EV CLASSIC SENIOR FLOATING RATE FUND /MA/
486APOS, 2001-01-18
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        As filed with the Securities and Exchange Commission on January 18, 2001
                                                     1933 Act File No. 333-32262
                                                     1940 Act File No. 811-07946
--------------------------------------------------------------------------------
--------------------------------------------------------------------------------
                       SECURITIES AND EXCHANGE COMMISSION
                             WASHINGTON, D.C. 20549
                                    FORM N-2
                             REGISTRATION STATEMENT
                        UNDER THE SECURITIES ACT OF 1933        [ ]
                           PRE-EFFECTIVE AMENDMENT NO.          [ ]
                         POST-EFFECTIVE AMENDMENT NO. 4         [x]
                                     AND/OR
                        REGISTRATION STATEMENT UNDER THE
                         INVESTMENT COMPANY ACT OF 1940         [ ]
                                AMENDMENT NO. 18                [x]
                        (CHECK APPROPRIATE BOX OR BOXES)

                      EV CLASSIC SENIOR FLOATING-RATE 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)

       REGISTRANT'S TELEPHONE NUMBER, INCLUDING AREA CODE: (617) 482-8260
       ------------------------------------------------------------------

                                 ALAN R. DYNNER
     THE EATON VANCE BUILDING, 255 STATE STREET, BOSTON, MASSACHUSETTS 02109
     -----------------------------------------------------------------------
                     (NAME AND ADDRESS OF AGENT FOR SERVICE)


     If any of the securities being registered on this Form will be offered on a
delayed or continuous  basis in reliance on Rule 415 under the Securities Act of
1933, other than securities  offered in connection with a dividend  reinvestment
plan, check the following box.  [x]

It is proposed that this filing will become effective (check appropriate box):

[ ] when declared effective pursuant to section 8(c)
[ ] immediately upon filing pursuant to paragraph (b)
[ ] on (date) pursuant to paragraph (b)
[ ] 60 days after filing pursuant to paragraph (a)
[x] on April 6, 2001 pursuant to paragraph (a)

If appropriate, check the following box:

[ ]  This [post  effective]  amendment  designates  a new  effective  date for a
     previously filed [post-effective amendment] [registration statement].

[ ]  This  form is filed  to  register  additional  securities  for an  offering
     pursuant to Rule 462(b) under the  Securities  Act and the  Securities  Act
     registration   statement  number  of  the  earlier  effective  registration
     statement for the same offering is____________________.


Senior Debt Portfolio has also executed this Registration Statement.

<PAGE>
                      EV CLASSIC SENIOR FLOATING-RATE FUND
                              CROSS REFERENCE SHEET
                           ITEMS REQUIRED BY FORM N-2
                           --------------------------

<TABLE>
PART A.
ITEM NO.     ITEM CAPTION                                       PROSPECTUS CAPTION
--------     ------------                                       ------------------
<C>          <S>                                                <S>
1.           Outside Front Cover                                Cover Page
2.           Inside Front and Outside Back Cover Page           Cover Pages
3.           Fee Table and Synopsis                             Shareholder and Fund Expenses
4.           Financial Highlights                               Financial Highlights
5.           Plan of Distribution                               Purchasing Shares; Shareholder Account Features; Sales Charges
6.           Selling Shareholders                               Not Applicable
7.           Use of Proceeds                                    Purchasing Shares; Investment Objective, Policies and Risks
8.           General Description of the Registrant              Organization of the Fund; Investment Objective, Policies and Risks
9.           Management                                         Management of the Fund; Organization of the Fund
10.          Capital Stock, Long-Term Debt, and Other           Organization of the Fund; Distributions and Taxes;
               Securities                                         Shareholder Account Features
11.          Defaults and Arrears on Senior Securities          Not Applicable
12.          Legal Proceedings                                  Not Applicable
13.          Table of Contents of the Statement of              Table of Contents of the Statement of Additional
               Additional Information                           Information

