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Eaton Vance Municipal Income Trust

Regulatory Filings May 14, 2014

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497 1 prosupp.htm EATON VANCE MUNICIPAL INCOME TRUST PROSPECTUS SUPPLEMENT DTD 5-14-2014 html PUBLIC "-//IETF//DTD HTML//EN" 497 1 combsupps_497

EATON VANCE MUNICIPAL INCOME TRUST Supplement to Prospectus dated March 25, 2014 and Prospectus Supplement dated March 25, 2014

The following replaces any references, contained either in the Prospectus or the Prospectus Supplement, with respect to the Trust’s: (i) last reported sale price; (ii) net asset value (“NAV”) per Common Share; (iii) percentage premium to NAV per Common Share; (iv) number of Common Shares outstanding; and (v) net assets.

On May 13, 2014 the last reported sale price, NAV per Common Share and percentage premium to NAV per Common Share, were $11.98, $12.52 and 4.51%, respectively. As of May 13, 2014, we had 23,564,412 Common Shares outstanding and net assets of approximately $ 282,281,111.

The following replaces the last sentence in the first paragraph under “Use of Proceeds” in the Prospectus Supplement:

Assuming the sale of all of the Common Shares offered under this Prospectus Supplement and the accompanying Prospectus, at the last reported sale price of $ 11.98 per share for our Common Shares on the NYSE as of May 13, 2014, we estimate that the net proceeds of this offering will be approximately $13,531,231 after deducting the estimated sales load and the estimated offering expenses payable by the Trust.

May 14, 2014

EDGAR Validation Code: 54F49054

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