BlackRock CEF Distribution History
Data as of 1/31/2023 (unless stated otherwise)
Fund | Ticker | Distribution Frequency | Inception Date | IPO Price | Current Price | Current Net Asset Value | Total Distribution Per Share(Inception) | Total Distribution Paid as % of IPO Price | Total Distribution (1 Year) | Total Distribution (3 Year) | Total Distribution (5 Year) |
BlackRock Income Trust, Inc. | BKT | Monthly | 7/22/1988 | $30.00 | $13.14 | $13.58 | $58.61 | 195% | $1.12 | $3.60 | $5.93 |
BlackRock MuniVest Fund, Inc. | MVF | Monthly | 9/22/1988 | $10.00 | $7.15 | $8.06 | $21.78 | 218% | $0.36 | $1.17 | $2.10 |
BlackRock MuniYield Fund, Inc. | MYD | Monthly | 11/21/1991 | $15.00 | $11.19 | $12.35 | $29.80 | 199% | $0.58 | $1.91 | $3.34 |
BlackRock MuniYield New York Quality Fund, Inc. | MYN | Monthly | 2/21/1992 | $15.00 | $10.52 | $11.89 | $24.92 | 166% | $0.51 | $1.69 | $2.74 |
BlackRock MuniYield Quality Fund III, Inc. | MYI | Monthly | 3/20/1992 | $15.00 | $11.52 | $12.77 | $26.96 | 180% | $0.58 | $1.76 | $2.97 |
BlackRock MuniYield Quality Fund, Inc. | MQY | Monthly | 6/19/1992 | $15.00 | $12.28 | $13.48 | $26.45 | 176% | $0.66 | $2.16 | $3.55 |
BlackRock MuniYield Quality Fund II, Inc. | MQT | Monthly | 8/21/1992 | $15.00 | $10.84 | $11.93 | $24.86 | 166% | $0.59 | $1.84 | $2.99 |
BlackRock MuniYield Michigan Quality Fund, Inc. | MIY | Monthly | 10/23/1992 | $15.00 | $11.82 | $13.16 | $25.41 | 169% | $0.62 | $1.91 | $3.17 |
BlackRock MuniYield Pennsylvania Quality Fund | MPA | Monthly | 10/23/1992 | $15.00 | $11.56 | $13.37 | $25.76 | 172% | $0.60 | $1.88 | $3.13 |
BlackRock Investment Quality Municipal Trust, Inc. | BKN | Monthly | 2/19/1993 | $15.00 | $12.34 | $13.45 | $26.41 | 176% | $0.74 | $2.32 | $3.69 |
BlackRock MuniVest Fund II, Inc. | MVT | Monthly | 3/19/1993 | $15.00 | $11.16 | $12.52 | $26.87 | 179% | $0.59 | $1.97 | $3.49 |
BlackRock MuniAssets Fund, Inc. | MUA | Monthly | 6/18/1993 | $15.00 | $11.38 | $11.75 | $23.17 | 154% | $0.73 | $2.11 | $3.43 |
BlackRock MuniHoldings Fund, Inc. | MHD | Monthly | 4/29/1997 | $15.00 | $12.40 | $13.83 | $25.36 | 169% | $0.66 | $2.12 | $3.79 |
BlackRock MuniHoldings New York Quality Fund, Inc | MHN | Monthly | 9/16/1997 | $15.00 | $11.01 | $12.33 | $19.90 | 133% | $0.54 | $1.80 | $2.90 |
BlackRock MuniHoldings California Quality Fund, Inc. | MUC | Monthly | 2/27/1998 | $15.00 | $11.52 | $12.97 | $19.51 | 130% | $0.61 | $1.87 | $3.02 |
BlackRock MuniHoldings New Jersey Quality Fund, Inc. | MUJ | Monthly | 3/6/1998 | $15.00 | $11.86 | $13.25 | $20.02 | 133% | $0.69 | $2.14 | $3.44 |
