Press Release: Distribution Dates and Amounts Announced for Certain BlackRock Closed-End Funds

Dow Jones
02/28
NEW YORK--(BUSINESS WIRE)--February 27, 2026-- 

Certain BlackRock closed-end funds (the "Funds") announced distributions today as detailed below. The declarations have moved from monthly to quarterly to provide additional visibility on upcoming distributions. The funds will continue to pay monthly distributions.

Municipal Funds:

Certain Municipal Funds involved in upcoming mergers or reorganizations announced distributions separately.

 
Distribution Month              Ex- & Record Date              Payable Date 
April                           April 15, 2026                 May 1, 2026 
May                             May 15, 2026                   June 1, 2026 
June                            June 15, 2026                  July 1, 2026 
 
 
 
                                                       Change From Prior 
National Funds        Ticker    Monthly Distribution      Distribution 
--------------------  -------   --------------------  -------------------- 
BlackRock Municipal 
 2030 Target Term 
 Trust                  BTT          $0.046400                 - 
BlackRock 2037 
 Municipal Target 
 Term Trust             BMN          $0.093750                 - 
BlackRock 
 MuniHoldings Fund, 
 Inc.*                  MHD          $0.059500                 - 
BlackRock MuniYield 
 Quality Fund III, 
 Inc.*                  MYI          $0.055500                 - 
BlackRock MuniAssets 
 Fund, Inc.*            MUA          $0.055500                 - 
BlackRock MuniYield 
 Quality Fund, 
 Inc.*                  MQY          $0.058000                 - 
 
 
                                                       Change From Prior 
State-Specific Funds  Ticker    Monthly Distribution      Distribution 
--------------------  -------   --------------------  -------------------- 
BlackRock MuniYield 
 Michigan Quality 
 Fund, Inc.*            MIY          $0.054500                 - 
BlackRock 
 MuniHoldings New 
 Jersey Quality 
 Fund, Inc.*            MUJ          $0.054000                 - 
BlackRock MuniYield 
 Pennsylvania 
 Quality Fund*          MPA          $0.047700                 - 
BlackRock Virginia 
 Municipal Bond 
 Trust*                 BHV          $0.045500                 - 
BlackRock 
 MuniHoldings 
 California Quality 
 Fund, Inc.*            MUC          $0.053500                 - 
BlackRock MuniYield 
 New York Quality 
 Fund, Inc.*            MYN          $0.051200                 - 
 

Taxable Funds:

 
Distribution Month              Ex- & Record Date              Payable Date 
April                           April 15, 2026                 April 30, 2026 
May                             May 15, 2026                   May 29, 2026 
June                            June 15, 2026                  June 30, 2026 
 
 
Taxable Municipal                                      Change From Prior 
Funds                 Ticker    Monthly Distribution      Distribution 
--------------------  -------   --------------------  -------------------- 
BlackRock Taxable 
 Municipal Bond 
 Trust*                 BBN          $0.098600                 - 
Taxable Fixed Income                                   Change From Prior 
Funds                 Ticker    Monthly Distribution      Distribution 
--------------------  -------   --------------------  -------------------- 
BlackRock Floating 
 Rate Income Trust*     BGT          $0.120280                 - 
BlackRock Core Bond 
 Trust*                 BHK          $0.074600                 - 
BlackRock 
 Multi-Sector Income 
 Trust*                 BIT          $0.123700                 - 
BlackRock Income 
 Trust, Inc.*           BKT          $0.088200                 - 
BlackRock Limited 
 Duration Income 
 Trust*                 BLW          $0.113200                 - 
BlackRock Credit 
 Allocation Income 
 Trust*                 BTZ          $0.083900                 - 
BlackRock Debt 
 Strategies Fund, 
 Inc.*                  DSU          $0.098730                 - 
BlackRock Floating 
 Rate Income 
 Strategies Fund, 
 Inc.*                  FRA          $0.123840                 - 
BlackRock Corporate 
 High Yield Fund, 
 Inc.*                  HYT          $0.077900                 - 
 

Equity and Multi-Asset Funds:

 
Distribution Month              Ex- & Record Date              Payable Date 
April                           April 15, 2026                 April 30, 2026 
May                             May 15, 2026                   May 29, 2026 
June                            June 15, 2026                  June 30, 2026 
 