PART B                                                          STATEMENT OF
ITEM NO.     ITEM CAPTION                                       ADDITIONAL INFORMATION CAPTION
--------     ------------                                       ------------------------------
14.          Cover Page                                         Cover Page
15.          Table of Contents                                  Table of Contents
16.          General Information and History                    Management and Organization
17.          Investment Objective and Policies                  Investment Policies and Risks; Investment Restrictions
18.          Management                                         Management and Organization; Investment Advisory and Other Services
19.          Control Persons and Principal Holders of           Control Persons and Principal Holders of Shares
               Securities
20           Investment Advisory and Other Services             Investment Advisory and Other Services
21.          Brokerage Allocation and Other Practices           Portfolio Trading
22.          Tax Status                                         Taxes
23.          Financial Statements                               Financial Statements
</TABLE>

                                       C-1
<PAGE>
     The  purpose  of this  filing  is to  defer  the  effective  date of  prior
post-effective  amendments filed November 1, 2000,  August 14, 2000 and June 16,
2000   (Accession   Nos.    0000940394-00-000513,    0000940394-00-000384    and
0000940394-00-000270,  respectively). The prospectus and statement of additional
information ("SAI") of the Fund were filed electronically with the Commission in
a  Registration  Statement  on  Form  N-2  on  March  13,  2000  (Accession  No.
0000950156-00-000169)  and are incorporated by reference herein. The supplements
to the prospectus and SAI of the Fund contained in the amendment  filed June 16,
2000 are also incorporated by reference herein.


                                       C-2
<PAGE>
                                     PART C

                                OTHER INFORMATION


ITEM 24. FINANCIAL STATEMENTS AND EXHIBITS


     (1) FINANCIAL STATEMENTS:

     INCLUDED IN PART A:

     Financial  highlights  for each of the four years ended  December 31, 1999,
     and for the  period  from the start of  business,  February  24,  1995,  to
     December 31, 1995

     INCLUDED IN PART B:

          INCORPORATED BY REFERENCE TO THE ANNUAL REPORT DATED DECEMBER 31, 1999
          (ACCESSION NO. 0000950156-00-000126), FILED ELECTRONICALLY PURSUANT TO
          SECTION 30(B)(2) OF THE INVESTMENT COMPANY ACT OF 1940.


            Financial Statements for EV CLASSIC SENIOR FLOATING-RATE FUND:
               Statement of Assets and Liabilities as of December 31, 1999
               Statement of Operations for the year ended December 31, 1999
               Statements of Changes in Net Assets for each of the two years
                 ended December 31, 1999
               Statement of Cash Flows for the year ended December 31, 1999
               Financial Highlights for each of the four years ended December
                 31, 1999 and for the period from the start of business,
                 February 24, 1995, to December 31, 1995
               Notes to Financial Statements
               Independent Auditors' Report

            Financial Statements for SENIOR DEBT PORTFOLIO:
               Portfolio of Investments as of December 31, 1999
               Statement of Assets and Liabilities as of December 31, 1999
               Statement of Operations for the year ended December 31, 1999
               Statements of Changes in Net Assets for each of the two years
                 ended December 31, 1999
               Statement of Cash Flows for the year ended  December 31, 1999
               Supplementary Data for the four years ended December 31, 1999 and
                 for the period from the start of business, February 22, 1995,
                 to December 31, 1995
               Notes to Financial Statements
               Independent Auditors' Report

     (2) EXHIBITS:

     (a)(a)    Amended and Restated  Agreement  and  Declaration  of Trust dated
               December  7,  1994  filed  as  Exhibit  (a) to  the  Registration
               Statement  under the  Securities  Act of 1933  (1933 Act File No.
               33-64321) and Amendment No. 5 to the Registration Statement under
               the Investment  Company Act of 1940 (1940 Act File No. 811-07946)
               filed with the Commission on November 16, 1995  (Amendment No. 5)
               and incorporated herein by reference.

