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N-Q 1 a07-26974_1nq.htm N-Q

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 811-21745
Eaton Vance Tax Managed Global Buy-Write
Opportunities 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)
Maureen
A. Gemma 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: December 31
Date of Reporting
Period: September 30,
2007

SEQ.=1,FOLIO='',FILE='C:\Fc\33303133956_P66527CHE_2548165\26974-1-ba.htm',USER='jmsproofassembler',CD='Nov 29 00:32 2007'

Item 1. Schedule of Investments

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Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund as of September 30, 2007

PORTFOLIO OF INVESTMENTS (Unaudited)

Common Stocks — 101.3%

Security Shares Value
Aerospace &
Defense — 0.7%
General Dynamics Corp. 66,702 $ 5,634,318
Honeywell
International, Inc. 152,231 9,053,178
$ 14,687,496
Air
Freight & Logistics — 0.9%
C.H. Robinson Worldwide, Inc. 84,275 $ 4,575,290
Deutsche Post AG 260,128 7,540,677
Expeditors International
of Washington, Inc. 60,642 2,868,367
FedEx Corp. 28,786 3,015,333
Yamato Holdings Co.,
Ltd. 115,701 1,727,675
$ 19,727,342
Airlines
— 0.0%
Japan Airlines Corp. (1) 335,000 $ 723,886
$ 723,886
Auto
Components — 0.4%
Bridgestone Corp. 72,000 $ 1,582,913
Cooper Tire and Rubber
Co. 33,444 816,034
Johnson
Controls, Inc. 38,152 4,506,133
NGK Spark Plug Co., Ltd. 20,000 308,782
NHK Spring Co., Ltd. 38,000 288,265
Stanley Electric Co.,
Ltd. 17,200 412,308
Sumitomo Rubber
Industries, Inc. 25,000 313,016
Toyota Industries Corp. 9,000 385,383
$ 8,612,834
Automobiles
— 1.8%
DaimlerChrysler AG 188,560 $ 18,833,402
Harley-Davidson, Inc. 24,652 1,139,169
Honda Motor Co., Ltd. 120,700 4,014,200
Isuzu Motors, Ltd. 86,000 488,630
Mitsubishi Motors Corp.
(1) 172,000 260,704
Nissan Motor Co., Ltd. 97,600 972,505
Toyota Motor Corp. 90,707 5,299,652
Volkswagen AG 21,183 4,769,123
Volkswagen AG
(Preference Shares) 10,264 1,406,877
$ 37,184,262
Beverages
— 1.1%
Brown-Forman Corp.,
Class B 9,015 $ 675,314
Carlsberg A/S 16,803 2,287,790
Heineken NV 30,199 1,975,731
Ito En, Ltd. 16,600 403,004
Ito En, Ltd. (Preferred
Shares) (1) 4,980 98,938

1

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Kirin Holdings Co., Ltd. 68,000 $
Pepsi Bottling Group, Inc. 19,042 707,791
PepsiCo, Inc. 140,963 10,326,949
Pernod-Ricard SA 8,806 1,910,388
Sapporo Holdings, Ltd. 160,000 1,052,098
Scottish & Newcastle PLC 132,442 1,646,474
Takara Holdings, Inc. 137,000 801,693
$ 22,781,348
Biotechnology — 2.4%
Amgen, Inc. (1) 221,503 $ 12,530,425
Amylin Pharmaceuticals, Inc. (1) 33,302 1,665,100
Biogen Idec, Inc. (1) 189,353 12,559,784
CV Therapeutics, Inc. (1) 50,000 449,000
Gilead Sciences, Inc. (1) 439,064 17,944,546
ImClone Systems, Inc. (1) 20,000 826,800
LifeCell Corp. (1) 55,965 2,102,605
Martek Biosciences Corp. (1) 12,388 359,624
Regeneron Pharmaceuticals, Inc. (1) 124,547 2,216,937
$ 50,654,821
Building Products — 0.2%
Asahi Glass Co., Ltd. 156,497 $ 2,094,281
Compagnie de Saint-Gobain 12,680 1,320,504
JS Group Corp. 25,600 444,022
Masco Corp. 37,357 865,562
Sanwa Shutter Corp. 78,000 435,327
$ 5,159,696
Capital Markets — 2.2%
Bank of New York Mellon Corp. 126,879 $ 5,600,439
Charles Schwab Corp. 43,252 934,243
E*Trade Financial Corp. (1) 57,311 748,482
Federated Investors, Inc., Class B 15,936 632,659
Franklin Resources, Inc. 43,596 5,558,490
Goldman Sachs Group, Inc. 7,200 1,560,528
Matsui Securities Co., Ltd. 30,000 228,175
Merrill Lynch & Co., Inc. 85,000 6,058,800
Mitsubishi UFJ Securities Co., Ltd. 36,000 320,555
Nikko Cordial Corp. 65,803 825,577
Nomura Holdings, Inc. 89,400 1,485,327
Northern Trust Corp. 66,797 4,426,637
UBS AG 353,092 18,906,664
$ 47,286,576
Chemicals — 1.8%
Air Products and Chemicals, Inc. 9,559 $ 934,488
BASF AG 124,811 17,204,955