BlackRock Debt Strategies Fund, Inc. | DSU | Monthly | 3/24/1998 | $30.00 | $9.81 | $10.74 | $37.48 | 125% | $0.77 | $2.32 | $3.98 |
BlackRock MuniHoldings Quality Fund II, Inc. | MUE | Monthly | 2/23/1999 | $15.00 | $10.43 | $11.64 | $17.92 | 119% | $0.57 | $1.77 | $2.97 |
BlackRock California Municipal Income Trust | BFZ | Monthly | 7/26/2001 | $15.00 | $11.47 | $13.25 | $17.23 | 115% | $0.48 | $1.52 | $2.79 |
BlackRock New York Municipal Income Trust | BNY | Monthly | 7/26/2001 | $15.00 | $11.17 | $12.25 | $17.48 | 117% | $0.53 | $1.89 | $3.00 |
BlackRock Municipal Income Trust | BFK | Monthly | 7/27/2001 | $15.00 | $10.60 | $11.82 | $18.49 | 123% | $0.57 | $1.94 | $3.32 |
BlackRock Core Bond Trust | BHK | Monthly | 11/27/2001 | $15.00 | $11.43 | $11.59 | $20.16 | 134% | $0.90 | $2.77 | $4.33 |
BlackRock Virginia Municipal Bond Trust | BHV | Monthly | 4/26/2002 | $15.00 | $11.85 | $12.87 | $17.38 | 116% | $0.49 | $1.59 | $2.91 |
BlackRock Municipal Income Trust II | BLE | Monthly | 7/25/2002 | $15.00 | $10.99 | $12.28 | $18.23 | 122% | $0.59 | $2.05 | $3.48 |
BlackRock Municipal Income Quality Trust | BYM | Monthly | 10/28/2002 | $15.00 | $11.82 | $13.09 | $16.11 | 107% | $0.63 | $1.94 | $3.18 |
BlackRock Corporate High Yield Fund, Inc. | HYT | Monthly | 5/28/2003 | $15.00 | $9.28 | $9.66 | $21.92 | 146% | $0.93 | $2.80 | $4.55 |
BlackRock Limited Duration Income Trust | BLW | Monthly | 7/30/2003 | $20.00 | $13.93 | $14.07 | $24.34 | 122% | $1.18 | $3.53 | $5.51 |
BlackRock Municipal Income Fund, Inc. | MUI | Monthly | 8/1/2003 | $15.00 | $12.01 | $13.43 | $15.40 | 103% | $0.59 | $1.84 | $2.95 |
BlackRock Floating Rate Income Strategies Fund, Inc. | FRA | Monthly | 10/28/2003 | $20.00 | $11.95 | $13.14 | $19.15 | 96% | $0.86 | $2.58 | $4.26 |
BlackRock Enhanced Capital and Income Fund, Inc. | CII | Monthly | 4/30/2004 | $20.00 | $18.54 | $18.59 | $26.49 | 132% | $2.10 | $4.26 | $6.26 |
BlackRock Floating Rate Income Trust | BGT | Monthly | 8/30/2004 | $20.00 | $11.68 | $12.76 | $18.62 | 93% | $0.83 | $2.50 | $4.08 |
BlackRock Energy and Resources Trust | BGR | Monthly | 12/23/2004 | $25.00 | $13.21 | $14.65 | $30.19 | 121% | $0.60 | $1.67 | $3.53 |
BlackRock Health Sciences Trust | BME | Monthly | 3/31/2005 | $25.00 | $43.56 | $42.85 | $48.42 | 194% | $2.56 | $7.41 | $12.21 |
BlackRock Enhanced Global Dividend Trust | BOE | Monthly | 5/26/2005 | $25.00 | $10.44 | $11.62 | $28.45 | 114% | $0.76 | $2.27 | $3.86 |
BlackRock Enhanced Equity Dividend Trust | BDJ | Monthly | 8/25/2005 | $15.00 | $9.30 | $9.13 | $14.19 | 95% | $1.10 | $2.57 | $3.89 |