        (b)    Amendment to the Declaration of Trust to be filed by Amendment.

        (c)    Establishment  and Designation of Classes of Shares of Beneficial
               Interest, Without Par Value to be filed by Amendment.

     (b)       Amended and  Restated  By-Laws  filed as Exhibit (b) to Amendment
               No. 5 and incorporated herein by reference.

                                       C-3
<PAGE>
     (c)       Not applicable

     (d)       Not applicable

     (e)       Not applicable

     (f)       Not applicable

     (g)       Not applicable

     (h)(a)    Distribution  Agreement  dated  November 1, 1996 filed as Exhibit
               (h)(a)  to  Post-Effective  Amendment  No. 1 to the  Registration
               Statement  under the  Securities  Act of 1933  (1933 Act File No.
               333-22163)  and  Amendment  No. 9 to the  Registration  Statement
               under  the  Investment  Company  Act of 1940  (1940  Act File No.
               811-07946)  filed with the Commission on July 2, 1997  (Amendment
               No. 9) and incorporated herein by reference.

        (b)    Distribution Agreement to be filed by Amendment.

        (c)    Selling Group Agreement  between Eaton Vance  Distributors,  Inc.
               and   Authorized   Dealers   filed  as  Exhibit   (6)(b)  to  the
               Post-Effective  Amendment  No. 61 filed  December 28, 1995 to the
               Registration  Statement  of Eaton Vance  Growth  Trust (File Nos.
               2-22019 and 811-1241) and incorporated herein by reference.

     (i)       The Securities and Exchange Commission has granted the Registrant
               an  exemptive  order that  permits the  Registrant  to enter into
               deferred compensation arrangements with its independent Trustees.
               See in the Matter of Capital  Exchange  Fund,  Inc.,  Release No.
               IC-20671 (November 1, 1994).

     (j)(a)    Custodian  Agreement dated February 22, 1995 filed as Exhibit (j)
               to Amendment No. 5 and incorporated herein by reference.

        (b)    Amendment to Custodian  Agreement dated October 23, 1995 filed as
               Exhibit  (j)(b)  to the  Post-Effective  Amendment  No.  1 to the
               Registration Statement under the Securities Act of 1933 (1933 Act
               File  No.  33-64321)  and  Amendment  No.  6 to the  Registration
               Statement under the Investment Company Act of 1940 (1940 Act File
               No.  811-07946)  filed  with the  Commission  on  April  1,  1996
               (Amendment No. 6) and incorporated herein by reference.

        (c)    Amendment to Master  Custodian  Agreement  with  Investors Bank &
               Trust  Company dated  December 21, 1998 as Exhibit  (g)(3) to the
               Registration Statement of Eaton Vance Municipals Trust (File Nos.
               33-572 and 811-4409) (Accession No.  0000950156-99-000050)  filed
               January 25, 1999 and incorporated herein by reference.

        (d)    Extension  Agreement  dated  August 31, 2000 to Master  Custodian
               Agreement with Investors Bank & Trust Company filed herewith.

     (k)(a)    Administration Agreement dated February 22, 1995 filed as Exhibit
               (k)(a) to Amendment No. 3 and incorporated herein by reference.

        (b)    Distribution  Plan  adopted  December  21,  1998 filed as Exhibit
               (k)(b) to the Registration  Statement under the Securities Act of
               1933 (1933 Act File No.  333-72709)  and  Amendment No. 12 to the
               Registration  Statement under the Investment  Company Act of 1940
               (1940  Act File No.  811-07946)  filed  with  the  Commission  on
               February 22, 1999 (Amendment No. 12) and  incorporated  herein by
               reference.

        (c)    Distribution and Service Plan to be filed by Amendment.

                                       C-4
<PAGE>
        (d)    Transfer Agency  Agreement as of January 1, 1998 filed as Exhibit
               (k)(b) to the  Registration  Statement on Form N-2 of Eaton Vance
               Advisers  Senior   Floating-Rate   Fund  (File  Nos.   333-46853,
               811-08671)  (Accession No.  0000950156-98-000172)  filed February
               28, 1998 and incorporated herein by reference.