2

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Daicel Chemical Industries, Ltd. 62,000 $
Dainippon Ink and Chemicals, Inc. 120,000 528,023
Dow Chemical Co. 73,566 3,167,752
E.I. du Pont de Nemours and Co. 19,328 957,896
Eastman Chemical Co. 11,375 759,054
Ecolab, Inc. 16,822 793,998
Imperial Chemical Industries PLC 88,533 1,168,956
Mitsubishi Chemical Holdings Corp. 41,000 355,590
Mitsubishi Gas Chemical Co., Inc. 43,000 396,475
Nippon Kayaku Co., Ltd. 180,672 1,496,862
Nissan Chemical Industries, Ltd. 87,000 1,070,633
Nitto Denko Corp. 5,000 231,251
Rohm and Haas Co. 12,829 714,190
Shin-Etsu Chemical Co., Ltd. 71,400 4,905,879
Sumitomo Bakelite Co., Ltd. 39,000 223,439
Taiyo Nippon Sanso Corp. 72,000 645,517
Teijin, Ltd. 179,000 870,276
Tokuyama Soda Co. Ltd. 21,000 316,430
Zeon Corp. 24,000 235,195
$ 37,465,341
Commercial Banks — 7.9%
ABN AMRO Holdings NV 298,721 $ 15,656,805
Banca Monte Dei Paschi Siena SpA 166,798 1,021,565
Banco Santander Central Hispano SA 1,031,998 20,045,439
Bank of Yokohama, Ltd. 113,000 774,984
Barclays PLC 1,047,039 12,674,374
Bayerische Hypo-Und Vereinsbank AG 22,398 1,312,215
BB&T Corp. 17,747 716,801
BNP Paribas SA 158,748 17,326,428
Comerica, Inc. 8,894 456,084
Commerzbank AG 36,098 1,454,930
DnB NOR ASA 105,036 1,601,965
First Horizon National Corp. 14,106 376,066
Fukuoka Financial Group, Inc. 32,000 186,304
HSBC Holdings PLC 1,570,038 28,872,153
Huntington Bancshares, Inc. 22,759 386,448
Intesa Sanpaolo SpA 1,213,354 9,329,580
Joyo Bank, Ltd. 37,000 204,888
KeyCorp 16,538 534,674
Lloyds TSB Group PLC 910,946 10,035,392
Marshall & Ilsley Corp. 36,714 1,606,972
Mizuho Financial Group, Inc. 81 456,894
Mizuho Trust & Banking Co., Ltd. 155,000 261,551
National City Corp. 168,516 4,228,066
Popular, Inc. 171,462 2,105,553
Regions Financial Corp. 16,786 494,851

3

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Royal Bank of Scotland PLC 1,413,606 $
Societe Generale 85,869 14,409,823
Sumitomo Mitsui Financial Group, Inc. 105 813,549
Sumitomo Trust and Banking Co., Ltd. 185,955 1,398,249
Synovus Financial Corp. 19,321 541,954
Wells Fargo & Co. 110,189 3,924,932
$ 168,397,609
Commercial Services &
Supplies — 0.8%
Adecco SA 28,437 $ 1,673,221
Avery Dennison Corp. 10,114 576,700
Dai Nippon Printing Co., Ltd. 98,000 1,395,653
Donnelley (R.R) & Sons Co. 70,366 2,572,581
Equifax, Inc. 15,217 580,072
Experian Group, Ltd. 133,660 1,403,505
Half (Robert) International, Inc. 51,258 1,530,564
PARK24 Co., Ltd. 21,200 189,823
Resources Connection, Inc. 35,906 831,224
SECOM Co., Ltd. 71,000 3,400,326
Serco Group PLC 144,136 1,214,256
Waste Management, Inc. 18,690 705,361
$ 16,073,286
Communications Equipment — 4.8%
Cisco Systems, Inc. (1) 999,233 $ 33,084,605
Corning, Inc. 179,244 4,418,365
Harris Corp. 47,813 2,763,113
Nokia Oyi ADR 434,865 16,456,363
QUALCOMM, Inc. 729,121 30,812,653
Research In Motion, Ltd. (1) 88,557 8,727,292
Telefonaktiebolaget LM Ericsson 1,312,284 5,204,079
$ 101,466,470
Computer Peripherals — 5.3%
Apple, Inc. (1) 410,532 $ 63,033,083
Brocade Communications Systems, Inc. (1) 76,415 654,112
Dell, Inc. (1) 321,830 8,882,508
EMC Corp. (1) 279,905 5,822,024
Fujitsu, Ltd. 203,121 1,427,280
Hewlett-Packard Co. 247,871 12,341,497
International Business Machines Corp. 81,602 9,612,716
NEC Corp. 50,000 241,363
Palm, Inc. (1) 69,717 1,134,296
SanDisk Corp. (1) 93,871 5,172,292
Seagate Technology 85,910 2,197,578
Toshiba Corp. 187,431 1,739,426
$ 112,258,175