BlackRock Enhanced Government Fund, Inc. | EGF | Monthly | 10/27/2005 | $20.00 | $10.15 | $10.67 | $13.94 | 70% | $0.49 | $1.48 | $2.46 |
BlackRock Long-Term Municipal Advantage Trust | BTA | Monthly | 2/27/2006 | $15.00 | $10.15 | $10.67 | $11.56 | 77% | $0.62 | $1.87 | $3.12 |
BlackRock Credit Allocation Income Trust | BTZ | Monthly | 12/27/2006 | $25.00 | $11.32 | $11.82 | $17.02 | 68% | $1.01 | $3.02 | $4.70 |
BlackRock Enhanced International Dividend Trust | BGY | Monthly | 5/30/2007 | $20.00 | $5.51 | $6.20 | $13.16 | 66% | $0.41 | $1.22 | $2.06 |
BlackRock Taxable Municipal Bond Trust | BBN | Monthly | 8/27/2010 | $20.00 | $18.04 | $18.52 | $18.52 | 93% | $1.43 | $4.22 | $7.09 |
BlackRock Resources & Commodities Strategy Trust | BCX | Monthly | 3/30/2011 | $20.00 | $10.54 | $11.79 | $9.25 | 46% | $0.56 | $1.56 | $2.80 |
BlackRock Utilities, Infrastructure & Power Opportunities Trust | BUI | Monthly | 11/25/2011 | $20.00 | $22.24 | $23.06 | $16.09 | 80% | $1.45 | $4.36 | $7.26 |
BlackRock Municipal 2030 Target Term Trust | BTT | Monthly | 8/28/2012 | $25.00 | $22.22 | $24.00 | $9.18 | 37% | $0.74 | $2.24 | $3.78 |
BlackRock Multi-Sector Income Trust | BIT | Monthly | 2/26/2013 | $20.00 | $15.06 | $15.15 | $14.87 | 74% | $1.48 | $4.45 | $7.28 |
BlackRock Science and Technology Trust | BST | Monthly | 10/31/2014 | $20.00 | $33.17 | $31.33 | $18.61 | 93% | $3.00 | $9.40 | $14.70 |
BlackRock Science and Technology Trust II | BSTZ | Monthly | 6/25/2019 | $20.00 | $18.15 | $20.96 | $7.32 | 37% | $2.30 | $6.72 | $7.32 |
BlackRock Health Sciences Trust II | BMEZ | Monthly | 1/29/2020 | $20.00 | $16.59 | $19.38 | $4.50 | 22% | $1.74 | $4.50 | $4.50 |
BlackRock Capital Allocation Trust | BCAT | Monthly | 9/25/2020 | $20.00 | $15.11 | $17.58 | $2.71 | 14% | $1.25 | $2.71 | $2.71 |
BlackRock Innovation and Growth Trust | BIGZ | Monthly | 3/26/2021 | $20.00 | $7.64 | $9.58 | $1.76 | 9% | $0.96 | $1.76 | $1.76 |
BlackRock ESG Capital Allocation Trust | ECAT | Monthly | 9/27/2021 | $20.00 | $14.79 | $17.55 | $1.40 | 7% | $1.20 | $1.40 | $1.40 |
BlackRock 2037 Municipal Target Term Trust | BMN | Monthly | 10/26/2022 | $25.00 | $25.30 | $26.03 | $0.09 | 0% | $0.09 | $0.09 | $0.09 |
Source: Lipper as of 1/31/2023
Distributions are calculated as the sum of all distributions paid by the fund over the stated time period (including income, capital gain, and return of capital distributions).
Total Distribution as % of IPO price is calculated by dividing total distribution per share (since inception) by IPO price.
