基金名称: | (HYT) |
基金地址: | 威尔明顿贝尔维尤公园路100号,邮编:19809 |
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JUNE 30, 2022 |
2022年半年度报告 (未经审计) |
未投保FDIC·可能贬值·无银行担保 |
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累计分布总数 对于财政期而言 |
累计总额细分百分比 会计期间的分配 |
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信任名称 |
网络 收入 |
已实现净额 资本利得 短期 |
已实现净额 资本利得 长期的 |
退货 资本 |
(a) |
每人合计 普普通通 分享 |
网络 收入 |
已实现净额 资本利得 短期 |
已实现净额 资本利得 长期的 |
退货 资本 |
每人合计 普普通通 分享 |
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BHK |
$ | 0.343768 | $ — | $ — | $ | 0.029232 | $ | 0.373000 | 92 | % | — | % | — | % | 8 | % | 100% | |||||||||||||||||||||||||||||
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HYT |
0.342518 | — | — | 0.046982 | 0.389500 | 88 | — | — | 12 | 100 | |||||||||||||||||||||||||||||||||||
BTZ |
0.398786 | — | — | 0.020714 | 0.419500 | 95 | — | — | 5 | 100 | ||||||||||||||||||||||||||||||||||||
BGT |
0.306504 | — | — | 0.016996 | 0.323500 | 95 | — | — | 5 | 100 | ||||||||||||||||||||||||||||||||||||
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(a) |
每家信托公司估计,它分配的资金超过了净收益和已实现的净资本收益;因此,分配的一部分可能是资本返还。例如,当股东在信托中的部分或全部投资返还给股东时,就可能发生资本返还。资本回报不一定反映信托的投资表现,不应与“收益”或“收益”混淆。当分配超过总回报表现时,差额将降低信托公司的每股资产净值。 |
交换符号 |
每笔金额 普通股 |
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BHK |
$ | 0.0746 | ||
HYT |
0.0779 | |||
BTZ |
0.0839 | |||
BGT |
0.0647 |
2 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
截至2022年6月30日的总回报 | ||||
6个月 |
12个月 | |||
美国大盘股 (S&P 500 ® 索引) |
(19.96)% | (10.62)% | ||
美国小盘股 (罗素2000 ® 索引) |
(23.43) | (25.20) | ||
国际股票 (MSCI明晟欧洲、澳大拉西亚、远东指数) |
(19.57) | (17.77) | ||
新兴市场股票 (MSCI新兴市场指数) |
(17.63) | (25.28) | ||
3个月 国库券(ICE BofA 3个月 (美国国库券指数) |
0.15 | 0.18 | ||
美国国债 (ICE BofA 10年期 (美国国债指数) |
(11.34) | (10.94) | ||
美国投资级债券(彭博社 (美国综合债券指数) |
(10.35) | (10.29) | ||
免税 市政债券(彭博市政债券指数) |
(8.98) | (8.57) | ||
美国高收益债券 (彭博社美国企业高收益2%发行者封顶指数) |
(14.19) | (12.82) | ||
过去的表现并不能预示未来的结果。指数性能仅用于说明目的。你不能直接投资于指数。 |
T H I S P A G E I S N O T P A R T O F Y O U R F U N D R E P O R T |
3 |
页面 |
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补充信息 |
2 | |||
回顾中的市场 |
3 | |||
半年度报告: |
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杠杆化的好处和风险 |
5 | |||
衍生金融工具 |
5 | |||
信任摘要 |
6 | |||
财务报表: |
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投资明细表 |
15 | |||
资产负债表 |
124 | |||
营运说明书 |
126 | |||
净资产变动表 |
127 | |||
现金流量表 |
129 | |||
财务亮点 |
131 | |||
财务报表附注 |
135 | |||
披露投资咨询协议和分项咨询协议 |
149 | |||
附加信息 |
153 | |||
本报告所用术语词汇表 |
156 |
4 |
T H E B E N E F I T S A N D R I S K S O F L E V E R A G I N G / D E R I V A T I V E F I N A N C I A L I N S T R U M E N T S |
5 |
信任摘要 截至2022年6月30日 |
贝莱德核心债券信托基金(香港) |
纽约证券交易所的股票代码 |
BHK | |
首次发售日期 |
November 27, 2001 | |
截至2022年6月30日收盘价的当前分派率(11.32美元) (a) |
7.91% | |
每股普通股当月分派 (b) |
$0.0746 | |
普通股当期年化分配 (b) |
$0.8952 | |
截至2022年6月30日的杠杆率 (c) |
40% |
(a) |
当前收盘价分配率的计算方法是将当前的每股年化分配率除以收盘价。目前的分配率可能包括收入、已实现净收益和/或资本回报。过去的表现并不能预示未来的结果。 |
(b) |
分配率不是恒定的,可能会发生变化。分配的一部分可被视为资本返还或已实现净收益。 |
(c) |
表示逆回购协议占管理资产总额的百分比,即信托的总资产(包括任何借款应占的任何资产)减去其负债的总和(代表财务杠杆的借款除外)。不反映可能导致经济杠杆的衍生品或其他工具。关于信托所使用的杠杆技术的讨论,请参阅杠杆和衍生金融工具的好处和风险。 |
06/30/22 |
12/31/21 |
变化 |
高 |
低 |
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收盘价 |
$ | 11.32 | $ | 16.51 | (31.44 | )% | $ | 16.51 | $ | 10.52 | ||||||||||
资产净值 |
11.86 | 15.47 | (23.34 | ) | 15.47 | 11.66 |
平均年总报税额 | ||||||||||||||||
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6个月 |
1年 |
5年 |
10年 |
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资产净值方面的信任 (a)(b) |
(20.99 | )% | (21.05 | )% | 1.58 | % | 4.25 | % | ||||||||
以市价信任 (a)(b) |
(29.34 | ) | (26.28 | ) | 1.90 | 3.93 | ||||||||||
彭博社美国信用指数 (c) |
(13.81 | ) | (13.64 | ) | 1.24 | 2.45 | ||||||||||
参考基准 (d) |
(14.74 | ) | (13.93 | ) | 1.41 | 2.72 | ||||||||||
彭博社美国长期政府/信用指数 (e) |
(21.88 | ) | (20.14 | ) | 1.03 | 2.63 | ||||||||||
彭博中级信用指数 (f) |
(8.52 | ) | (8.96 | ) | 1.43 | 2.21 | ||||||||||
彭博社美国企业高收益2%发行者上限指数 (g) |
(14.19 | ) | (12.82 | ) | 2.09 | 4.47 | ||||||||||
彭博CMBS,有资格获得美国综合指数 (h) |
(8.28 | ) | (8.89 | ) | 1.58 | 2.35 | ||||||||||
彭博MBS指数 (i) |
(8.78 | ) | (9.03 | ) | 0.36 | 1.18 | ||||||||||
彭博ABS指数 (j) |
(3.77 | ) | (4.27 | ) | 1.38 | 1.43 |
(a) |
所有回报反映了以实际再投资价格对股息和/或分配进行的再投资。业绩结果反映了信托公司对杠杆的使用。 |
(b) |
该信托于期内由对资产净值的溢价转为折让,这解释了按市价计算的业绩与按资产净值计算的业绩之间的差异。 |
(c) |
彭博美国信用指数,衡量投资级、美元计价、固定利率、应税企业和政府相关债券市场的指数。它由美国企业指数和一个 非法人 构成部分,包括外国机构、主权国家、超国家机构和地方当局。 |
(d) |
参考基准由彭博美国长期政府/信用指数(40%)、彭博中间信用指数(24%)、彭博美国公司高收益2%发行者上限指数(16%)、符合美国综合指数的彭博CMBS(8%)、彭博MBS指数(8%)和彭博ABS指数(4%)组成。参考基准的指数内容和权重可能在过去几个时期有所不同。 |
(e) |
彭博美国长期政府/信用指数,这一非管理指数是彭博美国政府/信用指数的长期组成部分。它包括公开发行的美国国债、美国政府机构债务、美国各州和领地及其政治分区发行的应税债务、美国和 非美国 企业,非- 美国政府债务和超国家债务。 |
(f) |
彭博中间信用指数,这一非管理指数是彭博美国信用指数的中间组成部分。彭博美国信用指数包括公开发行的美国公司债券和外国债券以及符合特定期限、流动性和质量要求的担保票据。 |
(g) |
彭博社美国企业高收益2%发行者上限指数,这是一个非管理型指数,由满足以下标准的问题组成:至少1.5亿美元的未偿还面值;最高信用评级为Ba1;至少一年到期;没有发行人占该指数的2%以上。 |
(h) |
彭博CMBS,符合美国综合指数的条件,这一非托管指数是彭博美国综合指数的CMBS组成部分。 |
6 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
信任摘要 截至2022年6月30日(续) |
贝莱德核心债券信托基金(香港) |
(i) |
彭博MBS指数,这一非管理指数是一个市值加权指数,涵盖彭博美国综合债券指数中的抵押贷款支持证券部分。它由政府全国抵押协会(Ginnie Mae)、联邦全国抵押协会(Fannie Mae)和联邦住房贷款抵押公司(Freddie Mac)的机构抵押贷款支持传递证券组成,未偿还金额至少为1.5亿美元,加权平均期限至少为1年。该指数包括收入的再投资。 |
(j) |
彭博ABS指数,这是一个非管理指数,是彭博美国综合指数的资产支持证券组成部分。 |
T R U S T S U M M A R Y |
7 |
信任摘要 截至2022年6月30日(续) |
贝莱德核心债券信托基金(香港) |
投资组合构成 |
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资产类型 (a) |
06/30/22 |
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公司债券 |
41.7 | % | ||
美国政府支持的机构证券 |
18.5 | |||
美国财政部债务 |
17.7 | |||
资产支持证券 |
6.1 | |||
非代理机构 抵押贷款支持证券 |
5.8 | |||
优先证券 |
4.3 | |||
浮动利率贷款利息 |
2.2 | |||
市政债券 |
2.1 | |||
外国机构的义务 |
1.6 |
信用质量分配 |
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信用评级 (a)(b) |
06/30/22 |
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AAA/AAA (c) |
38.8 | % | ||
AA/AA |
4.1 | |||
A |
9.5 | |||
BBB/BaA |
21.2 | |||
Bb/Ba |
11.4 | |||
B |
7.9 | |||
CCC/CAA |
2.8 | |||
抄送 |
0.2 | |||
C |
— | (d) | ||
N/R (e) |
4.1 |
(a) |
不包括短期证券。 |
(b) |
就财务报告而言,上图所示的信用质量评级反映了标准普尔全球评级或穆迪投资者服务公司(如果评级不同)给予的最高评级。这些评级机构是独立的、国家认可的统计评级机构,并得到广泛使用。投资级评级为BBB/Baa或更高的信用评级。低于投资级评级的是BB/BA或更低的信用评级。任何一家评级机构都不会对指定为N/R的投资进行评级。未评级的投资并不一定表明信用质量较低。信用质量评级可能会发生变化。 |
(c) |
投资顾问评估公司的信用质量 未评级 基于某些因素的投资,包括但不限于对类似投资的信用评级和对行业、个别投资和/或发行人的财务分析。使用这种方法,投资顾问将美国政府支持的机构证券和美国国债视为AAA/AAA。 |
(d) |
四舍五入至不到总投资的0.1%。 |
(e) |
投资顾问根据某些因素评估未评级投资的信用质量,这些因素包括但不限于对类似投资的信用评级以及对行业和个别投资的财务分析。使用这种方法,投资顾问认为这些未评级的证券中的某些是投资级质量。截至2022年6月30日,被投资顾问视为投资级的未评级证券的市值不到信托总投资的1.0%。 |
8 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
信任摘要 截至2022年6月30日 |
贝莱德企业高收益基金(HYT) |
纽约证券交易所的股票代码 |
HYT | |
首次发售日期 |
May 30, 2003 | |
截至2022年6月30日收盘价的当前分派率(9.53美元) (a) |
9.81% | |
每股普通股当月分派 (b) |
$0.0779 | |
普通股当期年化分配 (b) |
$0.9348 | |
截至2022年6月30日的杠杆率 (c) |
30% |
(a) |
当前收盘价分配率的计算方法是将当前的每股年化分配率除以收盘价。目前的分配率可能包括收入、已实现净收益和/或资本回报。过去的表现并不能预示未来的结果。 |
(b) |
分配率不是恒定的,可能会发生变化。分配的一部分可被视为资本返还或已实现净收益。 |
(c) |
指未偿还的银行借款占管理资产总额的百分比,即基金的总资产(包括任何可归因于借款的资产)减去负债总额(代表财务杠杆的借款除外)。不反映可能导致经济杠杆的衍生品或其他工具。关于信托所使用的杠杆技术的讨论,请参阅杠杆和衍生金融工具的好处和风险。 |
06/30/22 |
12/31/21 |
变化 |
高 |
低 |
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收盘价 |
$ | $ | (22.77 | )% | $ | |
$ | |
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资产净值 |
(21.18 | ) |
平均年总报税额 | ||||||||||||||||
6个月 |
1年 |
5年 |
10年 |
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资产净值方面的信任 (a)(b) |
(18.17 | )% | (16.49 | )% | 3.21 | % | 6.33 | % | ||||||||
以市价信任 (a)(b) |
(19.82 | ) | (15.99 | ) | 5.59 | 6.04 | ||||||||||
彭博社美国企业高收益2%发行者上限指数 (c) |
(14.19 | ) | (12.82 | ) | 2.09 | 4.47 |
(a) |
所有回报反映了以实际再投资价格对股息和/或分配进行的再投资。业绩结果反映了信托公司对杠杆的使用。 |
(b) |
该信托相对于资产净值的溢价于期内收窄,这解释了按市价计算的业绩与按资产净值计算的业绩之间的差异。 |
(c) |
彭博社美国企业高收益2%发行者上限指数(前身为彭博巴克莱美国企业高收益2%发行者上限指数),由满足以下标准的问题组成的非管理型指数(“参考基准”):至少1.5亿美元未偿还面值;最高信用评级为Ba1;至少一年到期;以及没有发行人占指数的2%以上。 |
T R U S T S U M M A R Y |
9 |
信任摘要 截至2022年6月30日(续) |
贝莱德企业高收益基金(HYT) |
投资组合构成 |
||||
资产类型 (a) |
06/30/22 |
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公司债券 |
81.0 | % | ||
浮动利率贷款利息 |
15.2 | |||
优先证券 |
2.2 | |||
普通股 |
1.4 | |||
其他* |
0.2 |
信用质量分配 |
||||
信用评级 (a)(b) |
06/30/22 |
|||
A |
0.2 | % | ||
BBB/BaA |
6.5 | |||
Bb/Ba |
39.3 | |||
B |
38.4 | |||
CCC/CAA |
11.7 | |||
抄送 |
0.1 | |||
N/R |
3.8 |
(a) |
不包括短期证券。 |
(b) |
就财务报告而言,上图所示的信用质量评级反映了标准普尔全球评级或穆迪投资者服务公司(如果评级不同)给予的最高评级。这些评级机构是独立的、国家认可的统计评级机构,并得到广泛使用。投资级评级为BBB/Baa或更高的信用评级。低于投资级评级的是BB/BA或更低的信用评级。任何一家评级机构都不会对指定为N/R的投资进行评级。未评级的投资并不一定表明信用质量较低。信用质量评级可能会发生变化。 |
* | 包括一个或多个单独占信托总投资不到1.0%的投资类别。具体内容请参考《投资综合明细表》。 |
10 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
信任摘要 截至2022年6月30日 |
贝莱德信用分配收益信托基金 |
纽约证券交易所的股票代码 |
BTZ | |
首次发售日期 |
December 27, 2006 | |
截至2022年6月30日收盘价的当前分派率(10.89美元) (a) |
9.25% | |
每股普通股当月分派 (b) |
$0.0839 | |
普通股当期年化分配 (b) |
$1.0068 | |
截至2022年6月30日的杠杆率 (c) |
33% |
(a) |
当前收盘价分配率的计算方法是将当前的每股年化分配率除以收盘价。目前的分配率可能包括收入、已实现净收益和/或资本回报。过去的表现并不能预示未来的结果。 |
(b) |
分配率不是恒定的,可能会发生变化。分配的一部分可被视为资本返还或已实现净收益。 |
(c) |
表示逆回购协议占管理资产总额的百分比,即信托的总资产(包括任何借款应占的任何资产)减去其负债的总和(代表财务杠杆的借款除外)。不反映可能导致经济杠杆的衍生品或其他工具。关于信托所使用的杠杆技术的讨论,请参阅杠杆和衍生金融工具的好处和风险。 |
06/30/22 |
12/31/21 |
变化 |
高 |
低 |
||||||||||||||||
收盘价 |
$ | 10.89 | $ | 15.05 | (27.64 | )% | $ | 15.05 | $ | 10.30 | ||||||||||
资产净值 |
11.63 | 15.10 | (22.98 | ) | 15.10 | 11.63 |
平均年总报税额 | ||||||||||||||||
6个月 |
1年 |
5年 |
10年 |
|||||||||||||
资产净值方面的信任 (a)(b) |
(20.22 | )% | (20.08 | )% | 2.05 | % | 5.00 | % | ||||||||
以市价信任 (a)(b) |
(25.05 | ) | (24.78 | ) | 2.63 | 5.14 | ||||||||||
参考基准 (c) |
(13.68 | ) | (13.11 | ) | 1.73 | 3.50 | ||||||||||
彭博社美国信用指数 (d) |
(13.81 | ) | (13.64 | ) | 1.24 | 2.45 | ||||||||||
彭博社美国企业高收益2%发行者上限指数 (e) |
(14.19 | ) | (12.82 | ) | 2.09 | 4.47 | ||||||||||
彭博美元资本证券指数 (f) |
(12.70 | ) | (12.37 | ) | 2.26 | 4.59 |
(a) |
所有回报反映了以实际再投资价格对股息和/或分配进行的再投资。业绩结果反映了信托公司对杠杆的使用。 |
(b) |
在此期间,信托相对于资产净值的折让扩大,这解释了基于市价的业绩和基于资产净值的业绩之间的差异。 |
(c) |
参考基准由彭博美国信用指数(50.36%)、彭博美国企业高收益2%发行者上限指数(29.93%)和彭博美元资本证券指数(19.71%)组成。 |
(d) |
彭博美国信用指数,衡量投资级、美元计价、固定利率、应税企业和政府相关债券市场的指数。它由美国企业指数和一个 非法人 构成部分,包括外国机构、主权国家、超国家机构和地方当局。 |
(e) |
彭博社美国企业高收益2%发行者上限指数,这是一个非管理型指数,由满足以下标准的问题组成:至少1.5亿美元的未偿还面值;最高信用评级为Ba1;至少一年到期;没有发行人占该指数的2%以上。 |
(f) |
彭博美元资本证券指数,一种非管理指数,跟踪以美元计价的固定利率、投资级资本证券。 |
T R U S T S U M M A R Y |
11 |
信任摘要 截至2022年6月30日(续) |
贝莱德信用分配收益信托基金 |
投资组合构成 | ||
资产类型 (a) |
06/30/22 | |
公司债券 |
77.9% | |
优先证券 |
11.2 | |
资产支持证券 |
4.4 | |
浮动利率贷款利息 |
4.4 | |
外国机构的义务 |
1.4 | |
市政债券 |
0.7 |
信用质量分配 |
||||
信用评级 (a)(b) |
06/30/22 |
|||
AAA/AAA |
0.6% | |||
AA/AA |
2.0 | |||
A |
11.5 | |||
BBB/BaA |
43.8 | |||
Bb/Ba |
22.7 | |||
B |
14.5 | |||
CCC/CAA |
4.1 | |||
C |
— (c) |
|||
N/R (d) |
0.8 | |||
(a) |
不包括短期证券。 |
(b) |
就财务报告而言,上图所示的信用质量评级反映了标准普尔全球评级或穆迪投资者服务公司(如果评级不同)给予的最高评级。这些评级机构是独立的、国家认可的统计评级机构,并得到广泛使用。投资级评级为BBB/Baa或更高的信用评级。低于投资级评级的是BB/BA或更低的信用评级。任何一家评级机构都不会对指定为N/R的投资进行评级。未评级的投资并不一定表明信用质量较低。信用质量评级可能会发生变化。 |
(c) |
四舍五入至不到总投资的0.1%。 |
(d) |
投资顾问根据某些因素评估未评级投资的信用质量,这些因素包括但不限于对类似投资的信用评级以及对行业和个别投资的财务分析。使用这种方法,投资顾问认为这些未评级的证券中的某些是投资级质量。截至2022年6月30日,被投资顾问视为投资级的未评级证券的市值不到信托总投资的1.0%。 |
12 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
信任摘要 截至2022年6月30日 |
贝莱德浮动利率收益信托(BGT) |
纽约证券交易所的股票代码 |
BGT | |
首次发售日期 |
August 30, 2004 | |
截至2022年6月30日收盘价的现行分派率(11.02美元) (a) |
7.05% | |
每股普通股当月分派 (b) |
$0.0647 | |
普通股当期年化分配 (b) |
$0.7764 | |
截至2022年6月30日的杠杆率 (c) |
32% |
(a) |
当前收盘价分配率的计算方法是将当前的每股年化分配率除以收盘价。目前的分配率可能包括收入、已实现净收益和/或资本回报。过去的表现并不能预示未来的结果。 |
(b) |
分配率不是恒定的,可能会发生变化。分配的一部分可被视为资本返还或已实现净收益。 |
(c) |
指未偿还的银行借款占管理资产总额的百分比,即基金的总资产(包括任何可归因于借款的资产)减去负债总额(代表财务杠杆的借款除外)。不反映可能导致经济杠杆的衍生品或其他工具。关于信托所使用的杠杆技术的讨论,请参阅杠杆和衍生金融工具的好处和风险。 |
06/30/22 |
12/31/21 |
变化 |
高 |
低 |
||||||||||||||||
收盘价 |
$ | 11.02 | $ | 13.99 | (21.23 | )% | $ | 14.13 | $ | 10.80 | ||||||||||
资产净值 |
12.10 | 13.44 | (9.97 | ) | 13.57 | 12.10 |
平均年总报税额 | ||||||||||||||||
6个月 |
1年 |
5年 |
10年 |
|||||||||||||
资产净值方面的信任 (a)(b) |
(7.50 | )% | (5.45 | )% | 2.87 | % | 4.82 | % | ||||||||
以市价信任 (a)(b) |
(19.07 | ) | (8.93 | ) | 1.64 | 3.71 | ||||||||||
S&P/LSTA杠杆贷款指数 (c) |
(4.55 | ) | (2.78 | ) | 2.91 | 3.74 |
(a) |
所有回报反映了以实际再投资价格对股息和/或分配进行的再投资。业绩结果反映了信托公司对杠杆的使用。 |
(b) |
该信托于期内由对资产净值的溢价转为折让,这解释了按市价计算的业绩与按资产净值计算的业绩之间的差异。 |
(c) |
一个非管理的市值加权指数(“参考基准”),旨在根据市场权重、利差和利息支付来衡量美国杠杆贷款市场的表现。 |
T R U S T S U M M A R Y |
13 |
信任摘要 截至2022年6月30日(续) |
贝莱德浮动利率收益信托(BGT) |
投资组合构成 |
||||
资产类型 (a) |
06/30/22 |
|||
浮动利率贷款利息 |
98.2% | |||
公司债券 |
1.5 | |||
其他* |
0.3 | |||
信用质量分配 |
||||
信用评级 (a)(b) |
06/30/22 |
|||
BBB/BaA |
4.3% | |||
Bb/Ba |
25.4 | |||
B |
62.0 | |||
CCC/CAA |
6.4 | |||
N/R |
1.9 | |||
(a) |
不包括短期证券。 |
(b) |
就财务报告而言,上图所示的信用质量评级反映了标准普尔全球评级或穆迪投资者服务公司(如果评级不同)给予的最高评级。这些评级机构是独立的、国家认可的统计评级机构,并得到广泛使用。投资级评级为BBB/Baa或更高的信用评级。低于投资级评级的是BB/BA或更低的信用评级。任何一家评级机构都不会对指定为N/R的投资进行评级。未评级的投资并不一定表明信用质量较低。信用质量评级可能会发生变化。 |
* | 包括一个或多个单独占信托总投资不到1.0%的投资类别。具体内容请参考《投资明细表》。 |
14 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||
资产支持证券 |
||||||||||
522 Funding CLO Ltd. (a)(b) |
||||||||||
2019-4A系列, Class CR, (3 mo. LIBOR US + 2.40%), 3.46%, 04/20/30 |
美元 | 500 | $ | 479,102 | ||||||
2019-4A系列, Class DR, (3 mo. LIBOR US + 3.65%), 4.71%, 04/20/30 |
600 | 576,098 | ||||||||
AGL CLO 3有限公司 2020-3A系列, D类,(3 mo. LIBOR US + 3.30%), 4.34%, 01/15/33 (a)(b) |
250 | 238,781 | ||||||||
ALM有限公司, 2020-1A系列, Class D, (3 mo. LIBOR US + 6.00%), 7.04%, 10/15/29(a)(b) |
285 | 250,868 | ||||||||
AMMC CLO 20 Ltd. 2017-20A系列, Class AR, (3 mo. LIBOR US + 0.87%), 1.91%, 04/17/29(a)(b) |
528 | 520,191 | ||||||||
安克雷奇资本CLO有限公司 (a)(b) |
||||||||||
2013-1A系列, Class A2R, (3 mo. LIBOR US + 1.65%), 2.67%, 10/13/30 |
380 | 368,056 | ||||||||
2013-1A系列, Class CR, (3 mo. LIBOR US + 3.20%), 4.22%, 10/13/30 |
720 | 690,895 | ||||||||
Apidos CLO XXII, 2015-22A, CR级,(3 mo. LIBOR US + 2.95%), 4.01%, 04/20/31 (a)(b) |
250 | 231,597 | ||||||||
Assuant CLO I Ltd. 2017-1A系列, Class CR, (3 mo. LIBOR US + 2.15%), 3.21%, 10/20/34(a)(b) |
500 | 464,533 | ||||||||
贝恩资本信贷收盘 2021-5 Ltd., Class B, 2.83%, 10/23/34(b) |
500 | 467,647 | ||||||||
贝恩资本信贷CLO有限公司, 2021-3A系列, Class D, (3 mo. LIBOR US + 3.10%), 4.28%, 07/24/34(a)(b) |
250 | 230,740 | ||||||||
BallyRock CLO Ltd., 2016-1A系列, Class DR2, (3 mo. LIBOR US + 3.15%), 4.19%, 10/15/28(a)(b) |
250 | 244,998 | ||||||||
白桦林ClO 3有限公司 2021-3A系列, Class D1, (3 mo. LIBOR US + 3.20%), 3.40%, 01/19/35(a)(b) |
250 | 236,190 | ||||||||
白桦林CLO有限公司,19A系列,DR级,(3个月Libor US+3.35%),5.18%,06/15/31 (a)(b) |
1,000 | 944,247 | ||||||||
Canyon Capital CLO Ltd. (a)(b) |
||||||||||
2016-1A系列, Class CR, (3 mo. LIBOR US + 1.90%), 2.94%, 07/15/31 |
250 | 235,740 | ||||||||
2021-2A系列, Class D, (3 mo. LIBOR US + 3.35%), 4.39%, 04/15/34 |
500 | 470,587 | ||||||||
凯雷全球市场战略CLO有限公司, 2013-1A系列, Class CR, (3 mo. LIBOR US + 3.35%), 4.76%, 08/14/30(a)(b) |
1,000 | 929,014 | ||||||||
卡瓦尔CLO I有限公司 2018-1A系列, Class E, (3 mo. LIBOR US + 5.77%), 6.81%, 07/16/31(a)(b) |
500 | 443,068 | ||||||||
卡瓦尔CLO II有限公司 2019-1A系列, Class DR, (3 mo. LIBOR US + 3.20%), 4.26%, 04/20/32(a)(b) |
500 | 443,751 | ||||||||
卡瓦尔CLO III有限公司 2019-2a系列, Class E, (3 mo. LIBOR US + 6.44%), 7.50%, 07/20/32(a)(b) |
500 | 443,027 | ||||||||
CarVal CLO VC Ltd., 2021-2A系列, Class D, (3 mo. LIBOR US + 3.25%), 3.41%, 10/15/34(a)(b) |
250 | 235,627 | ||||||||
CBAM Ltd., 2017-1A系列, Class C, (3 mo. LIBOR US + 2.40%), 3.46%, 07/20/30(a)(b) |
350 | 335,874 | ||||||||
雪松基金IX CLO有限公司, 2018-9A系列, Class D, (3 mo. LIBOR US + 2.60%), 3.66%, 04/20/31(a)(b) |
250 | 229,192 | ||||||||
雪松基金XIV CLO有限公司 2021-14A系列, Class B, (3 mo. LIBOR US + 1.60%), 2.64%, 07/15/33(a)(b) |
500 | 476,181 | ||||||||
中金公司融资有限公司 (a)(b) |
||||||||||
2013-1A系列, Class CR, (3 mo. LIBOR US + 3.55%), 4.59%, 07/16/30 |
500 | 474,583 | ||||||||
2014-2RA系列, Class B1, (3 mo. LIBOR US + 2.80%), 3.98%, 04/24/30 |
750 | 705,982 |
安防 |
帕尔 (000) |
价值 |
||||||||
资产支持证券(续) |
||||||||||
中金公司融资有限公司 (a)(b) (续) |
||||||||||
2014-3A系列, Class BR2, (3 mo. LIBOR US + 1.80%), 2.94%, 10/22/31 |
美元 | 250 | $ | 243,635 | ||||||
系列2015-1A, Class ARR, (3 mo. LIBOR US + 1.11%), 2.25%, 01/22/31 |
1,000 | 982,023 | ||||||||
2020-1A系列, Class DR, (3 mo. LIBOR US + 3.10%), 4.14%, 07/15/36 |
500 | 467,008 | ||||||||
信用承兑汽车贷款信托基金, 2020-1A系列, Class A, 2.01%, 02/15/29(b) |
958 | 954,536 | ||||||||
CWHEQ循环房屋净值贷款信托基金, 系列2006-I, Class 1A, (1 mo. LIBOR US + 0.14%), 1.46%, 01/15/37(a) |
1,315 | 1,204,625 | ||||||||
德莱登50高级贷款基金 2017-50A系列, Class B, (3 mo. LIBOR US + 1.65%), 2.69%, 07/15/30(a)(b) |
250 | 240,423 | ||||||||
德莱顿53 CLO有限公司 2017-53A系列, Class B, (3 mo. LIBOR US + 1.40%), 2.44%, 01/15/31(a)(b) |
1,320 | 1,247,400 | ||||||||
德莱顿64 CLO有限公司 2018-64A系列, Class D, (3 mo. LIBOR US + 2.65%), 3.69%, 04/18/31(a)(b) |
1,250 | 1,142,934 | ||||||||
德莱顿78 CLO有限公司 2020-78A系列, Class D, (3 mo. LIBOR US + 3.00%), 4.04%, 04/17/33(a)(b) |
250 | 229,350 | ||||||||
德莱登XXVIII高级贷款基金 2013-28A系列, Class B1LR, (3 mo. LIBOR US + 3.15%), 4.56%, 08/15/30(a)(b) |
1,000 | 936,952 | ||||||||
伊顿万斯CLO有限公司 系列2015-1A, Class A2R, (3 mo. LIBOR US + 1.25%), 2.31%, 01/20/30(a)(b) |
1,000 | 971,475 | ||||||||
EDvestinU私立教育贷款第三期有限责任公司, 2021-A系列, Class B, 3.50%, 11/25/50(b) |
110 | 93,060 | ||||||||
Elevation CLO Ltd. 2021-12A系列, Class E, (3 mo. LIBOR US + 7.27%), 8.33%, 04/20/32(a)(b) |
500 | 445,622 | ||||||||
艾姆伍德CLO IV有限公司 2020-1A系列, Class B, (3 mo. LIBOR US + 1.70%), 2.74%, 04/15/33(a)(b) |
250 | 237,782 | ||||||||
Elmwood CLO V Ltd. 2020-2A系列, Class CR, (3 mo. LIBOR US + 2.00%), 3.06%, 10/20/34(a)(b) |
436 | 406,058 | ||||||||
榆树林CLO VI有限公司 2020-3A系列, Class BR, 2.71%, 10/20/34(b) |
250 | 235,379 | ||||||||
费尔斯通金融发行信托I,2020-1A系列,C类,5.16%,10/20/39 (b) |
计算机辅助设计 | 170 | 127,923 | |||||||
银河XX CLO有限公司 2015-20A系列, Class CR, (3 mo. LIBOR US + 1.75%), 2.81%, 04/20/31(a)(b) . |
美元 | 250 | 236,666 | |||||||
生成ClO 3有限公司, 2016-1A系列, Class DR, (3 mo. LIBOR US + 3.60%), 4.66%, 10/20/29(a)(b) |
1,750 | 1,691,789 | ||||||||
生成CLO 4有限公司, 2016-2A系列, Class DR, (3 mo. LIBOR US + 3.15%), 4.21%, 04/20/32(a)(b) |
1,500 | 1,386,585 | ||||||||
生成CLO 6有限公司,系列6A,DR类,(3个月Libor US+3.50%),4.64%,01/22/35 (a)(b) |
750 | 698,444 | ||||||||
金树贷款管理美国CLO 3,Ltd. 2018-3A系列, Class B1, (3 mo. LIBOR US + 1.55%), 2.61%, 04/20/30(a)(b) |
250 | 237,751 | ||||||||
金树贷款管理美国CLO 4,Ltd.,BR类,2.78%,4/24/31 (b) |
500 | 479,245 | ||||||||
金树贷款机会IX有限公司,2014-9A系列,BR2类,(3个月Libor US+1.60%),2.84%,10/29/29 (a)(b) |
1,500 | 1,452,548 | ||||||||
金树贷款机会X有限公司,2015-10A系列,DR类,(3个月Libor US+3.05%),4.11%,07/20/31 (a)(b) |
250 | 231,813 | ||||||||
Golub Capital Partners CLO 55B有限公司,系列2021-55A,E类,(3个月Libor US+6.56%),7.62%,07/20/34 (a)(b) |
250 | 232,038 |
S C H E D U L E O F I N V E S T M E N T S |
15 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||
资产支持证券(续) |
| |||||||||
Grippen Park CLO有限公司,系列 2017-1A, Class D, (3 mo. LIBOR US + 3.30%), 4.36%, 01/20/30(a)(b) |
美元 | 250 | $ | 236,532 | ||||||
湾流子午线1号有限公司,系列 2020-IA, Class E, (3 mo. LIBOR US + 6.45%), 7.49%, 04/15/33(a)(b) |
500 | 463,155 | ||||||||
《高桥贷款管理》系列 3A-2014, Class CR, (3 mo. LIBOR US + 3.60%), 4.64%, 07/18/29(a)(b) |
1,000 | 890,086 | ||||||||
贷款资金信托基金,系列 2020-2A, Class C, 4.30%, 04/21/31(b) |
240 | 227,764 | ||||||||
诉讼费用剩余资金信托,4.00%,10/30/27 (c) |
1,278 | 1,222,052 | ||||||||
长滩按揭贷款信托基金,系列 2006-8, Class 2A4, (1 mo. LIBOR US + 0.48%), 2.10%, 09/25/36(a) |
6,276 | 2,012,219 | ||||||||
麦迪逊公园基金有限公司,系列 2018-1A, Class D, (3 mo. LIBOR US + 3.10%), 4.14%, 10/15/31(a)(b) |
250 | 230,173 | ||||||||
麦迪逊公园基金XXIII有限公司,系列 2017-23A, Class CR, (3 mo. LIBOR US + 2.00%), 3.22%, 07/27/31(a)(b) |
600 | 575,598 | ||||||||
麦迪逊公园基金XXV有限公司,系列 2017-25A, Class A2R, (3 mo. LIBOR US + 1.65%), 2.83%, 04/25/29(a)(b) |
250 | 242,016 | ||||||||
麦迪逊公园基金XXXIV有限公司,2019-34A系列,DR类,(3个月Libor US+3.35%),4.53%,04/25/32 (a)(b) |
250 | 235,495 | ||||||||
麦迪逊公园基金XXXVIII有限公司,系列2021-38A,C类,(3个月Libor US+1.90%),2.94%,07/17/34 (a)(b) |
250 | 229,806 | ||||||||
大理石点CLO XVII有限公司,系列 2020-1A, Class D, (3 mo. LIBOR US + 3.75%), 4.81%, 04/20/33(a)(b) |
250 | 239,074 | ||||||||
Marble Point CLO XXIII有限公司,系列 2021-4A, Class D1, (3 mo. LIBOR US + 3.65%), 4.79%, 01/22/35(a)(b) |
250 | 242,135 | ||||||||
水手金融发行信托基金 (b) |
||||||||||
系列 2021-AA, C类,2.96%, 03/20/36 |
190 | 164,076 | ||||||||
系列 2021-AA, D类,3.83%, 03/20/36 |
180 | 157,938 | ||||||||
纳维特私立教育再融资贷款信托基金 (b) |
||||||||||
系列 2021-DA, C类,3.48%, 04/15/60 |
770 | 690,333 | ||||||||
系列 2021-DA, D类,4.00%, 04/15/60 |
440 | 394,737 | ||||||||
Nelnet助学贷款信托基金 (b) |
||||||||||
系列 2021-A, D类,4.93%, 04/20/62 |
460 | 414,507 | ||||||||
系列 2021-BA, B级,2.68%, 04/20/62 |
1,983 | 1,681,599 | ||||||||
Neuberger Berman CLO XXII有限公司,系列 2016-22A, Class BR, (3 mo. LIBOR US + 1.65%), 2.69%, 10/17/30(a)(b) |
250 | 239,804 | ||||||||
Neuberger Berman Loan Advisers CLO 37 Ltd.,系列 2020-37A, CR级,(3个月伦敦银行间同业拆借利率(Libor US),2.86%, 07/20/31 (a)(b) |
1,162 | 1,097,410 | ||||||||
OCP CLO有限公司 (a)(b) |
||||||||||
系列 2015-9A, Class BR2, (SOFR + 1.75%), 2.02%, 01/15/33 |
250 | 235,659 | ||||||||
系列 2017-13A, Class A1AR, (3 mo. LIBOR US + 0.96%), 2.00%, 07/15/30 |
1,000 | 982,528 | ||||||||
系列 2017-14A, Class A2, (3 mo. LIBOR US + 1.50%), 2.98%, 11/20/30 |
1,320 | 1,253,966 |
安防 |
帕尔 (000) |
价值 |
||||||||
资产支持证券(续) |
| |||||||||
八角形54有限公司,系列 2021-1A, D级(3个月。Libor US+3.05%),4.09%, 07/15/34 (a)(b) |
美元 | 250 | $ | 233,054 | ||||||
八角形投资伙伴XVII有限公司,2013-1A系列,BR2类,(3个月Libor US+1.40%),2.58%,01/25/31 (a)(b) |
500 | 474,131 | ||||||||
八角形投资伙伴XXII有限公司,2014-1A系列,DRR级,(3个月Libor US+2.75%),3.89%,01/22/30 (a)(b) |
500 | 459,336 | ||||||||
OneMain金融发行信托,系列 2020-1A, Class A, 3.84%, 05/14/32(b) |
1,747 | 1,742,024 | ||||||||
OZLm VIII有限公司,系列 2014-8A, CRR级,(3个月Libor US+3.15%),4.19%, 10/17/29 (a)(b) |
875 | 822,940 | ||||||||
OZLM XXI有限公司,系列 2017-21A, C类,(3个月Libor US+2.67%),3.73%, 01/20/31 (a)(b) |
1,000 | 901,057 | ||||||||
Palmer Square CLO 2013-2 有限公司,系列2013-2A, Class A2R3, (3 mo. LIBOR US + 1.50%), 2.54%, 10/17/31(a)(b) |
250 | 236,522 | ||||||||
Palmer Square CLO 2020-3 Ltd., Class A2R, 3.01%, 11/15/31(b) |
250 | 240,082 | ||||||||
Palmer Square CLO有限公司,系列 2015-2A, Class CR2, (3 mo. LIBOR US + 2.75%), 3.81%, 07/20/30(a)(b) |
250 | 232,740 | ||||||||
Palmer Square Loan Funding Ltd. (a)(b) |
||||||||||
系列 2019-3A, Class B, (3 mo. LIBOR US + 2.10%), 3.58%, 08/20/27 |
1,750 | 1,715,580 | ||||||||
系列 2019-3A, Class C, (3 mo. LIBOR US + 3.40%), 4.88%, 08/20/27 |
750 | 740,328 | ||||||||
系列 2019-4A, Class C, (3 mo. LIBOR US + 3.25%), 4.43%, 10/24/27 |
250 | 245,532 | ||||||||
系列 2020-1A, Class C, (3 mo. LIBOR US + 2.50%), 3.98%, 02/20/28 |
250 | 237,552 | ||||||||
Park Avenue机构顾问CLO有限公司,系列 2017-1A, Class DR, (3 mo. LIBOR US + 6.81%), 8.22%, 02/14/34(a)(b) |
1,300 | 1,165,093 | ||||||||
PPM ClO 2有限公司,系列 2019-2A, DR级,(3个月。Libor US+3.40%),4.44%, 04/16/32 (a)(b) |
250 | 234,316 | ||||||||
神童金融DAC,系列 2021-1A, Class C, (1 mo. LIBOR US + 3.75%), 5.37%, 07/25/51(a)(b) |
250 | 246,755 | ||||||||
Rad ClO 3有限公司,系列 2019-3A, DR级,(3个月。Libor US+2.75%),3.79%, 04/15/32 (a)(b) |
400 | 372,292 | ||||||||
赛艇会XI Funding Ltd.,系列 2018-1A, Class D, (3 mo. LIBOR US + 2.85%), 3.89%, 07/17/31(a)(b) |
370 | 346,808 | ||||||||
共和国金融发行信托基金,丛书 2020-A, Class C, 4.05%, 11/20/30(b) |
240 | 224,562 | ||||||||
罗马克CLO有限公司,系列 2017-1A, B类,(3个月。Libor US+2.15%),3.33%, 10/23/30 (a)(b) |
500 | 481,962 | ||||||||
沙克尔顿CLO有限公司,系列 2015-7RA, Class C, (3 mo. LIBOR US + 2.35%), 3.39%, 07/15/31(a)(b) |
250 | 237,994 | ||||||||
中小企业私立教育贷款信托基金 (b) |
||||||||||
系列 2021-C, Class C, 3.00%, 01/15/53 |
190 | 178,978 | ||||||||
系列 2021-C, Class D, 3.93%, 01/15/53 |
160 | 146,048 | ||||||||
Sterling Coofs Trust (b)(c) |
||||||||||
系列 2004-1, Class A, 2.00%, 04/15/29 |
863 | 8,633 | ||||||||
系列 2004-2, 课堂笔记,2.08%, 03/30/30 |
805 | 8,047 | ||||||||
结构性资产证券公司直通证书,系列 2002-AL1, Class A2, 3.45%, 02/25/32 |
95 | 86,196 | ||||||||
TCW CLO有限公司,系列 2020-1A, DRR级,(3个月Libor US+3.40%),4.46%, 04/20/34 (a)(b) |
250 | 234,396 |
16 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||
资产支持证券(续) |
| |||||||||
TICPCLO I-2 有限公司,系列2018-IA, Class C, (3 mo. LIBOR US + 3.04%), 4.25%, 04/26/28(a)(b) |
美元 | 500 | $ | 487,700 | ||||||
TICPCLO IX有限公司,系列 2017-9A, Class D, (3 mo. LIBOR US + 2.90%), 3.96%, 01/20/31(a)(b) |
500 | 471,569 | ||||||||
TICPCLO XV有限公司,系列 2020-15A, Class D, (3 mo. LIBOR US + 3.15%), 4.21%, 04/20/33(a)(b) |
250 | 231,145 | ||||||||
Trestles CLO Ltd. (a)(b) |
||||||||||
系列 2017-1A, B1R班,(3个月Libor US+1.75%),2.93%, 04/25/32 |
1,750 | 1,629,413 | ||||||||
系列 2017-1A, CR级,(3个月Libor US+2.90%),4.08%, 04/25/32 |
250 | 233,982 | ||||||||
三体船Cavu有限公司,系列 2021-2A, Class D1, (3 mo. LIBOR US + 3.25%), 4.43%, 10/25/34(a)(b) |
500 | 467,707 | ||||||||
三体船CAVU有限公司,系列 2019-2A, Class C, (3 mo. LIBOR US + 4.72%), 5.76%, 11/26/32(a)(b) |
500 | 494,703 | ||||||||
独一无二的酒吧金融有限公司 (d) |
||||||||||
Series A4, 5.66%, 06/30/27 |
英镑 | 636 | 810,524 | |||||||
Series M, 7.40%, 03/28/24 |
1,829 | 2,269,046 | ||||||||
Series N, 6.46%, 03/30/32 |
100 | 139,397 | ||||||||
Voya CLO 2017-2, AR级,2.69%, 06/07/30 (b) |
美元 | 250 | 241,110 | |||||||
Voya CLO有限公司 (a)(b) |
||||||||||
系列 2017-4A, Class A1, (3 mo. LIBOR US + 1.13%), 2.17%, 10/15/30 |
250 | 246,257 | ||||||||
系列 2018-2A, Class A2, (3 mo. LIBOR US + 1.25%), 2.29%, 07/15/31 |
1,000 | 966,737 | ||||||||
白盒CLO I有限公司,系列 2019-1A, Class CR, (3 mo. LIBOR US + 3.05%), 4.23%, 07/24/32(a)(b) |
500 | 448,110 | ||||||||
白盒CLO II有限公司,系列 2020-2A, Class DR, (3 mo. LIBOR US + 3.35%), 4.53%, 10/24/34(a)(b) |
500 | 470,916 | ||||||||
白盒CLO III有限公司 (a)(b) |
||||||||||
系列 2021-3A, D级(3个月。Libor US+3.35%),4.39%, 10/15/34 |
250 | 235,505 | ||||||||
系列 2021-3A, E班,(3个月Libor US+6.85%),7.89%, 10/15/34 |
250 | 232,502 | ||||||||
约克CLO 1有限公司,系列 2014-1A, Class CRR, (3 mo. LIBOR US + 2.10%), 3.24%, 10/22/29(a)(b) |
250 | 242,491 | ||||||||
|
|
|||||||||
总资产支持证券-10.2% (Cost: $69,577,848) |
|
65,110,067 | ||||||||
|
|
|||||||||
公司债券 |
||||||||||
广告公司--0.1% |
||||||||||
InterPublic Group of Cos,Inc., 5.40%, 10/01/48 |
500 | 487,214 | ||||||||
|
|
|||||||||
航空航天和国防-2.1% |
||||||||||
Amsted Industries,Inc. 5.63%, 07/01/27 (b) |
30 | 28,200 | ||||||||
Boeing Co., 3.20%, 03/01/29 (e) |
1,175 | 1,016,709 | ||||||||
庞巴迪公司 (b) 7.50%, 03/15/25 |
35 | 31,631 | ||||||||
7.13%, 06/15/26 |
612 | 504,582 | ||||||||
7.88%, 04/15/27 |
395 | 328,802 | ||||||||
6.00%, 02/15/28 |
415 | 311,001 | ||||||||
7.45%, 05/01/34 |
100 | 74,995 | ||||||||
Eaton Corp., 4.15%, 11/02/42 |
500 | 448,706 | ||||||||
美国有限责任公司,XR系列,7.38%,08/15/26 (b) |
200 | 159,296 | ||||||||
通用电气,6.15%,08/07/37 |
2,150 | 2,219,561 | ||||||||
洛克希德·马丁公司 4.09%, 09/15/52 |
1,410 | 1,312,690 | ||||||||
诺斯罗普·格鲁曼公司 3.85%, 04/15/45 |
350 | 294,632 | ||||||||
雷神技术公司, 2.25%, 07/01/30 (e) |
2,000 | 1,724,163 |
安防 |
帕尔 (000) |
价值 |
||||||||
航空航天与国防(续) |
| |||||||||
罗尔斯-罗伊斯公司,5.75%,10/15/27 (b) |
美元 | 1,000 | $ | 901,300 | ||||||
SPIRIT航空系统公司 (b) |
||||||||||
5.50%, 01/15/25 |
105 | 97,125 | ||||||||
7.50%, 04/15/25 |
22 | 20,433 | ||||||||
TransDigm,Inc. |
||||||||||
8.00%, 12/15/25 (b) |
130 | 131,461 | ||||||||
6.25%, 03/15/26 (b) |
3,103 | 2,990,516 | ||||||||
6.38%, 06/15/26 |
31 | 28,985 | ||||||||
7.50%, 03/15/27 |
71 | 66,982 | ||||||||
4.63%, 01/15/29 |
318 | 255,996 | ||||||||
4.88%, 05/01/29 |
203 | 165,250 | ||||||||
凯旋集团,8.88%,06/01/24 (b) |
527 | 530,884 | ||||||||
|
|
|||||||||
13,643,900 | ||||||||||
航空公司-1.4% |
||||||||||
Air Canada, 3.88%, 08/15/26 (b) |
255 | 215,702 | ||||||||
美国航空直通信托基金 |
||||||||||
系列 2013-2, A类,4.95%, 07/15/24 (e) |
810 | 794,536 | ||||||||
系列 2015-2, A类,4.00%, 03/22/29 |
1,074 | 950,538 | ||||||||
系列 2015-2, AA级,3.60%, 03/22/29 |
1,074 | 994,136 | ||||||||
美国航空公司,Inc. 11.75%, 07/15/25 (b) |
303 | 313,575 | ||||||||
美国航空公司/AAdvantage忠诚IP有限公司 (b) |
||||||||||
5.50%, 04/20/26 |
744 | 683,493 | ||||||||
5.75%, 04/20/29 |
701 | 598,767 | ||||||||
Avianca Midco 2 Ltd.,9.00%,12/01/28 (b) |
150 | 129,868 | ||||||||
达美航空公司/SkyMiles IP Ltd.,4.75%,10/20/28 (b) |
49 | 46,105 | ||||||||
德国汉莎航空公司, 2.88%, 05/16/27 (d) |
欧元 | 100 | 82,694 | |||||||
Gol Finance SA, 7.00%, 01/31/25 (b) |
美元 | 200 | 124,288 | |||||||
夏威夷品牌知识产权有限公司/夏威夷迈尔斯忠诚度有限公司,5.75%,01/20/26 (b) |
168 | 150,562 | ||||||||
Mileage Plus Holdings LLC/Mileage Plus知识产权资产有限公司,6.50%,06/20/27 (b) |
465 | 457,493 | ||||||||
美联航直通信托基金 |
||||||||||
系列 2020-1, A类,5.88%, 04/15/29 |
406 | 399,366 | ||||||||
系列 2020-1, B级,4.88%, 07/15/27 |
29 | 27,586 | ||||||||
A系列,A类, 4.30%, 02/15/27 |
2,512 | 2,401,272 | ||||||||
美国联合航空公司 (b) |
||||||||||
4.38%, 04/15/26 |
310 | 273,163 | ||||||||
4.63%, 04/15/29 |
606 | 514,052 | ||||||||
|
|
|||||||||
9,157,196 | ||||||||||
汽车零部件-0.6% |
||||||||||
Aptiv PLC, 4.40%, 10/01/46 |
465 | 369,351 | ||||||||
Clario Global LP,6.75%,05/15/25 (b) |
154 | 152,529 | ||||||||
克拉里奥斯全球有限责任公司/克莱里奥斯美国金融公司 |
||||||||||
4.38%, 05/15/26 (d) |
欧元 | 100 | 91,242 | |||||||
6.25%, 05/15/26 (b) |
美元 | 743 | 715,137 | |||||||
8.50%, 05/15/27 (b) |
1,815 | 1,754,152 | ||||||||
经销商轮胎有限责任公司/DT Issuer LLC, 8.00%, 02/01/28 (b) |
211 | 182,283 | ||||||||
多诺克债务合并子公司,Inc. 6.63%, 10/15/29 (b) |
75 | 55,388 | ||||||||
固特异轮胎橡胶有限公司 |
||||||||||
5.00%, 07/15/29 |
109 | 90,269 | ||||||||
5.63%, 04/30/33 |
162 | 129,743 | ||||||||
ZF Finance GmbH,3.75%,09/21/28 (d) |
欧元 | 100 | 82,220 | |||||||
|
|
|||||||||
3,622,314 | ||||||||||
汽车--1.4% |
||||||||||
艾利森变速器公司 5.88%, 06/01/29 (b) |
美元 | 129 | 119,970 | |||||||
Asbury Automotive Group,Inc. |
||||||||||
4.50%, 03/01/28 |
18 | 15,615 |
S C H E D U L E O F I N V E S T M E N T S |
17 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||
汽车(续) |
||||||||||
Asbury Automotive Group,Inc.(续) |
||||||||||
4.75%, 03/01/30 |
美元 | 84 | $ | 69,069 | ||||||
5.00%, 02/15/32 (b) |
106 | 86,655 | ||||||||
Carvana Co. (b)(e) |
||||||||||
5.50%, 04/15/27 |
173 | 111,643 | ||||||||
4.88%, 09/01/29 |
151 | 85,859 | ||||||||
星座汽车融资公司,4.88%,07/15/27 (d) |
英镑 | 100 | 95,558 | |||||||
福特汽车公司 |
||||||||||
0.00%, 03/15/26(f)(g) |
美元 | 150 | 136,800 | |||||||
4.35%, 12/08/26 |
7 | 6,488 | ||||||||
3.25%, 02/12/32 |
420 | 314,118 | ||||||||
4.75%, 01/15/43 |
2,000 | 1,424,669 | ||||||||
5.29%, 12/08/46 |
19 | 14,571 | ||||||||
福特汽车信贷有限责任公司 |
||||||||||
4.69%, 06/09/25 |
200 | 189,002 | ||||||||
4.13%, 08/04/25 |
279 | 264,265 | ||||||||
4.39%, 01/08/26 |
200 | 184,212 | ||||||||
2.70%, 08/10/26 |
200 | 170,430 | ||||||||
4.95%, 05/28/27 |
401 | 372,429 | ||||||||
4.13%, 08/17/27 |
200 | 176,100 | ||||||||
3.82%, 11/02/27 |
400 | 340,000 | ||||||||
2.90%, 02/16/28 |
200 | 161,152 | ||||||||
5.11%, 05/03/29 |
200 | 179,295 | ||||||||
3.63%, 06/17/31 |
500 | 387,500 | ||||||||
通用汽车,6.25%,10/02/43 |
2,506 | 2,387,433 | ||||||||
通用汽车金融公司,4.25%,05/15/23 |
807 | 809,749 | ||||||||
第一组汽车公司,4.00%,08/15/28 (b) |
30 | 25,074 | ||||||||
Ken Garff Automotive LLC,4.88%,09/15/28 (b) |
82 | 66,854 | ||||||||
LCM Investments Holdings II LLC,4.88%,05/01/29 (b) |
182 | 138,520 | ||||||||
Lithia Motors,Inc.,3.88%,06/01/29 (b) |
89 | 75,595 | ||||||||
MajorDrive Holdings IV LLC,6.38%,06/01/29 (b) |
120 | 82,200 | ||||||||
彭斯克汽车集团有限公司 |
||||||||||
3.50%, 09/01/25 |
29 | 27,188 | ||||||||
3.75%, 06/15/29 |
46 | 38,302 | ||||||||
RCI Banque SA, (5 year EUR Swap + 2.85%), 2.63%, 02/18/30 (a)(d) |
欧元 | 100 | 90,827 | |||||||
Sonic Automotive,Inc.,4.63%,11/15/29 (b) |
美元 | 40 | 30,992 | |||||||
Wabash National Corp.,4.50%,10/15/28 (b) |
149 | 113,985 | ||||||||
|
|
|||||||||
8,792,119 | ||||||||||
Banks — 1.5% |
||||||||||
Banca Monte dei Paschi di Siena spa,2.63%,04/28/25 (d) |
欧元 | 100 | 92,518 | |||||||
毕尔巴鄂比兹卡亚阿根廷银行,(5年期美元掉期+3.87%),6.13% (a)(h) |
美元 | 2,000 | 1,683,322 | |||||||
曼谷银行PCL,(5年期CMT+4.73%),5.00% (a) |
200 | 182,100 | ||||||||
印尼Negara银行Persero Tbk PT,3.75%,03/30/26 (d) |
252 | 227,458 | ||||||||
交通银行股份有限公司(5年期债务抵押贷款+3.35%),3.80% (a)(d)(h) |
518 | 506,993 | ||||||||
Grupo Aval Ltd., 4.38%, 02/04/30 (b) |
200 | 155,788 | ||||||||
Intesa Sanpaolo Spa,5.02%,06/26/24 (b) |
3,151 | 3,006,472 | ||||||||
Krung泰国银行PCL,(5年期CMT+3.53%),4.40% (a)(d)(h) |
252 | 217,980 | ||||||||
NBK Tier 1 Limited,3.63% (a)(b)(h) |
209 | 187,486 | ||||||||
渣打集团,(5年期美元洲际交易所掉期+1.97%),4.87%,03/15/33 (a)(b) |
500 | 471,230 |
安防 |
帕尔 (000) |
价值 |
||||||||
银行(续) |
||||||||||
SVB金融集团,D系列(5年期CMT+3.07%),4.25% (a)(h) |
美元 | 1,275 | $ | 962,027 | ||||||
富国银行。 |
||||||||||
3.90%, 05/01/45 |
2,250 | 1,891,446 | ||||||||
BB系列,(5年CMT+3.45%), 3.90% (a)(h) |
245 | 211,006 | ||||||||
|
|
|||||||||
9,795,826 | ||||||||||
饮料-1.2% |
||||||||||
安海斯-布希公司有限责任公司/百威英博全球公司,4.90%,02/01/46 (e) |
4,600 | 4,323,493 | ||||||||
ARD Finance SA, (6.50% Cash or 7.25% PIK), 6.50%, 06/30/27 (b)(i) |
301 | 223,270 | ||||||||
阿尔达格金属包装金融美国有限责任公司/阿尔达格金属包装金融公司,4.00%,09/01/29 (b) |
1,466 | 1,176,465 | ||||||||
Ardagh包装金融公司/Ardagh Holdings USA,Inc.,5.25%,08/15/27 (b) |
242 | 172,560 | ||||||||
鲍尔公司 |
||||||||||
5.25%, 07/01/25 |
12 | 12,008 | ||||||||
2.88%, 08/15/30 |
25 | 20,123 | ||||||||
3.13%, 09/15/31 |
254 | 204,887 | ||||||||
皇冠软木和密封公司,7.38%,12/15/26 |
23 | 23,495 | ||||||||
Mauser包装解决方案控股公司,5.50%,04/15/24 (b) |
431 | 411,605 | ||||||||
Silgan Holdings,Inc.,4.13%,02/01/28 |
25 | 22,418 | ||||||||
Trivium包装金融公司 (b) |
||||||||||
5.50%, 08/15/26 |
205 | 193,666 | ||||||||
8.50%, 08/15/27 |
738 | 691,951 | ||||||||
|
|
|||||||||
7,475,941 | ||||||||||
生物技术--0.2% |
||||||||||
Baxalta, Inc., 5.25%, 06/23/45 |
500 | 498,957 | ||||||||
Cidron Aida Finco SARL,5.00%,04/01/28 (d) |
欧元 | 100 | 87,049 | |||||||
吉利德科学公司,4.80%,04/01/44 |
美元 | 1,000 | 967,467 | |||||||
|
|
|||||||||
1,553,473 | ||||||||||
建筑材料 (b) — 0.2% |
||||||||||
基石建筑品牌公司,6.13%,01/15/29 |
171 | 109,858 | ||||||||
CP Atlas Buyer,Inc.,7.00%,12/01/28 |
41 | 29,609 | ||||||||
杰尔德-文, Inc. |
||||||||||
6.25%, 05/15/25 |
98 | 94,080 | ||||||||
4.63%, 12/15/25 |
12 | 10,200 | ||||||||
美森尼国际公司 |
||||||||||
Class C, 5.38%, 02/01/28 |
17 | 15,385 | ||||||||
Class C, 3.50%, 02/15/30 |
145 | 115,416 | ||||||||
新企业石灰股份有限公司。 |
||||||||||
5.25%, 07/15/28 |
55 | 45,212 | ||||||||
9.75%, 07/15/28 |
26 | 22,230 | ||||||||
SRM托管发行商有限责任公司,6.00%,11/01/28 |
408 | 344,854 | ||||||||
标准工业公司 |
||||||||||
4.75%, 01/15/28 |
54 | 46,170 | ||||||||
4.38%, 07/15/30 |
501 | 395,164 | ||||||||
3.38%, 01/15/31 |
64 | 47,207 | ||||||||
顶峰材料有限责任公司/顶峰材料金融公司,5.25%,1/15/29 |
117 | 102,082 | ||||||||
|
|
|||||||||
1,377,467 | ||||||||||
建筑产品-0.8% |
||||||||||
高级排水系统公司 |
||||||||||
5.00%, 09/30/27 (b) |
191 | 176,106 | ||||||||
6.38%, 06/15/30 |
290 | 283,205 | ||||||||
Beacon Roofing Supply,Inc.,4.13%,05/15/29 (b) |
68 | 55,299 |
18 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
建筑产品(续) |
||||||||||||
基础建材股份有限公司 6.00%, 03/01/29 (b) |
美元 | 103 | $ | 75,448 | ||||||||
Gyp Holdings III Corp.,4.63%,05/01/29 (b) |
159 | 123,977 | ||||||||||
Home Depot, Inc., 5.88%, 12/16/36 |
1,660 | 1,908,636 | ||||||||||
LBM收购有限责任公司,6.25%,1/15/29 (b) |
148 | 95,285 | ||||||||||
Lowe’s Cos., Inc., 4.38%, 09/15/45 |
1,000 | 866,615 | ||||||||||
Patrick Industries,Inc.,4.75%,05/01/29 (b) |
43 | 32,002 | ||||||||||
特种建筑产品控股有限责任公司/SBP金融公司, 6.38%, 09/30/26 (b) |
157 | 127,643 | ||||||||||
SRS分销公司 (b) 4.63%, 07/01/28 |
362 | 316,750 | ||||||||||
6.13%, 07/01/29 |
265 | 209,078 | ||||||||||
6.00%, 12/01/29 |
371 | 291,320 | ||||||||||
White Cap Buyer LLC,6.88%,10/15/28 (b) |
291 | 232,800 | ||||||||||
White Cap Parent LLC(8.25%PIK), 8.25%, 03/15/26 (b)(i) |
142 | 118,215 | ||||||||||
|
|
|||||||||||
4,912,379 | ||||||||||||
资本市场--2.6% |
||||||||||||
嘉信理财,H系列,(10年CMT+3.08%),4.00% (a)(e)(h) |
5,195 | 3,998,851 | ||||||||||
Compass Group Diversified Holdings LLC,5.25%,04/15/29 (b) |
129 | 106,425 | ||||||||||
FMR LLC, 4.95%, 02/01/33 (b) |
2,300 | 2,301,028 | ||||||||||
伊坎企业有限责任公司/伊坎企业财务公司 |
||||||||||||
4.75%, 09/15/24 |
112 | 104,530 | ||||||||||
6.25%, 05/15/26 |
57 | 53,361 | ||||||||||
5.25%, 05/15/27 |
309 | 273,725 | ||||||||||
4.38%, 02/01/29 |
207 | 167,289 | ||||||||||
Kane Bidco Ltd., 6.50%, 02/15/27 (d) |
英镑 | 100 | 106,295 | |||||||||
NFP公司 (b) 4.88%, 08/15/28 |
美元 | 358 | 306,616 | |||||||||
6.88%, 08/15/28 |
1,008 | 831,640 | ||||||||||
北方信托公司,3.95%,10/30/25 (e) |
8,000 | 8,032,617 | ||||||||||
雷蒙德·詹姆斯金融公司 4.95%, 07/15/46 |
400 | 389,811 | ||||||||||
|
|
|||||||||||
16,672,188 | ||||||||||||
化学品-0.9% |
||||||||||||
法国液化空气金融公司,3.50%,09/27/46 (b) |
360 | 303,623 | ||||||||||
Ashland LLC, 3.38%, 09/01/31 (b) |
186 | 151,288 | ||||||||||
Axalta涂层系统有限责任公司 3.38%, 02/15/29 (b) |
498 | 406,552 | ||||||||||
Braskem荷兰金融BV,(5年期CMT+8.22%),8.50%,81年1月23日 (a)(b) |
219 | 219,246 | ||||||||||
Diamond BC BV, 4.63%, 10/01/29 (b) |
419 | 335,074 | ||||||||||
Element Solutions,Inc.,3.88%,09/01/28 (b) |
807 | 665,880 | ||||||||||
EverArc托管协议,5.00%,10/30/29 (b) |
372 | 313,118 | ||||||||||
GCP应用技术公司 5.50%, 04/15/26 (b) |
101 | 100,495 | ||||||||||
HB Fuller Co., 4.25%, 10/15/28 |
74 | 62,091 | ||||||||||
Herens Holdco SARL,4.75%,05/15/28 (b) |
400 | 332,320 | ||||||||||
Herens Midco SARL,5.25%,05/15/29 (d) |
欧元 | 100 | 68,377 | |||||||||
照明买家有限责任公司/照明控股有限公司,9.00%,07/01/28 (b) |
美元 | 230 | 181,700 | |||||||||
Ingevity Corp., 3.88%, 11/01/28 (b) |
57 | 47,738 | ||||||||||
Kobe U.S. Midco 2, Inc., (9.25% Cash or 10.00% PIK), 9.25%, 11/01/26 (b)(i) |
155 | 141,769 | ||||||||||
LSF11 A5 HoldCo LLC, 6.63%, 10/15/29 (b) |
76 | 64,030 | ||||||||||
Lune Holdings SARL,5.63%,11/15/28 (d) |
欧元 | 100 | 84,142 | |||||||||
矿物技术公司, 5.00%, 07/01/28 (b) |
美元 | 114 | 99,214 | |||||||||
Monitchem HoldCo 3 SA,5.25%,03/15/25 (d) |
欧元 | 100 | 96,018 | |||||||||
Nova Chemals Corp.,4.88%,06/01/24 (b) |
美元 | 41 | 38,970 | |||||||||
萨索尔融资美国有限责任公司,6.50%,09/27/28 |
200 | 181,663 |
安防 |
帕尔 (000) |
价值 |
||||||||||
化学品(续) |
||||||||||||
Ssel IV LLC/Ssel USA Holdings LLC, 5.38%, 11/01/26 (b) |
美元 | 200 | $ | 160,000 | ||||||||
史考特奇迹公司 4.00%, 04/01/31 |
122 | 91,195 | ||||||||||
4.38%, 02/01/32 |
18 | 13,684 | ||||||||||
舍温-威廉姆斯公司,4.50%,06/01/47 |
350 | 310,161 | ||||||||||
韦斯科经销公司 (b) 7.13%, 06/15/25 |
117 | 116,746 | ||||||||||
7.25%, 06/15/28 |
252 | 249,228 | ||||||||||
WR Grace Holdings LLC (b) 5.63%, 10/01/24 |
21 | 20,345 | ||||||||||
5.63%, 08/15/29 |
1,144 | 842,270 | ||||||||||
|
|
|||||||||||
5,696,937 | ||||||||||||
商业服务和用品-0.3% |
||||||||||||
ADT安全公司 (b) 4.13%, 08/01/29 |
19 | 15,420 | ||||||||||
4.88%, 07/15/32 |
25 | 19,901 | ||||||||||
Albion Finding 1 SARL/Aggreko Holdings,Inc.,6.13%,10/15/26 (b) |
200 | 171,165 | ||||||||||
APX集团公司 (b) 6.75%, 02/15/27 |
123 | 114,070 | ||||||||||
5.75%, 07/15/29 |
181 | 140,129 | ||||||||||
安飞士预算汽车租赁有限责任公司/安飞士预算财务公司, 5.38%, 03/01/29 (b)(e) |
26 | 21,627 | ||||||||||
BCP V模块化服务金融II PLC, 4.75%, 11/30/28 (d) |
欧元 | 100 | 83,155 | |||||||||
EC Finance PLC, 3.00%, 10/15/26 (d) |
100 | 91,409 | ||||||||||
堡垒运输和基础设施投资者有限责任公司 (b) |
||||||||||||
6.50%, 10/01/25 |
美元 | 50 | 47,175 | |||||||||
5.50%, 05/01/28 |
194 | 160,130 | ||||||||||
Herc Holdings,Inc.,5.50%,07/15/27 (b) |
164 | 149,716 | ||||||||||
赫兹公司 (b) 4.63%, 12/01/26 |
85 | 71,067 | ||||||||||
5.00%, 12/01/29 |
70 | 53,900 | ||||||||||
梅蒂斯合并子有限责任公司,6.50%,05/15/29 (b) |
145 | 115,224 | ||||||||||
Nesco Holdings II,Inc.,5.50%,04/15/29 (b) |
146 | 122,275 | ||||||||||
PECF USS Intermediate Holding III Corp.,8.00%,11/15/29 (b) |
7 | 5,548 | ||||||||||
Prime Security Services借款人LLC/Prime Finance,Inc. (b) |
||||||||||||
5.75%, 04/15/26 |
