UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM N-Q
QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED
MANAGEMENT INVESTMENT COMPANY
Investment Company Act file number: 811-22774
Name of Fund: BlackRock Multi-Sector Income Trust (BIT)
Fund Address: 100 Bellevue Parkway, Wilmington, DE 19809
Name and address of agent for service: John M. Perlowski, Chief Executive Officer, BlackRock Multi-Sector
Income Trust, 55 East 52nd Street, New York, NY 10055
Registrants telephone number, including area code: (800) 882-0052, Option 4
Date of fiscal year end: 10/31/2017
Date of reporting period: 01/31/2017
Item 1 Schedule of Investments
Consolidated Schedule of Investments January 31, 2017 (Unaudited) |
BlackRock Multi-Sector Income Trust (BIT) (Percentages shown are based on Net Assets) |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 1 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
2 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 3 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
4 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 5 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
6 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 7 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
8 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 9 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
10 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 11 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
12 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 13 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
14 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 15 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
16 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 17 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
18 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 19 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
20 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 21 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
22 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 23 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
24 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
Notes to Schedule of Investments |
(a) | Restricted security as to resale, excluding 144A securities. As of period end, the Trust held restricted securities with a current value of $561 and an original cost of $8,635, which was less than 0.05% of its net assets. |
(b) | Variable rate security. Rate as of period end. |
(c) | Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors. |
(d) | All or a portion of security has been pledged as collateral in connection with outstanding reverse repurchase agreements. |
(e) | Step-up bond that pays an initial coupon rate for the first period and then a higher coupon rate for the following periods. Rate as of period end. |
(f) | Amount is less than $500. |
(g) | Payment-in-kind security which may pay interest/dividends in additional par/shares and/or in cash. Rates shown are the current rate and possible payment rates. |
(h) | When-issued security. |
(i) | Convertible security. |
(j) | Perpetual security with no stated maturity date. |
(k) | All or a portion of security is held by a wholly owned subsidiary. |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 25 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
(l) | During the period ended January 31, 2017, investments in issuers considered to be an affiliate of the Trust for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows: |
Affiliate | Shares Held at October 31, 2016 |
Net Activity |
Shares Held at January 31, 2017 |
Value at January 31, 2017 |
Income | Net Realized Gain (Loss) |
Change in Unrealized Appreciation (Depreciation) |
|||||||||||||||||||||
BlackRock Liquidity Funds, T-Fund, Institutional Class |
6,322,410 | (2,483,737 | ) | 3,838,673 | $ | 3,838,673 | $ | 2,688 | $ | 35 | |
(m) | Current yield as of period end. |
| For Trust compliance purposes, the Trusts industry classifications refer to one or more of the industry sub-classifications used by one or more widely recognized market indexes or rating group indexes, and/or as defined by the investment adviser. These definitions may not apply for purposes of this report, which may combine such industry sub-classifications for reporting ease. |
Reverse Repurchase Agreements
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 5/02/16 | Open | $ | 464,800 | $ | 468,325 | Corporate Bonds | Open/Demand | ||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 5/04/16 | Open | 120,085 | 120,989 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.05 | % | 5/04/16 | Open | 784,550 | 790,751 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 5/05/16 | Open | 638,000 | 642,750 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 5/05/16 | Open | 451,000 | 454,357 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 5/06/16 | Open | 813,400 | 819,131 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.75 | % | 5/09/16 | Open | 425,685 | 428,044 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 5/09/16 | Open | 379,500 | 382,164 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 5/09/16 | Open | 211,185 | 212,667 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 5/10/16 | Open | 270,400 | 272,298 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 5/10/16 | Open | 135,548 | 136,495 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 5/10/16 | Open | 562,238 | 566,169 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 5/10/16 | Open | 620,400 | 624,967 | Corporate Bonds | Open/Demand |
26 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 5/16/16 | Open | $ | 1,747,655 | $ | 1,760,277 | Corporate Bonds | Open/Demand | ||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 5/17/16 | Open | 595,875 | 600,357 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.90 | % | 5/24/16 | Open | 215,000 | 216,349 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 5/25/16 | Open | 346,768 | 349,195 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 5/25/16 | Open | 371,900 | 374,483 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 5/26/16 | Open | 236,931 | 238,595 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 6/01/16 | Open | 354,750 | 357,025 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.90 | % | 6/07/16 | Open | 63,550 | 63,930 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.90 | % | 6/07/16 | Open | 478,800 | 481,637 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 6/29/16 | Open | 170,150 | 171,171 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.00 | % | 7/07/16 | Open | 234,000 | 235,352 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 7/08/16 | Open | 181,770 | 182,749 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 7/13/16 | Open | 128,296 | 128,977 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 7/19/16 | Open | 342,336 | 344,115 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 8/02/16 | Open | 324,675 | 326,226 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 8/02/16 | Open | 2,140,789 | 2,151,672 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 8/19/16 | Open | 494,998 | 497,114 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 8/19/16 | Open | 971,800 | 976,173 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 8/19/16 | Open | 507,000 | 509,282 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 8/19/16 | Open | 312,405 | 313,811 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 8/19/16 | Open | 759,720 | 763,139 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.10 | % | 8/19/16 | Open | 1,020,305 | 1,025,356 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 9/13/16 | Open | 154,400 | 154,966 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 9/19/16 | Open | 476,138 | 477,924 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 9/29/16 | Open | 511,406 | 513,093 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 10/04/16 | Open | 105,210 | 105,540 | Corporate Bonds | Open/Demand |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 27 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
Deutsche Bank Securities, Inc. |
1.10 | % | 10/07/16 | Open | $ | 853,230 | $ | 856,280 | Corporate Bonds | Open/Demand | ||||||||||||||
RBC Capital Markets, LLC |
0.75 | % | 10/11/16 | Open | 43,593 | 43,693 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.05 | % | 10/13/16 | Open | 61,843 | 62,036 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 10/13/16 | Open | 172,480 | 172,993 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.10 | % | 10/14/16 | Open | 619,650 | 621,657 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/19/16 | Open | 515,000 | 515,961 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/19/16 | Open | 1,473,750 | 1,476,501 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/19/16 | Open | 511,250 | 512,204 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/19/16 | Open | 955,000 | 956,783 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/19/16 | Open | 623,750 | 624,914 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/19/16 | Open | 609,000 | 610,137 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/19/16 | Open | 1,462,500 | 1,465,230 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/19/16 | Open | 1,503,750 | 1,506,557 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/19/16 | Open | 1,072,500 | 1,074,502 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/19/16 | Open | 1,087,500 | 1,089,530 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/19/16 | Open | 1,080,000 | 1,082,016 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/19/16 | Open | 992,500 | 994,353 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/19/16 | Open | 513,750 | 514,709 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/19/16 | Open | 950,000 | 951,740 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.05 | % | 10/19/16 | Open | 436,838 | 438,175 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.05 | % | 10/19/16 | Open | 415,188 | 416,459 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.05 | % | 10/19/16 | Open | 270,570 | 271,399 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.05 | % | 10/19/16 | Open | 383,625 | 384,800 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.05 | % | 10/19/16 | Open | 605,625 | 607,480 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.05 | % | 10/19/16 | Open | 1,461,250 | 1,465,725 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.05 | % | 10/19/16 | Open | 387,500 | 388,687 | Corporate Bonds | Open/Demand |
28 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | $ | 304,500 | $ | 305,058 | Corporate Bonds | Open/Demand | ||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 947,250 | 948,985 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 465,750 | 466,603 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 375,000 | 375,687 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 817,500 | 818,997 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 756,000 | 757,384 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 990,000 | 991,813 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 252,500 | 252,962 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 967,500 | 969,272 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 793,125 | 794,577 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 415,000 | 415,760 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 1,010,000 | 1,011,849 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 543,750 | 544,746 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 450,000 | 450,824 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 783,750 | 785,185 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 376,500 | 377,189 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 1,275,000 | 1,277,335 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 745,938 | 747,303 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 716,250 | 717,562 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 759,375 | 760,766 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 950,625 | 952,366 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 982,500 | 984,299 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 1,234,375 | 1,236,635 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 1,022,500 | 1,024,372 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 536,250 | 537,232 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 751,875 | 753,252 | Corporate Bonds | Open/Demand |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 29 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | $ | 503,750 | $ | 504,672 | Corporate Bonds | Open/Demand | ||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 860,625 | 862,201 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 473,625 | 474,492 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 791,250 | 792,699 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 420,000 | 420,769 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 537,500 | 538,484 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 930,000 | 931,703 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 755,625 | 757,009 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 263,900 | 264,383 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/20/16 | Open | 1,030,000 | 1,031,886 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 10/20/16 | Open | 160,950 | 161,375 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.05 | % | 10/20/16 | Open | 249,120 | 249,868 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.05 | % | 10/21/16 | Open | 162,000 | 162,473 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 10/21/16 | Open | 874,650 | 877,055 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 10/25/16 | Open | 446,000 | 446,769 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 10/25/16 | Open | 480,700 | 481,930 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 10/25/16 | Open | 399,840 | 400,863 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 10/25/16 | Open | 364,000 | 364,932 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 10/25/16 | Open | 344,715 | 345,597 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 10/25/16 | Open | 423,300 | 424,384 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 10/25/16 | Open | 435,000 | 436,172 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 10/25/16 | Open | 394,050 | 395,112 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 10/25/16 | Open | 409,640 | 410,744 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 10/25/16 | Open | 360,500 | 361,471 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 10/25/16 | Open | 350,470 | 351,414 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 10/26/16 | Open | 1,569,048 | 1,573,232 | Corporate Bonds | Open/Demand |
30 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 10/27/16 | Open | $ | 114,400 | $ | 114,696 | Corporate Bonds | Open/Demand | ||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 10/27/16 | Open | 1,201,420 | 1,204,524 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 10/28/16 | Open | 132,525 | 132,864 | Corporate Bonds | Open/Demand | ||||||||||||||||
HSBC Securities (USA), Inc. |
0.95 | % | 11/03/16 | Open | 546,000 | 547,239 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 11/04/16 | Open | 358,620 | 359,424 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 11/07/16 | Open | 770,800 | 772,509 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 11/09/16 | Open | 675,000 | 676,709 | Capital Trusts | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.15 | % | 11/10/16 | Open | 488,000 | 489,294 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.15 | % | 11/10/16 | Open | 482,000 | 483,278 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.15 | % | 11/10/16 | Open | 474,000 | 475,257 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.15 | % | 11/10/16 | Open | 538,000 | 539,426 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.15 | % | 11/10/16 | Open | 547,000 | 548,450 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.15 | % | 11/10/16 | Open | 587,000 | 588,556 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.15 | % | 11/10/16 | Open | 615,000 | 616,631 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.15 | % | 11/10/16 | Open | 479,000 | 480,270 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.15 | % | 11/10/16 | Open | 476,000 | 477,262 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.90 | % | 11/10/16 | Open | 528,885 | 529,916 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 11/10/16 | Open | 411,750 | 412,598 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 11/10/16 | Open | 871,080 | 872,967 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 11/10/16 | Open | 86,625 | 86,813 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.75 | % | 11/14/16 | Open | 212,245 | 212,585 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 11/14/16 | Open | 336,000 | 336,683 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 11/16/16 | Open | 849,920 | 852,018 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 11/16/16 | Open | 892,355 | 894,557 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.15 | % | 11/17/16 | Open | 932,000 | 934,263 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.15 | % | 11/17/16 | Open | 1,062,000 | 1,064,578 | Corporate Bonds | Open/Demand |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 31 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 11/18/16 | Open | $ | 183,888 | $ | 184,250 | Corporate Bonds | Open/Demand | ||||||||||||||
Credit Suisse Securities (USA) LLC |
0.50 | % | 11/21/16 | Open | 1,452,500 | 1,451,068 | Open/Demand | |||||||||||||||||
RBC Capital Markets, LLC |
0.64 | % | 11/22/16 | Open | 271,700 | 272,028 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 11/23/16 | Open | 757,000 | 758,699 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 11/23/16 | Open | 960,000 | 962,155 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 11/29/16 | Open | 180,600 | 180,895 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 11/30/16 | Open | 448,000 | 448,905 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 11/30/16 | Open | 725,000 | 726,465 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.75 | % | 12/07/16 | Open | 2,774,638 | 2,778,861 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 12/07/16 | Open | 744,625 | 746,007 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.00 | % | 12/07/16 | Open | 284,610 | 285,037 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.95 | % | 12/12/16 | Open | 312,960 | 313,373 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/14/16 | Open | 765,922 | 767,372 | Corporate Bonds | Open/Demand | ||||||||||||||||
Barclays Capital, Inc. |
0.90 | % | 12/15/16 | Open | 1,350,000 | 1,351,586 | Corporate Bonds | Open/Demand | ||||||||||||||||
Barclays Capital, Inc. |
1.00 | % | 12/15/16 | Open | 3,483,300 | 3,487,848 | Corporate Bonds | Open/Demand | ||||||||||||||||
Barclays Capital, Inc. |
1.20 | % | 12/15/16 | Open | 4,606,250 | 4,613,466 | Corporate Bonds | Open/Demand | ||||||||||||||||
Barclays Capital, Inc. |
1.25 | % | 12/15/16 | Open | 5,902,500 | 5,912,133 | Corporate Bonds | Open/Demand | ||||||||||||||||
Barclays Capital, Inc. |
1.50 | % | 12/15/16 | Open | 240,938 | 241,409 | Corporate Bonds | Open/Demand | ||||||||||||||||
Barclays Capital, Inc. |
1.50 | % | 12/15/16 | Open | 649,440 | 650,712 | Corporate Bonds | Open/Demand | ||||||||||||||||
Barclays Capital, Inc. |
1.50 | % | 12/15/16 | Open | 766,838 | 768,339 | Corporate Bonds | Open/Demand | ||||||||||||||||
Barclays Capital, Inc. |
1.50 | % | 12/15/16 | Open | 2,019,375 | 2,023,330 | Capital Trusts | Open/Demand | ||||||||||||||||
Barclays Capital, Inc. |
1.50 | % | 12/15/16 | Open | 960,563 | 962,444 | Capital Trusts | Open/Demand | ||||||||||||||||
Barclays Capital, Inc. |
1.50 | % | 12/15/16 | Open | 935,900 | 937,733 | Corporate Bonds | Open/Demand | ||||||||||||||||
Credit Suisse Securities (USA) LLC |
1.50 | % | 12/15/16 | Open | 2,788,266 | 2,793,727 | Foreign Agency Obligations | Open/Demand | ||||||||||||||||
Credit Suisse Securities (USA) LLC |
1.50 | % | 12/15/16 | Open | 2,092,544 | 2,096,642 | Foreign Agency Obligations | Open/Demand | ||||||||||||||||
Credit Suisse Securities (USA) LLC |
1.50 | % | 12/15/16 | Open | 385,263 | 386,017 | Foreign Agency Obligations | Open/Demand | ||||||||||||||||
Credit Suisse Securities (USA) LLC |
1.50 | % | 12/15/16 | Open | 400,950 | 401,735 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/15/16 | Open | 71,000 | 71,126 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/15/16 | Open | 515,000 | 515,913 | Corporate Bonds | Open/Demand | ||||||||||||||||
HSBC Securities (USA), Inc. |
1.00 | % | 12/15/16 | Open | 2,753,000 | 2,756,594 | Capital Trusts | Open/Demand | ||||||||||||||||
HSBC Securities (USA), Inc. |
1.00 | % | 12/15/16 | Open | 3,406,000 | 3,410,447 | Corporate Bonds | Open/Demand |
32 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
HSBC Securities (USA), Inc. |
1.30 | % | 12/15/16 | Open | $ | 1,203,000 | $ | 1,205,042 | Corporate Bonds | Open/Demand | ||||||||||||||
UBS Securities LLC |
1.00 | % | 12/16/16 | Open | 5,018,750 | 5,024,884 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.00 | % | 12/16/16 | Open | 4,000,000 | 4,004,889 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.00 | % | 12/16/16 | Open | 6,928,125 | 6,936,593 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.00 | % | 12/16/16 | Open | 8,250,000 | 8,260,083 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.00 | % | 12/16/16 | Open | 5,287,500 | 5,293,963 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 124,000 | 124,189 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 9,612,500 | 9,627,186 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 4,771,613 | 4,778,902 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 1,035,450 | 1,037,032 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 1,549,125 | 1,551,492 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 637,050 | 638,023 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 734,700 | 735,822 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 537,225 | 538,046 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 853,875 | 855,180 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 435,256 | 435,921 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 286,750 | 287,188 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 1,051,986 | 1,053,593 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 695,400 | 696,462 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 19,910 | 19,940 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 471,170 | 471,890 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 4,050,000 | 4,056,188 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 4,090,000 | 4,096,249 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 2,493,750 | 2,497,560 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 4,048,875 | 4,055,061 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 3,062,500 | 3,067,179 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 3,438,950 | 3,444,204 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 3,209,750 | 3,214,654 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 2,553,750 | 2,557,652 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 706,160 | 707,239 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 92,055 | 92,196 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 752,188 | 753,337 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 217,273 | 217,604 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 326,630 | 327,129 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 1,163,661 | 1,165,439 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 808,860 | 810,096 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 432,150 | 432,810 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 544,635 | 545,467 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 418,500 | 419,139 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 1,866,150 | 1,869,001 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 2,141,703 | 2,144,975 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 836,455 | 837,733 | Capital Trusts | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/16/16 | Open | 1,568,875 | 1,571,272 | Corporate Bonds | Open/Demand | ||||||||||||||||
BNP Paribas Securities Corp. |
1.11 | % | 12/19/16 | Open | 7,730,000 | 7,740,249 | Corporate Bonds | Open/Demand | ||||||||||||||||
BNP Paribas Securities Corp. |
1.46 | % | 12/19/16 | Open | 378,000 | 378,659 | Corporate Bonds | Open/Demand | ||||||||||||||||
BNP Paribas Securities Corp. |
1.46 | % | 12/19/16 | Open | 214,000 | 214,373 | Corporate Bonds | Open/Demand | ||||||||||||||||
BNP Paribas Securities Corp. |
1.46 | % | 12/19/16 | Open | 1,566,000 | 1,568,731 | Corporate Bonds | Open/Demand |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 33 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