BlackRock Resources & Commodities Strategy Trust (NYSE: BCX), BlackRock Enhanced Equity Dividend Trust (NYSE: BDJ), BlackRock Energy and Resources Trust (NYSE: BGR), BlackRock Enhanced International Dividend Trust
(NYSE: BGY), BlackRock Health Sciences Trust (NYSE: BME), BlackRock Health Sciences Trust II (NYSE: BMEZ), BlackRock Enhanced Global Dividend Trust (NYSE: BOE), BlackRock Utilities, Infrastructure & Power Opportunities Trust (NYSE: BUI), BlackRock Enhanced Capital and Income Fund, Inc. (NYSE: CII), BlackRock Science and Technology Trust (NYSE: BST), BlackRock Science and Technology Trust II (NYSE: BSTZ), BlackRock Innovation and Growth Trust (NYSE: BIGZ), BlackRock Enhanced Government Fund, Inc. (NYSE: EGF) , BlackRock Debt Strategies Fund, Inc. (NYSE: DSU), BlackRock Floating Rate Income Strategies Fund, Inc. (NYSE: FRA), BlackRock Floating Rate Income Trust (NYSE: BGT), BlackRock Corporate High Yield Fund, Inc. (NYSE: HYT), BlackRock Credit Allocation Income Trust (NYSE: BTZ), BlackRock Limited Duration Income Trust (NYSE: BLW), BlackRock Core Bond Trust (NYSE: BHK),
and BlackRock Multi-Sector Income Trust (NYSE: BIT) (collectively, the "Plan Funds") have adopted a managed distribution plan (a "Plan") to support a level distribution of income, capital gains and/or return of capital. The fixed amounts distributed per share are subject to change at the discretion of each Plan Fund's Board of Directors/Trustees. Under its Plan, each Plan Fund will distribute all available investment income to its shareholders, consistent with its investment objectives and as required by the Internal Revenue Code of 1986, as amended (the "Code"). If sufficient investment income is not available on a monthly basis, each Plan Fund will distribute long-term capital gains and/or return capital to its shareholders in order to maintain a level distribution.
The Funds' estimated sources of the distributions paid in January 2023 and for their current fiscal year as of January 31, 2023 are as follows:
Fund | Distribution | Net Income | Net Realized Short- Term Gains | Net Realized Long- Term Gains | Return of Capital |
BCX1 | $0.051800 | $0.005799 (11%) | $0 (0%) | $0 (0%) | $0.046001 (89%) |
BDJ | $0.056200 | $0.011113 (20%) | $0.045087 (80%) | $0 (0%) | $0 (0%) |
BGR1 | $0.058500 | $0.014933 (26%) | $0 (0%) | $0 (0%) | $0.043567 (74%) |
BGY1 | $0.033800 | $0.000000 (0%) | $0 (0%) | $0 (0%) | $0.033800 (100%) |
BME | $0.213000 | $0.003668 (1%) | $0.150197 (71%) | $0.059135 (28%) | $0 (0%) |
BMEZ | $0.145000 | $0 (0%) | $0.145000 (100%) | $0 (0%) | $0 (0%) |
BOE1 | $0.063000 | $0.007375 (12%) | $0 (0%) | $0 (0%) | $0.055625 (88%) |
BUI1 | $0.121000 | $0.018066 (15%) | $0 (0%) | $0 (0%) | $0.102934 (85%) |
CII | $0.099500 | $0.001603 (1%) | $0.038475 (39%) | $0.059422 (60%) | $0 (0%) |
BST | $0.250000 | $0.001487 (1%) | $0.025463 (10%) | $0.223050 (89%) | $0 (0%) |
BSTZ | $0.192000 | $0 (0%) | $0 (0%) | $0.192000 (100%) | $0 (0%) |
BIGZ1 | $0.070000 | $0 (0%) | $0 (0%) | $0 (0%) | $0.070000 (100%) |
EGF1 | $0.041000 | $0.018875 (46%) | $0 (0%) | $0 (0%) | $0.022125 (54%) |
DSU | $0.070500 | $0.070500 (100%) | $0 (0%) | $0 (0%) | $0 (0%) |