103 | 96,047 | ||||||||||
6.25%, 01/15/28 |
177 | 148,077 | ||||||||||
苏富比/BidFair Holdings,Inc. 5.88%, 06/01/29 (b) |
400 | 343,328 | ||||||||||
联合租赁北美公司, 5.25%, 01/15/30 |
40 | 37,100 | ||||||||||
威廉姆斯·斯科斯曼国际公司 4.63%, 08/15/28 (b) |
146 | 124,465 | ||||||||||
|
|
|||||||||||
2,130,928 | ||||||||||||
通信设备-0.2% |
||||||||||||
Avaya, Inc., 6.13%, 09/15/28 (b) |
398 | 259,695 | ||||||||||
Ciena Corp., 4.00%, 01/31/30 (b) |
71 | 61,282 | ||||||||||
CommScope Technologies LLC, 6.00%, 06/15/25 (b) |
143 | 123,695 | ||||||||||
CommScope,Inc. (b) |
||||||||||||
8.25%, 03/01/27 |
44 | 34,782 | ||||||||||
7.13%, 07/01/28 (e) |
171 | 129,974 | ||||||||||
4.75%, 09/01/29 |
213 | 171,826 | ||||||||||
诺基亚OYJ 4.38%, 06/12/27 |
31 | 29,285 | ||||||||||
6.63%, 05/15/39 |
88 | 87,010 |
S C H E D U L E O F I N V E S T M E N T S |
19 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
通信设备(续) |
||||||||||||
ViaSat公司 (b) 5.63%, 09/15/25 |
美元 | 169 | $ | 136,693 | ||||||||
6.50%, 07/15/28 |
35 | 24,109 | ||||||||||
Viavi Solutions,Inc.,3.75%,10/01/29 (b) |
202 | 169,178 | ||||||||||
|
|
|||||||||||
1,227,529 | ||||||||||||
建筑与工程-0.6% |
||||||||||||
ITR特许权有限公司,4.20%,07/15/25 (b) |
4,000 | 3,984,403 | ||||||||||
|
|
|||||||||||
建筑材料 (b) — 0.1% |
||||||||||||
美国建筑商和承包商供应公司 4.00%, 01/15/28 |
158 | 135,329 | ||||||||||
3.88%, 11/15/29 |
46 | 36,777 | ||||||||||
BCPE帝国控股公司 7.63%, 05/01/27 |
74 | 60,242 | ||||||||||
H&E设备服务公司 3.88%, 12/15/28 |
37 | 29,924 | ||||||||||
IAA, Inc., 5.50%, 06/15/27 |
12 | 11,177 | ||||||||||
毕加索金融子公司,6.13%,25年6月15日 |
175 | 170,625 | ||||||||||
雷神工业公司,4.00%,10/15/29 |
114 | 90,288 | ||||||||||
Winnebago Industries Inc.,6.25%,07/15/28 |
77 | 70,512 | ||||||||||
|
|
|||||||||||
604,874 | ||||||||||||
非必需消费品-0.6% |
||||||||||||
APi Escrow Corp., 4.75%, 10/15/29 (b) |
68 | 54,910 | ||||||||||
APi Group DE, Inc., 4.13%, 07/15/29 (b) |
89 | 70,684 | ||||||||||
嘉年华公司 (b) 10.50%, 02/01/26 |
605 | 602,259 | ||||||||||
5.75%, 03/01/27 |
649 | 468,760 | ||||||||||
9.88%, 08/01/27 |
258 | 251,550 | ||||||||||
4.00%, 08/01/28 |
811 | 665,020 | ||||||||||
6.00%, 05/01/29 |
216 | 151,764 | ||||||||||
CoreLogic, Inc., 4.50%, 05/01/28 (b) |
350 | 269,500 | ||||||||||
联想酒店控股有限公司/联想酒店 联合发行人, Inc., 5.00%, 02/01/26(b) |
60 | 50,280 | ||||||||||
Life Time,Inc. (b) 5.75%, 01/15/26 |
174 | 155,986 | ||||||||||
8.00%, 04/15/26 |
146 | 130,122 | ||||||||||
NCL Corp. Ltd., 5.88%, 03/15/26 (b) |
156 | 122,443 | ||||||||||
NCL Finance Ltd., 6.13%, 03/15/28 (b) |
177 | 128,767 | ||||||||||
尼尔森金融有限责任公司/尼尔森金融公司 (b) 5.63%, 10/01/28 |
208 | 193,170 | ||||||||||
5.88%, 10/01/30 |
125 | 114,770 | ||||||||||
皇家加勒比邮轮有限公司。 (b) 10.88%, 06/01/23 |
45 | 45,150 | ||||||||||
9.13%, 06/15/23 |
103 | 101,863 | ||||||||||
11.50%, 06/01/25 |
82 | 84,255 | ||||||||||
5.50%, 08/31/26 |
61 | 45,292 | ||||||||||
5.50%, 04/01/28 |
340 | 236,300 | ||||||||||
Tecem Verwaltungsgesellschaft 674 MBH,6.00%,07/30/26 (d) |
欧元 | 88 | 77,789 | |||||||||
维京远洋邮轮第VII船有限公司 5.63%, 02/15/29 (b) |
美元 | 124 | 97,775 | |||||||||
|
|
|||||||||||
4,118,409 | ||||||||||||
消费金融-0.7% |
||||||||||||
美国运通,(5年期贷款利率+2.85%),3.55% (a)(h) |
500 | 406,805 | ||||||||||
Block, Inc., 3.50%, 06/01/31 (b) |
821 | 654,222 | ||||||||||
HealthEquity,Inc.,4.50%,10/01/29 (b) |
397 | 347,375 | ||||||||||
MPH收购控股有限责任公司, 5.50%, 09/01/28 (b) |
139 | 123,710 | ||||||||||
纳维特公司 7.25%, 09/25/23 |
28 | 27,703 | ||||||||||
6.13%, 03/25/24 |
51 | 48,355 | ||||||||||
5.88%, 10/25/24 |
39 | 35,848 |
安防 |
帕尔 (000) |
价值 |
||||||||||
消费金融(续) |
||||||||||||
Navient Corp.(续) 5.50%, 03/15/29 |
美元 | 193 | $ | 148,786 | ||||||||
OneMain金融公司 7.13%, 03/15/26 |
150 | 138,635 | ||||||||||
3.50%, 01/15/27 |
206 | 164,800 | ||||||||||
6.63%, 01/15/28 |
165 | 147,470 | ||||||||||
5.38%, 11/15/29 |
59 | 47,811 | ||||||||||
4.00%, 09/15/30 |
91 | 67,454 | ||||||||||
萨伯瑞全球公司 (b) 9.25%, 04/15/25 |
99 | 95,391 | ||||||||||
7.38%, 09/01/25 |
64 | 59,360 | ||||||||||
Shift4 Payments LLC/Shift4 Payments Finance Sub,Inc.,4.63%,11/01/26 (b) |
258 | 228,327 | ||||||||||
Shift4 Payments,Inc.,0.00%,12/15/25 (f)(g) |
236 | 189,154 | ||||||||||
SLM Corp., 3.13%, 11/02/26 |
117 | 94,473 | ||||||||||
Verscend托管公司,9.75%,08/15/26 (b) |
1,355 | 1,317,738 | ||||||||||
|
|
|||||||||||
4,343,417 | ||||||||||||
集装箱和包装-0.4% |
||||||||||||
阿尔达格金属包装金融美国有限责任公司/阿尔达格金属包装金融公司 (b) |
||||||||||||
6.00%, 06/15/27 |
400 | 395,892 | ||||||||||
3.25%, 09/01/28 |
200 | 170,714 | ||||||||||
克莱斯代尔收购控股公司。 (b) 6.63%, 04/15/29 |
481 | 451,962 | ||||||||||
8.75%, 04/15/30 |
256 | 220,818 | ||||||||||
Crown America LLC,5.25%,04/01/30 (b) |
91 | 85,313 | ||||||||||
图形包装国际有限责任公司 (b) 4.75%, 07/15/27 |
53 | 50,042 | ||||||||||
3.50%, 03/15/28 |
11 | 9,460 | ||||||||||
国际纸业公司,6.00%,11/15/41 |
870 | 903,092 | ||||||||||
克莱宾奥地利公司,3.20%,01/12/31 (b) |
200 | 152,250 | ||||||||||
LABL, Inc., 5.88%, 11/01/28 (b) |
176 | 142,107 | ||||||||||
Sealed Air Corp., 4.00%, 12/01/27 (b) |
49 | 44,174 | ||||||||||
苏萨诺奥地利有限公司,3.75%,01/15/31 |
80 | 64,616 | ||||||||||
|
|
|||||||||||
2,690,440 | ||||||||||||
多元化消费服务-0.6% |
||||||||||||
联合环球控股有限责任公司/联合环球金融公司 (b) 6.63%, 07/15/26 |
748 | 686,387 | ||||||||||
9.75%, 07/15/27 |
200 | 169,268 | ||||||||||
6.00%, 06/01/29 |
939 | 681,875 | ||||||||||
联合环球控股有限责任公司/联合环球金融公司/Atlas Luxco 4 SARL, 4.63%, 06/01/28 (b) |
1,241 | 1,013,077 | ||||||||||
Clarivate Science Holdings Corp. (b) 3.88%, 07/01/28 |
406 | 339,216 | ||||||||||
4.88%, 07/01/29 |
297 | 243,837 | ||||||||||
加尔达世界安全公司, 4.63%, 02/15/27 (b) |
81 | 69,660 | ||||||||||
格雷厄姆控股公司,5.75%,06/01/26 (b) |
27 | 26,730 | ||||||||||
Rekeep SpA, 7.25%, 02/01/26 (d) |
欧元 | 100 | 90,293 | |||||||||
国际服务公司,4.00%,05/15/31 |
美元 | 394 | 336,378 | |||||||||
Sotheby’s, 7.38%, 10/15/27 (b) |
465 | 430,950 | ||||||||||
|
|
|||||||||||
4,087,671 | ||||||||||||
多元化金融服务--4.8% |
||||||||||||
Acuris Finance U.S.,Inc./Acuris Finance SARL,5.00%,05/01/28 (b) |
272 | 225,711 | ||||||||||
ASG金融指定活动公司 7.88%, 12/03/24 (b) |
200 | 187,500 | ||||||||||
美国银行,3.25%,10/21/27 (e) |
4,000 | 3,759,667 | ||||||||||
Barclays PLC, 3.65%, 03/16/25 (e) |
4,320 | 4,224,511 |
20 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||
多元化金融服务(续) |
| |||||||||
法国巴黎银行,(5年期CMT+3.34%),4.63% (a)(b)(h) |
美元 | 2,000 | $ | 1,475,996 | ||||||
卡斯特莱克航空金融DAC, 5.00%, 04/15/27 (b) |
50 | 41,508 | ||||||||
中央花园宠物公司 |
||||||||||
4.13%, 10/15/30 |
116 | 95,179 | ||||||||
4.13%, 04/30/31 (b) |
119 | 95,529 | ||||||||
花旗集团。 (a)(h) |
||||||||||
(5 year CMT + 3.42%), 3.88% |
3,160 | 2,622,800 | ||||||||
Series W, (5 year CMT + 3.60%), 4.00% |
105 | 90,825 | ||||||||
Series Y, (5 year CMT + 3.00%), 4.15% |
335 | 268,837 | ||||||||
法国农业信贷银行,(5年期美元掉期+4.90%),7.88% (a)(b)(h) |
1,000 | 986,230 | ||||||||
Garfunkelux Holdco 3 SA, 7.75%, 11/01/25 (d) |
英镑 | 100 | 108,948 | |||||||
环球飞机租赁有限公司(6.50%现金或7.25%PIK),6.50%,09/15/24 (b)(i) |
美元 | 217 | 164,309 | |||||||
高盛股份有限公司 |
||||||||||
3.75%, 05/22/25 (e) |
8,965 | 8,857,815 | ||||||||
系列R,(5年CMT+3.22%), 4.95% (a)(h) |
465 | 418,654 | ||||||||
汇丰控股 |
||||||||||
6.10%, 01/14/42 |
610 | 670,054 | ||||||||
(5 year CMT + 3.25%), 4.70% (a)(h) |
275 | 206,802 | ||||||||
(5年期美元ICE掉期+4.37%), 6.38% (a)(h) |
1,750 | 1,692,161 | ||||||||
Intrum AB, 3.00%, 09/15/27 (d) |
欧元 | 100 | 80,550 | |||||||
离子交易技术公司, 5.75%, 05/15/28 (b) |
美元 | 200 | 159,958 | |||||||
Jefferies Finance LLC/JFIN联合发行商公司,5.00%,08/15/28 (b) |
220 | 180,950 | ||||||||
梯子资本金融控股有限责任公司/梯子资本金融公司 (b) |
||||||||||
4.25%, 02/01/27 |
42 | 33,908 | ||||||||
4.75%, 06/15/29 |
46 | 35,394 | ||||||||
劳埃德银行集团,(5年CMT+4.82%),6.75% (a)(h) |
595 | 560,085 | ||||||||
摩根士丹利 |
||||||||||
4.00%, 07/23/25 |
905 | 904,237 | ||||||||
3.13%, 07/27/26 |
2,000 | 1,907,891 | ||||||||
运营服务公司Mega SA de CV SOFOM ER,8.25%,2月11日 (b) |
200 | 129,787 | ||||||||
施里拉姆运输财务有限公司。 (d) |
||||||||||
5.95%, 10/24/22 |
200 | 197,440 | ||||||||
5.10%, 07/16/23 |
200 | 192,000 | ||||||||
SPECTRUM Brands公司 (b) |
||||||||||
5.00%, 10/01/29 |
53 | 45,831 | ||||||||
5.50%, 07/15/30 |
104 | 93,596 | ||||||||
瑞银集团(UBS Group AG),(5年CMT+3.31%),4.38% (a)(b)(h) |
200 | 146,320 | ||||||||
|
|
|||||||||
30,860,983 | ||||||||||
多元化电信服务-3.2% |
||||||||||
美国电话电报公司 |
||||||||||
6.38%, 03/01/41 |
520 | 581,531 | ||||||||
5.15%, 03/15/42 |
1,200 | 1,151,343 | ||||||||
4.75%, 05/15/46 |
2,710 | 2,508,283 | ||||||||
3.65%, 06/01/51 |
350 | 273,745 | ||||||||
联合通信公司, 6.50%, 10/01/28 (b) |
229 | 194,783 | ||||||||
FronTier Communications Holdings LLC,8.75%,05/15/30 (b) |
201 | 203,209 | ||||||||
3级融资,Inc. (b) |
||||||||||
3.40%, 03/01/27 |
61 | 52,541 | ||||||||
4.25%, 07/01/28 |
403 | 322,904 |
安防 |
帕尔 (000) |
价值 |
||||||||||
多元化电信服务(续) |
| |||||||||||
3级融资,Inc. (b) (续) |
||||||||||||
3.63%, 01/15/29 |
美元 | 108 | $ | 83,274 | ||||||||
3.75%, 07/15/29 |
243 | 187,889 | ||||||||||
流明技术公司 |
||||||||||||
5.13%, 12/15/26 (b) |
300 | 252,546 | ||||||||||
4.00%, 02/15/27 (b) |
228 | 192,831 | ||||||||||
4.50%, 01/15/29 (b) |
240 | 178,655 | ||||||||||
5.38%, 06/15/29 (b) |
412 | 326,211 | ||||||||||
Series U, 7.65%, 03/15/42 |
157 | 120,497 | ||||||||||
Series W, 6.75%, 12/01/23 |
74 | 73,307 | ||||||||||
Oi SA, (10.00% Cash or 8.00% Cash + 4.00% PIK), 10.00%, 07/27/25 (i) |
148 | 68,080 | ||||||||||
软银集团,5.00%,04/15/28 (d) |
欧元 | 100 | 83,123 | |||||||||
Sprint Capital Corp. |
||||||||||||
6.88%, 11/15/28 |
美元 | 977 | 1,027,335 | |||||||||
8.75%, 03/15/32 |
743 | 894,186 | ||||||||||
Switch Ltd. (b) |
||||||||||||
3.75%, 09/15/28 |
210 | 207,721 | ||||||||||
4.13%, 06/15/29 |
430 | 425,631 | ||||||||||
意大利电信资本公司 |
||||||||||||
6.38%, 11/15/33 |
131 | 101,158 | ||||||||||
6.00%, 09/30/34 |
337 | 254,189 | ||||||||||
7.20%, 07/18/36 |
60 | 45,555 | ||||||||||
7.72%, 06/04/38 |
79 | 60,949 | ||||||||||
意大利电信温泉 (d) |
||||||||||||
3.00%, 09/30/25 |
欧元 | 100 | 96,935 | |||||||||
1.63%, 01/18/29 |
200 | 151,345 | ||||||||||
Uniti Group LP/Uniti Fibre Holdings,Inc./CSL Capital LLC,6.00%,01/15/30 (b) |
美元 | 104 | 71,947 | |||||||||
Uniti Group LP/Uniti Group Finance,Inc./CSL Capital LLC,4.75%,04/15/28 (b) |
184 | 151,320 | ||||||||||
Verizon Communications,Inc. 6.55%, 09/15/43 (e) |
6,751 | 8,133,030 | ||||||||||
Zayo集团控股有限公司 (b) |
||||||||||||
4.00%, 03/01/27 |
1,080 | 895,957 | ||||||||||
6.13%, 03/01/28 |
1,192 | 860,755 | ||||||||||
|
|
|||||||||||
20,232,765 | ||||||||||||
教育--0.1% |
||||||||||||
大峡谷大学,5.13%,10/01/28 |
702 | 655,170 | ||||||||||
|
|
|||||||||||
电力公用事业-3.6% |
||||||||||||
克利夫兰电气照明公司 5.95%, 12/15/36 |
434 | 458,530 | ||||||||||
杜克能源卡罗莱纳州有限责任公司 |
||||||||||||
6.10%, 06/01/37 |
640 | 703,802 | ||||||||||
6.00%, 01/15/38 (e) |
1,675 | 1,861,975 | ||||||||||
杜克能源佛罗里达有限责任公司 (e) |
||||||||||||
6.35%, 09/15/37 |
2,775 | 3,179,784 | ||||||||||
6.40%, 06/15/38 |
770 | 900,352 | ||||||||||
意昂国际金融集团, 6.65%, 04/30/38 (b) |
3,100 | 3,386,366 | ||||||||||
麦德林公共新闻报, 4.25%, 07/18/29 (b) |
201 | 157,195 | ||||||||||
FirstEnergy Corp. |
||||||||||||
2.65%, 03/01/30 |
180 | 148,500 | ||||||||||
Series B, 2.25%, 09/01/30 |
14 | 11,095 | ||||||||||
Series C, 3.40%, 03/01/50 |
488 | 330,815 | ||||||||||
第一能源传输有限责任公司 (b) |
||||||||||||
5.45%, 07/15/44 |
391 | 365,472 | ||||||||||
4.55%, 04/01/49 |
109 | 87,704 | ||||||||||
NextEra Energy Operating Partners LP,4.25%,09/15/24 (b) |
3 | 2,858 | ||||||||||
俄亥俄电力公司,D系列,6.60%,03/01/33 |
3,000 | 3,498,962 | ||||||||||
昂科尔电气输送有限责任公司 2.75%, 05/15/30 (e) |
1,150 | 1,046,703 |
S C H E D U L E O F I N V E S T M E N T S |
21 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
电力公用事业(续) |
||||||||||||
PacifiCorp., 6.25%, 10/15/37 |
美元 | 1,225 | $ | 1,380,105 | ||||||||
Public Power Corp.SA,3.88%,03/30/26 (d) |
欧元 | 100 | 91,329 | |||||||||
南加州爱迪生公司,5.63%,02/01/36 |
美元 | 1,300 | 1,309,448 | |||||||||
弗吉尼亚电力公司 Series A, 6.00%, 05/15/37 (e) |
3,920 | 4,347,693 | ||||||||||
|
|
|||||||||||
23,268,688 | ||||||||||||
电气设备 (b) — 0.0% |
||||||||||||
盖茨全球有限责任公司/盖茨公司,6.25%,2016年1月15日 |
256 | 237,440 | ||||||||||
GrafTech Finance,Inc.,4.63%,12/15/28 |
91 | 73,664 | ||||||||||
|
|
|||||||||||
311,104 | ||||||||||||
电子设备、仪器及部件-0.4% |
||||||||||||
BWX技术公司 (b) |
||||||||||||
4.13%, 06/30/28 |
181 | 161,090 | ||||||||||
4.13%, 04/15/29 |
24 | 21,060 | ||||||||||
Corning, Inc., 4.38%, 11/15/57 |
2,000 | 1,636,257 | ||||||||||
劲量控股公司 (b) |
||||||||||||
4.75%, 06/15/28 |
31 | 24,605 | ||||||||||
4.38%, 03/31/29 |
13 | 9,981 | ||||||||||
伊莫拉合并公司,4.75%,05/15/29 (b) |
203 | 169,842 | ||||||||||
Vertiv Group Corp.,4.13%,2018年11月15日 (b) |
462 | 375,107 | ||||||||||
Xerox Corp., 4.80%, 03/01/35 |
34 | 26,090 | ||||||||||
|
|
|||||||||||
2,424,032 | ||||||||||||
能源设备和服务-0.3% |
||||||||||||
ArchRock Partners LP/ArchRock Partners Finance Corp. (b) |
||||||||||||
6.88%, 04/01/27 |
227 | 206,995 | ||||||||||
6.25%, 04/01/28 |
447 | 395,729 | ||||||||||
哈里伯顿公司,5.00%,45/11/15 |
500 | 458,503 | ||||||||||
墨西哥石油公司 |
||||||||||||
8.75%, 06/02/29 (b) |
156 | 139,552 | ||||||||||
6.70%, 02/16/32 |
130 | 98,475 | ||||||||||
USA Compression Partners LP/USA Compression Finance Corp. |
||||||||||||
6.88%, 04/01/26 |
188 | 171,024 | ||||||||||
6.88%, 09/01/27 |
259 | 229,862 | ||||||||||
Vallourec SA, 8.50%, 06/30/26 (d) |
欧元 | 17 | 16,452 | |||||||||
威瑟福国际有限公司 (b) |
||||||||||||
6.50%, 09/15/28 |
美元 | 9 | 8,077 | |||||||||
8.63%, 04/30/30 |
140 | 116,170 | ||||||||||
|
|
|||||||||||
1,840,839 | ||||||||||||
娱乐 (b) — 0.0% |
||||||||||||
AMC娱乐控股公司,7.50%,02/15/29 |
86 | 72,670 | ||||||||||
Lindblad Expeditions LLC,6.75%,02/15/27 |
178 | 152,635 | ||||||||||
NCL Corp. Ltd., 7.75%, 02/15/29 |
74 | 56,610 | ||||||||||
|
|
|||||||||||
281,915 | ||||||||||||
环境、维护和安全服务-0.3% |
||||||||||||
清洁港湾公司, 5.13%, 07/15/29(b) |
109 | 98,918 | ||||||||||
卡万塔控股公司 |
||||||||||||
4.88%, 12/01/29 (b) |
167 | 135,891 | ||||||||||
5.00%, 09/01/30 |
30 | 24,489 | ||||||||||
GFL环境公司 (b) |
||||||||||||
4.25%, 06/01/25 |
98 | 92,485 | ||||||||||
3.75%, 08/01/25 |
8 | 7,420 | ||||||||||
5.13%, 12/15/26 |
135 | 129,100 | ||||||||||
4.00%, 08/01/28 |
294 | 242,550 | ||||||||||
3.50%, 09/01/28 |
131 | 112,333 | ||||||||||
4.75%, 06/15/29 |
287 | 237,492 | ||||||||||
4.38%, 08/15/29 |
211 | 169,855 |
安防 |
帕尔 (000) |
价值 |
||||||||
环境、维护和安全服务(续) |
| |||||||||
Stericycle, Inc., 3.88%, 01/15/29 (b) |
美元 | 92 | $ | 75,210 | ||||||
Tervita Corp., 11.00%, 12/01/25 (b) |
77 | 83,738 | ||||||||
Waste Pro USA, Inc., 5.50%, 02/15/26 (b) |
358 | 318,011 | ||||||||
|
|
|||||||||
1,727,492 | ||||||||||
股权房地产投资信托基金(REITs)-1.5% |
||||||||||
亚历山大房地产股权公司,4.00%,02/01/50 |
550 | 453,626 | ||||||||
美国铁塔公司,2.10%,06/15/30 (e) |
1,700 | 1,361,448 | ||||||||
Brookfield Property REIT,Inc./BPR Cumulus LLC/BPR Nimbus LLC/GGSI Sellco LL,4.50%,04/01/27 (b) |
120 | 99,508 | ||||||||
皇冠城堡国际公司,2.90%,04/01/41 |
350 | 252,265 | ||||||||
CTR Partnership LP/CareTrust Capital Corp.,3.88%,06/30/28 (b) |
110 | 93,940 | ||||||||
ERP运营LP,4.50%,06/01/45 |
1,155 | 1,073,868 | ||||||||
Global Net Lease,Inc./Global Net Lease运营合伙公司,3.75%,12/15/27 (b) |
95 | 79,391 | ||||||||
HealthPeak Properties,Inc.,4.00%,06/01/25 |
2,000 | 1,994,155 | ||||||||
铁山公司 (b) |
||||||||||
5.25%, 07/15/30 |
66 | 57,380 | ||||||||
5.63%, 07/15/32 |
236 | 199,556 | ||||||||
LMIRT Capital Pte.有限公司,7.25%,06/19/24 (d) |
250 | 217,500 | ||||||||
MPT运营合伙公司/MPT财务公司 |
||||||||||
5.00%, 10/15/27 |
28 | 25,611 | ||||||||
4.63%, 08/01/29 |
400 | 351,000 | ||||||||
3.50%, 03/15/31 |
988 | 778,702 | ||||||||
RHP Hotel Properties LP/RHP Finance Corp. |
||||||||||
4.75%, 10/15/27 |
446 | 395,651 | ||||||||
4.50%, 02/15/29 (b) |
4 | 3,392 | ||||||||
RLJ住宿信托有限责任公司 (b) |
||||||||||
3.75%, 07/01/26 |
76 | 65,859 | ||||||||
4.00%, 09/15/29 |
66 | 54,213 | ||||||||
Simon Property Group LP,4.75%,03/15/42 |
1,670 | 1,527,219 | ||||||||
Ventas Realty LP,4.13%,01/15/26 |
870 | 860,662 | ||||||||
|
|
|||||||||
9,944,946 | ||||||||||
食品和史泰博零售业-0.5% |
||||||||||
艾伯森公司/西夫韦公司/新艾伯森公司/艾伯森有限责任公司 (b) |
||||||||||
3.25%, 03/15/26 |
94 | 81,869 | ||||||||
7.50%, 03/15/26 |
65 | 64,657 | ||||||||
4.63%, 01/15/27 |
104 | 92,905 | ||||||||
5.88%, 02/15/28 |
219 | 204,684 | ||||||||
4.88%, 02/15/30 |
95 | 81,495 | ||||||||
贝里斯收购公司,3.25%,02/16/26 (d) |
英镑 | 100 | 94,341 | |||||||
达林配料公司,6.00%,06/15/30 (b) |
美元 | 212 | 211,290 | |||||||
卡夫亨氏食品公司 |
||||||||||
6.50%, 02/09/40 |
110 | 118,865 | ||||||||
4.88%, 10/01/49 |
266 | 234,945 | ||||||||
5.50%, 06/01/50 |
565 | 542,351 | ||||||||
兰姆·韦斯顿控股公司 (b) |
||||||||||
4.88%, 05/15/28 |
95 | 89,406 | ||||||||
4.13%, 01/31/30 |
172 | 148,876 | ||||||||
4.38%, 01/31/32 |
317 | 275,790 | ||||||||
Market Bidco Finco PLC,5.50%,11/04/27 (d) |
英镑 | 100 | 92,515 | |||||||
Ocado Group PLC,3.88%,10/08/26 (d) |
100 | 97,624 | ||||||||
Performance食品集团有限公司 (b) |
||||||||||
5.50%, 10/15/27 |
美元 | 28 | 25,921 | |||||||
4.25%, 08/01/29 |
349 | 291,415 | ||||||||
邮政控股公司 (b) |
||||||||||
5.50%, 12/15/29 |
22 | 19,668 |
22 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
食品与史泰博零售业(续) |
||||||||||||
邮政控股公司 (b) (续) |
||||||||||||
4.63%, 04/15/30 |
美元 | 47 | $ | 39,657 | ||||||||
4.50%, 09/15/31 |
28 | 22,900 | ||||||||||
U.S. Foods, Inc., 4.75%, 02/15/29 (b) |
218 | 190,573 | ||||||||||
|
|
|||||||||||
3,021,747 | ||||||||||||
食品-0.3% |
||||||||||||
阿拉马克服务公司 (b) |
||||||||||||
5.00%, 04/01/25 |
46 | 44,075 | ||||||||||
5.00%, 02/01/28 |
323 | 292,706 | ||||||||||
BRF SA, 4.88%, 01/24/30 (d) |
200 | 158,600 | ||||||||||
Chobani LLC/Chobani Finance Corp., Inc. (b) |
||||||||||||
7.50%, 04/15/25 |
501 | 460,103 | ||||||||||
4.63%, 11/15/28 |
248 | 209,560 | ||||||||||
Grupo Bimbo SAB de CV,(5年CMT+3.28%),5.95% (a)(b)(h) |
200 | 195,500 | ||||||||||
JBS USA LUX SA/JBS USA Food Co./JBS USA Finance,Inc.,3.75%,12/01/31 (b) |
233 | 191,150 | ||||||||||
朝圣者的骄傲公司,3.50%,03/01/32 (b) |
117 | 91,406 | ||||||||||
西蒙斯食品公司/西蒙斯准备食品公司/西蒙斯宠物食品公司/西蒙斯饲料公司,4.63%,03/01/29 (b) |
177 | 149,636 | ||||||||||
|
|
|||||||||||
1,792,736 | ||||||||||||
燃气公用事业-0.0% |
||||||||||||
郊区丙烷合伙公司/郊区能源金融公司,5.00%,06/01/31 (b) |
62 | 52,723 | ||||||||||
|
|
|||||||||||
医疗保健设备和用品-0.3% |
||||||||||||
埃文特基金公司 (b) |
||||||||||||
4.63%, 07/15/28 |
442 | 405,182 | ||||||||||
3.88%, 11/01/29 |
196 | 171,431 | ||||||||||
Embecta Corp., 6.75%, 02/15/30 (b) |
104 | 93,634 | ||||||||||
Hologic, Inc., 3.25%, 02/15/29 (b) |
10 | 8,547 | ||||||||||
Thermo Fisher Science,Inc.,5.30%,02/01/44 |
1,000 | 1,072,298 | ||||||||||
|
|
|||||||||||
1,751,092 | ||||||||||||
医疗保健提供者和服务-2.1% |
||||||||||||
阿卡迪亚医疗保健公司 (b) |
||||||||||||
5.50%, 07/01/28 |
37 | 34,569 | ||||||||||
5.00%, 04/15/29 |
36 | 32,318 | ||||||||||
AdaptHealth LLC (b) |
||||||||||||
6.13%, 08/01/28 |
49 | 43,342 | ||||||||||
5.13%, 03/01/30 |
18 | 15,172 | ||||||||||
Aetna, Inc., 4.50%, 05/15/42 |
575 | 514,041 | ||||||||||
AHP Health Partners,Inc.,5.75%,07/15/29 (b) |
219 | 160,899 | ||||||||||
Cano Health LLC,6.25%,10/01/28 (b) |
85 | 69,513 | ||||||||||
森特内公司 |
||||||||||||
2.45%, 07/15/28 |
695 | 579,658 | ||||||||||
4.63%, 12/15/29 |
155 | 144,538 | ||||||||||
3.00%, 10/15/30 |
621 | 514,654 | ||||||||||
2.50%, 03/01/31 |
704 | 558,807 | ||||||||||
2.63%, 08/01/31 |
570 | 453,435 | ||||||||||
社区卫生服务/社区卫生系统公司 (b) |
||||||||||||
8.00%, 03/15/26 |
838 | 763,158 | ||||||||||
5.63%, 03/15/27 |
374 | 316,542 | ||||||||||
6.00%, 01/15/29 |
332 | 275,035 | ||||||||||
6.13%, 04/01/30 |
203 | 123,830 | ||||||||||
Elevance Health,Inc. |
||||||||||||
2.75%, 10/15/42 (f) |
39 | 267,556 | ||||||||||
4.38%, 12/01/47 |
1,000 | 920,371 | ||||||||||
3.60%, 03/15/51 |
600 | 486,881 |
安防 |
帕尔 (000) |
价值 |
||||||||||
医疗保健提供者和服务(续) |
||||||||||||
包括健康公司。 |
||||||||||||
4.50%, 02/01/28 |
美元 | 31 | $ | 26,539 | ||||||||
4.75%, 02/01/30 |
285 | 238,841 | ||||||||||
4.63%, 04/01/31 |
141 | 114,171 | ||||||||||
HCA, Inc., 5.50%, 06/15/47 |
1,090 | 972,316 | ||||||||||
传统LifePoint Health LLC (b) |
||||||||||||
6.75%, 04/15/25 |
130 | 125,659 | ||||||||||
4.38%, 02/15/27 |
65 | 55,693 | ||||||||||
LifePoint Health,Inc.,5.38%,01/15/29 (b) |
243 | 178,605 | ||||||||||
Medline借款人LP (b) |
||||||||||||
3.88%, 04/01/29 |
322 | 274,251 | ||||||||||
5.25%, 10/01/29 |
919 | 754,775 | ||||||||||
ModivCare, Inc., 5.88%, 11/15/25 (b) |
48 | 44,160 | ||||||||||
莫利纳医疗保健公司 (b) |
||||||||||||
4.38%, 06/15/28 |
123 | 109,872 | ||||||||||
3.88%, 11/15/30 |
275 | 235,065 | ||||||||||
3.88%, 05/15/32 |
161 | 135,012 | ||||||||||
诺思韦尔医疗保健公司,4.26%,11/01/47 |
725 | 664,513 | ||||||||||
Owens & Minor, Inc., 6.63%, 04/01/30 (b) |
96 | 87,693 | ||||||||||
Prime Healthcare Services,Inc.,7.25%,11/01/25 (b) |
195 | 166,433 | ||||||||||
RegionalCare医院合作伙伴控股公司/LifePoint Health,Inc.,9.75%,12/01/26 (b) |
68 | 66,130 | ||||||||||
外科中心控股公司 (b) |
||||||||||||
6.75%, 07/01/25 |
378 | 346,452 | ||||||||||
10.00%, 04/15/27 |
435 | 421,361 | ||||||||||
Teleflex, Inc., 4.63%, 11/15/27 |
14 | 12,915 | ||||||||||
泰尼特医疗保健公司 (b) |
||||||||||||
4.63%, 09/01/24 |
98 | 94,080 | ||||||||||
4.88%, 01/01/26 |
330 | 303,600 | ||||||||||
6.25%, 02/01/27 |
65 | 59,827 | ||||||||||
5.13%, 11/01/27 |
363 | 326,700 | ||||||||||
4.63%, 06/15/28 |
55 | 47,893 | ||||||||||
6.13%, 10/01/28 |
122 | 104,405 | ||||||||||
4.25%, 06/01/29 |
34 | 28,635 | ||||||||||
6.13%, 06/15/30 |
193 | 178,058 | ||||||||||
UnitedHealth Group,Inc.,2.75%,05/15/40 |
1,000 | 778,855 | ||||||||||
|
|
|||||||||||
13,226,828 | ||||||||||||
医疗保健技术-0.4% |
||||||||||||
卡特伦特制药解决方案公司 (b) |
||||||||||||
3.13%, 02/15/29 |
106 | 86,966 | ||||||||||
3.50%, 04/01/30 |
373 | 304,342 | ||||||||||
Change Healthcare Holdings LLC/Change Healthcare Finance,Inc.,5.75%,03/01/25 (b) |
479 | 466,397 | ||||||||||
查尔斯·里弗国际实验室, Inc. (b) |
||||||||||||
4.25%, 05/01/28 |
67 | 60,187 | ||||||||||
3.75%, 03/15/29 |
23 | 19,960 | ||||||||||
4.00%, 03/15/31 |
66 | 56,261 | ||||||||||
Chrome Bidco Sasu,3.50%,05/31/28 (d) |
欧元 | 100 | 85,755 | |||||||||
IQVIA,Inc. (b) |
||||||||||||
5.00%, 10/15/26 |
美元 | 280 | 266,652 | |||||||||
5.00%, 05/15/27 |
266 | 251,663 | ||||||||||
Minerva合并子公司,6.50%,02/15/30 (b) |
552 | 459,038 | ||||||||||
Syneos Health,Inc.,3.63%,01/15/29 (b) |
577 | 488,620 | ||||||||||
|
|
|||||||||||
2,545,841 | ||||||||||||
酒店、餐饮和休闲-2.2% |
||||||||||||
1011778 BC ULC/新红色金融公司 (b) |
||||||||||||
3.88%, 01/15/28 |
317 | 275,131 | ||||||||||
4.38%, 01/15/28 |
138 | 120,653 | ||||||||||
4.00%, 10/15/30 |
122 | 97,905 |
S C H E D U L E O F I N V E S T M E N T S |
23 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||
酒店、餐馆和休闲(续) |
||||||||||
雅高集团,(5年期欧元掉期+ 4.56%), 4.38% (a)(d)(h) |
欧元 | 100 | $ | 91,174 | ||||||
亲和力游戏,6.88%,12/15/27 (b) |
美元 | 4 | 3,360 | |||||||
Airbnb, Inc., 0.00%, 03/15/26 (f)(g) |
383 | 318,273 | ||||||||
博伊德游戏公司 |
||||||||||
4.75%, 12/01/27 |
121 | 109,505 | ||||||||
4.75%, 06/15/31 (b) |
219 | 185,059 | ||||||||
Boyne USA, Inc., 4.75%, 05/15/29 (b) |
200 | 173,188 | ||||||||
凯撒娱乐公司 (b) |
||||||||||
6.25%, 07/01/25 |
840 | 809,533 | ||||||||
8.13%, 07/01/27 |
876 | 846,435 | ||||||||
4.63%, 10/15/29 |
697 | 541,917 | ||||||||
凯撒度假村收藏有限责任公司/CRC Finco,Inc.,5.75%,07/01/25 (b) |
103 | 98,500 | ||||||||
Carnival Corp., 7.63%, 03/01/26 (b) |
48 | 37,178 | ||||||||
CDI托管发行商,Inc.,5.75%,04/01/30 (b) |
868 | 789,880 | ||||||||
Cedar Fair LP/加拿大仙境公司/Magnum Management Corp./Millennium Op,5.50%,05/01/25 (b) |
213 | 206,610 | ||||||||
丘吉尔·唐斯公司,4.75%,28年1月15日 (b) |
202 | 179,780 | ||||||||
Corvias校园生活,5.30%,07/01/50 (c) |
5,620 | 3,427,098 | ||||||||
费尔蒂塔娱乐有限责任公司/费尔蒂塔娱乐金融有限公司 (b) |
||||||||||
4.63%, 01/15/29 |
156 | 132,990 | ||||||||
6.75%, 01/15/30 |
199 | 152,733 | ||||||||
食品服务项目SA,5.50%,27年1月21日 (d) |
欧元 | 100 | 89,862 | |||||||
财富之星BVI有限公司,6.75%,07/02/23 (d) |
美元 | 200 | 157,175 | |||||||
希尔顿国内运营有限公司。 |
||||||||||
5.38%, 05/01/25 (b) |
39 | 38,220 | ||||||||
3.75%, 05/01/29 (b) |
75 | 63,611 | ||||||||
4.88%, 01/15/30 |
219 | 197,921 | ||||||||
4.00%, 05/01/31 (b) |
289 | 240,159 | ||||||||
3.63%, 02/15/32 (b) |
77 | 61,167 | ||||||||
希尔顿全球金融有限公司/希尔顿全球金融公司,4.88%,04/01/27 |
44 | 41,454 | ||||||||
McDonald’s Corp., 3.70%, 02/15/42 |
1,750 | 1,463,404 | ||||||||
新濠国际金融有限公司,5.25%,04/26/26 (d) |
250 | 175,000 | ||||||||
梅林娱乐有限公司,5.75%,06/15/26 (b) |
200 | 182,501 | ||||||||
美高梅中国控股有限公司,5.88%,05/15/26 (d) |
450 | 341,663 | ||||||||
中西部博彩借款人有限责任公司/中西部博彩金融公司,4.88%,05/01/29 (b) |
144 | 117,360 | ||||||||
Powdr Corp., 6.00%, 08/01/25 (b) |
240 | 238,200 | ||||||||
Premier Entertainment Sub LLC/Premier Entertainment Finance Corp. (b) |
||||||||||
5.63%, 09/01/29 |
63 | 44,853 | ||||||||
5.88%, 09/01/31 |
79 | 54,827 | ||||||||
Raptor Acquisition Corp./Raptor Co-Issuer LLC,4.88%,11/01/26 (b) |
121 | 105,875 | ||||||||
皇家加勒比邮轮有限公司,5.38%,07/15/27 (b) |
191 | 138,832 | ||||||||
国际科学游戏公司 (b) |
||||||||||
8.63%, 07/01/25 |
136 | 139,414 | ||||||||
7.00%, 05/15/28 |
100 | 93,843 | ||||||||
7.25%, 11/15/29 |
96 | 90,030 | ||||||||
六旗主题公园,Inc.,7.00%,07/01/25 (b)(j) |
135 | 136,665 | ||||||||
车站赌场有限责任公司 (b) |
||||||||||
4.50%, 02/15/28 |
123 | 103,887 | ||||||||
4.63%, 12/01/31 |
187 | 145,860 | ||||||||
石门酒吧融资有限公司,8.25%,07/31/25 (d) |
英镑 | 100 | 111,170 |
安防 |
帕尔 (000) |
价值 |
||||||||||
酒店、餐馆和休闲(续) |
||||||||||||
Vail Resorts,Inc.,6.25%,05/15/25 (b) |
美元 | 105 | $ | 104,871 | ||||||||
温德姆酒店及度假村公司,4.38%,08/15/28 (b) |
104 | 90,965 | ||||||||||
永利拉斯维加斯有限责任公司/永利拉斯维加斯资本公司,5.25%,05/15/27 (b)(e) |
125 | 107,061 | ||||||||||
永利澳门有限公司 (d) |
||||||||||||
4.88%, 10/01/24 |
200 | 145,124 | ||||||||||
5.50%, 10/01/27 |
200 | 128,000 | ||||||||||
永利度假村金融有限责任公司/永利度假村资本公司 (b) |
||||||||||||
7.75%, 04/15/25 |
163 | 158,641 | ||||||||||
5.13%, 10/01/29 |
393 | 309,527 | ||||||||||
好吃!Brands公司 |
||||||||||||
4.75%, 01/15/30 (b) |
2 | 1,815 | ||||||||||
3.63%, 03/15/31 |
62 | 52,080 | ||||||||||
5.35%, 11/01/43 |
44 | 36,465 | ||||||||||
|
|
|||||||||||
14,304,404 | ||||||||||||
家用耐用品-0.3% |
||||||||||||
阿什顿·伍兹美国有限责任公司/阿什顿·伍兹金融公司 (b) |
||||||||||||
4.63%, 08/01/29 |
68 | 51,000 | ||||||||||
4.63%, 04/01/30 |
98 | 71,966 | ||||||||||
Brookfield Residential Properties,Inc./Brookfield Residential U.S.LLC (b) |
||||||||||||
5.00%, 06/15/29 |
141 | 106,606 | ||||||||||
4.88%, 02/15/30 |
178 | 129,317 | ||||||||||
CD&R Smokey Buyer,Inc.,6.75%,07/15/25 (b) |
173 | 152,946 | ||||||||||
Controladora Mabe SA de CV,5.60%,10/23/28 (b) |
215 | 218,333 | ||||||||||
K霍夫纳尼亚企业公司,7.75%,2/15/26 (b) |
147 | 144,060 | ||||||||||
玛塔米集团,4.63%,03/01/30 (b) |
135 | 98,660 | ||||||||||
Meritage Home Corp.,5.13%,06/06/27 |
35 | 32,037 | ||||||||||
NCR公司 (b) |
||||||||||||
5.00%, 10/01/28 |
73 | 61,896 | ||||||||||
5.13%, 04/15/29 |
91 | 76,962 | ||||||||||
6.13%, 09/01/29 |
57 | 49,297 | ||||||||||
主权财富基金托管发行商公司,6.50%,10/01/29 (b) |
223 | 149,968 | ||||||||||
泰勒·莫里森社区公司 (b) |
||||||||||||
5.88%, 06/15/27 |
119 | 109,683 | ||||||||||
5.13%, 08/01/30 |
37 | 30,728 | ||||||||||
坦普尔海利国际公司 (b) |
||||||||||||
4.00%, 04/15/29 |
151 | 121,637 | ||||||||||
3.88%, 10/15/31 |
164 | 123,000 | ||||||||||
Tri Pointe Home.,Inc.,5.25%,06/01/27 |
28 | 24,476 | ||||||||||
|
|
|||||||||||
1,752,572 | ||||||||||||
家居用品-0.0% |
||||||||||||
劲量控股公司,6.50%,12/31/27 (b) |
80 | 70,100 | ||||||||||
|
|
|||||||||||
独立电力和可再生电力生产商-0.5% |
||||||||||||
Adani Green Energy Up Ltd./Prayatna Developers Pvt Ltd./Parpujya Solar Energy,6.25%,12/10/24 (d) |
200 | 190,725 | ||||||||||
蔚蓝电力太阳能有限公司,5.65%,12/24/24 (d) |
200 | 188,662 | ||||||||||
卡尔平公司 (b) |
||||||||||||
4.50%, 02/15/28 |
20 | 18,158 | ||||||||||
5.13%, 03/15/28 |
539 | 474,482 | ||||||||||
4.63%, 02/01/29 |
46 | 38,284 | ||||||||||
5.00%, 02/01/31 |
41 | 33,146 |
24 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
独立发电商和可再生发电商(续) |
||||||||||||
卡尔平公司 (b) (续) |
||||||||||||
3.75%, 03/01/31 |
美元 | 4 | $ | 3,254 | ||||||||
Clearway Energy运营有限责任公司 (b) |
||||||||||||
4.75%, 03/15/28 |
100 | 89,968 | ||||||||||
3.75%, 01/15/32 |
203 | 160,878 | ||||||||||
连续体能源莱万特私人有限公司。有限公司,4.50%,02/09/27 (b) |
197 | 153,855 | ||||||||||
Greenko荷兰BV,3.85%,03/29/26 (d) |
194 | 164,415 | ||||||||||
Greenko Solar毛里求斯有限公司,5.95%,07/29/26 (d) |
200 | 176,500 | ||||||||||
印度清洁技术能源,4.70%,08/10/26 (b) |
243 | 193,483 | ||||||||||
印度绿色能源控股公司 |
||||||||||||
5.38%, 04/29/24 (b) |
250 | 233,750 | ||||||||||
5.38%, 04/29/24 (d) |
250 | 233,750 | ||||||||||
投资能源有限公司,6.25%,04/26/29 (b) |
200 | 169,600 | ||||||||||
NRG能源公司 (b) |
||||||||||||
5.25%, 06/15/29 |
47 | 41,948 | ||||||||||
3.63%, 02/15/31 |
183 | 143,470 | ||||||||||
3.88%, 02/15/32 |
164 | 130,262 | ||||||||||
SCC电源PLC (b)(i) |
||||||||||||
(4% PIK), 4.00%, 05/17/32 |
130 | 15,379 | ||||||||||
(8.00% Cash or 4.00% Cash + 4.00% PIK), 8.00%, 12/31/28 |
239 | 103,336 | ||||||||||
TerraForm Power Operating LLC,4.75%,01/15/30 (b) |
121 | 103,635 | ||||||||||
|
|
|||||||||||
3,060,940 | ||||||||||||
保险--3.5% |
||||||||||||
Acrisure LLC/Acrisure Finance,Inc.,6.00%,08/01/29 (b) |
140 | 109,591 | ||||||||||
联合控股中级有限责任公司/联合控股联合发行人 (b) |
||||||||||||
4.25%, 10/15/27 |
786 | 680,338 | ||||||||||
6.75%, 10/15/27 |
1,136 | 1,008,064 | ||||||||||
5.88%, 11/01/29 |
845 | 701,189 | ||||||||||
联合世界保险控股有限公司,4.35%,10/29/25 |
1,495 | 1,474,712 | ||||||||||
好事达公司 (a) |
||||||||||||
(3 mo. LIBOR US + 2.12%), 6.50%, 05/15/67 |
1,750 | 1,769,814 | ||||||||||
Series B, (3 mo. LIBOR US + 2.94%), 5.75%, 08/15/53 |
2,000 | 1,752,500 | ||||||||||
AmWINS Group,Inc.,4.88%,06/30/29 (b) |
164 | 134,303 | ||||||||||
怡安环球有限公司 |
||||||||||||
3.88%, 12/15/25 |
1,445 | 1,429,064 | ||||||||||
4.60%, 06/14/44 |
500 | 450,255 | ||||||||||
伯克希尔哈撒韦金融公司,4.40%,05/15/42 |
500 | 470,732 | ||||||||||
Five Corners Funding Trust,4.42%,11月15日/23 (b)(e) |
2,050 | 2,061,278 | ||||||||||
Galaxy Bidco Ltd.,6.50%,07/31/26 (d) |
英镑 | 100 | 111,383 | |||||||||
GTCR AP Finance,Inc.,8.00%,05/15/27 (b) |
美元 | 161 | 150,720 | |||||||||
HUB国际有限公司 (b) |
||||||||||||
7.00%, 05/01/26 |
900 | 846,360 | ||||||||||
5.63%, 12/01/29 |
35 | 28,912 | ||||||||||
自由互助集团,6.50%,05/01/42 (b) |
2,000 | 2,228,170 | ||||||||||
保诚金融公司 (e) |
||||||||||||
5.90%, 03/17/36 |
500 | 538,387 | ||||||||||
5.70%, 12/14/36 |
1,625 | 1,765,648 |
安防 |
帕尔 (000) |
价值 |
||||||||||
保险(续) |
||||||||||||
瑞安专业集团有限责任公司,4.38%,02/01/30 (b) |
美元 | 92 | $ | 80,040 | ||||||||
美国教师保险和年金协会,4.27%,5/15/47 (b) |
700 | 623,064 | ||||||||||
Voya Financial, Inc., (3 mo. LIBOR US + 3.58%), 5.65%, 05/15/53 (a)(e) |
4,500 | 4,219,110 | ||||||||||
|
|
|||||||||||
22,633,634 | ||||||||||||
互动媒体与服务 (b) — 0.2% |
||||||||||||
ARCES BUBUR,Inc.,4.25%,06/01/28 |
73 | 59,437 | ||||||||||
有线电视光路有限责任公司 |
||||||||||||
3.88%, 09/15/27 |
420 | 347,550 | ||||||||||
5.63%, 09/15/28 |
400 | 312,904 | ||||||||||
西北光纤有限责任公司/西北光纤金融子公司 |
||||||||||||
4.75%, 04/30/27 |
328 | 270,125 | ||||||||||
6.00%, 02/15/28 |
147 | 105,636 | ||||||||||
推特公司 |
||||||||||||
3.88%, 12/15/27 |
206 | 194,208 | ||||||||||
5.00%, 03/01/30 |
122 | 115,747 | ||||||||||
|
|
|||||||||||
1,405,607 | ||||||||||||
互联网软件和服务-0.4% |
||||||||||||
ANGI Group LLC, 3.88%, 08/15/28 (b) |
174 | 132,483 | ||||||||||
Booking Holdings,Inc.,0.75%,05/01/25 (f) |
256 | 306,893 | ||||||||||
Go爸爸运营有限责任公司/GD金融有限公司 (b) |
||||||||||||
5.25%, 12/01/27 |
27 | 24,705 | ||||||||||
3.50%, 03/01/29 |
111 | 93,583 | ||||||||||
Match Group Holdings II LLC (b) |
||||||||||||
5.63%, 02/15/29 |
6 | 5,610 | ||||||||||
4.13%, 08/01/30 |
20 | 16,702 | ||||||||||
3.63%, 10/01/31 |
357 | 281,137 | ||||||||||
优步技术公司 |
||||||||||||
0.00%, 12/15/25 (f)(g) |
1,068 | 851,962 | ||||||||||
8.00%, 11/01/26 (b) |
132 | 131,406 | ||||||||||
7.50%, 09/15/27 (b) |
456 | 441,764 | ||||||||||
6.25%, 01/15/28 (b) |
190 | 175,720 | ||||||||||
4.50%, 08/15/29 (b) |
518 | 426,055 | ||||||||||
Zillow Group,Inc.,1.38%,09/01/26 (f) |
37 | 36,963 | ||||||||||
|
|
|||||||||||
2,924,983 | ||||||||||||
IT服务-1.0% |
||||||||||||
Ahead DB Holdings LLC,6.63%,05/01/28 (b) |
99 | 82,071 | ||||||||||
博思艾伦汉密尔顿公司 (b) |
||||||||||||
3.88%, 09/01/28 |
137 | 121,245 | ||||||||||
4.00%, 07/01/29 |
242 | 211,007 | ||||||||||
CA Magnum Holdings,5.38%,10/31/26 (b) |
258 | 223,170 | ||||||||||
Camelot Finance SA,4.50%,11/01/26 (b) |
81 | 73,880 | ||||||||||
秃鹰合并子公司,7.38%,02/15/30 (b) |
605 | 491,726 | ||||||||||
邓白氏公司,5.00%,12/15/29 (b) |
458 | 395,598 | ||||||||||
Fair Isaac Corp., 4.00%, 06/15/28 (b) |
240 | 212,602 | ||||||||||
富达国家信息服务公司,4.50%,08/15/46 |
1,000 | 881,391 | ||||||||||
Fiserv, Inc., 4.40%, 07/01/49 |
500 | 429,706 | ||||||||||
高德纳公司 (b) |
||||||||||||
4.50%, 07/01/28 |
218 | 200,169 | ||||||||||
3.63%, 06/15/29 |
155 | 134,287 | ||||||||||
3.75%, 10/01/30 |
93 | 79,166 |
S C H E D U L E O F I N V E S T M E N T S |
25 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
IT服务(续) |
||||||||||||
国际商业机器公司,1.95%,05/15/30 (e) |
美元 | 2,000 | $ | 1,676,074 | ||||||||
KBR, Inc., 4.75%, 09/30/28 (b) |
134 | 118,099 | ||||||||||
科学应用国际公司,4.88%,04/01/28 (b) |
73 | 68,073 | ||||||||||
天宝收购有限责任公司/天宝收购财务公司,5.75%,06/01/25 (b) |
168 | 158,043 | ||||||||||
Twilio, Inc., 3.88%, 03/15/31 |
342 | 281,387 | ||||||||||
ZoomInfo科技有限公司/ZoomInfo金融公司,3.88%,02/01/29 (b) |
646 | 541,117 | ||||||||||
|
|
|||||||||||
6,378,811 | ||||||||||||
休闲产品-0.1% |
||||||||||||
美泰公司 |
||||||||||||
3.75%, 04/01/29 (b) |
69 | 62,003 | ||||||||||
6.20%, 10/01/40 |
218 | 208,190 | ||||||||||
5.45%, 11/01/41 |
149 | 130,785 | ||||||||||
|
|
|||||||||||
400,978 | ||||||||||||
机械-0.4% |
||||||||||||
ATS自动化工具系统公司,4.13%,12/15/28 (b) |
71 | 59,285 | ||||||||||
Husky III Holding Ltd., (13.00% Cash or 13.75% PIK), 13.00%, 02/15/25 (b)(i) |
241 | 233,770 | ||||||||||
Madison IAQ LLC,5.88%,06/30/29 (b) |
201 | 154,030 | ||||||||||
穆勒水产品公司,4.00%,6/15/29 (b) |
94 | 82,000 | ||||||||||
OT Merger Corp., 7.88%, 10/15/29 (b) |
78 | 44,799 | ||||||||||
申克过程控股有限公司/达姆施塔特,5.38%,06/15/23 (d) |
欧元 | 100 | 100,819 | |||||||||
史蒂文斯控股公司,6.13%,10/01/26 (b) |
美元 | 90 | 86,625 | |||||||||
Terex Corp., 5.00%, 05/15/29 (b) |
205 | 174,250 | ||||||||||
泰坦收购有限公司/泰坦公司-借款人有限责任公司,7.75%,04/15/26 (b) |
514 | 472,469 | ||||||||||
TK电梯Holdco GmbH,7.63%,07/15/28 (b) |
200 | 179,500 | ||||||||||
TK Elevator Midco GmbH,4.38%,07/15/27 (d) |
欧元 | 100 | 90,280 | |||||||||
TK电梯美国Newco,Inc.,5.25%,07/15/27 (b) |
美元 | 768 | 684,722 | |||||||||
|
|
|||||||||||
2,362,549 | ||||||||||||
Media — 6.4% |
||||||||||||
Altice Finding SA |
||||||||||||
3.00%, 01/15/28 (d) |
欧元 | 100 | 78,054 | |||||||||
5.75%, 08/15/29 (b) |
美元 | 930 | 746,325 | |||||||||
Altices France Holding SA,10.50%,05/15/27 (b) |
1,288 | 1,080,812 | ||||||||||
AMC网络公司 |
||||||||||||
5.00%, 04/01/24 |
2 | 1,937 | ||||||||||
4.75%, 08/01/25 |
135 | 125,758 | ||||||||||
4.25%, 02/15/29 |
83 | 67,246 | ||||||||||
加拿大贝尔电话公司或加拿大贝尔电话公司,3.65%,51年3月17日 |
335 | 267,192 | ||||||||||
Block Communications,Inc.,4.88%,03/01/28 (b) |
87 | 73,515 | ||||||||||
电缆一号公司 |
||||||||||||
1.13%, 03/15/28 (f) |
694 | 581,572 | ||||||||||
4.00%, 11/15/30 (b) |
174 | 142,937 | ||||||||||
CCO Holdings LLC/CCO Holdings Capital Corp. |
||||||||||||
5.00%, 02/01/28 (b) |
270 | 249,129 | ||||||||||
5.38%, 06/01/29 (b) |
49 | 43,798 | ||||||||||
4.75%, 03/01/30 (b) |
180 | 153,945 | ||||||||||
4.50%, 08/15/30 (b) |
340 | 282,295 | ||||||||||
4.25%, 02/01/31 (b) |
431 | 351,265 | ||||||||||
4.75%, 02/01/32 (b) |
414 | 338,983 | ||||||||||
4.50%, 05/01/32 |
180 | 145,746 | ||||||||||
4.50%, 06/01/33 (b) |
227 | 178,880 |
安防 |
帕尔 (000) |
价值 |
||||||||
媒体(续) |
||||||||||
CCO Holdings LLC/CCO Holdings Capital Corp.(续) |
| |||||||||
4.25%, 01/15/34 (b) |
美元 | 936 | $ | 723,060 | ||||||
特许通信运营有限责任公司/特许通信运营资本 |
||||||||||
4.91%, 07/23/25 (e) |
4,700 | 4,710,904 | ||||||||
5.38%, 05/01/47 |
1,100 | 936,608 | ||||||||
4.80%, 03/01/50 |
1,000 | 792,360 | ||||||||
Clear Channel International BV,6.63%,08/01/25 (b) |
256 | 238,080 | ||||||||
Clear Channel户外控股公司 (b) |
||||||||||
5.13%, 08/15/27 |
760 | 641,691 | ||||||||
7.75%, 04/15/28 |
819 | 595,880 | ||||||||
7.50%, 06/01/29 |
566 | 406,988 | ||||||||
CMG Media Corp., 8.88%, 12/15/27 (b) |
563 | 444,776 | ||||||||
康卡斯特有线通信控股公司,9.46%,11/15/22 |
2,600 | 2,659,564 | ||||||||
康卡斯特公司 |
||||||||||
6.45%, 03/15/37 |
790 | 925,105 | ||||||||
4.60%, 08/15/45 |
2,000 | 1,882,054 | ||||||||
4.70%, 10/15/48 |
3,000 | 2,904,380 | ||||||||
Connect Finco SARL/Connect U.S.FinCo LLC,6.75%,10/01/26 (b) |
1,493 | 1,341,655 | ||||||||
CSC控股有限责任公司 |
||||||||||
5.25%, 06/01/24 |
247 | 230,945 | ||||||||
5.75%, 01/15/30 (b) |
443 | 322,296 | ||||||||
4.13%, 12/01/30 (b) |
400 | 312,000 | ||||||||
4.50%, 11/15/31 (b) |
570 | 439,555 | ||||||||
DirecTV融资有限责任公司/DirecTV融资公司-债务人,5.88%,08/15/27 (b) |
299 | 255,068 | ||||||||
探索通信有限责任公司 |
||||||||||
3.25%, 04/01/23 |
1,850 | 1,844,655 | ||||||||
3.45%, 03/15/25 |
210 | 203,327 | ||||||||
迪什星展银行公司 |
||||||||||
7.75%, 07/01/26 |
343 | 267,368 | ||||||||
5.25%, 12/01/26 (b) |
739 | 579,258 | ||||||||
5.75%, 12/01/28 (b) |
763 | 564,933 | ||||||||
5.13%, 06/01/29 |
79 | 48,004 | ||||||||
迪什网络公司,3.38%,08/15/26 (f) |
176 | 118,888 | ||||||||
前沿通信控股有限责任公司 (b) |
||||||||||
5.88%, 10/15/27 |
247 | 222,078 | ||||||||
5.00%, 05/01/28 |
394 | 334,900 | ||||||||
6.75%, 05/01/29 |
249 | 204,802 | ||||||||
6.00%, 01/15/30 |
213 | 163,893 | ||||||||
GCI LLC, 4.75%, 10/15/28 (b) |
135 | 116,971 | ||||||||
IHeartCommunications,Inc. |
||||||||||
6.38%, 05/01/26 |
91 | 84,629 | ||||||||
5.25%, 08/15/27 (b) |
66 | 56,485 | ||||||||
4.75%, 01/15/28 (b) |
50 | 41,204 | ||||||||
伊利亚特持有萨苏 (b) |
||||||||||
6.50%, 10/15/26 |
529 | 476,084 | ||||||||
7.00%, 10/15/28 |
402 | 349,714 | ||||||||
Kaixo Bondsco Telecom SA,5.13%,09/30/29 (d) |
欧元 | 100 | 79,382 | |||||||
LCPR高级担保融资DAC,5.13%,07/15/29 (b) |
美元 | 673 | 561,955 | |||||||
Liberty宽带公司 (b)(f) |
||||||||||
1.25%, 09/30/50 |
279 | 260,586 | ||||||||
2.75%, 09/30/50 |
537 | 510,784 | ||||||||
Ligado Networks LLC, (15.50% PIK), 15.50%, 11/01/23 (b)(i) |
182 | 93,035 |
26 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
媒体(续) |
||||||||||||
狮门资本控股有限公司,5.50%,04/15/29 (b) |
美元 | 510 | $ | 397,800 | ||||||||
液态电信融资公司,5.50%,09/04/26 (b) |
200 | 175,000 | ||||||||||
Live Nation Entertainment,Inc. (b) |
||||||||||||
4.88%, 11/01/24 |
21 | 20,055 | ||||||||||
6.50%, 05/15/27 |
465 | 457,290 | ||||||||||
4.75%, 10/15/27 |
169 | 149,822 | ||||||||||
3.75%, 01/15/28 |
130 | 112,125 | ||||||||||
Lorca Telecom Bondco SA,4.00%,09/18/27 (d) |
欧元 | 100 | 87,474 | |||||||||
中大陆通信/中大陆金融公司,5.38%,08/15/27 (b) |
美元 | 108 | 99,360 | |||||||||
Network i2i Ltd.(5年CMT+4.27%),5.65% (a)(d)(h) |
400 | 370,200 | ||||||||||
OutFront Media Capital LLC/Outfront Media Capital Corp. (b) |
||||||||||||
5.00%, 08/15/27 |
123 | 107,471 | ||||||||||
4.25%, 01/15/29 |
80 | 63,730 | ||||||||||
4.63%, 03/15/30 |
10 | 7,879 | ||||||||||
派拉蒙全球,5.85%,09/01/43 |
645 | 602,605 | ||||||||||
Radiate Holdco LLC/Radiate Finance, Inc. (b) |
||||||||||||
4.50%, 09/15/26 |
464 | 400,098 | ||||||||||
6.50%, 09/15/28 |
1,131 | 874,122 | ||||||||||
赛博国际金融有限公司。 |
||||||||||||
5.75%, 09/07/27 (b) |
200 | 183,320 | ||||||||||
5.75%, 09/07/27 (d) |
200 | 183,320 | ||||||||||
斯克里普斯托管II,Inc.,3.88%,1/15/29 (b) |
11 | 9,218 | ||||||||||