 
                                                       Change From Prior 
Equity Funds          Ticker    Monthly Distribution      Distribution 
--------------------  -------   --------------------  -------------------- 
BlackRock Resources 
 & Commodities 
 Strategy Trust*        BCX          $0.069700                 - 
BlackRock Enhanced 
 Equity Dividend 
 Trust*                 BDJ          $0.061900                 - 
BlackRock Energy and 
 Resources Trust*       BGR          $0.097300                 - 
BlackRock Enhanced 
 International 
 Dividend Trust*        BGY          $0.042600                 - 
BlackRock Health 
 Sciences Trust*        BME          $0.262100                 - 
BlackRock Health 
 Sciences Term 
 Trust*                 BMEZ         $0.110000                 - 
BlackRock Enhanced 
 Global Dividend 
 Trust*                 BOE          $0.082700                 - 
BlackRock Utilities, 
 Infrastructure & 
 Power Opportunities 
 Trust*                 BUI          $0.136000                 - 
BlackRock Science 
 and Technology 
 Trust*                 BST          $0.250000                 - 
BlackRock Science 
 and Technology Term 
 Trust*                 BSTZ         $0.162500                 - 
BlackRock Technology 
 and Private Equity 
 Term Trust*            BTX          $0.052500                 - 
BlackRock Enhanced 
 Large Cap Core 
 Fund, Inc.*            CII          $0.141000                 - 
 
                                                       Change From Prior 
Multi-Asset Funds     Ticker    Monthly Distribution      Distribution 
--------------------  -------   --------------------  -------------------- 
BlackRock Capital 
 Allocation Term 
 Trust*                 BCAT         $0.257900             (0.002830) 
BlackRock ESG 
 Capital Allocation 
 Term Trust*            ECAT         $0.273310             (0.003700) 
 

* In order to comply with the requirements of Section 19 of the Investment Company Act of 1940, as amended (the "1940 Act"), each of the Funds noted above posted to the DTC bulletin board and sent to its shareholders of record as of the applicable record date a Section 19 notice with the previous distribution payment. The Section 19 notice was provided for informational purposes only and not for tax reporting purposes. This information can be found in the "Closed-End Funds" section of www.blackrock.com. As applicable, the final determination of the source and tax characteristics of all distributions in 2025 will be made after the end of the year.

BlackRock Capital Allocation Term Trust $(BCAT)$ and BlackRock ESG Capital Allocation Term Trust $(ECAT)$ have adopted a managed distribution plan (a "Plan") to support a level monthly distribution of income, capital gains and/or return of capital. BCAT and ECAT currently distribute a monthly annualized rate of 20% of each Fund's 12-month rolling average daily net asset value calculated 5 business days prior to declaration date of each distribution. The April, May and June 2026 distributions for each of BCAT and ECAT were calculated based on the average net asset value from 2/20/2025 through 2/19/2026. Below are the 12-month rolling average daily net asset values used to calculate BCAT and ECAT's April, May, and June distributions:

BCAT: $15.473427

ECAT: $16.398468

The fixed amounts distributed per share or distribution rate, as applicable, are subject to change at the discretion of each Fund's Board of Directors/Trustees. Under its Plan, each 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 income (inclusive of net investment income and short-term capital gains) is not available monthly, a Fund will distribute long-term capital gains and/or return capital to its shareholders in order to maintain a level distribution.

Each Fund's estimated sources of the distributions paid February 27, 2026 and for its current fiscal year are as follows:

 
                        Estimated Allocations as of February 27, 2026 
--------------------------------------------------------------------------------------------- 
                                           Net Realized 
                                            Short-Term       Net Realized       Return of 
  Fund    Distribution    Net Income          Gains        Long-Term Gains       Capital 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
 BCX(1)    $0.069700        $0 (0%)          $0 (0%)           $0 (0%)       $0.069700 (100%) 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
  BDJ      $0.061900    $0.003549 (6%)       $0 (0%)           $0 (0%)       $0.058351 (94%) 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
 BGR(1)    $0.097300    $0.023608 (24%)      $0 (0%)           $0 (0%)       $0.073692 (76%) 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
 BGY(1)    $0.042600    $0.000701 (2%)       $0 (0%)           $0 (0%)       $0.041899 (98%) 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
 BME(1)    $0.262100        $0 (0%)      $0.064403 (25%)   $0.197697 (75%)       $0 (0%) 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
BMEZ(1)    $0.110000        $0 (0%)          $0 (0%)       $0.101835 (93%)    $0.008165 (7%) 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
  BOE      $0.082700        $0 (0%)          $0 (0%)       $0.082700 (100%)      $0 (0%) 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
  BUI      $0.136000    $0.017215 (13%)  $0.108679 (80%)       $0 (0%)        $0.010106 (7%) 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
  CII      $0.141000        $0 (0%)          $0 (0%)       $0.141000 (100%)      $0 (0%) 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
  BST      $0.250000        $0 (0%)          $0 (0%)       $0.250000 (100%)      $0 (0%) 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
  BSTZ     $0.162500        $0 (0%)      $0.162500 (100%)      $0 (0%)           $0 (0%) 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
 BTX(1)    $0.052500        $0 (0%)          $0 (0%)           $0 (0%)       $0.052500 (100%) 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
BCAT(1)    $0.260730    $0.021333 (8%)       $0 (0%)           $0 (0%)       $0.239397 (92%) 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
ECAT(1)    $0.277010    $0.012274 (4%)       $0 (0%)           $0 (0%)       $0.264736 (96%) 
--------  ------------  ---------------  ----------------  ----------------  ---------------- 
 
 
             Estimated Allocations for the Fiscal Year through February 27, 2026 
--------------------------------------------------------------------------------------------- 
                                           Net Realized 
                                            Short-Term       Net Realized       Return of 
  Fund    Distribution     Net Income          Gains       Long-Term Gains       Capital 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
 BCX(1)    $0.139400    $0.015048 (11%)       $0 (0%)          $0 (0%)       $0.124352 (89%) 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
  BDJ      $0.123800    $0.123800 (100%)      $0 (0%)          $0 (0%)           $0 (0%) 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
 BGR(1)    $0.194600    $0.037724 (19%)       $0 (0%)          $0 (0%)       $0.156876 (81%) 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
 BGY(1)    $0.085200        $0 (0%)           $0 (0%)          $0 (0%)       $0.085200 (100%) 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
 BME(1)    $0.524200     $0.000242 (0%)   $0.064403 (12%)  $0.374671 (72%)   $0.084884 (16%) 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
BMEZ(1)    $0.220000        $0 (0%)           $0 (0%)      $0.101835 (46%)   $0.118165 (54%) 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
  BOE      $0.165400     $0.011525 (7%)       $0 (0%)      $0.153875 (93%)       $0 (0%) 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
  BUI      $0.272000    $0.163321 (60%)   $0.108679 (40%)      $0 (0%)           $0 (0%) 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
  CII      $0.282000        $0 (0%)           $0 (0%)      $0.282000 (100%)      $0 (0%) 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
  BST      $0.500000        $0 (0%)           $0 (0%)      $0.500000 (100%)      $0 (0%) 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
  BSTZ     $0.325000        $0 (0%)       $0.202402 (62%)  $0.122598 (38%)       $0 (0%) 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
 BTX(1)    $0.105000        $0 (0%)           $0 (0%)          $0 (0%)       $0.105000 (100%) 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
BCAT(1)    $0.521460     $0.044436 (9%)       $0 (0%)          $0 (0%)       $0.477024 (91%) 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
ECAT(1)    $0.554020     $0.017622 (3%)       $0 (0%)          $0 (0%)       $0.536398 (97%) 
--------  ------------  ----------------  ---------------  ----------------  ---------------- 
 

(1) The 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 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.