FRA | $0.080400 | $0.080400 (100%) | $0 (0%) | $0 (0%) | $0 (0%) |
BGT | $0.078100 | $0.078100 (100%) | $0 (0%) | $0 (0%) | $0 (0%) |
HYT1 | $0.077900 | $0.051093 (66%) | $0 (0%) | $0 (0%) | $0.026807 (34%) |
BTZ1 | $0.083900 | $0.049145 (59%) | $0 (0%) | $0 (0%) | $0.034755 (41%) |
BLW1 | $0.098100 | $0.080169 (82%) | $0 (0%) | $0 (0%) | $0.017931 (18%) |
BHK1 | $0.074600 | $0.046691 (63%) | $0 (0%) | $0 (0%) | $0.027909 (37%) |
BIT1 | $0.123700 | $0.066162 (53%) | $0 (0%) | $0 (0%) | $0.057538 (47%) |
BCAT1 | $0.104100 | $0.036761 (35%) | $0 (0%) | $0 (0%) | $0.067339 (65%) |
ECAT1 | $0.100000 | $0.018885 (19%) | $0 (0%) | $0 (0%) | $0.081115 (81%) |
The Fund's Estimated Allocations for the Fiscal Year through January 31, 2023:
Fund | Distribution | Net Income | Net Realized Short- Term Gains | Net Realized Long- Term Gains | Return of Capital |
BCX1 | $0.051800 | $0.005799 (11%) | $0 (0%) | $0 (0%) | $0.046001 (89%) |
BDJ | $0.056200 | $0.011113 (20%) | $0.045087 (80%) | $0 (0%) | $0 (0%) |
BGR1 | $0.058500 | $0.014933 (26%) | $0 (0%) | $0 (0%) | $0.043567 (74%) |
BGY1 | $0.033800 | $0 (0%) | $0 (0%) | $0 (0%) | $0.033800 (100%) |
BME | $0.213000 | $0.003668 (1%) | $0.150197 (71%) | $0.059135 (28%) | $0 (0%) |
BMEZ | $0.145000 | $0 (0%) | $0.145000 (100%) | $0 (0%) | $0 (0%) |
BOE1 | $0.063000 | $0.007375 (12%) | $0 (0%) | $0 (0%) | $0.055625 (88%) |
BUI1 | $0.121000 | $0.018066 (15%) | $0 (0%) | $0 (0%) | $0.102934 (85%) |
CII | $0.099500 | $0.001603 (1%) | $0.038475 (39%) | $0.059422 (60%) | $0 (0%) |
BST | $0.250000 | $0.001487 (1%) | $0.025463 (10%) | $0.223050 (89%) | $0 (0%) |
BSTZ | $0.192000 | $0 (0%) | $0 (0%) | $0.192000 (100%) | $0 (0%) |
BIGZ1 | $0.070000 | $0 (0%) | $0 (0%) | $0 (0%) | $0.070000 (100%) |
EGF1 | $0.041000 | $0.018875 (46%) | $0 (0%) | $0 (0%) | $0.022125 (54%) |
DSU | $0.070500 | $0.070500 (100%) | $0 (0%) | $0 (0%) | $0 (0%) |
FRA | $0.080400 | $0.080400 (100%) | $0 (0%) | $0 (0%) | $0 (0%) |
BGT | $0.078100 | $0.078100 (100%) | $0 (0%) | $0 (0%) | $0 (0%) |
HYT1 | $0.077900 | $0.051093 (66%) | $0 (0%) | $0 (0%) | $0.026807 (34%) |
BTZ1 | $0.083900 | $0.049145 (59%) | $0 (0%) | $0 (0%) | $0.034755 (41%) |
BLW1 | $0.098100 | $0.080169 (82%) | $0 (0%) | $0 (0%) | $0.017931 (18%) |
BHK1 | $0.074600 | $0.046691 (63%) | $0 (0%) | $0 (0%) | $0.027909 (37%) |
BIT1 | $0.371100 | $0.214981 (58%) | $0 (0%) | $0 (0%) | $0.156119 (42%) |
BCAT1 | $0.104100 | $0.036761 (35%) | $0 (0%) | $0 (0%) | $0.067339 (65%) |
ECAT1 | $0.100000 | $0.018885 (19%) | $0 (0%) | $0 (0%) | $0.081115 (81%) |
1The Fund estimates that it has distributed more than its income and net-realized capital gains; therefore, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the money that you invested in the Fund is paid back to you. A return of capital does not necessarily reflect the Fund's investment performance and should not be confused with 'yield' or 'income'. When distributions exceed total return performance, the difference will reduce the Fund's net asset value per share.
The amounts and sources of distributions reported are only estimates and are being provided to you pursuant to regulatory requirements and are not being provided for tax reporting purposes.