4

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Construction & Engineering — 0.2% — Chiyoda Corp. 67,000 $ 1,199,308
JGC Corp. 64,000 1,226,418
Kajima Corp. 151,000 516,312
Nishimatsu Construction Co., Ltd. 97,000 292,094
Toda Corp. 37,000 194,381
$ 3,428,513
Construction Materials — 0.1%
Sumitomo Osaka Cement Co., Ltd. 330,591 $ 811,089
Vulcan Materials Co. 7,353 655,520
$ 1,466,609
Consumer Finance — 0.3%
Capital One Financial Corp. 58,324 $ 3,874,463
Credit Saison Co., Ltd. 41,400 1,062,045
Discover Financial Services (1) 30,000 624,000
Mitsubishi UFJ Nicos Co., Ltd. (1) 92,000 180,865
Orix Corp. 1,460 330,445
$ 6,071,818
Containers & Packaging
— 0.1%
Bemis Co., Inc. 21,337 $ 621,120
Temple-Inland, Inc. 20,162 1,061,126
Toyo Seikan Kaisha, Ltd. 71,300 1,338,677
$ 3,020,923
Distributors — 0.0%
Genuine Parts Co. 12,278 $ 613,900
$ 613,900
Diversified Consumer Services —
0.1%
H&R Block, Inc. 78,280 $ 1,657,970
$ 1,657,970
Diversified Financial Services
— 3.1%
Bank of America Corp. 270,451 $ 13,595,572
CITGroup, Inc. 27,153 1,091,551
Citigroup, Inc. 379,082 17,691,757
CME Group, Inc. 6,433 3,778,423
Fortis 166,380 4,892,506
ING Groep NV 367,219 16,275,557
JPMorgan Chase & Co. 99,789 4,572,332
Moody’s Corp. 59,015 2,974,356
$ 64,872,054
Diversified Telecommunication
Services — 3.2%
AT&T Corp. 179,440 $ 7,592,106
Citizens Communications Co. 462,437 6,622,098
Deutsche Telekom AG 241,922 4,737,607

5

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Embarq Corp. 13,779 $
France Telecom SA 183,206 6,099,046
Telecom Italia SpA 2,099,510 5,048,296
Telefonica SA 923,151 25,722,481
Verizon Communications Inc. 246,478 10,914,046
$ 67,501,792
Electric Utilities — 1.6%
Duke Energy Corp. 208,933 $ 3,904,958
E. ON AG 54,239 9,986,974
Enel SPA 1,205,625 13,568,629
Fortum Oyj 37,386 1,367,937
Iberdrola SA 20,867 1,220,266
Kyushu Electric Power Co., Inc. 13,400 353,518
Scottish and Southern Energy PLC 58,381 1,794,332
Tokyo Electric Power Co., Inc. 50,801 1,278,267
Union Fenosa SA 20,612 1,214,049
$ 34,688,930
Electrical Equipment — 1.1%
ABB Ltd. 330,336 $ 8,636,274
Cooper Industries, Ltd., Class A 30,705 1,568,718
Emerson Electric Co. 193,032 10,273,163
Fuji Electric Holdings Co., Ltd. 217,000 962,223
Fujikura, Ltd. 105,000 661,305
Hitachi Cable, Ltd. 52,000 320,820
Ushio, Inc. 13,500 244,452
$ 22,666,955
Electronic Equipment &
Instruments — 1.0%
Agilent Technologies, Inc. (1) 73,937 $ 2,726,797
Anritsu Corp. 33,000 138,341
Dainippon Screen Mfg. Co., Ltd. 52,000 311,636
Electrocomponents PLC 332,501 1,710,098
Hoya Corp. 11,700 397,070
Kyocera Corp. 73,234 6,819,882
Mabuchi Motor Co., Ltd. 7,700 499,925
Murata Manufacturing Co., Ltd. 6,400 458,257
Nippon Electric Glass Co., Ltd. 12,000 191,824
Omron Corp. 11,800 310,469
Taiyo Yuden Co., Ltd. 61,000 1,200,446
TDK Corp. 66,700 5,840,155
Tyco Electronics, Ltd. (1) 37,526 1,329,546
$ 21,934,446
Energy Equipment &
Services — 0.8%
Fugro NV 16,395 $ 1,326,289
Halliburton Co. 169,798 6,520,243

6

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Schlumberger, Ltd. 30,905 $
Transocean, Inc. (1) 56,851 6,427,006
$ 17,518,563
Food & Staples
Retailing — 1.6%
Circle K Sunkus Co., Ltd. 16,500 $ 255,578
CVS & Caremark Corp. 273,973 10,857,550
Familymart Co., Ltd. 10,600 275,426
Koninklijke Ahold NV (1) 122,728 1,847,171
Lawson, Inc. 10,800 340,320
Matsumotokiyoshi Co., Ltd. 10,300 191,915
Metro AG 28,658 2,579,734
Safeway, Inc. 23,779 787,323
Seven and I Holdings Co., Ltd. 92,560 2,368,769
SUPERVALU, Inc. 17,345 676,628
Sysco Corp. 100,301 3,569,713
UNY Co., Ltd. 21,000 182,422
Wal-Mart Stores, Inc. 227,586 9,934,129
$ 33,866,678
Food Products — 2.3%
Campbell Soup Co. 17,968 $ 664,816
ConAgra Foods, Inc. 77,043 2,013,134
H.J. Heinz Co. 14,987 692,399
Hershey Co. 15,075 699,631
Kraft Foods, Inc., Class A 88,500 3,054,135
Meiji Seika Kaisha, Ltd. 260,851 1,309,211
Morinaga & Co., Ltd. 483,079 1,060,141
Nestle SA 58,598 26,180,109
Nissin Food Products Co., Ltd. 11,700 416,126
Sara Lee Corp. 32,588 543,894
Tate & Lyle PLC 168,059 1,373,628
Toyo Suisan Kaisha Ltd. 15,000 281,530
Unilever NV 343,720 10,572,945
$ 48,861,699
Gas Utilities — 0.2%
Gas Natural SDG SA 45,614 $ 2,565,188
Snam Rete Gas SpA 260,064 1,611,020
$ 4,176,208
Health Care
Equipment & Supplies — 1.2%
Covidien, Ltd. (1) 19,968 $ 828,672
Gen-Probe, Inc. (1) 23,579 1,569,890
Hospira, Inc. (1) 13,029 540,052
Immucor, Inc. (1) 58,135 2,078,326
Intuitive Surgical, Inc. (1) 34,868 8,019,640
Medtronic, Inc. 123,565 6,970,302

