Laboratories International, Inc., Expires 2/18/06, Strike 45.00 495 102,415 (34,650 )
Chesapeake Energy Corp., Expires 4/22/06, Strike 30.00 1,275 359,777 (510,000 )
Cintas Corp., Expires 2/18/06, Strike 45.00 600 76,197 (6,000 )
Cisco Systems, Inc., Expires 1/21/06, Strike 17.50 940 61,298 (14,100 )
Citigroup, Inc., Expires 6/17/06, Strike 50.00 2,376 420,534 (320,760 )
Colgate-Palmolive Co., Expires 1/21/06, Strike 55.00 1,171 131,048 (93,680 )
Commerce Bancorp, Inc., Expires 1/21/06, Strike 32.50 1,035 146,872 (243,225 )
Countrywide Financial Corp., Expires 1/21/06, Strike 32.50 655 88,094 (131,000 )
CSX Corp., Expires 1/21/06, Strike 45.00 1,015 321,668 (598,850 )
CVS Corp., Expires 2/18/06, Strike 27.50 1,235 206,236 (86,450 )
Deere & Co., Expires 3/18/06, Strike 70.00 1,449 517,271 (376,740 )
DENTSPLY International, Inc., Expires 1/21/06, Strike 55.00 987 149,935 (49,350 )
Donnelley (R.R.) & Sons Co., Expires 3/18/06, Strike 35.00 1,880 201,309 (145,700 )
Ecolab, Inc., Expires 1/21/06, Strike 30.00 535 108,021 (342,400 )
Ecolab, Inc., Expires 4/22/06, Strike 35.00 2,484 194,986 (602,370 )
Edwards Lifesciences Corp., Expires 2/18/06, Strike 45.00 680 63,577 (20,400 )
Electronic Data Systems Corp., Expires 1/21/06, Strike 22.50 1,860 190,318 (321,780 )
Emerson Electric Co., Expires 1/21/06, Strike 70.00 1,262 280,060 (656,240 )
Federated Department Stores, Inc., Expires 2/18/06, Strike 70.00 365 123,000 (47,450 )

7

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Fiserv, Inc., Expires 1/21/06, Strike 45.00 770 $ $ )
Fisher Scientific International, Inc., Expires 3/18/06, Strike
65.00 975 233,503 (146,250 )
Flextronics International, Ltd., Expires 4/22/06, Strike 10.00 2,705 239,382 (311,075 )
Freeport-McMoRan Copper & Gold, Inc., Expires 2/18/06,
Strike 55.00 620 116,784 (136,400 )
General Dynamics Corp., Expires 5/20/06, Strike 115.00 330 167,303 (165,000 )
Genzyme Corp., Expires 1/21/06, Strike 75.00 625 182,492 (31,250 )
Goldman Sachs Group, Inc., Expires 1/21/06, Strike 120.00 1,121 635,502 (896,800 )
Google, Inc., Expires 1/21/06, Strike 320.00 125 273,354 (1,197,500 )
Hallibutron Co., Expires 1/21/06, Strike 60.00 635 247,185 (222,250 )
Harrah’s Entertainment, Inc., Expires 2/18/06, Strike 70.00 315 92,477 (113,400 )
Inco, Ltd., Expires 1/21/06, Strike 45.00 1,080 142,554 (81,000 )
Intel Corp., Expires 1/21/06, Strike 25.00 1,485 166,313 (89,100 )
International Business Machines Corp., Expires 1/21/06, Strike 85.00 825 147,945 (61,875 )
Johnson & Johnson, Expires 4/22/06, Strike 65.00 1,268 180,619 (76,080 )
L-3 Communications Holdings, Inc., Expires 4/22/06, Strike
75.00 400 169,747 (144,000 )
Laboratory Corporation of America Holdings, Expires 1/21/06, Strike
47.50 815 213,127 (529,750 )
Lamar Advertising Co., Expires 4/22/06, Strike 45.00 1,250 377,487 (400,000 )
Linear Technology Corp., Expires 2/18/06, Strike 37.50 865 77,051 (64,875 )
Marathon Oil Corp., Expires 4/22/06, Strike 60.00 845 369,249 (388,700 )
Merrill Lynch & Co., Inc., Expires 1/21/06, Strike
65.00 630 157,178 (207,900 )
MGIC Investment Corp., Expires 3/18/06, Strike 65.00 405 142,554 (141,750 )
Microsoft Corp., Expires 1/21/06, Strike 25.00 1,000 93,497 (125,000 )
Monsanto Co., Expires 1/21/06, Strike 65.00 635 245,735 (793,750 )
Nabors Industries, Ltd., Expires 3/18/06, Strike 70.00 305 136,329 (265,350 )
Newmont Mining Corp., Expires 3/18/06, Strike 47.50 1,425 565,701 (1,048,800 )
Nike, Inc., Expires 1/21/06, Strike 85.00 645 214,139 (177,375 )
Noble Corp., Expires 3/18/06, Strike 75.00 635 251,164 (196,850 )
North Fork Bancorporation, Inc., Expires 2/18/06, Strike 27.50 1,225 108,408 (85,750 )