BNP Paribas Securities Corp. |
1.46 | % | 12/19/16 | Open | $ | 663,000 | $ | 664,156 | Corporate Bonds | Open/Demand | ||||||||||||||
BNP Paribas Securities Corp. |
1.46 | % | 12/19/16 | Open | 1,158,000 | 1,160,019 | Corporate Bonds | Open/Demand | ||||||||||||||||
BNP Paribas Securities Corp. |
1.46 | % | 12/19/16 | Open | 727,000 | 728,268 | Corporate Bonds | Open/Demand | ||||||||||||||||
Credit Suisse Securities (USA) LLC |
1.00 | % | 12/19/16 | Open | 802,424 | 803,360 | Corporate Bonds | Open/Demand | ||||||||||||||||
Credit Suisse Securities (USA) LLC |
1.55 | % | 12/19/16 | Open | 532,988 | 533,951 | Corporate Bonds | Open/Demand | ||||||||||||||||
Credit Suisse Securities (USA) LLC |
1.55 | % | 12/19/16 | Open | 723,531 | 724,840 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 12/19/16 | Open | 496,600 | 497,217 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 212,875 | 213,223 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 316,725 | 317,255 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 488,000 | 488,816 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 276,920 | 277,383 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 817,225 | 818,592 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 208,250 | 208,598 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 187,790 | 188,104 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 1,293,750 | 1,295,913 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 319,800 | 320,335 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 426,720 | 427,434 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 82,250 | 82,388 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 47,450 | 47,529 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 445,050 | 445,794 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 126,325 | 126,536 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 432,450 | 433,173 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 125,400 | 125,610 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 242,875 | 243,281 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 258,000 | 258,431 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 58,500 | 58,598 | Corporate Bonds | Open/Demand |
34 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | $ | 195,383 | $ | 195,709 | Corporate Bonds | Open/Demand | ||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 306,175 | 306,687 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/19/16 | Open | 345,425 | 346,003 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.05 | % | 12/20/16 | Open | 2,430,000 | 2,432,977 | Capital Trusts | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.05 | % | 12/20/16 | Open | 1,892,250 | 1,894,568 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.05 | % | 12/20/16 | Open | 1,742,000 | 1,744,134 | Capital Trusts | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.05 | % | 12/20/16 | Open | 1,944,000 | 1,946,381 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 345,000 | 345,584 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 757,000 | 758,281 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 750,000 | 751,269 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 73,000 | 73,123 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 128,000 | 128,217 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 298,000 | 298,504 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 572,000 | 572,968 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 1,405,000 | 1,407,377 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 1,089,000 | 1,090,842 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 2,425,000 | 2,429,102 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 1,969,000 | 1,972,331 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 696,281 | 697,458 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 296,000 | 296,501 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 2,167,000 | 2,170,666 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 2,038,000 | 2,041,448 | Capital Trusts | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 2,574,776 | 2,579,131 | Capital Trusts | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 1,160,196 | 1,162,158 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 5,529,000 | 5,538,353 | Capital Trusts | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 2,038,000 | 2,041,448 | Corporate Bonds | Open/Demand |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 35 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | $ | 348,000 | $ | 348,589 | Corporate Bonds | Open/Demand | ||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 1,564,000 | 1,566,646 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 2,297,000 | 2,300,886 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 2,018,000 | 2,021,414 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 97,000 | 97,164 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 795,000 | 796,345 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 206,000 | 206,348 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 548,000 | 548,927 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 1,496,000 | 1,498,531 | Capital Trusts | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 2,534,625 | 2,538,913 | Capital Trusts | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 1,820,000 | 1,823,079 | Capital Trusts | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 1,433,250 | 1,435,675 | Capital Trusts | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 293,000 | 293,496 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 431,393 | 432,123 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 585,000 | 585,990 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 1,036,395 | 1,038,148 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 531,090 | 531,988 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 484,000 | 484,799 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 549,000 | 549,929 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 554,835 | 555,774 | Capital Trusts | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 1,439,000 | 1,441,434 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 386,019 | 386,672 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 351,844 | 352,439 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 2,479,699 | 2,483,894 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 618,750 | 619,797 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 228,165 | 228,551 | Corporate Bonds | Open/Demand |
36 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | $ | 626,106 | $ | 627,165 | Corporate Bonds | Open/Demand | ||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 122,000 | 122,206 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 368,000 | 368,623 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 667,590 | 668,719 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 767,340 | 768,638 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 365,000 | 365,617 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 134,622 | 134,850 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 348,000 | 348,589 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 545,625 | 546,548 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 403,000 | 403,682 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 311,000 | 311,526 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 12/20/16 | Open | 366,000 | 366,619 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/20/16 | Open | 417,150 | 417,831 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/20/16 | Open | 443,625 | 444,350 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/20/16 | Open | 482,885 | 483,674 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/20/16 | Open | 439,450 | 440,168 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/20/16 | Open | 927,200 | 928,714 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/20/16 | Open | 432,820 | 433,527 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/20/16 | Open | 1,519,560 | 1,522,042 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/20/16 | Open | 442,900 | 443,623 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/20/16 | Open | 335,325 | 335,873 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/20/16 | Open | 408,250 | 408,917 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/20/16 | Open | 454,005 | 454,747 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/20/16 | Open | 645,150 | 646,204 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
0.25 | % | 12/21/16 | Open | 550,545 | 550,702 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 12/21/16 | Open | 518,475 | 519,089 | Corporate Bonds | Open/Demand |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 37 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 12/21/16 | Open | $ | 1,216,000 | $ | 1,217,440 | Corporate Bonds | Open/Demand | ||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 12/21/16 | Open | 2,187,000 | 2,189,590 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 12/21/16 | Open | 1,405,920 | 1,407,585 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.15 | % | 12/21/16 | Open | 481,000 | 481,630 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 607,050 | 608,018 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 741,400 | 742,582 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 327,000 | 327,521 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 460,350 | 461,084 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 342,100 | 342,645 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 930,315 | 931,798 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 694,875 | 695,983 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 930,388 | 931,871 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 528,598 | 529,440 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 662,025 | 663,081 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 526,050 | 526,889 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 386,100 | 386,716 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 593,175 | 594,121 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 736,000 | 737,174 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 638,400 | 639,418 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 232,313 | 232,683 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 106,600 | 106,770 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 351,750 | 352,311 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 378,750 | 379,354 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 12/21/16 | Open | 312,375 | 312,873 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 12/22/16 | Open | 452,585 | 453,151 | Corporate Bonds | Open/Demand | ||||||||||||||||
Morgan Stanley & Co. LLC |
1.77 | % | 1/03/17 | 2/02/17 | 4,111,563 | 4,117,435 | Asset-Backed Securities | Up to 30 Days |
38 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
BNP Paribas Securities Corp. |
1.77 | % | 1/03/17 | 2/03/17 | $ | 1,073,000 | $ | 1,074,424 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||
BNP Paribas Securities Corp. |
1.77 | % | 1/03/17 | 2/03/17 | 827,000 | 828,098 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
BNP Paribas Securities Corp. |
1.77 | % | 1/03/17 | 2/03/17 | 824,000 | 825,094 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
BNP Paribas Securities Corp. |
1.77 | % | 1/03/17 | 2/03/17 | 1,116,000 | 1,117,481 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
BNP Paribas Securities Corp. |
1.77 | % | 1/03/17 | 2/03/17 | 827,000 | 828,098 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
BNP Paribas Securities Corp. |
1.92 | % | 1/03/17 | 2/03/17 | 797,000 | 798,148 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
BNP Paribas Securities Corp. |
1.92 | % | 1/03/17 | 2/03/17 | 809,000 | 810,165 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
BNP Paribas Securities Corp. |
1.92 | % | 1/03/17 | 2/03/17 | 1,352,000 | 1,353,947 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
BNP Paribas Securities Corp. |
1.92 | % | 1/03/17 | 2/03/17 | 781,000 | 782,125 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
BNP Paribas Securities Corp. |
1.92 | % | 1/03/17 | 2/03/17 | 983,000 | 984,416 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
BNP Paribas Securities Corp. |
1.92 | % | 1/03/17 | 2/03/17 | 1,612,000 | 1,614,321 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
BNP Paribas Securities Corp. |
1.92 | % | 1/03/17 | 2/03/17 | 998,000 | 999,437 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