7

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Olympus Corp. 75,000 $
Terumo Corp. 66,000 3,317,778
$ 26,389,834
Health Care
Providers & Services — 0.7%
DaVita, Inc. (1) 20,000 $ 1,263,600
Humana, Inc. (1) 35,364 2,471,236
Manor Care, Inc. 22,330 1,438,052
McKesson Corp. 119,157 7,005,240
Omnicare, Inc. 20,000 662,600
UnitedHealth Group, Inc. 42,000 2,034,060
$ 14,874,788
Health Care Technology — 0.0%
IMS Health, Inc. 20,213 $ 619,326
$ 619,326
Hotels, Restaurants &
Leisure — 1.5%
Accor SA 26,214 $ 2,319,512
Carnival Corp. 126,018 6,103,052
Harrah’s
Entertainment, Inc. 90,131 7,835,088
Starbucks Corp. (1) 230,561 6,040,698
Starwood
Hotels & Resorts Worldwide, Inc. 54,114 3,287,425
Yum!
Brands, Inc. 157,714 5,335,465
$ 30,921,240
Household Durables — 0.7%
D.R.
Horton, Inc. 65,363 $ 837,300
Daito Trust
Construction Co., Ltd. 9,200 442,154
Fortune
Brands, Inc. 373 30,396
Makita Corp. 13,500 587,228
Pioneer Corp. 89,500 1,092,594
Sekisui House,
Ltd. 159,639 2,002,940
Sharp Corp. 86,000 1,552,294
Snap-On, Inc. 15,120 749,045
Sony Corp. 72,700 3,490,168
Stanley Works 48,688 2,732,857
Thomson 74,363 1,131,176
$ 14,648,152
Household Products — 0.8%
Kao Corp. 114,654 $ 3,413,081
Procter &
Gamble Co. 196,035 13,789,102
Uni-Charm Corp. 8,500 519,722
$ 17,721,905
Independent Power Producers & Energy
Traders — 0.4%
AES Corp. (1) 37,791 $ 757,332
TXU Corp. 125,893 8,619,894
$ 9,377,226

8

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Industrial Conglomerates — 2.7% — 3M Co. 81,121 $ 7,591,303
General Electric Co. 673,171 27,869,279
Hankyu Hanshin Holdings, Inc. 71,000 361,400
Siemens AG 155,733 21,302,576
$ 57,124,558
Insurance — 4.4%
ACE, Ltd. 78,172 $ 4,734,878
AFLAC, Inc. 68,355 3,898,969
Alleanza Assicurazioni SpA 121,297 1,608,735
Allianz AG 16,500 3,833,139
Allstate Corp. 87,349 4,995,489
American International Group, Inc. 181,213 12,259,059
AON Corp. 136,360 6,110,292
Assicurazioni Generali SpA 25,617 1,122,958
AXA SA 428,404 19,134,680
Cincinnati Financial Corp. 20,643 894,048
CNP Assurances 14,204 1,808,581
Corporacion Mapfre SA 246,590 1,114,617
Fondiaria - SAI SpA 22,751 1,065,993
Lincoln National Corp. 3,641 240,197
Marsh & McLennan Cos., Inc. 83,242 2,122,671
Muenchener Rueckversicherungs-Gesellschaft AG 58,944 11,284,782
Prudential PLC 525,459 8,019,414
Resolution PLC 96,239 1,334,519
Sompo Japan Insurance, Inc. 91,000 1,039,432
Storebrand ASA 94,707 1,462,456
T & D Holdings, Inc. 17,500 1,070,448
Trygvesta AS 22,648 1,816,719
XL Capital, Ltd., Class A 41,230 3,265,416
$ 94,237,492
Internet & Catalog
Retail — 0.4%
IAC/InterActiveCorp (1) 273,397 $ 8,111,689
$ 8,111,689
Internet Software &
Services — 3.2%
Akamai Technologies, Inc. (1) 90,904 $ 2,611,672
eAccess, Ltd. 454 251,035
eBay, Inc. (1) 417,326 16,284,060
Google Inc., Class A (1) 60,763 34,469,027
VeriSign, Inc. (1) 146,768 4,951,952
Yahoo!, Inc. (1) 335,429 9,002,914
$ 67,570,660