辛克莱电视集团,4.13%,12/01/30 (b) |
666 | 528,248 | ||||||||||
天狼星XM无线电公司 (b) |
||||||||||||
3.13%, 09/01/26 |
331 | 295,328 | ||||||||||
5.00%, 08/01/27 |
112 | 103,882 | ||||||||||
4.00%, 07/15/28 |
96 | 83,040 | ||||||||||
4.13%, 07/01/30 |
57 | 47,606 | ||||||||||
3.88%, 09/01/31 |
302 | 240,467 | ||||||||||
Stagwell Global LLC,5.63%,08/15/29 (b) |
69 | 55,444 | ||||||||||
夏季BC Holdco B SARL,5.75%,10/31/26 (d) |
欧元 | 100 | 91,292 | |||||||||
TCI Communications,Inc.,7.88%,02/15/26 |
美元 | 610 | 684,526 | |||||||||
Tele Columbus AG,3.88%,05/02/25 (d) |
欧元 | 100 | 87,787 | |||||||||
联合集团BV,5.25%,02/01/30 (d) |
100 | 77,275 | ||||||||||
Univision Communications,Inc. (b) |
||||||||||||
5.13%, 02/15/25 |
美元 | 52 | 48,932 | |||||||||
6.63%, 06/01/27 |
70 | 66,648 | ||||||||||
7.38%, 06/30/30 |
88 | 86,020 | ||||||||||
UPC宽带Finco BV,4.88%,07/15/31 (b) |
303 | 246,945 | ||||||||||
Videotron Ltd., 3.63%, 06/15/29 (b) |
178 | 144,493 | ||||||||||
维珍媒体供应商融资报告IV DAC,5.00%,07/15/28 (b) |
307 | 254,033 | ||||||||||
Vtr comunicacones spa,4.38%,04/15/29 (b) |
200 | 135,500 | ||||||||||
VZ担保融资业务,3.50%,32年1月15日 (d) |
欧元 | 100 | 78,639 | |||||||||
Walt Disney Co., 7.63%, 11/30/28 |
美元 | 385 | 453,233 | |||||||||
WMG收购公司,3.88%,07/15/30 (b) |
37 | 30,767 | ||||||||||
Ziggo Bonds Co.BV,6.00%,01/15/27 (b) |
150 | 132,750 | ||||||||||
|
|
|||||||||||
41,129,037 | ||||||||||||
金属和矿业--1.1% |
||||||||||||
ABJA投资有限公司 . (d) |
||||||||||||
5.95%, 07/31/24 |
250 | 249,375 | ||||||||||
5.45%, 01/24/28 |
200 | 188,000 | ||||||||||
阿勒格尼技术公司 |
||||||||||||
4.88%, 10/01/29 |
68 | 54,229 |
安防 |
帕尔 (000) |
价值 |
||||||||||
金属与矿业(续) |
||||||||||||
阿勒格尼技术公司(续) |
||||||||||||
5.13%, 10/01/31 |
美元 | 187 | $ | 143,250 | ||||||||
Arconic Corp. (b) |
||||||||||||
6.00%, 05/15/25 |
87 | 84,851 | ||||||||||
6.13%, 02/15/28 |
244 | 227,842 | ||||||||||
大河钢铁有限责任公司/BRS金融公司,6.63%,01/31/29 (b) |
682 | 632,859 | ||||||||||
卡朋特科技公司 |
||||||||||||
6.38%, 07/15/28 |
154 | 137,462 | ||||||||||
7.63%, 03/15/30 |
134 | 123,052 | ||||||||||
商业金属公司 |
||||||||||||
4.13%, 01/15/30 |
48 | 40,416 | ||||||||||
4.38%, 03/15/32 |
51 | 41,773 | ||||||||||
Constellium SE (b) |
||||||||||||
5.63%, 06/15/28 |
250 | 223,686 | ||||||||||
3.75%, 04/15/29 |
841 | 666,974 | ||||||||||
FMG资源2006年8月私人。有限公司,6.13%,04/15/32 (b) |
276 | 248,400 | ||||||||||
JSW Steel Ltd., 5.95%, 04/18/24 (d) |
200 | 197,500 | ||||||||||
凯撒铝业公司 (b) |
||||||||||||
4.63%, 03/01/28 |
119 | 99,070 | ||||||||||
4.50%, 06/01/31 |
535 | 404,931 | ||||||||||
矿产资源有限公司。 (b) |
||||||||||||
8.00%, 11/01/27 |
86 | 83,850 | ||||||||||
8.50%, 05/01/30 |
88 | 86,680 | ||||||||||
蒙古矿业公司/能源有限责任公司,9.25%,04/15/24 (b) |
200 | 134,600 | ||||||||||
New Gold, Inc., 7.50%, 07/15/27 (b) |
470 | 408,900 | ||||||||||
Nexa Resources SA,5.38%,05/04/27 (b) |
299 | 276,257 | ||||||||||
Novelis Corp. (b) |
||||||||||||
3.25%, 11/15/26 |
342 | 289,084 | ||||||||||
4.75%, 01/30/30 |
534 | 443,850 | ||||||||||
3.88%, 08/15/31 |
473 | 364,300 | ||||||||||
力拓金融美国公司,4.75%,03/22/42 |
400 | 397,759 | ||||||||||
美国滚动轴承公司,4.38%,10/15/29 (b) |
82 | 69,775 | ||||||||||
蒂森克虏伯股份公司,2.88%,02/22/24 (d) |
欧元 | 51 | 51,263 | |||||||||
U.S. Steel Corp., 6.88%, 03/01/29 |
美元 | 231 | 201,568 | |||||||||
韦丹塔资源财务II公司,13.88%,01/21/24 ( d) |
400 | 356,000 | ||||||||||
|
|
|||||||||||
6,927,556 | ||||||||||||
多线零售-0.1% |
||||||||||||
Bath&Body Works公司 |
||||||||||||
6.88%, 11/01/35 |
141 | 114,563 | ||||||||||
6.75%, 07/01/36 |
49 | 39,195 | ||||||||||
NMG Holding Co./Neiman Marcus Group LLC,7.13%,04/01/26 (b) |
252 | 232,238 | ||||||||||
|
|
|||||||||||
385,996 | ||||||||||||
多功能-0.2% |
||||||||||||
KeySpan Gas East Corp.,5.82%,04/01/41 (b) |
1,010 | 1,014,174 | ||||||||||
|
|
|||||||||||
近海钻探和其他服务-0.1% |
||||||||||||
Entigis,Inc. (b) |
||||||||||||
4.38%, 04/15/28 |
168 | 148,260 | ||||||||||
3.63%, 05/01/29 |
30 | 25,087 | ||||||||||
KLA Corp., 3.30%, 03/01/50 |
500 | 395,998 | ||||||||||
|
|
|||||||||||
569,345 |
S C H E D U L E O F I N V E S T M E N T S |
27 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
石油、天然气和消耗性燃料-7.9% |
| |||||||||||
Aethon United BR LP/Aethon United Finance Corp.,8.25%,02/15/26 (b) |
美元 | 557 | $ | 541,265 | ||||||||
Antero Midstream Partners LP/Antero Midstream |
|
|||||||||||
金融公司 (b) |
||||||||||||
5.75%, 03/01/27 |
184 | 171,120 | ||||||||||
5.75%, 01/15/28 |
39 | 35,506 | ||||||||||
5.38%, 06/15/29 |
140 | 125,378 | ||||||||||
Antero Resources Corp.,7.63%,02/01/29 (b) |
142 | 144,452 | ||||||||||
阿帕奇公司 |
||||||||||||
4.25%, 01/15/30 |
133 | 117,871 | ||||||||||
5.10%, 09/01/40 |
321 | 271,046 | ||||||||||
5.25%, 02/01/42 |
25 | 20,912 | ||||||||||
5.35%, 07/01/49 |
97 | 76,644 | ||||||||||
Arcosa, Inc., 4.38%, 04/15/29 (b) |
238 | 201,956 | ||||||||||
Asccent Resources Utica Holdings LLC/ARU Finance Corp. (b) |
||||||||||||
9.00%, 11/01/27 |
625 | 784,490 | ||||||||||
5.88%, 06/30/29 |
152 | 133,760 | ||||||||||
七叶树合伙公司 |
||||||||||||
4.13%, 03/01/25 (b) |
179 | 165,724 | ||||||||||
5.85%, 11/15/43 |
94 | 66,740 | ||||||||||
5.60%, 10/15/44 |
59 | 41,086 | ||||||||||
Burlington Resources LLC,5.95%,10/15/36 |
685 | 745,521 | ||||||||||
卡隆石油公司。 |
||||||||||||
6.13%, 10/01/24 |
85 | 86,309 | ||||||||||
9.00%, 04/01/25 (b) |
706 | 748,360 | ||||||||||
6.38%, 07/01/26 |
80 | 73,800 | ||||||||||
8.00%, 08/01/28 (b)(e) |
407 | 390,964 | ||||||||||
7.50%, 06/15/30 |
375 | 345,052 | ||||||||||
CellneX Telecom SA,CLNX系列,0.75%,11/20/31 (d)(f) |
欧元 | 100 | 71,367 | |||||||||
Cenovus Energy,Inc.,4.25%,04/15/27 |
美元 | 400 | 392,058 | |||||||||
百年资源生产有限责任公司 |
||||||||||||
6.88%, 04/01/27 (b) |
31 | 29,439 | ||||||||||
3.25%, 04/01/28 (f) |
322 | 400,487 | ||||||||||
中央母公司/中央合并子公司,7.25%,6/15/29 |
383 | 368,637 | ||||||||||
Cheniere Energy Partners LP |
||||||||||||
4.50%, 10/01/29 |
463 | 413,320 | ||||||||||
4.00%, 03/01/31 |
308 | 261,892 | ||||||||||
3.25%, 01/31/32 (b) |
421 | 331,538 | ||||||||||
Cheniere Energy,Inc.,4.63%,2018年10月15日 |
1,466 | 1,320,236 | ||||||||||
切萨皮克能源公司 (b) |
||||||||||||
5.88%, 02/01/29 |
28 | 26,404 | ||||||||||
6.75%, 04/15/29 |
350 | 338,460 | ||||||||||
Citgo Holding,Inc.,9.25%,08/01/24 (b) |
298 | 288,315 | ||||||||||
Civitas Resources,Inc.,5.00%,10月15日/26 (b) |
60 | 53,850 | ||||||||||
CNX Midstream Partners LP,4.75%,04/15/30 (b) |
63 | 52,920 | ||||||||||
CNX资源公司 |
||||||||||||
2.25%, 05/01/26 (f) |
337 | 492,525 | ||||||||||
6.00%, 01/15/29 (b) |
74 | 69,131 | ||||||||||
高露洁能源合作伙伴III有限责任公司 (b) |
||||||||||||
7.75%, 02/15/26 |
181 | 172,065 | ||||||||||
5.88%, 07/01/29 |
238 | 208,548 | ||||||||||
Comstock Resources,Inc. (b) |
||||||||||||
6.75%, 03/01/29 |
472 | 422,643 | ||||||||||
5.88%, 01/15/30 |
537 | 461,820 | ||||||||||
康菲石油,6.50%02/01/39 |
600 | 704,132 | ||||||||||
CQP Holdco LP/BIP-V Chinook Holdco LLC,5.50%,6月15日/31 (b) |
1,000 | 851,540 |
安防 |
帕尔 (000) |
价值 |
||||||||||
石油、天然气和消耗性燃料(续) |
| |||||||||||
新月能源金融有限责任公司,7.25%,05/01/26 (b) |
美元 | 496 | $ | 451,360 | ||||||||
Crestwood Midstream Partners LP/Crestwood Midstream Finance Corp. (b) |
||||||||||||
5.63%, 05/01/27 |
34 | 30,260 | ||||||||||
6.00%, 02/01/29 |
121 | 105,582 | ||||||||||
8.00%, 04/01/29 |
59 | 54,797 | ||||||||||
CrownRock LP/CrownRock Finance,Inc.,5.63%,10/15/25 (b) |
570 | 535,800 | ||||||||||
DCP中流作业LP |
||||||||||||
6.45%, 11/03/36 (b) |
106 | 103,880 | ||||||||||
6.75%, 09/15/37 (b) |
172 | 163,615 | ||||||||||
5.60%, 04/01/44 |
2 | 1,616 | ||||||||||
德文能源公司 |
||||||||||||
5.85%, 12/15/25 |
1,000 | 1,040,866 | ||||||||||
4.75%, 05/15/42 |
300 | 272,066 | ||||||||||
DT Midstream,Inc. (b) |
||||||||||||
4.13%, 06/15/29 |
276 | 233,910 | ||||||||||
4.38%, 06/15/31 |
409 | 342,537 | ||||||||||
Dycom Industries,Inc.,4.50%,04/15/29 (b) |
69 | 60,245 | ||||||||||
土石能源控股有限责任公司,8.00%,04/15/27 (b) |
198 | 187,358 | ||||||||||
Ecopetrol SA, 4.63%, 11/02/31 |
130 | 98,150 | ||||||||||
Eg Global Finance PLC |
||||||||||||
6.75%, 02/07/25 (b) |
441 | 415,812 | ||||||||||
6.25%, 10/30/25 (d) |
欧元 | 142 | 133,360 | |||||||||
8.50%, 10/30/25 (b) |
美元 | 200 | 193,750 | |||||||||
Enbridge,Inc. (a) |
||||||||||||
(3 mo. LIBOR US + 3.64%), 6.25%, 03/01/78 |
1,935 | 1,722,418 | ||||||||||
Series 20-A, (5 year CMT + 5.31%), 5.75%, 07/15/80 |
950 | 868,604 | ||||||||||
Endeavor Energy Resources LP/EER Finance,Inc. (b) |
||||||||||||
6.63%, 07/15/25 |
128 | 128,627 | ||||||||||
5.75%, 01/30/28 |
239 | 227,683 | ||||||||||
能量转移LP |
||||||||||||
4.05%, 03/15/25 |
500 | 492,468 | ||||||||||
4.75%, 01/15/26 |
1,250 | 1,245,319 | ||||||||||
3.90%, 07/15/26 |
310 | 297,872 | ||||||||||
5.30%, 04/15/47 |
540 | 467,588 | ||||||||||
Series H, (5 year CMT + 5.69%), 6.50% (a)(h) |
433 | 382,736 | ||||||||||
EnLink中流有限责任公司 |
||||||||||||
5.63%, 01/15/28 (b) |
165 | 151,349 | ||||||||||
5.38%, 06/01/29 |
328 | 287,068 | ||||||||||
EnLink Midstream Partners LP |
||||||||||||
4.40%, 04/01/24 |
144 | 140,565 | ||||||||||
4.15%, 06/01/25 |
10 | 9,309 | ||||||||||
4.85%, 07/15/26 |
67 | 61,808 | ||||||||||
5.60%, 04/01/44 |
155 | 109,773 | ||||||||||
5.05%, 04/01/45 |
33 | 22,316 | ||||||||||
5.45%, 06/01/47 |
42 | 29,725 | ||||||||||
企业产品运营有限责任公司,6.13%,10/15/39 |
1,400 | 1,479,615 | ||||||||||
EOG Resources,Inc.,5.10%,31/15/36 |
200 | 197,820 | ||||||||||
EQM中游合作伙伴有限公司 |
||||||||||||
6.00%, 07/01/25 (b) |
65 | 62,314 | ||||||||||
4.13%, 12/01/26 |
68 | 58,735 | ||||||||||
6.50%, 07/01/27 (b) |
245 | 227,801 | ||||||||||
4.50%, 01/15/29 (b) |
13 | 10,554 | ||||||||||
7.50%, 06/01/30 |
57 | 54,757 | ||||||||||
4.75%, 01/15/31 (b) |
456 | 363,660 |
28 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
石油、天然气和消耗性燃料(续) |
| |||||||||||
EQT Corp., 1.75%, 05/01/26 (f) |
美元 | 132 | $ | 310,926 | ||||||||
Genesis Energy LP/Genesis Energy Finance Corp. |
||||||||||||
6.50%, 10/01/25 |
29 | 26,753 | ||||||||||
7.75%, 02/01/28 |
75 | 64,879 | ||||||||||
湾港能源公司,8.00%,05/17/26 (b) |
25 | 24,593 | ||||||||||
嘉实中游I LP,7.50%,09/01/28 (b) |
40 | 37,569 | ||||||||||
Hess Corp., 4.30%, 04/01/27 |
1,100 | 1,072,267 | ||||||||||
Hess Midstream Operations LP,4.25%,02/15/30 (b) |
162 | 135,669 | ||||||||||
Hilcorp Energy I LP/Hilcorp Finance Co.,6.25%,11/01/28 (b) |
22 | 20,735 | ||||||||||
希龙控股有限公司,9.75%,11/18/24 (d) |
207 | 112,466 | ||||||||||
HPCL-Mittal Energy Ltd.,5.45%,10/22/26 (d) |
200 | 187,000 | ||||||||||
HTA Group Ltd., 7.00%, 12/18/25 (b) |
200 | 166,788 | ||||||||||
IHS Holding Ltd., 6.25%, 11/29/28 (b) |
200 | 159,500 | ||||||||||
ImPulsora管道有限责任公司,6.05%,12/31/42 (c) |
1,658 | 1,467,997 | ||||||||||
ITT Holdings LLC,6.50%,08/01/29 (b) |
232 | 185,600 | ||||||||||
Kinder Morgan,Inc.,5.05%,02/15/46 |
1,400 | 1,252,710 | ||||||||||
Kinetik Holdings LP,5.88%,06/15/30 |
378 | 360,088 | ||||||||||
马拉松石油公司,6.50%,03/01/41 |
1,150 | 1,255,217 | ||||||||||
斗牛士资源公司,5.88%,09/15/26 |
875 | 841,120 | ||||||||||
美可橡树私人有限公司。有限公司,7.38%,05/14/26 (d) |
288 | 261,360 | ||||||||||
MPLX LP, 4.25%, 12/01/27 |
250 | 241,244 | ||||||||||
墨菲石油公司 |
||||||||||||
5.75%, 08/15/25 |
42 | 41,559 | ||||||||||
5.88%, 12/01/27 |
40 | 37,330 | ||||||||||
6.13%, 12/01/42 |
18 | 13,455 | ||||||||||
墨菲石油美国公司,4.75%,09/15/29 |
95 | 85,506 | ||||||||||
纳博斯实业有限公司 (b) |
||||||||||||
7.25%, 01/15/26 |
58 | 51,437 | ||||||||||
7.50%, 01/15/28 |
94 | 80,840 | ||||||||||
Nabors Industries,Inc.,7.38%,05/15/27 (b) |
226 | 214,700 | ||||||||||
新堡垒能源公司 (b) |
||||||||||||
6.75%, 09/15/25 |
585 | 552,825 | ||||||||||
6.50%, 09/30/26 |
758 | 686,567 | ||||||||||
NGL能源运营有限责任公司/NGL能源金融公司,7.50%,02/01/26 (b) |
115 | 103,500 | ||||||||||
NGPL PipeCo LLC,7.77%,12/15/37 (b) |
138 | 150,177 | ||||||||||
北方石油天然气公司,8.13%,03/01/28 (b) |
620 | 584,350 | ||||||||||
NuSTAR物流有限公司 |
||||||||||||
6.00%, 06/01/26 |
99 | 92,565 | ||||||||||
6.38%, 10/01/30 |
17 | 14,770 | ||||||||||
西方石油公司 |
||||||||||||
6.95%, 07/01/24 |
43 | 44,290 | ||||||||||
8.00%, 07/15/25 |
25 | 26,313 | ||||||||||
5.88%, 09/01/25 |
79 | 78,656 | ||||||||||
5.50%, 12/01/25 |
101 | 99,485 | ||||||||||
8.88%, 07/15/30 |
67 | 76,921 | ||||||||||
6.63%, 09/01/30 |
442 | 455,260 | ||||||||||
6.13%, 01/01/31 |
53 | 53,712 | ||||||||||
7.50%, 05/01/31 |
58 | 62,350 | ||||||||||
6.45%, 09/15/36 |
68 | 69,700 | ||||||||||
6.20%, 03/15/40 |
637 | 627,445 | ||||||||||
6.60%, 03/15/46 |
44 | 46,728 | ||||||||||
Oil & Gas Holding Co., 7.63%, 11/07/24 (d) |
200 | 205,725 | ||||||||||
OQ SAOC, 5.13%, 05/06/28 (b) |
200 | 188,350 | ||||||||||
PDC能源公司 |
||||||||||||
6.13%, 09/15/24 |
58 | 57,605 | ||||||||||
5.75%, 05/15/26 |
164 | 152,984 | ||||||||||
PerTamina Persero PT,3.65%,07/30/29 (d) |
239 | 218,386 |
安防 |
帕尔 (000) |
价值 |
||||||||||
石油、天然气和消耗性燃料(续) |
| |||||||||||
墨西哥石油公司 |
||||||||||||
6.50%, 03/13/27 |
美元 | 212 | $ | 183,009 | ||||||||
5.95%, 01/28/31 |
181 | 132,058 | ||||||||||
6.38%, 01/23/45 |
98 | 58,923 | ||||||||||
6.75%, 09/21/47 |
67 | 41,038 | ||||||||||
7.69%, 01/23/50 |
79 | 52,733 | ||||||||||
先锋自然资源公司,0.25%,05/15/25 (f) |
191 | 412,942 | ||||||||||
彪马国际融资公司,5.13%,10/06/24 (b) |
200 | 181,000 | ||||||||||
Range Resources Corp. |
||||||||||||
5.00%, 03/15/23 |
122 | 121,085 | ||||||||||
4.88%, 05/15/25 |
10 | 9,754 | ||||||||||
Rockcliff Energy II LLC,5.50%,10/15/29 (b) |
257 | 233,862 | ||||||||||
Sabine Pass液化有限责任公司,5.88%,06/30/26 |
1,750 | 1,808,154 | ||||||||||
SM能源公司 |
||||||||||||
5.63%, 06/01/25 |
38 | 35,910 | ||||||||||
6.75%, 09/15/26 |
85 | 80,186 | ||||||||||
6.63%, 01/15/27 |
22 | 20,570 | ||||||||||
6.50%, 07/15/28 |
122 | 112,204 | ||||||||||
西南能源公司 |
||||||||||||
5.38%, 02/01/29 |
232 | 215,203 | ||||||||||
4.75%, 02/01/32 |
109 | 93,143 | ||||||||||
森科尔能源公司,6.50%,06/15/38 |
1,000 | 1,105,583 | ||||||||||
Sunoco LP/Sunoco Finance Corp. |
||||||||||||
6.00%, 04/15/27 |
38 | 36,228 | ||||||||||
5.88%, 03/15/28 |
4 | 3,647 | ||||||||||
Tallgras Energy Partners LP/Tallgras Energy Finance Corp. (b) |
||||||||||||
6.00%, 03/01/27 |
29 | 25,883 | ||||||||||
6.00%, 12/31/30 |
20 | 16,600 | ||||||||||
6.00%, 09/01/31 |
88 | 72,600 | ||||||||||
TAP Rock Resources LLC,7.00%,10/01/26 (b) |
519 | 490,049 | ||||||||||
TransCanada管道有限公司,4.63%,03/01/34 |
500 | 479,762 | ||||||||||
Transocean, Inc., 11.50%, 01/30/27 (b) |
81 | 76,029 | ||||||||||
Venture Global Calcasieu Pass LLC (b) |
||||||||||||
3.88%, 08/15/29 |
559 | 488,971 | ||||||||||
4.13%, 08/15/31 |
476 | 406,752 | ||||||||||
3.88%, 11/01/33 |
1,070 | 882,750 | ||||||||||
朱砂能源公司,6.88%,05/01/30 (b) |
108 | 96,660 | ||||||||||
Vivo Energy Investments BV,5.13%,09/24/27 (b) |
200 | 188,500 | ||||||||||
西部中游营运LP |
||||||||||||
4.75%, 08/15/28 |
25 | 22,841 | ||||||||||
5.45%, 04/01/44 |
229 | 190,331 | ||||||||||
5.30%, 03/01/48 |
75 | 60,461 | ||||||||||
5.50%, 08/15/48 |
69 | 56,235 | ||||||||||
5.75%, 02/01/50 |
678 | 544,474 | ||||||||||
威廉姆斯公司 |
||||||||||||
3.90%, 01/15/25 |
1,150 | 1,136,070 | ||||||||||
4.00%, 09/15/25 |
750 | 738,291 | ||||||||||
|
|
|||||||||||
50,813,194 | ||||||||||||
制药--2.3% |
||||||||||||
艾伯维公司 |
||||||||||||
3.80%, 03/15/25 (e) |
3,250 | 3,223,983 | ||||||||||
3.60%, 05/14/25 |
870 | 855,852 | ||||||||||
3.20%, 05/14/26 |
500 | 481,639 | ||||||||||
4.55%, 03/15/35 |
2,140 | 2,081,573 | ||||||||||
4.45%, 05/14/46 |
2,095 | 1,900,394 | ||||||||||
博世健康公司 (b) |
||||||||||||
9.00%, 12/15/25 |
23 | 16,994 | ||||||||||
6.13%, 02/01/27 |
43 | 36,550 |
S C H E D U L E O F I N V E S T M E N T S |
29 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
制药(续) |
||||||||||||
博世健康公司 (b) (续) |
||||||||||||
5.00%, 02/15/29 |
美元 | 83 | $ | 43,160 | ||||||||
6.25%, 02/15/29 |
8 | 4,258 | ||||||||||
7.25%, 05/30/29 |
27 | 14,648 | ||||||||||
Cheplapamm Arzneimittel GmbH,3.50%,02/11/27 (d) |
欧元 | 100 | 89,128 | |||||||||
CVS Health Corp. |
||||||||||||
5.13%, 07/20/45 |
美元 | 700 | 674,256 | |||||||||
5.05%, 03/25/48 |
1,821 | 1,743,149 | ||||||||||
Elanco动物健康公司,6.40%,08/28/28 |
6 | 5,711 | ||||||||||
Gruenenthal GmbH,4.13%,05/15/28 (d) |
欧元 | 100 | 89,600 | |||||||||
Jazz Securities DAC,4.38%,01/15/29 (b) |
美元 | 500 | 444,758 | |||||||||
Nidda Healthcare Holding GmbH,3.50%,2009年9月30日 (d) |
欧元 | 100 | 92,587 | |||||||||
Option Care Health,Inc.,4.38%,10/31/29 (b) |
美元 | 142 | 121,765 | |||||||||
Organon&Co./Organon外债联合发行商BV (b) |
||||||||||||
4.13%, 04/30/28 |
598 | 529,230 | ||||||||||
5.13%, 04/30/31 |
587 | 506,481 | ||||||||||
P&L Development LLC/PLD Finance Corp.,7.75%,11/15/25 (b) |
164 | 114,808 | ||||||||||
PRA Health Science,Inc.,2.88%,07/15/26 (b) |
400 | 356,000 | ||||||||||
威望品牌公司,3.75%,04/01/31 (b) |
101 | 83,749 | ||||||||||
Teva制药金融荷兰II BV,6.00%,25年1月31日 |
欧元 | 100 | 102,064 | |||||||||
Teva制药金融荷兰III BV,7.13%,25年1月31日 |
美元 | 200 | 194,162 | |||||||||
犹他州收购子公司,3.95%,06/15/26 |
750 | 706,570 | ||||||||||
|
|
|||||||||||
14,513,069 | ||||||||||||
房地产管理与开发-0.5% |
| |||||||||||
Adler Group SA, 2.75%, 11/13/26 (d) |
欧元 | 100 | 52,502 | |||||||||
中国奥源集团有限公司 (d)(k)(l) |
||||||||||||
5.98%, 08/18/25 |
美元 | 489 | 46,394 | |||||||||
6.20%, 03/24/26 |
450 | 36,000 | ||||||||||
中信集团控股有限公司,7.38%,04/09/24 (d) |
200 | 66,000 | ||||||||||
CIFI控股集团有限公司,6.45%,11/07/24 (d) |
200 | 128,000 | ||||||||||
碧桂园股份有限公司,6.50%,04/08/24 (d) |
200 | 124,000 | ||||||||||
DIC Asset AG, 2.25%, 09/22/26 (d) |
欧元 | 100 | 69,689 | |||||||||
Easy Tactic Ltd., 11.75%, 08/02/23 (d) |
美元 | 200 | 43,600 | |||||||||
幻想曲控股集团有限公司。 (d)(k)(l) |
||||||||||||
11.75%, 04/17/22 |
200 | 16,500 | ||||||||||
10.88%, 01/09/23 |
307 | 25,328 | ||||||||||
11.88%, 06/01/23 |
400 | 33,000 | ||||||||||
9.25%, 07/28/23 |
300 | 24,750 | ||||||||||
Five Point Operating Co.LP/Five Point Capital Corp.,7.88%,11/15/25 (b) |
35 | 29,356 | ||||||||||
全球优质资本私人有限公司。LTD. (d) |
||||||||||||
5.50%, 10/18/23 |
200 | 197,037 | ||||||||||
5.95%, 01/23/25 |
200 | 187,000 | ||||||||||
霍华德·休斯公司 (b) |
||||||||||||
5.38%, 08/01/28 |
19 | 15,913 | ||||||||||
4.13%, 02/01/29 |
74 | 57,075 | ||||||||||
4.38%, 02/01/31 |
80 | 59,207 | ||||||||||
佳兆业集团控股有限公司,11.95%,11/12/23 (d)(k)(l) |
259 | 34,317 | ||||||||||
KWG集团控股有限公司,5.88%,11/10/24 (d) |
200 | 39,000 | ||||||||||
MAF Sukuk Ltd. (d) |
||||||||||||
4.64%, 05/14/29 |
200 | 200,100 | ||||||||||
3.93%, 02/28/30 |
200 | 191,287 |
安防 |
帕尔 (000) |
价值 |
||||||||||
房地产管理与开发(续) |
|
|||||||||||
现代置地中国有限公司,9.80%,04/11/23 (c)(d)(k)(l) |
美元 | 200 | $ | 32,000 | ||||||||
Realology Group LLC/Realology Co-Issuer Corp. (b) |
||||||||||||
5.75%, 01/15/29 |
180 | 136,498 | ||||||||||
5.25%, 04/15/30 |
91 | 67,340 | ||||||||||
朗盛中国控股有限公司,7.35%,12/15/23 (d) |
200 | 25,000 | ||||||||||
世茂集团控股有限公司,3.45%,01/11/31 (d) |
200 | 21,000 | ||||||||||
瑞安发展控股有限公司,5.50%,03/03/25 (d) |
282 | 212,910 | ||||||||||
喜达屋地产信托公司,4.38%,27年1月15日 (b) |
52 | 45,139 | ||||||||||
Theta Capital Pte.有限公司,8.13%,01/22/25 (d) |
200 | 172,000 | ||||||||||
时代中国控股有限公司,6.20%,03/22/26 (d) |
611 | 85,540 | ||||||||||
万达地产海外有限公司,6.88%,07/23/23 (d) |
200 | 159,000 | ||||||||||
仁达置业香港有限公司,6.75%,04/23/23 (d) |
250 | 234,950 | ||||||||||
禹州集团控股有限公司。 (d)(k)(l) |
||||||||||||
8.38%, 10/30/24 |
200 | 14,000 | ||||||||||
7.70%, 02/20/25 |
263 | 17,095 | ||||||||||
7.38%, 01/13/26 |
200 | 13,000 | ||||||||||
6.35%, 01/13/27 |
200 | 13,000 | ||||||||||
真诺地产集团有限公司,7.88%,04/14/24 (d)(k)(l) |
200 | 13,000 | ||||||||||
|
|
|||||||||||
2,937,527 | ||||||||||||
公路和铁路-1.1% |
||||||||||||
Burlington Northern Santa Fe LLC,5.75%,05/01/40 |
1,890 | 2,073,383 | ||||||||||
CSX Corp., 4.75%, 05/30/42 |
350 | 333,383 | ||||||||||
Danaos Corp., 8.50%, 03/01/28 (b) |
100 | 99,002 | ||||||||||
利马地铁2号线财务有限公司,5.88%,07/05/34 (b) |
2,435 | 2,384,833 | ||||||||||
诺福克南方公司 |
||||||||||||
4.15%, 02/28/48 |
1,300 | 1,157,728 | ||||||||||
3.16%, 05/15/55 |
400 | 290,693 | ||||||||||
Seaspan Corp., 5.50%, 08/01/29 (b) |
230 | 185,050 | ||||||||||
联合太平洋公司,3.84%,03/20/60 |
800 | 667,769 | ||||||||||
|
|
|||||||||||
7,191,841 | ||||||||||||
半导体和半导体设备-0.9% |
||||||||||||
博通公司/博通开曼金融有限公司,3.88%,27年1月15日 |
2,850 | 2,742,258 | ||||||||||
Broadcom, Inc., 3.46%, 09/15/26 |
735 | 704,177 | ||||||||||
Entigis托管公司,4.75%,04/15/29 (b) |
1,033 | 961,959 | ||||||||||
微芯片技术公司 (f) |
||||||||||||
0.13%, 11/15/24 |
220 | 218,900 | ||||||||||
1.63%, 02/15/25 |
53 | 131,854 | ||||||||||
Qualcomm, Inc., 4.65%, 05/20/35 |
250 | 256,023 | ||||||||||
Sensata Technologies BV (b) |
||||||||||||
5.00%, 10/01/25 |
70 | 67,200 | ||||||||||
4.00%, 04/15/29 |
159 | 134,845 | ||||||||||
Sensata技术公司 (b) |
||||||||||||
4.38%, 02/15/30 |
462 | 393,244 | ||||||||||
3.75%, 02/15/31 |
13 | 10,419 | ||||||||||
Synaptics, Inc., 4.00%, 06/15/29 (b) |
129 | 104,745 | ||||||||||
|
|
|||||||||||
5,725,624 | ||||||||||||
软件-1.7% |
||||||||||||
ACI Worldwide,Inc.,5.75%,08/15/26 (b) |
262 | 252,901 | ||||||||||
Black Knight InfoServ LLC,3.63%,09/01/28 (b) |
255 | 220,575 | ||||||||||
拳击手母公司 |
||||||||||||
6.50%, 10/02/25 (d) |
欧元 | 100 | 98,130 | |||||||||
7.13%, 10/02/25 (b) |
美元 | 187 | 179,064 | |||||||||
9.13%, 03/01/26 (b) |
467 | 436,277 | ||||||||||
Elastic NV, 4.13%, 07/15/29 (b) |
254 | 212,034 |
30 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
软件(续) |
||||||||||||
Helios Software Holdings,Inc./ION Corporation Solutions Finance SARL,4.63%,05/01/28 (b) |
美元 | 200 | $ | 158,728 | ||||||||
铁山信息管理服务公司,5.00%,07/15/32 (b) |
156 | 125,909 | ||||||||||
微软公司,3.50%,11/15/42 (e) |
4,000 | 3,541,294 | ||||||||||
MicroStrategy,Inc.,6.13%,06/15/28 (b)(e) |
305 | 242,881 | ||||||||||
MSCI,Inc. (b) |
||||||||||||
4.00%, 11/15/29 |
51 | 45,203 | ||||||||||
3.63%, 09/01/30 |
81 | 67,528 | ||||||||||
3.88%, 02/15/31 |
14 | 11,970 | ||||||||||
3.63%, 11/01/31 |
96 | 79,022 | ||||||||||
3.25%, 08/15/33 |
124 | 98,839 | ||||||||||
Open Text Corp., 3.88%, 12/01/29 (b) |
133 | 111,939 | ||||||||||
Open Text Holdings,Inc.,4.13%,02/15/30 (b) |
83 | 71,799 | ||||||||||
甲骨文公司 |
||||||||||||
5.38%, 07/15/40 (e) |
3,025 | 2,755,073 | ||||||||||
4.00%, 11/15/47 |
400 | 296,615 | ||||||||||
3.60%, 04/01/50 |
1,250 | 868,323 | ||||||||||
Playtika Holding Corp.,4.25%,3月15日/29 (b) |
354 | 292,050 | ||||||||||
PTC, Inc., 4.00%, 02/15/28 (b) |
35 | 31,628 | ||||||||||
SS&C Technologies,Inc.,5.50%,09/30/27 (b) |
484 | 451,359 | ||||||||||
Veritas U.S.,Inc./Veritas百慕大有限公司,7.50%,09/01/25 (b) |
269 | 201,870 | ||||||||||
|
|
|||||||||||
10,851,011 | ||||||||||||
特色零售-0.2% |
||||||||||||
Arko Corp., 5.13%, 11/15/29 (b) |
123 | 93,176 | ||||||||||
Bath&Body Works,Inc.,7.60%,07/15/37 |
42 | 33,859 | ||||||||||
Carvana Co., 10.25%, 05/01/30 (b) |
113 | 92,660 | ||||||||||
国家愿景控股公司,2.50%,05/15/25 (f) |
165 | 185,015 | ||||||||||
PetSmart,Inc./PetSmart Finance Corp.,7.75%,02/15/29 (b) |
493 | 443,951 | ||||||||||
Staples, Inc., 7.50%, 04/15/26 (b) |
177 | 146,710 | ||||||||||
Tendam Brands SAU,(3个月。欧元同业拆借利率+5.25%),5.25%,09/15/24 (a)(d) |
欧元 | 100 | 100,035 | |||||||||
|
|
|||||||||||
1,095,406 | ||||||||||||
科技硬件、存储和外围设备-0.4% |
||||||||||||
Apple, Inc., 4.65%, 02/23/46 |
美元 | 2,400 | 2,470,574 | |||||||||
II-VI, Inc., 5.00%, 12/15/29 (b) |
499 | 435,378 | ||||||||||
|
|
|||||||||||
2,905,952 | ||||||||||||
纺织品、服装和奢侈品 (b) — 0.0% |
||||||||||||
Crocs公司 |
||||||||||||
4.25%, 03/15/29 |
15 | 11,095 | ||||||||||
4.13%, 08/15/31 |
99 | 70,068 | ||||||||||
Kontoor Brands,Inc.,4.13%,11/15/29 |
67 | 53,206 | ||||||||||
Levi Strauss & Co., 3.50%, 03/01/31 |
110 | 89,925 | ||||||||||
|
|
|||||||||||
224,294 | ||||||||||||
储蓄与抵押金融 (b) — 0.1% |
||||||||||||
Home Point Capital,Inc.,5.00%,02/01/26 |
116 | 80,040 | ||||||||||
Nationstar Mortgage控股公司。 |
||||||||||||
6.00%, 01/15/27 |
33 | 28,626 | ||||||||||
5.13%, 12/15/30 |
69 | 51,580 | ||||||||||
5.75%, 11/15/31 |
66 | 50,536 | ||||||||||
Rocket Mortgage LLC/Rocket Mortgage联合发行商,2.88%,10/15/26 |
203 | 167,761 | ||||||||||
|
|
|||||||||||
378,543 | ||||||||||||
烟草-0.8% |
||||||||||||
奥驰亚集团公司 |
||||||||||||
5.38%, 01/31/44 |
2,000 | 1,700,251 |
安防 |
帕尔 (000) |
价值 |
||||||||||
烟草(续) |
||||||||||||
奥驰亚集团(Altria Group,Inc.) |
||||||||||||
3.88%, 09/16/46 |
美元 | 1,250 | $ | 840,896 | ||||||||
雷诺美国公司 |
||||||||||||
4.45%, 06/12/25 |
635 | 631,177 | ||||||||||
7.00%, 08/04/41 |
1,000 | 1,020,820 | ||||||||||
5.85%, 08/15/45 |
1,500 | 1,258,639 | ||||||||||
|
|
|||||||||||
5,451,783 | ||||||||||||
交通运输业-0.0% |
||||||||||||
Autostrade Per l‘Italia Spa,2.00%,12/04/28 (d) |
欧元 | 100 | 85,412 | |||||||||
|
|
|||||||||||
交通基础设施-0.5% |
||||||||||||
多明尼加西格罗航空公司,6.75%,03/30/29 (b) |
美元 | 200 | 180,375 | |||||||||
DP World Salaam,(5年期CMT+5.75%),6.00% (a)(d)(h) |
200 | 200,563 | ||||||||||
FedEx Corp., 4.75%, 11/15/45 |
1,250 | 1,145,593 | ||||||||||
GMR海得拉巴国际机场有限公司,4.25%,2010年10月27日 (d) |
200 | 167,850 | ||||||||||
i-595 Express LLC, 3.31%, 12/31/31 (c) |
728 | 691,089 | ||||||||||
跨城市金融公司。有限公司,4.13%,02/02/26 (b) |
580 | 573,984 | ||||||||||
|
|
|||||||||||
2,959,454 | ||||||||||||
公用事业-1.3% |
||||||||||||
共识云解决方案公司 (b) |
||||||||||||
6.00%, 10/15/26 |
48 | 41,294 | ||||||||||
6.50%, 10/15/28 |
45 | 37,134 | ||||||||||
法国电力公司 (b) |
||||||||||||
5.60%, 01/27/40 |
2,800 | 2,678,813 | ||||||||||
(10 year USD Swap + 3.71%), 5.25% (a)(h) |
4,200 | 3,973,304 | ||||||||||
FEL Energy VI SARL,5.75%,12/01/40 |
188 | 136,904 | ||||||||||
Genneia SA, 8.75%, 09/02/27 (b) |
92 | 86,573 | ||||||||||
Inkia Energy Ltd.,5.88%,11/09/27 (b) |
200 | 181,850 | ||||||||||
Mong Duong Finance Holdings BV,5.13%,05/07/29 (d) |
576 | 463,428 | ||||||||||
花样能源运营公司/花样能源运营公司,4.50%,08/15/28 (b) |
86 | 74,820 | ||||||||||
星能地热华阳温都有限公司,6.75%,2003年4月24日 (d) |
214 | 200,306 | ||||||||||
泰晤士水务Kemble Finance PLC,4.63%,05/19/26 (d) |
英镑 | 168 | 190,749 | |||||||||
维斯特拉运营有限公司,4.38%,05/01/29 (b) |
美元 | 172 | 143,900 | |||||||||
|
|
|||||||||||
8,209,075 | ||||||||||||
无线电信服务-1.2% |
||||||||||||
法国阿尔蒂斯公司 (b) |
||||||||||||
5.13%, 07/15/29 |
744 | 561,720 | ||||||||||
5.50%, 10/15/29 |
321 | 245,215 | ||||||||||
皇冠城堡国际公司,3.10%,11/15/29 |
1,000 | 882,789 | ||||||||||
肯伯恩投资公司,6.88%,11/26/24 (b) |
210 | 191,008 | ||||||||||
Millicom International Ccell SA,4.50%,04/27/31 (b) |
200 | 148,000 | ||||||||||
罗杰斯通信公司,7.50%,08/15/38 |
2,325 | 2,812,485 | ||||||||||
SBA通信公司 |
||||||||||||
3.13%, 02/01/29 |
17 | 13,915 | ||||||||||
3.88%, 02/15/27 |
333 | 303,959 | ||||||||||
Sprint Corp., 7.63%, 03/01/26 |
234 | 246,549 | ||||||||||
T-Mobile美国公司 |
||||||||||||
2.63%, 02/15/29 |
308 | 259,270 | ||||||||||
3.38%, 04/15/29 |
106 | 92,750 | ||||||||||
2.88%, 02/15/31 |
127 | 105,439 |
S C H E D U L E O F I N V E S T M E N T S |
31 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
无线电信服务(续) |
| |||||||||||
T-Mobile USA,Inc.(续) |
||||||||||||
3.50%, 04/15/31 |
美元 | 253 | $ | 218,448 | ||||||||
4.50%, 04/15/50 |
500 | 443,652 | ||||||||||
Uniti Group LP/Uniti Group Finance,Inc./CSL Capital LLC,6.50%,02/15/29 (b) |
368 | 269,560 | ||||||||||
VMED O2 U.K.Finding I PLC |
||||||||||||
4.50%, 07/15/31 (d) |
英镑 | 100 | 95,862 | |||||||||
4.75%, 07/15/31 (b) |
美元 | 452 | 365,148 | |||||||||
沃达丰集团,4.25%,09/17/50 |
700 | 584,879 | ||||||||||
|
|
|||||||||||
7,840,648 | ||||||||||||
|
|
|||||||||||
公司债券总额-69.7% (Cost: $496,414,702) |
446,817,045 | |||||||||||
|
|
|||||||||||
浮动利率贷款利息 (a) |
| |||||||||||
航空航天和国防-0.1% |
||||||||||||
Cobham Ultra U.S.联合借款人有限责任公司,美元定期贷款B,11/17/28 (m) |
52 | 49,357 | ||||||||||
佩拉顿公司 |
||||||||||||
2nd Lien Term Loan B1, (1 mo. LIBOR + 7.75%, 0.75% Floor), 9.00%, 02/01/29 |
189 | 175,583 | ||||||||||
Term Loan B, (1 mo. LIBOR + 3.75%, 0.75% Floor), 5.42%, 02/01/28 |
567 | 531,125 | ||||||||||
SPIRIT航空系统公司,2021年定期贷款B,(1个月Libor+3.75%),5.42%,01/15/25 |
136 | 132,320 | ||||||||||
|
|
|||||||||||
888,385 | ||||||||||||
航空货运和物流-0.1% |
||||||||||||
AIT全球物流控股公司,2021年定期贷款,(3个月Libor+4.75%,0.75%下限),5.72%,04/06/28 |
77 | 69,034 | ||||||||||
PECF USS Intermediate Holding III Corp.,定期贷款B,(1个月Libor+4.25%),5.92%,12/15/28 |
274 | 246,966 | ||||||||||
|
|
|||||||||||
316,000 | ||||||||||||
航空公司-0.2% |
||||||||||||
AAdvantage忠诚IP有限公司,2021定期贷款,(3个月Libor+4.75%,0.75%下限),5.81%,04/20/28 |
433 | 412,067 | ||||||||||
Air Canada, 2021 Term Loan B, (3 mo. LIBOR + 3.50%, 0.75% Floor), 4.25%, 08/11/28 (c) |
237 | 217,447 | ||||||||||
Mileage Plus Holdings LLC,2020定期贷款B,(3个月Libor+5.25%,1.00%下限),7.31%,06/21/27 |
141 | 138,555 | ||||||||||
联合航空公司,2021年定期贷款B,(1个月Libor+3.75%,0.75%下限),5.39%,04/21/28 |
433 | 401,814 | ||||||||||
|
|
|||||||||||
1,169,883 | ||||||||||||
汽车零部件-0.0% |
||||||||||||
Clario Global LP,2021美元定期贷款B,(1个月Libor+3.25%),4.92%,04/30/26 |
69 | 64,221 | ||||||||||
|
|
|||||||||||
Banks — 0.1% |
||||||||||||
DirecTV融资有限责任公司,定期贷款,(1个月Libor+5.00%,0.75%下限),6.67%,08/02/27 |
661 | 606,997 | ||||||||||
|
|
安防 |
帕尔 (000) |
价值 |
||||||||||
饮料-0.0% |
||||||||||||
裸露果汁有限责任公司 |
||||||||||||
2nd Lien Term Loan, (SOFR + 6.00%), 8.15%, 01/24/30 (c) |
美元 | 20 | $ | 18,000 | ||||||||
Term Loan, (SOFR + 3.25%), 5.40%, 01/24/29 |
150 | 139,637 | ||||||||||
|
|
|||||||||||
157,637 | ||||||||||||
资本市场-0.1% |
||||||||||||
AqGen Asccount,Inc.,2021第二留置权定期贷款,(3个月Libor+6.50%),7.50%,08/02/29 (c) |
122 | 113,400 | ||||||||||
迪尔菲尔德达科他控股有限责任公司 |
||||||||||||
2020 USD Term Loan B, (SOFR + 3.75%, 1.00% Floor), 5.28%, 04/09/27 |
104 | 97,599 | ||||||||||
2021 USD 2nd Lien Term Loan, (1 mo. LIBOR + 6.75%, 0.75% Floor), 8.42%, 04/07/28 |
145 | 140,650 | ||||||||||
|
|
|||||||||||
351,649 | ||||||||||||
化学品-0.1% |
||||||||||||
Ascend Performance Material Operations LLC,2021定期贷款B,(3个月Libor+4.75%,0.75%下限),7.00%,08/27/26 |
250 | 243,106 | ||||||||||
Atotech BV, 2021 USD Term Loan B, (1 mo. LIBOR + 2.50%), 4.17%, 03/18/28 |
309 | 294,465 | ||||||||||
New Arclin U.S.Holding Corp.,2021年定期贷款,(1个月Libor+3.75%),5.42%,09/30/28 |
110 | 101,642 | ||||||||||
WR Grace Holdings LLC,2021年定期贷款B,(3个月Libor+3.75%),6.06%,09/22/28 |
212 | 200,597 | ||||||||||
|
|
|||||||||||
839,810 | ||||||||||||
商业服务和用品-0.1% |
| |||||||||||
Amentum政府服务控股有限责任公司,2022年定期贷款,(SOFR+4.00%),5.30%,02/15/29 |
94 | 89,242 | ||||||||||
Asurion LLC, 2020 Term Loan B8, (1 mo. LIBOR + 3.25%), 4.92%, 12/23/26 |
48 | 43,444 | ||||||||||
Propusion BC Finco SARL,定期贷款,2/10/29 (c)(m) |
138 | 130,410 | ||||||||||
天宝收购有限责任公司,2022年定期贷款B,(SOFR+3.00%),4.53%,08/31/28 |
— | (n) |
1 | |||||||||
Verscend Holding Corp.,2021年定期贷款B,(1个月Libor+4.00%),5.67%,08/27/25 |
632 | 603,088 | ||||||||||
|
|
|||||||||||
866,185 | ||||||||||||
通信设备-0.0% |
| |||||||||||
ViaSat, Inc., Term Loan, (SOFR + 4.50%), 6.14%, 03/02/29 |
262 | 243,445 | ||||||||||
|
|
|||||||||||
建筑与工程-0.2% |
||||||||||||
Brand Energy&Infrastructure Services,Inc.,2017年定期贷款,(3个月Libor+4.25%,1.00%下限),5.40%,06/21/24 |
1,337 | 1,152,102 | ||||||||||
|
|
|||||||||||
建筑材料-0.0% |
||||||||||||
BCPE帝国控股公司,2022年增量定期贷款,(SOFR+4.62%),6.25%,06/11/26 |
27 | 25,204 | ||||||||||
士麦那预拌混凝土有限责任公司,(SOFR+4.25%),5.88%,04/02/29 (c) |
66 | 60,885 | ||||||||||
|
|
|||||||||||
86,089 | ||||||||||||
集装箱和包装-0.1% |
||||||||||||
BWAY Holding Co.,2017年定期贷款B,(1周LIBOR+3.25%),4.31%,04/03/24 |
206 | 193,112 |
32 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
容器与包装(续) |
||||||||||||
Charge Next Generation,Inc.,2021年定期贷款,(1个月Libor+3.75%,0.75%下限),5.42%,12/01/27 |
美元 | 129 | $ | 121,466 | ||||||||
Clydesdale Acquisition Holdings,Inc.,定期贷款B,(SOFR+4.25%),5.88%,04/13/29 |
112 | 104,492 | ||||||||||
|
|
|||||||||||
419,070 | ||||||||||||
多元化消费服务--0.1% |
||||||||||||
Amentum政府服务控股有限公司,定期贷款B,(1个月Libor+3.75%),5.42%,01/29/27 |
41 | 39,077 | ||||||||||
Ascend Learning LLC,2021第二留置权定期贷款,(1个月Libor+5.75%),7.42%,12/10/29 (c) |
83 | 75,946 | ||||||||||
Sotheby’s, 2021 Term Loan B, (3 mo. LIBOR + 4.50%), 5.54%, 01/15/27 |
113 | 107,732 | ||||||||||
TruGreen LP,2020第二留置权定期贷款,(1个月Libor+8.50%,0.75%下限),10.17%,11/02/28 (c) |
106 | 101,230 | ||||||||||
|
|
|||||||||||
323,985 | ||||||||||||
多元化金融服务--0.2% |
||||||||||||
Delta TopCo, Inc., 2020 Term Loan B, (3 mo. LIBOR + 3.75%, 0.75% Floor), 5.84%, 12/01/27 |
114 | 103,337 | ||||||||||
EP买方有限责任公司,2021年定期贷款B,(3个月Libor+3.50%),5.75%,11/06/28 |
102 | 96,688 | ||||||||||
Gainwell收购公司,定期贷款B,(3个月。Libor+4.00%,0.75%下限),6.25%,10/01/27 |
460 | 434,538 | ||||||||||
I-Logic Technologies Bidco Ltd.,2021美元定期贷款B,(SOFR+4.00%),6.20%,02/16/28 |
66 | 61,736 | ||||||||||
KKR Apple Bidco LLC |
||||||||||||
2021 2nd Lien Term Loan, (1 mo. LIBOR + 5.75%), 7.42%, 09/21/29 |
18 | 17,167 | ||||||||||
2021 Term Loan, (1 mo. LIBOR + 2.75%), 4.42%, 09/23/28 |
111 | 104,048 | ||||||||||
LBM收购有限责任公司,定期贷款B,(1个月Libor+3.75%,0.75%下限),5.42%,12/18/27 |
— | (n) |
1 | |||||||||
Radiate Holdco LLC,2021定期贷款B,(1个月Libor+3.25%,0.75%下限),4.92%,09/25/26 |
39 | 35,992 | ||||||||||
Veritas U.S., Inc., 2021 USD Term Loan B, (3 mo. LIBOR + 5.00%, 1.00% Floor), 7.25%, 09/01/25 |
239 | 195,193 | ||||||||||
白色资本买家有限责任公司,定期贷款B,(SOFR+3.75%),5.28%,10/19/27 |
301 | 276,228 | ||||||||||
|
|
|||||||||||
1,324,928 | ||||||||||||
多元化电信服务-0.0% |
||||||||||||
辛辛那提贝尔公司,2021年定期贷款B2,(SOFR+3.25%),4.88%,11/22/28 |
58 | 54,658 | ||||||||||
边疆通信公司,2021年DIP定期贷款B,(3个月。Libor+3.75%,0.75%下限),6.06%,05/01/28 |
195 | 182,522 | ||||||||||
|
|
|||||||||||
237,180 | ||||||||||||
食品-0.0% |
||||||||||||
Chobani LLC,2020定期贷款B,27年10月25日 (m) |
20 | 18,444 | ||||||||||
|
|
|||||||||||
燃气公用事业-0.0% |
||||||||||||
自由港液化天然气投资有限公司,定期贷款B,(3个月Libor+3.50%),4.56%,12/21/28 |
172 | 148,310 | ||||||||||
|
|
|||||||||||
医疗保健提供者和服务-0.1% |
| |||||||||||
达芬奇买家公司,2019年定期贷款,(3个月。Libor+4.00%,下限1.00%),6.25%,01/08/27 |
119 | 112,344 |
安防 |
帕尔 (000) |
价值 |
||||||||||
医疗保健提供者和服务(续) |
| |||||||||||
EnVision Healthcare Corp.,2018年第一笔留置权定期贷款,(1个月Libor+3.75%),5.42%,10/10/25 |
美元 | 322 | $ | 105,801 | ||||||||
Quorum Health Corp.,2020年定期贷款,(3个月Libor+6.50%,1.00%下限),7.50%,04/29/25 |
116 | 77,057 | ||||||||||
RegionalCare医院合作伙伴控股公司,2018年定期贷款B,(1个月Libor+3.75%),5.42%,11/16/25 |
76 | 71,204 | ||||||||||
|
|
|||||||||||
366,406 | ||||||||||||
医疗保健服务-0.0% |
||||||||||||
医疗解决方案控股公司,2021年第二笔留置权定期贷款,(3个月伦敦银行同业拆息+7.00%),9.88%,11/01/29 |
78 | 71,760 | ||||||||||
|
|
|||||||||||
医疗保健技术-0.2% |
||||||||||||
AthenaHealth,Inc.,2022年定期贷款B,(SOFR+3.50%),5.01%,02/15/29 |
1,156 | 1,061,527 | ||||||||||
北极星新闻有限责任公司,美元定期贷款B,(1个月。Libor+4.00%),5.67%,06/02/28 |
259 | 238,693 | ||||||||||
|
|
|||||||||||
1,300,220 | ||||||||||||
酒店、餐饮和休闲-0.1% |
||||||||||||
费尔蒂塔娱乐有限责任公司,2022年定期贷款B,(SOFR+4.00%),5.53%,01/27/29 |
271 | 249,404 | ||||||||||
伟大的加拿大博彩公司,2021年定期贷款,(3个月。Libor+4.00%,0.75%下限),6.10%,11/01/26 |
38 | 35,663 | ||||||||||
IRB Holding Corp., 2022 Term Loan B, (SOFR + 3.15%, 0.75% Floor), 4.24%, 12/15/27 |
115 | 107,113 | ||||||||||
科学游戏国际公司,2022美元定期贷款,(SOFR+3.00%),4.36%,04/14/29 |
95 | 90,012 | ||||||||||
|
|
|||||||||||
482,192 | ||||||||||||
家用耐用品-0.1% |
||||||||||||
Solis IV BV, USD Term Loan B1, (SOFR + 3.50%), 4.84%, 02/26/29. |
147 | 126,145 | ||||||||||
Springs Windows Fashions LLC,2021定期贷款B,(1个月Libor+4.00%,0.75%下限),5.60%,10/06/28 |
284 | 232,760 | ||||||||||
|
|
|||||||||||
358,905 | ||||||||||||
独立电力和可再生电力生产商-0.0% |
||||||||||||
Calpine Corp., 2019 Term Loan B10, (1 mo. LIBOR + 2.00%), 3.67%, 08/12/26 |
27 | 25,099 | ||||||||||
|
|
|||||||||||
工业集团-0.0% |
| |||||||||||
AVSC Holding Corp.,2018年第二笔留置权定期贷款,(3个月Libor+7.25%,下限1.00%),8.58%,09/01/25 |
313 | 247,871 | ||||||||||
Sequa Mezzanine Holdings LLC,2020延期定期贷款,(3个月。Libor+6.75%,1.00%下限),8.30%,11/28/23 |
56 | 55,971 | ||||||||||
|
|
|||||||||||
303,842 | ||||||||||||
保险--0.1% |
||||||||||||
联合控股中级有限责任公司,2021年定期贷款B4,(1个月Libor+3.50%),5.01%,11/06/27 |
94 | 87,216 | ||||||||||
Sedgwick索赔管理服务公司 |
||||||||||||
2018 Term Loan B, (1 mo. LIBOR + 3.25%), 4.92%, 12/31/25 |
92 | 86,207 |
S C H E D U L E O F I N V E S T M E N T S |
33 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
保险(续) |
||||||||||||
Sedgwick索赔管理服务公司(续) |
||||||||||||
2019 Term Loan B, (1 mo. LIBOR + 3.75%), 5.42%, 09/03/26 |
美元 | 140 | $ | 132,521 | ||||||||
2020 Term Loan B3, (1 mo. LIBOR + 4.25%, 1.00% Floor), 5.92%, 09/03/26 |
51 | 49,724 | ||||||||||
|
|
|||||||||||
355,668 | ||||||||||||
互动媒体和服务-0.0% |
||||||||||||
卡梅洛特美国收购有限责任公司,2020年增量定期贷款B,(1个月Libor+3.00%,1.00%下限),4.67%,10/30/26。 |
79 | 74,138 | ||||||||||
Grab控股公司,定期贷款B,(6个月Libor+4.50%,1.00%下限),5.50%,01/29/26 |
79 | 72,104 | ||||||||||
|
|
|||||||||||
146,242 | ||||||||||||
IT服务-0.1% |
||||||||||||
班夫合并子公司 |
||||||||||||
2021 USD 2nd Lien Term Loan, (1 mo. LIBOR + 5.50%), 7.17%, 02/27/26 |
279 | 261,390 | ||||||||||
2021 USD Term Loan, (1 mo. LIBOR + 3.75%), 5.42%, 10/02/25 |
45 | 42,363 | ||||||||||
Greeneden U.S.Holdings II LLC,2020美元定期贷款B4,(1个月Libor+4.00%,0.75%下限),5.67%,12/01/27 |
234 | 222,859 | ||||||||||
PUG LLC, USD Term Loan, (1 mo. LIBOR + 3.50%), 5.17%, 02/12/27 (c) |
110 | 98,886 | ||||||||||
|
|
|||||||||||
625,498 | ||||||||||||
休闲产品-0.0% |
||||||||||||
Peloton Interactive,Inc.,定期贷款,(SOFR+6.50%),8.35%,05/25/27 |
71 | 67,495 | ||||||||||
|
|
|||||||||||
机械--0.2% |
||||||||||||
三菱重工控股有限公司,定期贷款B,(1个月Libor+5.00%),7.25%,09/21/26 (c) |
228 | 217,290 | ||||||||||
SPX Flow, Inc., (SOFR + 4.50%), 6.13%, 04/05/29 |
254 | 236,474 | ||||||||||
泰坦收购有限公司,2018年定期贷款B,(6个月Libor+3.00%),5.88%,03/28/25 |
577 | 527,645 | ||||||||||
|
|
|||||||||||
981,409 | ||||||||||||
Media — 0.2% |
||||||||||||
Altices Finding SA,2017美元定期贷款B,(3个月Libor+2.75%),3.79%,07/15/25 |
23 | 20,635 | ||||||||||
Altice France SA, 2018 Term Loan B13, (3 mo. LIBOR + 4.00%), 5.41%, 08/14/26 |
94 | 85,863 | ||||||||||
Clear Channel Outdoor Holdings,Inc.定期贷款B,(3个月Libor+3.50%),4.74%,08/21/26 |
590 | 505,521 | ||||||||||
国际通信卫星组织杰克逊控股公司,2021年退出定期贷款B,(SOFR+4.25%),4.92%,02/01/29 |
238 | 218,208 | ||||||||||
MH Sub I LLC |
||||||||||||
2017 1st Lien Term Loan, (1 mo. LIBOR + 3.50%), 5.42%, 09/13/24 |
90 | 84,287 | ||||||||||
2020 Incremental Term Loan, (1 mo. LIBOR + 3.75%, 1.00% Floor), 5.42%, 09/13/24 |
207 | 194,420 | ||||||||||
2021 2nd Lien Term Loan, (1 mo. LIBOR + 6.25%), 7.92%, 02/23/29 |
35 | 32,842 | ||||||||||
Zayo集团控股公司,美元定期贷款,(1个月。Libor+3.00%),4.67%,03/09/27 |
387 | 355,330 | ||||||||||
|
|
|||||||||||
1,497,106 |
安防 |
帕尔 (000) |
价值 |
||||||||||
金属和矿业-0.0% |
||||||||||||
研磨媒体公司,2021年定期贷款B,(3个月Libor+4.00%,0.75%下限),4.80%,10/12/28 (c) |
美元 | 64 | $ | 57,798 | ||||||||
|
|
|||||||||||
石油、天然气和消耗性燃料-0.3% |
||||||||||||
Asccent Resources Utica LLC,2020固定第二留置权定期贷款,(3个月Libor+9.00%,下限1.00%),10.02%,11/01/25 |
1,541 | 1,615,717 | ||||||||||
Lealand Finance Co.BV,2020发放全定期贷款,(1个月Libor+3.00%),4.67%,06/28/24 |
9 | 5,013 | ||||||||||
|
|
|||||||||||
1,620,730 | ||||||||||||
专业服务--0.1% |
||||||||||||
邓白氏公司,定期贷款,(1个月。Libor+3.25%),4.87%,02/06/26 |
114 | 106,800 | ||||||||||
元素材料科技集团美国控股公司 (m) |
||||||||||||
2022年4/12/29美元延迟提取定期贷款B |
. | 39 | 37,698 | |||||||||
2022美元延迟提取定期贷款D/12/29 |
|
85 | 81,678 | |||||||||
Galaxy U.S.OPCO,Inc.,定期贷款,(SOFR+4.75%),6.28%,04/29/29 |
179 | 167,589 | ||||||||||
|
|
|||||||||||
393,765 | ||||||||||||
房地产管理与开发-0.0% |
||||||||||||
张伯伦集团公司,定期贷款B,(1个月Libor+3.50%),5.17%,11/03/28 |
249 | 224,081 | ||||||||||
|
|
|||||||||||
软件-0.7% |
||||||||||||
梭鱼网络公司,2020第二留置权定期贷款,(3个月Libor+6.75%,0.75%下限),7.99%,10/30/28 |
91 | 90,742 | ||||||||||
Central Parent,Inc.,2022美元定期贷款B,07/06/29 (m) |
119 | 112,173 | ||||||||||
Cloudera公司 |
||||||||||||
2021 Second Lien Term Loan, (1 mo. LIBOR + 6.00%), 7.67%, 10/08/29 (c) |