BNP Paribas Securities Corp. |
1.92 | % | 1/03/17 | 2/03/17 | 794,000 | 795,143 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
BNP Paribas Securities Corp. |
1.92 | % | 1/03/17 | 2/03/17 | 807,000 | 808,162 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
BNP Paribas Securities Corp. |
1.92 | % | 1/03/17 | 2/03/17 | 1,010,000 | 1,011,454 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
BNP Paribas Securities Corp. |
1.92 | % | 1/03/17 | 2/03/17 | 798,000 | 799,149 | Asset-Backed Securities | Up to 30 Days | ||||||||||||||||
Barclays Capital, Inc. |
2.27 | % | 1/03/17 | 2/06/17 | 7,629,697 | 7,642,705 | Corporate Bonds | Open/Demand | ||||||||||||||||
JPMorgan Securities LLC |
2.12 | % | 1/05/17 | 2/03/17 | 2,677,000 | 2,681,090 | Corporate Bonds | Open/Demand | ||||||||||||||||
Credit Suisse Securities (USA) LLC |
1.50 | % | 1/06/17 | Open | 5,470,993 | 5,476,236 | Foreign Agency Obligations | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 1/06/17 | Open | 1,242,000 | 1,243,151 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 1/06/17 | Open | 730,000 | 730,676 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 1/06/17 | Open | 718,000 | 718,665 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 463,750 | 464,058 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 382,193 | 382,446 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 440,000 | 440,292 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 267,000 | 267,177 | Corporate Bonds | Open/Demand |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 39 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | $ | 357,825 | $ | 358,063 | Corporate Bonds | Open/Demand | ||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 353,350 | 353,585 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 729,375 | 729,860 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 290,625 | 290,818 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 300,800 | 301,000 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 442,500 | 442,794 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 287,250 | 287,441 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 482,500 | 482,821 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 508,750 | 509,088 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 503,750 | 504,085 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 240,625 | 240,785 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 644,000 | 644,428 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 411,000 | 411,273 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 1,017,500 | 1,018,176 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/06/17 | Open | 253,125 | 253,293 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/06/17 | Open | 250,965 | 251,189 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 1/09/17 | Open | 44,000 | 44,041 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/09/17 | Open | 764,660 | 765,284 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 1/10/17 | Open | 170,000 | 170,137 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.00 | % | 1/11/17 | Open | 517,000 | 516,713 | Open/Demand | |||||||||||||||||
UBS Securities LLC |
1.25 | % | 1/11/17 | Open | 677,740 | 678,187 | Corporate Bonds | Open/Demand | ||||||||||||||||
Citigroup Global Markets |
0.25 | % | 1/12/17 | Open | 1,213,600 | 1,213,431 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/12/17 | Open | 164,640 | 164,736 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/13/17 | Open | 811,440 | 811,882 | Corporate Bonds | Open/Demand | ||||||||||||||||
JPMorgan Securities LLC |
1.00 | % | 1/17/17 | 2/01/17 | 4,735,000 | 4,736,841 | Non-Agency Mortgage-Backed Securities | Up to 30 Days |
40 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/17/17 | Open | $ | 673,200 | $ | 673,593 | Corporate Bonds | Open/Demand | ||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/17/17 | Open | 670,320 | 670,711 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/17/17 | Open | 1,733,888 | 1,734,899 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/17/17 | Open | 502,848 | 503,141 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/18/17 | Open | 537,600 | 537,893 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/18/17 | Open | 1,449,000 | 1,449,789 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/18/17 | Open | 693,504 | 693,882 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/18/17 | Open | 687,608 | 687,982 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/18/17 | Open | 1,288,064 | 1,288,765 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/18/17 | Open | 819,400 | 819,846 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/18/17 | Open | 653,808 | 654,164 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/18/17 | Open | 1,575,040 | 1,575,898 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/18/17 | Open | 736,800 | 737,144 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 1/19/17 | Open | 410,000 | 410,149 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 1/20/17 | Open | 174,000 | 174,056 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/20/17 | Open | 403,760 | 403,948 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/20/17 | Open | 2,396,192 | 2,397,310 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/20/17 | Open | 955,296 | 955,742 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/20/17 | Open | 888,216 | 888,631 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/20/17 | Open | 441,840 | 442,046 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/20/17 | Open | 358,904 | 359,071 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/20/17 | Open | 361,088 | 361,257 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/20/17 | Open | 475,992 | 476,214 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/20/17 | Open | 434,248 | 434,451 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/20/17 | Open | 412,824 | 412,952 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/20/17 | Open | 1,432,088 | 1,432,534 | Corporate Bonds | Open/Demand |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 41 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (continued)
|
||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 | |||||||||||||||||
UBS Securities LLC |
1.25 | % | 1/20/17 | Open | $ | 3,779,063 | $ | 3,780,112 | Corporate Bonds | Open/Demand | ||||||||||||||
UBS Securities LLC |
1.25 | % | 1/20/17 | Open | 324,809 | 324,998 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/23/17 | Open | 569,080 | 569,235 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/23/17 | Open | 238,850 | 238,924 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.05 | % | 1/23/17 | Open | 325,800 | 325,867 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 1/24/17 | Open | 538,328 | 538,458 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 1/24/17 | Open | 296,843 | 296,904 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 1/24/17 | Open | 277,038 | 277,095 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/25/17 | Open | 211,200 | 211,241 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 1/26/17 | Open | 43,522 | 43,525 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 1/26/17 | Open | 885,366 | 885,437 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 1/26/17 | Open | 685,438 | 685,493 | Corporate Bonds | Open/Demand | ||||||||||||||||
HSBC Securities (USA), Inc. |
1.25 | % | 1/26/17 | Open | 270,000 | 270,019 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 1/26/17 | Open | 1,263,244 | 1,263,331 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 1/27/17 | Open | 495,000 | 495,020 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/27/17 | Open | 17,200 | 17,201 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/27/17 | Open | 328,700 | 328,713 | Corporate Bonds | Open/Demand | ||||||||||||||||
UBS Securities LLC |
1.25 | % | 1/27/17 | Open | 363,715 | 363,728 | Corporate Bonds | Open/Demand | ||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 1/30/17 | Open | 974,630 | 974,630 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.04 | % | 1/30/17 | Open | 189,654 | 189,654 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 286,440 | 286,440 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 167,232 | 167,232 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 323,840 | 323,840 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 927,350 | 927,422 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 201,300 | 201,316 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 202,230 | 202,246 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 336,550 | 336,576 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 404,513 | 404,544 | Corporate Bonds | Open/Demand | ||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 221,650 | 221,667 | Corporate Bonds | Open/Demand |
42 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Reverse Repurchase Agreements (concluded)
|
||||||||||||||||||||||||||||
Counterparty | Interest Rate |
Trade Date |
Maturity Date1 |
Face Value | Face Value Including Accrued Interest |
Type of Non-Cash Underlying Collateral |
Remaining of the Agreements1 |
|||||||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | $ | 399,500 | $ | 399,531 | Corporate Bonds | Open/Demand | ||||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 198,600 | 198,615 | Corporate Bonds | Open/Demand | ||||||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 107,085 | 107,093 | Corporate Bonds | Open/Demand | ||||||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 2,391,450 | 2,391,636 | Corporate Bonds | Open/Demand | ||||||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 305,440 | 305,464 | Corporate Bonds | Open/Demand | ||||||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 118,990 | 118,999 | Corporate Bonds | Open/Demand | ||||||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 184,110 | 184,124 | Corporate Bonds | Open/Demand | ||||||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 270,825 | 270,846 | Corporate Bonds | Open/Demand | ||||||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/30/17 | Open | 331,403 | 331,428 | Corporate Bonds | Open/Demand | ||||||||||||||||||||
Barclays Capital, Inc. |
2.25 | % | 1/31/17 | Open | 390,000 | 390,000 | Corporate Bonds | Open/Demand | ||||||||||||||||||||
Deutsche Bank Securities, Inc. |
1.40 | % | 1/31/17 | Open | 1,595,000 | 1,595,000 | Corporate Bonds | Open/Demand | ||||||||||||||||||||
Deutsche Bank Securities, Inc. |
1.45 | % | 1/31/17 | Open | 1,595,000 | 1,595,000 | Corporate Bonds | Open/Demand | ||||||||||||||||||||
RBC Capital Markets, LLC |
1.40 | % | 1/31/17 | Open | 191,774 | 191,774 | Corporate Bonds | Open/Demand | ||||||||||||||||||||
Total |
|
$ | 432,604,278 | $ | 433,313,573 | |||||||||||||||||||||||
|
|
|||||||||||||||||||||||||||
1 Certain agreements have no stated maturity and can be terminated by either party at any time. |
|
Derivative Financial Instruments Outstanding as of Period End |
Futures Contracts
|
||||||||||||||||
Contracts Long (Short) |
Issue | Expiration | Notional Value | Unrealized Appreciation (Depreciation) |
||||||||||||
(41 | ) | 2-Year U.S. Treasury Note | March 2017 | $ | 8,888,672 | $ | (13,719 | ) | ||||||||
(1 | ) | 5-Year U.S. Treasury Note | March 2017 | $ | 117,867 | (88 | ) | |||||||||
(41 | ) | 10-Year U.S. Treasury Note | March 2017 | $ | 5,103,219 | (12,025 | ) | |||||||||
(40 | ) | Euro BOBL | March 2017 | $ | 5,740,348 | 14,529 | ||||||||||
(17 | ) | Euro Bund Futures | March 2017 | $ | 2,975,328 | 7,327 | ||||||||||
(77 | ) | Long U.S. Treasury Bond | March 2017 | $ | 11,614,969 | 71,912 | ||||||||||
(95 | ) | Ultra U.S. Treasury Bond | March 2017 | $ | 15,265,312 | 131,008 | ||||||||||
26 | 90 Day Euro Future | December 2017 | $ | 6,402,500 | 8,090 | |||||||||||
(56 | ) | 90 Day Euro Future | September 2018 | $ | 13,740,300 | 1,674 | ||||||||||
(26) | 90 Day Euro Future | December 2018 | $ | 6,371,625 | (11,085 | ) | ||||||||||
Total |
$ | 197,623 | ||||||||||||||
|
|
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 43 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Forward Foreign Currency Exchange Contracts
Currency Purchased |
Currency Sold |
Counterparty | Settlement Date |
Unrealized Appreciation (Depreciation) |
||||||||||||||||
BRL | 2,289,750 | USD | 710,000 | Goldman Sachs International | 2/01/17 | $ | 16,651 | |||||||||||||
BRL | 2,042,590 | USD | 652,251 | Goldman Sachs International | 2/01/17 | (4,036 | ) | |||||||||||||