9

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IT Services — 0.6% — CSK Holdings Corp. 55,800 $ 2,172,837
Electronic Data Systems
Corp. 26,776 584,788
Infosys Technologies,
Ltd. ADR 12,000 580,680
Itochu Techno-Science
Corp. 5,400 189,559
Nomura Research
Institute, Ltd. 14,000 474,424
NTT Data Corp. 814 3,612,396
Obic Co., Ltd. 1,570 303,339
Satyam Computer
Services, Ltd. ADR 171,090 4,429,520
$ 12,347,543
Leisure
Equipment & Products — 0.4%
Eastman Kodak Co. 20,370 $ 545,101
Fuji Photo Film Co.,
Ltd. 56,600 2,597,046
Hasbro, Inc. 26,234 731,404
Mattel, Inc. 31,709 743,893
Namco Bandai
Holdings, Inc. 22,900 331,278
Nikon Corp. 97,000 3,310,735
Sankyo Co., Ltd. 5,600 225,892
Sega Sammy
Holdings, Inc. 10,700 142,021
$ 8,627,370
Life
Sciences Tools & Services — 0.1%
PerkinElmer, Inc. 27,425 $ 801,084
Thermo Fisher
Scientific, Inc. (1) 12,387 714,978
$ 1,516,062
Machinery
— 2.0%
AGCO Corp. (1) 44,000 $ 2,233,880
Amada Co., Ltd. 38,000 421,937
Amano Corp. 26,000 313,387
Danaher Corp. 1,373 113,561
Deere & Co. 62,864 9,330,275
Dover Corp. 13,219 673,508
Eaton Corp. 46,216 4,577,233
Ebara Corp. 330,410 1,517,322
Fanuc, Ltd. 70,627 7,160,602
Illinois Tool
Works, Inc. 13,282 792,138
Ishikawajima-Harima
Heavy Industries Co., Ltd. 196,000 611,957
Japan Steel Works, Ltd. 135,000 2,226,268
Kawasaki Heavy
Industries, Ltd. 209,000 812,893
Komatsu, Ltd. 93,000 3,096,207
Kurita Water Industries, Ltd. 14,700 495,086
Minebea Co., Ltd. 221,227 1,506,016
NSK, Ltd. 151,000 1,317,939
Oshkosh Truck Corp. 21,000 1,301,370
Pall Corp. 19,443 756,333

10

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Parker Hannifin Corp. 8,874 $
Vallourec SA 4,292 1,232,044
$ 41,482,335

| Marine —
0.1% — Nippon Yusen KK | 175,000 | $ 1,697,245 |
| --- | --- | --- |
| | | $ 1,697,245 |
| Media —
2.4% | | |
| CBS Corp., Class B | 46,764 | $ 1,473,066 |
| Comcast Corp.,
Class A (1) | 624,426 | 15,098,621 |
| Dow Jones &
Co., Inc. | 55,771 | 3,329,529 |
| Fuji Television
Network, Inc. | 216 | 432,976 |
| Idearc, Inc. | 12,323 | 387,805 |
| M6-Metropole
Television | 39,623 | 1,144,576 |
| McGraw-Hill
Cos., Inc. | 67,277 | 3,425,072 |
| Meredith Corp. | 10,553 | 604,687 |
| Omnicom Group, Inc. | 82,642 | 3,974,254 |
| PagesJaunes Groupe SA | 90,227 | 1,848,856 |
| TiVo, Inc. (1) | 242,835 | 1,542,002 |
| Tokyo Broadcasting
System, Inc. | 9,200 | 256,611 |
| Tribune Co. | 26,219 | 716,303 |
| Viacom, Inc.,
Class B (1) | 74,912 | 2,919,321 |
| Virgin Media, Inc. | 135,057 | 3,277,833 |
| Walt Disney Co. | 214,837 | 7,388,244 |
| Wolters Kluwer NV | 48,339 | 1,428,037 |
| XM Satellite Radio
Holdings, Inc., Class A (1) | 163,559 | 2,317,631 |
| | | $ 51,565,424 |
| Metals &
Mining — 2.4% | | |
| Alcoa, Inc. | 49,548 | $ 1,938,318 |
| Anglo American PLC | 165,185 | 11,018,690 |
| ArcelorMittal | 154,075 | 12,113,236 |
| Boliden AB | 82,163 | 1,746,244 |
| Dowa Mining Co., Ltd. | 143,791 | 1,807,876 |
| Mitsui Mining &
Smelting Co., Ltd. | 55,000 | 235,426 |
| Newmont Mining Corp. | 35,000 | 1,565,550 |
| Nippon Steel Corp. | 83,000 | 594,189 |
| Rio Tinto PLC | 172,642 | 14,795,946 |
| Sumitomo Metal
Industries, Ltd. | 296,613 | 1,717,263 |
| Sumitomo Metal Mining
Co., Ltd. | 98,000 | 2,359,256 |
| Sumitomo Titanium Corp. | 2,900 | 250,743 |
| Toho Titanium | 7,200 | 262,859 |
| Toho Zinc Co., Ltd. | 44,000 | 402,940 |
| | | $ 50,808,536 |