The actual amounts and sources of the amounts for tax reporting purposes will depend upon each Fund's investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations. The Fund will send you a Form 1099-DIV for the calendar year that will tell you how to report these distributions for federal income tax purposes.
You should not draw any conclusions about a Fund's investment performance from the amount of the Fund's current distributions or from the terms of the Fund's Plan.
Fund Performance and Distribution Rate Information:
Fund | Average annual total return (in relation to NAV) for the 5-year period ending on 12/31/2022 | Annualized current distribution rate expressed as a percentage of NAV as of 12/31/2022 | Cumulative total return (in relation to NAV) for the fiscal year through 12/31/2022 | Cumulative fiscal year distributions as a percentage of NAV as of 12/31/2022 |
BCX | 8.18% | 5.54% | 16.31% | 4.90% |
BDJ | 6.13% | 7.72% | -3.71% | 12.55% |
BGR | 4.63% | 4.94% | 38.42% | 4.07% |
BGY | 3.38% | 7.02% | -8.33% | 7.02% |
BME | 10.31% | 5.90% | -4.19% | 5.90% |
BMEZ* | 4.80% | 9.28% | -21.66% | 9.28% |
BOE | 3.56% | 6.89% | -11.87% | 6.89% |
BUI | 8.13% | 6.49% | -7.70% | 6.49% |
CII | 7.92% | 6.80% | -10.95% | 11.97% |
BST | 9.05% | 10.31% | -39.56% | 10.31% |
BSTZ* | 7.03% | 11.80% | -43.98% | 11.80% |
BIGZ* | -31.66% | 9.52% | -41.11% | 11.22% |
EGF | -2.00% | 4.74% | -14.91% | 4.34% |
DSU | 3.67% | 8.10% | -2.97% | 6.66% |
FRA | 3.70% | 7.54% | -1.35% | 6.05% |
BGT | 3.72% | 7.55% | -1.39% | 6.05% |
HYT | 2.92% | 10.11% | -15.71% | 9.26% |
BTZ | 1.54% | 9.00% | -19.55% | 8.25% |
BLW | 2.74% | 8.71% | -11.02% | 7.99% |
BHK | -0.09% | 8.22% | -24.44% | 7.54% |
BIT | 2.91% | 10.08% | 2.19% | 1.68% |
BCAT* | -1.08% | 7.41% | -12.46% | 7.41% |
ECAT* | -7.54% | 7.22% | -12.89% | 7.22% |
* Fund launched within the past 5 years; the performance and distribution rate information presented for this Fund reflects data from inception to 12/31/2022.
BlackRock Income Trust, Inc. (NYSE: BKT) and BlackRock Taxable Municipal Bond Trust (NYSE: BBN) have adopted a Plan whereby the Fund will make fixed monthly distributions to common stockholders and will distribute all available net income to its stockholders, consistent with its investment objective and as required by the Code. The fixed amount distributed per share is subject to change at the discretion of BKT and BBN's Board. If sufficient net income is not available on a monthly basis, a Fund will distribute long-term capital gains and/or return capital to its stockholders in order to maintain a level distribution. BKT and BBN are currently not relying on any exemptive relief from Section 19(b) of the Investment Company Act of 1940, as amended (the "1940 Act"). Each Fund expects that distributions under the Plan will exceed current income and capital gains and therefore will likely include a return of capital. BKT and BBN may make additional distributions from time to time, including additional capital gain distributions at the end of the taxable year, if required to meet requirements imposed by the Code and/or the 1940 Act.