180 | 156,600 | ||||||||||
2021 Term Loan, (1 mo. LIBOR + 3.75%), 5.42%, 10/08/28 |
229 | 209,757 | ||||||||||
Digicel国际金融有限公司,2017年定期贷款B,(1个月Libor+3.25%),4.92%,05/28/24 (c) |
375 | 323,648 | ||||||||||
Epicor Software Corp. |
||||||||||||
2020 2nd Lien Term Loan, (1 mo. LIBOR + 7.75%, 1.00% Floor), 9.42%, 07/31/28 |
62 | 60,016 | ||||||||||
2020 Term Loan, (1 mo. LIBOR + 3.25%, 0.75% Floor), 4.92%, 07/30/27 |
90 | 84,791 | ||||||||||
Helios Software Holdings,Inc.,2021年美元定期贷款B,(3个月Libor+3.75%),5.95%,03/11/28 |
|
80 | 73,701 | |||||||||
洋红色买家有限责任公司 |
||||||||||||
2021 USD 1st Lien Term Loan, (3 mo. LIBOR + 5.00%, 0.75% Floor), 6.23%, 07/27/28 |
569 | 509,591 | ||||||||||
2021 USD 2nd Lien Term Loan, (3 mo. LIBOR + 8.25%, 0.75% Floor), 9.48%, 07/27/29 |
280 | 254,800 | ||||||||||
McAfee LLC, 2022 USD Term Loan B, (SOFR + 4.00%), 5.15%, 03/01/29 |
744 | 675,180 | ||||||||||
Planview Parent,Inc.,第二留置权定期贷款,(3个月Libor+7.25%,0.75%下限),8.92%,12/18/28 (c) |
103 | 97,850 | ||||||||||
Proofpoint,Inc. |
||||||||||||
1st Lien Term Loan, (3 mo. LIBOR + 3.25%), 4.82%, 08/31/28 |
19 | 17,812 | ||||||||||
2nd Lien Term Loan, (1 mo. LIBOR + 6.25%), 7.82%, 08/31/29 |
242 | 231,110 |
34 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
软件(续) |
||||||||||||
RealPage,Inc.,第一笔留置权定期贷款,(1个月Libor+3.00%),4.67%,04/24/28 |
美元 | 218 | $ | 201,336 | ||||||||
复兴控股公司,2018年第一笔留置权定期贷款,(1个月Libor+3.25%),4.92%,05/30/25 |
9 | 8,878 | ||||||||||
萨伯瑞全球公司 |
||||||||||||
2021 Term Loan B1, (1 mo. LIBOR + 3.50%), 5.17%, 12/17/27 |
68 | 63,010 | ||||||||||
2021 Term Loan B2, (1 mo. LIBOR + 3.50%), 5.17%, 12/17/27 |
108 | 100,442 | ||||||||||
Sophia LP, 2021 Term Loan B, (3 mo. LIBOR + 3.25%), 5.50%, 10/07/27 |
516 | 479,937 | ||||||||||
索沃斯合规有限责任公司 |
||||||||||||
2021 Delayed Draw Term Loan, (1 mo. LIBOR + 4.50%), 6.15%, 08/11/28 |
17 | 16,430 | ||||||||||
2021 Term Loan, (1 mo. LIBOR + 4.50%), 6.17%, 08/11/28 |
101 | 94,664 | ||||||||||
Tibco Software,Inc.,2020第二留置权定期贷款,(1个月Libor+7.25%),7.25%,03/03/28 |
189 | 184,936 | ||||||||||
旗舰软件集团公司 |
||||||||||||
2021 2nd Lien Term Loan, (3 mo. LIBOR + 5.25%), 6.21%, 05/03/27 |
280 | 257,272 | ||||||||||
2021 Term Loan, (3 mo. LIBOR + 3.25%), 4.21%, 05/04/26 |
187 | 174,985 | ||||||||||
Term Loan B, (1 mo. LIBOR + 3.75%), 5.42%, 05/04/26 |
145 | 136,356 | ||||||||||
|
|
|||||||||||
4,616,017 | ||||||||||||
特色零售-0.0% |
||||||||||||
PetSmart, Inc., 2021 Term Loan B, (3 mo. LIBOR + 3.75%, 0.75% Floor), 4.50%, 02/11/28 |
27 | 24,933 | ||||||||||
Staples,Inc.,7年期定期贷款,(3个月Libor+5.00%),6.29%,04/16/26 |
74 | 64,589 | ||||||||||
|
|
|||||||||||
89,522 | ||||||||||||
纺织品、服装和奢侈品-0.1% |
||||||||||||
Crocs, Inc., Term Loan B, (SOFR + 3.50%), 4.45%, 02/17/29 |
606 | 549,857 | ||||||||||
|
|
|||||||||||
贸易公司和分销商-0.0% |
| |||||||||||
基础建材控股有限公司,2021年定期贷款,(3个月Libor+3.25%),4.49%,01/31/28 (c) |
68 | 59,459 | ||||||||||
SRS分销公司,2022年增量定期贷款,(SOFR+3.50%),4.00%,06/02/28 |
177 | 162,223 | ||||||||||
|
|
|||||||||||
221,682 | ||||||||||||
交通运输业-0.0% |
||||||||||||
布朗集团控股,有限责任公司,2022年定期贷款B2,07/02/29 (m) |
175 | 167,708 | ||||||||||
|
|
|||||||||||
无线电信服务-0.0% |
| |||||||||||
Metronet Systems Holdings LLC,2021第一笔留置权定期贷款,(SOFR+3.75%),5.05%,06/02/28 |
14 | 12,862 | ||||||||||
|
|
|||||||||||
浮动利率贷款利息总额-3.7% (Cost: $25,742,255) |
|
23,750,184 | ||||||||||
|
|
安防 |
帕尔 (000) |
价值 |
||||||||||
外国机构的义务 |
||||||||||||
阿根廷-0.0% |
||||||||||||
阿根廷共和国政府国际债券,2.50%,07/09/41 (o) |
美元 | 245 | $ | 63,019 | ||||||||
|
|
|||||||||||
巴林-0.0% |
||||||||||||
巴林政府国际债券,6.75%,09/20/29 (d) |
200 | 190,975 | ||||||||||
|
|
|||||||||||
加拿大-1.1% |
||||||||||||
CDP Financial,Inc.,5.60%,2009年11月25日 (b)(e) |
5,890 | 6,825,753 | ||||||||||
|
|
|||||||||||
Chile — 0.0% |
||||||||||||
智利政府国际债券,4.34%,03/07/42 |
200 | 178,500 | ||||||||||
|
|
|||||||||||
哥伦比亚-0.1% |
||||||||||||
哥伦比亚政府国际债券 |
||||||||||||
4.50%, 01/28/26 |
300 | 281,212 | ||||||||||
3.88%, 04/25/27 |
200 | 176,475 | ||||||||||
3.13%, 04/15/31 |
200 | 148,350 | ||||||||||
|
|
|||||||||||
606,037 | ||||||||||||
多米尼加共和国-0.1% |
||||||||||||
多米尼加共和国国际债券 |
||||||||||||
5.95%, 01/25/27 (d) |
228 | 217,711 | ||||||||||
5.50%, 02/22/29 (b) |
160 | 139,030 | ||||||||||
4.50%, 01/30/30 (b) |
226 | 180,348 | ||||||||||
4.88%, 09/23/32 (b) |
150 | 115,294 | ||||||||||
6.40%, 06/05/49 (d) |
150 | 111,544 | ||||||||||
|
|
|||||||||||
763,927 | ||||||||||||
Egypt — 0.0% |
||||||||||||
埃及政府国际债券,7.50%,02/16/61 (b) |
219 | 120,998 | ||||||||||
|
|
|||||||||||
危地马拉-0.1% |
||||||||||||
危地马拉政府债券 |
||||||||||||
4.50%, 05/03/26 (d) |
200 | 192,162 | ||||||||||
5.38%, 04/24/32 (b) |
200 | 184,163 | ||||||||||
|
|
|||||||||||
376,325 | ||||||||||||
匈牙利-0.0% |
||||||||||||
匈牙利政府国际债券,5.25%,6/16/29 (b) |
200 | 199,271 | ||||||||||
|
|
|||||||||||
印度尼西亚-0.1% |
||||||||||||
印尼政府国际债券,4.10%,04/24/28 |
300 | 294,712 | ||||||||||
|
|
|||||||||||
Italy — 0.5% |
||||||||||||
意大利共和国政府国际债券,5.38%,06/15/33 |
2,925 | 3,021,151 | ||||||||||
|
|
|||||||||||
象牙海岸-0.0% |
||||||||||||
象牙海岸政府国际债券,6.38%,03/03/28 (d) |
200 | 176,788 | ||||||||||
|
|
|||||||||||
墨西哥-0.1% |
||||||||||||
墨西哥政府国际债券 |
||||||||||||
3.75%, 01/11/28 |
200 | 191,900 | ||||||||||
2.66%, 05/24/31 |
269 | 221,387 | ||||||||||
|
|
|||||||||||
413,287 |
S C H E D U L E O F I N V E S T M E N T S |
35 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
蒙古-0.0% |
||||||||||||
蒙古政府国际债券,5.13%,04/07/26 (d) |
美元 | 250 | $ | 222,527 | ||||||||
|
|
|||||||||||
摩洛哥-0.0% |
||||||||||||
摩洛哥政府国际债券,3.00%,12/15/32 (b) |
221 | 156,910 | ||||||||||
|
|
|||||||||||
尼日利亚-0.0% |
||||||||||||
尼日利亚政府国际债券,7.88%,02/16/32 (d) |
200 | 138,500 | ||||||||||
|
|
|||||||||||
Oman — 0.1% |
||||||||||||
阿曼政府国际债券 (d) |
||||||||||||
6.50%, 03/08/47 |
228 | 191,235 | ||||||||||
6.75%, 01/17/48 |
200 | 172,000 | ||||||||||
|
|
|||||||||||
363,235 | ||||||||||||
巴基斯坦-0.0% |
||||||||||||
巴基斯坦政府国际债券,6.00%,04/08/26 (d) |
200 | 134,022 | ||||||||||
|
|
|||||||||||
巴拿马-0.1% |
||||||||||||
巴拿马政府国际债券 |
||||||||||||
3.88%, 03/17/28 |
200 | 190,912 | ||||||||||
3.16%, 01/23/30 |
253 | 225,376 | ||||||||||
|
|
|||||||||||
416,288 | ||||||||||||
巴拉圭-0.1% |
||||||||||||
巴拉圭政府国际债券 (b) |
||||||||||||
4.95%, 04/28/31 |
200 | 184,537 | ||||||||||
5.40%, 03/30/50 |
200 | 154,663 | ||||||||||
|
|
|||||||||||
339,200 | ||||||||||||
Peru — 0.0% |
||||||||||||
秘鲁政府国际债券 |
||||||||||||
2.78%, 01/23/31 |
126 | 107,242 | ||||||||||
1.86%, 12/01/32 |
171 | 130,045 | ||||||||||
|
|
|||||||||||
237,287 | ||||||||||||
Qatar — 0.0% |
||||||||||||
卡塔尔政府国际债券,4.00%,03/14/29 (b) |
240 | 242,400 | ||||||||||
|
|
|||||||||||
罗马尼亚-0.1% |
||||||||||||
罗马尼亚政府国际债券 (b) |
||||||||||||
5.25%, 11/25/27 |
154 | 146,685 | ||||||||||
3.00%, 02/14/31 |
108 | 83,079 | ||||||||||
3.63%, 03/27/32 |
156 | 121,807 | ||||||||||
|
|
|||||||||||
351,571 | ||||||||||||
沙特阿拉伯-0.1% |
||||||||||||
沙特政府国际债券 (d) |
||||||||||||
4.50%, 04/17/30 |
278 | 283,560 | ||||||||||
2.25%, 02/02/33 |
222 | 184,260 | ||||||||||
|
|
|||||||||||
467,820 | ||||||||||||
南非-0.1% |
||||||||||||
南非共和国政府国际债券 |
||||||||||||
4.85%, 09/30/29 |
200 | 170,725 | ||||||||||
5.88%, 04/20/32 |
200 | 169,000 | ||||||||||
|
|
|||||||||||
339,725 |
安防 |
帕尔 (000) |
价值 |
||||||||||
斯里兰卡-0.0% |
||||||||||||
斯里兰卡政府国际债券 (d)(k)(l) |
||||||||||||
6.85%, 03/14/24 |
美元 | 432 | $ | 121,008 | ||||||||
7.85%, 03/14/29 |
200 | 56,022 | ||||||||||
|
|
|||||||||||
177,030 | ||||||||||||
乌克兰-0.0% |
||||||||||||
乌克兰政府国际债券 |
||||||||||||
7.75%, 09/01/25 (d) |
385 | 95,288 | ||||||||||
7.25%, 03/15/33 (b) |
200 | 49,000 | ||||||||||
|
|
|||||||||||
144,288 | ||||||||||||
乌拉圭-0.0% |
||||||||||||
乌拉圭政府国际债券,4.38%,2010年10月27日 |
90 | 91,029 | ||||||||||
|
|
|||||||||||
外国机构债务总额--2.7% (Cost: $18,207,650) |
|
17,052,575 | ||||||||||
|
|
|||||||||||
市政债券 |
||||||||||||
加利福尼亚州-0.9% |
||||||||||||
东湾市政公用事业区供水系统收入,RB,BAB,5.87%,06/01/40 |
1,900 | 2,250,740 | ||||||||||
加利福尼亚州,加油,宝贝 |
||||||||||||
7.55%, 04/01/39 |
280 | 380,623 | ||||||||||
7.63%, 03/01/40 |
1,720 | 2,322,471 | ||||||||||
加州大学,RB,Bab,5.95%,05/15/45 |
885 | 1,017,250 | ||||||||||
|
|
|||||||||||
5,971,084 | ||||||||||||
格鲁吉亚-0.3% |
||||||||||||
佐治亚州市政电力局,退款RB,BAB,7.06%,04/01/57 |
1,929 | 2,195,891 | ||||||||||
|
|
|||||||||||
伊利诺伊州-0.3% |
||||||||||||
伊利诺伊州,GO,5.10%,06/01/33 |
2,000 | 2,008,682 | ||||||||||
|
|
|||||||||||
印第安纳州-0.5% |
||||||||||||
印第安纳波利斯地方公共改善债券银行,RB,BAB,B-2系列,6.12%,01/15/40 |
2,535 | 2,958,782 | ||||||||||
|
|
|||||||||||
新泽西州-0.1% |
||||||||||||
新泽西州,去吧 |
||||||||||||
Series A, 4.00%, 06/01/30 |
250 | 265,672 | ||||||||||
Series A, 4.00%, 06/01/31 |
190 | 200,082 | ||||||||||
Series A, 4.00%, 06/01/32 |
180 | 189,203 | ||||||||||
|
|
|||||||||||
654,957 | ||||||||||||
纽约-1.4% |
||||||||||||
大都会运输局,RB,BAB,7.34%,11/15/39 |
1,295 | 1,745,657 | ||||||||||
纽约市工业发展局,退还RB |
||||||||||||
(AGM), 3.19%, 03/01/40 |
165 | 135,239 | ||||||||||
Class A, (AGM), 3.00%, 01/01/46 |
50 | 38,530 | ||||||||||
纽约市市政水金融局,RB,BAB,5.72%,06/15/42 |
1,390 | 1,621,062 | ||||||||||
纽约市过渡金融管理局未来税收担保收入,RB,系列E-1,4.00%,02/01/41 |
1,000 | 976,032 | ||||||||||
纽约州宿舍局,RB,Bab Series D,5.60%,03/15/40 |
1,900 | 2,117,723 |
36 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
纽约(续) |
||||||||||||
纽约州宿舍局,RB,Bab(续) |
||||||||||||
Series F, 5.63%, 03/15/39 |
美元 | 1,100 | $ | 1,200,950 | ||||||||
纽约和新泽西港务局,RB,第159号系列,6.04%,12/01/29 |
780 | 876,338 | ||||||||||
|
|
|||||||||||
8,711,531 | ||||||||||||
|
|
|||||||||||
市政债券总额-3.5% (Cost: $20,708,226) |
22,500,927 | |||||||||||
|
|
|||||||||||
非机构抵押贷款支持证券 |
| |||||||||||
抵押贷款债券--4.8% |
| |||||||||||
另类贷款信托基金 |
||||||||||||
Series 2005-64CB, Class 1A15, 5.50%, 12/25/35 |
463 | 427,804 | ||||||||||
Series 2006-OA21, Class A1, (1 mo. LIBOR US + 0.19%), 1.80%, 03/20/47 (a) |
419 | 337,352 | ||||||||||
Series 2007-OA10, Class 2A1, (1 mo. LIBOR US + 0.50%), 2.12%, 09/25/47 (a) |
4,297 | 3,443,637 | ||||||||||
美国银行资金信托,2007-2系列,1A2类,6.00%,03/25/37 |
241 | 209,233 | ||||||||||
Bravo住宅资金信托,2021系列-NQM1,A1类,0.94%,02/25/49 (a)(b) |
1,025 | 957,551 | ||||||||||
大通住房贷款抵押信托,A12类,6.50%,04/25/49 (a)(b) |
672 | 670,717 | ||||||||||
柯尔特抵押贷款信托基金 (a)(b) |
||||||||||||
Series 2020-2, Class M1, 5.25%, 03/25/65 |
3,050 | 2,969,894 | ||||||||||
Series 2020-3, Class M1, 3.36%, 04/27/65 |
3,820 | 3,580,396 | ||||||||||
Series 2022-1, Class A1, 4.55%, 04/25/67 |
1,788 | 1,765,279 | ||||||||||
Deepaven住宅抵押信托,2022-2系列,A1类,4.30%,03/25/67 (a)(b) |
315 | 306,073 | ||||||||||
Ellington Financial Mortgage Trust,Series 2020-1,Class M1,5.24%,05/25/65 (a)(b) |
1,500 | 1,473,097 | ||||||||||
GMACM抵押贷款信托,2005系列-AR3,5A1类,3.23%,06/19/35 (a) |
110 | 103,937 | ||||||||||
GS抵押贷款支持证券公司信托,2022-PJ2,A4类,2.50%,06/25/52 (a)(b) |
1,150 | 979,825 | ||||||||||
GS抵押贷款支持证券 托拉斯 (a)(b) |
||||||||||||
2.50%, 11/25/51 |
989 | 848,145 | ||||||||||
Series 2021-PJ7, Class A2, 2.50%, 01/25/52 |
2,589 | 2,207,420 | ||||||||||
GSR抵押贷款信托,2007-4F系列,3A1类,6.00%,07/25/37 |
84 | 62,321 | ||||||||||
JP摩根抵押信托基金 |
||||||||||||
Series 2006-S3, Class 1A12, 6.50%, 08/25/36 |
42 | 19,765 | ||||||||||
Series 2022-INV3, Class A3B, 3.00%, 09/25/52 (a)(b) |
818 | 726,520 | ||||||||||
Mello Mortgage Capital Accept,系列2022-INV2,A3类,3.00%,04/25/52 (a)(b) |
841 | 746,377 | ||||||||||
美林抵押贷款投资者信托,2006系列-A3,3A1类,2.79%,05/25/36 (a) |
170 | 133,619 | ||||||||||
MFA信托,2021系列-NQM1,M1类,2.31%,04/25/65 (a)(b) |
2,750 | 2,492,863 | ||||||||||
OBX信托,2022系列-InC3,A1类,3.00%,02/25/52 (a)(b) |
750 | 663,110 | ||||||||||
RCKT抵押信托,2022-2系列,A1类,3.00%,02/25/52 (a)(b) |
1,128 | 998,697 |
安防 |
帕尔 (000) |
价值 |
||||||||||
抵押贷款债券(续) |
| |||||||||||
星级信托,2021-1系列,M1类,2.36%,05/25/65 (a)(b) |
美元 | 2,050 | $ | 1,922,994 | ||||||||
喜达屋按揭住宅信托,2020-3系列,M1类,3.54%,04/25/65 (a)(b) |
2,000 | 1,926,736 | ||||||||||
Verus证券化信托,2022-3系列,A1类,4.13%,02/25/67 (b) |
947 | 927,986 | ||||||||||
|
|
|||||||||||
30,901,348 | ||||||||||||
商业抵押贷款支持证券 (a) — 4.9% |
||||||||||||
BAMLL商业抵押证券信托,2015-200P系列,C类,3.72%,04/14/33 (b) |
4,170 | 3,919,664 | ||||||||||
湾景商业资产信托,系列2007-2A,A1类,(1个月Libor US+0.27%),1.89%,07/25/37 (b) |
761 | 671,041 | ||||||||||
花旗商业抵押贷款信托基金 |
||||||||||||
Series 2013-GC15, Class B, 5.35%, 09/10/46 |
7,183 | 7,153,583 | ||||||||||
Series 2020-420K, Class D, 3.42%, 11/10/42 (b) |
270 | 209,400 | ||||||||||
通信抵押信托基金 |
||||||||||||
Series 2015-CR22, Class C, 4.21%, 03/10/48 |
5,000 | 4,726,726 | ||||||||||
Series 2015-LC19, Class C, 4.37%, 02/10/48 |
3,500 | 3,361,730 | ||||||||||
商业抵押信托,2013系列-CR11,B类,5.28%,08/10/50 |
7,000 | 7,007,237 | ||||||||||
瑞士信贷抵押贷款资本证书信托,2020系列-FACT,D类,(1个月Libor US+3.71%),5.03%,10/15/37 (b) |
900 | 856,359 | ||||||||||
延长逗留美国信托,2021系列-ESH,D类,(1个月Libor US+2.25%),3.58%,07/15/38 (b) |
825 | 795,922 | ||||||||||
GS Mortgage Securities Corp.Trust,2020系列-TWN3,D类,(1个月Libor US+3.70%),5.02%,11/15/37 (b) |
1,500 | 1,467,240 | ||||||||||
雷曼兄弟小额商业抵押贷款信托,2006-1A系列,B类,(1个月Libor US+1.00%),2.62%,04/25/31 (b) |
1,366 | 1,338,162 | ||||||||||
|
|
|||||||||||
31,507,064 | ||||||||||||
|
|
|||||||||||
非机构抵押贷款支持证券总额-9.7% |
| |||||||||||
(Cost: $65,355,196) |
|
62,408,412 | ||||||||||
|
|
|||||||||||
优先证券 |
||||||||||||
资本信托-6.5% |
||||||||||||
汽车-0.0% |
||||||||||||
大众国际金融公司,4.38% (a)(d)(h) |
欧元 | 100 | 84,083 | |||||||||
|
|
|||||||||||
银行 (a)(h) — 1.9% |
||||||||||||
北欧商业银行,6.75% (b) |
美元 | 200 | 187,750 | |||||||||
东亚银行有限公司,5.88% (d) |
250 | 246,062 | ||||||||||
法国农业信贷银行,4.75% (b) |
200 | 155,433 | ||||||||||
工商中国银行股份有限公司,3.20% (d) |
250 | 236,250 | ||||||||||
ING Groep NV,3.88% |
2,000 | 1,448,429 | ||||||||||
Kasikornbank PCL,5.28% (d) |
300 | 274,931 | ||||||||||
北欧银行总部基地,6.13% (b) |
2,960 | 2,851,321 | ||||||||||
里萨尔商业银行公司,6.50% (d) |
200 | 191,163 | ||||||||||
SVB金融集团,C系列,4.00% |
2,000 | 1,523,960 | ||||||||||
TMB Thanachart Bank PCL,4.90% (d) |
250 | 228,016 |
S C H E D U L E O F I N V E S T M E N T S |
37 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
银行(续) |
||||||||||||
U.S.Bancorp,3.70% |
美元 | 1,900 | $ | 1,458,250 | ||||||||
富国银行,S系列,5.90% (e) |
3,390 | 3,065,238 | ||||||||||
|
|
|||||||||||
11,866,803 | ||||||||||||
资本市场-0.4% |
||||||||||||
纽约梅隆银行,第一轮,3.75% (a)(e)(h) |
2,845 | 2,322,457 | ||||||||||
|
|
|||||||||||
多元化金融服务 (a)(h) — 3.4% |
||||||||||||
美国银行。 |
||||||||||||
系列FF,5.88% (e) |
3,500 | 3,073,110 | ||||||||||
X系列,6.25% |
1,050 | 1,020,600 | ||||||||||
巴克莱银行,4.38% |
310 | 237,728 | ||||||||||
瑞士信贷集团,6.38% (b) |
300 | 247,874 | ||||||||||
汇丰控股 |
||||||||||||
6.50% |
1,090 | 987,089 | ||||||||||
6.00% |
435 | 389,869 | ||||||||||
摩根大通。 |
||||||||||||
系列FF,5.00% |
3,027 | 2,671,328 | ||||||||||
系列HH,4.60% |
165 | 139,346 | ||||||||||
系列I,4.71% (e) |
3,581 | 3,394,788 | ||||||||||
系列V,5.60% (e) |
3,640 | 3,403,400 | ||||||||||
劳埃德银行集团,7.50% |
1,750 | 1,705,676 | ||||||||||
NatWest Group PLC,6.00% |
1,575 | 1,457,517 | ||||||||||
法国兴业银行,7.88% (b) |
1,000 | 979,810 | ||||||||||
瑞银集团,3.88% (b) |
2,000 | 1,627,943 | ||||||||||
友利银行,4.25% (d) |
250 | 239,656 | ||||||||||
|
|
|||||||||||
21,575,734 | ||||||||||||
电力公司 (a) — 0.4% |
||||||||||||
爱迪生国际,B系列,5.00% (h) |
115 | 91,497 | ||||||||||
NextEra能源资本控股公司,5.65%,05/01/79 |
2,750 | 2,416,429 | ||||||||||
|
|
|||||||||||
2,507,926 | ||||||||||||
独立电力和可再生电力生产商-0.0% |
||||||||||||
维斯特拉公司,7.00% (a)(b)(h) |
162 | 147,015 | ||||||||||
|
|
|||||||||||
保险-0.4% |
||||||||||||
兴国人寿保险股份有限公司 4.48% (a)(d)(h) |
200 | 194,850 | ||||||||||
MetLife, Inc., 6.40%, 12/15/66 |
2,554 | 2,567,434 | ||||||||||
|
|
|||||||||||
2,762,284 | ||||||||||||
房地产管理与开发-0.0% |
||||||||||||
Anoundtown SA,3.38% (a)(d)(h) |
欧元 | 100 | 77,278 | |||||||||
|
|
|||||||||||
公用事业-0.0% |
||||||||||||
法国电力公司,3.38% (a)(d)(h) |
200 | 136,225 | ||||||||||
|
|
|||||||||||
无线电信服务-0.0% |
||||||||||||
沃达丰集团有限公司 3.10%, 01/03/79 (a)(d) |
100 | 100,066 | ||||||||||
|
|
|||||||||||
41,579,871 | ||||||||||||
|
|
|||||||||||
股票 |
||||||||||||
优先股-0.6% (a)(h) |
||||||||||||
资本市场-0.6% |
||||||||||||
高盛,J系列,5.50% |
92,000 | 2,248,480 | ||||||||||
摩根士丹利,K系列,5.85% |
66,567 | 1,646,202 | ||||||||||
|
|
|||||||||||
3,894,682 |
安防 |
股票 |
价值 |
||||||||||
储蓄和抵押金融-0.0% |
||||||||||||
联邦抵押协会,S系列 |
10,000 | $ | 34,800 | |||||||||
|
|
|||||||||||
3,929,482 | ||||||||||||
|
|
|||||||||||
首选信托-0.1% |
||||||||||||
Banks — 0.1% |
||||||||||||
花旗资本XIII,7.61%,10/30/40 (a) |
29,583 | 792,824 | ||||||||||
|
|
|||||||||||
792,824 | ||||||||||||
|
|
|||||||||||
优先证券总额-7.2% (Cost: $52,636,215) |
|
46,302,177 | ||||||||||
|
|
|||||||||||
帕尔 (000) |
||||||||||||
美国政府支持的机构证券 |
| |||||||||||
机构债务--1.0% |
||||||||||||
Fannie Mae, 5.63%, 07/15/37 (e) |
美元 | 1,600 | 1,951,327 | |||||||||
决议资金公司主体地带,0.00%,04/15/30 (g) |
6,055 | 4,617,177 | ||||||||||
|
|
|||||||||||
6,568,504 | ||||||||||||
抵押贷款债券--4.9% |
||||||||||||
联邦抵押协会抨击 |
||||||||||||
Series 2015-47, Class GL, 3.50%, 07/25/45 |
1,636 | 1,573,829 | ||||||||||
Series 2022-25, Class KL, 4.00%, 05/25/52 |
14,500 | 14,194,179 | ||||||||||
房地美抨击 |
||||||||||||
Series 4350, Class DY, 4.00%, 06/15/44 |
1,996 | 2,023,648 | ||||||||||
Series 4398, Class ZX, 4.00%, 09/15/54 |
10,458 | 10,305,393 | ||||||||||
Series 4549, Class TZ, 4.00%, 11/15/45 |
3,187 | 3,214,126 | ||||||||||
|
|
|||||||||||
31,311,175 | ||||||||||||
仅限利息抵押抵押债券-0.1% |
||||||||||||
联邦抵押协会抨击 |
||||||||||||
Series 1997-50, Class SI, (1 mo. LIBOR US + 9.20%), 1.20%, 04/25/23 (a) |
1 | 3 | ||||||||||
Series 2012-47, Class NI, 4.50%, 04/25/42 |
1,039 | 215,188 | ||||||||||
吉妮·梅 (a) |
||||||||||||
Series 2009-116, Class KS, (1 mo. LIBOR US + 6.47%), 4.96%, 12/16/39 |
713 | 76,716 | ||||||||||
Series 2011-52, Class NS, (1 mo. LIBOR US + 6.67%), 5.16%, 04/16/41 |
6,124 | 636,582 | ||||||||||
|
|
|||||||||||
928,489 | ||||||||||||
抵押贷款支持证券-24.8% |
||||||||||||
联邦抵押协会抵押贷款支持证券 (e) |
||||||||||||
3.00%, 07/14/22 |
7,306 | 6,865,806 | ||||||||||
4.00%, 07/14/22 |
3,364 | 3,363,808 | ||||||||||
4.50%, 07/14/22 |
3,312 | 3,435,671 | ||||||||||
房地美抵押贷款支持证券 (e) |
||||||||||||
3.00%, 07/14/22 |
1,998 | 1,975,848 | ||||||||||
4.50%, 07/14/22 |
663 | 684,310 | ||||||||||
Ginnie Mae抵押支持证券,5.50%,08/15/33 |
27 | 27,817 | ||||||||||
统一抵押贷款支持证券 (e) |
||||||||||||
2.00%, 07/14/22 - 01/03/51 |
19,715 | 17,190,614 | ||||||||||
3.00%, 07/14/22 |
5,266 | 5,031,272 | ||||||||||
3.50%, 07/14/22 - 04/01/52 |
15,000 | 14,683,269 | ||||||||||
4.00%, 07/14/22 - 04/25/52 (p) |
62,689 | 61,976,058 | ||||||||||
4.50%, 07/14/22 |
3,409 | 3,515,441 | ||||||||||
5.50%, 07/14/22 |
309 | 331,508 | ||||||||||
6.00%, 07/14/22 |
259 | 283,360 |
38 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
抵押贷款支持证券(续) |
||||||||||||
统一抵押贷款支持证券 (e) (续) |
| |||||||||||
5.00%, 08/01/34 |
美元 | 634 | $ | 666,780 | ||||||||
2.50%, 10/01/51 - 01/01/52 |
42,608 | 38,624,750 | ||||||||||
|
|
|||||||||||
158,656,312 | ||||||||||||
仅本金抵押抵押债券 (q) — 0.0% |
||||||||||||
联邦抵押协会兴趣地带 |
||||||||||||
203系列,1类, 0.00%, 02/25/23 |
— | (n) |
64 | |||||||||
228系列,1类, 0.00%, 06/25/23 |
— | (n) |
53 | |||||||||
联邦抵押协会抨击 |
||||||||||||
Series 1993-51, Class E, 0.00%, 02/25/23 |
— | (n) |
213 | |||||||||
Series 1993-70, Class A, 0.00%, 05/25/23 |
— | (n) |
68 | |||||||||
|
|
|||||||||||
398 | ||||||||||||
|
|
|||||||||||
美国政府支持的机构证券总额-30.8% |
|
|||||||||||
(Cost: $206,676,043) |
|
197,464,878 | ||||||||||
|
|
|||||||||||
美国财政部债务 |
||||||||||||
美国国债 (e) |
||||||||||||
1.88%, 02/15/41 - 02/15/51 |
29,800 | 22,490,055 | ||||||||||
3.00%, 11/15/44 |
61,400 | 56,898,133 | ||||||||||
2.50%, 02/15/46 |
66,500 | 56,387,324 | ||||||||||
2.75%, 11/15/47 |
2,000 | 1,791,719 | ||||||||||
美国国库券 (e) |
||||||||||||
2.75%, 04/30/23 - 08/31/25 |
29,300 | 29,134,949 | ||||||||||
3.00%, 09/30/25 |
2,400 | 2,396,531 | ||||||||||
2.88%, 08/15/28 |
1,000 | 987,813 | ||||||||||
3.13%, 11/15/28 |
3,000 | 3,006,211 | ||||||||||
1.13%, 02/15/31 |
19,000 | 16,326,641 | ||||||||||
|
|
|||||||||||
美国国债总额-29.6% (Cost: $212,164,260) |
|
189,419,376 | ||||||||||
|
|
|||||||||||
长期投资总额-167.1% (Cost: $1,167,482,395) |
|
1,070,825,641 | ||||||||||
|
|
|||||||||||
股票 |
||||||||||||
短期证券 |
||||||||||||
货币市场基金-2.8% |
||||||||||||
贝莱德流动性基金, T-Fund, 机构类,1.33%(r)(s) |
18,146,817 | 18,146,817 | ||||||||||
|
|
|||||||||||
短期证券总额-2.8% (Cost: $18,146,817) |
|
18,146,817 | ||||||||||
|
|
|||||||||||
TBA销售前的总投资 承诺-169.9% |
|
|||||||||||
(Cost: $1,185,629,212) |
|
1,088,972,458 | ||||||||||
|
|
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
TBA销售承诺 |
||||||||||||
抵押贷款支持证券-(3.9%) |
| |||||||||||
统一抵押贷款支持证券,4.00%,07/14/52 (p) |
美元 | (25,500 | ) | $ | (25,144,893 | ) | ||||||
|
|
|||||||||||
TBA销售承诺总额-(3.9%) (Proceeds: $(24,956,602)) |
|
(25,144,893 | ) | |||||||||
|
|
|||||||||||
总投资,扣除TBA销售 承诺-166.0% |
|
|||||||||||
(Cost: $1,160,672,610) |
|
1,063,827,565 | ||||||||||
负债超过其他资产-(66.0%) |
|
(423,142,943 | ) | |||||||||
|
|
|||||||||||
净资产-100.0% |
|
$ | 640,684,622 | |||||||||
|
|
(a) |
可变利率证券。利率会定期重置。显示的利率是期末的实际利率。安全说明还包括参考利率和利差(如果已发布并可用)。 |
(b) |
根据修订后的1933年证券法,根据规则144A豁免注册的证券。这些证券可以在豁免注册的交易中转售给合格机构投资者。 |
(c) |
安全使用重大的不可观察的投入进行估值,并在公允价值层次结构中被归类为第三级。 |
(d) |
根据1933年证券法的S规定,这种证券可以转售给合格的外国投资者和外国机构买家。 |
(e) |
全部或部分证券已被质押为与未完成的逆回购协议有关的抵押品。 |
(f) |
可兑换证券。 |
(g) |
零息债券。 |
(h) |
没有规定到期日的永久证券。 |
(i) |
实物支付证券,可以以额外的面值/股份和/或现金支付利息/股息。显示的费率是当前费率和可能的付款费率。 |
(j) |
全部或部分证券已被质押和/或分离为与所发行的未偿还交易所交易期权相关的抵押品。 |
(k) |
发行人申请破产和/或违约。 |
(l) |
非创收证券。 |
(m) |
表示期末未结清的贷款承诺。在结算日之前,与此次收购相关的某些细节尚不清楚,包括票面利率。 |
(n) |
四舍五入到不到1000。 |
(o) |
步步优惠券保安。票面利率将定期增加(升级债券)或降低(降级债券),直至到期。显示的利率反映了当前有效的利率。 |
(p) |
表示或包括TBA事务。 |
(q) |
利率是截至期末的贴现率或一系列贴现率。 |
(r) |
信托基金的附属机构。 |
(s) |
截至期末的年化7日收益率。 |
S C H E D U L E O F I N V E S T M E N T S |
39 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) |
关联发行商 |
价值在 12/31/21 |
购买 按成本计算 |
收益 来自销售部门 |
网络 已实现 得(损) |
更改中 未实现 欣赏 (折旧) |
价值在 06/30/22 |
股票 持有时间 06/30/22 |
收入 |
资本利得 分配 从… 潜在的 基金 |
|||||||||||||||||||||||||||
贝莱德流动性基金、T基金、机构类 |
$ | 25,976,159 | $ | — | $ | (7,829,342 | ) (a) |
$ | — | $ | — | $ | 18,146,817 | 18,146,817 | $ | 28,783 | $ | — | ||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
(a) |
代表净买入(卖出)金额。 |
|
||||||||||||||||||||||||
交易对手 |
利息 费率 |
贸易 日期 |
成熟性 日期 |
(a) |
面值 |
面值 包括 应计利息 |
非现金标的的类型 抵押品 |
剩余 合同到期日 协议中的 ( |
a) | |||||||||||||||
|
||||||||||||||||||||||||
法国农业信贷银行企业和投资银行 |
1.50 | % (b) |
10/06/21 | 打开 | $ | 3,925,000 | $ | 3,931,665 | 美国财政部债务 |
开放/需求 | ||||||||||||||
法国农业信贷银行企业和投资银行 |
1.50 | (b) |
10/06/21 | 打开 | 2,910,000 | 2,914,312 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
法国农业信贷银行企业和投资银行 |
1.50 | (b) |
10/06/21 | 打开 | 777,562 | 778,883 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
法国农业信贷银行企业和投资银行 |
1.50 | (b) |
10/06/21 | 打开 | 2,396,875 | 2,400,945 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
巴克莱资本公司 |
(1.75 | ) (b) |
01/10/22 | 打开 | 182,823 | 181,303 | 公司债券 |
开放/需求 | ||||||||||||||||
法国巴黎银行 |
1.79 | (b) |
02/14/22 | 打开 | 8,130,000 | 8,147,771 | 公司债券 |
开放/需求 | ||||||||||||||||
法国巴黎银行 |
1.79 | (b) |
02/14/22 | 打开 | 9,265,747 | 9,286,001 | 公司债券 |
开放/需求 | ||||||||||||||||
法国巴黎银行 |
1.78 | (b) |
02/22/22 | 打开 | 3,478,125 | 3,486,156 | 资本信托基金 |
开放/需求 | ||||||||||||||||
法国巴黎银行 |
1.78 | (b) |
02/22/22 | 打开 | 4,846,100 | 4,857,289 | 公司债券 |
开放/需求 | ||||||||||||||||
法国巴黎银行 |
1.78 | (b) |
02/22/22 | 打开 | 4,067,212 | 4,076,603 | 公司债券 |
开放/需求 | ||||||||||||||||
法国巴黎银行 |
1.78 | (b) |
02/22/22 | 打开 | 3,212,402 | 3,219,820 | 资本信托基金 |
开放/需求 | ||||||||||||||||
法国巴黎银行 |
1.95 | (b) |
02/22/22 | 打开 | 3,038,287 | 3,047,153 | 资本信托基金 |
开放/需求 | ||||||||||||||||
法国巴黎银行 |
1.50 | (b) |
03/14/22 | 打开 | 2,870,000 | 2,873,691 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
法国巴黎银行 |
1.50 | (b) |
03/14/22 | 打开 | 24,687,500 | 24,719,251 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
法国巴黎银行 |
1.50 | (b) |
03/14/22 | 打开 | 66,235,250 | 66,320,826 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
法国巴黎银行 |
1.50 | (b) |
03/14/22 | 打开 | 14,740,000 | 14,759,023 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
法国巴黎银行 |
1.60 | (b) |
03/14/22 | 打开 | 2,280,000 | 2,282,106 | 美国政府支持的机构证券 |
开放/需求 | ||||||||||||||||
法国巴黎银行 |
1.79 | (b) |
03/14/22 | 打开 | 2,876,194 | 2,881,832 | 资本信托基金 |
开放/需求 | ||||||||||||||||
汇丰证券(美国)有限公司 |
1.75 | (b) |
03/14/22 | 打开 | 1,752,500 | 1,755,725 | 公司债券 |
开放/需求 | ||||||||||||||||
汇丰证券(美国)有限公司 |
1.75 | (b) |
03/14/22 | 打开 | 1,411,000 | 1,413,597 | 公司债券 |
开放/需求 | ||||||||||||||||
汇丰证券(美国)有限公司 |
1.75 | (b) |
03/14/22 | 打开 | 1,069,500 | 1,071,468 | 公司债券 |
开放/需求 | ||||||||||||||||
RBC资本市场有限责任公司 |
1.88 | (b) |
03/14/22 | 打开 | 783,344 | 785,091 | 公司债券 |
开放/需求 | ||||||||||||||||
RBC资本市场有限责任公司 |
1.92 | (b) |
03/14/22 | 打开 | 3,912,750 | 3,921,946 | 公司债券 |
开放/需求 | ||||||||||||||||
法国农业信贷银行企业和投资银行 |
1.69 | (b) |
03/17/22 | 打开 | 3,865,000 | 3,871,705 | 公司债券 |
开放/需求 | ||||||||||||||||
法国农业信贷银行企业和投资银行 |
1.75 | (b) |
03/17/22 | 打开 | 4,870,250 | 4,879,551 | 公司债券 |
开放/需求 | ||||||||||||||||
法国农业信贷银行企业和投资银行 |
1.75 | (b) |
03/17/22 | 打开 | 4,109,400 | 4,117,248 | 公司债券 |
开放/需求 | ||||||||||||||||
道明证券(美国)有限公司 |
1.75 | (b) |
03/17/22 | 打开 | 1,752,500 | 1,755,847 | 公司债券 |
开放/需求 | ||||||||||||||||
道明证券(美国)有限公司 |
1.75 | (b) |
03/17/22 | 打开 | 7,384,587 | 7,398,690 | 外国机构的义务 |
开放/需求 | ||||||||||||||||
道明证券(美国)有限公司 |
1.75 | (b) |
03/17/22 | 打开 | 1,064,844 | 1,066,877 | 公司债券 |
开放/需求 | ||||||||||||||||
道明证券(美国)有限公司 |
1.75 | (b) |
03/17/22 | 打开 | 4,359,375 | 4,367,700 | 公司债券 |
开放/需求 | ||||||||||||||||
瑞士信贷证券(美国)有限公司 |
1.25 | (b) |
04/12/22 | 打开 | 111,150 | 110,955 | 公司债券 |
开放/需求 | ||||||||||||||||
巴克莱资本公司 |
(1.25 | ) (b) |
04/28/22 | 打开 | 93,620 | 93,412 | 公司债券 |
开放/需求 | ||||||||||||||||
瑞士信贷证券(美国)有限公司 |
(0.75 | ) (b) |
04/28/22 | 打开 | 108,341 | 108,055 | 公司债券 |
开放/需求 | ||||||||||||||||
汇丰证券(美国)有限公司 |
1.75 | (b) |
04/29/22 | 打开 | 3,580,000 | 3,584,748 | 公司债券 |
开放/需求 | ||||||||||||||||
汇丰证券(美国)有限公司 |
1.75 | (b) |
04/29/22 | 打开 | 8,628,812 | 8,640,258 | 公司债券 |
开放/需求 | ||||||||||||||||
汇丰证券(美国)有限公司 |
1.75 | (b) |
05/04/22 | 打开 | 2,404,025 | 2,407,047 | 资本信托基金 |
开放/需求 | ||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | (b) |
05/04/22 | 打开 | 2,760,312 | 2,763,782 | 公司债券 |
开放/需求 | ||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | (b) |
05/04/22 | 打开 | 3,103,750 | 3,107,651 | 公司债券 |
开放/需求 |
40 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) |
|
||||||||||||||||||||||||
交易对手 |
利息 费率 |
贸易 日期 |
成熟性 日期 |
(a) |
面值 |
面值 包括 应计利息 |
非现金标的的类型 抵押品 |
剩余 合同到期日 协议中的 ( |
a) | |||||||||||||||
|
||||||||||||||||||||||||
法国农业信贷银行企业和投资银行 |
1.75 | % (b) |
05/10/22 | 打开 | $ | 523,750 | $ | 524,517 | 公司债券 |
开放/需求 | ||||||||||||||
法国农业信贷银行企业和投资银行 |
1.75 | (b) |
05/10/22 | 打开 | 875,875 | 877,158 | 公司债券 |
开放/需求 | ||||||||||||||||
道明证券(美国)有限公司 |
1.74 | (b) |
05/10/22 | 打开 | 2,016,687 | 2,019,613 | 公司债券 |
开放/需求 | ||||||||||||||||
道明证券(美国)有限公司 |
1.74 | (b) |
05/10/22 | 打开 | 1,840,406 | 1,843,076 | 公司债券 |
开放/需求 | ||||||||||||||||
道明证券(美国)有限公司 |
1.74 | (b) |
05/10/22 | 打开 | 1,750,937 | 1,753,478 | 公司债券 |
开放/需求 | ||||||||||||||||
道明证券(美国)有限公司 |
1.74 | (b) |
05/10/22 | 打开 | 3,076,781 | 3,081,245 | 公司债券 |
开放/需求 | ||||||||||||||||
野村证券国际公司。 |
1.56 | (b) |
05/23/22 | 打开 | 1,005,000 | 1,005,870 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
野村证券国际公司。 |
1.56 | (b) |
05/23/22 | 打开 | 2,424,000 | 2,426,098 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
野村证券国际公司。 |
1.56 | (b) |
05/23/22 | 打开 | 1,832,500 | 1,834,086 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
野村证券国际公司。 |
1.56 | (b) |
05/23/22 | 打开 | 3,037,500 | 3,040,129 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
野村证券国际公司。 |
1.56 | (b) |
05/23/22 | 打开 | 14,855,500 | 14,868,358 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
野村证券国际公司。 |
1.56 | (b) |
05/23/22 | 打开 | 11,831,625 | 11,841,866 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
野村证券国际公司。 |
1.56 | (b) |
05/23/22 | 打开 | 35,635,894 | 35,666,739 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
野村证券国际公司。 |
1.56 | (b) |
05/23/22 | 打开 | 17,911,875 | 17,927,379 | 美国财政部债务 |
开放/需求 | ||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 501,510 | 501,838 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 274,298 | 274,477 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 929,474 | 930,082 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 1,035,612 | 1,036,290 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 884,372 | 884,952 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 820,368 | 820,905 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 386,940 | 387,194 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 776,652 | 777,161 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 818,267 | 818,803 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 657,628 | 658,058 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 603,403 | 603,798 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 520,932 | 521,273 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 1,079,464 | 1,080,171 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 715,356 | 715,825 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 646,320 | 646,743 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 1,262,244 | 1,263,070 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 1,637,753 | 1,638,826 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 1,969,394 | 1,970,683 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 1,303,628 | 1,304,481 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 831,858 | 832,403 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 470,683 | 470,991 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 693,237 | 693,691 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 320,625 | 320,835 | 美国政府支持的机构证券 |
最多30天 |
S C H E D U L E O F I N V E S T M E N T S |
41 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) |
|
||||||||||||||||||||||||
交易对手 |
利息 费率 |
贸易 日期 |
成熟性 日期 |
(a) |
面值 |
面值 包括 应计利息 |
非现金标的的类型 抵押品 |
剩余 合同到期日 协议中的 ( |
a) | |||||||||||||||
|
||||||||||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | % | 06/10/22 | 07/14/22 | $ | 1,049,909 | $ | 1,050,597 | 美国政府支持的机构证券 |
最多30天 | ||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 662,781 | 663,215 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 1,138,956 | 1,139,702 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 1,008,149 | 1,008,809 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 1,226,486 | 1,227,289 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 536,222 | 536,574 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 510,357 | 510,692 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 700,036 | 700,494 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 1,910,991 | 1,912,242 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 1,061,554 | 1,062,250 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 687,176 | 687,626 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 1,299,595 | 1,300,446 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
康托·菲茨杰拉德公司 |
1.31 | 06/10/22 | 07/14/22 | 594,043 | 594,432 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 2,584,281 | 2,585,961 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 10,070,016 | 10,076,562 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 2,665,649 | 2,667,381 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 1,004,032 | 1,004,685 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 10,321,823 | 10,328,532 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 6,612,724 | 6,617,022 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 4,880,021 | 4,883,193 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 3,330,407 | 3,332,571 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 3,403,442 | 3,405,655 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 3,543,156 | 3,545,459 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 2,300,249 | 2,301,745 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 2,288,864 | 2,290,352 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 2,183,234 | 2,184,653 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 2,118,207 | 2,119,584 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 2,188,130 | 2,189,552 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 7,595,210 | 7,600,147 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
汇丰证券(美国)有限公司 |
1.30 | 06/10/22 | 07/14/22 | 6,686,029 | 6,690,375 | 美国政府支持的机构证券 |
最多30天 | |||||||||||||||||
巴克莱资本公司 |
(1.00 | ) (b) |
06/14/22 | 打开 | 360,704 | 360,543 | 公司债券 |
开放/需求 | ||||||||||||||||
巴克莱资本公司 |
(3.00 | ) (b) |
06/17/22 | 打开 | 19,175 | 19,159 | 公司债券 |
开放/需求 |
42 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) |
|
||||||||||||||||||||||||||||
交易对手 |
利息 费率 |
贸易 日期 |
成熟性 日期 |
(a) |
面值 |
面值 包括 应计利息 |
非现金标的的类型 抵押品 |
剩余 合同到期日 协议中的 |
(a) | |||||||||||||||||||
|
||||||||||||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
(0.50 | )% (b) |
06/22/22 | 打开 | $ | 80,313 | $ | 80,304 | 公司债券 | 开放/需求 | ||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
(5.00 | ) (b) |
06/24/22 | 打开 | 53,240 | 53,188 | 公司债券 | 开放/需求 | ||||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||||
$ | 421,477,646 | $ | 421,979,136 | |||||||||||||||||||||||||
|
|
|
|
(a) |
某些协议没有规定的到期日,任何一方都可以随时终止。 |
(b) |
可变利率证券。截止到期末和到期日的利率是指可以通过需求收回所欠本金的日期。 |
描述 |
数量 合同 |
期满 日期 |
概念上的 金额(000) |
价值/ 未实现 欣赏 (折旧) |
||||||||||||
长期合同 |
||||||||||||||||
10年期美国超长国债 |
510 | 09/21/22 | $ | 64,802 | $ | (1,194,485 | ) | |||||||||
超级美国国债 |
202 | 09/21/22 | 31,177 | (321,567 | ) | |||||||||||
|
|
|||||||||||||||
(1,516,052 | ) | |||||||||||||||
|
|
|||||||||||||||
空头合约 |
||||||||||||||||
10年期日本国债 |
8 | 09/12/22 | 8,762 | (8,569 | ) | |||||||||||
10年期美国国债 |
861 | 09/21/22 | 101,907 | (498,627 | ) | |||||||||||
美国长债 |
86 | 09/21/22 | 11,876 | 253,119 | ||||||||||||
2年期美国国债 |
98 | 09/30/22 | 20,565 | 83,174 | ||||||||||||
5年期美国国债 |
418 | 09/30/22 | 46,868 | (668,942 | ) | |||||||||||
|
|
|||||||||||||||
(839,845 | ) | |||||||||||||||
|
|
|||||||||||||||
$ | (2,355,897 | ) | ||||||||||||||
|
|
购买的货币 |
售出的货币 |
交易对手 |
结算日 |
未实现 欣赏 (折旧) |
||||||||||||||||||||||
美元 |
129,803 | 计算机辅助设计 | 166,000 | 摩根大通银行N.A. | 09/21/22 | $ | 822 | |||||||||||||||||||
美元 |
4,612,856 | 欧元 | 4,296,000 | NatWest Markets PLC | 09/21/22 | 85,808 | ||||||||||||||||||||
美元 |
3,534,696 | 英镑 | 2,848,000 | 汇丰银行美国N.A. | 09/21/22 | 62,638 | ||||||||||||||||||||
美元 |
1,371,984 | 英镑 | 1,094,000 | NatWest Markets PLC | 09/21/22 | 38,265 | ||||||||||||||||||||
|
|
|||||||||||||||||||||||||
187,533 | ||||||||||||||||||||||||||
|
|
|||||||||||||||||||||||||
欧元 |
259,164 | 美元 | 274,485 | 摩根士丹利国际公司 | 09/21/22 | (1,383 | ) | |||||||||||||||||||
英镑 |
39,726 | 美元 | 48,595 | 渣打银行 | 09/21/22 | (164 | ) | |||||||||||||||||||
美元 |
2,103 | 欧元 | 2,000 | 道富银行信托公司 | 09/21/22 | (4 | ) | |||||||||||||||||||
|
|
|||||||||||||||||||||||||
(1,551 | ) | |||||||||||||||||||||||||
|
|
|||||||||||||||||||||||||
$ | 185,982 | |||||||||||||||||||||||||
|
|
参考债务/索引 |
融资 已支付的费率 由信托基金 |
付款 频率 |
终端 日期 |
概念上的 Amount (000) |
价值 |
预付费用 补价 已支付 (已收到) |
未实现 欣赏 (折旧) |
|||||||||||||||||||||
CDX.NA.HY.38.V2 |
5.00 | % | 季刊 | 06/20/27 | 美元 | 4,836 | $ | 134,860 | $ | (152,992 | ) | $ | 287,852 | |||||||||||||||
CDX.NA.IG.38.V1 |
1.00 | 季刊 | 06/20/27 | 美元 | 21,660 | 249 | (192,636 | ) | 192,885 | |||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||
$ | 135,109 | $ | (345,628 | ) | $ | 480,737 | ||||||||||||||||||||||
|
|
|
|
|
|
S C H E D U L E O F I N V E S T M E N T S |
43 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) |
预付费用 补价 已支付 (已收到) |
未实现 欣赏 (折旧) |
|||||||||||||||||||||||||||||||
由信托基金支付 | 由信托基金收到 | 有效 日期 |
终端 日期 |
概念上的 金额(000) |
价值 |
|||||||||||||||||||||||||||
|
| |||||||||||||||||||||||||||||||
费率 |
频率 |
费率 |
频率 | |||||||||||||||||||||||||||||
1天SOFR,0.82% |
每年一次 | 3.01% | 每年一次 | 10/05/22 | (a) |
06/30/24 | 美元 | 14,905 | $ | (31,070 | ) | $ | 64 | $ | (31,134 | ) | ||||||||||||||||
|
2.86% |
每年一次 | 1天SOFR,0.82% |
每年一次 | 10/05/22 | (a) |
11/30/26 | 美元 | 14,905 | (21,474 | ) | 136 | (21,610 | ) | ||||||||||||||||||
3个月伦敦银行同业拆息,2.29% |
季刊 | 1.59% | 半年度报告 |
不适用 | 10/14/31 | 美元 | 26,700 | (3,166,547 | ) | (1,167,130 | ) | (1,999,417 | ) | |||||||||||||||||||
1.61% |
半年度报告 |
3个月伦敦银行同业拆息,2.29% |
季刊 | 不适用 | 03/30/32 | 美元 | 26,000 | 3,134,114 | 1,193,244 | 1,940,870 | ||||||||||||||||||||||
1.66% |
半年度报告 | 3个月伦敦银行同业拆息,2.29% |
季刊 | 不适用 | 04/26/32 | 美元 | 25,400 | 3,047,567 | 1,096,166 | 1,951,401 | ||||||||||||||||||||||
1.86% |
半年度报告 | 3个月伦敦银行同业拆息,2.29% |
季刊 | 不适用 | 10/15/41 | 美元 | 14,800 | 2,775,140 | 833,343 | 1,941,797 | ||||||||||||||||||||||
3个月伦敦银行同业拆息,2.29% |
季刊 | 1.93% | 半年度报告 | 不适用 | 10/23/51 | 美元 | 3,550 | (711,966 | ) | (156,824 | ) | (555,142 | ) | |||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||||
$ | 5,025,764 | $ | 1,798,999 | $ | 3,226,765 | |||||||||||||||||||||||||||
|
|
|
|
|
|
(a) |
远期掉期。 |
参考债务/索引 |
融资 接收的速率 由信托基金 |
付款 频率 |
交易对手 |
终端 日期 |
信用 额定值 |
(a) |
概念上的 金额(000 |
) (b) |
价值 |
预付费用 补价 已支付 (已收到 |
) |
未实现 欣赏 (折旧 |
) | |||||||||||||||||||||||
Guichard-Perrachon S.A.赌场 |
5.00 | % | 季刊 | 摩根大通银行N.A. | 06/20/23 | B | 欧元 | 10 | $ | (1,501 | ) | $ | (867 | ) | $ | (634 | ) | |||||||||||||||||||
Novafives S.A.S |
5.00 | 季刊 | 花旗银行N.A. | 06/20/23 | B- | 欧元 | 10 | (1,161 | ) | (668 | ) | (493 | ) | |||||||||||||||||||||||
|
佛吉亚东南部 |
5.00 | 季刊 | 摩根大通银行N.A. | 06/20/25 | BB | 欧元 | 10 | 100 | 461 | (361 | ) | ||||||||||||||||||||||||
Adler Real Estate AG |
5.00 | 季刊 | 摩根士丹利国际公司 | 12/20/25 | CCC | 欧元 | 10 | (3,225 | ) | 1,223 | (4,448 | ) | ||||||||||||||||||||||||
维珍传媒金融公司 |
5.00 | 季刊 | 摩根大通银行N.A. | 12/20/25 | B | 欧元 | 10 | 257 | 948 | (691 | ) | |||||||||||||||||||||||||
Adler Real Estate AG |
5.00 | 季刊 | 摩根大通银行N.A. | 06/20/26 | 天然橡胶 | 欧元 | 10 | (3,280 | ) | 836 | (4,116 | ) | ||||||||||||||||||||||||
Adler Real Estate AG |
5.00 | 季刊 | 摩根大通银行N.A. | 06/20/26 | 天然橡胶 | 欧元 | 10 | (3,280 | ) | 939 | (4,219 | ) | ||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 摩根大通银行N.A. | 12/20/26 | BB+ | 欧元 | 10 | (295 | ) | 397 | (692 | ) | ||||||||||||||||||||||||
捷豹路虎汽车公司 |
5.00 | 季刊 | 美国银行N.A. | 12/20/26 | B+ | 欧元 | 10 | (1,625 | ) | (391 | ) | (1,234 | ) | |||||||||||||||||||||||
捷豹路虎汽车公司 |
5.00 | 季刊 | 巴克莱银行公司 | 12/20/26 | B+ | 欧元 | 5 | (825 | ) | 199 | (1,024 | ) | ||||||||||||||||||||||||
捷豹路虎汽车公司 |
5.00 | 季刊 | 瑞士信贷国际 | 12/20/26 | B+ | 欧元 | 5 | (802 | ) | 204 | (1,006 | ) | ||||||||||||||||||||||||
捷豹路虎汽车公司 |
5.00 | 季刊 | 瑞士信贷国际 | 12/20/26 | B+ | 欧元 | 25 | (4,064 | ) | 961 | (5,025 | ) | ||||||||||||||||||||||||
捷豹路虎汽车公司 |
5.00 | 季刊 | 摩根士丹利国际公司 | 12/20/26 | B+ | 欧元 | 25 | (4,064 | ) | 1,139 | (5,203 | ) | ||||||||||||||||||||||||
K&S公司 |
5.00 | 季刊 | 摩根大通银行N.A. | 12/20/26 | BB | 欧元 | 10 | 825 | 805 | 20 | ||||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 巴克莱银行公司 | 06/20/27 | BB+ | 欧元 | 2 | (70 | ) | 50 | (120 | ) | ||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 瑞士信贷国际 | 06/20/27 | BB+ | 欧元 | 40 | (1,736 | ) | 1,826 | (3,562 | ) | ||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 瑞士信贷国际 | 06/20/27 | BB+ | 欧元 | 9 | (383 | ) | 297 | (680 | ) | ||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 摩根大通银行N.A. | 06/20/27 | BB+ | 欧元 | 9 | (385 | ) | 323 | (708 | ) | ||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 摩根大通银行N.A. | 06/20/27 | BB+ | 欧元 | 8 | (362 | ) | 304 | (666 | ) | ||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 摩根大通银行N.A. | 06/20/27 | BB+ | 欧元 | 2 | (102 | ) | 86 | (188 | ) | ||||||||||||||||||||||||