11

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Multiline Retail — 0.9% — Arcandor AG (1) 39,659 $ 1,323,383
Hankyu Department Stores 42,000 345,495
J Front Retailing Co., Ltd. (1) 28,000 275,095
Macy’s, Inc. 106,813 3,452,196
Marks & Spencer
Group PLC 115,676 1,448,688
Nordstrom, Inc. 42,995 2,016,036
PPR SA 12,595 2,362,862
Ryohin Keikaku Co., Ltd. 4,500 258,266
Sears Holdings Corp. (1) 59,333 7,547,158
$ 19,029,179
Multi-Utilities
— 1.3%
Ameren Corp. 72,149 $ 3,787,822
Centrica PLC 307,754 2,381,589
Kelda Group PLC 93,661 1,643,014
NiSource, Inc. 161,910 3,098,957
PG&E Corp. 9,132 436,510
Public Service
Enterprise Group, Inc. 56,822 4,999,768
Suez SA 38,398 2,254,822
TECO Energy, Inc. 30,971 508,854
United Utilities PLC 429,187 6,110,180
Veolia Environnement 31,200 2,675,516
$ 27,897,032
Office
Electronics — 0.3%
Canon, Inc. 107,300 $ 5,815,083
Xerox Corp. (1) 38,686 670,815
$ 6,485,898
Oil,
Gas & Consumable Fuels — 7.6%
BP PLC 1,609,075 $ 18,534,062
Chevron Corp. 86,537 8,098,132
ConocoPhillips 144,488 12,681,712
El Paso Corp. 56,715 962,454
ENI SpA 407,272 14,999,570
Exxon Mobil Corp. 345,765 32,004,008
Frontline, Ltd. 36,275 1,764,715
Marathon Oil Corp. 12,000 684,240
Nippon Mining
Holdings, Inc. 33,000 328,599
Parallel Petroleum Corp.
(1) 128,392 2,181,380
Royal Dutch Shell PLC,
Class A 353,562 14,475,068
Royal Dutch Shell PLC,
Class B 383,980 15,688,720
Showa Shell Sekiyu KK 119,900 1,534,437
TonenGeneral Sekiyu KK 42,000 420,906
Total SA 342,852 27,708,393
Williams Cos., Inc. 260,246 8,863,979
$ 160,930,375

12

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Paper and Forest Products — 0.2% — International Paper Co. 50,046 $ 1,795,150
Mondi PLC 118,415 1,121,826
Nippon Paper
Group, Inc. 190 585,893
OJI Paper Co., Ltd. 164,000 792,012
$ 4,294,881
Personal
Products — 0.3%
Alberto-Culver Co. 11,849 $ 293,737
Beiersdorf AG 28,716 2,143,045
Herbalife, Ltd. 21,454 975,299
L’Oreal SA 9,729 1,270,416
Oriflame Cosmetics SA 32,734 1,978,306
$ 6,660,803
Pharmaceuticals
— 5.8%
Abbott Laboratories 155,754 $ 8,351,529
Allergan, Inc. 41,914 2,702,196
Astellas
Pharma, Inc. 67,800 3,235,891
AstraZeneca PLC 200,545 9,995,063
Bristol-Myers Squibb Co. 330,336 9,520,283
Cardiome Pharma Corp. (1) 60,000 566,400
Chugai Pharmaceuticals
Co., Ltd. 70,000 1,151,597
Daiichi Sankyo Co., Ltd. 66,600 1,994,036
Eisai Co., Ltd. 84,346 3,976,355
Eli Lilly & Co. 28,000 1,594,040
GlaxoSmithKline PLC 768,127 20,286,994
Johnson &
Johnson Co. 55,785 3,665,074
Novartis AG 161,420 8,850,223
Pfizer, Inc. 513,822 12,552,671
Roche Holding AG 91,418 16,497,277
Sanofi-Synthelabo SA 126,955 10,730,527
Santen Pharmaceutical
Co., Ltd. 18,900 471,884
Takeda Pharmaceutical
Co., Ltd. 80,331 5,626,341
Tanabe Seiyaku Co., Ltd. 28,000 352,032
Valeant Pharmaceuticals
International (1) 50,787 786,183
$ 122,906,596
Real
Estate Investment Trusts (REITs) — 0.3%
Host Hotels &
Resorts, Inc. 33,128 $ 743,392
Japan Real Estate
Investment Corp. 50 596,808
Japan Retail Fund Investment Corp. 50 432,534
Nippon Building Fund, Inc. 78 1,127,741
Simon Property Group, Inc. 35,779 3,577,900
$ 6,478,375