8

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Northrop Grumman Corp., Expires 1/21/06, Strike 55.00 655 $ $ )
Oracle Corp., Expires 3/18/06, Strike 13.00 4,265 347,229 (106,625 )
PartnerRe, Ltd., Expires 2/18/06, Strike 70.00 235 16,574 (19,975 )
Paychex, Inc., Expires 1/21/06, Strike 32.50 1,125 210,284 (646,875 )
PepsiCo, Inc., Expires 1/21/06, Strike 60.00 1,970 210,781 (82,740 )
Phelps Dodge Corp., Expires 1/21/06, Strike 120.00 420 431,286 (1,033,200 )
Precision Castparts Corp., Expires 3/18/06, Strike 50.00 830 279,698 (327,850 )
Procter & Gamble Co. (The), Expires 1/21/06, Strike 55.00 602 110,055 (126,173 )
Safeway, Inc., Expires 3/18/06, Strike 22.50 1,685 331,931 (332,788 )
SAP AG ADR, Expires 3/18/06, Strike 45.00 600 106,195 (111,000 )
Sepracor, Inc., Expires 1/21/06, Strike 55.00 695 298,465 (52,125 )
Simon Property Group, Inc., Expires 1/21/06, Strike 75.00 460 116,022 (147,200 )
Sovereign Bancorporation, Inc., Expires 1/21/06, Strike 22.50 1,605 264,014 (32,100 )
Sprint Nextel Corp., Expires 5/20/06, Strike 25.00 1,565 184,664 (164,325 )
Starwood Hotels & Resorts Worldwide, Inc., Expires
2/18/06, Strike 65.00 1,055 144,803 (200,450 )
Stryker Corp., Expires 1/21/06, Strike 50.00 455 157,837 (6,825 )
SunTrust Banks, Inc., Expires 1/21/06, Strike 70.00 775 210,727 (240,250 )
T. Rowe Price Group, Inc., Expires 1/21/06, Strike 60.00 967 480,583 (1,155,565 )
Time Warner, Inc., Expires 1/21/06, Strike 17.50 2,585 228,765 (77,550 )
Tyco International, Ltd., Expires 1/21/06, Strike 27.50 715 137,215 (110,825 )
Walgreen Co., Expires 1/21/06, Strike 42.50 1,410 327,003 (303,150 )
Walt Disney Co., Expires 1/21/06, Strike 22.50 239 36,306 (38,240 )
Watson Pharmaceuticals, Inc., Expires 5/20/06, Strike 35.00 675 85,722 (67,500 )
Wells Fargo & Co., Expires 1/21/06, Strike 60.00 660 93,717 (194,700 )
Williams Co., Inc., Expires 1/21/06, Strike 22.50 2,570 313,370 (282,700 )
Wyeth, Expires 4/22/06, Strike 45.00 1,613 221,730 (483,900 )

9

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Yum! Brands, Inc., Expires 1/21/06, Strike 50.00 $ )
Total Call Options Written (premiums received $20,073,867) $ (24,222,008 )
Other Assets, Less Liabilities — (0.5)% $ (4,138,526 )
Net Assets — 100.0% $ 790,405,660
ADR — American Depository Receipt
REIT — Real Estate Investment Trust
(1) Non-income producing security.
(2) A portion of each common stock holding has been
segregated as collateral for outstanding options written.

The cost and unrealized appreciation (depreciation) in value of the investments owned at December 31, 2005, as computed on a federal income tax basis, were as follows:

| Aggregate
cost | $ | |
| --- | --- | --- |
| Gross unrealized
appreciation | $ 51,776,163 | |
| Gross unrealized
depreciation | (19,391,442 | ) |
| Net unrealized appreciation | $ 32,384,721 | |

10

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Item 2. Controls and Procedures

(a) It is the conclusion of the registrant’s principal executive officer and principal financial officer that the effectiveness of the registrant’s current disclosure controls and procedures (such disclosure controls and procedures having been evaluated within 90 days of the date of this filing) provide reasonable assurance that the information required to be disclosed by the registrant on this Form N-Q has been recorded, processed, summarized and reported within the time period specified in the Commission’s rules and forms and that the information required to be disclosed by the registrant on this Form N-Q has been accumulated and communicated to the registrant’s principal executive officer and principal financial officer in order to allow timely decisions regarding required disclosure.

(b) There have been no changes in the registrant’s internal controls over financial reporting during the fiscal quarter for which the report is being filed that have materially affected, or are reasonably likely to materially affect the registrant’s internal control over financial reporting.

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Signatures

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

Eaton Vance Enhanced Equity Income Fund

By: /s/ Duncan W. Richardson
Duncan W. Richardson
President and Principal Executive Officer
Date: February 24, 2006

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

By: /s/ Duncan W. Richardson
Duncan W. Richardson
President and Principal Executive Officer
Date: February 24, 2006
By: /s/ Barbara E. Campbell
Barbara E. Campbell
Treasurer and Principal Financial Officer
Date: February 24, 2006

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