Eaton Vance Municipal Income Term Trust announced earnings results for the three months and for the period from the start of business, March 28, 2013, to July 31, 2013. For the three months ended July 31, 2013, the Trust had net investment income of $2,275,431 or $0.210 per common share. Net realized and unrealized losses for the three months ended July 31, 2013 were $43,854,620 or $4.022 per common share. The net asset value per share on July 31, 2013 was $15.74 based on 11,031,844 common shares outstanding.

For the period from the start of business, March 28, 2013, to July 31, 2013, the Trust had net investment income of $2,663,153 or $0.248 per common share. Net realized and unrealized losses for the period from the start of business, March 28, 2013, to July 31, 2013 were $37,729,052 or $3.425 per common share.