13

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| Real Estate
Management & Development — 0.3% — Heiwa Real Estate Co.,
Ltd. | 104,000 | $ 715,566 |
| --- | --- | --- |
| Kungsleden AB | 90,902 | 1,160,877 |
| LEOPALACE21 Corp. | 8,200 | 267,801 |
| Mitsubishi Estate Co.,
Ltd. | 104,000 | 2,960,343 |
| NTT Urban Development
Corp. | 170 | 349,767 |
| Tokyo Tatemono Co., Ltd. | 19,000 | 240,501 |
| Tokyu Land Corp. | 93,000 | 927,137 |
| | | $ 6,621,992 |
| Road &
Rail — 0.3% | | |
| Avis Budget
Group, Inc. (1) | 2,043 | $ 46,764 |
| CSX Corp. | 48,354 | 2,066,166 |
| East Japan Railway Co. | 50 | 393,671 |
| Kinetsu Corp. | 91,000 | 281,930 |
| Norfolk Southern Corp. | 41,055 | 2,131,165 |
| Tobu Railway Co., Ltd. | 154,000 | 721,126 |
| | | $ 5,640,822 |
| Semiconductors &
Semiconductor Equipment — 3.8% | | |
| Advantest Corp. | 128,800 | $ 4,009,077 |
| Applied Materials, Inc. | 498,564 | 10,320,275 |
| Atheros
Communications, Inc. (1) | 66,024 | 1,978,739 |
| Elpida Memory, Inc.
(1) | 9,200 | 335,261 |
| Intel Corp. | 991,292 | 25,634,811 |
| Intersil Corp.,
Class A | 40,863 | 1,366,050 |
| KLA-Tencor Corp. | 154,838 | 8,636,864 |
| Marvell Technology
Group, Ltd. (1) | 247,820 | 4,056,813 |
| Maxim Integrated
Products, Inc. | 301,951 | 8,862,262 |
| MEMC Electronic
Materials, Inc. (1) | 74,411 | 4,379,831 |
| Microchip
Technology, Inc. | 56,000 | 2,033,920 |
| Micron
Technology, Inc. (1) | 80,894 | 897,923 |
| ROHM Co., Ltd. | 2,900 | 255,337 |
| Silicon Image, Inc.
(1) | 108,396 | 558,239 |
| Teradyne, Inc. (1) | 63,431 | 875,348 |
| Tessera
Technologies, Inc. (1) | 26,615 | 998,062 |
| Tokyo Electron, Ltd. | 67,300 | 4,239,407 |
| Veeco
Instruments, Inc. (1) | 23,763 | 460,527 |
| | | $ 79,898,746 |
| Software
— 4.4% | | |
| Autodesk, Inc. (1) | 101,343 | $ 5,064,110 |
| CA, Inc. | 43,249 | 1,112,364 |
| Compuware Corp. (1) | 58,560 | 469,651 |
| Electronic
Arts, Inc. (1) | 118,496 | 6,634,591 |
| i2
Technologies, Inc. (1) | 22,143 | 337,681 |
| Konami Corp. | 85,700 | 2,330,657 |
| Microsoft Corp. | 1,383,680 | 40,763,213 |

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NAVTEQ (1) 64,478 $
Nintendo Co., Ltd. 1,600 825,009
Oracle Corp. (1) 845,520 18,305,508
Oracle Corp. Japan 10,800 491,998
Symantec Corp. (1) 494,723 9,587,732
Trend Micro, Inc. 62,897 2,712,477
$ 93,662,341
Specialty
Retail — 1.4%
Abercrombie &
Fitch Co., Class A 30,198 $ 2,436,979
Aoyama Trading Co., Ltd. 9,600 243,105
Bed Bath &
Beyond, Inc. (1) 167,745 5,723,459
Best Buy Co., Inc. 74,789 3,441,790
Big 5 Sporting Goods
Corp. 19,174 358,554
DSG International PLC 469,582 1,286,754
Fast Retailing Co., Ltd. 65,600 3,771,600
Inditex SA 39,946 2,692,941
Lowe’s
Companies, Inc. 82,380 2,308,288
Office Depot, Inc. (1) 17,560 362,087
Shimamura Co., Ltd. 2,400 223,604
Staples, Inc. 191,436 4,113,960
Tiffany & Co. 13,839 724,472
TJX Companies, Inc. 25,596 744,076
Yamada Denki Co., Ltd. 4,300 422,928
$ 28,854,597
Textiles,
Apparel & Luxury Goods — 0.5%
Asics Corp. 22,000 $ 338,111
Coach, Inc. (1) 2,923 138,170
Compagnie Financiere
Richemont AG, Class A 33,833 2,230,069
Hanesbrands, Inc. (1) 4,073 114,288
Nike, Inc.,
Class B 66,150 3,880,359
Onward Kashiyama Co.,
Ltd. 24,000 241,855
Swatch Group AG,
Class B 6,168 2,013,355
Toyobo Co., Ltd. 298,000 694,270
Unitika, Ltd. 198,000 234,813
$ 9,885,290
Thrifts &
Mortgage Finance — 0.2%
Fannie Mae 56,108 $ 3,411,927
PFF Bancorp, Inc. 52,597 806,838
Washington
Mutual, Inc. 21,787 769,299
$ 4,988,064
Tobacco
— 0.9%
Altadis SA 27,097 $ 1,886,474
Altria Group, Inc. 127,887 8,891,983
Imperial Tobacco Group
PLC 46,553 2,119,517