BRL | 1,042,530 | USD | 310,000 | Goldman Sachs International | 2/01/17 | 20,846 | ||||||||||||||
BRL | 1,047,800 | USD | 310,000 | Morgan Stanley & Co. International PLC | 2/01/17 | 22,519 | ||||||||||||||
BRL | 1,124,143 | USD | 358,968 | Royal Bank of Scotland PLC | 2/01/17 | (2,221 | ) | |||||||||||||
BRL | 1,407,560 | USD | 449,470 | Royal Bank of Scotland PLC | 2/01/17 | (2,781 | ) | |||||||||||||
BRL | 1,393,304 | USD | 440,000 | Royal Bank of Scotland PLC | 2/01/17 | 2,164 | ||||||||||||||
BRL | 1,149,668 | USD | 367,118 | UBS AG | 2/01/17 | (2,272 | ) | |||||||||||||
USD | 620,000 | BRL | 2,042,590 | Goldman Sachs International | 2/01/17 | (28,215 | ) | |||||||||||||
USD | 332,907 | BRL | 1,042,530 | Goldman Sachs International | 2/01/17 | 2,060 | ||||||||||||||
USD | 731,176 | BRL | 2,289,750 | Goldman Sachs International | 2/01/17 | 4,525 | ||||||||||||||
USD | 334,589 | BRL | 1,047,800 | Morgan Stanley & Co. International PLC | 2/01/17 | 2,071 | ||||||||||||||
USD | 440,000 | BRL | 1,407,560 | Royal Bank of Scotland PLC | 2/01/17 | (6,688 | ) | |||||||||||||
USD | 355,000 | BRL | 1,124,143 | Royal Bank of Scotland PLC | 2/01/17 | (1,746 | ) | |||||||||||||
USD | 444,918 | BRL | 1,393,304 | Royal Bank of Scotland PLC | 2/01/17 | 2,753 | ||||||||||||||
USD | 355,000 | BRL | 1,149,668 | UBS AG | 2/01/17 | (9,846 | ) | |||||||||||||
USD | 232,733 | TRY | 877,465 | Goldman Sachs International | 2/01/17 | 178 | ||||||||||||||
USD | 355,941 | TRY | 1,341,992 | Goldman Sachs International | 2/01/17 | 273 | ||||||||||||||
USD | 446,638 | TRY | 1,683,944 | Goldman Sachs International | 2/01/17 | 341 | ||||||||||||||
USD | 331,240 | TRY | 1,250,598 | Goldman Sachs International | 2/01/17 | (206 | ) | |||||||||||||
BRL | 2,289,436 | USD | 732,151 | Goldman Sachs International | 2/02/17 | (5,600 | ) | |||||||||||||
BRL | 2,255,616 | USD | 712,000 | Royal Bank of Scotland PLC | 2/02/17 | 3,819 | ||||||||||||||
USD | 712,000 | BRL | 2,289,436 | Goldman Sachs International | 2/02/17 | (14,551 | ) | |||||||||||||
USD | 721,335 | BRL | 2,255,616 | Royal Bank of Scotland PLC | 2/02/17 | 5,517 | ||||||||||||||
EUR | 2,830,000 | USD | 3,019,822 | Citibank N.A. | 2/03/17 | 35,263 | ||||||||||||||
EUR | 13,488,000 | USD | 14,392,708 | Citibank N.A. | 2/03/17 | 168,067 | ||||||||||||||
GBP | 21,362,000 | USD | 26,722,559 | Citibank N.A. | 2/03/17 | 151,219 | ||||||||||||||
GBP | 1,373,000 | USD | 1,717,539 | Citibank N.A. | 2/03/17 | 9,719 | ||||||||||||||
GBP | 10,400,000 | USD | 12,785,458 | Northern Trust Co. | 2/03/17 | 297,927 | ||||||||||||||
MXN | 12,802,911 | USD | 680,000 | Citibank N.A. | 2/03/17 | (66,140 | ) | |||||||||||||
MXN | 15,859,891 | USD | 765,686 | Citibank N.A. | 2/03/17 | (5,254 | ) | |||||||||||||
MXN | 115,415,612 | USD | 5,574,314 | JPMorgan Chase Bank N.A. | 2/03/17 | (40,494 | ) | |||||||||||||
USD | 928,876 | EUR | 880,778 | Bank of America N.A. | 2/03/17 | (21,955 | ) | |||||||||||||
USD | 2,962,175 | EUR | 2,830,000 | Citibank N.A. | 2/03/17 | (92,910 | ) | |||||||||||||
USD | 14,117,957 | EUR | 13,488,000 | Citibank N.A. | 2/03/17 | (442,817 | ) | |||||||||||||
USD | 981,617 | EUR | 930,774 | Northern Trust Co. | 2/03/17 | (23,187 | ) | |||||||||||||
USD | 26,188,530 | GBP | 21,362,000 | Citibank N.A. | 2/03/17 | (685,248 | ) | |||||||||||||
USD | 1,683,216 | GBP | 1,373,000 | Citibank N.A. | 2/03/17 | (44,043 | ) | |||||||||||||
USD | 714,633 | GBP | 585,000 | Royal Bank of Scotland PLC | 2/03/17 | (21,307 | ) | |||||||||||||
USD | 1,690,000 | MXN | 34,624,816 | Citibank N.A. | 2/03/17 | 29,847 | ||||||||||||||
USD | 376,911 | MXN | 7,731,714 | Goldman Sachs International | 2/03/17 | 6,199 | ||||||||||||||
USD | 1,020,000 | MXN | 18,744,989 | HSBC Bank PLC | 2/03/17 | 121,236 | ||||||||||||||
USD | 4,310,000 | MXN | 82,976,896 | JPMorgan Chase Bank N.A. | 2/03/17 | 331,515 | ||||||||||||||
EUR | 208,290 | USD | 218,750 | Citibank N.A. | 2/06/17 | 6,128 | ||||||||||||||
TRY | 2,278,228 | USD | 610,000 | BNP Paribas S.A. | 2/06/17 | (7,045 | ) | |||||||||||||
USD | 646,004 | CNH | 4,549,496 | HSBC Bank PLC | 2/06/17 | (20,378 | ) | |||||||||||||
USD | 232,137 | EUR | 208,290 | Morgan Stanley & Co. International PLC | 2/06/17 | 7,258 | ||||||||||||||
USD | 528,667 | TRY | 1,926,858 | BNP Paribas S.A. | 2/06/17 | 18,705 | ||||||||||||||
USD | 81,333 | TRY | 296,440 | JPMorgan Chase Bank N.A. | 2/06/17 | 2,878 |
44 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Forward Foreign Currency Exchange Contracts (continued)
Currency Purchased |
Currency Sold |
Counterparty | Settlement Date |
Unrealized Appreciation (Depreciation) |
||||||||||||||||
BRL | 4,074,083 | USD | 1,173,546 | Goldman Sachs International | 2/07/17 | $ | 117,533 | |||||||||||||
MXN | 7,044,188 | USD | 340,000 | Deutsche Bank AG | 2/07/17 | (2,441 | ) | |||||||||||||
MXN | 12,999,405 | USD | 610,000 | Goldman Sachs International | 2/07/17 | 12,934 | ||||||||||||||
MXN | 7,055,680 | USD | 340,000 | UBS AG | 2/07/17 | (1,891 | ) | |||||||||||||
USD | 383,373 | BRL | 1,279,891 | Goldman Sachs International | 2/07/17 | (22,225 | ) | |||||||||||||
USD | 2,191,982 | BRL | 7,212,717 | State Street Bank and Trust Co. | 2/07/17 | (93,732 | ) | |||||||||||||
USD | 610,000 | MXN | 12,988,425 | Goldman Sachs International | 2/07/17 | (12,408 | ) | |||||||||||||
USD | 680,000 | MXN | 13,997,120 | Goldman Sachs International | 2/07/17 | 9,255 | ||||||||||||||
GBP | 408,000 | USD | 503,046 | Bank of America N.A. | 2/09/17 | 10,271 | ||||||||||||||
MXN | 2,629,345 | USD | 121,500 | BNP Paribas S.A. | 2/09/17 | 4,464 | ||||||||||||||
MXN | 5,856,570 | USD | 270,000 | Citibank N.A. | 2/09/17 | 10,570 | ||||||||||||||
MXN | 3,220,692 | USD | 148,500 | Deutsche Bank AG | 2/09/17 | 5,793 | ||||||||||||||
USD | 502,179 | GBP | 408,000 | Citibank N.A. | 2/09/17 | (11,138 | ) | |||||||||||||
USD | 540,000 | KRW | 640,170,000 | Nomura International PLC | 2/09/17 | (15,896 | ) | |||||||||||||
USD | 201,872 | MXN | 4,371,450 | Deutsche Bank AG | 2/09/17 | (7,551 | ) | |||||||||||||
USD | 628 | MXN | 13,570 | Goldman Sachs International | 2/09/17 | (22 | ) | |||||||||||||
USD | 337,500 | MXN | 7,294,418 | JPMorgan Chase Bank N.A. | 2/09/17 | (11,952 | ) | |||||||||||||
ZAR | 186,603 | USD | 13,654 | BNP Paribas S.A. | 2/09/17 | 178 | ||||||||||||||
ZAR | 4,847,840 | USD | 355,000 | Citibank N.A. | 2/09/17 | 4,343 | ||||||||||||||
ZAR | 4,666,680 | USD | 341,346 | Deutsche Bank AG | 2/09/17 | 4,568 | ||||||||||||||
JPY | 47,458,853 | USD | 410,000 | HSBC Bank PLC | 2/10/17 | 10,402 | ||||||||||||||
MXN | 10,177,680 | USD | 480,000 | Goldman Sachs International | 2/13/17 | 7,300 | ||||||||||||||
RUB | 140,940,485 | USD | 2,338,000 | JPMorgan Chase Bank N.A. | 2/13/17 | 2,327 | ||||||||||||||
TWD | 26,796,000 | USD | 840,000 | Standard Chartered Bank | 2/13/17 | 20,738 | ||||||||||||||
USD | 654,509 | EUR | 620,000 | Morgan Stanley & Co. International PLC | 2/13/17 | (15,038 | ) | |||||||||||||
USD | 480,000 | MXN | 10,451,760 | Goldman Sachs International | 2/13/17 | (20,423 | ) | |||||||||||||
USD | 2,338,000 | RUB | 141,823,080 | Deutsche Bank AG | 2/13/17 | (16,982 | ) | |||||||||||||
USD | 440,000 | TWD | 13,860,000 | Nomura International PLC | 2/13/17 | (5,209 | ) | |||||||||||||
USD | 400,000 | TWD | 12,598,000 | Nomura International PLC | 2/13/17 | (4,671 | ) | |||||||||||||
EUR | 111,546 | USD | 121,995 | BNP Paribas S.A. | 2/14/17 | (1,531 | ) | |||||||||||||
EUR | 296,662 | USD | 319,330 | Citibank N.A. | 2/14/17 | 1,051 | ||||||||||||||
EUR | 19,642 | USD | 21,190 | Goldman Sachs International | 2/14/17 | 22 | ||||||||||||||
EUR | 54,413 | USD | 57,730 | Goldman Sachs International | 2/14/17 | 1,034 | ||||||||||||||
EUR | 201,163 | USD | 216,632 | UBS AG | 2/14/17 | 615 | ||||||||||||||
EUR | 101,057 | USD | 108,827 | UBS AG | 2/14/17 | 309 | ||||||||||||||
EUR | 2,155 | USD | 2,298 | UBS AG | 2/14/17 | 29 | ||||||||||||||
MXN | 6,342,183 | USD | 300,000 | Citibank N.A. | 2/14/17 | 3,615 | ||||||||||||||
MXN | 618,599 | USD | 29,250 | Citibank N.A. | 2/14/17 | 364 | ||||||||||||||
MXN | 2,557,807 | USD | 120,750 | HSBC Bank PLC | 2/14/17 | 1,698 | ||||||||||||||
USD | 31,611 | ARS | 501,028 | BNP Paribas S.A. | 2/14/17 | 284 | ||||||||||||||
USD | 218,821 | EUR | 208,290 | Citibank N.A. | 2/14/17 | (6,123 | ) | |||||||||||||
USD | 1,373,810 | EUR | 1,238,439 | Citibank N.A. | 2/14/17 | 36,352 | ||||||||||||||
USD | 439,094 | EUR | 417,951 | HSBC Bank PLC | 2/14/17 | (12,273 | ) | |||||||||||||
USD | 298,714 | EUR | 269,171 | Morgan Stanley & Co. International PLC | 2/14/17 | 8,022 | ||||||||||||||
USD | 31,611 | ARS | 521,575 | BNP Paribas S.A. | 2/15/17 | (984 | ) | |||||||||||||
ARS | 275,570 | USD | 16,611 | BNP Paribas S.A. | 2/17/17 | 593 | ||||||||||||||
CAD | 1,883,053 | GBP | 1,150,000 | Bank of America N.A. | 2/17/17 | 263 | ||||||||||||||
CAD | 1,173,674 | GBP | 725,000 | Deutsche Bank AG | 2/17/17 | (10,186 | ) | |||||||||||||
GBP | 1,875,000 | CAD | 3,070,328 | Citibank N.A. | 2/17/17 | (531 | ) | |||||||||||||
GBP | 187,569 | USD | 231,274 | Goldman Sachs International | 2/17/17 | 4,746 | ||||||||||||||
INR | 28,571,424 | USD | 418,200 | Deutsche Bank AG | 2/17/17 | 4,417 |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 45 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
Forward Foreign Currency Exchange Contracts (continued)
Currency Purchased |
Currency Sold |
Counterparty | Settlement Date |
Unrealized Appreciation (Depreciation) |
||||||||||||||||
JPY | 31,151,285 | USD | 268,000 | HSBC Bank PLC | 2/17/17 | $ | 8,000 | |||||||||||||
TWD | 19,659,654 | USD | 630,000 | JPMorgan Chase Bank N.A. | 2/17/17 | 1,602 | ||||||||||||||
USD | 31,611 | ARS | 535,800 | Citibank N.A. | 2/17/17 | (1,839 | ) | |||||||||||||
USD | 224,969 | GBP | 184,843 | Citibank N.A. | 2/17/17 | (7,622 | ) | |||||||||||||
USD | 3,396 | GBP | 2,726 | Deutsche Bank AG | 2/17/17 | (34 | ) | |||||||||||||
USD | 418,200 | INR | 28,598,607 | Nomura International PLC | 2/17/17 | (4,819 | ) | |||||||||||||
USD | 429,000 | KRW | 516,614,670 | Nomura International PLC | 2/17/17 | (19,628 | ) | |||||||||||||
USD | 630,000 | TWD | 20,204,100 | Standard Chartered Bank | 2/17/17 | (19,093 | ) | |||||||||||||
USD | 275,515 | ZAR | 3,765,749 | Citibank N.A. | 2/17/17 | (3,222 | ) | |||||||||||||
USD | 343,938 | ZAR | 4,676,559 | Deutsche Bank AG | 2/17/17 | (2,216 | ) | |||||||||||||
USD | 91,485 | ZAR | 1,250,449 | Goldman Sachs International | 2/17/17 | (1,072 | ) | |||||||||||||
USD | 8,805 | ZAR | 119,591 | Goldman Sachs International | 2/17/17 | (47 | ) | |||||||||||||
USD | 13,758 | ZAR | 186,855 | JPMorgan Chase Bank N.A. | 2/17/17 | (73 | ) | |||||||||||||
USD | 366,500 | ZAR | 5,012,318 | Royal Bank of Scotland PLC | 2/17/17 | (4,507 | ) | |||||||||||||
ZAR | 9,563,952 | USD | 690,000 | BNP Paribas S.A. | 2/17/17 | 17,914 | ||||||||||||||
ZAR | 4,806,445 | USD | 355,000 | BNP Paribas S.A. | 2/17/17 | 768 | ||||||||||||||
ZAR | 744,419 | USD | 55,000 | Goldman Sachs International | 2/17/17 | 101 | ||||||||||||||
ARS | 181,170 | USD | 11,000 | BNP Paribas S.A. | 2/21/17 | 287 | ||||||||||||||
ARS | 247,050 | USD | 15,000 | JPMorgan Chase Bank N.A. | 2/21/17 | 391 | ||||||||||||||
TRY | 15,102,000 | USD | 3,956,718 | Citibank N.A. | 2/21/17 | 23,691 | ||||||||||||||
TRY | 15,102,000 | USD | 3,948,751 | Royal Bank of Scotland PLC | 2/21/17 | 31,658 | ||||||||||||||
USD | 5,319,816 | TRY | 20,255,998 | Goldman Sachs International | 2/21/17 | (19,024 | ) | |||||||||||||
EUR | 1,229,000 | RUB | 78,877,220 | BNP Paribas S.A. | 2/22/17 | 19,106 | ||||||||||||||
RUB | 79,454,850 | EUR | 1,229,000 | Societe Generale | 2/22/17 | (9,523 | ) | |||||||||||||
CAD | 586,769 | USD | 450,000 | Deutsche Bank AG | 2/24/17 | 1,026 | ||||||||||||||
TRY | 15,102,000 | USD | 3,984,697 | Citibank N.A. | 2/24/17 | (7,561 | ) | |||||||||||||
USD | 450,000 | CAD | 596,852 | HSBC Bank PLC | 2/24/17 | (8,775 | ) | |||||||||||||
USD | 3,872,804 | TRY | 15,102,000 | Royal Bank of Scotland PLC | 2/24/17 | (104,331 | ) | |||||||||||||
TRY | 1,254,491 | USD | 330,000 | Goldman Sachs International | 2/27/17 | 101 | ||||||||||||||
USD | 215,000 | CLP | 140,556,250 | BNP Paribas S.A. | 2/27/17 | (1,336 | ) | |||||||||||||
USD | 437,000 | CLP | 285,723,710 | Citibank N.A. | 2/27/17 | (2,769 | ) | |||||||||||||
BRL | 1,132,752 | USD | 355,000 | Royal Bank of Scotland PLC | 3/02/17 | 1,924 | ||||||||||||||
USD | 440,000 | BRL | 1,403,974 | Royal Bank of Scotland PLC | 3/02/17 | (2,385 | ) | |||||||||||||
USD | 712,000 | BRL | 2,271,885 | Royal Bank of Scotland PLC | 3/02/17 | (3,859 | ) | |||||||||||||