 
             Fund Performance and Distribution Rate Information: 
------------------------------------------------------------------------------ 
                             Annualized 
         Average annual       current       Cumulative total     Cumulative 
        total return (in    distribution       return (in       fiscal year 
        relation to NAV)   rate expressed   relation to NAV)  distributions as 
         for the 5-year   as a percentage    for the fiscal   a percentage of 
        period ending on    of NAV as of      year through       NAV as of 
 Fund      01/30/2026        01/30/2026        01/30/2026        01/30/2026 
------  ----------------  ----------------  ----------------  ---------------- 
 BCX         16.29%            6.53%             11.74%            0.54% 
------  ----------------  ----------------  ----------------  ---------------- 
 BDJ         11.65%            7.49%             2.50%             0.62% 
------  ----------------  ----------------  ----------------  ---------------- 
 BGR         21.32%            7.35%             12.71%            0.61% 
------  ----------------  ----------------  ----------------  ---------------- 
 BGY         8.32%             7.90%             3.42%             0.66% 
------  ----------------  ----------------  ----------------  ---------------- 
 BME         5.90%             7.19%             0.14%             0.60% 
------  ----------------  ----------------  ----------------  ---------------- 
 BMEZ       (1.11%)            7.62%             2.07%             0.63% 
------  ----------------  ----------------  ----------------  ---------------- 
 BOE         9.62%             7.58%             2.33%             0.63% 
------  ----------------  ----------------  ----------------  ---------------- 
 BUI         9.40%             6.30%             6.05%             0.52% 
------  ----------------  ----------------  ----------------  ---------------- 
 CII         13.95%            7.42%             1.37%             0.62% 
------  ----------------  ----------------  ----------------  ---------------- 
 BST         4.71%             7.05%             0.89%             0.59% 
------  ----------------  ----------------  ----------------  ---------------- 
 BSTZ        1.12%             7.76%             1.68%             0.65% 
------  ----------------  ----------------  ----------------  ---------------- 
 BTX*       (8.68%)            8.03%             1.43%             0.67% 
------  ----------------  ----------------  ----------------  ---------------- 
 BCAT        6.70%             20.44%            2.30%             1.70% 
------  ----------------  ----------------  ----------------  ---------------- 
ECAT*        8.78%             20.58%            1.65%             1.72% 
------  ----------------  ----------------  ----------------  ---------------- 
 

* Portfolio launched within the past 5 years; the performance and distribution rate information presented for this Fund reflects data from inception to 1/30/2026.

Shareholders 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.

BlackRock Income Trust, Inc. $(BKT)$, BlackRock Debt Strategies Fund, Inc. (NYSE: DSU), BlackRock Floating Rate Income Strategies Fund, Inc. (NYSE: FRA), BlackRock Taxable Municipal Bond Trust $(BBN)$, BlackRock Floating Rate Income Trust $(BGT)$, BlackRock Corporate High Yield Fund, Inc. $(HYT)$, BlackRock Credit Allocation Income Trust $(BTZ)$, BlackRock Limited Duration Income Trust $(BLW)$, BlackRock Core Bond Trust $(BHK)$, and BlackRock Multi-Sector Income Trust $(BIT)$, and have adopted a Plan to support a level monthly 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 Fund's Board of Directors/Trustees. Under its Plan, each Fund will distribute all available net income to its shareholders, consistent with its investment objectives and as required by the Code. If sufficient income (inclusive of net investment income and short-term capital gains) 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. Each of the above-listed Funds is 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. Each Fund 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.

Each Fund's estimated sources of the distributions paid February 27, 2026 and for its current fiscal year are as follows:

 
                Estimated Allocations as of February 27, 2026 
------------------------------------------------------------------------------ 
                                           Net         Net 
                                         Realized   Realized 
                                        Short-Term  Long-Term     Return of 
 Fund    Distribution    Net Income       Gains       Gains        Capital 
-------  ------------  ---------------  ----------  ---------  --------------- 
BKT(2)    $0.088200    $0.037616 (43%)   $0 (0%)     $0 (0%)   $0.050584 (57%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
DSU(2)    $0.098730    $0.046880 (47%)   $0 (0%)     $0 (0%)   $0.051850 (53%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
FRA(2)    $0.123840    $0.054611 (44%)   $0 (0%)     $0 (0%)   $0.069229 (56%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
BBN(2)    $0.098600    $0.081431 (83%)   $0 (0%)     $0 (0%)   $0.017169 (17%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
BGT(2)    $0.120280    $0.052476 (44%)   $0 (0%)     $0 (0%)   $0.067804 (56%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
HYT(2)    $0.077900    $0.049314 (63%)   $0 (0%)     $0 (0%)   $0.028586 (37%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
BTZ(2)    $0.083900    $0.056976 (68%)   $0 (0%)     $0 (0%)   $0.026924 (32%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
BLW(2)    $0.113200    $0.076702 (68%)   $0 (0%)     $0 (0%)   $0.036498 (32%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
BHK(2)    $0.074600    $0.043859 (59%)   $0 (0%)     $0 (0%)   $0.030741 (41%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
BIT(2)    $0.123700    $0.068304 (55%)   $0 (0%)     $0 (0%)   $0.055396 (45%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
 