立博珊瑚集团有限公司 |
1.00 | 季刊 | 摩根大通银行N.A. | 06/20/27 | BB | 欧元 | 30 | (5,009 | ) | (5,308 | ) | 299 | ||||||||||||||||||||||||
立博珊瑚集团有限公司 |
1.00 | 季刊 | 摩根大通银行N.A. | 06/20/27 | BB | 欧元 | 10 | (1,670 | ) | (1,109 | ) | (561 | ) | |||||||||||||||||||||||
CMBX.NA.8 |
3.00 | 每月 | 巴克莱银行公司 | 10/17/57 | N/R | 美元 | 5,000 | (861,017 | ) | (483,158 | ) | (377,859 | ) | |||||||||||||||||||||||
CMBX.NA.8 |
3.00 | 每月 | 瑞士信贷国际 | 10/17/57 | N/R | 美元 | 2,500 | (430,508 | ) | (239,040 | ) | (191,468 | ) | |||||||||||||||||||||||
CMBX.NA.8 |
3.00 | 每月 | 摩根士丹利国际公司 | 10/17/57 | N/R | 美元 | 5,550 | (955,729 | ) | (702,621 | ) | (253,108 | ) | |||||||||||||||||||||||
CMBX.NA.9 |
3.00 | 每月 | 瑞士信贷国际 | 09/17/58 | N/R | 美元 | 5,000 | (854,607 | ) | (518,760 | ) | (335,847 | ) | |||||||||||||||||||||||
CMBX.NA.9 |
3.00 | 每月 | 瑞士信贷国际 | 09/17/58 | N/R | 美元 | 2,500 | (427,304 | ) | (259,381 | ) | (167,923 | ) | |||||||||||||||||||||||
CMBX.NA.9 |
3.00 | 每月 | 瑞士信贷国际 | 09/17/58 | N/R | 美元 | 5,000 | (854,607 | ) | (518,711 | ) | (335,896 | ) | |||||||||||||||||||||||
摩根士丹利公司 | ||||||||||||||||||||||||||||||||||||
CMBX.NA.9 |
3.00 | 每月 | 国际PLC | 09/17/58 | N/R | 美元 | 2,153 | (367,993 | ) | (233,803 | ) | (134,190 | ) | |||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||||||||
$ | (4,784,422 | ) | $ | (2,952,819 | ) | $ | (1,831,603 | ) | ||||||||||||||||||||||||||||
|
|
|
|
|
|
(a) |
使用标准普尔全球评级提供的发行人评级或该指数的标的证券(如适用)。 |
(b) |
如果发生协议条款所定义的负信用事件,信托可能支付的最大潜在金额。 |
44 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) |
描述 |
交换 保费 已支付 |
交换 保费 已收到 |
未实现 欣赏 |
未实现 折旧 |
||||||||||||
集中清算的掉期 (a) |
$ | 3,122,953 | $ | (1,669,582 | ) | $ | 6,314,805 | $ | (2,607,303 | ) | ||||||
场外掉期 |
10,998 | (2,963,817 | ) | 319 | (1,831,922 | ) |
(a) |
包括中央结算掉期的累计升值(折旧),如投资明细表所述。只有当日的变动保证金在资产负债表中报告,并扣除之前支付(收到)的任何掉期溢价金额。 |
商品 合同 |
信用 合同 |
权益 合同 |
外国 货币 交易所 合同 |
利息 费率 合同 |
其他 合同 |
总计 |
||||||||||||||||||||||
资产-衍生金融工具 |
||||||||||||||||||||||||||||
期货合约 |
||||||||||||||||||||||||||||
期货合约未实现增值 (a) |
$ |
— |
$ |
— |
$ |
— |
$ |
— |
$ |
336,293 |
$ |
— |
$ |
336,293 |
||||||||||||||
远期外币兑换合约 |
||||||||||||||||||||||||||||
远期外汇合约的未实现升值 |
— |
— |
— |
187,533 |
— |
— |
187,533 |
|||||||||||||||||||||
掉期-集中结算 |
||||||||||||||||||||||||||||
集中清算掉期的未实现增值 (a) |
— |
480,737 |
— |
— |
5,834,068 |
— |
6,314,805 |
|||||||||||||||||||||
掉期-场外交易 |
||||||||||||||||||||||||||||
场外掉期未实现增值;支付掉期溢价 |
— |
11,317 |
— |
— |
— |
— |
11,317 |
|||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
$ |
— |
$ |
492,054 |
$ |
— |
$ |
187,533 |
$ |
6,170,361 |
$ |
— |
$ |
6,849,948 |
|||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
负债--衍生金融工具 |
||||||||||||||||||||||||||||
期货合约 |
||||||||||||||||||||||||||||
期货合约未实现折旧 (a) |
$ |
— |
$ |
— |
$ |
— |
$ |
— |
$ |
2,692,190 |
$ |
— |
$ |
2,692,190 |
||||||||||||||
远期外币兑换合约 |
||||||||||||||||||||||||||||
远期外币兑换合约未实现贬值 |
— |
— |
— |
1,551 |
— |
— |
1,551 |
|||||||||||||||||||||
掉期-集中结算 |
||||||||||||||||||||||||||||
集中清算掉期的未实现折旧 (a) |
— |
— |
— |
— |
2,607,303 |
— |
2,607,303 |
|||||||||||||||||||||
掉期-场外交易 |
||||||||||||||||||||||||||||
场外掉期的未实现折旧;收到的掉期溢价 |
— |
4,795,739 |
— |
— |
— |
— |
4,795,739 |
|||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
$ |
— |
$ |
4,795,739 |
$ |
— |
$ |
1,551 |
$ |
5,299,493 |
$ |
— |
$ |
10,096,783 |
|||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
(a) |
期货合约和中央结算掉期(如有)的累计未实现净增值(折旧)在投资附表中列报。在资产负债表中,只在应收或应付账款中报告当日变动幅度,累计未实现增值(折旧)净额计入累计收益(亏损)。 |
商品 合同 |
信用 合同 |
权益 合同 |
外国 货币 交易所 合同 |
利息 费率 合同 |
其他 合同 |
总计 |
||||||||||||||||||||||
净已实现收益(亏损)来自: |
||||||||||||||||||||||||||||
期货合约 |
$ |
— |
$ |
— |
$ |
— |
$ |
— |
$ |
(5,093,903 |
) |
$ |
— |
$ |
(5,093,903 |
) | ||||||||||||
远期外币兑换合约 |
— |
— |
— |
561,113 |
— |
— |
561,113 |
|||||||||||||||||||||
购买的选项 (a) |
— |
— |
— |
— |
1,415,046 |
— |
1,415,046 |
|||||||||||||||||||||
已写入选项 |
— |
— |
— |
— |
(4,116,630 |
) |
— |
(4,116,630 |
) | |||||||||||||||||||
掉期 |
— |
1,053,924 |
— |
— |
4,392,609 |
— |
5,446,533 |
|||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
$ |
— |
$ |
1,053,924 |
$ |
— |
$ |
561,113 |
$ |
(3,402,878 |
) |
$ |
— |
$ |
(1,787,841 |
) | |||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
未实现增值(折旧)净变化如下: |
||||||||||||||||||||||||||||
期货合约 |
$ |
— |
$ |
— |
$ |
— |
$ |
— |
$ |
(3,573,400 |
) |
$ |
— |
$ |
(3,573,400 |
) | ||||||||||||
远期外币兑换合约 |
— |
— |
— |
338,746 |
— |
— |
338,746 |
|||||||||||||||||||||
购买的选项 (b) |
— |
— |
— |
— |
688,971 |
— |
688,971 |
S C H E D U L E O F I N V E S T M E N T S |
45 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) |
商品 合同 |
信用 合同 |
权益 合同 |
外国 货币 交易所 合同 |
利息 费率 合同 |
其他 合同 |
总计 |
||||||||||||||||||||||
已写入选项 |
$ | — | $ | — | $ | — | $ | — | $ | (88,306 | ) | $ | — | $ | (88,306 | ) | ||||||||||||
掉期 |
— | (1,005,449 | ) | — | — | 2,061,194 | — | 1,055,745 | ||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
$ | — | $ | (1,005,449 | ) | $ | — | $ | 338,746 | $ | (911,541 | ) | $ | — | $ | (1,578,244 | ) | ||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
(a) |
购买的期权包括在非关联投资的已实现净收益(亏损)中。 |
(b) |
购买的期权包括在非关联投资的未实现增值(折旧)净变化中。 |
期货合约: |
| |||
长期合同的平均名义价值 |
$ | 98,401,751 | ||
合同的平均名义价值-空头 |
$ | 185,025,796 | ||
远期外币兑换合约: |
||||
平均购买金额--美元 |
$ | 10,855,734 | ||
平均销售金额-以美元为单位 |
$ | 527,856 | ||
选项: |
||||
购买的期权合同的平均价值 |
$ | 6,313 | ||
签订的期权合约的平均价值 |
$ | 1,008 | ||
购买的掉期合同的平均名义价值 |
$ | 38,171,250 | ||
签订的掉期合同的平均名义价值 |
$ | 190,790,000 | ||
信用违约互换: |
||||
平均名义价值-购买保护 |
$ | 27,808,075 | ||
平均名义价值-卖出保护 |
$ | 27,916,390 | ||
利率互换: |
||||
平均名义价值-支付固定利率 |
$ | 322,728,000 | ||
平均名义价值-收到固定汇率 |
$ | 260,598,750 |
资产 |
负债 |
|||||||
衍生金融工具 |
||||||||
期货合约 |
$ | 992,585 | $ | 1,082,239 | ||||
远期外币兑换合约 |
187,533 | 1,551 | ||||||
掉期-集中结算 |
— | 824,758 | ||||||
掉期-场外交易 (a) |
11,317 | 4,795,739 | ||||||
|
|
|
|
|||||
资产负债表中的衍生资产和负债总额 |
1,191,435 | 6,704,287 | ||||||
|
|
|
|
|||||
不受总净额结算协议或类似协议约束的衍生品(“MNA”) |
(992,585 | ) | (1,906,997 | ) | ||||
|
|
|
|
|||||
受多边投资协定约束的衍生品资产和负债总额 |
$ | 198,850 | $ | 4,797,290 | ||||
|
|
|
|
(a) |
在资产负债表中包括场外掉期的未实现增值(折旧)和掉期溢价(已支付/已收到)。 |
46 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) |
交易对手 |
导数 资产 受制于 MNA作者: 交易对手 |
衍生品 可用 对于偏移 |
(a) |
非现金 抵押品 已收到 |
现金 抵押品 已收到 |
净额 衍生品的 资产 |
(b)(c) | |||||||||||||
巴克莱银行公司 |
$ | 249 | $ | (249 | ) | $ | — | $ | — | $ | — | |||||||||
瑞士信贷国际 |
3,288 | (3,288 | ) | — | — | — | ||||||||||||||
汇丰银行美国N.A. |
62,638 | — | — | — | 62,638 | |||||||||||||||
摩根大通银行N.A. |
6,240 | (6,240 | ) | — | — | — | ||||||||||||||
摩根士丹利国际公司 |
2,362 | (2,362 | ) | — | — | — | ||||||||||||||
NatWest Markets PLC |
124,073 | — | — | — | 124,073 | |||||||||||||||
|
|
|
|
|
|
|
|
|
|
|||||||||||
$ | 198,850 | $ | (12,139 | ) | $ | — | $ | — | $ | 186,711 | ||||||||||
|
|
|
|
|
|
|
|
|
|
|||||||||||
交易对手 |
导数 负债 受制于 MNA作者: 交易对手 |
衍生品 可用 对于偏移 |
(a) |
非现金 抵押品 已承诺 |
现金 抵押品 已承诺 |
净额 衍生品的 负债 |
(b)(d) | |||||||||||||
美国银行N.A. |
$ | 1,625 | $ | — | $ | — | $ | — | $ | 1,625 | ||||||||||
巴克莱银行公司 |
862,161 | (249 | ) | — | (655,000 | ) | 206,912 | |||||||||||||
花旗银行N.A. |
1,161 | — | — | — | 1,161 | |||||||||||||||
瑞士信贷国际 |
2,577,299 | (3,288 | ) | — | (2,550,000 | ) | 24,011 | |||||||||||||
摩根大通银行N.A. |
20,120 | (6,240 | ) | — | — | 13,880 | ||||||||||||||
摩根士丹利国际公司 |
1,334,756 | (2,362 | ) | — | (1,254,000 | ) | 78,394 | |||||||||||||
渣打银行 |
164 | — | — | — | 164 | |||||||||||||||
道富银行信托公司 |
4 | — | — | — | 4 | |||||||||||||||
|
|
|
|
|
|
|
|
|
|
|||||||||||
$ | 4,797,290 | $ | (12,139 | ) | $ | — | $ | (4,459,000) | $ | 326,151 | ||||||||||
|
|
|
|
|
|
|
|
|
|
(a) |
可用于抵销的衍生品数量限于受多边投资协定约束的衍生品资产和/或负债的数量。 |
(b) |
净额还可以包括不需要抵押的远期外币兑换合同。 |
(c) |
净额是指发生违约时从交易对手处应收的净额。 |
(d) |
净额是指在违约情况下应付交易对手的净额。 |
1级 |
2级 |
3级 |
总计 |
|||||||||||||
资产 |
||||||||||||||||
投资 |
||||||||||||||||
长期投资 |
||||||||||||||||
资产支持证券 |
$ | — | $ | 63,871,335 | $ | 1,238,732 | $ | 65,110,067 | ||||||||
公司债券 |
||||||||||||||||
广告公司 |
— | 487,214 | — | 487,214 | ||||||||||||
航空航天与国防 |
— | 13,643,900 | — | 13,643,900 | ||||||||||||
航空公司 |
— | 9,157,196 | — | 9,157,196 | ||||||||||||
汽车零部件 |
— | 3,622,314 | — | 3,622,314 | ||||||||||||
汽车 |
— | 8,792,119 | — | 8,792,119 | ||||||||||||
银行 |
— | 9,795,826 | — | 9,795,826 | ||||||||||||
饮料 |
— | 7,475,941 | — | 7,475,941 | ||||||||||||
生物技术 |
— | 1,553,473 | — | 1,553,473 | ||||||||||||
建筑材料 |
— | 1,377,467 | — | 1,377,467 | ||||||||||||
建筑产品 |
— | 4,912,379 | — | 4,912,379 | ||||||||||||
资本市场 |
— | 16,672,188 | — | 16,672,188 | ||||||||||||
化学品 |
— | 5,696,937 | — | 5,696,937 | ||||||||||||
商业服务与用品 |
— | 2,130,928 | — | 2,130,928 |
S C H E D U L E O F I N V E S T M E N T S |
47 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) |
1级 |
2级 |
3级 |
总计 |
|||||||||||||
公司债券(续) |
||||||||||||||||
通信设备 |
$ | — | $ | 1,227,529 | $ | — | $ | 1,227,529 | ||||||||
建筑与工程 |
— | 3,984,403 | — | 3,984,403 | ||||||||||||
建筑材料 |
— | 604,874 | — | 604,874 | ||||||||||||
消费者可自由支配 |
— | 4,118,409 | — | 4,118,409 | ||||||||||||
消费金融 |
— | 4,343,417 | — | 4,343,417 | ||||||||||||
容器和包装 |
— | 2,690,440 | — | 2,690,440 | ||||||||||||
多元化消费服务 |
— | 4,087,671 | — | 4,087,671 | ||||||||||||
多元化金融服务 |
— | 30,860,983 | — | 30,860,983 | ||||||||||||
多元化的电讯服务 |
— | 20,232,765 | — | 20,232,765 | ||||||||||||
教育 |
— | 655,170 | — | 655,170 | ||||||||||||
电力公司 |
— | 23,268,688 | — | 23,268,688 | ||||||||||||
电气设备 |
— | 311,104 | — | 311,104 | ||||||||||||
电子设备、仪器和部件 |
— | 2,424,032 | — | 2,424,032 | ||||||||||||
能源设备和服务 |
— | 1,840,839 | — | 1,840,839 | ||||||||||||
娱乐 |
— | 281,915 | — | 281,915 | ||||||||||||
环境、维护和安全服务 |
— | 1,727,492 | — | 1,727,492 | ||||||||||||
股权房地产投资信托基金(REITs) |
— | 9,944,946 | — | 9,944,946 | ||||||||||||
食品与主食零售业 |
— | 3,021,747 | — | 3,021,747 | ||||||||||||
食品产品 |
— | 1,792,736 | — | 1,792,736 | ||||||||||||
燃气公用设施 |
— | 52,723 | — | 52,723 | ||||||||||||
医疗保健设备和用品 |
— | 1,751,092 | — | 1,751,092 | ||||||||||||
医疗保健提供者和服务 |
— | 13,226,828 | — | 13,226,828 | ||||||||||||
医疗保健技术 |
— | 2,545,841 | — | 2,545,841 | ||||||||||||
酒店、餐馆和休闲 |
— | 10,877,306 | 3,427,098 | 14,304,404 | ||||||||||||
家用耐用品 |
— | 1,752,572 | — | 1,752,572 | ||||||||||||
家居用品 |
— | 70,100 | — | 70,100 | ||||||||||||
独立电力和可再生电力生产商 |
— | 3,060,940 | — | 3,060,940 | ||||||||||||
保险 |
— | 22,633,634 | — | 22,633,634 | ||||||||||||
互动媒体与服务 |
— | 1,405,607 | — | 1,405,607 | ||||||||||||
互联网软件和服务 |
— | 2,924,983 | — | 2,924,983 | ||||||||||||
IT服务 |
— | 6,378,811 | — | 6,378,811 | ||||||||||||
休闲产品 |
— | 400,978 | — | 400,978 | ||||||||||||
机械设备 |
— | 2,362,549 | — | 2,362,549 | ||||||||||||
媒体 |
— | 41,129,037 | — | 41,129,037 | ||||||||||||
金属与矿业 |
— | 6,927,556 | — | 6,927,556 | ||||||||||||
多线零售 |
— | 385,996 | — | 385,996 | ||||||||||||
多个实用程序 |
— | 1,014,174 | — | 1,014,174 | ||||||||||||
近海钻探及其他服务 |
— | 569,345 | — | 569,345 | ||||||||||||
石油、天然气和消耗性燃料 |
71,367 | 49,273,830 | 1,467,997 | 50,813,194 | ||||||||||||
制药业 |
— | 14,513,069 | — | 14,513,069 | ||||||||||||
房地产管理与开发 |
— | 2,905,527 | 32,000 | 2,937,527 | ||||||||||||
公路和铁路 |
— | 7,191,841 | — | 7,191,841 | ||||||||||||
半导体与半导体设备 |
— | 5,725,624 | — | 5,725,624 | ||||||||||||
软件 |
— | 10,851,011 | — | 10,851,011 | ||||||||||||
专业零售 |
— | 1,095,406 | — | 1,095,406 | ||||||||||||
技术硬件、存储和外围设备 |
— | 2,905,952 | — | 2,905,952 | ||||||||||||
纺织品、服装和奢侈品 |
— | 224,294 | — | 224,294 | ||||||||||||
储蓄与抵押金融 |
— | 378,543 | — | 378,543 | ||||||||||||
烟草 |
— | 5,451,783 | — | 5,451,783 | ||||||||||||
交通运输 |
— | 85,412 | — | 85,412 | ||||||||||||
交通基础设施 |
— | 2,268,365 | 691,089 | 2,959,454 | ||||||||||||
公用事业 |
— | 8,209,075 | — | 8,209,075 | ||||||||||||
无线电信服务 |
— | 7,840,648 | — | 7,840,648 | ||||||||||||
浮动利率贷款利息 |
— | 22,021,335 | 1,728,849 | 23,750,184 | ||||||||||||
外国机构的义务 |
— | 17,052,575 | — | 17,052,575 | ||||||||||||
市政债券 |
— | 22,500,927 | — | 22,500,927 | ||||||||||||
非机构抵押贷款支持证券 |
— | 62,408,412 | — | 62,408,412 | ||||||||||||
优先证券 |
||||||||||||||||
资本信托基金 |
— | 41,579,871 | — | 41,579,871 | ||||||||||||
优先股 |
||||||||||||||||
资本市场 |
3,894,682 | — | — | 3,894,682 | ||||||||||||
储蓄与抵押金融 |
— | 34,800 | — | 34,800 | ||||||||||||
首选信任 |
792,824 | — | — | 792,824 |
48 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) |
1级 |
2级 |
3级 |
总计 |
|||||||||||||
美国政府支持的机构证券 |
$ | — | $ | 197,464,878 | $ | — | $ | 197,464,878 | ||||||||
美国财政部债务 |
— | 189,419,376 | — | 189,419,376 | ||||||||||||
短期证券 |
||||||||||||||||
货币市场基金 |
18,146,817 | — | — | 18,146,817 | ||||||||||||
负债 |
||||||||||||||||
投资 |
||||||||||||||||
TBA销售承诺 |
— | (25,144,893 | ) | — | (25,144,893 | ) | ||||||||||
无资金来源的浮动利率贷款利息 (a) |
— | (17,250 | ) | — | (17,250 | ) | ||||||||||
|
|
|
|
|
|
|
|
|||||||||
$ | 22,905,690 | $ | 1,032,318,860 | $ | 8,585,765 | $ | 1,063,810,315 | |||||||||
|
|
|
|
|
|
|
|
|||||||||
衍生金融工具 (b) |
||||||||||||||||
资产 |
||||||||||||||||
信贷合同 |
$ | — | $ | 481,056 | $ | — | $ | 481,056 | ||||||||
外币兑换合约 |
— | 187,533 | — | 187,533 | ||||||||||||
利率合约 |
336,293 | 5,834,068 | — | 6,170,361 | ||||||||||||
负债 |
||||||||||||||||
信贷合同 |
— | (1,831,922 | ) | — | (1,831,922 | ) | ||||||||||
外币兑换合约 |
— | (1,551 | ) | — | (1,551 | ) | ||||||||||
利率合约 |
(2,692,190 | ) | (2,607,303 | ) | — | (5,299,493 | ) | |||||||||
|
|
|
|
|
|
|
|
|||||||||
$ | (2,355,897 | ) | $ | 2,061,881 | $ | — | $ | (294,016 | ) | |||||||
|
|
|
|
|
|
|
|
(a) |
无资金来源的浮动利率贷款利息按承诺的未实现升值(折旧)计价。 |
(b) |
衍生金融工具是掉期、期货合约和远期外汇合约。掉期、期货合约和远期外汇合约按该工具的未实现升值(贬值)计价。 |
|
||||||||||||||||||||
资产担保 证券 |
公司 债券 |
漂浮 利率贷款 利益 |
总计 |
|||||||||||||||||
|
||||||||||||||||||||
资产 |
||||||||||||||||||||
期初余额,截至2021年12月31日 |
$ | 2,843,303 | $ | 6,314,241 | $ | 580,932 | $ | 9,738,476 | ||||||||||||
转到3级 |
— | 35,938 | 1,194,425 | 1,230,363 | ||||||||||||||||
转出级别3 |
(1,539,188 | ) | — | (4,762 | ) | (1,543,950 | ) | |||||||||||||
应计折扣/保费 |
(42,355 | ) | — | 2,848 | (39,507 | ) | ||||||||||||||
已实现净收益(亏损) |
402 | — | 5,819 | 6,221 | ||||||||||||||||
未实现升值(折旧)净变化 (a)(b) |
6,229 | (680,141 | ) | (167,434 | ) | (841,346 | ) | |||||||||||||
购买 |
— | — | 448,795 | 448,795 | ||||||||||||||||
销售额 |
(29,659 | ) | (51,854 | ) | (331,774 | ) | (413,287 | ) | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||||
期末余额,截至2022年6月30日 |
$ | 1,238,732 | $ | 5,618,184 | $ | 1,728,849 | $ | 8,585,765 | ||||||||||||
|
|
|
|
|
|
|
|
|||||||||||||
截至2022年6月30日仍持有的投资未实现增值(折旧)净变化 (b) |
$ | 6,229 | $ | (680,141 | ) | $ | (156,791 | ) | $ | (830,703 | ) | |||||||||
|
|
|
|
|
|
|
|
(a) |
计入营业报表中相关的未实现增值(折旧)净变化。 |
(b) |
截至2022年6月30日仍持有的投资的未实现增值(折旧)净变化与未实现增值(折旧)净变化之间的任何差异,通常是由于在期末不再持有或不再归类为3级的投资。 |
S C H E D U L E O F I N V E S T M E N T S |
49 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德核心债券信托基金(香港) |
|
||||||||||||||||||||||||||||||||
价值 |
估值 方法 |
看不见 输入量 |
范围 看不见 输入量 已利用 |
(a) |
加权 平均数 看不见 基于输入的 论公允价值 |
|||||||||||||||||||||||||||
|
||||||||||||||||||||||||||||||||
资产 |
||||||||||||||||||||||||||||||||
资产支持证券 |
$ | 1,222,052 | 收入 | 贴现率 | 8 | % | — | |||||||||||||||||||||||||
公司债券 |
5,586,184 | 收入 | 信用利差 | 123 - 698 | 557 | |||||||||||||||||||||||||||
|
|
|||||||||||||||||||||||||||||||
$ | 6,808,236 | |||||||||||||||||||||||||||||||
|
|
(a) |
不可观察到的投入的重大变化将导致价值的相关(反向)重大变化。 |
50 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||
资产支持证券 |
| |||||||||
Albacore EURO CLO I DAC,1X系列,ER类,(3个月欧元同业拆借利率+5.96%),5.96%,10/18/34 (a)(b) |
欧元 | 100 | $ | 85,012 | ||||||
安克雷奇资本欧洲CLO 2 DAC,系列2X,ER类,(3个月Euribor+6.45%),6.45%,04/15/34 (a)(b) |
203 | 177,154 | ||||||||
Ares XXXIIR CLO Ltd.,2014-32RA系列,B类,(3个月Libor US+1.80%),3.21%,05/15/30 (b)(c) |
美元 | 500 | 469,720 | |||||||
Aurium CLO II DAC,2X系列,类错误, (3 mo. EURIBOR + 6.08%), 6.08%, 06/22/34 (a)(b) |
欧元 | 100 | 85,623 | |||||||
BBAM欧洲CLO I DAC,1X系列,ER类,(3个月欧元同业拆借利率+5.91%),5.91%,07/22/34 (a)(b) |
100 | 85,886 | ||||||||
毕尔巴鄂CLO II DAC,2X系列,DR类, (3 mo. EURIBOR + 5.97%), 5.97%, 08/20/35 (a)(b) |
100 | 84,038 | ||||||||
蓝山富士EUR CLO IV DAC,4X系列,ER类,(3个月欧元同业拆息+6.21%),6.21%,02/25/34 (a)(b) |
100 | 86,652 | ||||||||
Contego CLO IX DAC,9X系列,E类, (3 mo. EURIBOR + 6.01%), 6.01%, 01/24/34 (a)(b) |
100 | 86,005 | ||||||||
Contego CLO VIII DAC,8X系列,ER类,(3个月Euribor+6.06%),6.06%,01/25/34 (a)(b) |
100 | 86,959 | ||||||||
CVC Cordatus贷款基金XX DAC,系列20X,E类,(3个月欧元同业拆借利率+5.61%),5.61%,06/22/34 (a)(b) |
100 | 83,511 | ||||||||
Galaxy XVIII CLO有限公司,2018-28A系列,C类,(3个月Libor US+1.95%),2.99%,07/15/31 (b)(c) |
美元 | 250 | 235,018 | |||||||
Greene King Finance PLC (b) |
||||||||||
Series B1, (3 mo. LIBOR GBP + 1.92%), 2.86%, 12/15/34 |
英镑 | 100 | 99,673 | |||||||
Series B2, (3 mo. LIBOR GBP + 2.20%), 3.29%, 03/15/36 (a) |
100 | 98,601 | ||||||||
景顺欧洲CLO,6X系列,E类,(3个月欧元同业拆借利率+5.99%),5.99%,07/15/34 (a)(b) |
欧元 | 100 | 86,599 | |||||||
Neuberger Berman Loan Advisers Euro CLO 2 DAC,系列2021-2X,E类,(3个月欧元同业拆借利率+6.06%),6.06%,04/15/34 (a)(b) |
100 | 86,207 | ||||||||
诺斯伍兹资本21欧元DAC,2020-21X系列,ER类,(3个月欧元同业拆借利率+6.06%),6.06%,07/22/34 (a)(b) |
100 | 85,681 | ||||||||
诺斯伍兹资本23欧元DAC,2021-23X系列,E类(3个月欧元同业拆借利率+6.21%),6.21%,03/15/34 (a)(b) |
100 | 84,981 | ||||||||
OCP欧洲CLO DAC,2019-3X系列,ER类,(3个月欧元同业拆借利率+6.02%),6.02%,04/20/33 (a)(b) |
100 | 86,872 | ||||||||
Providus CLO III DAC,3X系列,ER类, (3 mo. EURIBOR + 6.26%), 6.26%, 07/18/34 (a)(b) |
100 | 87,112 | ||||||||
Rockfield Park CLO DAC,D类,(3个月欧元同业拆借利率+5.95%),5.95%,07/16/34 (a)(b) |
100 | 86,467 |
安防 |
帕尔 (000) |
价值 |
||||||||||
资产支持证券(续) |
| |||||||||||
Unique Pub Finance Co.PLC,N系列,6.46%,03/30/32 (a) |
英镑 | 300 | $ | 418,190 | ||||||||
Voya Euro CLO II DAC,ER级,(3个月欧元同业拆借利率+6.02%),6.02%,07/15/35 (a)(b) |
欧元 | 100 | 85,806 | |||||||||
|
|
|||||||||||
总资产支持证券-0.3% (Cost: $3,526,878) |
|
2,871,767 | ||||||||||
|
|
|||||||||||
股票 |
||||||||||||
普通股 |
||||||||||||
建筑产品-0.0% |
||||||||||||
AZEK股份有限公司 (d) |
1,120 | 18,749 | ||||||||||
|
|
|||||||||||
化学品-0.2% |
||||||||||||
泰华施控股有限公司 (d) |
180,731 | 1,192,825 | ||||||||||
Element Solutions,Inc. |
82,998 | 1,477,364 | ||||||||||
|
|
|||||||||||
2,670,189 | ||||||||||||
通信设备-0.0% |
||||||||||||
CommScope Holding Co. (d) |
47,956 | 293,491 | ||||||||||
|
|
|||||||||||
消费金融-0.0% |
||||||||||||
Ally金融公司 |
1 | (e) |
33 | |||||||||
|
|
|||||||||||
集装箱和包装-0.1% |
||||||||||||
Ardagh金属包装公司(收购日期:08/02/21, Cost: $1,599,352) (f) |
162,646 | 992,141 | ||||||||||
|
|
|||||||||||
多元化金融服务 (g) — 0.0% |
||||||||||||
凯德控股I有限公司 |
2,223,465,984 | 22,235 | ||||||||||
UCI国际有限责任公司 (d) |
109,729 | 1 | ||||||||||
|
|
|||||||||||
22,236 | ||||||||||||
多元化电信服务-0.0% |
||||||||||||
Liberty Global PLC,A类 (d) |
1,859 | 39,132 | ||||||||||
|
|
|||||||||||
电气设备-0.1% |
||||||||||||
Sensata Technologies Holding PLC |
|
22,226 | 918,156 | |||||||||
|
|
|||||||||||
股权房地产投资信托基金(REITs)-0.1% |
||||||||||||
博彩休闲地产有限公司 |
|
15,227 | 698,310 | |||||||||
|
|
|||||||||||
IT服务 (d) — 0.0% |
||||||||||||
Block,Inc. |
4,614 | 283,576 | ||||||||||
Twilio,Inc.,A类 |
2,522 | 211,369 | ||||||||||
|
|
|||||||||||
494,945 | ||||||||||||
生命科学工具与服务 (d) — 0.3% |
||||||||||||
Avantor公司 |
42,131 | 1,272,673 | ||||||||||
赛诺斯健康公司 |
25,747 | 1,845,545 | ||||||||||
|
|
|||||||||||
3,118,218 | ||||||||||||
Media — 0.0% |
||||||||||||
Clear Channel Outdoor Holdings, Inc. (d) |
|
482,919 | 516,723 | |||||||||
|
|
|||||||||||
金属和矿业--0.2% |
||||||||||||
Constellium SE (d) |
138,993 | 1,836,098 | ||||||||||
|
|
|||||||||||
石油、天然气和消耗性燃料-0.7% |
||||||||||||
Cheniere能源公司 |
10,284 | 1,368,081 | ||||||||||
切萨皮克能源公司 (h) |
36,373 | 2,949,850 | ||||||||||
能量转移LP |
299,594 | 2,989,948 | ||||||||||
塔尔加资源公司 |
18,383 | 1,096,914 | ||||||||||
西部中游合伙人有限责任公司 |
8,811 | 214,195 | ||||||||||
|
|
|||||||||||
8,618,988 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
51 |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
股票 |
价值 |
||||||||||
公路和铁路-0.1% |
||||||||||||
优步技术公司 (d) |
46,373 | $ | 948,792 | |||||||||
|
|
|||||||||||
半导体与半导体设备 (d) — 0.0% |
||||||||||||
Maxeon太阳能技术有限公司 |
128 | 1,701 | ||||||||||
SunPower Corp. |
1,025 | 16,205 | ||||||||||
|
|
|||||||||||
17,906 | ||||||||||||
软件-0.2% |
||||||||||||
Informatics,Inc.,A类 (d) |
84,308 | 1,751,077 | ||||||||||
|
|
|||||||||||
普通股总数-2.0% (Cost: $49,107,717) |
22,955,184 | |||||||||||
|
|
|||||||||||
帕尔 (000) |
||||||||||||
公司债券 |
||||||||||||
航空航天和国防-4.6% |
||||||||||||
Amsted Industries,Inc.,5.63%,07/01/27 (c) |
美元 | 890 | 836,600 | |||||||||
庞巴迪公司 (c) |
||||||||||||
7.50%, 03/15/25 |
385 | 347,944 | ||||||||||
7.13%, 06/15/26 |
3,386 | 2,791,689 | ||||||||||
7.88%, 04/15/27 |
4,116 | 3,426,200 | ||||||||||
6.00%, 02/15/28 |
2,483 | 1,860,760 | ||||||||||
7.45%, 05/01/34 |
234 | 175,488 | ||||||||||
EnPro工业公司,5.75%,10/15/26 |
2,192 | 2,115,280 | ||||||||||
美国有限责任公司,XR系列,7.38%,08/15/26 (c) |
2,295 | 1,827,922 | ||||||||||
豪迈航空航天公司,5.13%,10/01/24 |
44 | 43,615 | ||||||||||
罗尔斯-罗伊斯公司,5.75%,10/15/27 (c) |
4,093 | 3,689,021 | ||||||||||
SPIRIT航空系统公司 (c) |
||||||||||||
5.50%, 01/15/25 |
866 | 801,050 | ||||||||||
7.50%, 04/15/25 |
126 | 117,022 | ||||||||||
TransDigm,Inc. |
||||||||||||
8.00%, 12/15/25 (c) |
1,221 | 1,234,724 | ||||||||||
6.25%, 03/15/26 (c) |
28,132 | 27,112,215 | ||||||||||
6.38%, 06/15/26 |
328 | 306,680 | ||||||||||
7.50%, 03/15/27 |
445 | 419,817 | ||||||||||
4.63%, 01/15/29 |
2,156 | 1,735,623 | ||||||||||
4.88%, 05/01/29 |
1,665 | 1,355,377 | ||||||||||
凯旋集团,8.88%,06/01/24 (c) |
3,523 | 3,548,965 | ||||||||||
|
|
|||||||||||
53,745,992 | ||||||||||||
航空公司-2.7% |
||||||||||||
Air Canada, 3.88%, 08/15/26 (c) |
1,881 | 1,591,119 | ||||||||||
Air France-KLM, 3.88%, 07/01/26 (a) |
欧元 | 200 | 169,768 | |||||||||
美国航空公司,11.75%,07/15/25 (c) |
美元 | 4,476 | 4,632,212 | |||||||||
美国航空公司/AAdvantage忠诚IP有限公司 (c) |
||||||||||||
5.50%, 04/20/26 |
2,908 | 2,671,574 | ||||||||||
5.75%, 04/20/29 |
4,767 | 4,070,040 | ||||||||||
达美航空公司,7.00%,05/01/25 (c) |
751 | 760,154 | ||||||||||
达美航空公司/SkyMiles IP Ltd.,4.75%,10/20/28 (c) |
1,897 | 1,791,780 | ||||||||||
德国汉莎航空公司 (a) |
||||||||||||
2.88%, 02/11/25 |
欧元 | 100 | 93,284 | |||||||||
2.88%, 05/16/27 |
100 | 82,693 | ||||||||||
3.75%, 02/11/28 |
200 | 168,196 | ||||||||||
3.50%, 07/14/29 |
300 | 235,919 | ||||||||||
Finnair OYJ, 4.25%, 05/19/25 (a) |
200 | 172,329 |
安防 |
帕尔 (000) |
价值 |
||||||||
航空公司(续) |
||||||||||
夏威夷品牌知识产权有限公司/夏威夷迈尔斯忠诚度有限公司,5.75%,01/20/26 (c) |
美元 | 1,377 | $ | 1,234,067 | ||||||
国际联合航空集团SA (a) |
||||||||||
2.75%, 03/25/25 |
欧元 | 200 | 177,235 | |||||||
3.75%, 03/25/29 |
100 | 73,985 | ||||||||
Series IAG, 1.13%, 05/18/28 |
200 | 140,807 | ||||||||
Mileage Plus Holdings LLC/Mileage Plus知识产权资产有限公司,6.50%,06/20/27 (c) |
美元 | 4,424 | 4,347,416 | |||||||
精神忠诚开曼有限公司/精神IP开曼有限公司,8.00%,09/20/25 (c) |
216 | 221,656 | ||||||||
美联航直通信托基金 |
||||||||||
Series 2020-1, Class A, 5.88%, 04/15/29 |
2,853 | 2,803,052 | ||||||||
Series 2020-1, Class B, 4.88%, 07/15/27 |
232 | 220,689 | ||||||||
美国联合航空公司 (c) |
||||||||||
4.38%, 04/15/26 |
2,515 | 2,216,143 | ||||||||
4.63%, 04/15/29 |
3,374 | 2,862,063 | ||||||||
|
|
|||||||||
30,736,181 | ||||||||||
汽车零部件-2.2% |
||||||||||
Adient U.S. LLC, 9.00%, 04/15/25 (c) |
1,088 | 1,131,520 | ||||||||
Clario Global LP,6.75%,05/15/25 (c) |
1,189 | 1,177,645 | ||||||||
克拉里奥斯全球有限责任公司/克莱里奥斯美国金融公司 |
||||||||||
4.38%, 05/15/26 (a) |
欧元 | 301 | 274,637 | |||||||
6.25%, 05/15/26 (c) |
美元 | 5,408 | 5,205,200 | |||||||
8.50%, 05/15/27 (c) |
12,095 | 11,689,515 | ||||||||
戴纳融资卢森堡SARL,3.00%,07/15/29 (a) |
欧元 | 100 | 74,666 | |||||||
经销商轮胎有限责任公司/DT Issuer LLC,8.00%,02/01/28 (c) |
美元 | 1,960 | 1,693,244 | |||||||
多诺克债务合并子公司,6.63%,10/15/29 (c) |
601 | 443,839 | ||||||||
佛吉亚东南部 (a) |
||||||||||
2.75%, 02/15/27 |
欧元 | 356 | 290,062 | |||||||
3.75%, 06/15/28 |
100 | 80,809 | ||||||||
固特异轮胎橡胶有限公司 |
||||||||||
9.50%, 05/31/25 |
美元 | 1,085 | 1,122,077 | |||||||
5.00%, 07/15/29 |
724 | 599,586 | ||||||||
5.63%, 04/30/33 |
1,072 | 858,543 | ||||||||
安托林-伊鲁萨集团,3.50%,04/30/28 (a) |
欧元 | 146 | 101,839 | |||||||
IHO Verwaltungs GmbH,(4.63%PIK),3.88%,05/15/27 (a)(i) |
100 | 81,487 | ||||||||
Meritor, Inc., 4.50%, 12/15/28 (c) |
美元 | 383 | 368,760 | |||||||
泰坦国际公司,7.00%,28年4月30日 |
348 | 326,911 | ||||||||
ZF Europe Finance BV,2.00%,02/23/26 (a) |
欧元 | 100 | 86,583 | |||||||
ZF金融股份有限公司 (a) |
||||||||||
2.00%, 05/06/27 |
200 | 161,301 | ||||||||
2.75%, 05/25/27 |
100 | 82,547 | ||||||||
|
|
|||||||||
25,850,771 | ||||||||||
汽车--2.4% |
||||||||||
艾利森变速器公司,5.88%,06/01/29 (c) |
美元 | 1,230 | 1,143,900 | |||||||
Asbury Automotive Group,Inc. |
||||||||||
4.50%, 03/01/28 |
751 | 651,493 | ||||||||
4.75%, 03/01/30 |
147 | 120,871 | ||||||||
5.00%, 02/15/32 (c) |
953 | 779,077 | ||||||||
Carvana Co. (c) |
||||||||||
5.50%, 04/15/27 |
1,524 | 983,494 | ||||||||
4.88%, 09/01/29 |
1,222 | 694,836 | ||||||||
星座汽车融资有限公司, 4.88%, 07/15/27 (a) |
英镑 | 100 | 95,558 |
52 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||
汽车(续) |
||||||||||
福特汽车公司 |
||||||||||
3.25%, 02/12/32 |
美元 | 3,346 | $ | 2,502,473 | ||||||
4.75%, 01/15/43 |
426 | 303,454 | ||||||||
5.29%, 12/08/46 |
532 | 407,993 | ||||||||
福特汽车信贷有限责任公司 |
||||||||||
3.81%, 01/09/24 |
713 | 691,751 | ||||||||
4.69%, 06/09/25 |
200 | 189,002 | ||||||||
5.13%, 06/16/25 |
2,014 | 1,923,209 | ||||||||
4.13%, 08/04/25 |
2,166 | 2,051,603 | ||||||||
3.38%, 11/13/25 |
489 | 440,330 | ||||||||
4.39%, 01/08/26 |
507 | 466,977 | ||||||||
2.70%, 08/10/26 |
1,611 | 1,372,814 | ||||||||
4.95%, 05/28/27 |
969 | 899,959 | ||||||||
4.13%, 08/17/27 |
644 | 567,042 | ||||||||
3.82%, 11/02/27 |
200 | 170,000 | ||||||||
2.90%, 02/16/28 |
1,644 | 1,324,669 | ||||||||
5.11%, 05/03/29 |
1,248 | 1,118,800 | ||||||||
4.00%, 11/13/30 |
1,424 | 1,153,803 | ||||||||
3.63%, 06/17/31 |
1,200 | 930,000 | ||||||||
第一组汽车公司,4.00%,08/15/28 (c) |
243 | 203,095 | ||||||||
捷豹路虎汽车公司 (a) |
||||||||||
6.88%, 11/15/26 |
欧元 | 100 | 91,757 | |||||||
4.50%, 07/15/28 |
138 | 103,238 | ||||||||
Ken Garff Automotive LLC,4.88%,09/15/28 (c) |
美元 | 680 | 554,401 | |||||||
LCM Investments Holdings II LLC,4.88%,05/01/29 (c) |
1,552 | 1,181,227 | ||||||||
Lithia Motors,Inc.,3.88%,06/01/29 (c) |
721 | 612,403 | ||||||||
MajorDrive Holdings IV LLC,6.38%,06/01/29 (c) |
975 | 667,875 | ||||||||
彭斯克汽车集团有限公司 |
||||||||||
3.50%, 09/01/25 |
1,040 | 975,000 | ||||||||
3.75%, 06/15/29 |
377 | 313,913 | ||||||||
RCI Banque SA, (5 year EUR Swap + 2.85%), 2.63%, 02/18/30 (a)(b) |
欧元 | 400 | 363,308 | |||||||
Renault SA, 2.38%, 05/25/26 (a) |
100 | 89,690 | ||||||||
Sonic Automotive,Inc.,4.63%,11/15/29 (c) |
美元 | 362 | 280,481 | |||||||
Volvo Car AB, 2.50%, 10/07/27 (a) |
欧元 | 100 | 90,791 | |||||||
Wabash National Corp.,4.50%,10/15/28 (c) |
美元 | 1,072 | 820,080 | |||||||
|
|
|||||||||
27,330,367 | ||||||||||
Banks — 0.7% |
||||||||||
西雅那温泉银行 (a) |
||||||||||
2.63%, 04/28/25 |
欧元 | 125 | 115,648 | |||||||
1.88%, 01/09/26 |
100 | 87,207 | ||||||||
Banco BPM水疗中心 (a)(b) |
||||||||||
(5 year EUR Swap + 3.17%), 2.88%, 06/29/31 |
275 | 244,238 | ||||||||
(5 year EUR Swap + 5.42%), 5.00%, 09/14/30 |
100 | 99,689 | ||||||||
Banco de Sabadell SA,(5年期欧元掉期+2.20%),2.00%,01/17/30 (a)(b) |
200 | 182,343 | ||||||||
圣精银行 (j) |
||||||||||
4.75%, 01/15/22 (b) |
1,900 | 288,710 | ||||||||
4.00%, 01/21/22 (g) |
1,100 | 167,148 | ||||||||
BPER Banca, (5 year EUR Swap + 3.73%), 3.88%, 07/25/32 (a)(b) |
200 | 177,646 | ||||||||
德国商业银行,(5年期欧元掉期+6.36%),6.13% (a)(b)(k) |
400 | 378,310 | ||||||||
第一公民银行信托公司,6.00%,04/01/36 |
美元 | 3,261 | 3,446,379 | |||||||
HSBC Bank PLC,系列1M,(6个月Libor US+0.25%),3.12% (b)(k) |
170 | 129,710 | ||||||||
Intesa Sanpaolo Spa 5.15%,06/10/30 (a) |
英镑 | 125 | 131,417 |
安防 |
帕尔 (000) |
价值 |
||||||||||
银行(续) |
||||||||||||
Intesa Sanpaolo Spa(续) |
||||||||||||
(1 year CMT + 2.60%), 4.20%, 06/01/32 (b)(c) |
美元 | 855 | $ | 626,250 | ||||||||
(1 year CMT + 2.75%), 4.95%, 06/01/42 (b)(c) |
630 | 425,652 | ||||||||||
富国银行,BB系列,(5年期债务抵押贷款+3.45%),3.90% (b)(k) |
2,130 | 1,834,463 | ||||||||||
|
|
|||||||||||
8,334,810 | ||||||||||||
饮料-2.0% |
||||||||||||
ARD Finance SA, (6.50% Cash or 7.25% PIK), 6.50%, 06/30/27 (c)(i) |
3,279 | 2,432,445 | ||||||||||
阿尔达格金属包装金融美国有限责任公司/阿尔达格金属包装金融公司 |
||||||||||||
2.00%, 09/01/28 (a) |
欧元 | 148 | 122,354 | |||||||||
3.00%, 09/01/29 (a) |
507 | 395,244 | ||||||||||
4.00%, 09/01/29 (c) |
美元 | 6,731 | 5,401,628 | |||||||||
Ardagh包装金融公司/Ardagh Holdings USA, Inc. (c) |
||||||||||||
5.25%, 04/30/25 |
200 | 184,999 | ||||||||||
4.13%, 08/15/26 |
938 | 794,683 | ||||||||||
4.75%, 07/15/27 |
英镑 | 427 | 372,857 | |||||||||
5.25%, 08/15/27 |
美元 | 355 | 253,136 | |||||||||
鲍尔公司 |
||||||||||||
2.88%, 08/15/30 |
151 | 121,541 | ||||||||||
3.13%, 09/15/31 |
2,110 | 1,702,010 | ||||||||||
Canpack SA/Canpack U.S.LLC,3.13%,11/01/25 (c) |
584 | 521,585 | ||||||||||
皇冠软木和密封公司,7.38%,12/15/26 |
155 | 158,334 | ||||||||||
Mauser包装解决方案控股公司,5.50%,04/15/24 (c) |
2,321 | 2,216,555 | ||||||||||
OI欧洲集团BV,2.88%,02/15/25 (a) |
欧元 | 100 | 94,901 | |||||||||
Silgan Holdings,Inc.,4.13%,02/01/28 |
美元 | 150 | 134,510 | |||||||||
Trivium包装金融公司 (c) |
||||||||||||
5.50%, 08/15/26 |
2,693 | 2,544,104 | ||||||||||
8.50%, 08/15/27 |
5,584 | 5,235,579 | ||||||||||
|
|
|||||||||||
22,686,465 | ||||||||||||
生物技术 (a) — 0.0% |
||||||||||||
Cidron Aida Finco SARL |
||||||||||||
5.00%, 04/01/28 |
欧元 | 269 | 234,162 | |||||||||
6.25%, 04/01/28 |
英镑 | 133 | 132,354 | |||||||||
Grifols托管发行商SA,3.88%,10/15/28 |
欧元 | 100 | 86,327 | |||||||||
|
|
|||||||||||
452,843 | ||||||||||||
建筑材料-0.9% |
||||||||||||
基石建筑品牌公司,6.13%,01/15/29 (c) |
美元 | 956 | 614,175 | |||||||||
CP Atlas Buyer,Inc.,7.00%,12/01/28 (c) |
354 | 255,652 | ||||||||||
HT Troplast GmbH,9.25%,07/15/25 (a) |
欧元 | 128 | 118,712 | |||||||||
詹姆斯·哈迪国际金融数据中心,5.00%,28/01/15 (c) |
美元 | 458 | 407,620 | |||||||||
杰尔德-文公司 (c) |
||||||||||||
6.25%, 05/15/25 |
852 | 817,920 | ||||||||||
4.63%, 12/15/25 |
101 | 85,850 | ||||||||||
美森尼国际公司 (c) |
||||||||||||
Class C, 5.38%, 02/01/28 |
239 | 216,295 | ||||||||||
Class C, 3.50%, 02/15/30 |
1,179 | 938,449 | ||||||||||
新企业石灰股份有限公司。 (c) |
||||||||||||
5.25%, 07/15/28 |
435 | 357,585 | ||||||||||
9.75%, 07/15/28 |
640 | 547,200 | ||||||||||
PCF GmbH, 4.75%, 04/15/26 (a) |
欧元 | 100 | 82,526 | |||||||||
SRM托管发行商有限责任公司,6.00%,11/01/28 (c) |
美元 | 2,731 | 2,308,323 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
53 |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
建筑材料(续) |
||||||||||||
标准工业公司 |
||||||||||||
2.25%, 11/21/26 (a) |
欧元 | 134 | $ | 109,616 | ||||||||
5.00%, 02/15/27 (c) |
美元 | 576 | 514,113 | |||||||||
4.38%, 07/15/30 (c) |
2,148 | 1,694,235 | ||||||||||
3.38%, 01/15/31 (c) |
819 | 604,109 | ||||||||||
顶峰材料有限责任公司/顶峰材料金融公司,5.25%,1/15/29 (c) |
923 | 805,317 | ||||||||||
|
|
|||||||||||
10,477,697 | ||||||||||||
建筑产品-1.4% |
||||||||||||
高级排水系统公司 |
||||||||||||
5.00%, 09/30/27 (c) |
1,128 | 1,040,039 | ||||||||||
6.38%, 06/15/30 |
2,037 | 1,989,273 | ||||||||||
Beacon Roofing Supply,Inc.,4.13%,05/15/29 (c) |
552 | 448,897 | ||||||||||
基础建材公司,6.00%,03/01/29 (c) |
931 | 681,958 | ||||||||||
Gyp Holdings III Corp.,4.63%,05/01/29 (c) |
1,296 | 1,010,530 | ||||||||||
LBM收购有限责任公司,6.25%,1/15/29 (c) |
1,243 | 800,261 | ||||||||||
Patrick Industries,Inc.,4.75%,05/01/29 (c) |
354 | 263,457 | ||||||||||
特种建筑产品控股有限责任公司/SBP金融公司,6.38%,09/30/26 (c) |
1,130 | 918,707 | ||||||||||
SRS分销公司 (c) |
||||||||||||
4.63%, 07/01/28 |
2,495 | 2,183,125 | ||||||||||
6.13%, 07/01/29 |
2,261 | 1,783,873 | ||||||||||
6.00%, 12/01/29 |
2,431 | 1,908,894 | ||||||||||
White Cap Buyer LLC,6.88%,10/15/28 (c) |
2,782 | 2,225,600 | ||||||||||
White Cap Parent LLC,(8.25%PIK),8.25%,03/15/26 (c)(i) |
1,165 | 969,862 | ||||||||||
|
|
|||||||||||
16,224,476 | ||||||||||||
资本市场-1.6% |
||||||||||||
Aretec托管发行商,Inc.,7.50%,04/01/29 (c) |
613 | 522,399 | ||||||||||
嘉信理财,H系列,(10年CMT+3.08%),4.00% (b)(k) |
4,775 | 3,675,556 | ||||||||||
Compass Group Diversified Holdings LLC,5.25%,04/15/29 (c) |
1,129 | 931,425 | ||||||||||
伊坎企业有限责任公司/伊坎企业财务公司 |
||||||||||||
4.75%, 09/15/24 |
591 | 551,584 | ||||||||||
6.25%, 05/15/26 |
696 | 651,567 | ||||||||||
5.25%, 05/15/27 |
1,899 | 1,682,210 | ||||||||||
4.38%, 02/01/29 |
1,324 | 1,070,004 | ||||||||||
Kane Bidco Ltd., 6.50%, 02/15/27 (a) |
英镑 | 165 | 175,386 | |||||||||
雷曼兄弟持有第三方托管, 1.00% (d)(g)(j)(k) |
美元 | 430 | 1,720 | |||||||||
雷曼兄弟控股公司 (d)(g)(j) |
||||||||||||
5.38%, 10/17/12 |
欧元 | 350 | 2,017 | |||||||||
1.00%, 05/17/13 |
美元 | 1,535 | 6,140 | |||||||||
1.00%, 02/05/22 |
欧元 | 3,950 | 22,767 | |||||||||
4.75%, 01/16/49 |
1,890 | 10,894 | ||||||||||
NFP公司 (c) |
||||||||||||
4.88%, 08/15/28 |
美元 | 2,374 | 2,033,260 | |||||||||
6.88%, 08/15/28 |
7,250 | 5,981,540 | ||||||||||
Owl Rock Core Income Corp.,5.50%,03/21/25 (c) |
873 | 838,107 | ||||||||||
舍伍德融资公司,6.00%,11/15/26 (a) |
英镑 | 100 | 97,450 | |||||||||
|
|
|||||||||||
18,254,026 | ||||||||||||
化学品-3.1% |
||||||||||||
Ashland LLC, 3.38%, 09/01/31 (c) |
美元 | 1,561 | 1,269,677 | |||||||||
Axalta Coating Systems LLC,3.38%,02/15/29 (c) |
2,201 | 1,796,830 |
安防 |
帕尔 (000) |
价值 |
||||||||
化学品(续) |
||||||||||
Axalta Coating Systems LLC/Axalta Coating Systems Holding B BV,4.75%,06/15/27 (c) |
美元 | 998 | $ | 896,803 | ||||||
化学公司 |
||||||||||
4.00%, 05/15/26 |
欧元 | 200 | 185,487 | |||||||
5.75%, 11/15/28 (c) |
美元 | 609 | 519,008 | |||||||
Diamond BC BV, 4.63%, 10/01/29 (c) |
2,340 | 1,871,298 | ||||||||
Element Solutions,Inc.,3.88%,09/01/28 (c) |
6,899 | 5,692,572 | ||||||||
EverArc托管协议,5.00%,10/30/29 (c) |
3,027 | 2,547,871 | ||||||||
Fis Fabbrica Italiana Sinttici Spa,5.63%,08/01/27 (a) |
欧元 | 100 | 88,253 | |||||||
GCP应用技术公司,5.50%,04/15/26 (c) |
美元 | 791 | 787,045 | |||||||
HB Fuller Co., 4.25%, 10/15/28 |
606 | 508,470 | ||||||||
Herens Holdco SARL,4.75%,05/15/28 (c) |
2,396 | 1,990,597 | ||||||||
Herens Midco SARL,5.25%,05/15/29 (a) |
欧元 | 202 | 138,121 | |||||||
照明买家有限责任公司/照明控股有限公司,9.00%,07/01/28 (c) |
美元 | 1,619 | 1,279,010 | |||||||
Ingevity Corp., 3.88%, 11/01/28 (c) |
494 | 413,725 | ||||||||
Kobe U.S. Midco 2, Inc., (9.25% Cash or 10.00% PIK), 9.25%, 11/01/26 (c)(i) |
1,238 | 1,132,324 | ||||||||
LSF11 A5 HoldCo LLC, 6.63%, 10/15/29 (c) |
610 | 513,925 | ||||||||
Lune Holdings SARL,5.63%,11/15/28 (a) |
欧元 | 150 | 126,213 | |||||||
矿物技术公司,5.00%,07/01/28 (c) |
美元 | 878 | 764,123 | |||||||
MONITCHEM HOLDCO 2 SA,9.50%,09/15/26 (a) |
欧元 | 100 | 98,769 | |||||||
Monitchem HoldCo 3 SA,5.25%,03/15/25 (a) |
222 | 213,161 | ||||||||
Nova Chemals Corp.,4.88%,06/01/24 (c) |
美元 | 456 | 433,427 | |||||||
奥林巴斯水务美国控股公司。 (a) |
||||||||||
3.88%, 10/01/28 |
欧元 | 100 | 84,708 | |||||||
5.38%, 10/01/29 |
100 | 75,087 | ||||||||
Small IV LLC/Ssel USA Holdings LLC |
||||||||||
4.38%, 11/01/26 (a) |
100 | 84,811 | ||||||||
5.38%, 11/01/26 (c) |
美元 | 1,284 | 1,027,200 | |||||||
史考特奇迹公司 |
||||||||||
4.00%, 04/01/31 |
843 | 630,143 | ||||||||
4.38%, 02/01/32 |
146 | 110,994 | ||||||||
SPCM SA, 3.13%, 03/15/27 (c) |
512 | 431,278 | ||||||||
韦斯科经销公司 (c) |
||||||||||
7.13%, 06/15/25 |
1,940 | 1,935,790 | ||||||||
7.25%, 06/15/28 |
2,744 | 2,713,816 | ||||||||
WR Grace Holdings LLC,5.63%,08/15/29 (c) |
7,039 | 5,182,464 | ||||||||
|
|
|||||||||
35,543,000 | ||||||||||
商业服务和用品-1.6% |
||||||||||
ADT安全公司 (c) |
||||||||||
4.13%, 08/01/29 |
104 | 84,403 | ||||||||
4.88%, 07/15/32 |
143 | 113,831 | ||||||||
Albion Finding 1 SARL/Aggreko Holdings,Inc.,6.13%,10/15/26 (c) |
940 | 804,478 | ||||||||
AMN Healthcare,Inc.,4.00%,04/15/29 (c) |
502 | 424,190 | ||||||||
APX集团公司 (c) |
||||||||||
6.75%, 02/15/27 |
1,620 | 1,502,390 | ||||||||
5.75%, 07/15/29 |
1,478 | 1,144,255 | ||||||||
安飞士预算汽车租赁有限责任公司/安飞士预算财务公司,5.38%,03/01/29 (c) |
198 | 164,699 | ||||||||
BCP V模块化服务财务II PLC (a) |
||||||||||
4.75%, 11/30/28 |
欧元 | 300 | 249,465 | |||||||
6.13%, 11/30/28 |
英镑 | 100 | 94,889 | |||||||
EC Finance PLC, 3.00%, 10/15/26 (a) |
欧元 | 209 | 191,045 |
54 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||
商业服务与用品(续) |
||||||||||
堡垒运输和基础设施投资者有限责任公司 (c) |
||||||||||
6.50%, 10/01/25 |
美元 | 386 | $ | 364,195 | ||||||
9.75%, 08/01/27 |
261 | 255,102 | ||||||||
5.50%, 05/01/28 |
1,713 | 1,413,935 | ||||||||
Herc Holdings,Inc.,5.50%,07/15/27 (c) |
2,566 | 2,342,504 | ||||||||
赫兹公司 (c) |
||||||||||
4.63%, 12/01/26 |
666 | 556,829 | ||||||||
5.00%, 12/01/29 |
476 | 366,520 | ||||||||
InterMedia&Communications SpA,6.75%,02/09/27 (a) |
欧元 | 100 | 93,259 | |||||||
Loxam SAS (a) |
||||||||||
4.25%, 04/15/24 |
100 | 100,364 | ||||||||
3.25%, 01/14/25 |
268 | 252,750 | ||||||||
3.75%, 07/15/26 |
115 | 103,196 | ||||||||
4.50%, 02/15/27 |
101 | 90,733 | ||||||||
梅蒂斯合并子有限责任公司,6.50%,05/15/29 (c) |
美元 | 1,185 | 941,657 | |||||||
Nesco Holdings II,Inc.,5.50%,04/15/29 (c) |
1,353 | 1,133,137 | ||||||||
Paprec Holding SA,3.50%,07/01/28 (a) |
欧元 | 100 | 81,300 | |||||||
PECF USS Intermediate Holding III Corp.,8.00%,11/15/29 (c) |
美元 | 25 | 19,813 | |||||||
Prime Security Services借款人LLC/Prime Finance,Inc. (c) |
||||||||||
5.75%, 04/15/26 |
859 | 801,017 | ||||||||
6.25%, 01/15/28 |
1,813 | 1,516,748 | ||||||||
苏富比/BidFair Holdings,Inc.,5.88%,06/01/29 (c) |
1,872 | 1,606,773 | ||||||||
联合租赁北美公司,5.25%,01/15/30 |
496 | 460,040 | ||||||||
休闲控股AB,3.88%,07/15/26 (a) |
欧元 | 140 | 128,271 | |||||||
休闲中持AB,5.25%,02/15/29 (a) |
181 | 144,171 | ||||||||
威廉姆斯·斯科斯曼国际公司,4.63%,08/15/28 (c) |
美元 | 1,196 | 1,019,590 | |||||||
|
|
|||||||||
18,565,549 | ||||||||||
通信设备-0.9% |
||||||||||
Avaya, Inc., 6.13%, 09/15/28 (c) |
2,743 | 1,789,807 | ||||||||
Ciena Corp., 4.00%, 01/31/30 (c) |
548 | 472,995 | ||||||||
CommScope Technologies LLC,6.00%,06/15/25 (c) |
2,145 | 1,855,425 | ||||||||
CommScope,Inc. (c) |
||||||||||
6.00%, 03/01/26 |
853 | 785,639 | ||||||||
8.25%, 03/01/27 |
115 | 90,907 | ||||||||
7.13%, 07/01/28 |
1,152 | 875,612 | ||||||||
4.75%, 09/01/29 |
1,197 | 965,614 | ||||||||
Nokia OYJ, 4.38%, 06/12/27 |
439 | 414,722 | ||||||||
ViaSat公司 (c) |
||||||||||
5.63%, 09/15/25 |
1,109 | 896,997 | ||||||||
5.63%, 04/15/27 |
837 | 723,718 | ||||||||
6.50%, 07/15/28 |
1,011 | 696,397 | ||||||||
Viavi Solutions,Inc.,3.75%,10/01/29 (c) |
1,546 | 1,294,800 | ||||||||
|
|
|||||||||
10,862,633 | ||||||||||
建筑材料 (c) — 0.5% |
||||||||||
美国建筑商和承包商供应公司 |
||||||||||
4.00%, 01/15/28 |
632 | 541,314 | ||||||||
3.88%, 11/15/29 |
299 | 239,048 | ||||||||
BCPE帝国控股公司,7.63%,05/01/27 |
601 | 489,265 | ||||||||
H&E设备服务公司,3.88%,12/15/28 |
358 | 289,532 | ||||||||
IAA, Inc., 5.50%, 06/15/27 |
1,538 | 1,432,555 | ||||||||
毕加索金融子公司,6.13%,25年6月15日 |
1,652 | 1,610,700 |
安防 |
帕尔 (000) |
价值 |
||||||||
建筑材料(续) |
||||||||||
雷神工业公司,4.00%,10/15/29 |
美元 | 909 | $ | 719,928 | ||||||
Winnebago Industries Inc.,6.25%,07/15/28 |
585 | 535,711 | ||||||||
|
|
|||||||||
5,858,053 | ||||||||||
非必需消费品--2.5% |
||||||||||
APi Escrow Corp., 4.75%, 10/15/29 (c) |
542 | 437,665 | ||||||||
APi Group DE, Inc., 4.13%, 07/15/29 (c) |
727 | 577,383 | ||||||||
嘉年华公司 |
||||||||||
10.13%, 02/01/26 (a) |
欧元 | 201 | 208,058 | |||||||
