Blackrock Floating Rate Income Trust BGT
We take great care to ensure that the data presented and summarized in this overview for BLACKROCK FLOATING RATE INCOME TRUST is accurate and up-to-date, based on a comprehensive analysis of 13F filing forms for institutional ownership and form 4 filings for insider transactions. Please note that this data may differ from other sources and should not be relied upon as the sole basis for investment decisions.
Top Institutions Holding BGT
View all-
Guggenheim Capital LLC Chicago, IL708KShares$9.17 Million0.07% of portfolio
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Ameriprise Financial Inc Minneapolis, MN642KShares$8.32 Million0.0% of portfolio
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Penserra Capital Management LLC Orinda, CA640KShares$8.29 Million0.18% of portfolio
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Morgan Stanley New York, NY619KShares$8.01 Million0.0% of portfolio
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Ubs Group Ag444KShares$5.75 Million0.0% of portfolio
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Lpl Financial LLC Fort Mill, SC408KShares$5.28 Million0.0% of portfolio
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Advisors Asset Management, Inc. Monument, CO374KShares$4.84 Million0.09% of portfolio
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Invesco Ltd. Atlanta, GA321KShares$4.16 Million0.0% of portfolio
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Graypoint LLC189KShares$2.45 Million0.16% of portfolio
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Baird Financial Group, Inc. Milwaukee, WI132KShares$1.71 Million0.0% of portfolio
Latest Institutional Activity in BGT
Top Purchases
Top Sells
About BGT
BlackRock Floating Rate Income Trust is a close ended fixed income mutual fund launched by BlackRoack Inc. The fund is co-managed by BlackRock Advisors, LLC and BlackRock Financial Management, Inc. It invests in the fixed income markets across the globe while focusing on the United States. The fund invests in bonds of companies operating across diversified sectors. It invests in corporate bonds with average effective duration of its portfolio will be no more than 1.5 years. The fund was formerly known as BlackRock Global Floating Rate Income Trust. BlackRock Floating Rate Income Trust was formed on August 30, 2004 and is domiciled in the United States.
Insider Transactions at BGT
Insider Transaction List
View allDate | Insider | Transaction | Ownership Type | Shares Traded | Value / Price |
---|---|---|---|---|---|
Oct 29
2024
|
Stayce D. Harris |
BUY
Open market or private purchase
|
Direct |
10
+50.0%
|
$130
$13.06 P/Share
|
Jan 31
2023
|
Abigail Apistolas |
SELL
Sale (or disposition) back to the issuer
|
Direct |
101
-100.0%
|
$1,111
$11.68 P/Share
|
Jan 31
2023
|
Abigail Apistolas |
BUY
Exercise of conversion of derivative security
|
Direct |
101
+50.0%
|
-
|
Jan 31
2022
|
Abigail Apistolas |
SELL
Sale (or disposition) back to the issuer
|
Direct |
94
-100.0%
|
$1,222
$13.39 P/Share
|
Jan 31
2022
|
Abigail Apistolas |
BUY
Exercise of conversion of derivative security
|
Direct |
94
+50.0%
|
-
|
Jan 29
2021
|
Abigail Apistolas |
SELL
Sale (or disposition) back to the issuer
|
Direct |
88
-100.0%
|
$1,056
$12.06 P/Share
|
Jan 29
2021
|
Abigail Apistolas |
BUY
Exercise of conversion of derivative security
|
Direct |
88
+50.0%
|
-
|
Jan 29
2021
|
James Keenan |
SELL
Sale (or disposition) back to the issuer
|
Direct |
4,876
-100.0%
|
$58,512
$12.06 P/Share
|
Jan 29
2021
|
James Keenan |
BUY
Exercise of conversion of derivative security
|
Direct |
4,876
+50.0%
|
-
|
Dec 17
2020
|
Richard Cavanagh Director |
SELL
Sale (or disposition) back to the issuer
|
Direct |
190
-44.29%
|
$2,090
$11.88 P/Share
|
Dec 17
2020
|
Richard Cavanagh Director |
BUY
Exercise of conversion of derivative security
|
Direct |
190
+30.69%
|
-
|
Dec 17
2020
|
Frank Fabozzi Director |
SELL
Sale (or disposition) back to the issuer
|
Direct |
158
-61.24%
|
$1,738
$11.88 P/Share
|
Dec 17
2020
|
Frank Fabozzi Director |
BUY
Exercise of conversion of derivative security
|
Direct |
158
+37.98%
|
-
|
Dec 17
2020
|
Robert Glenn Hubbard Director |
SELL
Sale (or disposition) back to the issuer
|
Direct |
402
-56.38%
|
$4,422
$11.88 P/Share
|
Dec 17
2020
|
Robert Glenn Hubbard Director |
BUY
Exercise of conversion of derivative security
|
Direct |
402
+36.02%
|
-
|
Last 12 Months Summary
Open market or private purchase | 10 shares |
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