15

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| Reynolds
American, Inc. | 73,886 | $ |
| --- | --- | --- |
| Swedish Match AB | 64,387 | 1,330,123 |
| UST, Inc. | 21,669 | 1,074,782 |
| | | $ 20,001,290 |
| Trading Companies & Distributors — 0.3% | | |
| ITOCHU Corp. | 116,000 | $ 1,398,570 |
| Marubeni Corp. | 49,000 | 446,576 |
| Mitsui and Co., Ltd. | 163,962 | 3,960,067 |
| Toyota Tsusho Corp. | 59,791 | 1,580,451 |
| | | $ 7,385,664 |
| Transportation
Infrastructure — 0.1% | | |
| Societe des Autoroutes
Paris-Rhin-Rhone | 18,585 | $ 1,945,236 |
| | | $ 1,945,236 |
| Water
Utilities — 0.1% | | |
| Severn Trent PLC | 52,773 | $ 1,508,812 |
| | | $ 1,508,812 |
| Wireless
Telecommunication Services — 2.3% | | |
| Alltel Corp. | 60,614 | $ 4,223,583 |
| Bouygues SA | 23,071 | 1,985,448 |
| KDDI Corp. | 630 | 4,662,170 |
| NII Holdings, Inc.,
Class B (1) | 100,807 | 8,281,295 |
| NTT DoCoMo, Inc. | 148 | 210,099 |
| Softbank Corp. | 195,098 | 3,577,668 |
| Vodafone Group PLC | 7,254,451 | 26,038,041 |
| | | $ 48,978,304 |
| Total Common Stocks (identified cost $1,717,219,513) | | $ 2,148,521,882 |

Rights — 0.1%

Security Shares Value
Diversified Financial Services — 0.1%
Fortis Rights, Expires
10/9/07 166,380 $ 880,216
$ 880,216
Total Rights (identified cost $718,287) $ 880,216
Total
Investments — 101.4% (identified cost $1,717,937,800) $ 2,149,402,098

16

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Covered Call Options Written — (1.7%)

Type of Contract Number of Contracts Premium Received Value
Euro Stoxx 50
Index Expires 10/19/07, Strike 4,400 3379 $ 2,782,822 $ (3,047,103 )
Eurtop 100 Index,
Expires 10/16/07, Strike 330 10,627 5,027,634 (3,692,670 )
FTSE 100 Index,
Expires 10/19/07, Strike 6,575 868 1,743,971 (1,122,946 )
Nasdaq 100 Index,
Expires 10/20/07, Strike 2,050 997 4,317,625 (6,370,830 )
Nasdaq 100 Index,
Expires 10/20/07, Strike 2,075 542 1,625,241 (2,742,520 )
Nasdaq 100 Index,
Expires 10/20/07, Strike 2,085 676 2,094,654 (2,737,800 )
Nikkei Index,
Expires 10/12/07, Strike 16,400 1,532,872 2,757,962 (6,287,381 )
S&P 500
Index, Expires 10/20/07, Strike 1,510 576 1,605,658 (2,082,240 )
S&P 500
Index, Expires 10/20/07, Strike 1,525 629 2,137,090 (1,629,110 )
S&P 500
Index, Expires 10/20/07, Strike 1,535 2,648 7,649,539 (5,296,000 )
S&P 500
Index, Expires 10/20/07, Strike 1,550 608 1,518,541 (790,400 )
SMI, Expires
10/19/07, Strike 9,100 506 616,009 (249,826 )
Total Covered Call Options Written (premiums received $33,876,745) $ (36,048,826 )
Other Assets, Less Liabilities — 0.3% $ 7,185,093
Net
Assets — 100.0% $ 2,120,538,365
ADR — American Depository Receipt
SMI — Swiss Market Index
(1) Non-income producing security.

Country Concentration of Portfolio

Country Percentage of — Total Investments Value
United States 52.3 % $ 1,124,738,478
Japan 10.4 222,384,022
United Kingdom 10.2 219,009,611
France 5.6 120,618,834
Germany 5.1 109,713,419
Switzerland 4.0 84,987,191
Netherlands 3.0 63,557,604
Spain 2.6 56,461,455
Italy 2.3 49,376,346
Cayman Islands 0.8 16,624,877
Finland 0.8 17,824,300
Luxembourg 0.7 14,091,542
Bermuda 0.4 9,548,465
Canada 0.4 9,293,692
Sweden 0.4 9,441,324
Other Countries, less
than 0.3% each 1.0 21,730,938
100 % $ 2,149,402,098

17

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The cost and unrealized appreciation (depreciation) in value of the investments owned at September 30, 2007, as computed on a federal income tax basis, were as follows:

Aggregate cost $
Gross unrealized
appreciation $ 478,797,111
Gross unrealized
depreciation (47,880,335 )
Net unrealized appreciation $ 430,916,776

The net unrealized appreciation on foreign currency and foreign currency transactions at September 30, 2007 on a federal income tax basis was $67,025.

Written call option activity for the fiscal year to date ended September 30, 2007 was as follows:

| Outstanding, beginning of
period | Number of Contracts — 1,542,382 | | Premiums Received — $ 25,179,302 | |
| --- | --- | --- | --- | --- |
| Options written | 13,825,993 | | 246,737,554 | |
| Options closed | (13,756,195 | ) | (218,406,291 | ) |
| Options expired | (57,252 | ) | (19,633,820 | ) |
| Outstanding, end of period | 1,554,928 | | $ 33,876,745 | |

All of the assets of the Fund are subject to segregation to satisfy the requirements of the escrow agent.

At September 30, 2007, the Fund had sufficient cash and/or securities to cover commitments under these contracts.

18

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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 Tax Managed Global Buy-Write Opportunities Fund

By: /s/ Duncan W. Richardson
Duncan W. Richardson
President and Principal Executive Officer
Date: November 20, 2007

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: November 20, 2007
By: /s/ Barbara E. Campbell
Barbara E. Campbell
Treasurer and Principal Financial Officer
Date: November 20, 2007

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