        (e)    Amendment to the Transfer Agency Agreement dated October 18, 1999
               filed as Exhibit (h)(2)(b) to the Registration Statement of Eaton
               Vance Municipals Trust (File Nos. 33-572 and 811-4409) (Accession
               No. 000950156-99-000723) and incorporated herein by reference.

     (l)       Opinion  and  Consent of Counsel  dated  March 10,  2000 filed as
               Exhibit (l) to the  Registration  Statement  under the Securities
               Act of 1933 (1933 Act File No. 333-32262) and Amendment No. 14 to
               the  Registration  Statement under the Investment  Company Act of
               1940 (1940 Act File No.  811-07946)  filed with the Commission on
               March 13,  2000  (Amendment  No. 14) and  incorporated  herein by
               reference.

     (m)       Not applicable

     (n)       Independent Auditors' Consent filed herewith.

     (o)       Not applicable

     (p)       Letter  Agreement with Eaton Vance  Management  dated December 7,
               1994 filed as Exhibit  (p) to  Amendment  No. 5 and  incorporated
               herein by reference.

     (q)       Not applicable

     (r)       Code  of  Ethics  adopted  by  Eaton  Vance  Corp.,  Eaton  Vance
               Management,   Boston   Management   and  Research,   Eaton  Vance
               Distributors,  Inc. and the Eaton Vance Funds effective September
               1, 2000 as revised  November  6, 2000 filed as Exhibit  (p)(1) to
               Post-Effective Amendment No. 75 of Eaton Vance Growth Trust (File
               Nos. 02-22019, 811-1241) filed December 21, 2000 and incorporated
               herein by reference.

     (s)(a)    Power of Attorney for EV Classic Senior  Floating-Rate Fund dated
               February  14,  1997 filed as Exhibit (r) to  Amendment  No. 9 and
               incorporated herein by reference.

        (b)    Power of Attorney for EV Classic Senior  Floating-Rate Fund dated
               November 16, 1998 filed as Exhibit (s)(b) to Amendment No. 12 and
               incorporated herein by reference.

     (t)(a)    Power of Attorney for Senior Debt  Portfolio  dated  February 14,
               1997 filed as Exhibit  (s) to  Amendment  No. 9 and  incorporated
               herein by reference.

        (b)    Power of Attorney for Senior Debt  Portfolio  dated  December 21,
               1998 filed as Exhibit (t)(b) to Amendment No. 12 and incorporated
               herein by reference.

ITEM 25. MARKETING ARRANGEMENTS

     Not applicable.

                                       C-5
<PAGE>
ITEM 26. OTHER EXPENSES OF ISSUANCE AND DISTRIBUTION

     The  following  table  sets  forth the  approximate  expenses  incurred  in
connection with the offerings of Registrant:

<TABLE>
<S>                                                                     <C>
Registration Fees                                                       $2,661,293(1)
National Association of Securities Dealers, Inc. Fees                   $  213,500(1)
Printing (other than stock certificates)                                $  105,000
Engraving and printing stock certificates                               $        0
Fees and expenses of qualification under state securities laws
  (excluding fees of counsel)                                           $   78,200
Accounting Fees and expenses                                            $    5,000
Legal fees and expenses                                                 $   50,000
                                                                        ----------
        Total                                                           $3,112,993(1)
                                                                        ==========
</TABLE>

-------------------------------
(1)  These amounts include  expenses for the shares  registered  pursuant to the
     Registration  Statements  declared effective on February 21, 1995 (File No.
     33-67118);  May 5, 1995 (File No.  33-59143);  December  15, 1995 (File No.
     33-64321); February 21, 1997 (File No. 333-22163); March 10, 1997 (File No.
     333-23031); April 1, 1998 (File No. 333-48873);  November 2, 1998 (File No.
     333-65863);  and March 17,  1999 (File No.  333-72709);  and March 15, 2000
     (File No. 333-32262).