GBP | 10,400,000 | USD | 12,706,210 | Citibank N.A. | 3/03/17 | 383,726 | ||||||||||||||
USD | 986,560 | EUR | 930,774 | Citibank N.A. | 3/03/17 | (19,300 | ) | |||||||||||||
USD | 933,567 | EUR | 880,778 | Citibank N.A. | 3/03/17 | (18,263 | ) | |||||||||||||
USD | 14,407,747 | EUR | 13,488,000 | Citibank N.A. | 3/03/17 | (168,334 | ) | |||||||||||||
USD | 3,022,978 | EUR | 2,830,000 | Citibank N.A. | 3/03/17 | (35,319 | ) | |||||||||||||
USD | 714,724 | GBP | 585,000 | Citibank N.A. | 3/03/17 | (21,585 | ) | |||||||||||||
USD | 1,718,371 | GBP | 1,373,000 | Citibank N.A. | 3/03/17 | (9,752 | ) | |||||||||||||
USD | 26,735,504 | GBP | 21,362,000 | Citibank N.A. | 3/03/17 | (151,728 | ) | |||||||||||||
USD | 117,340 | GBP | 93,000 | Deutsche Bank AG | 3/03/17 | 286 | ||||||||||||||
USD | 646,004 | CNH | 4,451,398 | HSBC Bank PLC | 3/06/17 | (3,164 | ) | |||||||||||||
TRY | 1,075,476 | USD | 285,833 | BNP Paribas S.A. | 3/10/17 | (3,683 | ) | |||||||||||||
TRY | 767,856 | USD | 204,167 | Goldman Sachs International | 3/10/17 | (2,720 | ) | |||||||||||||
USD | 490,000 | TRY | 1,853,278 | BNP Paribas S.A. | 3/10/17 | 3,793 | ||||||||||||||
USD | 235,491 | MXN | 5,063,997 | JPMorgan Chase Bank N.A. | 3/23/17 | (5,641 | ) | |||||||||||||
ARS | 325,260 | USD | 19,500 | BNP Paribas S.A. | 3/29/17 | 442 | ||||||||||||||
USD | 19,500 | ARS | 333,060 | BNP Paribas S.A. | 3/29/17 | (920 | ) | |||||||||||||
MXN | 6,591,155 | USD | 300,000 | Goldman Sachs International | 4/06/17 | 13,213 | ||||||||||||||
MXN | 6,445,174 | USD | 300,000 | Goldman Sachs International | 4/06/17 | 6,276 | ||||||||||||||
USD | 300,000 | MXN | 6,388,500 | Goldman Sachs International | 4/06/17 | (3,583 | ) |
46 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
Forward Foreign Currency Exchange Contracts (concluded)
Currency Purchased |
Currency Sold |
Counterparty | Settlement Date |
Unrealized Appreciation (Depreciation) |
||||||||||||||||
USD | 2,816,406 | PLN | 11,674,283 | BNP Paribas S.A. | 4/11/17 | $ | (95,774 | ) | ||||||||||||
USD | 1,107,609 | PLN | 4,632,093 | HSBC Bank PLC | 4/11/17 | (47,878 | ) | |||||||||||||
USD | 3,900 | ARS | 66,885 | Citibank N.A. | 4/12/17 | (174 | ) | |||||||||||||
USD | 22,100 | ARS | 379,899 | Citibank N.A. | 4/12/17 | (1,041 | ) | |||||||||||||
USD | 979,532 | RUB | 59,242,124 | Credit Suisse International | 4/18/17 | 9,921 | ||||||||||||||
USD | 347,071 | RUB | 21,122,724 | Credit Suisse International | 4/18/17 | 1,357 | ||||||||||||||
USD | 476,978 | RUB | 29,160,033 | Credit Suisse International | 4/18/17 | (282 | ) | |||||||||||||
USD | 476,393 | RUB | 29,160,033 | Credit Suisse International | 4/18/17 | (867 | ) | |||||||||||||
USD | 442,784 | RUB | 26,774,049 | HSBC Bank PLC | 4/18/17 | 4,575 | ||||||||||||||
USD | 356,050 | RUB | 21,457,363 | Morgan Stanley & Co. International PLC | 4/18/17 | 4,859 | ||||||||||||||
TRY | 15,102,000 | USD | 3,745,350 | Royal Bank of Scotland PLC | 6/19/17 | 110,945 | ||||||||||||||
TRY | 15,102,000 | USD | 3,752,423 | Royal Bank of Scotland PLC | 6/19/17 | 103,872 | ||||||||||||||
USD | 3,834,649 | TRY | 15,102,000 | Citibank N.A. | 6/19/17 | (21,645 | ) | |||||||||||||
USD | 3,828,913 | TRY | 15,102,000 | Royal Bank of Scotland PLC | 6/19/17 | (27,382 | ) | |||||||||||||
USD | 3,852,944 | TRY | 15,102,000 | Citibank N.A. | 6/28/17 | 5,895 | ||||||||||||||
USD | 362,400 | ARS | 6,468,840 | BNP Paribas S.A. | 7/28/17 | (11,453 | ) | |||||||||||||
Total | $ | (386,873 | ) | |||||||||||||||||
|
|
OTC Options Purchased
|
||||||||||||||||||||||||
Description | Put/ Call |
Counterparty | Expiration Date |
Strike Price |
Notional Amount (000) |
Value | ||||||||||||||||||
USD Currency |
Call | Morgan Stanley & Co. International PLC | 02/17/17 | BRL | 3.50 | USD | 890 | $ | 31 | |||||||||||||||
USD Currency |
Call | Citibank N.A. | 02/22/17 | CAD | 1.36 | USD | 1,386 | 762 | ||||||||||||||||
USD Currency |
Call | Morgan Stanley & Co. International PLC | 03/02/17 | BRL | 3.40 | USD | 670 | 1,355 | ||||||||||||||||
USD Currency |
Call | JPMorgan Chase Bank N.A. | 03/03/17 | TRY | 3.65 | USD | 890 | 41,316 | ||||||||||||||||
USD Currency |
Call | HSBC Bank PLC | 03/10/17 | CNH | 6.92 | USD | 820 | 4,146 | ||||||||||||||||
USD Currency |
Call | HSBC Bank PLC | 03/15/17 | KRW | 1,185.00 | USD | 820 | 4,993 | ||||||||||||||||
USD Currency |
Call | HSBC Bank PLC | 03/15/17 | KRW | 1,230.00 | USD | 616 | 939 | ||||||||||||||||
USD Currency |
Call | JPMorgan Chase Bank N.A. | 03/23/17 | TWD | 32.15 | USD | 1,513 | 5,350 | ||||||||||||||||
USD Currency |
Call | Goldman Sachs International | 04/04/17 | MXN | 21.45 | USD | 1,040 | 20,870 | ||||||||||||||||
USD Currency |
Put | Morgan Stanley & Co. International PLC | 02/14/17 | BRL | 3.34 | USD | 1,050 | 60,569 | ||||||||||||||||
USD Currency |
Put | JPMorgan Chase Bank N.A. | 02/17/17 | BRL | 3.37 | USD | 890 | 58,412 | ||||||||||||||||
USD Currency |
Put | Goldman Sachs International | 02/21/17 | BRL | 3.35 | USD | 870 | 52,643 | ||||||||||||||||
USD Currency |
Put | Deutsche Bank AG | 03/02/17 | BRL | 3.20 | USD | 670 | 14,409 | ||||||||||||||||
USD Currency |
Put | Goldman Sachs International | 03/16/17 | BRL | 3.15 | USD | 740 | 10,793 | ||||||||||||||||
USD Currency |
Put | JPMorgan Chase Bank N.A. | 03/24/17 | TRY | 3.80 | USD | 595 | 10,938 |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 47 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
OTC Options Purchased (concluded)
Description | Put/ Call |
Counterparty | Expiration Date |
Strike Price |
Notional Amount (000) |
Value | ||||||||||||||||||
AUD Currency |
Put | JPMorgan Chase Bank N.A. | 03/30/17 | JPY | 85.00 | AUD | 1,110 | $ | 15,722 | |||||||||||||||
Total |
$ | 303,248 | ||||||||||||||||||||||
|
|
OTC Options Written
Description | Put/ Call |
Counterparty | Expiration Date |
Strike Price |
Notional Amount (000) |
Value | ||||||||||||||||||||||||||
USD Currency |
Call | JPMorgan Chase Bank N.A. | 02/17/17 | BRL | 3.50 | USD | 890 | $ | (30 | ) | ||||||||||||||||||||||
USD Currency |
Call | Morgan Stanley & Co. International PLC | 02/24/17 | BRL | 3.15 | USD | 601 | (11,050 | ) | |||||||||||||||||||||||
USD Currency |
Call | Deutsche Bank AG | 03/02/17 | BRL | 3.40 | USD | 670 | (1,299 | ) | |||||||||||||||||||||||
USD Currency |
Call | JPMorgan Chase Bank N.A. | 03/03/17 | TRY | 3.90 | USD | 890 | (9,855 | ) | |||||||||||||||||||||||
USD Currency |
Call | HSBC Bank PLC | 03/10/17 | CNH | 7.03 | USD | 1,511 | (3,353 | ) | |||||||||||||||||||||||
USD Currency |
Call | HSBC Bank PLC | 03/15/17 | KRW | 1,230.00 | USD | 1,260 | (1,928 | ) | |||||||||||||||||||||||
USD Currency |
Call | JPMorgan Chase Bank N.A. | 03/23/17 | TWD | 33.50 | USD | 1,513 | (711 | ) | |||||||||||||||||||||||
USD Currency |
Call | Goldman Sachs International | 07/03/17 | MXN | 22.60 | USD | 740 | (16,211 | ) | |||||||||||||||||||||||
USD Currency |
Put | Morgan Stanley & Co. International PLC | 02/14/17 | BRL | 3.18 | USD | 1,570 | (23,456 | ) | |||||||||||||||||||||||
USD Currency |
Put | Goldman Sachs International | 02/21/17 | BRL | 3.15 | USD | 1,310 | (15,319 | ) | |||||||||||||||||||||||
USD Currency |
Put | Morgan Stanley & Co. International PLC | 02/24/17 | BRL | 3.15 | USD | 601 | (6,520 | ) | |||||||||||||||||||||||
USD Currency |
Put | JPMorgan Chase Bank N.A. | 03/24/17 | TRY | 3.55 | USD | 595 | (1,317 | ) | |||||||||||||||||||||||
Total |
$ | (91,049 | ) | |||||||||||||||||||||||||||||
|
|
Centrally Cleared Credit Default Swaps Buy Protection
Issuer / Index | Pay Fixed Rate |
Expiration Date |
Notional Amount (000) |
Unrealized Depreciation |
||||||||||||
Markit CDX North America Investment Grade Index, Series 27, Version 1 |
1.00 | % | 12/20/21 | USD | 8,929 | $ | (35,017 | ) |
Centrally Cleared Interest Rate Swaps
Fixed Rate |
Floating Rate |
Effective Date |
Expiration Date |
Notional Amount (000) |
Unrealized Appreciation (Depreciation) |
|||||||||||||
7.36%1 | 1-Month MXIBTIIE | 1/30/17 | 1/28/19 | MXN 111,632 | $ | (10,974 | ) | |||||||||||
1.50%1 | 1-Month MXIBTIIE | 2/02/17 | 2/02/19 | USD 8,000 | (1,761 | ) | ||||||||||||
2.01%1 | 1-Month MXIBTIIE | 2/02/17 | 2/02/22 | USD 15,000 | (24,449 | ) | ||||||||||||
2.13%2 | 3-Month LIBOR | 8/25/15 | 8/25/25 | USD 110 | (1,252 | ) | ||||||||||||
2.27%1 | 3-Month LIBOR | 9/11/15 | 9/11/25 | USD 68 | 27 | |||||||||||||
1.46%1 | 3-Month LIBOR | 6/28/16 | 6/28/26 | USD 1,427 | 106,164 | |||||||||||||
1.46%1 | 3-Month LIBOR | 6/28/16 | 6/28/26 | USD 357 | 26,520 |
48 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
Centrally Cleared Interest Rate Swaps (concluded)
Fixed Rate | Floating Rate |
Effective Date |
Expiration Date |
Notional Amount (000) |
Unrealized Appreciation (Depreciation) |
|||||||||||||||
2.47%1 | 3-Month LIBOR | 12/29/16 | 12/29/26 | USD 10,000 | $ | (113,223 | ) | |||||||||||||
8.18%2 | 1-Month MXIBTIIE | 1/12/17 | 12/31/26 | MXN 21,570 | 23,601 | |||||||||||||||
8.18%2 | 1-Month MXIBTIIE | 1/12/17 | 12/31/26 | MXN 18,128 | 19,866 | |||||||||||||||
3.03%2 | 6-Month WIBOR | 1/11/17 | 1/11/27 | PLN 3,223 | 3,995 | |||||||||||||||
3.03%2 | 6-Month WIBOR | 1/11/17 | 1/11/27 | PLN 2,910 | 3,576 | |||||||||||||||
3.03%2 | 6-Month WIBOR | 1/12/17 | 1/12/27 | PLN 1,775 | 2,284 | |||||||||||||||
2.26%1 | 3-Month LIBOR | 1/13/17 | 1/13/27 | USD 550 | 4,678 | |||||||||||||||
2.27%1 | 3-Month LIBOR | 1/13/17 | 1/13/27 | USD 230 | 1,747 | |||||||||||||||
2.27%1 | 3-Month LIBOR | 1/13/17 | 1/13/27 | USD 700 | 5,221 | |||||||||||||||
2.28%1 | 3-Month LIBOR | 1/13/17 | 1/13/27 | USD 80 | 531 | |||||||||||||||
2.25%1 | 3-Month LIBOR | 1/19/17 | 1/19/27 | USD 3,400 | 31,846 | |||||||||||||||
2.68%1 | 3-Month LIBOR | 2/02/17 | 2/02/47 | USD 8,750 | (106,628 | ) | ||||||||||||||
Total | $ | (28,231 | ) | |||||||||||||||||
|
|
1 | Trust pays the fixed rate and receives the floating rate. |
2 | Trust pays the floating rate and receives the fixed rate. |
OTC Credit Default Swaps Buy Protection
Issuer/Index | Pay Fixed Rate | Counterparty | Expiration Date |
Notional Amount (000) |
Value | Premiums Paid (Received) |
Unrealized Depreciation |
|||||||||||||||||||||
United Mexican States |
1.00 | % | Citibank N.A. | 6/20/20 | USD | 604 | $ | 3,096 | $ | 4,005 | $ | (909 | ) | |||||||||||||||
United Mexican States |
1.00 | % | Bank of America N.A. | 9/20/20 | USD | 604 | 4,752 | 5,567 | (815 | ) | ||||||||||||||||||
Federation of Russia |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 245 | 8,491 | 14,141 | (5,650 | ) | ||||||||||||||||||
Federation of Russia |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 610 | 21,142 | 35,208 | (14,066 | ) | ||||||||||||||||||
Federation of Russia |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 610 | 21,142 | 35,208 | (14,066 | ) | ||||||||||||||||||
Federation of Russia |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 245 | 8,491 | 14,141 | (5,650 | ) | ||||||||||||||||||
Federation of Russia |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 365 | 12,650 | 21,067 | (8,417 | ) | ||||||||||||||||||
Federation of Russia |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 145 | 5,025 | 8,369 | (3,344 | ) | ||||||||||||||||||
Federation of Russia |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 245 | 8,492 | 14,149 | (5,657 | ) | ||||||||||||||||||
Federation of Russia |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 610 | 21,142 | 35,227 | (14,085 | ) | ||||||||||||||||||
Federation of Russia |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 245 | 8,491 | 14,045 | (5,554 | ) | ||||||||||||||||||
Federation of Russia |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 610 | 21,142 | 34,969 | (13,827 | ) | ||||||||||||||||||
Federation of Russia |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 245 | 8,491 | 14,045 | (5,554 | ) | ||||||||||||||||||
Federation of Russia |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 610 | 21,142 | 34,969 | (13,827 | ) | ||||||||||||||||||
Federation of Russia |
1.00 | % | JPMorgan Chase Bank N.A. | 12/20/21 | USD | 1,333 | 46,184 | 74,195 | (28,011 | ) | ||||||||||||||||||
Republic of Argentina |
5.00 | % | Citibank N.A. | 12/20/21 | USD | 741 | (39,612 | ) | (23,917 | ) | (15,695 | ) |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 49 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
OTC Credit Default Swaps Buy Protection (concluded)
Issuer/Index | Pay Fixed Rate | Counterparty | Expiration Date |
Notional Amount (000) |
Value | Premiums Paid (Received) |
Unrealized Depreciation |
|||||||||||||||||||||||||
Republic of Argentina |