 
 
      Estimated Allocations for the Fiscal Year through February 27, 2026 
------------------------------------------------------------------------------ 
                                           Net         Net 
                                         Realized   Realized 
                                        Short-Term  Long-Term     Return of 
 Fund    Distribution    Net Income       Gains       Gains        Capital 
-------  ------------  ---------------  ----------  ---------  --------------- 
BKT(2)    $0.176400    $0.075941 (43%)   $0 (0%)     $0 (0%)   $0.100459 (57%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
DSU(2)    $0.197460    $0.098543 (50%)   $0 (0%)     $0 (0%)   $0.098917 (50%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
FRA(2)    $0.247680    $0.117871 (48%)   $0 (0%)     $0 (0%)   $0.129809 (52%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
BBN(2)    $0.197200    $0.164392 (83%)   $0 (0%)     $0 (0%)   $0.032808 (17%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
BGT(2)    $0.240560    $0.111048 (46%)   $0 (0%)     $0 (0%)   $0.129512 (54%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
HYT(2)    $0.155800    $0.093778 (60%)   $0 (0%)     $0 (0%)   $0.062022 (40%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
BTZ(2)    $0.167800    $0.113132 (67%)   $0 (0%)     $0 (0%)   $0.054668 (33%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
BLW(2)    $0.226400    $0.156675 (69%)   $0 (0%)     $0 (0%)   $0.069725 (31%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
BHK(2)    $0.149200    $0.087508 (59%)   $0 (0%)     $0 (0%)   $0.061692 (41%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
BIT(2)    $0.247400    $0.136867 (55%)   $0 (0%)     $0 (0%)   $0.110533 (45%) 
-------  ------------  ---------------  ----------  ---------  --------------- 
 

(2) The 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 each Fund's investment experience during the remainder of its fiscal year and may be subject to changes based on tax regulations. Each Fund 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: 
------------------------------------------------------------------------------ 
                            Annualized 
        Average annual       current       Cumulative total  Cumulative fiscal 
       total return (in    distribution       return (in           year 
       relation to NAV)   rate expressed   relation to NAV)  distributions as 
        for the 5-year   as a percentage    for the fiscal    a percentage of 
       period ending on    of NAV as of      year through        NAV as of 
Fund      01/30/2026        01/30/2026        01/30/2026        01/30/2026 
-----  ----------------  ----------------  ----------------  ----------------- 
 BKT       (1.26%)            9.22%             0.53%              0.77% 
-----  ----------------  ----------------  ----------------  ----------------- 
 DSU        6.59%             11.85%           (0.41%)             0.99% 
-----  ----------------  ----------------  ----------------  ----------------- 
 FRA        6.46%             12.50%           (0.62%)             1.04% 
-----  ----------------  ----------------  ----------------  ----------------- 
 BBN       (0.99%)            6.85%             0.55%              0.57% 
-----  ----------------  ----------------  ----------------  ----------------- 
 BGT        6.68%             12.39%           (0.57%)             1.03% 
-----  ----------------  ----------------  ----------------  ----------------- 
 HYT        4.86%             9.89%            (1.22%)             0.82% 
-----  ----------------  ----------------  ----------------  ----------------- 
 BTZ        2.43%             8.89%             0.61%              0.74% 
-----  ----------------  ----------------  ----------------  ----------------- 
 BLW        4.69%             9.86%            (0.12%)             0.82% 
-----  ----------------  ----------------  ----------------  ----------------- 
 BHK       (1.88%)            9.02%             0.28%              0.75% 
-----  ----------------  ----------------  ----------------  ----------------- 
 BIT        4.25%             10.72%            0.50%              0.89% 
-----  ----------------  ----------------  ----------------  ----------------- 
 

No conclusions should be drawn about a Fund's investment performance from the amount of the Fund's distributions or from the terms of the Fund's Plan.

(MORE TO FOLLOW) Dow Jones Newswires

February 27, 2026 16:31 ET (21:31 GMT)

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