ITEM 27. PERSONS CONTROLLED BY OR UNDER COMMON CONTROL

     None.

ITEM 28. NUMBER OF HOLDERS OF SECURITIES

               (1)                                  (2)
          TITLE OF CLASS                  NUMBER OF RECORD HOLDERS
   Shares of benefical interest                    89,095
                                                   as of
                                              January 2, 2001

ITEM 29. INDEMNIFICATION

     Article  IV  of  the  Registrant's   Amended  and  Restated  Agreement  and
Declaration  of Trust  dated  December  7,  1994  permits  Trustee  and  officer
indemnification by By-Law, contract and vote. Article XI of the By-Laws contains
indemnification provisions. Registrant's Trustees and officers are insured under
a standard  investment  company errors and omissions  insurance  policy covering
loss  incurred by reason of negligent  errors and  omissions  committed in their
capacities as such.

     The  distribution  agreement of the Registrant also provides for reciprocal
indemnity of the  principal  underwriter  on the one hand,  and the Trustees and
officers, on the other.

ITEM 30. BUSINESS AND OTHER CONNECTIONS OF THE INVESTMENT ADVISER

     Reference  is made to: (i) the  information  set forth  under the  captions
"Management  of the  Fund"  in  the  Prospectus  and  "Investment  Advisory  and
Administrative  Services" in the Statement of Additional  Information;  (ii) the
Eaton Vance Corp. 10-K filed under the Securities Exchange Act of 1934 (File No.
1-8100);  and (iii) the Forms ADV of Eaton Vance Management (File No. 801-15930)
and  Boston  Management  and  Research  (File  No.  801-43127)  filed  with  the
Commission, all of which are incorporated herein by reference.

                                       C-6
<PAGE>
ITEM 31. LOCATION OF ACCOUNTS AND RECORDS

     All applicable  accounts,  books and documents required to be maintained by
the  Registrant by Section 31(a) of the  Investment  Company Act of 1940 and the
Rules  promulgated   thereunder  are  in  the  possession  and  custody  of  the
Registrant's  custodian,  Investors Bank & Trust Company,  200 Clarendon Street,
16th Floor,  Boston, MA 02116, and its transfer agent, PFPC, Inc., 4400 Computer
Drive,  Westborough,  MA  01581-5120,  with the  exception of certain  corporate
documents  and  portfolio  trading  documents  which are in the  possession  and
custody of Eaton Vance Management,  The Eaton Vance Building,  255 State Street,
Boston, MA 02109. Registrant is informed that all applicable accounts, books and
documents required to be maintained by registered investment advisers are in the
custody and  possession  of Eaton Vance  Management  and Boston  Management  and
Research.

ITEM 32. MANAGEMENT SERVICES

     None.

ITEM 33. UNDERTAKINGS

     The undersigned Registrant hereby undertakes:

     (1) To file,  during any period in which  offers or sales are being made, a
post-effective amendment to this Registration Statement:

          (i) To include  any  prospectus  required  by section  10(a)(3) of the
     Securities Act of 1933;

          (ii) To reflect in the  prospectus  any facts or events  arising after
     the  effective  date of the  Registration  Statement  (or the  most  recent
     post-effective amendment thereof) which,  individually or in the aggregate,
     represent  a  fundamental  change  in  the  information  set  forth  in the
     Registration Statement;

          (iii) To include any material  information with respect to the plan of
     distribution not previously disclosed in the Registration  Statement or any
     material change to such information in the Registration Statement;

     (2) That, for the purpose of determining any liability under the Securities
Act of 1933,  each  such  post-effective  amendment  shall be deemed to be a new
Registration  Statement  relating to the  securities  offered  therein,  and the
offering of such  securities at that time shall be deemed to be the initial bona
fide offering thereof;

     (3) To remove from registration by means of a post-effective  amendment any
of the securities being registered which remain unsold at the termination of the
continuos offering of the shares; and

     (4) To send by first class mail or other means  designed to ensure  equally
prompt  delivery,  within  two  business  days of  receipt  of a written or oral
request, any Statement of Additional Information.