10.50%, 02/01/26 (c) |
美元 | 2,076 | 2,066,596 | |||||||
7.63%, 03/01/26 (a) |
欧元 | 128 | 104,876 | |||||||
5.75%, 03/01/27 (c) |
美元 | 5,177 | 3,739,244 | |||||||
9.88%, 08/01/27 (c) |
1,778 | 1,733,550 | ||||||||
4.00%, 08/01/28 (c) |
5,463 | 4,479,660 | ||||||||
6.00%, 05/01/29 (c) |
1,753 | 1,231,675 | ||||||||
CoreLogic, Inc., 4.50%, 05/01/28 (c) |
2,266 | 1,744,820 | ||||||||
联想酒店控股有限公司/联想酒店联合发行商,5.00%,02/01/26 (c) |
561 | 470,118 | ||||||||
Life Time,Inc. (c) |
||||||||||
5.75%, 01/15/26 |
1,307 | 1,171,686 | ||||||||
8.00%, 04/15/26 |
1,019 | 908,184 | ||||||||
NCL Corp. Ltd., 5.88%, 03/15/26 (c) |
1,545 | 1,212,655 | ||||||||
NCL Finance Ltd., 6.13%, 03/15/28 (c) |
849 | 617,648 | ||||||||
尼尔森金融有限责任公司/尼尔森金融 公司 (c) |
||||||||||
5.63%, 10/01/28 |
1,905 | 1,769,173 | ||||||||
5.88%, 10/01/30 |
1,190 | 1,092,610 | ||||||||
皇家加勒比邮轮有限公司。 (c) |
||||||||||
10.88%, 06/01/23 |
505 | 506,687 | ||||||||
9.13%, 06/15/23 |
884 | 874,241 | ||||||||
11.50%, 06/01/25 |
725 | 744,937 | ||||||||
5.50%, 08/31/26 |
458 | 340,065 | ||||||||
5.50%, 04/01/28 |
2,176 | 1,512,320 | ||||||||
Tecem Verwaltungsgesellschaft 674 MBH,6.00%,07/30/26 (a) |
欧元 | 176 | 155,578 | |||||||
维京远洋邮轮VII有限公司,5.63%,02/15/29 (c) |
美元 | 973 | 767,215 | |||||||
|
|
|||||||||
28,466,644 | ||||||||||
消费金融-2.9% |
||||||||||
美国运通,(5年期贷款利率+2.85%),3.55% (b)(k) |
4,020 | 3,270,712 | ||||||||
Block, Inc., 3.50%, 06/01/31 (c) |
5,964 | 4,752,473 | ||||||||
安可资本集团公司 (a) |
||||||||||
4.88%, 10/15/25 |
欧元 | 100 | 100,865 | |||||||
5.38%, 02/15/26 |
英镑 | 100 | 113,970 | |||||||
4.25%, 06/01/28 |
159 | 159,292 | ||||||||
HealthEquity,Inc.,4.50%,10/01/29 (c) |
美元 | 2,604 | 2,278,500 | |||||||
英国铁山公司,3.88%,11/15/25 (a) |
英镑 | 200 | 217,577 | |||||||
MPH收购控股有限责任公司,5.50%,09/01/28 (c) |
美元 | 1,144 | 1,018,159 | |||||||
纳维特公司 |
||||||||||
6.13%, 03/25/24 |
1,297 | 1,229,737 | ||||||||
5.88%, 10/25/24 |
665 | 611,263 | ||||||||
5.50%, 03/15/29 |
745 | 574,329 | ||||||||
Nexi SpA, 0.00%, 02/24/28 (a)(l) |
欧元 | 100 | 68,217 | |||||||
OneMain金融公司 |
||||||||||
6.88%, 03/15/25 |
美元 | 585 | 554,440 | |||||||
7.13%, 03/15/26 |
1,766 | 1,632,190 | ||||||||
3.50%, 01/15/27 |
1,527 | 1,221,600 | ||||||||
6.63%, 01/15/28 |
720 | 643,507 | ||||||||
5.38%, 11/15/29 |
188 | 152,348 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
55 |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
消费金融(续) |
||||||||||||
OneMain金融公司(续) |
||||||||||||
4.00%, 09/15/30. |
美元 | 545 | $ | 403,981 | ||||||||
萨伯瑞全球公司 (c) |
||||||||||||
9.25%, 04/15/25 |
1,250 | 1,204,437 | ||||||||||
7.38%, 09/01/25 |
1,322 | 1,226,155 | ||||||||||
Shift4 Payments LLC/Shift4 Payments Finance Sub,Inc.,4.63%,11/01/26 (c) |
2,212 | 1,957,598 | ||||||||||
SLM Corp., 3.13%, 11/02/26 |
930 | 750,938 | ||||||||||
Verscend托管公司,9.75%,08/15/26 (c) |
9,470 | 9,209,575 | ||||||||||
|
|
|||||||||||
33,351,863 | ||||||||||||
集装箱和包装-0.9% |
||||||||||||
阿尔达格金属包装金融美国有限责任公司/阿尔达格金属包装金融公司 (c) |
||||||||||||
6.00%, 06/15/27 |
2,279 | 2,255,595 | ||||||||||
3.25%, 09/01/28 |
213 | 181,810 | ||||||||||
克莱斯代尔收购控股公司。 (c) |
||||||||||||
6.63%, 04/15/29 |
2,605 | 2,447,736 | ||||||||||
8.75%, 04/15/30 |
1,713 | 1,477,582 | ||||||||||
Crown America LLC/Crown America Capital Corp.,4.25%,09/30/26 |
433 | 399,442 | ||||||||||
Crown America LLC/Crown America Capital Corp.VI,4.75%,02/01/26 |
439 | 417,761 | ||||||||||
图形包装国际有限责任公司 |
||||||||||||
4.75%, 07/15/27 (c) |
574 | 541,966 | ||||||||||
3.50%, 03/15/28 (c) |
67 | 57,621 | ||||||||||
2.63%, 02/01/29 (a) |
欧元 | 342 | 290,804 | |||||||||
3.50%, 03/01/29 (c) |
美元 | 156 | 130,993 | |||||||||
Kleopatra Finco SARL,4.25%,03/01/26 (a) |
欧元 | 100 | 85,408 | |||||||||
LABL, Inc., 5.88%, 11/01/28 (c) |
美元 | 1,415 | 1,142,509 | |||||||||
密封式空气公司 (c) |
||||||||||||
5.13%, 12/01/24 |
142 | 140,935 | ||||||||||
4.00%, 12/01/27 |
412 | 371,422 | ||||||||||
|
|
|||||||||||
9,941,584 | ||||||||||||
多元化消费服务--2.5% |
||||||||||||
联合环球控股有限公司/联合环球 |
||||||||||||
金融公司 (c) |
||||||||||||
6.63%, 07/15/26 |
5,900 | 5,414,017 | ||||||||||
9.75%, 07/15/27 |
3,116 | 2,637,195 | ||||||||||
6.00%, 06/01/29 |
3,451 | 2,506,018 | ||||||||||
联合环球控股有限责任公司/联合环球金融公司/Atlas Luxco 4 SARL |
||||||||||||
3.63%, 06/01/28 (a) |
欧元 | 117 | 92,259 | |||||||||
4.63%, 06/01/28 (c) |
美元 | 6,945 | 5,679,599 | |||||||||
4.88%, 06/01/28 (a) |
英镑 | 100 | 95,467 | |||||||||
Brink’s Co., 5.50%, 07/15/25 (c) |
美元 | 281 | 270,384 | |||||||||
Clarivate Science Holdings Corp. (c) |
||||||||||||
3.88%, 07/01/28 |
3,464 | 2,894,201 | ||||||||||
4.88%, 07/01/29 |
2,498 | 2,050,858 | ||||||||||
Garda World Security Corp.,4.63%,02/15/27 (c) |
807 | 694,020 | ||||||||||
格雷厄姆控股公司,5.75%,06/01/26 (c) |
705 | 697,950 | ||||||||||
Rekeep SpA, 7.25%, 02/01/26 (a) |
欧元 | 200 | 180,586 | |||||||||
国际服务公司 |
||||||||||||
5.13%, 06/01/29 |
美元 | 269 | 253,449 | |||||||||
3.38%, 08/15/30 |
270 | 221,063 | ||||||||||
4.00%, 05/15/31 |
2,401 | 2,049,854 | ||||||||||
Sotheby’s, 7.38%, 10/15/27 (c) |
2,888 | 2,676,521 | ||||||||||
|
|
|||||||||||
28,413,441 |
安防 |
帕尔 (000) |
价值 |
||||||||
多元化金融服务-1.5% |
||||||||||
Acuris Finance U.S.,Inc./Acuris Finance SARL,5.00%,05/01/28 (c) |
美元 | 2,432 | $ | 2,018,122 | ||||||
Barclays PLC, 5.20%, 05/12/26 |
800 | 796,586 | ||||||||
Castlelake航空金融DAC,5.00%,04/15/27 (c) |
403 | 334,551 | ||||||||
中央花园宠物公司 |
||||||||||
4.13%, 10/15/30 |
768 | 630,152 | ||||||||
4.13%, 04/30/31 (c) |
998 | 801,160 | ||||||||
花旗集团。 (b)(k) |
||||||||||
Series W, (5 year CMT + 3.60%), 4.00% |
855 | 739,575 | ||||||||
Series Y, (5 year CMT + 3.00%), 4.15% |
10 | 8,025 | ||||||||
德意志银行,(5年期EURIBOR ICE掉期利率+3.30%),4.00%,06/24/32 (a)(b) |
欧元 | 100 | 95,835 | |||||||
加芬克鲁Holdco 3 SA (a) |
||||||||||
6.75%, 11/01/25 |
300 | 278,924 | ||||||||
7.75%, 11/01/25 |
英镑 | 100 | 108,948 | |||||||
环球飞机租赁有限公司。 (c)(i) |
||||||||||
(6.50% Cash or 7.25% PIK), 6.50%, 09/15/24 |
美元 | 683 | 517,357 | |||||||
Series 2021, (6.50% Cash or 7.25% PIK), 6.50%, 09/15/24 |
1,508 | 1,142,310 | ||||||||
高盛股份有限公司,R系列,(5年期债务抵押贷款+3.22%),4.95% (b)(k) |
3,780 | 3,403,249 | ||||||||
汇丰控股,(5年期债务抵押贷款+3.65%),4.60% (b)(k) |
445 | 342,051 | ||||||||
入门AB (a) |
||||||||||
4.88%, 08/15/25 |
欧元 | 200 | 189,546 | |||||||
3.50%, 07/15/26 |
201 | 175,630 | ||||||||
ION Trading Technologies SARL,5.75%,05/15/28 (c) |
美元 | 1,268 | 1,014,134 | |||||||
Jefferies Finance LLC/JFIN联合发行商公司,5.00%,08/15/28 (c) |
1,779 | 1,463,228 | ||||||||
梯子资本金融控股有限责任公司/梯子资本金融公司 (c) |
||||||||||
4.25%, 02/01/27 |
780 | 629,711 | ||||||||
4.75%, 06/15/29 |
370 | 284,688 | ||||||||
林肯融资公司,3.63%,04/01/24 (a) |
欧元 | 100 | 101,263 | |||||||
SPECTRUM Brands公司 (c) |
||||||||||
5.00%, 10/01/29. |
美元 | 424 | 366,650 | |||||||
5.50%, 07/15/30. |
292 | 262,788 | ||||||||
瑞银集团(UBS Group AG)(5年CMT+3.31%), 4.38% (b)(c)(k) |
950 | 695,020 | ||||||||
意大利联合信贷银行,(5年期欧元掉期+2.80%),2.73%,1/15/32 (a)(b) |
欧元 | 200 | 177,337 | |||||||
VistaJet马耳他财务公司/XO管理层 |
||||||||||
Holding, Inc., 6.38%, 02/01/30 (c) |
美元 | 862 | 689,600 | |||||||
|
|
|||||||||
17,266,440 | ||||||||||
多元化电信服务-4.2% |
||||||||||
联合通信公司,6.50%,10/01/28 (c) |
2,164 | 1,840,655 | ||||||||
FronTier Communications Holdings LLC,8.75%,05/15/30 (c) |
1,470 | 1,486,155 | ||||||||
3级融资,Inc. (c) |
||||||||||
3.40%, 03/01/27 |
446 | 384,152 | ||||||||
4.63%, 09/15/27 |
489 | 416,873 | ||||||||
4.25%, 07/01/28 |
1,395 | 1,117,744 | ||||||||
3.63%, 01/15/29 |
826 | 636,889 | ||||||||
3.75%, 07/15/29 |
948 | 732,998 | ||||||||
流明技术公司 |
||||||||||
5.13%, 12/15/26 (c) |
1,288 | 1,084,264 | ||||||||
4.00%, 02/15/27 (c) |
2,353 | 1,990,050 |
56 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
多元化电信服务(续) |
||||||||||||
流明技术公司(续) |
||||||||||||
4.50%, 01/15/29 (c) |
美元 | 1,927 | $ | 1,434,449 | ||||||||
5.38%, 06/15/29 (c) |
2,647 | 2,095,828 | ||||||||||
Series U, 7.65%, 03/15/42 |
912 | 699,960 | ||||||||||
Series W, 6.75%, 12/01/23 |
1,228 | 1,216,499 | ||||||||||
Series Y, 7.50%, 04/01/24 |
646 | 637,118 | ||||||||||
软银集团。 (a) |
||||||||||||
2.13%, 07/06/24 |
欧元 | 149 | 139,749 | |||||||||
4.75%, 07/30/25 |
269 | 249,937 | ||||||||||
3.13%, 09/19/25 |
207 | 181,706 | ||||||||||
2.88%, 01/06/27 |
118 | 95,490 | ||||||||||
5.00%, 04/15/28 |
100 | 83,123 | ||||||||||
Sprint Capital Corp. |
||||||||||||
6.88%, 11/15/28 |
美元 | 4,617 | 4,854,868 | |||||||||
8.75%, 03/15/32 |
6,823 | 8,211,344 | ||||||||||
Switch Ltd. (c) |
||||||||||||
3.75%, 09/15/28 |
1,853 | 1,832,895 | ||||||||||
4.13%, 06/15/29 |
3,064 | 3,032,871 | ||||||||||
意大利电信资本公司 |
||||||||||||
6.38%, 11/15/33 |
1,521 | 1,174,516 | ||||||||||
6.00%, 09/30/34 |
2,322 | 1,751,415 | ||||||||||
7.20%, 07/18/36 |
266 | 201,959 | ||||||||||
7.72%, 06/04/38 |
251 | 193,647 | ||||||||||
意大利电信金融公司,7.75%,1/24/33 |
欧元 | 83 | 89,693 | |||||||||
意大利电信温泉 |
||||||||||||
4.00%, 04/11/24 (a) |
139 | 143,116 | ||||||||||
5.30%, 05/30/24 (c) |
美元 | 322 | 309,394 | |||||||||
2.75%, 04/15/25 (a) |
欧元 | 239 | 231,676 | |||||||||
3.00%, 09/30/25 (a) |
100 | 96,935 | ||||||||||
1.63%, 01/18/29 (a) |
410 | 310,257 | ||||||||||
Uniti Group LP/Uniti Fibre Holdings,Inc./CSL Capital LLC,6.00%,01/15/30 (c) |
美元 | 800 | 553,440 | |||||||||
Uniti Group LP/Uniti Group Finance,Inc./CSL Capital LLC,4.75%,04/15/28 (c) |
1,498 | 1,231,940 | ||||||||||
Zayo集团控股有限公司 (c) |
||||||||||||
4.00%, 03/01/27 |
2,345 | 1,945,389 | ||||||||||
6.13%, 03/01/28 |
7,530 | 5,437,488 | ||||||||||
|
|
|||||||||||
48,126,482 | ||||||||||||
电力公用事业-0.8% |
||||||||||||
爱迪生国际,A系列,(5年CMT+ 4.70%), 5.38% (b)(k) |
2,200 | 1,787,500 | ||||||||||
FirstEnergy Corp. |
||||||||||||
2.65%, 03/01/30 |
1,399 | 1,154,175 | ||||||||||
Series B, 2.25%, 09/01/30 |
117 | 92,722 | ||||||||||
Series C, 3.40%, 03/01/50 |
4,094 | 2,775,323 | ||||||||||
第一能源传输有限责任公司 (c) |
||||||||||||
5.45%, 07/15/44 |
2,074 | 1,938,591 | ||||||||||
4.55%, 04/01/49 |
814 | 654,964 | ||||||||||
NextEra Energy Operating Partners LP,4.25%,07/15/24 (c) |
337 | 322,374 | ||||||||||
Public Power Corp.SA,3.38%,07/31/28 (a) |
欧元 | 110 | 90,721 | |||||||||
|
|
|||||||||||
8,816,370 | ||||||||||||
电气设备 (c) — 0.2% |
||||||||||||
盖茨全球有限责任公司/盖茨公司,6.25%,2016年1月15日 |
美元 | 2,205 | 2,045,137 | |||||||||
GrafTech Finance,Inc.,4.63%,12/15/28 |
717 | 580,406 | ||||||||||
|
|
|||||||||||
2,625,543 | ||||||||||||
电子设备、仪器及部件-0.8% |
||||||||||||
Belden, Inc., 3.88%, 03/15/28 (a) |
欧元 | 100 | 89,349 |
安防 |
帕尔 (000) |
价值 |
||||||||||
电子设备、仪器及部件(续) |
||||||||||||
BWX技术公司 (c) |
||||||||||||
4.13%, 06/30/28 |
美元 | 1,415 | $ | 1,259,350 | ||||||||
4.13%, 04/15/29 |
1,267 | 1,111,793 | ||||||||||
劲量伽马收购BV,3.50%,6/30/29 (a) |
欧元 | 118 | 87,779 | |||||||||
劲量控股公司 (c) |
||||||||||||
4.75%, 06/15/28 |
美元 | 388 | 307,963 | |||||||||
4.38%, 03/31/29 |
96 | 73,702 | ||||||||||
伊莫拉合并公司,4.75%,05/15/29 (c) |
3,460 | 2,894,844 | ||||||||||
Vertiv Group Corp.,4.13%,2018年11月15日 (c) |
3,744 | 3,039,828 | ||||||||||
Xerox Corp., 4.80%, 03/01/35 |
372 | 285,453 | ||||||||||
|
|
|||||||||||
9,150,061 | ||||||||||||
能源设备和服务-0.6% |
||||||||||||
ArchRock Partners LP/ArchRock Partners Finance Corp. (c) |
||||||||||||
6.88%, 04/01/27 |
799 | 728,584 | ||||||||||
6.25%, 04/01/28 |
2,258 | 1,999,007 | ||||||||||
CGG SA, 7.75%, 04/01/27 (a) |
欧元 | 100 | 89,076 | |||||||||
Saipem金融国际公司 (a) |
||||||||||||
2.63%, 01/07/25 |
100 | 86,988 | ||||||||||
3.38%, 07/15/26 |
100 | 82,534 | ||||||||||
USA Compression Partners LP/USA |
||||||||||||
压缩金融公司 |
||||||||||||
6.88%, 04/01/26 |
美元 | 1,942 | 1,766,637 | |||||||||
6.88%, 09/01/27 |
1,063 | 943,413 | ||||||||||
Vallourec SA, 8.50%, 06/30/26 (a) |
欧元 | 125 | 120,973 | |||||||||
威瑟福国际有限公司 (c) |
||||||||||||
6.50%, 09/15/28 |
美元 | 74 | 66,415 | |||||||||
8.63%, 04/30/30 |
1,439 | 1,194,063 | ||||||||||
|
|
|||||||||||
7,077,690 | ||||||||||||
娱乐 (c) — 0.2% |
||||||||||||
AMC娱乐控股公司,7.50%,02/15/29 |
1,289 | 1,089,205 | ||||||||||
Lindblad Expeditions LLC,6.75%,02/15/27 |
1,331 | 1,141,333 | ||||||||||
NCL Corp. Ltd., 7.75%, 02/15/29 |
575 | 439,875 | ||||||||||
|
|
|||||||||||
2,670,413 | ||||||||||||
环境、维护和安全服务--1.1% |
||||||||||||
清洁港湾公司 (c) |
||||||||||||
4.88%, 07/15/27 |
678 | 620,370 | ||||||||||
5.13%, 07/15/29 |
1,069 | 970,117 | ||||||||||
卡万塔控股公司 |
||||||||||||
4.88%, 12/01/29 (c) |
1,174 | 955,307 | ||||||||||
5.00%, 09/01/30 |
413 | 337,132 | ||||||||||
GFL环境公司 (c) |
||||||||||||
4.25%, 06/01/25 |
487 | 459,592 | ||||||||||
3.75%, 08/01/25 |
427 | 396,043 | ||||||||||
5.13%, 12/15/26 |
1,241 | 1,186,768 | ||||||||||
4.00%, 08/01/28 |
2,291 | 1,890,075 | ||||||||||
3.50%, 09/01/28 |
408 | 349,860 | ||||||||||
4.75%, 06/15/29 |
1,067 | 882,942 | ||||||||||
4.38%, 08/15/29 |
1,294 | 1,041,670 | ||||||||||
Stericycle, Inc., 3.88%, 01/15/29 (c) |
768 | 627,840 | ||||||||||
Tervita Corp., 11.00%, 12/01/25 (c) |
415 | 451,313 | ||||||||||
Waste Pro USA, Inc., 5.50%, 02/15/26 (c) |
2,868 | 2,547,644 | ||||||||||
|
|
|||||||||||
12,716,673 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
57 |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||
股权房地产投资信托基金(REITs)-1.3% |
||||||||||
Brookfield Property REIT,Inc./BPR Cumulus LLC/BPR Nimbus LLC/GGSI Sellco LL,4.50%,04/01/27 (c) |
美元 | 962 | $ | 797,724 | ||||||
CTR Partnership LP/CareTrust Capital Corp.,3.88%,06/30/28 (c) |
901 | 769,454 | ||||||||
多元化医疗信托,9.75%,06/15/25 |
374 | 368,858 | ||||||||
Global Net Lease公司/Global Net Lease |
||||||||||
运营伙伴关系LP,3.75%,12/15/27 (c) |
774 | 646,825 | ||||||||
HAT Holdings I LLC/HAT Holdings II LLC,3.38%,06/15/26 (c) |
1,021 | 878,060 | ||||||||
铁山公司 (c) |
||||||||||
5.25%, 07/15/30 |
694 | 603,360 | ||||||||
5.63%, 07/15/32 |
697 | 589,367 | ||||||||
MPT运营合伙公司/MPT财务公司 |
||||||||||
5.00%, 10/15/27 |
187 | 171,043 | ||||||||
4.63%, 08/01/29 |
2,863 | 2,512,283 | ||||||||
3.50%, 03/15/31 |
4,369 | 3,443,471 | ||||||||
RHP Hotel Properties LP/RHP Finance Corp. |
||||||||||
4.75%, 10/15/27 |
1,892 | 1,678,412 | ||||||||
4.50%, 02/15/29 (c) |
997 | 845,355 | ||||||||
RLJ住宿信托有限责任公司 (c) |
||||||||||
3.75%, 07/01/26 |
690 | 597,932 | ||||||||
4.00%, 09/15/29 |
530 | 435,349 | ||||||||
服务属性信任 |
||||||||||
4.35%, 10/01/24 |
129 | 104,825 | ||||||||
7.50%, 09/15/25 |
477 | 437,051 | ||||||||
|
|
|||||||||
14,879,369 | ||||||||||
食品和史泰博零售业-2.1% |
||||||||||
艾伯森公司/西夫韦公司/新艾伯森公司/艾伯森有限责任公司 (c) |
||||||||||
3.25%, 03/15/26 |
1,678 | 1,461,455 | ||||||||
4.63%, 01/15/27 |
1,668 | 1,490,058 | ||||||||
5.88%, 02/15/28 |
1,440 | 1,345,867 | ||||||||
4.88%, 02/15/30 |
349 | 299,386 | ||||||||
贝利斯收购公司 (a) |
||||||||||
3.25%, 02/16/26 |
英镑 | 200 | 188,682 | |||||||
4.50%, 02/16/26 |
225 | 219,114 | ||||||||
赌场Guichard Perrachon SA,5.25%,2007年4月15日 (a) |
欧元 | 117 | 81,869 | |||||||
达林配料公司,6.00%,06/15/30 (c) |
美元 | 1,628 | 1,622,546 | |||||||
冰岛邦科公司 (a) |
||||||||||
4.63%, 03/15/25 |
英镑 | 246 | 231,098 | |||||||
4.38%, 05/15/28 |
146 | 117,299 | ||||||||
卡夫亨氏食品公司 |
||||||||||
6.50%, 02/09/40 |
美元 | 980 | 1,058,976 | |||||||
4.88%, 10/01/49 |
2,035 | 1,797,416 | ||||||||
5.50%, 06/01/50 |
4,607 | 4,422,324 | ||||||||
兰姆·韦斯顿控股公司 (c) |
||||||||||
4.88%, 05/15/28 |
906 | 852,646 | ||||||||
4.13%, 01/31/30 |
1,483 | 1,283,625 | ||||||||
4.38%, 01/31/32 |
1,908 | 1,659,960 | ||||||||
Market Bidco Finco PLC,5.50%,11/04/27 (a) |
英镑 | 187 | 173,003 | |||||||
Ocado Group PLC,3.88%,10/08/26 (a) |
120 | 117,149 | ||||||||
Performance Food Group,Inc.,4.25%,08/01/29 (c) |
美元 | 1,890 | 1,578,150 | |||||||
Picard Groupe SAS,3.88%,07/01/26 (a) |
欧元 | 112 | 95,635 | |||||||
邮政控股公司 (c) |
||||||||||
5.75%, 03/01/27 |
美元 | 2 | 1,938 | |||||||
5.63%, 01/15/28 |
484 | 459,413 |
安防 |
帕尔 (000) |
价值 |
||||||||||
食品与史泰博零售业(续) |
||||||||||||
邮政控股公司 (c) (续) |
||||||||||||
5.50%, 12/15/29 |
美元 | 243 | $ | 217,237 | ||||||||
4.50%, 09/15/31 |
194 | 158,663 | ||||||||||
Premier Foods Finance PLC,3.50%,10/15/26 (a) |
英镑 | 100 | 105,601 | |||||||||
Quatrim SASU, 5.88%, 01/15/24 (a) |
欧元 | 200 | 198,672 | |||||||||
美国食品公司 (c) |
||||||||||||
6.25%, 04/15/25 |
美元 | 841 | 838,898 | |||||||||
4.75%, 02/15/29 |
1,687 | 1,474,759 | ||||||||||
联合天然食品公司,6.75%,10/15/28 (c) |
268 | 250,457 | ||||||||||
|
|
|||||||||||
23,801,896 | ||||||||||||
食品-1.0% |
||||||||||||
阿拉马克服务公司 (c) |
||||||||||||
5.00%, 04/01/25 |
20 | 19,163 | ||||||||||
6.38%, 05/01/25 |
1,507 | 1,474,373 | ||||||||||
5.00%, 02/01/28 |
1,469 | 1,331,222 | ||||||||||
Chobani LLC/Chobani金融公司 (c) |
||||||||||||
7.50%, 04/15/25 |
3,601 | 3,307,046 | ||||||||||
4.63%, 11/15/28 |
1,712 | 1,446,640 | ||||||||||
JBS USA LUX SA/JBS USA Food Co./JBS USA Finance,Inc.,3.75%,12/01/31 (c) |
1,672 | 1,371,688 | ||||||||||
朝圣者的骄傲公司,3.50%,03/01/32 (c) |
990 | 773,438 | ||||||||||
西蒙斯食品公司/西蒙斯准备食品公司/西蒙斯宠物食品公司/西蒙斯饲料公司,4.63%,03/01/29 (c) |
1,392 | 1,176,797 | ||||||||||
Tereos Finance Group I SA,7.50%,10/30/25 (a) |
欧元 | 100 | 102,855 | |||||||||
|
|
|||||||||||
11,003,222 | ||||||||||||
燃气公用事业-0.0% |
||||||||||||
郊区丙烷合伙公司/郊区能源金融公司,5.00%,06/01/31 (c) |
美元 | 537 | 456,651 | |||||||||
|
|
|||||||||||
医疗保健设备和用品 (c) — 0.5% |
||||||||||||
埃文特基金公司 |
||||||||||||
4.63%, 07/15/28 |
4,615 | 4,230,570 | ||||||||||
3.88%, 11/01/29 |
1,061 | 928,004 | ||||||||||
Embecta Corp., 6.75%, 02/15/30 |
782 | 704,058 | ||||||||||
Hologic, Inc., 3.25%, 02/15/29 |
316 | 270,085 | ||||||||||
|
|
|||||||||||
6,132,717 | ||||||||||||
医疗保健提供者和服务-5.0% |
||||||||||||
180 Medical, Inc., 3.88%, 10/15/29 (c) |
354 | 306,210 | ||||||||||
阿卡迪亚医疗保健公司 (c) |
||||||||||||
5.50%, 07/01/28 |
604 | 564,317 | ||||||||||
5.00%, 04/15/29 |
273 | 245,081 | ||||||||||
AdaptHealth LLC (c) |
||||||||||||
6.13%, 08/01/28 |
372 | 329,041 | ||||||||||
5.13%, 03/01/30 |
146 | 123,065 | ||||||||||
AHP Health Partners,Inc.,5.75%,07/15/29 (c) |
1,951 | 1,433,400 | ||||||||||
Cano Health LLC,6.25%,10/01/28 (c) |
773 | 632,157 | ||||||||||
森特内公司 |
||||||||||||
2.45%, 07/15/28 |
3,159 | 2,634,732 | ||||||||||
4.63%, 12/15/29 |
758 | 706,835 | ||||||||||
3.00%, 10/15/30 |
4,521 | 3,746,779 | ||||||||||
2.50%, 03/01/31 |
5,181 | 4,112,471 | ||||||||||
2.63%, 08/01/31 |
1,906 | 1,516,223 | ||||||||||
社区卫生服务/社区卫生系统公司 (c) |
||||||||||||
8.00%, 03/15/26 |
4,979 | 4,534,326 | ||||||||||
5.63%, 03/15/27 |
2,325 | 1,967,810 | ||||||||||
6.00%, 01/15/29 |
3,005 | 2,489,402 | ||||||||||
6.88%, 04/15/29 |
552 | 356,040 | ||||||||||
6.13%, 04/01/30 |
1,579 | 963,190 |
58 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
医疗保健提供者和服务(续) |
||||||||||||
包括健康公司。 |
||||||||||||
4.50%, 02/01/28 |
美元 | 348 | $ | 297,922 | ||||||||
4.75%, 02/01/30 |
1,972 | 1,652,615 | ||||||||||
4.63%, 04/01/31 |
1,035 | 838,065 | ||||||||||
HCA, Inc., 4.63%, 03/15/52 (c) |
1,545 | 1,236,096 | ||||||||||
传统LifePoint Health LLC (c) |
||||||||||||
6.75%, 04/15/25 |
1,050 | 1,014,940 | ||||||||||
4.38%, 02/15/27 |
420 | 359,864 | ||||||||||
LifePoint Health,Inc.,5.38%,01/15/29 (c) |
887 | 651,945 | ||||||||||
Medline借款人LP (c) |
||||||||||||
3.88%, 04/01/29 |
378 | 321,946 | ||||||||||
5.25%, 10/01/29 |
6,071 | 4,986,112 | ||||||||||
ModivCare, Inc., 5.88%, 11/15/25 (c) |
391 | 359,720 | ||||||||||
莫利纳医疗保健公司 (c) |
||||||||||||
4.38%, 06/15/28 |
1,756 | 1,568,584 | ||||||||||
3.88%, 11/15/30 |
1,259 | 1,076,168 | ||||||||||
3.88%, 05/15/32 |
1,191 | 998,756 | ||||||||||
Owens & Minor, Inc., 6.63%, 04/01/30 (c) |
727 | 664,093 | ||||||||||
Prime Healthcare Services,Inc.,7.25%,11/01/25 (c) |
2,424 | 2,068,884 | ||||||||||
RegionalCare医院合作伙伴控股公司/LifePoint Health,Inc.,9.75%,12/01/26 (c) |
433 | 421,093 | ||||||||||
外科中心控股公司 (c) |
||||||||||||
6.75%, 07/01/25 |
1,992 | 1,825,748 | ||||||||||
10.00%, 04/15/27 |
3,318 | 3,213,963 | ||||||||||
Teleflex, Inc., 4.63%, 11/15/27 |
294 | 271,215 | ||||||||||
泰尼特医疗保健公司 |
||||||||||||
4.63%, 07/15/24 |
567 | 544,167 | ||||||||||
4.63%, 09/01/24 (c) |
1,234 | 1,184,640 | ||||||||||
4.88%, 01/01/26 (c) |
2,046 | 1,882,320 | ||||||||||
6.25%, 02/01/27 (c) |
357 | 328,588 | ||||||||||
5.13%, 11/01/27 (c) |
677 | 609,300 | ||||||||||
4.63%, 06/15/28 (c) |
465 | 404,913 | ||||||||||
6.13%, 10/01/28 (c) |
596 | 510,045 | ||||||||||
4.25%, 06/01/29 (c) |
92 | 77,483 | ||||||||||
6.13%, 06/15/30 (c) |
1,412 | 1,302,683 | ||||||||||
|
|
|||||||||||
57,332,947 | ||||||||||||
医疗保健技术-1.6% |
||||||||||||
CAB SELAS, 3.38%, 02/01/28 (a) |
欧元 | 103 | 86,462 | |||||||||
卡特伦特制药解决方案公司 |
||||||||||||
5.00%, 07/15/27 (c) |
美元 | 625 | 588,331 | |||||||||
2.38%, 03/01/28 (a) |
欧元 | 332 | 283,568 | |||||||||
3.13%, 02/15/29 (c) |
美元 | 931 | 763,823 | |||||||||
3.50%, 04/01/30 (c) |
2,168 | 1,768,935 | ||||||||||
Change Healthcare Holdings LLC/Change Healthcare Finance,Inc.,5.75%,03/01/25 (c) |
5,723 | 5,572,428 | ||||||||||
查尔斯·里弗国际实验室公司 (c) |
||||||||||||
4.25%, 05/01/28 |
1,108 | 995,328 | ||||||||||
3.75%, 03/15/29 |
145 | 125,838 | ||||||||||
4.00%, 03/15/31 |
544 | 463,732 | ||||||||||
Chrome Bidco Sasu,3.50%,05/31/28 (a) |
欧元 | 232 | 198,951 | |||||||||
IQVIA,Inc. (c) |
||||||||||||
5.00%, 10/15/26 |
美元 | 1,504 | 1,432,304 | |||||||||
5.00%, 05/15/27 |
1,011 | 956,507 | ||||||||||
Minerva合并子公司,6.50%,02/15/30 (c) |
2,838 | 2,360,053 | ||||||||||
Syneos Health,Inc.,3.63%,01/15/29 (c) |
3,097 | 2,622,628 | ||||||||||
|
|
|||||||||||
18,218,888 |
安防 |
帕尔 (000) |
价值 |
||||||||||
酒店、餐饮和休闲-5.5% |
||||||||||||
1011778 BC ULC/新红色金融公司 (c) |
||||||||||||
5.75%, 04/15/25 |
美元 | 648 | $ | 651,775 | ||||||||
3.88%, 01/15/28 |
1,531 | 1,328,786 | ||||||||||
4.38%, 01/15/28 |
1,581 | 1,382,268 | ||||||||||
4.00%, 10/15/30 |
712 | 571,380 | ||||||||||
Accor SA, 0.70%, 12/07/27 (a) |
欧元 | 158 | 67,982 | |||||||||
亲和力游戏,6.88%,12/15/27 (c) |
美元 | 108 | 90,724 | |||||||||
博伊德游戏公司 |
||||||||||||
4.75%, 12/01/27 |
931 | 842,555 | ||||||||||
4.75%, 06/15/31 (c) |
1,960 | 1,656,239 | ||||||||||
Boyne USA, Inc., 4.75%, 05/15/29 (c) |
1,576 | 1,364,721 | ||||||||||
凯撒娱乐公司 (c) |
||||||||||||
6.25%, 07/01/25 |
6,083 | 5,862,370 | ||||||||||
8.13%, 07/01/27 |
6,466 | 6,247,773 | ||||||||||
4.63%, 10/15/29 |
3,366 | 2,617,065 | ||||||||||
凯撒度假村收藏有限责任公司/CRC Finco,Inc.,5.75%,07/01/25 (c) |
1,522 | 1,455,504 | ||||||||||
Carnival Corp., 7.63%, 03/01/26 (c) |
395 | 305,943 | ||||||||||
CCM Merger, Inc., 6.38%, 05/01/26 (c) |
915 | 833,041 | ||||||||||
CDI托管发行商,Inc.,5.75%,04/01/30 (c) |
3,368 | 3,064,880 | ||||||||||
Cedar Fair LP/加拿大仙境公司/Magnum Management Corp./Millennium Op |
||||||||||||
5.50%, 05/01/25 (c) |
2,704 | 2,622,880 | ||||||||||
6.50%, 10/01/28 |
293 | 278,095 | ||||||||||
丘吉尔唐斯公司 (c) |
||||||||||||
5.50%, 04/01/27 |
3,251 | 3,088,450 | ||||||||||
4.75%, 01/15/28 |
1,326 | 1,180,140 | ||||||||||
Cirsa Finance International SARL,4.75%,05/22/25 (a) |
欧元 | 247 | 228,119 | |||||||||
Codere Finance 2卢森堡SA (a)(i) |
||||||||||||
(2% Cash or 10.75% PIK), 12.75%, 11/30/27 |
56 | 53,196 | ||||||||||
(8.00% Cash or 3.00% PIK), 11.00%, 09/30/26 |
137 | 148,976 | ||||||||||
CPUK金融有限公司,4.50%,08/28/27 (a) |
英镑 | 100 | 108,866 | |||||||||
费尔蒂塔娱乐有限责任公司/费尔蒂塔娱乐金融有限公司 (c) |
||||||||||||
4.63%, 01/15/29 |
美元 | 236 | 201,190 | |||||||||
6.75%, 01/15/30 |
1,341 | 1,029,218 | ||||||||||
食品服务项目SA,5.50%,27年1月21日 (a) |
欧元 | 163 | 146,475 | |||||||||
Gamma Bidco Spa,6.25%,07/15/25 (a) |
249 | 242,674 | ||||||||||
希尔顿国内运营有限公司。 |
||||||||||||
5.38%, 05/01/25 (c) |
美元 | 772 | 756,560 | |||||||||
5.75%, 05/01/28 (c) |
600 | 570,498 | ||||||||||
3.75%, 05/01/29 (c) |
411 | 348,589 | ||||||||||
4.88%, 01/15/30 |
1,528 | 1,380,930 | ||||||||||
4.00%, 05/01/31 (c) |
917 | 762,027 | ||||||||||
3.63%, 02/15/32 (c) |
426 | 338,404 | ||||||||||
希尔顿全球金融有限公司/希尔顿全球金融公司,4.88%,04/01/27 |
240 | 226,112 | ||||||||||
IRB Holding Corp.,7.00%,06/15/25 (c) |
794 | 777,207 | ||||||||||
梅林娱乐有限公司,5.75%,06/15/26 (c) |
484 | 441,652 | ||||||||||
米高梅国际度假村 |
||||||||||||
6.00%, 03/15/23 |
1,243 | 1,240,116 | ||||||||||
5.75%, 06/15/25 |
322 | 306,705 | ||||||||||
中西部博彩借款人有限责任公司/中西部博彩金融公司,4.88%,05/01/29 (c) |
1,247 | 1,016,305 | ||||||||||
半岛太平洋娱乐有限责任公司/半岛太平洋娱乐金融公司 8.50%, 11/15/27 (c) |
1,332 | 1,398,067 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
59 |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
酒店、餐馆和休闲(续) |
||||||||||||
Powdr Corp., 6.00%, 08/01/25 (c) |
美元 | 1,211 | $ | 1,201,918 | ||||||||
Premier Entertainment Sub LLC/Premier Entertainment Finance Corp. (c) |
||||||||||||
5.63%, 09/01/29 |
576 | 410,089 | ||||||||||
5.88%, 09/01/31 |
636 | 441,392 | ||||||||||
Raptor Acquisition Corp./Raptor Co-Issuer LLC,4.88%,11/01/26 (c) |
973 | 851,375 | ||||||||||
皇家加勒比邮轮有限公司,5.38%,07/15/27 (c) |
1,679 | 1,220,415 | ||||||||||
国际科学游戏公司 (c) |
||||||||||||
8.63%, 07/01/25 |
1,054 | 1,080,455 | ||||||||||
7.00%, 05/15/28 |
706 | 662,532 | ||||||||||
7.25%, 11/15/29 |
241 | 226,012 | ||||||||||
Sisal SpA, 7.00%, 07/31/23 (a) |
欧元 | 69 | 71,486 | |||||||||
六旗主题公园,Inc.,7.00%,07/01/25 (c) |
美元 | 1,518 | 1,536,717 | |||||||||
车站赌场有限责任公司 (c) |
||||||||||||
4.50%, 02/15/28 |
1,147 | 968,768 | ||||||||||
4.63%, 12/01/31 |
1,433 | 1,117,740 | ||||||||||
Stonegate酒吧有限公司融资公司 (a) |
||||||||||||
8.00%, 07/13/25 |
英镑 | 136 | 151,481 | |||||||||
8.25%, 07/31/25 |
246 | 273,477 | ||||||||||
Vail Resorts,Inc.,6.25%,05/15/25 (c) |
美元 | 811 | 810,002 | |||||||||
温德姆酒店及度假村公司,4.38%,08/15/28 (c) |
811 | 709,349 | ||||||||||
永利拉斯维加斯有限责任公司/永利拉斯维加斯资本公司,5.25%,05/15/27 (c) |
1,353 | 1,158,831 | ||||||||||
永利度假村金融有限责任公司/永利度假村资本公司 (c) |
||||||||||||
7.75%, 04/15/25 |
1,164 | 1,132,875 | ||||||||||
5.13%, 10/01/29 |
2,617 | 2,061,149 | ||||||||||
好吃!Brands公司 |
||||||||||||
4.75%, 01/15/30 (c) |
238 | 215,985 | ||||||||||
5.35%, 11/01/43 |
30 | 24,863 | ||||||||||
|
|
|||||||||||
63,561,368 | ||||||||||||
家用耐用品-1.4% |
||||||||||||
阿什顿·伍兹美国有限责任公司/阿什顿·伍兹金融公司 (c) |
||||||||||||
6.63%, 01/15/28 |
406 | 345,100 | ||||||||||
4.63%, 08/01/29 |
547 | 410,250 | ||||||||||
4.63%, 04/01/30 |
777 | 570,590 | ||||||||||
Brookfield Residential Properties,Inc./Brookfield Residential U.S.LLC (c) |
||||||||||||
5.00%, 06/15/29 |
1,154 | 872,505 | ||||||||||
4.88%, 02/15/30 |
1,693 | 1,229,964 | ||||||||||
CD&R Smokey Buyer,Inc.,6.75%,07/15/25 (c) |
1,328 | 1,174,059 | ||||||||||
Install Building Products,Inc.,5.75%,02/01/28 (c) |
723 | 642,341 | ||||||||||
K霍夫纳尼亚企业公司。 (c) |
||||||||||||
10.00%, 11/15/25 |
359 | 380,604 | ||||||||||
7.75%, 02/15/26 |
1,893 | 1,855,140 | ||||||||||
KB Home, 7.25%, 07/15/30 |
328 | 310,792 | ||||||||||
马塔米集团。 (c) |
||||||||||||
5.25%, 12/15/27 |
830 | 677,797 | ||||||||||
4.63%, 03/01/30 |
679 | 496,223 | ||||||||||
Meritage Home Corp.,5.13%,06/06/27 |
286 | 261,787 | ||||||||||
NCR公司 (c) |
||||||||||||
5.75%, 09/01/27 |
234 | 207,682 | ||||||||||
5.00%, 10/01/28 |
563 | 477,366 | ||||||||||
5.13%, 04/15/29 |
739 | 625,002 | ||||||||||
6.13%, 09/01/29 |
815 | 704,859 | ||||||||||
Nobel Bidco BV, 3.13%, 06/15/28 (a) |
欧元 | 100 | 70,213 |
安防 |
帕尔 (000) |
价值 |
||||||||
家用耐用品(续) |
||||||||||
主权财富基金托管发行商公司,6.50%,10/01/29 (c) |
美元 | 1,738 | $ | 1,168,805 | ||||||
泰勒·莫里森社区公司 (c) |
||||||||||
5.88%, 06/15/27 |
1,377 | 1,269,195 | ||||||||
5.13%, 08/01/30 |
336 | 279,043 | ||||||||
坦普尔海利国际公司 (c) |
||||||||||
4.00%, 04/15/29 |
1,291 | 1,039,952 | ||||||||
3.88%, 10/15/31 |
504 | 378,000 | ||||||||
Tri Pointe Home.,Inc.,5.70%,06/15/28 |
291 | 251,128 | ||||||||
|
|
|||||||||
15,698,397 | ||||||||||
家居用品-0.0% |
||||||||||
劲量控股公司,6.50%,12/31/27 (c) |
610 | 534,513 | ||||||||
|
|
|||||||||
独立电力和可再生电力生产商-0.7% |
||||||||||
卡尔平公司 (c) |
||||||||||
5.25%, 06/01/26 |
136 | 129,200 | ||||||||
4.50%, 02/15/28 |
1,198 | 1,087,637 | ||||||||
5.13%, 03/15/28 |
2,597 | 2,286,139 | ||||||||
4.63%, 02/01/29 |
342 | 284,636 | ||||||||
5.00%, 02/01/31 |
311 | 251,422 | ||||||||
3.75%, 03/01/31 |
15 | 12,201 | ||||||||
Clearway Energy运营有限责任公司 (c) |
||||||||||
4.75%, 03/15/28 |
690 | 620,780 | ||||||||
3.75%, 01/15/32 |
1,395 | 1,105,537 | ||||||||
Cullinan Holdco Scsp,4.63%,10/15/26 (a) |
欧元 | 100 | 84,458 | |||||||
NRG能源公司 |
||||||||||
5.75%, 01/15/28 |
美元 | 14 | 12,725 | |||||||
5.25%, 06/15/29 (c) |
163 | 145,478 | ||||||||
3.63%, 02/15/31 (c) |
1,329 | 1,041,923 | ||||||||
3.88%, 02/15/32 (c) |
746 | 592,535 | ||||||||
TerraForm Power Operating LLC,4.75%,01/15/30 (c) |
1,053 | 901,884 | ||||||||
|
|
|||||||||
8,556,555 | ||||||||||
保险--2.6% |
||||||||||
Acrisure LLC/Acrisure Finance,Inc.,6.00%,08/01/29 (c) |
1,205 | 943,262 | ||||||||
联合控股中级有限责任公司/联合控股联合发行人 (c) |
||||||||||
4.25%, 10/15/27 |
6,469 | 5,599,375 | ||||||||
6.75%, 10/15/27 |
8,981 | 7,969,560 | ||||||||
5.88%, 11/01/29 |
6,477 | 5,374,679 | ||||||||
AmWINS Group,Inc.,4.88%,06/30/29 (c) |
1,494 | 1,223,471 | ||||||||
Ardonagh Midco 2 PLC, (11.50% Cash or 12.75% PIK), 11.50%, 01/15/27 (c)(i) |
455 | 474,111 | ||||||||
Galaxy Bidco Ltd.,6.50%,07/31/26 (a) |
英镑 | 200 | 222,766 | |||||||
GTCR AP Finance,Inc.,8.00%,05/15/27 (c) |
美元 | 1,723 | 1,612,987 | |||||||
Hub International Ltd.,7.00%,05/01/26 (c) |
6,615 | 6,220,746 | ||||||||
Liberty Mutual Group,Inc.(5年期欧元掉期+3.70%),3.63%,05/23/59 (a)(b) |
欧元 | 100 | 94,182 | |||||||
瑞安专业集团有限责任公司,4.38%,02/01/30 (c) |
美元 | 711 | 618,570 | |||||||
|
|
|||||||||
30,353,709 | ||||||||||
互动媒体和服务-0.7% |
||||||||||
ARCES BUBUR,Inc.,4.25%,06/01/28 (c) |
562 | 457,583 | ||||||||
有线电视光路有限责任公司 (c) |
||||||||||
3.88%, 09/15/27 |
1,066 | 882,115 | ||||||||
5.63%, 09/15/28 |
1,201 | 939,494 | ||||||||
Iliad SA, 2.38%, 06/17/26 (a) |
欧元 | 100 | 91,696 | |||||||
西北光纤有限责任公司/西北光纤金融子公司 (c) |
||||||||||
4.75%, 04/30/27 |
美元 | 1,783 | 1,468,393 | |||||||
6.00%, 02/15/28 |
1,115 | 801,253 |
60 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
互动媒体与服务(续) |
||||||||||||
西北光纤有限责任公司/西北光纤金融 |
||||||||||||
Subs,Inc. (c) (续) |
||||||||||||
10.75%, 06/01/28 |
美元 | 485 | $ | 431,548 | ||||||||
推特公司 (c) |
||||||||||||
3.88%, 12/15/27 |
1,922 | 1,811,975 | ||||||||||
5.00%, 03/01/30 |
844 | 800,745 | ||||||||||
联合集团BV (a) |
||||||||||||
4.88%, 07/01/24 |
欧元 | 199 | 189,358 | |||||||||
4.00%, 11/15/27 |
324 | 257,151 | ||||||||||
4.63%, 08/15/28 |
124 | 99,215 | ||||||||||
|
|
|||||||||||
8,230,526 | ||||||||||||
互联网和直销零售-0.0% |
||||||||||||
Very Group Funding PLC,6.50%,08/01/26 (a) |
英镑 | 224 | 206,775 | |||||||||
|
|
|||||||||||
互联网软件和服务-1.5% |
||||||||||||
ANGI Group LLC, 3.88%, 08/15/28 (c) |
美元 | 1,361 | 1,036,263 | |||||||||
耐力国际集团控股有限公司,6.00%,02/15/29 (c) |
614 | 443,069 | ||||||||||
Go爸爸运营有限责任公司/GD金融有限公司 (c) |
||||||||||||
5.25%, 12/01/27 |
1,113 | 1,018,395 | ||||||||||
3.50%, 03/01/29 |
849 | 715,783 | ||||||||||
Match Group Holdings II LLC (c) |
||||||||||||
4.63%, 06/01/28 |
813 | 737,066 | ||||||||||
5.63%, 02/15/29 |
318 | 297,330 | ||||||||||
4.13%, 08/01/30 |
181 | 151,154 | ||||||||||
3.63%, 10/01/31 |
870 | 685,125 | ||||||||||
优步技术公司 |
||||||||||||
7.50%, 05/15/25 (c) |
2,820 | 2,793,126 | ||||||||||
0.00%, 12/15/25 (l) |
1,757 | 1,401,590 | ||||||||||
8.00%, 11/01/26 (c) |
1,878 | 1,869,549 | ||||||||||
7.50%, 09/15/27 (c) |
2,655 | 2,572,111 | ||||||||||
6.25%, 01/15/28 (c) |
1,356 | 1,254,083 | ||||||||||
4.50%, 08/15/29 (c) |
2,836 | 2,332,610 | ||||||||||
|
|
|||||||||||
17,307,254 | ||||||||||||
IT服务-2.2% |
||||||||||||
Ahead DB Holdings LLC,6.63%,05/01/28 (c) |
886 | 734,496 | ||||||||||
博思艾伦汉密尔顿公司 (c) |
||||||||||||
3.88%, 09/01/28 |
1,374 | 1,215,990 | ||||||||||
4.00%, 07/01/29 |
2,334 | 2,035,084 | ||||||||||
CA Magnum Holdings,5.38%,10/31/26 (c) |
2,652 | 2,293,980 | ||||||||||
Camelot Finance SA,4.50%,11/01/26 (c) |
2,737 | 2,496,415 | ||||||||||
秃鹰合并子公司,7.38%,02/15/30 (c) |
3,136 | 2,548,847 | ||||||||||
邓白氏公司,5.00%,12/15/29 (c) |
2,175 | 1,878,656 | ||||||||||
Fair Isaac Corp., 4.00%, 06/15/28 (c) |
1,959 | 1,735,361 | ||||||||||
高德纳公司 (c) |
||||||||||||
4.50%, 07/01/28 |
1,628 | 1,494,838 | ||||||||||
3.63%, 06/15/29 |
1,022 | 885,430 | ||||||||||
3.75%, 10/01/30 |
533 | 453,716 | ||||||||||
KBR, Inc., 4.75%, 09/30/28 (c) |
1,050 | 925,405 | ||||||||||
La Financiere Atalian Sasu,5.13%,05/15/25 (a) |
欧元 | 300 | 239,758 | |||||||||
科学应用国际公司,4.88%,04/01/28 (c) |
美元 | 1,024 | 954,880 | |||||||||
天宝收购有限责任公司/天宝收购财务公司,5.75%,06/01/25 (c) |
1,117 | 1,050,801 |
安防 |
帕尔 (000) |
价值 |
||||||||
IT服务(续) |
||||||||||
Twilio, Inc., 3.88%, 03/15/31 |
美元 | 1,829 | $ | 1,504,846 | ||||||
ZoomInfo科技有限公司/ZoomInfo金融公司,3.88%,02/01/29 (c) |
3,017 | 2,527,167 | ||||||||
|
|
|||||||||
24,975,670 | ||||||||||
休闲产品-0.3% |
||||||||||
美泰公司 |
||||||||||
3.75%, 04/01/29 (c) |
569 | 511,300 | ||||||||
6.20%, 10/01/40 |
1,016 | 970,280 | ||||||||
5.45%, 11/01/41 |
1,827 | 1,603,654 | ||||||||
|
|
|||||||||
3,085,234 | ||||||||||
机械-1.3% |
||||||||||
ATS自动化工具系统公司,4.13%,12/15/28 (c) |
553 | 461,755 | ||||||||
Husky III Holding Ltd., (13.00% Cash or 13.75% PIK), 13.00%, 02/15/25 (c)(i) |
1,662 | 1,612,140 | ||||||||
IMA Industria Macchine Automatiche SPA,3.75%,2018年1月15日 (a) |
欧元 | 123 | 103,153 | |||||||
Madison IAQ LLC,5.88%,06/30/29 (c) |
美元 | 1,608 | 1,232,243 | |||||||
穆勒水产品公司,4.00%,6/15/29 (c) |
565 | 492,872 | ||||||||
Novafives SAS,5.00%,25年6月15日 (a) |
欧元 | 100 | 68,117 | |||||||
OT Merger Corp., 7.88%, 10/15/29 (c) |
美元 | 621 | 356,671 | |||||||
Renk AG/法兰克福美因河畔,5.75%,07/15/25 (a) |
欧元 | 229 | 218,382 | |||||||
申克过程控股有限公司/达姆施塔特,5.38%,06/15/23 (a) |
100 | 100,819 | ||||||||
史蒂文斯控股公司,6.13%,10/01/26 (c) |
美元 | 813 | 782,512 | |||||||
Terex Corp., 5.00%, 05/15/29 (c) |
1,766 | 1,501,100 | ||||||||
泰坦收购有限公司/泰坦公司-借款人有限责任公司,7.75%,04/15/26 (c) |
3,261 | 2,997,511 | ||||||||
TK电梯Holdco GmbH |
||||||||||
6.63%, 07/15/28 (a) |
欧元 | 90 | 80,442 | |||||||
7.63%, 07/15/28 (c) |
美元 | 1,284 | 1,152,390 | |||||||
TK Elevator Midco GmbH,4.38%,07/15/27 (a) |
欧元 | 273 | 246,465 | |||||||
TK电梯美国Newco,Inc.,5.25%,07/15/27 (c) |
美元 | 4,038 | 3,600,139 | |||||||
|
|
|||||||||
15,006,711 | ||||||||||
Media — 13.4% |
||||||||||
Altice Finding SA |
||||||||||
2.25%, 01/15/25 (a) |
欧元 | 170 | 155,900 | |||||||
5.00%, 01/15/28 (c) |
美元 | 1,693 | 1,364,287 | |||||||
4.25%, 08/15/29 (a) |
欧元 | 101 | 79,647 | |||||||
5.75%, 08/15/29 (c) |
美元 | 5,301 | 4,254,052 | |||||||
Altice France Holding SA (c) |
||||||||||
8.00%, 05/15/27 |
欧元 | 100 | 85,926 | |||||||
10.50%, 05/15/27 |
美元 | 10,328 | 8,666,638 | |||||||
AMC网络公司 |
||||||||||
4.75%, 08/01/25 |
1,216 | 1,132,753 | ||||||||
4.25%, 02/15/29 |
684 | 554,170 | ||||||||
Block Communications,Inc.,4.88%,03/01/28 (c) |
791 | 668,395 | ||||||||
电缆一号公司 |
||||||||||
1.13%, 03/15/28 |
1,164 | 975,432 | ||||||||
4.00%, 11/15/30 (c) |
1,040 | 854,339 | ||||||||
CCO Holdings LLC/CCO Holdings Capital Corp. |
||||||||||
5.13%, 05/01/27 (c) |
621 | 586,069 | ||||||||
5.00%, 02/01/28 (c) |
670 | 618,209 | ||||||||
5.38%, 06/01/29 (c) |
2,119 | 1,894,047 | ||||||||
4.75%, 03/01/30 (c) |
1,542 | 1,318,796 | ||||||||
4.50%, 08/15/30 (c) |
2,162 | 1,795,061 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
61 |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||
媒体(续) |
||||||||||
CCO Holdings LLC/CCO Holdings Capital Corp.(续) |
||||||||||
4.25%, 02/01/31 (c) |
美元 | 1,782 | $ | 1,452,330 | ||||||
4.75%, 02/01/32 (c) |
2,979 | 2,439,205 | ||||||||
4.50%, 05/01/32 |
1,367 | 1,106,860 | ||||||||
4.50%, 06/01/33 (c) |
1,587 | 1,250,588 | ||||||||
4.25%, 01/15/34 (c) |
5,012 | 3,871,770 | ||||||||
特许通信运营有限责任公司/特许通信运营资本 |
||||||||||
5.25%, 04/01/53 |
1,849 | 1,562,430 | ||||||||
5.50%, 04/01/63 |
1,227 | 1,042,212 | ||||||||
Clear Channel International BV,6.63%,08/01/25 (c) |
1,965 | 1,827,450 | ||||||||
Clear Channel户外控股公司 (c) |
||||||||||
5.13%, 08/15/27 |
5,413 | 4,570,358 | ||||||||
7.75%, 04/15/28 |
4,659 | 3,389,749 | ||||||||
7.50%, 06/01/29 |
4,136 | 2,974,032 | ||||||||
CMG Media Corp., 8.88%, 12/15/27 (c) |
3,833 | 3,028,108 | ||||||||
Connect Finco SARL/Connect U.S.FinCo LLC,6.75%,10/01/26 (c) |
8,561 | 7,693,171 | ||||||||
CSC控股有限责任公司 |
||||||||||
5.25%, 06/01/24 |
859 | 803,165 | ||||||||
5.75%, 01/15/30 (c) |
1,398 | 1,017,087 | ||||||||
4.13%, 12/01/30 (c) |
2,781 | 2,169,180 | ||||||||
4.63%, 12/01/30 (c) |
1,430 | 956,298 | ||||||||
3.38%, 02/15/31 (c) |
1,353 | 1,000,286 | ||||||||
4.50%, 11/15/31 (c) |
2,998 | 2,311,908 | ||||||||
DirecTV融资有限责任公司/DirecTV融资公司-债务人,5.88%,08/15/27 (c) |
2,469 | 2,106,230 | ||||||||
迪什星展银行公司 |
||||||||||
5.88%, 07/15/22 |
1,734 | 1,724,168 | ||||||||
5.00%, 03/15/23 |
1,232 | 1,172,581 | ||||||||
5.25%, 12/01/26 (c) |
4,721 | 3,700,509 | ||||||||
5.75%, 12/01/28 (c) |
4,408 | 3,263,727 | ||||||||
5.13%, 06/01/29 |
2,490 | 1,513,024 | ||||||||
迪什网络公司,3.38%,08/15/26 |
780 | 526,890 | ||||||||
前沿通信控股有限责任公司 (c) |
||||||||||
5.88%, 10/15/27 |
2,183 | 1,962,741 | ||||||||
5.00%, 05/01/28 |
1,786 | 1,518,100 | ||||||||
6.75%, 05/01/29 |
2,102 | 1,728,895 | ||||||||
6.00%, 01/15/30 |
1,437 | 1,105,700 | ||||||||
GCI LLC, 4.75%, 10/15/28 (c) |
874 | 757,276 | ||||||||
伊利亚特持有萨苏 (c) |
||||||||||
6.50%, 10/15/26 |
2,836 | 2,552,315 | ||||||||
7.00%, 10/15/28 |
1,741 | 1,514,558 | ||||||||
Kaixo Bondsco Telecom SA,5.13%,09/30/29 (a) |
欧元 | 131 | 103,991 | |||||||
LCPR高级担保融资DAC (c) |
||||||||||
6.75%, 10/15/27 |
美元 | 1,657 | 1,545,699 | |||||||
5.13%, 07/15/29 |
1,939 | 1,619,065 | ||||||||
Liberty宽带公司 (c) |
||||||||||
1.25%, 09/30/50 |
2,444 | 2,282,696 | ||||||||
2.75%, 09/30/50 |
4,421 | 4,205,173 | ||||||||
Ligado Networks LLC, (15.50% PIK), 15.50%, 11/01/23 (c)(i)(m) |
1,252 | 679,498 | ||||||||
狮门资本控股有限公司,5.50%,04/15/29 (c) |
3,863 | 3,013,140 | ||||||||
Live Nation Entertainment,Inc. (c) |
||||||||||
4.88%, 11/01/24 |
134 | 127,970 | ||||||||
6.50%, 05/15/27 |
4,178 | 4,108,729 | ||||||||
4.75%, 10/15/27 |
1,012 | 897,158 |
安防 |
帕尔 (000) |
价值 |
||||||||
媒体(续) |
||||||||||
Live Nation Entertainment,Inc. (c) (continued) 3.75%, 01/15/28 |
美元 | 1,318 | $ | 1,136,775 | ||||||
Lorca Telecom Bondco SA,4.00%,09/18/27 (a) |
欧元 | 251 | 219,559 | |||||||
Magallane,Inc. (c) |
||||||||||
5.14%, 03/15/52 |
美元 | 6,425 | 5,392,824 | |||||||
5.39%, 03/15/62 |
3,278 | 2,742,042 | ||||||||
中大陆通信/中大陆金融公司,5.38%,08/15/27 (c) |
972 | 894,240 | ||||||||
OutFront Media Capital LLC/Outfront Media Capital Corp. (c) |
||||||||||
5.00%, 08/15/27 |
1,904 | 1,663,620 | ||||||||
4.25%, 01/15/29 |
698 | 556,041 | ||||||||
Radiate Holdco LLC/Radiate Finance,Inc. (c) |
||||||||||
4.50%, 09/15/26 |
2,818 | 2,429,905 | ||||||||
6.50%, 09/15/28 |
6,229 | 4,814,238 | ||||||||
紫貂国际金融有限公司,5.75%,09/07/27 (c) |
539 | 494,047 | ||||||||
斯克里普斯托管II,Inc.,3.88%,1/15/29 (c) |
87 | 72,909 | ||||||||
辛克莱电视集团,4.13%,12/01/30 (c) |
2,814 | 2,231,966 | ||||||||
天狼星XM无线电公司 (c) |
||||||||||
3.13%, 09/01/26 |
2,692 | 2,401,883 | ||||||||
5.00%, 08/01/27 |
653 | 605,671 | ||||||||
4.00%, 07/15/28 |
927 | 801,855 | ||||||||
5.50%, 07/01/29 |
88 | 80,190 | ||||||||
4.13%, 07/01/30 |
257 | 214,644 | ||||||||
3.88%, 09/01/31 |
1,821 | 1,449,971 | ||||||||
Stagwell Global LLC,5.63%,08/15/29 (c) |
553 | 444,352 | ||||||||
夏季BC Holdco A SARL,9.25%,10/31/27 (a) |
欧元 | 180 | 145,321 | |||||||
夏季BC Holdco B SARL,5.75%,10/31/26 (a) |
300 | 273,875 | ||||||||
Summer BidCo BV, (9.00% Cash or 9.75% PIK), 9.00%, 11/15/25 (a)(i) |
151 | 127,809 | ||||||||
Tele Columbus AG,3.88%,05/02/25 (a) |
285 | 250,192 | ||||||||