BKT and BBN's estimated sources of the distributions paid as of January 31, 2023 and for its current fiscal year are as follows:
Estimated Allocations as of January 31, 2023
Fund | Distribution | Net Income | Net Realized Short- Term Gains | Net Realized Long-Term Gains | Return of Capital |
BKT2 | $0.09 | $0.035405 (40%) | $0 (0%) | $0 (0%) | $0.052795 (60%) |
BBN2 | $0.10 | $0.078014 (76%) | $0 (0%) | $0 (0%) | $0.024886 (24%) |
Estimated Allocations for the Fiscal Year through January 31, 2023
Fund | Distribution | Net Income | Net Realized Short- Term Gains | Net Realized Long-Term Gains | Return of Capital |
BKT2 | $0.09 | $0.035405 (40%) | $0 (0%) | $0 (0%) | $0.052795 (60%) |
BBN2 | $0.10 | $0.078014 (76%) | $0 (0%) | $0 (0%) | $0.024886 (24%) |
2The Fund estimates that it has distributed more than its income and net-realized capital gains in the current fiscal year; therefore, a portion of your distribution may be a return of capital. A return of capital may occur, for example, when some or all of the shareholder's investment is paid back to the shareholder. A return of capital distribution does not necessarily reflect the Fund's investment performance and should not be confused with 'yield' or 'income'. When distributions exceed total return performance, the difference will reduce the Fund's net asset value per share.
The amounts and sources of distributions reported are only estimates and are being provided to you pursuant to regulatory requirements and are not being provided for tax reporting purposes. The actual amounts and sources of the amounts for tax reporting purposes will depend upon BKT and BBN's investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations. BKT and BBN will send its stockholders a Form 1099-DIV for the calendar year that will illustrate how to report these distributions for federal income tax purposes.
Fund Performance and Distribution Rate Information:
Fund | Average annual total return (in relation to NAV) for the 5-year period ending on 12/31/202 2 | Annualized current distribution rate expressed as a percentage of NAV as of 12/31/2022 | Cumulative total return (in relation to NAV) for the fiscal year through 12/31/2022 | Cumulative fiscal year distributions as a percentage of NAV as 12/31/2022 |
BKT | -1.30% | 8.08% | -16.67% | 7.86% |
BBN | -0.26% | 7.14% | -26.58% | 7.70% |
No conclusions should be drawn about BKT or BBN's investment performance from the amount of the Fund's distributions or from the terms of the Fund's Plan.
The amount distributed per share under a Plan is subject to change at the discretion of the applicable Fund's Board. Each Plan will be subject to ongoing review by the Board to determine whether the Plan should be continued, modified or terminated. The Board may amend the terms of a Plan or suspend or terminate a Plan at any time without prior notice to the Fund's shareholders if it deems such actions to be in the best interest of the Fund or its shareholders. The amendment or termination of a Plan could have an adverse effecton the market price of the Fund's shares.
Certain Funds are distributed by BlackRock Investments, LLC (together with its affiliates, "BlackRock").
Closed-end fund shares are not deposits or obligations of, or guaranteed by, any bank and are not insured by the FDIC or any other agency. Investing involves risk, including possible loss of principal amount invested.
Shares may only be purchased or sold through registered broker/dealers. For more information regarding any of BlackRock's closed-end funds, please call BlackRock at 800-882-0052.
No assurance can be given that a Fund will achieve its investment objective. For more information please refer towww.blackrock.com
Carefully consider the Funds' investment objectives, risk factors, and charges and expenses before investing.
This and other information can be found in the Funds' prospectuses and/or shareholder reports, as applicable, which may be obtained by visiting the SEC Edgar database. Read the prospectus, if applicable, carefully before investing.
BlackRock will update performance and certain other data for the Trust on a monthly basis on its website in the "Closed-end Funds" section ofwww.blackrock.comas well as certain other material information as necessary from time to time.
Common shares for the closed-end funds identified above are only available for purchase and sale at current market price on a stock exchange. A closed-end fund's dividend yield, market price and NAV will fluctuate with market conditions.
The information for these funds is provided for informational purposes only and does not constitute a solicitation of an offer to buy or sell Fund shares.
Performance results reflect past performance and are no guarantee of future results. Current performance may be lower or higher than the performance data quoted. All returns assume reinvestment of dividends. The market value and net asset value (NAV) of a fund's shares will fluctuate with market conditions. Closed-end funds may trade at a premium to NAV but often trade at a discount.
Certain Funds are distributed by BlackRock Investments, LLC (together with its affiliates, "BlackRock").
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BlackRock Enhanced International Dividend Trust published this content on 31 March 2023 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 31 March 2023 04:43:05 UTC.