5.00 | % | Bank of America N.A. | 12/20/21 | USD | 141 | $ | (7,514 | ) | $ | (6,336 | ) | $ | (1,178 | ) | |||||||||||||||||
Republic of Philippines |
1.00 | % | Barclays Bank PLC | 12/20/21 | USD | 916 | (1,534 | ) | 3,779 | (5,313 | ) | |||||||||||||||||||||
Republic of Philippines |
1.00 | % | JPMorgan Chase Bank N.A. | 12/20/21 | USD | 367 | (615 | ) | 1,516 | (2,131 | ) | |||||||||||||||||||||
Republic of Philippines |
1.00 | % | Citibank N.A. | 12/20/21 | USD | 196 | (329 | ) | 450 | (779 | ) | |||||||||||||||||||||
Republic of Philippines |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 1,241 | (2,080 | ) | 10,225 | (12,305 | ) | |||||||||||||||||||||
Republic of Philippines |
1.00 | % | Citibank N.A. | 12/20/21 | USD | 659 | (1,104 | ) | 4,827 | (5,931 | ) | |||||||||||||||||||||
Republic of Philippines |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 910 | (1,524 | ) | 8,711 | (10,235 | ) | |||||||||||||||||||||
Republic of South Africa |
1.00 | % | HSBC Bank PLC | 12/20/21 | USD | 175 | 8,402 | 12,710 | (4,308 | ) | ||||||||||||||||||||||
Republic of South Africa |
1.00 | % | Barclays Bank PLC | 12/20/21 | USD | 3,555 | 170,674 | 254,275 | (83,601 | ) | ||||||||||||||||||||||
Republic of South Africa |
1.00 | % | JPMorgan Chase Bank N.A. | 12/20/21 | USD | 1,500 | 72,015 | 107,911 | (35,896 | ) | ||||||||||||||||||||||
Republic of South Africa |
1.00 | % | Bank of America N.A. | 12/20/21 | USD | 590 | 28,326 | 42,445 | (14,119 | ) | ||||||||||||||||||||||
Republic of South Africa |
1.00 | % | Goldman Sachs International | 12/20/21 | USD | 364 | 17,452 | 26,000 | (8,548 | ) | ||||||||||||||||||||||
Republic of South Africa |
1.00 | % | Citibank N.A. | 12/20/21 | USD | 1,445 | 69,374 | 103,954 | (34,580 | ) | ||||||||||||||||||||||
Total | $ | (374,051 | ) | |||||||||||||||||||||||||||||
|
|
OTC Credit Default Swaps Sell Protection
Issuer/Index | Receive Fixed Rate |
Counterparty | Expiration Date |
Credit Rating1 |
Notional |
Value | Premiums Received |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||||||||
Dow Jones CDX North America Investment Grade, Series 9 |
5.00 | % | Bank of America N.A. | 12/20/17 | BBB | USD | 10,000 | $ | 475,016 | $ | (156,073 | ) | $ | 631,089 | ||||||||||||||||||
United Mexican States |
1.00 | % | Bank of America N.A. | 6/20/20 | BBB+ | USD | 604 | (3,096 | ) | (4,198 | ) | 1,102 | ||||||||||||||||||||
United Mexican States |
1.00 | % | Citibank N.A. | 9/20/20 | BBB+ | USD | 604 | (4,751 | ) | (5,279 | ) | 528 | ||||||||||||||||||||
UniCredit SFA |
1.00 | % | Barclays Bank PLC | 12/20/21 | BBB- | EUR | 20 | (728 | ) | (1,142 | ) | 414 | ||||||||||||||||||||
UniCredit SFA |
1.00 | % | BNP Paribas S.A. | 12/20/21 | BBB- | EUR | 10 | (377 | ) | (465 | ) | 88 | ||||||||||||||||||||
Markit CMBX North America, Series 7 |
3.00 | % | Barclays Bank PLC | 1/17/47 | BBB- | USD | 10,000 | (521,173 | ) | (540,567 | ) | 19,394 | ||||||||||||||||||||
Markit CMBX North America, Series 7 |
3.00 | % | Barclays Bank PLC | 1/17/47 | BBB- | USD | 5,000 | (260,586 | ) | (269,904 | ) | 9,318 |
50 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
OTC Credit Default Swaps Sell Protection (concluded)
Issuer/Index | Receive Fixed Rate |
Counterparty | Expiration Date |
Credit |
Notional |
Value | Premiums Received |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||||||||||||
Markit CMBX North America, Series 7 |
3.00 | % | Barclays Bank PLC | 1/17/47 | BBB- | USD | 10,000 | $ | (521,173 | ) | $ | (261,771 | ) | $ | (259,402 | ) | ||||||||||||||||||||
Markit CMBX North America, Series 8 |
2.00 | % | Morgan Stanley Capital Services LLC | 10/17/57 | A | USD | 5,000 | (189,825 | ) | (578,118 | ) | 388,293 | ||||||||||||||||||||||||
Markit CMBX North America, Series 8 |
3.00 | % | Deutsche Bank AG | 10/17/57 | BBB- | USD | 10,000 | (1,227,793 | ) | (1,418,962 | ) | 191,169 | ||||||||||||||||||||||||
Markit CMBX North America, Series 8 |
3.00 | % | Goldman Sachs International | 10/17/57 | BBB- | USD | 10,000 | (1,227,793 | ) | (1,104,653 | ) | (123,140 | ) | |||||||||||||||||||||||
Markit CMBX North America, Series 9 |
2.00 | % | Credit Suisse International | 9/17/58 | A | USD | 2,500 | (94,318 | ) | (356,977 | ) | 262,659 | ||||||||||||||||||||||||
Markit CMBX North America, Series 9 |
2.00 | % | Morgan Stanley Capital Services LLC | 9/17/58 | A | USD | 2,500 | (94,318 | ) | (353,530 | ) | 259,212 | ||||||||||||||||||||||||
Markit CMBX North America, Series 9 |
2.00 | % | Morgan Stanley Capital Services LLC | 9/17/58 | A | USD | 5,000 | (188,637 | ) | (700,477 | ) | 511,840 | ||||||||||||||||||||||||
Markit CMBX North America, Series 9 |
3.00 | % | Morgan Stanley Capital Services LLC | 9/17/58 | BBB- | USD | 2,500 | (264,104 | ) | (571,370 | ) | 307,266 | ||||||||||||||||||||||||
Total |
$ | (4,123,656 | ) | $ | (6,323,486 | ) | $ | 2,199,830 | ||||||||||||||||||||||||||||
|
|
|||||||||||||||||||||||||||||||||||
1 Using Standard & Poors rating of the issuer. |
|
|||||||||||||||||||||||||||||||||||
2 The maximum potential amount the Trust may pay should a negative credit event take place as defined under the terms of the agreement. |
|
OTC Interest Rate Swaps
Fixed Rate | Floating Rate |
Counterparty |
Effective Date |
Expiration Date |
Notional Amount (000) |
Value | Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||
12.85%1 | 1-day BZDIOVER | JPMorgan Chase Bank N.A. | 9/29/16 | 7/03/17 | BRL | 582 | $ | (270 | ) | | $ | (270 | ) | |||||||||||||
12.85%1 | 1-day BZDIOVER | JPMorgan Chase Bank N.A. | 10/20/16 | 7/03/17 | BRL | 14,565 | (9,703 | ) | | (9,703 | ) | |||||||||||||||
12.93%1 | 1-day BZDIOVER | Citibank N.A. | 9/23/16 | 7/03/17 | BRL | 12,391 | (7,238 | ) | | (7,238 | ) | |||||||||||||||
13.11%1 | 1-day BZDIOVER | Citibank N.A. | 9/08/16 | 7/03/17 | BRL | 7,438 | (6,415 | ) | | (6,415 | ) |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 51 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT) |
OTC Interest Rate Swaps (concluded)
Fixed Rate | Floating Rate |
Counterparty | Effective Date |
Expiration Date |
Notional Amount (000) |
Value | Premiums Paid (Received) |
Unrealized Appreciation (Depreciation) |
||||||||||||||||||||||||||||
13.13%2 | 1-day BZDIOVER | Bank of America N.A. | 9/08/16 | 7/03/17 | BRL | 6,198 | $ | (5,641 | ) | | $ | (5,641 | ) | |||||||||||||||||||||||
1.69%1 | 3-Month KRWCD | Deutsche Bank AG | 11/10/15 | 11/10/17 | KRW | 911,735 | (1,783 | ) | | (1,783 | ) | |||||||||||||||||||||||||
1.92%1 | 3-Month KRWCD | Deutsche Bank AG | 11/10/15 | 11/10/17 | KRW | 911,735 | 3,576 | | 3,576 | |||||||||||||||||||||||||||
12.10%2 | 1-day BZDIOVER | Bank of America N.A. | 10/20/16 | 1/02/18 | BRL | 14,127 | (28,706 | ) | | (28,706 | ) | |||||||||||||||||||||||||
7.04%1 | 28-day MXIBTIIE | Goldman Sachs International | 11/23/16 | 11/21/18 | MXN | 76,124 | (10,732 | ) | | (10,732 | ) | |||||||||||||||||||||||||
7.06%1 | 28-day MXIBTIIE | JPMorgan Chase Bank N.A. | 11/23/16 | 11/21/18 | MXN | 42,610 | (5,292 | ) | | (5,292 | ) | |||||||||||||||||||||||||
7.07%1 | 28-day MXIBTIIE | Citibank N.A. | 11/23/16 | 11/21/18 | MXN | 35,508 | (4,112 | ) | | (4,112 | ) | |||||||||||||||||||||||||
6.98%1 | 28-day MXIBTIIE | Citibank N.A. | 11/30/16 | 11/28/18 | MXN | 60,600 | (12,317 | ) | | (12,317 | ) | |||||||||||||||||||||||||
6.98%1 | 28-day MXIBTIIE | JPMorgan Chase Bank N.A. | 11/30/16 | 11/28/18 | MXN | 34,377 | (6,987 | ) | | (6,987 | ) | |||||||||||||||||||||||||
10.98%1 | 1-day BZDIOVER | JPMorgan Chase Bank N.A. | 10/20/16 | 1/02/20 | BRL | 1,483 | 4,204 | | 4,204 | |||||||||||||||||||||||||||
11.00%1 | 1-day BZDIOVER | Bank of America N.A. | 10/21/16 | 1/02/20 | BRL | 2,965 | 9,067 | | 9,067 | |||||||||||||||||||||||||||
11.02%1 | 1-day BZDIOVER | Citibank N.A. | 10/20/16 | 1/02/20 | BRL | 1,580 | 5,081 | | 5,081 | |||||||||||||||||||||||||||
11.03%1 | 1-day BZDIOVER | Citibank N.A. | 10/21/16 | 1/02/20 | BRL | 2,814 | 9,408 | | 9,408 | |||||||||||||||||||||||||||
11.04%1 | 1-day BZDIOVER | JPMorgan Chase Bank N.A. | 10/20/16 | 1/02/20 | BRL | 2,861 | 9,748 | | 9,748 | |||||||||||||||||||||||||||
11.10%1 | 1-day BZDIOVER | Goldman Sachs International | 10/07/16 | 1/02/20 | BRL | 1,435 | 5,284 | | 5,284 | |||||||||||||||||||||||||||
11.38%1 | 1-day BZDIOVER | JPMorgan Chase Bank N.A. | 9/29/16 | 1/02/20 | BRL | 335 | 2,078 | | 2,078 | |||||||||||||||||||||||||||
6.32%1 | 1-Month MXIBTIIE | Morgan Stanley Capital Services LLC | 7/30/15 | 7/17/25 | MXN | 5,813 | (25,515 | ) | $ | (22 | ) | (25,493 | ) | |||||||||||||||||||||||
6.33%1 | 1-Month MXIBTIIE | Citibank N.A. | 7/30/15 | 7/17/25 | MXN | 2,897 | (12,652 | ) | (15 | ) | (12,637 | ) | ||||||||||||||||||||||||
6.32%1 | 1-Month MXIBTIIE | Goldman Sachs International | 8/19/15 | 8/06/25 | MXN | 8,688 | (38,335 | ) | (39 | ) | (38,296 | ) | ||||||||||||||||||||||||
6.31%1 | 1-Month MXIBTIIE | Deutsche Bank AG | 8/24/15 | 8/11/25 | MXN | 6,393 | 28,538 | | 28,538 | |||||||||||||||||||||||||||
6.31%2 | 1-Month MXIBTIIE | Bank of America N.A. | 8/24/15 | 8/11/25 | MXN | 1,723 | 7,674 | | 7,674 | |||||||||||||||||||||||||||
6.31%2 | 1-Month MXIBTIIE | Bank of America N.A. | 8/24/15 | 8/11/25 | MXN | 1,723 | 7,674 | | 7,674 | |||||||||||||||||||||||||||
6.26%2 | 1-Month MXIBTIIE | Bank of America N.A. | 6/27/16 | 6/15/26 | MXN | 38,640 | (195,791 | ) | | (195,791 | ) | |||||||||||||||||||||||||
Total |
$ | (279,157 | ) | $ | (76 | ) | $ | (279,081 | ) | |||||||||||||||||||||||||||
|
|
|||||||||||||||||||||||||||||||||||
1 Trust pays the floating rate and receives the fixed rate. |
|
|||||||||||||||||||||||||||||||||||
2 Trust pays the fixed rate and receives the floating rate. |
|
52 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Portfolio Abbreviation |
ABS | Asset-Backed Security | |
ARS | Argentine Peso | |
AUD | Australian Dollar | |
BRL | Brazilian Real | |
BZDIOVER | 1-Day Brazil Interbank Deposit | |
CAD | Canadian Dollar | |
CLO | Collateralized Loan Obligation | |
CLP | Chilean Peso | |
CR | Custodian Receipt | |
EUR | Euro | |
FHLMC | Federal Home Loan Mortgage Corp. | |
GBP | British Pound | |
INR | Indian Rupee | |
ISDA | International Swaps and Derivatives Association, Inc. | |
JPY | Japanese Yen | |
KRW | South Korean Won | |
KRWCD | 3-Month Certificate of Deposit Rate | |
LOC | Letter of Credit | |
MXIBTIIE | Mexico Interbank TIIE 28 Day | |
MXN | Mexican Peso | |
OTC | Over-the-Counter | |
PIK | Payment-In-Kind | |
PLN | Polish Zloty | |
REMIC | Real Estate Mortgage Investment Conduit | |
RUB | Russian Ruble | |
TRY | Turkish Lira | |
TWD | Taiwan Dollar | |
USD | U.S. Dollar | |
ZAR | South African Rand |
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 53 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Fair Value Hierarchy as of Period End |
Various inputs are used in determining the fair value of investments and derivative financial instruments. These inputs to valuation techniques are categorized into a fair value hierarchy consisting of three broad levels for financial reporting purposes as follows:
| Level 1 unadjusted price quotations in active markets/exchanges for identical assets or liabilities that the Fund has the ability to access |
| Level 2 other observable inputs (including, but not limited to, quoted prices for similar assets or liabilities in markets that are active, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable for the assets or liabilities (such as interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other marketcorroborated inputs) |
| Level 3 unobservable inputs based on the best information available in the circumstances, to the extent observable inputs are not available (including the Funds own assumptions used in determining the fair value of investments and derivative financial instruments) |
The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized in Level 3. The inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, for disclosure purposes, the fair value hierarchy classification is determined based on the lowest level input that is significant to the fair value measurement in its entirety. Investments classified within Level 3 have significant unobservable inputs used by the BlackRock Global Valuation Methodologies Committee (the Global Valuation Committee) in determining the price for Fair Valued Investments. Level 3 Investments include equity or debt issued by Private Companies. There may not be a secondary market, and/or there are a limited number of investors. Level 3 investments may also be adjusted to reflect illiquidity and/or non-transferability, with the amount of such discount estimated by the Global Valuation Committee in the absence of market information.
