A detailed history of High Tower Advisors, LLC transactions in Blackrock Municipal Income Trust stock. As of the latest transaction made, High Tower Advisors, LLC holds 27,367 shares of BFK stock, worth $280,511. This represents 0.0% of its overall portfolio holdings.

Number of Shares
27,367
Previous 23,111 18.42%
Holding current value
$280,511
Previous $235,000 22.98%
% of portfolio
0.0%
Previous 0.0%

Shares

25 transactions
Quarter Operation Price Per share shares change shares Held SEC Form
Q3 2024

Nov 14, 2024

BUY
$10.04 - $10.7 $42,730 - $45,539
4,256 Added 18.42%
27,367 $289,000
Q2 2024

Aug 13, 2024

BUY
$9.89 - $10.25 $228,567 - $236,887
23,111 New
23,111 $235,000
Q3 2023

Nov 08, 2023

SELL
$8.87 - $10.12 $19,797 - $22,587
-2,232 Reduced 4.45%
47,912 $424,000
Q2 2023

Aug 14, 2023

BUY
$9.6 - $10.23 $24,028 - $25,605
2,503 Added 5.25%
50,144 $498,000
Q1 2023

May 11, 2023

SELL
$9.86 - $10.73 $328,742 - $357,748
-33,341 Reduced 41.17%
47,641 $486,000
Q4 2022

Feb 08, 2023

BUY
$9.06 - $10.42 $467,033 - $537,140
51,549 Added 175.14%
80,982 $814,000
Q3 2022

Nov 09, 2022

BUY
$9.52 - $11.5 $9 - $11
1 Added 0.0%
29,433 $279,000
Q2 2022

Aug 10, 2022

BUY
$10.37 - $12.91 $103,710 - $129,112
10,001 Added 51.47%
29,432 $317,000
Q1 2022

May 12, 2022

BUY
$12.01 - $15.44 $233,366 - $300,014
19,431 New
19,431 $238,000
Q3 2021

Nov 12, 2021

SELL
$14.8 - $15.82 $205,601 - $219,771
-13,892 Closed
0 $0
Q2 2021

Aug 06, 2021

BUY
$14.86 - $15.44 $31,057 - $32,269
2,090 Added 17.71%
13,892 $214,000
Q1 2021

May 10, 2021

BUY
$14.39 - $15.44 $169,830 - $182,222
11,802 New
11,802 $177,000
Q4 2020

Feb 10, 2021

SELL
$13.57 - $15.47 $282,568 - $322,131
-20,823 Closed
0 $0
Q3 2020

Nov 13, 2020

BUY
$13.35 - $14.95 $56,523 - $63,298
4,234 Added 25.52%
20,823 $285,000
Q2 2020

Aug 10, 2020

SELL
$11.92 - $13.39 $18,178 - $20,419
-1,525 Reduced 8.42%
16,589 $220,000
Q1 2020

May 21, 2020

SELL
$10.15 - $15.11 $34,510 - $51,374
-3,400 Reduced 15.8%
18,114 $236,000
Q3 2019

Nov 12, 2019

SELL
$13.57 - $14.3 $219,644 - $231,459
-16,186 Reduced 42.93%
21,514 $304,000
Q2 2019

Aug 13, 2019

BUY
$13.55 - $14.13 $306,040 - $319,140
22,586 Added 149.44%
37,700 $522,000
Q1 2019

May 15, 2019

SELL
$12.43 - $13.49 $42,262 - $45,866
-3,400 Reduced 18.36%
15,114 $204,000
Q4 2018

Feb 14, 2019

BUY
$11.98 - $12.75 $5,990 - $6,375
500 Added 2.78%
18,514 $224,000
Q3 2018

Nov 09, 2018

BUY
$12.36 - $13.3 $35,844 - $38,570
2,900 Added 19.19%
18,014 $224,000
Q2 2018

Aug 14, 2018

SELL
$12.68 - $12.94 $115,388 - $117,754
-9,100 Reduced 37.58%
15,114 $196,000
Q1 2018

May 15, 2018

BUY
$12.77 - $14.25 $20,432 - $22,800
1,600 Added 7.08%
24,214 $314,000
Q4 2017

Feb 14, 2018

SELL
$13.98 - $14.36 $16,776 - $17,232
-1,200 Reduced 5.04%
22,614 $319,000
Q2 2017

Aug 14, 2017

BUY
N/A
23,814
23,814 $337,000

Others Institutions Holding BFK

About BLACKROCK MUNICIPAL INCOME TRUST


  • Ticker BFK
  • Exchange NYSE
  • Sector Financial Services
  • Industry Asset Management
  • Description
  • BlackRock Municipal Income Trust is a closed ended fixed income mutual fund launched by BlackRock, Inc. It is managed by BlackRock Advisors, LLC. The fund invests in fixed income markets. It invests primarily in investment grade municipal bonds that are exempt from regular federal income tax. BlackRock Municipal Income Trust was formed on July 3...
More about BFK
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