Eaton Vance Floating-Rate Income Plus Fund Announces Earnings Results for the Quarter and Period Start of Business, June 28, 2013, to November 30, 2013
For the period from the start of business, June 28, 2013, to November 30, 2013, the fund had net investment income of $3,231,833 or $0.438 per common share. The net asset value per common share on November 30, 2013 was $19.49. Net realized and unrealized gains were $3,099,973 or $0.422 per common share. Net increase in net assets from operations was $6,332,000 or $0.860 per share.