Changes in valuation techniques may result in transfers into or out of an assigned level within the hierarchy. In accordance with the Funds policy, transfers between different levels of the fair value hierarchy are deemed to have occurred as of the beginning of the reporting period. The categorization of a value determined for investments and derivative financial instruments is based on the pricing transparency of the investments and derivative financial instruments and is not necessarily an indication of the risks associated with investing in those securities. For information about the Funds policy regarding valuation of investments and derivative financial instruments, refer to the Funds most recent financial statements as contained in its annual report.
The following tables summarize the Trusts investments and derivative financial instruments categorized in the disclosure hierarchy:
Level 1 | Level 2 | Level 3 | Total | |||||||||||||
Assets: |
| |||||||||||||||
Investments: | ||||||||||||||||
Long-Term Investments: | ||||||||||||||||
Asset-Backed Securities |
| $ | 205,378,842 | $ | 16,052,034 | $ | 221,430,876 | |||||||||
Common Stocks |
$ | 2,813,035 | | 561 | 2,813,596 | |||||||||||
Corporate Bonds |
| 479,051,304 | | 479,051,304 | ||||||||||||
Floating Rate Loan Interests |
| 26,407,953 | 23,696,332 | 50,104,285 | ||||||||||||
Foreign Agency Obligations |
| 56,447,637 | | 56,447,637 | ||||||||||||
Non-Agency Mortgage-Backed Securities |
| 173,934,270 | 23,451,585 | 197,385,855 | ||||||||||||
Preferred Securities |
17,820,857 | 106,293,784 | 1,688,513 | 125,803,154 | ||||||||||||
Short-Term Securities: | ||||||||||||||||
Money Market Funds |
3,838,673 | | | 3,838,673 | ||||||||||||
Options Purchased: | ||||||||||||||||
Foreign currency exchange contracts |
| 303,248 | | 303,248 | ||||||||||||
Unfunded Floating Rate Loan Interests1 |
| 150,483 | | 150,483 | ||||||||||||
|
|
|||||||||||||||
Total |
$ | 24,472,565 | $ | 1,047,967,521 | $ | 64,889,025 | $ | 1,137,329,111 | ||||||||
|
|
54 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Consolidated Schedule of Investments (continued) |
BlackRock Multi-Sector Income Trust (BIT)
|
Level 1 | Level 2 | Level 3 | Total | |||||||||||||
Derivative Financial Instruments 2 | ||||||||||||||||
Assets: | ||||||||||||||||
Credit contracts |
| $ | 2,582,372 | | $ | 2,582,372 | ||||||||||
Foreign currency exchange contracts |
| 2,309,497 | | 2,309,497 | ||||||||||||
Interest rate contracts |
$ | 234,540 | 322,388 | | 556,928 | |||||||||||
Liabilities: |
||||||||||||||||
Credit contracts |
| (791,610 | ) | | (791,610 | ) | ||||||||||
Foreign currency exchange contracts |
| (2,787,419 | ) | | (2,787,419 | ) | ||||||||||
Interest rate contracts |
(36,917 | ) | (629,700 | ) | | (666,617 | ) | |||||||||
|
|
|||||||||||||||
Total |
$ | 197,623 | $ | 1,005,528 | | $ | 1,203,151 | |||||||||
|
|
1 | Unfunded floating rate loan interests are valued at the unrealized appreciation (depreciation) on the commitment. |
2 | Derivative financial instruments are swaps, futures contracts, forward foreign currency exchange contracts, and options written. Swaps, futures contracts and forward foreign currency exchange contracts are valued at the unrealized appreciation (depreciation) on the instrument and options written are shown at value. |
The Trust may hold assets and/or liabilities in which the fair value approximates the carrying amount or face value, including accrued interest, for financial reporting purposes. As of period end, such assets and/or liabilities are categorized within the disclosure hierarchy as follows:
Level 1 | Level 2 | Level 3 | Total | |||||||||||||
Liabilities: | ||||||||||||||||
Reverse repurchase agreements |
| $ | (433,313,573 | ) | | $ | (433,313,573 | ) |
During the period ended January 31, 2017, there were no transfers between Level 1 and Level 2.
BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 | 55 |
Consolidated Schedule of Investments (concluded) |
BlackRock Multi-Sector Income Trust (BIT)
|
A reconciliation of Level 3 investments is presented when the Trust had a significant amount of Level 3 investments at the beginning and/or end of the period in relation to net assets. The following table is a reconciliation of Level 3 investments for which significant unobservable inputs were used in determining fair value:
Asset-Backed Securities |
Common Stocks |
Corporate Bonds |
Floating Rate Loan Interests |
Non-Agency Mortgage- Backed Securities |
Preferred Securities |
Total | ||||||||||||||||||||||||||
Assets: | ||||||||||||||||||||||||||||||||
Opening balance, as of October 31, 2016 |
$ | 17,206,974 | $ | 561 | | $ | 27,486,435 | $ | 24,015,689 | $ | 1,631,265 | $ | 70,340,924 | |||||||||||||||||||
Transfers into Level 31 |
2,442,500 | | | | | | 2,442,500 | |||||||||||||||||||||||||
Transfers out of Level 32 |
(7,815,408 | ) | | | (367,669 | ) | | | (8,183,077 | ) | ||||||||||||||||||||||
Accrued discounts/premiums |
4,945 | | | 1,127 | 60,183 | | 66,255 | |||||||||||||||||||||||||
Net realized gain (loss) |
51,507 | | | 24 | 130,008 | | 181,539 | |||||||||||||||||||||||||
Net change in unrealized appreciation (depreciation)3,4 |
(221,364 | ) | | | 904 | (260,135 | ) | 57,248 | (423,347 | ) | ||||||||||||||||||||||
Purchases |
6,594,085 | | | 580,440 | | | 7,174,525 | |||||||||||||||||||||||||
Sales |
(2,211,205 | ) | | | (4,004,929 | ) | (494,160 | ) | | (6,710,294 | ) | |||||||||||||||||||||
|
|
|||||||||||||||||||||||||||||||
Total | $ | 16,052,034 | $ | 561 | | $ | 23,696,332 | $ | 23,451,585 | $ | 1,688,513 | $ | 64,889,025 | |||||||||||||||||||
|
|
|||||||||||||||||||||||||||||||
Net change in unrealized appreciation (depreciation) on investments still held at January 31, 20173 |
$ | (208,665 | ) | | | $ | (99,096 | ) | $ | (260,135 | ) | $ | 57,248 | | $ | (510,648 | ) | |||||||||||||||
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1 | As of October 31, 2016, the Trust used observable inputs in determining the value of certain investments. As of January 31, 2017, the Trust used significant unobservable inputs in determining the value of the same investments. As a result, investments at beginning of period value were transferred from Level 2 to Level 3 in the disclosure hierarchy. |
2 | As of October 31, 2016, the Trust used significant unobservable inputs in determining the value of certain investments. As of January 31, 2017, the Trust used observable inputs in determining the value of the same investments. As a result, investments at beginning of period value were transferred from Level 3 to Level 2 in the disclosure hierarchy. |
3 | Any difference between net change in unrealized appreciation (depreciation) and net change in unrealized appreciation (depreciation) on investments still held January 31, 2017 is generally due to investments no longer held or categorized as Level 3 at period end. |
Certain of the Trusts investments that are categorized as Level 3 were valued utilizing third party pricing information without adjustment. Such valuations are based on unobservable inputs. A significant change in third party information inputs could result in a significantly lower or higher value of such Level 3 investments.
56 | BLACKROCK MULTI-SECTOR INCOME TRUST | JANUARY 31, 2017 |
Item 2 | Controls and Procedures |
2(a) | The registrants principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrants disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the 1940 Act)) are effective as of a date within 90 days of the filing of this report based on the evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act and Rule 13a-15(b) under the Securities Exchange Act of 1934, as amended. | |
2(b) | There were no changes in the registrants internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act) that occurred during the registrants last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the registrants internal control over financial reporting. |
Item 3 | Exhibits | |
Certifications Attached hereto |
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.
BlackRock Multi-Sector Income Trust | ||
By: | /s/ John M. Perlowski | |
John M. Perlowski | ||
Chief Executive Officer (principal executive officer) of BlackRock Multi-Sector Income Trust |
Date: March 23, 2017
Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.
By: | /s/ John M. Perlowski | |
John M. Perlowski Chief Executive Officer (principal executive officer) of BlackRock Multi-Sector Income Trust |
Date: March 23, 2017
By: | /s/ Neal J. Andrews | |
Neal J. Andrews Chief Financial Officer (principal financial officer) of BlackRock Multi-Sector Income Trust |
Date: March 23, 2017