Telenet Finance卢森堡债券,5.50%,03/01/28 (c) |
美元 | 2,000 | 1,764,800 | |||||||
联合集团BV,5.25%,02/01/30 (a) |
欧元 | 100 | 77,275 | |||||||
Univision Communications,Inc. (c) |
||||||||||
5.13%, 02/15/25 |
美元 | 800 | 752,800 | |||||||
6.63%, 06/01/27 |
1,018 | 969,248 | ||||||||
7.38%, 06/30/30 |
645 | 630,488 | ||||||||
UPC宽带Finco BV,4.88%,07/15/31 (c) |
2,494 | 2,032,610 | ||||||||
Videotron Ltd., 3.63%, 06/15/29 (c) |
1,518 | 1,232,252 | ||||||||
维珍媒体金融公司,3.75%,07/15/30 (a) |
欧元 | 142 | 110,654 | |||||||
维珍媒体担保金融公司,4.50%,08/15/30 (c) |
美元 | 550 | 451,941 | |||||||
维珍媒体供应商融资票据III DAC,4.88%,07/15/28 (a) |
英镑 | 100 | 97,384 | |||||||
维珍媒体供应商融资报告IV DAC,5.00%,07/15/28 (c) |
美元 | 2,360 | 1,952,826 | |||||||
VZ担保融资业务,3.50%,32年1月15日 (a) |
欧元 | 170 | 133,687 | |||||||
WMG收购公司 |
||||||||||
3.88%, 07/15/30 (c) |
美元 | 655 | 544,665 | |||||||
2.25%, 08/15/31 (a) |
欧元 | 141 | 112,188 | |||||||
Ziggo邦德公司 (c) |
||||||||||
6.00%, 01/15/27 |
美元 | 291 | 257,535 | |||||||
5.13%, 02/28/30 |
868 | 680,869 | ||||||||
Ziggo BV, 4.88%, 01/15/30 (c) |
1,165 | 987,852 | ||||||||
|
|
|||||||||
155,432,744 |
62 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
金属和矿业--2.9% |
||||||||||||
阿勒格尼技术公司 |
||||||||||||
4.88%, 10/01/29 |
美元 | 550 | $ | 438,620 | ||||||||
5.13%, 10/01/31 |
1,063 | 814,302 | ||||||||||
Arconic Corp. (c) |
||||||||||||
6.00%, 05/15/25 |
1,484 | 1,447,351 | ||||||||||
6.13%, 02/15/28 |
2,032 | 1,897,441 | ||||||||||
大河钢铁有限责任公司/BRS金融公司,6.63%,01/31/29 (c) |
4,781 | 4,436,507 | ||||||||||
卡朋特科技公司 |
||||||||||||
6.38%, 07/15/28 |
168 | 149,958 | ||||||||||
7.63%, 03/15/30 |
1,007 | 924,724 | ||||||||||
商业金属公司 |
||||||||||||
4.13%, 01/15/30 |
372 | 313,225 | ||||||||||
4.38%, 03/15/32 |
398 | 325,991 | ||||||||||
Constellium SE (c) |
||||||||||||
5.88%, 02/15/26 |
1,569 | 1,464,897 | ||||||||||
5.63%, 06/15/28 |
1,851 | 1,656,168 | ||||||||||
3.75%, 04/15/29 |
2,891 | 2,292,773 | ||||||||||
ERO Copper Corp., 6.50%, 02/15/30 (c) |
829 | 665,272 | ||||||||||
FMG资源2006年8月私人。有限公司,6.13%,04/15/32 (c) |
2,088 | 1,879,200 | ||||||||||
Joseph T Ryerson&son,Inc.,8.50%,08/01/28 (c) |
121 | 124,945 | ||||||||||
凯撒铝业公司 (c) |
||||||||||||
4.63%, 03/01/28 |
1,190 | 990,699 | ||||||||||
4.50%, 06/01/31 |
1,624 | 1,229,172 | ||||||||||
矿产资源有限公司。 (c) |
||||||||||||
8.00%, 11/01/27 |
640 | 624,000 | ||||||||||
8.50%, 05/01/30 |
651 | 641,235 | ||||||||||
New Gold, Inc., 7.50%, 07/15/27 (c) |
2,345 | 2,040,150 | ||||||||||
Novelis Corp. (c) |
||||||||||||
3.25%, 11/15/26 |
2,729 | 2,306,755 | ||||||||||
4.75%, 01/30/30 |
2,681 | 2,228,394 | ||||||||||
3.88%, 08/15/31 |
2,808 | 2,162,694 | ||||||||||
Novelis Sheet钢锭有限公司,3.38%,04/15/29 (a) |
欧元 | 100 | 82,400 | |||||||||
美国滚动轴承公司,4.38%,10/15/29 (c) |
美元 | 659 | 560,754 | |||||||||
蒂森克虏伯股份公司,2.88%,02/22/24 (a) |
欧元 | 100 | 100,516 | |||||||||
U.S. Steel Corp., 6.88%, 03/01/29 |
美元 | 1,799 | 1,569,789 | |||||||||
韦丹塔资源财务II公司,8.95%,03/11/25 (c) |
577 | 455,830 | ||||||||||
|
|
|||||||||||
33,823,762 | ||||||||||||
抵押房地产投资信托基金(REITs)-0.0% |
||||||||||||
喜达屋地产信托公司,5.50%,11/01/23 (c) |
157 | 155,234 | ||||||||||
|
|
|||||||||||
多线零售-0.4% |
||||||||||||
Bath&Body Works公司 |
||||||||||||
6.88%, 11/01/35 |
2,391 | 1,942,687 | ||||||||||
6.75%, 07/01/36 |
384 | 307,162 | ||||||||||
Dufry One BV, 2.50%, 10/15/24 (a) |
欧元 | 100 | 94,700 | |||||||||
NMG Holding Co./Neiman Marcus Group LLC,7.13%,04/01/26 (c) |
美元 | 2,132 | 1,964,809 | |||||||||
|
|
|||||||||||
4,309,358 | ||||||||||||
近海钻探及其他服务 (c) — 0.1% |
||||||||||||
Entigis,Inc. |
||||||||||||
4.38%, 04/15/28 |
1,073 | 946,922 | ||||||||||
3.63%, 05/01/29 |
190 | 158,884 | ||||||||||
|
|
|||||||||||
1,105,806 |
安防 |
帕尔 (000) |
价值 |
||||||||||
石油、天然气和消耗性燃料-15.6% |
||||||||||||
Aethon United BR LP/Aethon United Finance Corp.,8.25%,02/15/26 (c) |
美元 | 2,715 | $ | 2,638,301 | ||||||||
Antero Midstream Partners LP/Antero Midstream Finance Corp. (c) |
||||||||||||
5.75%, 03/01/27 |
545 | 506,850 | ||||||||||
5.38%, 06/15/29 |
1,137 | 1,018,252 | ||||||||||
Antero Resources Corp.,7.63%,02/01/29 (c) |
701 | 713,106 | ||||||||||
阿帕奇公司 |
||||||||||||
4.25%, 01/15/30 |
1,185 | 1,050,206 | ||||||||||
5.10%, 09/01/40 |
1,697 | 1,432,913 | ||||||||||
5.25%, 02/01/42 |
359 | 300,297 | ||||||||||
5.35%, 07/01/49 |
604 | 477,244 | ||||||||||
Arcosa, Inc., 4.38%, 04/15/29 (c) |
1,988 | 1,686,926 | ||||||||||
Asccent Resources Utica Holdings LLC/ARU Finance Corp. (c) |
||||||||||||
9.00%, 11/01/27 |
3,527 | 4,427,031 | ||||||||||
5.88%, 06/30/29 |
1,004 | 883,520 | ||||||||||
七叶树合伙公司 |
||||||||||||
4.13%, 03/01/25 (c) |
34 | 31,478 | ||||||||||
5.85%, 11/15/43 |
816 | 579,360 | ||||||||||
5.60%, 10/15/44 |
553 | 385,092 | ||||||||||
卡隆石油公司。 |
||||||||||||
6.13%, 10/01/24 |
534 | 542,224 | ||||||||||
9.00%, 04/01/25 (c) |
3,648 | 3,866,880 | ||||||||||
6.38%, 07/01/26 |
655 | 604,237 | ||||||||||
8.00%, 08/01/28 (c) |
3,400 | 3,266,040 | ||||||||||
7.50%, 06/15/30 |
2,743 | 2,523,944 | ||||||||||
CellneX电信公司 (a) |
||||||||||||
1.75%, 10/23/30 |
欧元 | 100 | 74,568 | |||||||||
Series CLNX, 0.75%, 11/20/31 |
900 | 642,302 | ||||||||||
百年资源生产有限责任公司,6.88%,04/01/27 (c) |
美元 | 1,222 | 1,160,454 | |||||||||
中央母公司/中央合并子公司,7.25%,06/15/29。 |
2,747 | 2,643,987 | ||||||||||
Cheniere Energy Partners LP |
||||||||||||
4.50%, 10/01/29 |
2,722 | 2,429,929 | ||||||||||
4.00%, 03/01/31 |
3,130 | 2,661,439 | ||||||||||
3.25%, 01/31/32 (c) |
3,011 | 2,371,162 | ||||||||||
Cheniere Energy,Inc.,4.63%,2018年10月15日 |
9,106 | 8,200,590 | ||||||||||
切萨皮克能源公司 (c) |
||||||||||||
5.88%, 02/01/29 |
96 | 90,528 | ||||||||||
6.75%, 04/15/29 |
2,933 | 2,836,299 | ||||||||||
Citgo石油公司 (c) |
||||||||||||
7.00%, 06/15/25 |
1,453 | 1,405,777 | ||||||||||
6.38%, 06/15/26 |
1,302 | 1,201,967 | ||||||||||
Civitas Resources,Inc.,5.00%,10月15日/26 (c) |
477 | 428,108 | ||||||||||
CNX Midstream Partners LP,4.75%,04/15/30 (c) |
502 | 421,680 | ||||||||||
CNX Resources Corp.,6.00%,01/15/29 (c) |
518 | 483,916 | ||||||||||
高露洁能源合作伙伴III有限责任公司 (c) |
||||||||||||
7.75%, 02/15/26 |
647 | 615,061 | ||||||||||
5.88%, 07/01/29 |
1,986 | 1,740,232 | ||||||||||
Comstock Resources,Inc. (c) |
||||||||||||
6.75%, 03/01/29 |
2,456 | 2,199,176 | ||||||||||
5.88%, 01/15/30 |
2,798 | 2,406,280 | ||||||||||
CQP Holdco LP/BIP-V Chinook Holdco LLC,5.50%,6月15日/31 (c) |
4,645 | 3,955,403 | ||||||||||
新月能源金融有限责任公司,7.25%,05/01/26 (c) |
3,339 | 3,038,490 | ||||||||||
Crestwood Midstream Partners LP/Crestwood Midstream Finance Corp. (c) |
||||||||||||
5.63%, 05/01/27 |
423 | 376,470 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
63 |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||
石油、天然气和消耗性燃料(续) |
||||||||||
Crestwood Midstream Partners LP/Crestwood Midstream Finance Corp. (c) (续) |
||||||||||
6.00%, 02/01/29 |
美元 | 334 | $ | 291,442 | ||||||
8.00%, 04/01/29 |
534 | 495,958 | ||||||||
CrownRock LP/CrownRock Finance,Inc.,5.63%,10/15/25 (c) |
3,952 | 3,714,880 | ||||||||
DCP中流作业LP |
||||||||||
6.45%, 11/03/36 (c) |
920 | 901,600 | ||||||||
6.75%, 09/15/37 (c) |
2,031 | 1,931,989 | ||||||||
5.60%, 04/01/44 |
22 | 17,779 | ||||||||
响尾蛇能源公司,4.25%,02/15/52 |
873 | 724,028 | ||||||||
DT Midstream,Inc. (c) |
||||||||||
4.13%, 06/15/29 |
2,325 | 1,970,437 | ||||||||
4.38%, 06/15/31 |
2,745 | 2,298,937 | ||||||||
Dycom Industries,Inc.,4.50%,04/15/29 (c) |
564 | 492,434 | ||||||||
土石能源控股有限责任公司,8.00%,04/15/27 (c) |
1,494 | 1,413,697 | ||||||||
Eg Global Finance PLC |
||||||||||
6.75%, 02/07/25 (c) |
1,613 | 1,520,874 | ||||||||
6.25%, 10/30/25 (a) |
欧元 | 463 | 434,828 | |||||||
8.50%, 10/30/25 (c) |
美元 | 1,586 | 1,536,437 | |||||||
例如Global Finance PLC,4.38%,02/07/25 (a) |
欧元 | 133 | 124,046 | |||||||
能量转移LP,H系列,(5年CMT+5.69%),6.50% (b)(k) |
美元 | 3,372 | 2,980,570 | |||||||
EnLink中流有限责任公司 |
||||||||||
5.63%, 01/15/28 (c) |
1,302 | 1,194,282 | ||||||||
5.38%, 06/01/29 |
1,561 | 1,366,199 | ||||||||
EnLink Midstream Partners LP |
||||||||||
4.40%, 04/01/24 |
1,638 | 1,598,926 | ||||||||
4.15%, 06/01/25 |
108 | 100,534 | ||||||||
4.85%, 07/15/26 |
297 | 273,983 | ||||||||
5.60%, 04/01/44 |
1,433 | 1,014,870 | ||||||||
5.05%, 04/01/45 |
220 | 148,775 | ||||||||
5.45%, 06/01/47 |
246 | 174,104 | ||||||||
EQM中游合作伙伴有限公司 |
||||||||||
6.00%, 07/01/25 (c) |
492 | 471,671 | ||||||||
4.13%, 12/01/26 |
361 | 311,814 | ||||||||
6.50%, 07/01/27 (c) |
1,929 | 1,793,585 | ||||||||
4.50%, 01/15/29 (c) |
147 | 119,346 | ||||||||
7.50%, 06/01/30 |
421 | 404,432 | ||||||||
4.75%, 01/15/31 (c) |
1,748 | 1,394,030 | ||||||||
Genesis Energy LP/Genesis Energy Finance Corp. |
||||||||||
6.50%, 10/01/25 |
350 | 322,875 | ||||||||
7.75%, 02/01/28 |
188 | 162,629 | ||||||||
湾港能源公司,8.00%,05/17/26 (c) |
152 | 149,527 | ||||||||
港湾能源公司,5.50%,10/15/26 (c) |
420 | 377,475 | ||||||||
嘉实中游I LP,7.50%,09/01/28 (c) |
315 | 295,858 | ||||||||
Hess Midstream Operations LP,4.25%,02/15/30 (c) |
1,313 | 1,099,592 | ||||||||
Hilcorp Energy I LP/Hilcorp Finance Co.,6.25%,11/01/28 (c) |
262 | 246,938 | ||||||||
ITT Holdings LLC,6.50%,08/01/29 (c) |
1,889 | 1,511,200 | ||||||||
Kinetik Holdings LP,5.88%,06/15/30 |
2,774 | 2,642,554 | ||||||||
MasTec, Inc., 4.50%, 08/15/28 (c) |
951 | 855,600 | ||||||||
斗牛士资源公司,5.88%,09/15/26 |
5,186 | 4,985,198 | ||||||||
MPLX LP, 4.95%, 03/14/52 |
2,212 | 1,911,516 | ||||||||
墨菲石油公司 |
||||||||||
5.75%, 08/15/25 |
605 | 598,654 | ||||||||
5.88%, 12/01/27 |
228 | 212,781 | ||||||||
6.13%, 12/01/42 |
141 | 105,398 |
安防 |
帕尔 (000) |
价值 |
||||||||
石油、天然气和消耗性燃料(续) |
||||||||||
墨菲石油美国公司,4.75%,09/15/29 |
美元 | 928 | $ | 835,256 | ||||||
纳博斯实业有限公司 (c) |
||||||||||
7.25%, 01/15/26 |
375 | 332,569 | ||||||||
7.50%, 01/15/28 |
877 | 754,220 | ||||||||
Nabors Industries,Inc.,7.38%,05/15/27 (c) |
1,461 | 1,387,950 | ||||||||
海王星能源邦科公司,6.63%,05/15/25 (c) |
200 | 192,000 | ||||||||
新堡垒能源公司 (c) |
||||||||||
6.75%, 09/15/25 |
3,227 | 3,049,515 | ||||||||
6.50%, 09/30/26 |
4,988 | 4,517,938 | ||||||||
NGL能源运营有限责任公司/NGL能源金融公司,7.50%,02/01/26 (c) |
948 | 853,200 | ||||||||
NGPL PipeCo LLC,7.77%,12/15/37 (c) |
1,640 | 1,784,708 | ||||||||
北方石油天然气公司,8.13%,03/01/28 (c) |
3,877 | 3,654,072 | ||||||||
NuSTAR物流有限公司 |
||||||||||
5.75%, 10/01/25 |
719 | 672,265 | ||||||||
6.00%, 06/01/26 |
908 | 848,980 | ||||||||
6.38%, 10/01/30 |
75 | 65,162 | ||||||||
西方石油公司 |
||||||||||
6.95%, 07/01/24 |
363 | 373,890 | ||||||||
8.00%, 07/15/25 |
138 | 145,245 | ||||||||
5.88%, 09/01/25 |
444 | 442,069 | ||||||||
5.50%, 12/01/25 |
641 | 631,385 | ||||||||
8.88%, 07/15/30 |
549 | 630,295 | ||||||||
6.63%, 09/01/30 |
3,013 | 3,103,390 | ||||||||
6.13%, 01/01/31 |
293 | 296,934 | ||||||||
7.50%, 05/01/31 |
533 | 572,975 | ||||||||
6.45%, 09/15/36 |
451 | 462,275 | ||||||||
6.20%, 03/15/40 |
3,936 | 3,876,960 | ||||||||
6.60%, 03/15/46 |
227 | 241,074 | ||||||||
Parkland Corp., 5.88%, 07/15/27 (c) |
1,223 | 1,109,872 | ||||||||
PDC Energy, Inc., 6.13%, 09/15/24 |
356 | 353,577 | ||||||||
Range Resources Corp.,4.88%,05/15/25 |
464 | 452,586 | ||||||||
Rockcliff Energy II LLC,5.50%,10/15/29 (c) |
1,911 | 1,738,953 | ||||||||
SM能源公司 |
||||||||||
5.63%, 06/01/25 |
380 | 359,100 | ||||||||
6.75%, 09/15/26 |
724 | 682,994 | ||||||||
6.63%, 01/15/27 |
137 | 128,095 | ||||||||
6.50%, 07/15/28 |
970 | 892,114 | ||||||||
西南能源公司 |
||||||||||
5.95%, 01/23/25 |
11 | 10,867 | ||||||||
5.38%, 02/01/29 |
1,724 | 1,599,182 | ||||||||
4.75%, 02/01/32 |
856 | 731,473 | ||||||||
Sunoco LP/Sunoco Finance Corp. |
||||||||||
6.00%, 04/15/27 |
339 | 323,196 | ||||||||
5.88%, 03/15/28 |
808 | 736,700 | ||||||||
Tallgras Energy Partners LP/Tallgras Energy Finance Corp. (c) |
||||||||||
6.00%, 03/01/27 |
250 | 223,125 | ||||||||
6.00%, 12/31/30 |
171 | 141,930 | ||||||||
6.00%, 09/01/31 |
686 | 565,950 | ||||||||
TAP Rock Resources LLC,7.00%,10/01/26 (c) |
4,398 | 4,152,672 | ||||||||
Transocean, Inc., 11.50%, 01/30/27 (c) |
965 | 905,778 | ||||||||
UGI International LLC,2.50%,12/01/29 (a) |
欧元 | 100 | 78,588 | |||||||
Venture Global Calcasieu Pass LLC (c) |
||||||||||
3.88%, 08/15/29 |
美元 | 4,507 | 3,942,386 | |||||||
4.13%, 08/15/31 |
3,821 | 3,265,121 | ||||||||
3.88%, 11/01/33 |
7,004 | 5,778,300 | ||||||||
朱砂能源公司,6.88%,05/01/30 (c) |
807 | 722,265 | ||||||||
中流西部营运LP 4.75%,08/15/28 |
145 | 132,475 |
64 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
石油、天然气和消耗性燃料(续) |
||||||||||||
中流西部营运有限责任公司(续) |
||||||||||||
5.45%, 04/01/44 |
美元 | 1,561 | $ | 1,297,410 | ||||||||
5.30%, 03/01/48 |
1,851 | 1,492,184 | ||||||||||
5.50%, 08/15/48 |
703 | 572,945 | ||||||||||
5.75%, 02/01/50 |
3,337 | 2,679,807 | ||||||||||
|
|
|||||||||||
179,805,973 | ||||||||||||
个人产品-0.0% |
||||||||||||
Coty,Inc. |
||||||||||||
3.88%, 04/15/26 (a) |
欧元 | 206 | 190,382 | |||||||||
4.75%, 04/15/26 (a) |
100 | 89,862 | ||||||||||
6.50%, 04/15/26 (c) |
美元 | 100 | 92,194 | |||||||||
|
|
|||||||||||
372,438 | ||||||||||||
制药-1.2% |
||||||||||||
Almirall SA, 2.13%, 09/30/26 (a) |
欧元 | 100 | 93,008 | |||||||||
博世健康公司 (c) |
||||||||||||
9.00%, 12/15/25 |
美元 | 74 | 54,675 | |||||||||
6.13%, 02/01/27 |
334 | 283,900 | ||||||||||
7.00%, 01/15/28 |
402 | 230,145 | ||||||||||
5.00%, 02/15/29 |
1,091 | 567,320 | ||||||||||
6.25%, 02/15/29 |
55 | 29,271 | ||||||||||
7.25%, 05/30/29 |
325 | 176,313 | ||||||||||
契普拉帕姆Arzneimittel GmbH |
||||||||||||
3.50%, 02/11/27 (a) |
欧元 | 166 | 147,953 | |||||||||
4.38%, 01/15/28 (a) |
100 | 89,040 | ||||||||||
5.50%, 01/15/28 (c) |
美元 | 1,643 | 1,372,715 | |||||||||
Elanco动物健康公司,6.40%,08/28/28 |
241 | 229,408 | ||||||||||
Gruenenthal GmbH (a) |
||||||||||||
3.63%, 11/15/26 |
欧元 | 100 | 94,572 | |||||||||
4.13%, 05/15/28 |
217 | 194,431 | ||||||||||
Jazz Securities DAC,4.38%,01/15/29 (c) |
美元 | 1,994 | 1,773,696 | |||||||||
Nidda BondsCo GmbH,5.00%,09/30/25 (a) |
欧元 | 100 | 84,360 | |||||||||
Nidda Healthcare Holding GmbH,3.50%,2009年9月30日 (a) |
300 | 277,761 | ||||||||||
Option Care Health,Inc.,4.38%,10/31/29 (c) |
美元 | 914 | 783,755 | |||||||||
Organon&Co./Organon外债联合发行商BV |
||||||||||||
2.88%, 04/30/28 (a) |
欧元 | 120 | 105,031 | |||||||||
4.13%, 04/30/28 (c) |
美元 | 2,005 | 1,774,425 | |||||||||
5.13%, 04/30/31 (c) |
1,680 | 1,449,554 | ||||||||||
P&L Development LLC/PLD Finance Corp.,7.75%,11/15/25 (c) |
1,480 | 1,036,074 | ||||||||||
PRA Health Science,Inc.,2.88%,07/15/26 (c) |
2,163 | 1,925,070 | ||||||||||
威望品牌公司,3.75%,04/01/31 (c) |
834 | 691,553 | ||||||||||
Rossini SARL, 6.75%, 10/30/25 (a) |
欧元 | 201 | 202,229 | |||||||||
Teva制药金融荷兰II BV |
||||||||||||
6.00%, 01/31/25 |
100 | 102,064 | ||||||||||
4.50%, 03/01/25 |
200 | 195,744 | ||||||||||
3.75%, 05/09/27 |
100 | 88,604 | ||||||||||
1.63%, 10/15/28 (a) |
100 | 73,671 | ||||||||||
Teva制药金融荷兰III BV,7.13%,25年1月31日 |
美元 | 200 | 194,162 | |||||||||
|
|
|||||||||||
14,320,504 | ||||||||||||
房地产--0.1% |
||||||||||||
Vici Properties LP,5.63%,05/15/52 |
1,030 | 937,475 | ||||||||||
|
|
|||||||||||
房地产管理与开发-0.6% |
||||||||||||
Adler Group SA (a) |
||||||||||||
3.25%, 08/05/25 |
欧元 | 200 | 112,936 | |||||||||
2.75%, 11/13/26 |
200 | 105,005 |
安防 |
帕尔 (000) |
价值 |
||||||||||
房地产管理与开发(续) |
||||||||||||
高纬物业美国借款人有限责任公司,6.75%,05/15/28 (c) |
美元 | 1,451 | $ | 1,347,616 | ||||||||
Demire Deutsche Mittelstand Real Estate AG,1.88%,10月15日/24 (a) |
欧元 | 100 | 86,519 | |||||||||
DIC Asset AG, 2.25%, 09/22/26 (a) |
200 | 139,377 | ||||||||||
Fastighets AB Balder,(5年期欧元掉期+3.19%),2.87%,06/02/81 (a)(b) |
175 | 98,142 | ||||||||||
Five Point Operating Co.LP/Five Point Capital Corp.,7.88%,11/15/25 (c) |
美元 | 491 | 411,826 | |||||||||
海姆斯塔登·博斯塔德AB公司 (a)(b)(k) |
||||||||||||
(5 year EUR Swap + 3.15%), 2.63% |
欧元 | 200 | 106,338 | |||||||||
(5 year EUR Swap + 3.91%), 3.38% |
100 | 61,435 | ||||||||||
霍华德·休斯公司 (c) |
||||||||||||
5.38%, 08/01/28 |
美元 | 1,334 | 1,117,225 | |||||||||
4.13%, 02/01/29 |
943 | 727,324 | ||||||||||
4.38%, 02/01/31 |
660 | 488,454 | ||||||||||
Realology Group LLC/Realology Co-Issuer Corp. (c) |
|
|||||||||||
5.75%, 01/15/29 |
1,495 | 1,133,688 | ||||||||||
5.25%, 04/15/30 |
714 | 528,360 | ||||||||||
喜达屋地产信托公司,4.38%,27年1月15日 (c) |
406 | 352,432 | ||||||||||
我们工作是因为。有限责任公司/WW公司-义务人,5.00%,07/10/25 (c) |
1,057 | 682,663 | ||||||||||
|
|
|||||||||||
7,499,340 | ||||||||||||
公路和铁路-0.2% |
||||||||||||
每个l‘Italia Spa的Autostrade (a) |
||||||||||||
1.88%, 11/04/25 |
欧元 | 100 | 96,844 | |||||||||
2.00%, 01/15/30 |
279 | 228,786 | ||||||||||
Danaos Corp., 8.50%, 03/01/28 (c) |
美元 | 161 | 159,393 | |||||||||
Seaspan Corp., 5.50%, 08/01/29 (c) |
1,800 | 1,448,222 | ||||||||||
|
|
|||||||||||
1,933,245 | ||||||||||||
半导体和半导体设备-1.2% |
||||||||||||
AMS-OSRAM AG (a) |
||||||||||||
2.13%, 11/03/27 |
欧元 | 100 | 75,040 | |||||||||
Series AMS, 0.00%, 03/05/25 (l) |
200 | 163,225 | ||||||||||
Entigis托管公司,4.75%,04/15/29 (c) |
美元 | 6,364 | 5,926,336 | |||||||||
Sensata Technologies BV (c) |
||||||||||||
5.63%, 11/01/24 |
1,400 | 1,382,024 | ||||||||||
5.00%, 10/01/25 |
2,021 | 1,940,160 | ||||||||||
4.00%, 04/15/29 |
1,041 | 882,851 | ||||||||||
Sensata技术公司 (c) |
||||||||||||
4.38%, 02/15/30 |
3,030 | 2,579,068 | ||||||||||
3.75%, 02/15/31 |
146 | 117,013 | ||||||||||
Synaptics, Inc., 4.00%, 06/15/29 (c) |
1,094 | 888,306 | ||||||||||
|
|
|||||||||||
13,954,023 | ||||||||||||
软件-2.2% |
||||||||||||
ACI Worldwide,Inc.,5.75%,08/15/26 (c) |
1,133 | 1,093,651 | ||||||||||
Black Knight InfoServ LLC,3.63%,09/01/28 (c) |
1,997 | 1,727,405 | ||||||||||
拳击手母公司 |
||||||||||||
6.50%, 10/02/25 (a) |
欧元 | 373 | 366,024 | |||||||||
7.13%, 10/02/25 (c) |
美元 | 1,099 | 1,052,358 | |||||||||
9.13%, 03/01/26 (c) |
3,346 | 3,125,872 | ||||||||||
Cedacri Mergeco Spa,(3个月。Euribor+4.63%),4.63%,05/15/28 (a)(b) |
欧元 | 163 | 157,455 | |||||||||
Elastic NV, 4.13%, 07/15/29 (c) |
美元 | 2,011 | 1,678,743 | |||||||||
Helios Software Holdings,Inc./ION Corporation Solutions Finance SARL,4.63%,05/01/28 (c) |
959 | 761,101 | ||||||||||
铁山信息管理服务公司,5.00%,07/15/32 (c) |
1,386 | 1,118,658 | ||||||||||
Maxar Technologies,Inc.,7.75%,06/15/27 |
421 | 417,009 | ||||||||||
MicroStrategy,Inc.,6.13%,06/15/28 (c) |
2,441 | 1,943,842 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
65 |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
软件(续) |
||||||||||||
MSCI,Inc. (c) |
||||||||||||
3.63%, 09/01/30 |
美元 | 551 | $ | 459,357 | ||||||||
3.88%, 02/15/31 |
821 | 701,955 | ||||||||||
3.63%, 11/01/31 |
798 | 656,872 | ||||||||||
3.25%, 08/15/33 |
976 | 777,960 | ||||||||||
Open Text Corp. (c) |
||||||||||||
3.88%, 02/15/28 |
29 | 25,794 | ||||||||||
3.88%, 12/01/29 |
991 | 834,075 | ||||||||||
Open Text Holdings,Inc.,4.13%,02/15/30 (c) |
1,365 | 1,180,793 | ||||||||||
Playtika Holding Corp.,4.25%,3月15日/29 (c) |
2,013 | 1,660,725 | ||||||||||
PTC, Inc., 4.00%, 02/15/28 (c) |
493 | 445,508 | ||||||||||
SS&C Technologies,Inc.,5.50%,09/30/27 (c) |
4,790 | 4,466,962 | ||||||||||
Veritas U.S.,Inc./Veritas百慕大有限公司,7.50%,09/01/25 (c) |
682 | 511,804 | ||||||||||
|
|
|||||||||||
25,163,923 | ||||||||||||
特色零售-0.7% |
||||||||||||
Arko Corp., 5.13%, 11/15/29 (c) |
981 | 743,134 | ||||||||||
Bath&Body Works,Inc.,7.60%,07/15/37 |
246 | 198,319 | ||||||||||
Carvana Co., 10.25%, 05/01/30 (c) |
843 | 691,260 | ||||||||||
Douglas GmbH, 6.00%, 04/08/26 (a) |
欧元 | 100 | 80,692 | |||||||||
金故事Sasu,5.38%,03/01/26 (a) |
100 | 88,211 | ||||||||||
PetSmart,Inc./PetSmart Finance Corp. (c) 4.75%, 02/15/28 |
美元 | 695 | 601,342 | |||||||||
7.75%, 02/15/29 |
3,886 | 3,499,382 | ||||||||||
Staples, Inc., 7.50%, 04/15/26 (c) |
2,925 | 2,424,445 | ||||||||||
Tendam Brands SAU,(3个月。欧元同业拆借利率+5.25%),5.25%,09/15/24 (a)(b) |
欧元 | 100 | 100,035 | |||||||||
|
|
|||||||||||
8,426,820 | ||||||||||||
科技硬件、存储和外围设备-0.1% |
||||||||||||
II-VI, Inc., 5.00%, 12/15/29 (c) |
美元 | 1,896 | 1,654,260 | |||||||||
|
|
|||||||||||
纺织品、服装和奢侈品-0.2% |
||||||||||||
BK LC Lux Finco1 SARL,5.25%,04/30/29 (a) |
欧元 | 100 | 82,657 | |||||||||
Crocs公司 (c) |
||||||||||||
4.25%, 03/15/29 |
美元 | 369 | 272,942 | |||||||||
4.13%, 08/15/31 |
971 | 687,231 | ||||||||||
欧洲TopSoho SARL,系列SMCP,4.00%,9/21/21 (a)(j) |
欧元 | 200 | 181,530 | |||||||||
Kontoor Brands,Inc.,4.13%,11/15/29 (c) |
美元 | 525 | 416,913 | |||||||||
Levi Strauss & Co., 3.50%, 03/01/31 (c) |
668 | 546,090 | ||||||||||
威廉卡特公司,5.63%,27年3月15日 (c) |
543 | 508,470 | ||||||||||
|
|
|||||||||||
2,695,833 | ||||||||||||
储蓄和抵押金融-0.5% |
||||||||||||
doValue SpA, 3.38%, 07/31/26 (a) |
欧元 | 128 | 115,568 | |||||||||
Enact Holdings,Inc.,6.50%,08/15/25 (c) |
美元 | 2,158 | 2,035,253 | |||||||||
Home Point Capital,Inc.,5.00%,02/01/26 (c) |
1,023 | 705,870 | ||||||||||
Jerroeld Finco PLC (a) |
||||||||||||
4.88%, 01/15/26 |
英镑 | 100 | 106,879 | |||||||||
5.25%, 01/15/27 |
140 | 150,270 | ||||||||||
MGIC投资公司,5.25%,08/15/28 |
美元 | 857 | 767,401 | |||||||||
Nationstar Mortgage控股公司。 (c) 6.00%, 01/15/27 |
85 | 73,732 | ||||||||||
5.13%, 12/15/30 |
569 | 425,344 | ||||||||||
5.75%, 11/15/31 |
527 | 403,524 | ||||||||||
Rocket Mortgage LLC/Rocket Mortgage联合发行商,2.88%,10/15/26 (c) |
1,110 | 917,315 | ||||||||||
|
|
|||||||||||
5,701,156 |
安防 |
帕尔 (000) |
价值 |
||||||||
交通运输业-0.0% |
||||||||||
Autostrade Per l‘Italia Spa,2.00%,12/04/28 (a) |
欧元 | 226 | $ | 193,031 | ||||||
|
|
|||||||||
交通基础设施 (a) — 0.0% |
||||||||||
Autostrade Per l‘Italia Spa,1.63%,28年1月25日 |
150 | 130,885 | ||||||||
希思罗金融公司,4.63%,09/01/29 (n) |
英镑 | 215 | 225,471 | |||||||
|
|
|||||||||
356,356 | ||||||||||
公用事业-0.3% |
||||||||||
共识云解决方案公司 (c) |
||||||||||
6.00%, 10/15/26 |
美元 | 386 | 332,076 | |||||||
6.50%, 10/15/28 |
475 | 391,970 | ||||||||
花样能源运营公司/花样能源运营公司,4.50%,08/15/28 (c) |
1,965 | 1,709,550 | ||||||||
泰晤士水务Kemble Finance PLC,4.63%,05/19/26 (a) |
英镑 | 252 | 286,124 | |||||||
维斯特拉运营有限公司,4.38%,05/01/29 (c) |
美元 | 1,257 | 1,051,644 | |||||||
|
|
|||||||||
3,771,364 | ||||||||||
无线电信服务-1.9% |
||||||||||
法国阿尔蒂斯公司 |
||||||||||
2.50%, 01/15/25 (a) |
欧元 | 169 | 154,409 | |||||||
5.88%, 02/01/27 (a) |
100 | 90,805 | ||||||||
8.13%, 02/01/27 (c) |
美元 | 2,712 | 2,496,098 | |||||||
5.50%, 01/15/28 (c) |
1,286 | 1,036,336 | ||||||||
4.13%, 01/15/29 (a) |
欧元 | 200 | 157,818 | |||||||
5.13%, 01/15/29 (c) |
美元 | 794 | 601,542 | |||||||
5.13%, 07/15/29 (c) |
1,641 | 1,238,955 | ||||||||
4.25%, 10/15/29 (a) |
欧元 | 147 | 114,652 | |||||||
5.50%, 10/15/29 (c) |
美元 | 2,390 | 1,825,745 | |||||||
SBA通信公司 |
||||||||||
3.13%, 02/01/29 |
96 | 78,576 | ||||||||
3.88%, 02/15/27 |
5,258 | 4,799,450 | ||||||||
T-Mobile美国公司 |
||||||||||
4.75%, 02/01/28 |
396 | 383,807 | ||||||||
2.63%, 02/15/29 |
1,928 | 1,622,965 | ||||||||
3.38%, 04/15/29 |
607 | 531,125 | ||||||||
2.88%, 02/15/31 |
1,184 | 982,992 | ||||||||
3.50%, 04/15/31 |
992 | 856,523 | ||||||||
Uniti Group LP/Uniti Fibre Holdings,Inc./CSL Capital LLC,7.88%,02/15/25 (c) |
1,089 | 1,050,776 | ||||||||
Uniti Group LP/Uniti Group Finance,Inc./CSL Capital LLC,6.50%,02/15/29 (c) |
2,510 | 1,838,575 | ||||||||
VMED O2 U.K.Finding I PLC 4.00%,01/31/29 (a) |
英镑 | 200 | 193,122 | |||||||
4.25%, 01/31/31 (c) |
美元 | 257 | 206,564 | |||||||
4.50%, 07/15/31 (a) |
英镑 | 201 | 192,683 | |||||||
4.75%, 07/15/31 (c) |
美元 | 1,668 | 1,347,494 | |||||||
沃达丰集团(Vodafone Group PLC),(5年期欧元掉期+3.23%),3.00%,08/27/80 (a)(b) |
欧元 | 100 | 79,309 | |||||||
|
|
|||||||||
21,880,321 | ||||||||||
|
|
|||||||||
公司债券总额-112.1% (Cost: $1,494,541,740) |
1,296,381,435 | |||||||||
|
|
|||||||||
浮动利率贷款利息 (b) |
||||||||||
航空航天和国防-0.7% |
||||||||||
Cobham Ultra U.S.联合借款人有限责任公司,美元定期贷款B,11/17/28 (o) |
美元 | 412 | 391,058 |
66 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||
航空航天与国防(续) |
||||||||||
佩拉顿公司 |
||||||||||
2nd Lien Term Loan B1, (1 mo. LIBOR + 7.75%, 0.75% Floor), 9.00%, 02/01/29 |
美元 | 1,564 | $ | 1,450,585 | ||||||
Term Loan B, (1 mo. LIBOR + 3.75%, 0.75% Floor), 5.42%, 02/01/28 |
5,143 | 4,819,132 | ||||||||
SPIRIT航空系统公司,2021年定期贷款B,(1个月Libor+3.75%),5.42%,01/15/25 |
1,109 | 1,078,656 | ||||||||
WP CPP Holdings LLC,2018年定期贷款,(1个月Libor+3.75%,1.00%下限),4.99%,04/30/25 |
318 | 262,113 | ||||||||
|
|
|||||||||
8,001,544 | ||||||||||
航空货运和物流-0.4% |
||||||||||
AIT全球物流控股公司,2021年定期贷款,(3个月Libor+4.75%,0.75%下限),5.72%,04/06/28 |
609 | 550,485 | ||||||||
PECF USS Intermediate Holding III Corp.,定期贷款B,(1个月Libor+4.25%),5.92%,12/15/28 |
4,425 | 3,982,400 | ||||||||
|
|
|||||||||
4,532,885 | ||||||||||
航空公司-1.0% |
||||||||||
AAdvantage忠诚IP有限公司,2021定期贷款,(3个月Libor+4.75%,0.75%下限),5.81%,04/20/28 |
3,547 | 3,377,834 | ||||||||
Air Canada, 2021 Term Loan B, (3 mo. LIBOR + 3.50%, 0.75% Floor), 4.25%, 08/11/28 (g) |
1,924 | 1,765,270 | ||||||||
Mileage Plus Holdings LLC,2020定期贷款B,(3个月Libor+5.25%,1.00%下限),7.31%,06/21/27 |
1,146 | 1,129,616 | ||||||||
SkyMiles IP Ltd.,2020 SkyMiles定期贷款B,(3个月Libor+3.75%,1.00%下限),4.81%,10/20/27 |
1,648 | 1,636,151 | ||||||||
联合航空公司,2021年定期贷款B,(1个月Libor+3.75%,0.75%下限),5.39%,04/21/28 |
3,568 | 3,306,957 | ||||||||
|
|
|||||||||
11,215,828 | ||||||||||
汽车零部件-0.1% |
||||||||||
Clario Global LP,2021美元定期贷款B,(1个月Libor+3.25%),4.92%,04/30/26 |
1,242 | 1,156,338 | ||||||||
|
|
|||||||||
Banks — 0.4% |
||||||||||
DirecTV融资有限责任公司,定期贷款,(1个月Libor+5.00%,0.75%下限),6.67%,08/02/27 |
4,573 | 4,197,770 | ||||||||
|
|
|||||||||
饮料-0.1% |
||||||||||
裸露果汁有限责任公司 |
||||||||||
2nd Lien Term Loan, (SOFR + 6.00%), 8.15%, 01/24/30 (g) |
156 | 140,400 | ||||||||
Term Loan, (SOFR + 3.25%), 5.40%, 01/24/29 |
733 | 680,709 | ||||||||
|
|
|||||||||
821,109 | ||||||||||
建筑产品-0.0% |
||||||||||
标准工业公司,2021年定期贷款B,09/22/28 (o) |
— | (e) |
1 | |||||||
|
|
安防 |
帕尔 (000) |
价值 |
||||||||
资本市场-0.2% |
||||||||||
AqGen Asccount,Inc.,2021第二留置权定期贷款,(3个月Libor+6.50%),7.50%,08/02/29 (g) |
美元 | 994 | $ | 924,486 | ||||||
迪尔菲尔德达科他控股有限责任公司,2021年美元第二留置权定期贷款,(1个月。Libor+6.75%,0.75%下限),8.42%,04/07/28 |
1,206 | 1,169,820 | ||||||||
|
|
|||||||||
2,094,306 | ||||||||||
化学品-0.7% |
||||||||||
Ascend Performance Material Operations LLC,2021定期贷款B,(3个月Libor+4.75%,0.75%下限),7.00%,08/27/26 |
2,321 | 2,257,009 | ||||||||
Atotech BV, 2021 USD Term Loan B, (1 mo. LIBOR + 2.50%), 4.17%, 03/18/28 |
2,540 | 2,421,782 | ||||||||
记忆性能材料公司,定期贷款B,(1个月Libor+3.25%),4.92%,05/15/24 |
1,426 | 1,374,940 | ||||||||
New Arclin U.S.Holding Corp.,2021年定期贷款,(1个月Libor+3.75%),5.42%,09/30/28 |
885 | 814,199 | ||||||||
WR Grace Holdings LLC,2021年定期贷款B,(3个月Libor+3.75%),6.06%,09/22/28 |
1,514 | 1,432,900 | ||||||||
|
|
|||||||||
8,300,830 | ||||||||||
商业服务和供应品-0.7% |
||||||||||
Asurion LLC, 2020 Term Loan B8, (1 mo. LIBOR + 3.25%), 4.92%, 12/23/26 |
2,216 | 2,004,332 | ||||||||
GFL环境公司,2020年定期贷款,(3个月Libor+3.00%),4.24%,05/30/25 |
— | (e) |
1 | |||||||
Propusion BC Finco SARL,定期贷款,2/10/29 (g)(o) |
887 | 838,302 | ||||||||
Verscend Holding Corp.,2021年定期贷款B,(1个月Libor+4.00%),5.67%,08/27/25 |
5,496 | 5,248,765 | ||||||||
|
|
|||||||||
8,091,400 | ||||||||||
通信设备-0.1% |
||||||||||
ViaSat, Inc., Term Loan, (SOFR + 4.50%), 6.14%, 03/02/29 |
1,767 | 1,641,010 | ||||||||
|
|
|||||||||
建筑与工程-1.3% |
||||||||||
Brand Energy&Infrastructure Services,Inc.,2017年定期贷款,(3个月Libor+4.25%,1.00%下限),5.40%,06/21/24 |
14,367 | 12,357,887 | ||||||||
新Arclin美国控股公司,2021年第二留置权定期贷款,(1个月Libor+7.00%),8.67%,09/30/29 (g) |
2,814 | 2,652,195 | ||||||||
|
|
|||||||||
15,010,082 | ||||||||||
建筑材料-0.0% |
||||||||||
BCPE帝国控股公司,2022年增量定期贷款,(SOFR+4.62%),6.25%,06/11/26 |
191 | 179,230 | ||||||||
士麦那预拌混凝土有限责任公司,(SOFR+4.25%),5.88%,04/02/29 (g) |
344 | 317,218 | ||||||||
|
|
|||||||||
496,448 | ||||||||||
集装箱和包装-0.2% |
||||||||||
BWAY Holding Co.,2017年定期贷款B,(1周LIBOR+3.25%),4.31%,04/03/24 |
1,951 | 1,835,506 | ||||||||
Charge Next Generation,Inc.,2021年定期贷款,(1个月Libor+3.75%,0.75%下限),5.42%,12/01/27 |
1 | 1 | ||||||||
Clydesdale Acquisition Holdings,Inc.,定期贷款B,(SOFR+4.25%),5.88%,04/13/29 |
842 | 785,561 | ||||||||
|
|
|||||||||
2,621,068 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
67 |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
多元化消费服务--0.2% |
||||||||||||
Amentum政府服务控股有限公司,定期贷款B,(1个月Libor+3.75%),5.42%,01/29/27 |
美元 | 362 | $ | 343,315 | ||||||||
Ascend Learning LLC,2021第二留置权定期贷款,(1个月Libor+5.75%),7.42%,12/10/29 (g) |
657 | 601,155 | ||||||||||
Sotheby’s, 2021 Term Loan B, (3 mo. LIBOR + 4.50%), 5.54%, 01/15/27 |
405 | 386,693 | ||||||||||
TruGreen LP,2020第二留置权定期贷款, (1 mo. LIBOR + 8.50%, 0.75% Floor), 10.17%, 11/02/28 (g) |
868 | 828,940 | ||||||||||
|
|
|||||||||||
2,160,103 | ||||||||||||
多元化金融服务-1.0% |
||||||||||||
AqGen Island Holdings,Inc.,定期贷款 (3 mo. LIBOR + 3.50%), 5.81%, 08/02/28 (g) |
250 | 232,846 | ||||||||||
Delta TopCo, Inc., 2020 Term Loan B, (3 mo. LIBOR + 3.75%, 0.75% Floor), 5.84%, 12/01/27 |
2,101 | 1,897,901 | ||||||||||
EP买方有限责任公司,2021年定期贷款B, (3 mo. LIBOR + 3.50%), 5.75%, 11/06/28 |
369 | 350,217 | ||||||||||
Gainwell收购公司,定期贷款B, (3 mo. LIBOR + 4.00%, 0.75% Floor), 6.25%, 10/01/27 |
3,713 | 3,502,293 | ||||||||||
I-Logic Technologies Bidco Ltd.,2021美元定期贷款B,(SOFR+4.00%),6.20%,02/16/28 |
543 | 510,440 | ||||||||||
KKR Apple Bidco LLC |
||||||||||||
2021 2nd Lien Term Loan, (1 mo. LIBOR + 5.75%), 7.42%, 09/21/29 |
144 | 137,340 | ||||||||||
2021 Term Loan, (1 mo. LIBOR + 2.75%), 4.42%, 09/23/28 |
889 | 837,071 | ||||||||||
LBM收购有限责任公司,定期贷款B,(1个月Libor+3.75%,0.75%下限),5.42%,12/18/27 |
— | (e) |
5 | |||||||||
Radiate Holdco LLC,2021年定期贷款B, (1 mo. LIBOR + 3.25%, 0.75% Floor), 4.92%, 09/25/26 |
314 | 291,624 | ||||||||||
Veritas U.S., Inc., 2021 USD Term Loan B, (3 mo. LIBOR + 5.00%, 1.00% Floor), 7.25%, 09/01/25 |
2,627 | 2,143,209 | ||||||||||
白色资本买家有限责任公司,定期贷款B,(SOFR+3.75%),5.28%,10/19/27 |
1,594 | 1,464,059 | ||||||||||
|
|
|||||||||||
11,367,005 | ||||||||||||
多元化电信服务--0.1% |
||||||||||||
边疆通信公司,2021年DIP定期贷款B,(3个月。Libor+3.75%,0.75%下限),6.06%,05/01/28 |
1,124 | 1,048,957 | ||||||||||
Intelsat Jackson Holdings SA,2017年定期贷款B3,(Prime+4.75%),9.50%,11/27/23 |
4 | 3,875 | ||||||||||
|
|
|||||||||||
1,052,832 | ||||||||||||
电气设备-0.1% |
||||||||||||
盖茨全球有限责任公司,2021年定期贷款B3, (1 mo. LIBOR + 2.50%, 0.75% Floor), 4.17%, 03/31/27 |
1,231 | 1,159,222 | ||||||||||
|
|
安防 |
帕尔 (000) |
价值 |
||||||||||
食品-0.0% |
||||||||||||
Chobani LLC,2020定期贷款B,27年10月25日 (o) |
美元 | 168 | $ | 152,213 | ||||||||
|
|
|||||||||||
燃气公用事业-0.1% |
||||||||||||
自由港液化天然气投资有限公司,定期贷款B,(3个月Libor+3.50%),4.56%,12/21/28 |
1,353 | 1,165,600 | ||||||||||
|
|
|||||||||||
医疗保健提供者和服务-0.4% |
||||||||||||
达芬奇买家公司,2019年定期贷款, (3 mo. LIBOR + 4.00%, 1.00% Floor), 6.25%, 01/08/27 |
1,235 | 1,166,938 | ||||||||||
EnVision Healthcare Corp.,2018年第一笔留置权定期贷款,(1个月Libor+3.75%),5.42%,10/10/25 |
3,034 | 998,346 | ||||||||||
Eyes ecare Partners LLC,2020定期贷款,(3个月Libor+3.75%),6.00%,02/18/27 |
739 | 681,497 | ||||||||||
Quorum Health Corp.,2020年定期贷款,(3个月Libor+6.50%,1.00%下限),7.50%,04/29/25 |
1,453 | 968,625 | ||||||||||
RegionalCare医院合作伙伴控股公司,2018年定期贷款B,(1个月Libor+3.75%),5.42%,11/16/25 |
442 | 411,402 | ||||||||||
|
|
|||||||||||
4,226,808 | ||||||||||||
医疗保健服务-0.0% |
||||||||||||
医疗解决方案控股公司,2021年第二笔留置权定期贷款,(3个月伦敦银行同业拆息+7.00%),9.88%,11/01/29 |
631 | 580,520 | ||||||||||
|
|
|||||||||||
医疗保健技术-1.4% |
||||||||||||
AthenaHealth,Inc.,2022年定期贷款B,(SOFR+3.50%),5.01%,02/15/29 |
7,574 | 6,953,667 | ||||||||||
北极星新闻有限责任公司,美元定期贷款B,(1个月。Libor+4.00%),5.67%,06/02/28 |
1,255 | 1,156,338 | ||||||||||
Verscend Holding Corp.,2021年第二留置权定期贷款,(1个月Libor+7.00%),8.67%,04/02/29 (g) |
8,084 | 7,598,960 | ||||||||||
|
|
|||||||||||
15,708,965 | ||||||||||||
酒店、餐饮和休闲-0.5% |
||||||||||||
凯撒度假村集合有限责任公司,2017第一笔留置权定期贷款B,(1个月Libor+2.75%),4.42%,12/23/24 |
1,477 | 1,419,268 | ||||||||||
费尔蒂塔娱乐有限责任公司,2022年定期贷款B,(SOFR+4.00%),5.53%,01/27/29 |
2,714 | 2,764,869 | ||||||||||
伟大的加拿大博彩公司,2021年定期贷款,(3个月。Libor+4.00%,0.75%下限),6.10%,11/01/26 |
303 | 284,366 | ||||||||||
IRB Holding Corp., 2022 Term Loan B, (SOFR + 3.15%, 0.75% Floor), 4.24%, 12/15/27 |
1,157 | 1,083,510 | ||||||||||
|
|
|||||||||||
5,552,013 | ||||||||||||
家用耐用品-0.2% |
||||||||||||
Solis IV BV,美元定期贷款B1,(SOFR+3.50%),4.84%,02/26/29 |
1,135 | 973,977 | ||||||||||
Springs Windows Fashions LLC,2021定期贷款B,(1个月Libor+4.00%,0.75%下限),5.60%,10/06/28 |
2,084 | 1,706,093 | ||||||||||
|
|
|||||||||||
2,680,070 |
68 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
独立电力和可再生电力生产商-0.0% |
||||||||||||
Calpine Corp., 2019 Term Loan B10, (1 mo. LIBOR + 2.00%), 3.67%, 08/12/26 |
美元 | 92 | $ | 87,304 | ||||||||
|
|
|||||||||||
工业集团-0.2% |
||||||||||||
AVSC Holding Corp.,2018年第二笔留置权定期贷款,(3个月Libor+7.25%,下限1.00%),8.58%,09/01/25 |
1,279 | 1,013,099 | ||||||||||
Sequa Mezzanine Holdings LLC,2020延期定期贷款,(3个月。Libor+6.75%,1.00%下限),8.30%,11/28/23 |
927 | 918,190 | ||||||||||
|
|
|||||||||||
1,931,289 | ||||||||||||
保险-0.5% |
||||||||||||
联合控股中级有限责任公司 |
||||||||||||
2021 Term Loan B4, (1 mo. LIBOR + 3.50%), 5.01%, 11/06/27 |
964 | 893,969 | ||||||||||
Term Loan B, (1 mo. LIBOR + 3.25%), 4.92%, 05/09/25 |
1,970 | 1,858,402 | ||||||||||
AssuredPartners,Inc.,2022年定期贷款,(SOFR+3.50%),5.03%,02/12/27 |
1,087 | 1,011,166 | ||||||||||
Hub International Ltd.,2018年定期贷款B, (3 mo. LIBOR + 3.00%), 4.21%, 04/25/25 |
— | (e) |
1 | |||||||||
瑞安专业集团有限责任公司,定期贷款,(SOFR+3.00%,0.75%下限),4.63%,09/01/27 (g) |
543 | 521,279 | ||||||||||
Sedgwick索赔管理服务公司2018年定期贷款B,(1个月Libor+3.25%), 4.92%, 12/31/25 |
846 | 792,597 | ||||||||||
2019 Term Loan B, (1 mo. LIBOR + 3.75%), 5.42%, 09/03/26 |
498 | 472,815 | ||||||||||
2020 Term Loan B3, (1 mo. LIBOR + 4.25%, 1.00% Floor), 5.92%, 09/03/26 |
527 | 507,928 | ||||||||||
|
|
|||||||||||
6,058,157 | ||||||||||||
互动媒体和服务-0.2% |
||||||||||||
卡梅洛特美国收购有限责任公司,2020年增量定期贷款B,(1个月Libor+3.00%,1.00%下限),4.67%,10/30/26 |
367 | 345,632 | ||||||||||
Grab控股公司,定期贷款B,(6个月Libor+4.50%,1.00%下限),5.50%,01/29/26 |
2,807 | 2,553,808 | ||||||||||
|
|
|||||||||||
2,899,440 | ||||||||||||
IT服务-1.7% |
||||||||||||
班夫合并子公司 |
||||||||||||
2021 USD 2nd Lien Term Loan, (1 mo. LIBOR + 5.50%), 7.17%, 02/27/26 |
2,250 | 2,107,980 | ||||||||||
2021 USD Term Loan, (1 mo. LIBOR + 3.75%), 5.42%, 10/02/25 |
1,294 | 1,202,488 | ||||||||||
CoreLogic,Inc.,第二留置权定期贷款,(1个月伦敦银行同业拆息+6.50%),8.19%,06/04/29 (g) |
1,285 | 925,057 | ||||||||||
Greeneden U.S.Holdings II LLC,2020美元定期贷款B4,(1个月Libor+4.00%,0.75%下限),5.67%,12/01/27 |
1,342 | 1,279,536 | ||||||||||
Optiv Security,Inc.,第一留置权定期贷款, (6 mo. LIBOR + 3.25%, 1.00% Floor), 5.33%, 02/01/24 |
1,219 | 1,163,820 | ||||||||||
PUG LLC, USD Term Loan, (1 mo. LIBOR + 3.50%), 5.17%, 02/12/27 (g) |
2,299 | 2,069,294 |
安防 |
帕尔 (000) |
价值 |
||||||||||
IT服务(续) |
||||||||||||
Sophia LP, 2020 2nd Lien Term Loan, (3 mo. LIBOR + 8.00%, 1.00% Floor), 10.25%, 10/09/28 |
美元 | 10,251 | $ | 10,174,118 | ||||||||
TierPoint LLC, 2021 Term Loan, (1 mo. LIBOR + 3.75%, 0.75% Floor), 5.42%, 05/05/26 (g) |
343 | 319,734 | ||||||||||
|
|
|||||||||||
19,242,027 | ||||||||||||
休闲产品-0.0% |
||||||||||||
Peloton Interactive,Inc.,定期贷款,(SOFR+6.50%),8.35%,05/25/27 |
512 | 486,723 | ||||||||||
|
|
|||||||||||
机械-1.1% |
||||||||||||
过滤集团公司,2021年增量定期贷款,(1个月Libor+3.50%),5.17%,10/21/28 |
1,216 | 1,133,745 | ||||||||||
麦迪逊IAQ有限责任公司,定期贷款,(6个月Libor+3.25%),4.52%,06/21/28 |
— | (e) |
1 | |||||||||
三菱重工控股有限公司,定期贷款B,(1个月Libor+5.00%),7.25%,09/21/26 (g) |
1,986 | 1,892,090 | ||||||||||
SPX Flow, Inc., (SOFR + 4.50%), 6.13%, 04/05/29 |
1,918 | 1,782,793 | ||||||||||
泰坦收购有限公司,2018年定期贷款B, (6 mo. LIBOR + 3.00%), 5.88%, 03/28/25 |
8,501 | 7,776,709 | ||||||||||
|
|
|||||||||||
12,585,338 | ||||||||||||
Media — 1.5% |
||||||||||||
Altices Finding SA,2017美元定期贷款B,(3个月Libor+2.75%),3.79%,07/15/25 |
238 | 214,196 | ||||||||||
Clear Channel Outdoor Holdings,Inc.定期贷款B,(3个月Libor+3.50%),4.74%,08/21/26 |
6,513 | 5,576,924 | ||||||||||
连接Finco SARL,2021年定期贷款B, (1 mo. LIBOR + 3.50%, 1.00% Floor), 5.17%, 12/12/26 |
502 | 460,185 | ||||||||||
国际通信卫星组织杰克逊控股公司,2021年退出定期贷款B,(SOFR+4.25%),4.92%,02/01/29 |
1,850 | 1,692,636 | ||||||||||
MH Sub I LLC |
||||||||||||
2017 1st Lien Term Loan, (1 mo. LIBOR + 3.50%), 5.42%, 09/13/24 |
2,732 | 2,566,607 | ||||||||||
2020 Incremental Term Loan, (1 mo. LIBOR + 3.75%, 1.00% Floor), 5.42%, 09/13/24 |
826 | 776,494 | ||||||||||
2021 2nd Lien Term Loan, (1 mo. LIBOR + 6.25%), 7.92%, 02/23/29 |
288 | 270,239 | ||||||||||
Zayo集团控股公司,美元定期贷款,(1个月。Libor+3.00%),4.67%,03/09/27 |
6,160 | 5,661,542 | ||||||||||
|
|
|||||||||||
17,218,823 | ||||||||||||
金属和矿业-0.0% |
||||||||||||
研磨媒体公司,2021年定期贷款B, (3 mo. LIBOR + 4.00%, 0.75% Floor), 4.80%, 10/12/28 (g) |
149 | 136,662 | ||||||||||
|
|
|||||||||||
石油、天然气和消耗性燃料-1.0% |
||||||||||||
Asccent Resources Utica LLC,2020固定第二留置权定期贷款,(3个月Libor+9.00%,下限1.00%),10.02%,11/01/25 |
11,117 | 11,654,006 | ||||||||||
Lealand Finance Co.BV,2020发放全定期贷款,(1个月Libor+3.00%),4.67%,06/28/24 |
90 | 54,239 | ||||||||||
|
|
|||||||||||
11,708,245 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
69 |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
专业服务--0.4% |
||||||||||||
邓白氏公司 |
||||||||||||
2022 Incremental Term Loan B2, (SOFR + 3.25%), 4.75%, 01/18/29 |
美元 | 533 | $ | 496,530 | ||||||||
Term Loan, (1 mo. LIBOR + 3.25%), 4.87%, 02/06/26 |
1,831 | 1,724,023 | ||||||||||
元素材料科技集团美国控股公司 |
||||||||||||
2022美元延迟提取定期贷款B,0.00%,04/12/29 |
297 | 283,932 | ||||||||||
2022美元延迟提取定期贷款D/12/29 (o) |
642 | 615,186 | ||||||||||
Galaxy U.S.OPCO,Inc.,定期贷款,(SOFR+4.75%),6.28%,04/29/29 |
1,339 | 1,253,639 | ||||||||||
|
|
|||||||||||
4,373,310 | ||||||||||||
房地产管理和开发-0.2% |
||||||||||||
张伯伦集团公司,定期贷款B,(1个月Libor+3.50%),5.17%,11/03/28 |
1,980 | 1,783,688 | ||||||||||
|
|
|||||||||||
半导体和半导体设备-0.1% |
||||||||||||
MKS仪器公司,2022年定期贷款B,04/08/29 (o) |
1,043 | 995,256 | ||||||||||
|
|
|||||||||||
软件-3.7% |
||||||||||||
梭鱼网络公司,2020第二留置权定期贷款,(3个月Libor+6.75%,0.75%下限),7.99%,10/30/28 |
722 | 719,819 | ||||||||||
Central Parent,Inc.,2022美元定期贷款B,07/06/29 (o) |
869 | 819,145 | ||||||||||
Cloudera公司 |
||||||||||||
2021 Second Lien Term Loan, (1 mo. LIBOR + 6.00%), 7.67%, 10/08/29 (g) |
1,463 | 1,272,810 | ||||||||||
2021 Term Loan, (1 mo. LIBOR + 3.75%), 5.42%, 10/08/28 |
3,293 | 3,020,933 | ||||||||||
Digicel国际金融有限公司,2017年定期贷款B,(1个月Libor+3.25%),4.92%,05/28/24 (g) |
1,936 | 1,669,940 | ||||||||||
Epicor Software Corp. |
||||||||||||
2020 2nd Lien Term Loan, (1 mo. LIBOR + 7.75%, 1.00% Floor), 9.42%, 07/31/28 |
506 | 489,808 | ||||||||||
2020 Term Loan, (1 mo. LIBOR + 3.25%, 0.75% Floor), 4.92%, 07/30/27 |
894 | 842,401 | ||||||||||
Helios Software Holdings,Inc.,2021年美元定期贷款B,(3个月Libor+3.75%),5.95%,03/11/28 |
406 | 372,809 | ||||||||||
洋红色买家有限责任公司 |
||||||||||||
2021 USD 1st Lien Term Loan, (3 mo. LIBOR + 5.00%, 0.75% Floor), 6.23%, 07/27/28 |
4,526 | 4,055,693 | ||||||||||
2021 USD 2nd Lien Term Loan, (3 mo. LIBOR + 8.25%, 0.75% Floor), 9.48%, 07/27/29 |
2,293 | 2,086,630 | ||||||||||
McAfee LLC, 2022 USD Term Loan B, (SOFR + 4.00%), 5.15%, 03/01/29 |
5,121 | 4,647,386 | ||||||||||
Planview Parent,Inc.,第二留置权定期贷款,(3个月Libor+7.25%,0.75%下限), 8.92%, 12/18/28 (g) |
850 | 807,500 | ||||||||||
Proofpoint,Inc.,第二留置权定期贷款,(1个月Libor+6.25%),7.82%,08/31/29 |
2,006 | 1,915,730 | ||||||||||
RealPage,Inc. |
||||||||||||
1st Lien Term Loan, (1 mo. LIBOR + 3.00%), 4.67%, 04/24/28 |
1,247 | 1,149,709 |
安防 |
帕尔 (000) |
价值 |
||||||||||
软件(续) |
||||||||||||
RealPage,Inc.(续) |
||||||||||||
2nd Lien Term Loan, (1 mo. LIBOR + 6.50%, 0.75% Floor), 8.17%, 04/23/29 |
美元 | 6,751 | $ | 6,402,502 | ||||||||
