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Eaton Vance Ohio Municipal Bond Fund  as of 05/17/2013

AMEX / EIO Asset Class:  Other States Muni Debt 1 YR Lipper Avg:  6.03%

Growth of $10K

Avg Annual Total Return %
  10 YR 5 YR 1 YR YTD
Market Return 5.05% 8.74% 6.44% 4.15%
Lipper Pct. Rank 38 44 16 16
NAV Return 4.72% 5.84% 8.89% 1.70%
Lipper Pct. Rank 96 88 5 34
Premium/Discount History

Premium/Discount
10 YR Avg 5 YR Avg YTD Avg
2.052% 4.375% 5.140%

NAV $13.87 Market Price $14.42
Net Change $0.00 Market Change -$0.23
Premium/Discount 3.97%
1 YR NAV Return 8.891%
1 YR NAV Rank 5
12-Mo Yield as of 4/30/2013 Yield Def
Income Only Yield 5.83%
Distribution Yield (Market) 5.31%
Most Recent Income Dividend $0.059
Ex-Div Date 4/19/2013
Most Recent Cap Gain Dividend $0.033
Ex-Div Date 12/23/2003
Dividend Frequency Monthly
YTD Dividends $0.234
YTD Capital Gains --
Inception Date 11/25/2002
Fund Advisor Eaton Vance Management
Manager & Tenure William H. Ahern, Jr. since 2005
Phone 800-262-1122
Website www.eatonvance.com
Annual Report   Free Download
Total Net Assets (mil) as of 4/30/2013 $35.3
% Leveraged Assets as of 9/30/2012 34.19%
Portfolio Turnover 12.00%
Mgmt Fees 0.836%
Expense Ratio 1.360%
Fund Objective
The Fund seeks to provide current income exempt from federal income tax, including alternative minimum tax, and Ohio personal income tax. The Fund will invest 80% of the Fund's net assets in municipal obligations.
Total Net Assets by Category (as of 12/31/2012)
Cash 1.87%
Special Feature 41.50%
General Obligation Other 29.44%
Revenue Other 8.92%
Hospital Revenue 6.64%
Education Revenue 5.00%
Utility Revenue 2.75%
Transportation Revenue 2.23%
Limited Tax 0.86%
Portfolio Other 0.79%
Quality (as of 12/31/2012)
Short-Term 1.87%
AA 57.80%
A 25.83%
BBB 8.55%
AAA 4.81%
Not Rated 1.14%



























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