                                       C-7
<PAGE>
                                   SIGNATURES

     Pursuant  to  the  requirements  of the  Securities  Act of  1933  and  the
Investment Company Act of 1940, the Registrant has duly caused this Amendment to
the  Registration  Statement  to be  signed on its  behalf  by the  undersigned,
thereunto  duly  authorized  in the  City of  Boston,  and the  Commonwealth  of
Massachusetts, on January 17, 2001.

                                EV CLASSIC SENIOR FLOATING-RATE FUND



                                By:     /s/ James B. Hawkes
                                        --------------------------------
                                        James B. Hawkes, President

     Pursuant to the  requirements of the Securities Act of 1933, this Amendment
to the Registration  Statement has been signed below by the following persons in
the capacities on January 17, 2001.

Signature                       Title
---------                       -----

/s/ James B. Hawkes             Trustee, President and Principal
--------------------------        Executive Officer
James B. Hawkes

/s/ James L. O'Connor           Treasurer (Principa Financial and
--------------------------        Accounting Officer)
James L. O'Connor

Jessica M. Bibliowicz*          Trustee
--------------------------
Jessica M. Bibliowicz

Donald R. Dwight*               Trustee
--------------------------
Donald R. Dwight

Samuel L. Hayes, III*           Trustee
--------------------------
Samuel L. Hayes, III

Norton H. Reamer*               Trustee
--------------------------
Norton H. Reamer

Lynn A. Stout*                  Trustee
--------------------------
Lynn A. Stout

Jack L. Treynor*                Trustee
--------------------------
Jack L. Treynor

*By:  /s/ Alan R. Dynner
      ------------------------------------
      Alan R. Dynner (As attorney-in-fact)

                                       C-8
<PAGE>
                                   SIGNATURES

     Senior Debt  Portfolio has duly caused this  Amendment to the  Registration
Statement  on  Form  N-2 of EV  Classic  Senior  Floating-Rate  Fund  (File  No.
333-332262)  to be  signed  on its  behalf by the  undersigned,  thereunto  duly
authorized  in the City of Boston  and the  Commonwealth  of  Massachusetts,  on
January 17, 2001.

                                SENIOR DEBT PORTFOLIO



                                By:     /s/ JAMES B. HAWKES
                                        -----------------------------------
                                        James B. Hawkes, President

     Pursuant to the  requirements of the Securities Act of 1933, this Amendment
to the Registration  Statement has been signed below by the following persons in
their capacities and on January 17, 2001.

Signature                       Title
---------                       -----

/s/ James B. Hawkes             Trustee, President and Principal
--------------------------        Executive Officer
James B. Hawkes

/s/ James L. O'Connor           Treasurer (Principa Financial and
--------------------------        Accounting Officer)
James L. O'Connor

Jessica M. Bibliowicz*          Trustee
--------------------------
Jessica M. Bibliowicz

Donald R. Dwight*               Trustee
--------------------------
Donald R. Dwight

Samuel L. Hayes, III*           Trustee
--------------------------
Samuel L. Hayes, III

Norton H. Reamer*               Trustee
--------------------------
Norton H. Reamer

Lynn A. Stout*                  Trustee
--------------------------
Lynn A. Stout

Jack L. Treynor*                Trustee
--------------------------
Jack L. Treynor

*By:  /s/ Alan R. Dynner
      ------------------------------------
      Alan R. Dynner (As attorney-in-fact)

                                       C-9
<PAGE>
                                  EXHIBIT INDEX

Exhibit No.    Description
-----------    -----------

(j)(d)         Extension  Agreement  dated  August 31, 2000 to Master  Custodian
               Agreement with Investors Bank & Trust Company

(n)            Independent Auditors' Consent

                                      C-10


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