复兴控股公司,2018年第一笔留置权定期贷款,(1个月Libor+3.25%), 4.92%, 05/30/25 |
1,768 | 1,669,659 | ||||||||||
萨伯瑞全球公司 |
||||||||||||
2021 Term Loan B1, (1 mo. LIBOR + 3.50%), 5.17%, 12/17/27 |
526 | 490,479 | ||||||||||
2021 Term Loan B2, (1 mo. LIBOR + 3.50%), 5.17%, 12/17/27 |
838 | 781,852 | ||||||||||
Severin收购有限责任公司,2018年定期贷款B,(1个月Libor+3.00%),4.62%,08/01/25 |
2,165 | 2,074,309 | ||||||||||
Sophia LP, 2021 Term Loan B, (3 mo. LIBOR + 3.25%), 5.50%, 10/07/27 |
2,803 | 2,608,849 | ||||||||||
索沃斯合规有限责任公司 |
||||||||||||
2021 Delayed Draw Term Loan, (1 mo. LIBOR + 4.50%), 6.15%, 08/11/28 |
100 | 93,552 | ||||||||||
2021 Term Loan, (1 mo. LIBOR + 4.50%), 6.17%, 08/11/28 |
574 | 539,023 | ||||||||||
Tempo收购有限责任公司,非延期定期贷款,(1个月Libor+2.75%),4.42%,05/01/24 |
200 | 196,950 | ||||||||||
Tibco Software,Inc.,2020第二留置权定期贷款,(1个月Libor+7.25%),7.25%,03/03/28 |
1,576 | 1,542,116 | ||||||||||
旗舰软件集团公司 |
||||||||||||
2021 2nd Lien Term Loan, (3 mo. LIBOR + 5.25%), 6.21%, 05/03/27 |
2,065 | 1,899,944 | ||||||||||
2021 Term Loan, (3 mo. LIBOR + 3.25%), 4.21%, 05/04/26 |
749 | 699,987 | ||||||||||
|
|
|||||||||||
42,869,535 | ||||||||||||
特色零售-0.0% |
||||||||||||
PetSmart,Inc.,2021年定期贷款B, (3 mo. LIBOR + 3.75%, 0.75% Floor), 4.50%, 02/11/28 |
66 | 61,456 | ||||||||||
Staples,Inc.,7年期定期贷款,(3个月Libor+5.00%),6.29%,04/16/26 |
648 | 562,120 | ||||||||||
|
|
|||||||||||
623,576 | ||||||||||||
纺织品、服装和奢侈品-0.3% |
||||||||||||
Crocs, Inc., Term Loan B, (SOFR + 3.50%), 4.45%, 02/17/29 |
4,319 | 3,922,274 | ||||||||||
|
|
|||||||||||
贸易公司和分销商-0.2% |
||||||||||||
基础建材控股有限公司,2021年定期贷款,(3个月Libor+3.25%),4.49%,01/31/28 (g) |
564 | 490,538 | ||||||||||
SRS分销公司,2022年增量定期贷款,(SOFR+3.50%),4.00%,06/02/28 |
1,538 | 1,413,390 | ||||||||||
|
|
|||||||||||
1,903,928 | ||||||||||||
运输业--0.1% |
||||||||||||
布朗集团控股,有限责任公司,2022年定期贷款B2,07/02/29 (o) |
1,277 | 1,223,787 | ||||||||||
|
|
|||||||||||
浮动利率贷款利息总额-21.1% |
||||||||||||
(Cost: $263,522,784) |
244,035,332 | |||||||||||
|
|
70 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
优先证券 |
||||||||||||
资本信托-1.8% (b)(d) |
||||||||||||
汽车 (k) — 0.1% |
||||||||||||
通用汽车金融公司,C系列,5.70% |
美元 | 655 | $ | 569,850 | ||||||||
大众国际金融公司 (a) 3.75% |
欧元 | 100 | 89,076 | |||||||||
4.38% |
100 | 84,083 | ||||||||||
|
|
|||||||||||
743,009 | ||||||||||||
银行 (k) — 0.1% |
||||||||||||
AIB Group PLC,5.25% (a) |
200 | 190,465 | ||||||||||
Caixabank SA,6.38% (a) |
200 | 207,494 | ||||||||||
法国农业信贷银行,4.75% (c) |
美元 | 1,095 | 850,997 | |||||||||
|
|
|||||||||||
1,248,956 | ||||||||||||
多元化金融服务 (k) — 1.2% |
||||||||||||
巴克莱银行,4.38% |
2,490 | 1,909,490 | ||||||||||
瑞士信贷集团 (c) 6.38% |
1,658 | 1,369,919 | ||||||||||
5.25% |
1,077 | 831,966 | ||||||||||
6.25% |
200 | 182,000 | ||||||||||
德意志银行,6.75% (a) |
欧元 | 200 | 187,194 | |||||||||
汇丰控股,6.00% |
美元 | 2,298 | 2,059,582 | |||||||||
摩根大通。 |
||||||||||||
系列FF,5.00% |
5,918 | 5,222,635 | ||||||||||
系列HH,4.60% |
1,416 | 1,195,842 | ||||||||||
Q系列,5.15% |
850 | 804,313 | ||||||||||
|
|
|||||||||||
13,762,941 | ||||||||||||
多元化电信服务-0.0% |
||||||||||||
英国电信公司,4.88%,81年11月23日 (c) |
200 | 170,000 | ||||||||||
|
|
|||||||||||
电力公司 (k) — 0.1% |
||||||||||||
爱迪生国际,B系列,5.00% |
940 | 747,893 | ||||||||||
Naturgy Finance BV,2.37% (a) |
欧元 | 200 | 161,908 | |||||||||
|
|
|||||||||||
909,801 | ||||||||||||
食品和史泰博零售业-0.0% |
||||||||||||
赌场Guichard Perrachon SA,3.99% (a)(k) |
100 | 39,979 | ||||||||||
|
|
|||||||||||
医疗保健提供者和服务-0.0% |
||||||||||||
科里安公司,4.13% (a)(k) |
英镑 | 200 | 191,139 | |||||||||
|
|
|||||||||||
独立电力和可再生电力生产商-0.1% |
||||||||||||
维斯特拉公司,7.00% (c)(k) |
美元 | 1,272 | 1,154,340 | |||||||||
|
|
|||||||||||
互联网和直销零售-0.0% |
||||||||||||
乐天集团,Inc.,4.25% (a)(k) |
欧元 | 225 | 162,722 | |||||||||
|
|
|||||||||||
Media — 0.0% |
||||||||||||
SES SA, 2.88% (a)(k) |
300 | 262,511 | ||||||||||
|
|
|||||||||||
石油、天然气和消耗性燃料 (a)(k) — 0.0% |
||||||||||||
Abertis基础设施金融BV,3.25% |
200 | 167,166 | ||||||||||
BP Capital Markets PLC,4.25% |
英镑 | 125 | 132,811 | |||||||||
雷普索尔国际金融公司 3.75% |
欧元 | 100 | 94,347 | |||||||||
4.25% |
100 | 89,600 | ||||||||||
|
|
|||||||||||
483,924 | ||||||||||||
交通基础设施-0.0% |
||||||||||||
意大利邮政水疗中心,2.63% (a)(k) |
200 | 145,665 | ||||||||||
|
|
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
公用事业 (a)(k) — 0.1% |
||||||||||||
法国电力公司3.00% |
欧元 | 200 | $ | 159,027 | ||||||||
2.88% |
200 | 162,432 | ||||||||||
3.38% |
400 | 272,450 | ||||||||||
6.00% |
英镑 | 100 | 107,281 | |||||||||
|
|
|||||||||||
701,190 | ||||||||||||
无线电信服务 (a) — 0.1% |
||||||||||||
沃达丰集团PLC 2.63%, 08/27/80 |
欧元 | 400 | 361,753 | |||||||||
4.20%, 10/03/78 |
200 | 184,439 | ||||||||||
|
|
|||||||||||
546,192 | ||||||||||||
|
|
|||||||||||
20,522,369 | ||||||||||||
|
|
|||||||||||
股票 |
||||||||||||
|
||||||||||||
优先股-1.2% |
||||||||||||
Banks — 0.0% |
||||||||||||
Cf-B L2(D)LLC,(收购04/08/15, Cost: $666,513) (f) |
680,898 | 12,581 | ||||||||||
|
|
|||||||||||
商业服务和用品-0.1% |
||||||||||||
Verscend中间持股 (g) |
790 | 914,362 | ||||||||||
|
|
|||||||||||
保险--0.1% |
||||||||||||
安联控股有限公司 (g) |
1,431 | 1,296,704 | ||||||||||
|
|
|||||||||||
互动媒体和服务-0.9% |
||||||||||||
字节跳动有限公司,系列E-1,(收购11/11/20, Cost: $7,000,256) (f)(g) |
|
63,886 | 10,574,153 | |||||||||
|
|
|||||||||||
无线电信服务-0.1% |
||||||||||||
Ligado Networks LLC |
32,168 | 1,351,073 | ||||||||||
|
|
|||||||||||
14,148,873 | ||||||||||||
|
|
|||||||||||
优先证券总额-3.0% (Cost: $39,376,732) |
|
34,671,242 | ||||||||||
|
|
|||||||||||
长期投资总额-138.5% (Cost: $1,850,075,851) |
|
1,600,914,960 | ||||||||||
|
|
|||||||||||
短期证券 |
||||||||||||
货币市场基金-0.2% |
||||||||||||
贝莱德流动性基金,T基金,机构类,1.33% (p)(q) |
2,647,274 | 2,647,274 | ||||||||||
|
|
|||||||||||
短期证券总额-0.2% (Cost: $2,647,274) |
|
2,647,274 | ||||||||||
|
|
|||||||||||
总投资-138.7% (Cost: $1,852,723,125) |
|
1,603,562,234 | ||||||||||
负债超过其他资产-(38.7%) |
|
(447,530,893 | ) | |||||||||
|
|
|||||||||||
净资产-100.0% |
$ | 1,156,031,341 | ||||||||||
|
|
(a) |
根据1933年证券法的S规定,这种证券可以转售给合格的外国投资者和外国机构买家。 |
(b) |
可变利率证券。利率会定期重置。显示的利率是期末的实际利率。安全说明还包括参考利率和利差(如果已发布并可用)。 |
(c) |
根据修订后的1933年证券法,根据规则144A豁免注册的证券。这些证券可以在豁免注册的交易中转售给合格机构投资者。 |
(d) |
非创收证券。 |
(e) |
四舍五入到不到1000。 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
71 |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) |
(f) |
关于转售的受限证券,不包括144A证券。该信托持有受限证券,现值为11,578,875美元,占其截至期末净资产的1.0%,原始成本为9,266,121美元。 |
(g) |
安全使用重大的不可观察的投入进行估值,并在公允价值层次结构中被归类为第三级。 |
(h) |
全部或部分证券已被质押和/或分离为与所发行的未偿还交易所交易期权相关的抵押品。 |
(i) |
实物支付证券,可以以额外的面值/股份和/或现金支付利息/股息。显示的费率是当前费率和可能的付款费率。 |
(j) |
发行人申请破产和/或违约。 |
(k) |
没有规定到期日的永久证券。 |
(l) |
零息债券。 |
(m) |
全部或部分证券由一家全资子公司持有。有关全资附属公司的详情,请参阅财务报表附注1。 |
(n) |
步步优惠券保安。票面利率将定期增加(升级债券)或降低(降级债券),直至到期。显示的利率反映了当前有效的利率。 |
(o) |
表示期末未结清的贷款承诺。在结算日之前,与此次收购相关的某些细节尚不清楚,包括票面利率。 |
(p) |
信托基金的附属机构。 |
(q) |
截至期末的年化7日收益率。 |
关联发行商 |
价值在 12/31/21 |
购买 按成本计算 |
收益 来自销售部门 |
网络 已实现 得(损) |
更改中 未实现 欣赏 (折旧) |
价值在 06/30/22 |
股票 持有时间 06/30/22 |
收入 |
资本利得 分配 从… 潜在的 基金 |
|||||||||||||||||||||||||||
贝莱德流动性基金、T基金、机构类 |
$ | — | $ | 2,647,274 | (a) |
$ | — | $ | — | $ | — | $ | 2,647,274 | 2,647,274 | $ | 1,883 | $ | — | ||||||||||||||||||
IShares优先收益证券ETF (b) |
8,004,290 | — | (6,688,816 | ) | (738,522 | ) | (576,952 | ) | — | — | 100,053 | — | ||||||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|||||||||||||||||||||||||||
$ | (738,522 | ) | $ | (576,952 | ) | $ | 2,647,274 | $ | 101,936 | $ | — | |||||||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
(a) |
代表净买入(卖出)金额。 |
(b) |
截至期末,该实体不再被持有。 |
描述 |
数量 合同 |
期满 日期 |
概念上的 金额(000) |
价值/ 未实现 欣赏 (折旧) |
||||||||||||
空头合约 |
||||||||||||||||
欧元BTP |
3 | 09/08/22 | $ | 387 | $ | (10,786 | ) | |||||||||
10年期美国国债 |
55 | 09/21/22 | 6,510 | 62,915 | ||||||||||||
美国长债 |
4 | 09/21/22 | 552 | 4,544 | ||||||||||||
超级美国国债 |
68 | 09/21/22 | 10,495 | 173,848 | ||||||||||||
|
|
|||||||||||||||
$ | 230,521 | |||||||||||||||
|
|
购买的货币 |
售出的货币 |
交易对手 |
结算日 |
未实现 欣赏 (折旧) |
||||||||||||||||||||||
美元 |
34,341,532 | EUR | 32,038,000 | 法国巴黎银行 | 09/21/22 | $ | 580,460 | |||||||||||||||||||
美元 |
47,540 | 欧元 | 45,000 | 摩根士丹利国际公司 | 09/21/22 | 120 | ||||||||||||||||||||
美元 |
98,403 | 欧元 | 93,000 | NatWest Markets PLC | 09/21/22 | 402 | ||||||||||||||||||||
美元 |
195,062 | 欧元 | 185,000 | NatWest Markets PLC | 09/21/22 | 112 | ||||||||||||||||||||
美元 |
32,976 | 欧元 | 31,000 | 多伦多道明银行 | 09/21/22 | 308 | ||||||||||||||||||||
美元 |
7,140,606 | 英镑 | 5,694,000 | NatWest Markets PLC | 09/21/22 | 198,929 | ||||||||||||||||||||
|
|
|||||||||||||||||||||||||
780,331 | ||||||||||||||||||||||||||
|
|
72 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) |
货币 购得 |
售出的货币 |
交易对手 |
结算日 |
未实现 欣赏 (折旧) |
||||||||||||||||||||||
美元 |
35,758 | EUR | 34,000 | 道富银行信托公司 | 09/21/22 | $ | (71 | ) | ||||||||||||||||||
美元 |
9,638 | 英镑 | 8,000 | 澳大利亚联邦银行 | 09/21/22 | (115 | ) | |||||||||||||||||||
|
|
|||||||||||||||||||||||||
(186 | ) | |||||||||||||||||||||||||
|
|
|||||||||||||||||||||||||
$ | 780,145 | |||||||||||||||||||||||||
|
|
参考债务/索引 |
融资 接收的速率 由信托基金 |
付款 频率 |
交易对手 |
终端 日期 |
信用 额定值 (a) |
概念上的 金额(000) (b) |
价值 |
预付费用 补价 已支付 (已收到) |
未实现 欣赏 (折旧) |
|||||||||||||||||||||||||||
Guichard-Perrachon S.A.赌场 |
5.00 | % | 季刊 | 摩根大通银行N.A. |
06/20/23 | B | 欧元 | 80 | $ | (12,008 | ) | $ | (6,938 | ) | $ | (5,070 | ) | |||||||||||||||||||
Novafives S.A.S. |
5.00 | 季刊 | 花旗银行N.A. |
06/20/23 | B- | 欧元 | 60 | (6,968 | ) | (4,009 | ) | (2,959 | ) | |||||||||||||||||||||||
Novafives S.A.S. |
5.00 | 季刊 | 高盛国际 |
06/20/23 | B- | 欧元 | 25 | (2,959 | ) | (1,679 | ) | (1,280 | ) | |||||||||||||||||||||||
Novafives S.A.S. |
5.00 | 季刊 | 高盛国际 |
06/20/23 | B- | 欧元 | 15 | (1,686 | ) | (1,025 | ) | (661 | ) | |||||||||||||||||||||||
CenturyLink公司 |
1.00 | 季刊 | 巴克莱银行公司 |
12/20/23 | 天然橡胶 | 美元 | 856 | (24,612 | ) | (20,391 | ) | (4,221 | ) | |||||||||||||||||||||||
CenturyLink公司 |
1.00 | 季刊 | 巴克莱银行公司 |
06/20/25 | 天然橡胶 | 美元 | 1,221 | (109,524 | ) | (101,832 | ) | (7,692 | ) | |||||||||||||||||||||||
佛吉亚东南部 |
5.00 | 季刊 | 摩根大通银行N.A. |
06/20/25 | BB | 欧元 | 20 | 200 | 924 | (724 | ) | |||||||||||||||||||||||||
Adler Real Estate AG |
5.00 | 季刊 | 摩根士丹利国际公司 |
12/20/25 | CCC | EUR 60 | (19,349 | ) | 7,341 | (26,690 | ) | |||||||||||||||||||||||||
维珍传媒金融公司 |
5.00 | 季刊 | 摩根大通银行N.A. |
12/20/25 | B | 欧元 | 70 | 1,798 | 6,632 | (4,834 | ) | |||||||||||||||||||||||||
Adler Real Estate AG |
5.00 | 季刊 | 摩根大通银行N.A. |
06/20/26 | 天然橡胶 | 欧元 | 50 | (16,400 | ) | 4,179 | (20,579 | ) | ||||||||||||||||||||||||
Adler Real Estate AG |
5.00 | 季刊 | 摩根大通银行N.A. |
06/20/26 | 天然橡胶 | 欧元 | 50 | (16,400 | ) | 4,694 | (21,094 | ) | ||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 瑞士信贷国际 |
06/20/26 | BB+ | 欧元 | 30 | (427 | ) | 1,254 | (1,681 | ) | ||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 高盛国际 |
06/20/26 | BB+ | 欧元 | 20 | (285 | ) | 1,508 | (1,793 | ) | ||||||||||||||||||||||||
Adler Real Estate AG |
5.00 | 季刊 | 花旗银行N.A. |
12/20/26 | CCC | 欧元 | 20 | (6,657 | ) | 441 | (7,098 | ) | ||||||||||||||||||||||||
Adler Real Estate AG |
5.00 | 季刊 | 高盛国际 |
12/20/26 | CCC | 欧元 | 10 | (3,329 | ) | (21 | ) | (3,308 | ) | |||||||||||||||||||||||
Adler Real Estate AG |
5.00 | 季刊 | 摩根大通银行N.A. |
12/20/26 | CCC | 欧元 | 40 | (13,314 | ) | — | (13,314 | ) | ||||||||||||||||||||||||
Adler Real Estate AG |
5.00 | 季刊 | 摩根士丹利国际公司 |
12/20/26 | CCC | EUR 10 | (3,329 | ) | 42 | (3,371 | ) | |||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 摩根大通银行N.A. |
12/20/26 | BB+ | 欧元 | 100 | (2,952 | ) | 3,973 | (6,925 | ) | ||||||||||||||||||||||||
捷豹路虎汽车公司 |
5.00 | 季刊 | 美国银行N.A. |
12/20/26 | B+ | 欧元 | 50 | (8,127 | ) | (1,953 | ) | (6,174 | ) | |||||||||||||||||||||||
捷豹路虎汽车公司 |
5.00 | 季刊 | 巴克莱银行公司 |
12/20/26 | B+ | 欧元 | 41 | (6,601 | ) | 1,588 | (8,189 | ) | ||||||||||||||||||||||||
捷豹路虎汽车公司 |
5.00 | 季刊 | 瑞士信贷国际 |
12/20/26 | B+ | 欧元 | 39 | (6,416 | ) | 1,633 | (8,049 | ) | ||||||||||||||||||||||||
捷豹路虎汽车公司 |
5.00 | 季刊 | 瑞士信贷国际 |
12/20/26 | B+ | 欧元 | 55 | (8,940 | ) | 2,115 | (11,055 | ) | ||||||||||||||||||||||||
捷豹路虎汽车公司 |
5.00 | 季刊 | 摩根士丹利国际公司 |
12/20/26 | B+ | EUR 55 | (8,940 | ) | 2,507 | (11,447 | ) | |||||||||||||||||||||||||
K&S公司 |
5.00 | 季刊 | 摩根大通银行N.A. |
12/20/26 | BB | 欧元 | 90 | 7,429 | 7,244 | 185 | ||||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 巴克莱银行公司 |
06/20/27 | BB+ | 欧元 | 10 | (440 | ) | 317 | (757 | ) | ||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 瑞士信贷国际 |
06/20/27 | BB+ | 欧元 | 180 | (7,814 | ) | 8,213 | (16,027 | ) | ||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 瑞士信贷国际 |
06/20/27 | BB+ | 欧元 | 56 | (2,428 | ) | 1,882 | (4,310 | ) | ||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 摩根大通银行N.A. |
06/20/27 | BB+ | 欧元 | 56 | (2,439 | ) | 2,048 | (4,487 | ) | ||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 摩根大通银行N.A. |
06/20/27 | BB+ | 欧元 | 53 | (2,293 | ) | 1,925 | (4,218 | ) | ||||||||||||||||||||||||
CMA CGM SA |
5.00 | 季刊 | 摩根大通银行N.A. |
06/20/27 | BB+ | 欧元 | 15 | (649 | ) | 539 | (1,188 | ) | ||||||||||||||||||||||||
立博珊瑚集团有限公司 |
1.00 | 季刊 | 摩根大通银行N.A. |
06/20/27 | BB | 欧元 | 180 | (30,056 | ) | (31,846 | ) | 1,790 | ||||||||||||||||||||||||
立博珊瑚集团有限公司 |
1.00 | 季刊 | 摩根大通银行N.A. |
06/20/27 | BB | 欧元 | 50 | (8,349 | ) | (5,545 | ) | (2,804 | ) | |||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||||||||
$ | (324,264 | ) | $ | (114,240 | ) | $ | (210,024 | ) | ||||||||||||||||||||||||||||
|
|
|
|
|
|
(a) |
使用标准普尔全球评级提供的发行人评级或该指数的标的证券(如适用)。 |
(b) |
如果发生协议条款所定义的负信用事件,信托可能支付的最大潜在金额。 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
73 |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) |
由信托基金支付 |
由信托基金收到 |
有效 日期 |
终端 日期 |
概念上的 金额(000) |
|
预付费用 补价 已支付 (已收到) |
未实现 欣赏 (折旧) |
|||||||||||||||||||||||||||||||||
费率 |
频率 |
参考 |
频率 |
交易对手 |
价值 |
|||||||||||||||||||||||||||||||||||
1天SOFR,0.82% |
季刊 | Markit iBoxx$Liquid高收益指数 |
每月 | 摩根士丹利国际公司 | 不适用 | 09/20/22 | 美元 | 6,125 | $ | (811,135 | ) | $ | (135 | ) | $ | (811,000 | ) | |||||||||||||||||||||||
1天SOFR,0.82% |
季刊 | Markit iBoxx$Liquid高收益指数 |
每月 | 摩根士丹利国际公司 | 不适用 | 09/20/22 | 美元 | 3,546 | (464,913 | ) | (83 | ) | (464,830 | ) | ||||||||||||||||||||||||||
1天SOFR,0.82% |
季刊 | Markit iBoxx$Liquid高收益指数 |
每月 | 摩根大通银行N.A. | 不适用 | 12/20/22 | 美元 | 1,000 | (133,477 | ) | (23 | ) | (133,454 | ) | ||||||||||||||||||||||||||
1天SOFR,0.82% |
季刊 | Markit iBoxx$Liquid高收益指数 |
每月 | 摩根士丹利国际公司 | 不适用 | 12/20/22 | 美元 | 3,084 | (413,076 | ) | (72 | ) | (413,004 | ) | ||||||||||||||||||||||||||
1天SOFR,0.82% |
季刊 | Markit iBoxx$Liquid高收益指数 |
每月 | 摩根士丹利国际公司 | 不适用 | 12/20/22 | 美元 | 2,859 | (390,659 | ) | (67 | ) | (390,592 | ) | ||||||||||||||||||||||||||
1天SOFR,0.82% |
季刊 | Markit iBoxx$Liquid高收益指数 |
每月 | 摩根士丹利国际公司 | 不适用 | 12/20/22 | 美元 | 1,513 | (186,975 | ) | (69 | ) | (186,906 | ) | ||||||||||||||||||||||||||
1天SOFR,0.82% |
季刊 | Markit iBoxx$Liquid高收益指数 |
每月 | 摩根士丹利国际公司 | 不适用 | 12/20/22 | 美元 | 3,071 | (181,436 | ) | (1,074 | ) | (180,362 | ) | ||||||||||||||||||||||||||
1天SOFR,0.82% |
季刊 | Markit iBoxx$Liquid高收益指数 |
每月 | 摩根士丹利国际公司 | 不适用 | 12/20/22 | 美元 | 9,430 | (391,442 | ) | (4,334 | ) | (387,108 | ) | ||||||||||||||||||||||||||
1天SOFR,0.82% |
季刊 | Markit iBoxx$Liquid高收益指数 |
每月 | 法国巴黎银行 | 不适用 | 03/20/23 | 美元 | 3,507 | (146,441 | ) | (1,686 | ) | (144,755 | ) | ||||||||||||||||||||||||||
1天SOFR,0.82% |
季刊 | Markit iBoxx$Liquid高收益指数 |
每月 | 摩根大通银行N.A. | 不适用 | 03/20/23 | 美元 | 2,048 | (138,869 | ) | (1,645 | ) | (137,224 | ) | ||||||||||||||||||||||||||
|
|
|
|
|
|
|||||||||||||||||||||||||||||||||||
$ | (3,258,423 | ) | $ | (9,188 | ) | $ | (3,249,235 | ) | ||||||||||||||||||||||||||||||||
|
|
|
|
|
|
描述 |
交换 保费 已支付 |
交换 保费 已收到 |
未实现 欣赏 |
未实现 折旧 |
||||||||||||
场外掉期 |
$ | 60,999 | $ | (184,427 | ) | $ | 1,975 | $ | (3,461,234 | ) |
74 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) |
商品 合同 |
信用 合同 |
权益 合同 |
外国 货币 交易所 合同 |
利息 费率 合同 |
其他 合同 |
总计 |
||||||||||||||||||||||
资产-衍生金融工具 |
||||||||||||||||||||||||||||
期货合约 |
||||||||||||||||||||||||||||
期货合约未实现增值 (a) |
$ | — | $ | — | $ | — | $ | — | $ | 241,307 | $ | — | $ | 241,307 | ||||||||||||||
远期外币兑换合约 |
||||||||||||||||||||||||||||
远期外汇合约的未实现升值 |
— | — | — | 780,331 | — | — | 780,331 | |||||||||||||||||||||
掉期-场外交易 |
||||||||||||||||||||||||||||
场外掉期未实现增值;支付掉期溢价 |
— | 62,974 | — | — | — | — | 62,974 | |||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
$ | — | $ | 62,974 | $ | — | $ | 780,331 | $ | 241,307 | $ | — | $ | 1,084,612 | |||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
负债--衍生金融工具 |
||||||||||||||||||||||||||||
期货合约 |
||||||||||||||||||||||||||||
期货合约未实现折旧 (a) |
$ | — | $ | — | $ | — | $ | — | $ | 10,786 | $ | — | $ | 10,786 | ||||||||||||||
远期外币兑换合约 |
||||||||||||||||||||||||||||
远期外币兑换合约未实现贬值 |
— | — | — | 186 | — | — | 186 | |||||||||||||||||||||
掉期-场外交易 |
||||||||||||||||||||||||||||
场外掉期的未实现折旧;收到的掉期溢价 |
— | 387,238 | — | — | 3,258,423 | — | 3,645,661 | |||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
$ | — | $ | 387,238 | $ | — | $ | 186 | $ | 3,269,209 | $ | — | $ | 3,656,633 | |||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
(a) |
期货合约及中央结算掉期(如有)的累计未实现升值(折旧)净额于投资综合表内列报。在合并资产负债表中,只在应收或应付账款中报告当日变动幅度,累计未实现增值(折旧)净额计入累计收益(亏损)。 |
商品 合同 |
信用 合同 |
权益 合同 |
外国 货币 交易所 合同 |
利息 费率 合同 |
其他 合同 |
总计 |
||||||||||||||||||||||
净已实现收益(亏损)来自: |
||||||||||||||||||||||||||||
期货合约 |
$ | — | $ | — | $ | 308,321 | $ | — | $ | 2,981,076 | $ | — | $ | 3,289,397 | ||||||||||||||
远期外币兑换合约 |
— | — | — | 2,932,157 | — | — | 2,932,157 | |||||||||||||||||||||
购买的选项 (a) |
— | (101 | ) | 516,715 | — | (5,345 | ) | — | 511,269 | |||||||||||||||||||
已写入选项 |
— | 4,028 | (27,735 | ) | — | — | — | (23,707 | ) | |||||||||||||||||||
掉期 |
— | 61,740 | — | — | (1,410,677 | ) | — | (1,348,937 | ) | |||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
$ | — | $ | 65,667 | $ | 797,301 | $ | 2,932,157 | $ | 1,565,054 | $ | — | $ | 5,360,179 | |||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
未实现增值(折旧)净变化如下: |
||||||||||||||||||||||||||||
期货合约 |
$ | — | $ | — | $ | — | $ | — | $ | 229,035 | $ | — | $ | 229,035 | ||||||||||||||
远期外币兑换合约 |
— | — | — | 1,218,978 | — | — | 1,218,978 | |||||||||||||||||||||
购买的选项 (b) |
— | — | 9,031 | — | — | — | 9,031 | |||||||||||||||||||||
已写入选项 |
— | — | (7,688 | ) | — | — | — | (7,688 | ) | |||||||||||||||||||
掉期 |
— | (281,626 | ) | — | — | (3,680,602 | ) | — | (3,962,228 | ) | ||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
$ | — | $ | (281,626 | ) | $ | 1,343 | $ | 1,218,978 | $ | (3,451,567 | ) | $ | — | $ | (2,512,872 | ) | ||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
(a) |
购买的期权包括在非关联投资的已实现净收益(亏损)中。 |
(b) |
购买的期权包括在非关联投资的未实现增值(折旧)净变化中。 |
期货合约: |
||||
合同的平均名义价值-空头 |
$ | 21,513,856 | ||
远期外币兑换合约: |
||||
平均购买金额--美元 |
$ | 45,313,952 | ||
平均销售金额-以美元为单位 |
$ | 111,538 | ||
选项: |
||||
购买的期权合同的平均价值 |
$ | 163,489 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
75 |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) |
|
||||
签订的期权合约的平均价值 |
$ | 55,193 | ||
购买的掉期合同的平均名义价值 |
$ | — (a |
) | |
签订的掉期合同的平均名义价值 |
$ | — (a |
) | |
信用违约互换: |
||||
平均名义价值-卖出保护 |
$ | 3,391,427 | ||
总回报互换: |
||||
平均名义价值 |
$ | 36,183,000 | ||
|
(a) |
任何季度末均未持有衍生品。风险敞口表可作为该期间活动的指标。 |
资产 |
负债 |
|||||||
衍生金融工具 |
||||||||
期货合约 |
$ | — | $ | 213,568 | ||||
远期外币兑换合约 |
780,331 | 186 | ||||||
掉期-场外交易 (a) |
62,974 | 3,645,661 | ||||||
|
|
|
|
|||||
合并资产负债表中的衍生资产和负债总额 |
843,305 | 3,859,415 | ||||||
|
|
|
|
|||||
不受总净额结算协议或类似协议约束的衍生品(“MNA”) |
— | (213,568 | ) | |||||
|
|
|
|
|||||
受多边投资协定约束的衍生品资产和负债总额 |
$ | 843,305 | $ | 3,645,847 | ||||
|
|
|
|
(a) |
在综合资产负债表中包括场外掉期未实现增值(折旧)和掉期溢价(已支付/已收到)。 |
交易对手 |
导数 资产 受制于 MNA作者: 交易对手 |
衍生品 可用 对于偏移 |
(a) |
非现金 抵押品 已收到 |
现金 抵押品 已收到 |
净额 衍生品的 资产 |
(b) | |||||||||||||
巴克莱银行公司 |
$ | 1,905 | $ | (1,905 | ) | $ | — | $ | — | $ | — | |||||||||
法国巴黎银行 |
580,460 | (146,441 | ) | — | — | 434,019 | ||||||||||||||
花旗银行N.A. |
441 | (441 | ) | — | — | — | ||||||||||||||
瑞士信贷国际 |
15,097 | (15,097 | ) | — | — | — | ||||||||||||||
高盛国际 |
1,508 | (1,508 | ) | — | — | — | ||||||||||||||
摩根大通银行N.A. |
34,133 | (34,133 | ) | — | — | — | ||||||||||||||
摩根士丹利国际公司 |
10,010 | (10,010 | ) | — | — | — | ||||||||||||||
NatWest Markets PLC |
199,443 | — | — | — | 199,443 | |||||||||||||||
多伦多道明银行 |
308 | — | — | — | 308 | |||||||||||||||
|
|
|
|
|
|
|
|
|
|
|||||||||||
$ | 843,305 | $ | (209,535 | ) | $ | — | $ | — | $ | 633,770 | ||||||||||
|
|
|
|
|
|
|
|
|
|
交易对手 |
导数 负债 受制于 MNA作者: 交易对手 |
衍生品 可用 对于偏移 |
(a) |
非现金 抵押品 已承诺 |
现金 抵押品 已承诺 |
净额 衍生品的 负债 |
(c)(d) | |||||||||||||
美国银行N.A. |
$ | 8,127 | $ | — | $ | — | $ | — | $ | 8,127 | ||||||||||
巴克莱银行公司 |
143,082 | (1,905 | ) | — | — | 141,177 | ||||||||||||||
法国巴黎银行 |
146,441 | (146,441 | ) | — | — | — | ||||||||||||||
花旗银行N.A. |
14,066 | (441 | ) | — | — | 13,625 | ||||||||||||||
澳大利亚联邦银行 |
115 | — | — | — | 115 | |||||||||||||||
瑞士信贷国际 |
41,122 | (15,097 | ) | — | — | 26,025 | ||||||||||||||
高盛国际 |
9,767 | (1,508 | ) | — | — | 8,259 | ||||||||||||||
摩根大通银行N.A. |
401,912 | (34,133 | ) | — | (270,000 | ) | 97,779 |
76 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) |
交易对手 |
导数 负债 受制于 MNA作者: 交易对手 |
衍生品 可用 对于偏移 |
(a) |
非现金 抵押品 已承诺 |
现金 抵押品 已承诺 |
净额 衍生品的 负债 |
(c)(d) | |||||||||||||
摩根士丹利国际公司 |
$ | 2,881,144 | $ | (10,010 | ) | $ | — | $ | (2,410,000 | ) | $ | 461,134 | ||||||||
道富银行信托公司 |
71 | — | — | — | 71 | |||||||||||||||
|
|
|
|
|
|
|
|
|
|
|||||||||||
$ | 3,645,847 | $ | (209,535 | ) | $ | — | $ | (2,680,000 | ) | $ | 756,312 | |||||||||
|
|
|
|
|
|
|
|
|
|
(a) |
可用于抵销的衍生品数量限于受多边投资协定约束的衍生品资产和/或负债的数量。 |
(b) |
净额是指发生违约时从交易对手处应收的净额。 |
(c) |
净额还可以包括不需要抵押的远期外币兑换合同。 |
(d) |
净额是指在违约情况下应付交易对手的净额。 |
1级 |
2级 |
3级 |
总计 |
|||||||||||||
资产 |
||||||||||||||||
投资 |
||||||||||||||||
长期投资 |
||||||||||||||||
资产支持证券 |
$ |
— |
$ |
2,871,767 |
$ |
— |
$ |
2,871,767 |
||||||||
普通股 |
||||||||||||||||
建筑产品 |
18,749 |
— |
— |
18,749 |
||||||||||||
化学品 |
2,670,189 |
— |
— |
2,670,189 |
||||||||||||
通信设备 |
293,491 |
— |
— |
293,491 |
||||||||||||
消费金融 |
33 |
— |
— |
33 |
||||||||||||
容器和包装 |
— |
992,141 |
— |
992,141 |
||||||||||||
多元化金融服务 |
— |
— |
22,236 |
22,236 |
||||||||||||
多元化的电讯服务 |
39,132 |
— |
— |
39,132 |
||||||||||||
电气设备 |
918,156 |
— |
— |
918,156 |
||||||||||||
股权房地产投资信托基金(REITs) |
698,310 |
— |
— |
698,310 |
||||||||||||
IT服务 |
494,945 |
— |
— |
494,945 |
||||||||||||
生命科学工具与服务 |
3,118,218 |
— |
— |
3,118,218 |
||||||||||||
媒体 |
516,723 |
— |
— |
516,723 |
||||||||||||
金属与矿业 |
1,836,098 |
— |
— |
1,836,098 |
||||||||||||
石油、天然气和消耗性燃料 |
8,618,988 |
— |
— |
8,618,988 |
||||||||||||
公路和铁路 |
948,792 |
— |
— |
948,792 |
||||||||||||
半导体与半导体设备 |
17,906 |
— |
— |
17,906 |
||||||||||||
软件 |
1,751,077 |
— |
— |
1,751,077 |
||||||||||||
公司债券 |
||||||||||||||||
航空航天与国防 |
— |
53,745,992 |
— |
53,745,992 |
||||||||||||
航空公司 |
140,807 |
30,595,374 |
— |
30,736,181 |
||||||||||||
汽车零部件 |
— |
25,850,771 |
— |
25,850,771 |
||||||||||||
汽车 |
— |
27,330,367 |
— |
27,330,367 |
||||||||||||
银行 |
— |
8,167,662 |
167,148 |
8,334,810 |
||||||||||||
饮料 |
— |
22,686,465 |
— |
22,686,465 |
||||||||||||
生物技术 |
— |
452,843 |
— |
452,843 |
||||||||||||
建筑材料 |
— |
10,477,697 |
— |
10,477,697 |
||||||||||||
建筑产品 |
— |
16,224,476 |
— |
16,224,476 |
||||||||||||
资本市场 |
— |
18,210,488 |
43,538 |
18,254,026 |
||||||||||||
化学品 |
— |
35,543,000 |
— |
35,543,000 |
||||||||||||
商业服务与用品 |
— |
18,565,549 |
— |
18,565,549 |
||||||||||||
通信设备 |
— |
10,862,633 |
— |
10,862,633 |
||||||||||||
建筑材料 |
— |
5,858,053 |
— |
5,858,053 |
||||||||||||
消费者可自由支配 |
— |
28,466,644 |
— |
28,466,644 |
||||||||||||
消费金融 |
68,217 |
33,283,646 |
— |
33,351,863 |
||||||||||||
容器和包装 |
— |
9,941,584 |
— |
9,941,584 |
||||||||||||
多元化消费服务 |
— |
28,413,441 |
— |
28,413,441 |
||||||||||||
多元化金融服务 |
— |
17,266,440 |
— |
17,266,440 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
77 |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) |
1级 |
2级 |
3级 |
总计 |
|||||||||||||
公司债券(续) |
||||||||||||||||
多元化的电讯服务 |
$ |
— |
$ |
48,126,482 |
$ |
— |
$ |
48,126,482 |
||||||||
电力公司 |
— |
8,816,370 |
— |
8,816,370 |
||||||||||||
电气设备 |
— |
2,625,543 |
— |
2,625,543 |
||||||||||||
电子设备、仪器和部件 |
— |
9,150,061 |
— |
9,150,061 |
||||||||||||
能源设备和服务 |
— |
7,077,690 |
— |
7,077,690 |
||||||||||||
娱乐 |
— |
2,670,413 |
— |
2,670,413 |
||||||||||||
环境、维护和安全服务 |
— |
12,716,673 |
— |
12,716,673 |
||||||||||||
股权房地产投资信托基金(REITs) |
— |
14,879,369 |
— |
14,879,369 |
||||||||||||
食品与主食零售业 |
— |
23,801,896 |
— |
23,801,896 |
||||||||||||
食品产品 |
— |
11,003,222 |
— |
11,003,222 |
||||||||||||
燃气公用设施 |
— |
456,651 |
— |
456,651 |
||||||||||||
医疗保健设备和用品 |
— |
6,132,717 |
— |
6,132,717 |
||||||||||||
医疗保健提供者和服务 |
— |
57,332,947 |
— |
57,332,947 |
||||||||||||
医疗保健技术 |
— |
18,218,888 |
— |
18,218,888 |
||||||||||||
酒店、餐馆和休闲 |
67,982 |
63,493,386 |
— |
63,561,368 |
||||||||||||
家用耐用品 |
— |
15,698,397 |
— |
15,698,397 |
||||||||||||
家居用品 |
— |
534,513 |
— |
534,513 |
||||||||||||
独立电力和可再生电力生产商 |
— |
8,556,555 |
— |
8,556,555 |
||||||||||||
保险 |
— |
30,353,709 |
— |
30,353,709 |
||||||||||||
互动媒体与服务 |
— |
8,230,526 |
— |
8,230,526 |
||||||||||||
互联网与直销零售业 |
— |
206,775 |
— |
206,775 |
||||||||||||
互联网软件和服务 |
— |
17,307,254 |
— |
17,307,254 |
||||||||||||
IT服务 |
— |
24,975,670 |
— |
24,975,670 |
||||||||||||
休闲产品 |
— |
3,085,234 |
— |
3,085,234 |
||||||||||||
机械设备 |
— |
15,006,711 |
— |
15,006,711 |
||||||||||||
媒体 |
— |
155,432,744 |
— |
155,432,744 |
||||||||||||
金属与矿业 |
— |
33,823,762 |
— |
33,823,762 |
||||||||||||
抵押房地产投资信托基金(REITs) |
— |
155,234 |
— |
155,234 |
||||||||||||
多线零售 |
— |
4,309,358 |
— |
4,309,358 |
||||||||||||
近海钻探及其他服务 |
— |
1,105,806 |
— |
1,105,806 |
||||||||||||
石油、天然气和消耗性燃料 |
642,302 |
179,163,671 |
— |
179,805,973 |
||||||||||||
个人产品 |
— |
372,438 |
— |
372,438 |
||||||||||||
制药业 |
— |
14,320,504 |
— |
14,320,504 |
||||||||||||
房地产 |
— |
937,475 |
— |
937,475 |
||||||||||||
房地产管理与开发 |
— |
7,499,340 |
— |
7,499,340 |
||||||||||||
公路和铁路 |
— |
1,933,245 |
— |
1,933,245 |
||||||||||||
半导体与半导体设备 |
238,265 |
13,715,758 |
— |
13,954,023 |
||||||||||||
软件 |
— |
25,163,923 |
— |
25,163,923 |
||||||||||||
专业零售 |
— |
8,426,820 |
— |
8,426,820 |
||||||||||||
技术硬件、存储和外围设备 |
— |
1,654,260 |
— |
1,654,260 |
||||||||||||
纺织品、服装和奢侈品 |
181,530 |
2,514,303 |
— |
2,695,833 |
||||||||||||
储蓄与抵押金融 |
— |
5,701,156 |
— |
5,701,156 |
||||||||||||
交通运输 |
— |
193,031 |
— |
193,031 |
||||||||||||
交通基础设施 |
— |
356,356 |
— |
356,356 |
||||||||||||
公用事业 |
— |
3,771,364 |
— |
3,771,364 |
||||||||||||
无线电信服务 |
— |
21,880,321 |
— |
21,880,321 |
||||||||||||
浮动利率贷款利息 |
— |
218,030,656 |
26,004,676 |
244,035,332 |
||||||||||||
优先证券 |
||||||||||||||||
资本信托基金 |
— |
20,522,369 |
— |
20,522,369 |
||||||||||||
优先股 |
1,351,073 |
— |
12,785,219 |
14,136,292 |
||||||||||||
短期证券 |
||||||||||||||||
货币市场基金 |
2,647,274 |
— |
— |
2,647,274 |
||||||||||||
负债 |
||||||||||||||||
无资金来源的浮动利率贷款利息 (a) |
— |
(114,763 |
) |
— |
(114,763 |
) | ||||||||||
|
|
|
|
|
|
|
|
|||||||||
$ |
27,278,257 |
$ |
1,537,133,816 |
$ |
39,022,817 |
1,603,434,890 |
||||||||||
|
|
|
|
|
|
|
|
|||||||||
按资产净值计算的投资 (b) |
12,581 |
|||||||||||||||
|
|
|||||||||||||||
$ |
1,603,447,471 |
|||||||||||||||
|
|
|||||||||||||||
衍生金融工具 (c) |
||||||||||||||||
资产 |
||||||||||||||||
信贷合同 |
$ |
— |
$ |
1,975 |
$ |
— |
$ |
1,975 |
78 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资综合计划表 (未经审计)(续) June 30, 2022 |
贝莱德企业高收益基金(HYT) |
|
||||||||||||||||
1级 |
2级 |
3级 |
总计 |
|||||||||||||
|
||||||||||||||||
资产(续) |
||||||||||||||||
外币兑换合约 |
$ | — | $ | 780,331 | $ | — | $ | 780,331 | ||||||||
利率合约 |
241,307 | — | — | 241,307 | ||||||||||||
负债 |
||||||||||||||||
信贷合同 |
— | (211,999 | ) | — | (211,999 | ) | ||||||||||
外币兑换合约 |
— | (186 | ) | — | (186 | ) | ||||||||||
利率合约 |
(10,786 | ) | (3,249,235 | ) | — | (3,260,021 | ) | |||||||||
|
|
|
|
|
|
|
|
|||||||||
$ | 230,521 | $ | (2,679,114) | $ | — | $ | (2,448,593) | |||||||||
|
|
|
|
|
|
|
|
(a) |
无资金来源的浮动利率贷款利息按承诺的未实现升值(折旧)计价。 |
(b) |
该信托的若干投资按每股资产净值进行公允估值,因无报价市值,因此已被排除在公允价值架构之外。 |
(c) |
衍生金融工具是掉期、期货合约、远期外币兑换合约和期权。掉期、期货合约和远期外汇合约按工具的未实现升值(贬值)计价,所写期权按价值计价。 |
|
||||||||||||||||||||
普普通通 股票 |
公司 债券 |
漂浮 利率贷款 利益 |
择优 股票 |
总计 |
||||||||||||||||
|
||||||||||||||||||||
资产 |
||||||||||||||||||||
期初余额,截至2021年12月31日 |
$ | 22,236 | $ | — | $ | 15,655,042 | $ | 12,823,367 | $ | 28,500,645 | ||||||||||
转到3级 (a) |
— | 238,206 | 16,125,707 | — | 16,363,913 | |||||||||||||||
转出级别3 (b) |
— | — | (51,527 | ) | — | (51,527 | ) | |||||||||||||
应计折扣/保费 |
— | — | 37,568 | — | 37,568 | |||||||||||||||
已实现净收益(亏损) |
2,023 | (60,565 | ) | — | (58,542 | ) | ||||||||||||||
未实现升值(折旧)净变化 (c)(d) |
— | (27,520 | ) | (2,378,214 | ) | (38,148 | ) | (2,443,882 | ) | |||||||||||
购买 |
— | — | 1,798,450 | — | 1,798,450 | |||||||||||||||
销售额 |
— | (2,023 | ) | (5,121,785 | ) | — | (5,123,808 | ) | ||||||||||||
|
|
|
|
|
|
|
|
|
|
|||||||||||
期末余额,截至2022年6月30日 |
$ | 22,236 | $ | 210,686 | $ | 26,004,676 | $ | 12,785,219 | $ | 39,022,817 | ||||||||||
|
|
|
|
|
|
|
|
|
|
|||||||||||
截至2022年6月30日仍持有的投资未实现增值(折旧)净变化 (d) |
$ | — | $ | (27,520 | ) | $ | (2,268,210 | ) | $ | (38,148 | ) | $ | (2,333,878 | ) | ||||||
|
|
|
|
|
|
|
|
|
|
(a) |
截至2021年12月31日,信托基金在确定某些投资的价值时使用了可观察到的投入。截至2022年6月30日,信托基金在确定相同投资的价值时使用了大量不可观察到的投入。因此,期初价值的投资在披露层次结构中从第2级转移到第3级。 |
(b) |
截至2021年12月31日,信托基金在确定某些投资的价值时使用了大量不可观察到的投入。截至2022年6月30日,信托基金使用可观察到的投入来确定相同投资的价值。因此,期初价值的投资被从披露层次中的第三级转移到第二级。 |
(c) |
计入综合经营报表中未实现升值(折旧)的相关净变化。 |
(d) |
截至2022年6月30日仍持有的投资的未实现增值(折旧)净变化与未实现增值(折旧)净变化之间的任何差异,通常是由于在期末不再持有或不再归类为3级的投资。 |
价值 |
估值 方法 |
看不见 输入量 |
范围 看不见 输入量 已利用 |
(a) |
加权 平均数 看不见 基于输入的 论公允价值 |
|||||||||||||||
资产 |
||||||||||||||||||||
优先股 |
$ | 12,785,219 | 收入 | 贴现率 | 13% | |||||||||||||||
市场 | 收入倍数 | 3.35x - 4.10x | 3.73x | |||||||||||||||||
|
|
|||||||||||||||||||
$ | 12,785,219 | |||||||||||||||||||
|
|
(a) |
不可观察到的投入的重大变化将导致价值的相关(反向)重大变化。 |
C O N S O L I D A T E D S C H E D U L E O F I N V E S T M E N T S |
79 |
投资明细表 (未经审计) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
资产支持证券 |
| |||||||
快板CLO II-S有限公司,2014-1RA系列,B类,(3个月Libor US+2.15%),3.25%,10/21/28 (a)(b) |
$ | 500 | $ | 484,275 | ||||
快板CLO VI有限公司 (a)(b) |
||||||||
Series 2017-2A, Class B, (3 mo. LIBOR US + 1.50%), 2.54%, 01/17/31 |
360 | 340,260 | ||||||
Series 2017-2A, Class C, (3 mo. LIBOR US + 1.80%), 2.84%, 01/17/31 |
2,400 | 2,257,394 | ||||||
美国航空公司,5.18%,08/15/23 (c) |
1,059 | 1,057,838 | ||||||
安克雷奇资本CLO 3-R有限公司 (a)(b) |
||||||||
Series 2014-3RA, Class C, (3 mo. LIBOR US + 1.85%), 3.09%, 01/28/31 |
1,000 | 949,663 | ||||||
Series 2014-3RA, Class D, (3 mo. LIBOR US + 2.60%), 3.84%, 01/28/31 |
1,000 | 898,640 | ||||||
安克雷奇资本CLO有限公司,2013-1A系列,BR类,(3个月Libor US+2.15%),3.17%,10/13/30 (a)(b) |
1,000 | 967,533 | ||||||
Apidos CLO XV,2013-15A系列,DRR类,(3个月Libor US+2.70%),3.76%,04/20/31 (a)(b) |
1,000 | 899,094 | ||||||
Apidos CLO XX,2015-20A系列,BRR类,(3个月Libor US+1.95%),2.99%,07/16/31 (a)(b) |
1,000 | 948,405 | ||||||
Ares XLIX CLO Ltd.,2018-49A系列,D类,(3个月Libor US+3.00%),4.14%,07/22/30 (a)(b) |
1,000 | 928,472 | ||||||
战神XLVII CLO有限公司,2018-47A系列,D类,(3个月Libor US+2.70%),3.74%,04/15/30 (a)(b) |
1,500 | 1,308,550 | ||||||
战神XLVIII CLO有限公司,2018-48A系列,C类,(3个月Libor US+1.80%),2.86%,07/20/30 (a)(b) |
500 | 470,158 | ||||||
阿瑞斯XXXVII CLO有限公司 (a)(b) |
||||||||
Series 2015-4A, Class A3R, (3 mo. LIBOR US + 1.50%), 2.54%, 10/15/30 |
1,000 | 943,305 | ||||||
Series 2015-4A, Class BR, (3 mo. LIBOR US + 1.80%), 2.84%, 10/15/30 |
1,750 | 1,658,312 | ||||||
Atlas高级贷款基金XII有限公司,系列2018-12A,A1类,(3个月Libor US+1.18%),2.36%,10/24/31 (a)(b) |
400 | 391,195 | ||||||
第15中庭,15A系列,C类,(3个月。Libor US+2.20%),3.38%,01/23/31 (a)(b) |
250 | 238,264 | ||||||
Benefit Street Partners CLO XII Ltd.,2017-12A系列,B类,(3个月Libor US+2.00%),3.04%,10/15/30 (a)(b) |
1,000 | 950,791 | ||||||
Canyon CLO有限公司,2020-3A系列,C类,(3个月Libor US+2.50%),3.54%,01/15/34 (a)(b) |
500 | 468,901 | ||||||
凯雷C17 CLO有限公司,系列C17A,BR类,(3个月Libor US+1.85%),3.14%,04/30/31 (a)(b) |
1,000 | 942,176 | ||||||
卡瓦尔CLO I有限公司,2018-1A系列,D类,(3个月Libor US+2.89%),3.93%,07/16/31 (a)(b) |
500 | 471,117 | ||||||
中金公司融资有限公司 (a)(b) |
||||||||
Series 2013-2A, Class A3LR, (3 mo. LIBOR US + 1.95%), 2.99%, 10/18/30 |
1,000 | 952,849 | ||||||
Series 2013-2A, Class B1LR, (3 mo. LIBOR US + 3.05%), 4.09%, 10/18/30 |
1,000 | 920,632 | ||||||
Series 2018-1A, Class C, (3 mo. LIBOR US + 1.75%), 2.79%, 04/18/31 |
1,000 | 943,755 | ||||||
Series 2018-1A, Class D, (3 mo. LIBOR US + 2.65%), 3.69%, 04/18/31 |
1,200 | 1,105,198 | ||||||
Galaxy XX CLO有限公司,系列2015-20A,D1R类,(3个月Libor US+2.60%),3.66%,04/20/31 (a)(b) |
1,000 | 931,926 | ||||||
生成ClO 2有限公司。 (a)(b) |
||||||||
Series 2015-1A, Class CR, (3 mo. LIBOR US + 1.85%), 2.99%, 01/22/31 |
1,500 | 1,414,435 |
安防 |
帕尔 (000) |
价值 |
||||||
资产支持证券(续) |
| |||||||
生成ClO 2有限公司。 (a)(b) (续) |
||||||||
Series 2015-1A, Class DR, (3 mo. LIBOR US + 2.60%), 3.74%, 01/22/31 |
$ | 1,800 | $ | 1,668,667 | ||||
Greenwood Park CLO Ltd.,2018-1A系列,D类,(3个月Libor US+2.50%),3.54%,04/15/31 (a)(b) |
1,000 | 894,575 | ||||||
高桥贷款管理有限公司。 (a)(b) |
||||||||
Series 12A-18, Class B, (3 mo. LIBOR US + 1.85%), 2.89%, 07/18/31 |
1,250 | 1,178,707 | ||||||
Series 4A-2014, Class A2R, (3 mo. LIBOR US + 1.50%), 2.74%, 01/28/30 |
650 | 619,122 | ||||||
HPS贷款管理有限公司,系列6A-2015,BR类,(3个月Libor US+1.75%),3.11%,02/05/31 (a)(b) |
1,500 | 1,414,076 | ||||||
Long Point Park CLO Ltd.,2017-1A系列,B类,(3个月Libor US+1.70%),2.74%,01/17/30 (a)(b) |
1,000 | 938,611 | ||||||
麦迪逊公园Funding XIII有限公司,2014-13A系列,CR2类,(3个月Libor US+1.90%),2.94%,04/19/30 (a)(b) |
1,000 | 965,077 | ||||||
麦迪逊公园基金XXVII有限公司。 (a)(b) |
||||||||
Series 2018-27A, Class B, (3 mo. LIBOR US + 1.80%), 2.86%, 04/20/30 |
1,000 | 943,576 | ||||||
Series 2018-27A, Class C, (3 mo. LIBOR US + 2.60%), 3.66%, 04/20/30 |
1,000 | 911,648 | ||||||
大理石点CLO XI有限公司,2017-2A系列,B类,(3个月Libor US+1.50%),2.54%,12/18/30 (a)(b) |
1,000 | 942,002 | ||||||
MP CLO III有限公司,2013-1A系列,CR类,(3个月Libor US+2.00%), 3.06%, 10/20/30 (a)(b) |
1,000 | 950,980 | ||||||
Neuberger Berman CLO XVIII Ltd.,2014-18A系列,CR2级,(3个月Libor US+3.00%),4.10%,10/21/30 (a)(b) |
2,700 | 2,489,150 | ||||||
Neuberger Berman CLO XXII Ltd. (a)(b) |
||||||||
Series 2016-22A, Class BR, (3 mo. LIBOR US + 1.65%), 2.69%, 10/17/30 |
400 | 383,686 | ||||||
Series 2016-22A, Class CR, (3 mo. LIBOR US + 2.20%), 3.24%, 10/17/30 |
1,000 | 953,025 | ||||||
Neuberger Berman Loan Advisers CLO 26 Ltd.,2017-26A系列,C类,(3个月Libor US+1.75%),2.79%,10/18/30 (a)(b) |
1,500 | 1,421,514 | ||||||
Neuberger Berman Loan Advisers CLO 27 Ltd.,2018-27A系列,D类,(3个月Libor US+2.60%),3.64%,01/15/30 (a)(b) |
1,000 | 922,093 | ||||||
OCP CLO有限公司 (a)(b) |
||||||||
Series 2014-6A, Class BR, (3 mo. LIBOR US + 2.15%), 3.19%, 10/17/30 |
500 | 478,257 | ||||||
Series 2016-11A, Class BR, (3 mo. LIBOR US + 2.45%), 3.66%, 10/26/30 |
1,500 | 1,443,157 | ||||||
Series 2017-14A, Class B, (3 mo. LIBOR US + 1.95%), 3.43%, 11/20/30 |
1,000 | 950,664 | ||||||
八角形投资伙伴26有限公司,2016-1A系列,DR类,(3个月Libor US+2.85%),3.89%,07/15/30 (a)(b) |
500 | 447,803 | ||||||
八角形投资伙伴33有限公司,2017-1A系列,C类,(3个月Libor US+2.75%),3.81%,01/20/31 (a)(b) |
1,000 | 915,391 | ||||||
八角形投资伙伴34有限公司,2017-1A系列,B1类,(3个月Libor US+1.40%),2.46%,01/20/30 (a)(b) |
1,000 | 952,003 |
80 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
资产支持证券(续) |
| |||||||
八角形投资伙伴XVII有限公司 (a)(b) |
||||||||
Series 2013-1A, Class BR2, (3 mo. LIBOR US + 1.40%), 2.58%, 01/25/31 |
$ | 1,000 | $ | 948,262 | ||||
Series 2013-1A, Class CR2, (3 mo. LIBOR US + 1.70%), 2.88%, 01/25/31 |
1,000 | 937,577 | ||||||
八角形投资伙伴XXII有限公司,2014-1A系列,CRR级,(3个月Libor US+1.90%),3.04%,01/22/30 (a)(b) |
900 | 837,952 | ||||||
OHA Credit Partners XII Ltd.,系列2015-12A,DR类,(3个月Libor US+2.90%),4.08%,07/23/30 (a)(b) |
600 | 550,339 | ||||||
OZLM XXI Ltd., Series 2017-21A, Class B, (3 mo. LIBOR US + 1.90%), 2.96%, 01/20/31 (a)(b) |
1,800 | 1,698,452 | ||||||
Palmer Square CLO Ltd. (a)(b) |
||||||||
Series 2018-1A, Class A2, (3 mo. LIBOR US + 1.45%), 2.49%, 04/18/31 |
1,500 | 1,430,237 | ||||||
Series 2019-1A, Class CR, (3 mo. LIBOR US + 3.05%), 4.46%, 11/14/34 |
1,000 | 927,055 | ||||||
Park Avenue机构顾问CLO有限公司,2019-1A系列,C类,(3个月Libor US+3.85%),5.26%,05/15/32 (a)(b) |
1,500 | 1,402,735 | ||||||
赛艇七号融资有限公司,2016-1A系列,DR2级,(3个月Libor US+3.05%),5.15%,06/20/34 (a)(b) |
500 | 465,555 | ||||||
赛艇十六世基金有限公司。 (a)(b) |
||||||||
Series 2019-2A, Class C, (3 mo. LIBOR US + 2.70%), 3.74%, 01/15/33 |
1,000 | 954,068 | ||||||
Series 2019-2A, Class D, (3 mo. LIBOR US + 3.90%), 4.94%, 01/15/33 |
1,000 | 988,555 | ||||||
罗克福德大厦CLO有限公司 (a)(b) |
||||||||
Series 2017-3A, Class A, (3 mo. LIBOR US + 1.19%), 2.25%, 10/20/30 |
2,000 | 1,962,414 | ||||||
Series 2017-3A, Class D, (3 mo. LIBOR US + 2.65%), 3.71%, 10/20/30 |
1,000 | 931,877 | ||||||
RR 5 Ltd., Series 2018-5A, Class C, (3 mo. LIBOR US + 3.10%), 4.14%, 10/15/31 (a)(b) |
650 | 600,923 | ||||||
Sound Point CLO XXI Ltd.,2018-3A系列,A1A类,(3个月Libor US+1.18%),2.39%,10/26/31 (a)(b) |
1,400 | 1,373,488 | ||||||
斯图尔特公园CLO有限公司,2015-1A系列,DR类,(3个月Libor US+2.60%),3.64%,01/15/30 (a)(b) |
1,500 | 1,344,792 | ||||||
TIAA CLO III有限公司,2017-2A系列,A类,(3个月Libor US+1.15%),2.19%,01/16/31 (a)(b) |
2,500 | 2,457,971 | ||||||
TICPCLO IX有限公司,2017-9A系列,A类,(3个月Libor US+1.14%),2.20%,01/20/31 (a)(b) |
1,000 | 983,145 | ||||||
York CLO 1 Ltd.,2014-1A系列,ARR级,(3个月Libor US+1.12%),2.26%,10/22/29 (a)(b) |
1,968 | 1,942,185 | ||||||
|
|
|||||||
总资产支持证券-6.4% (Cost: $73,135,682) |
|
69,364,504 | ||||||
|
|
|||||||
公司债券 |
| |||||||
广告公司-0.2% |
| |||||||
InterPublic Group of Cos,Inc.,5.40%,10/01/48 |
2,215 | 2,158,356 | ||||||
|
|
|||||||
航空航天和国防-4.1% |
||||||||
Boeing Co., 5.15%, 05/01/30 (d) |
6,775 | 6,503,174 | ||||||
庞巴迪公司 (b) |
||||||||
7.50%, 03/15/25 |
98 | 88,567 | ||||||
7.13%, 06/15/26 |
1,322 | 1,089,963 | ||||||
7.88%, 04/15/27 |
1,347 | 1,121,256 | ||||||
6.00%, 02/15/28 |
1,121 | 840,077 |
安防 |
帕尔 (000) |
价值 |
||||||
航空航天与国防(续) |
| |||||||
庞巴迪公司 (b) (续) |
||||||||
7.45%, 05/01/34 |
$ | 137 | $ | 102,743 | ||||
美国有限责任公司,XR系列,7.38%,08/15/26 (b) |
516 | 410,984 | ||||||
通用动力公司,4.25%,04/01/50 (d) |
1,260 | 1,211,508 | ||||||
豪迈航空航天公司,5.13%,10/01/24 |
45 | 44,606 | ||||||
Moog, Inc., 4.25%, 12/15/27 (b) |
320 | 277,277 | ||||||
诺斯罗普·格鲁曼公司 |
||||||||
4.03%, 10/15/47 |
2,400 | 2,131,105 | ||||||
5.25%, 05/01/50 |
3,050 | 3,228,929 | ||||||
雷神技术公司 |
||||||||
4.63%, 11/16/48 (d) |
2,805 | 2,737,935 | ||||||
3.13%, 07/01/50 |
3,545 | 2,711,593 | ||||||
罗尔斯-罗伊斯公司,5.75%,10/15/27 (b) |
1,933 | 1,742,213 | ||||||
SPIRIT AeroSystems,Inc.,7.50%,04/15/25 (b) |
332 | 308,345 | ||||||
TransDigm,Inc. |
||||||||
8.00%, 12/15/25 (b) |
1,596 | 1,613,939 | ||||||
6.25%, 03/15/26 (b) |
15,940 | 15,362,175 | ||||||
6.38%, 06/15/26 |
8 | 7,480 | ||||||
7.50%, 03/15/27 |
432 | 407,553 | ||||||
4.63%, 01/15/29 |
940 | 756,719 | ||||||
4.88%, 05/01/29 |
622 | 506,333 | ||||||
凯旋集团,8.88%,06/01/24 (b) |
1,635 | 1,647,050 | ||||||
|
|
|||||||
44,851,524 | ||||||||
航空公司-1.7% |
||||||||
Air Canada, 3.88%, 08/15/26 (b) |
447 | 378,113 | ||||||
美国航空集团,5.18%,10/15/23 (c) |
1,086 | 1,069,757 | ||||||
美国航空公司,11.75%,07/15/25 (b) |
1,014 | 1,049,389 | ||||||
美国航空公司/AAdvantage忠诚IP有限公司 (b) |
||||||||
5.50%, 04/20/26 |
1,090 | 1,001,763 | ||||||
5.75%, 04/20/29 |
2,189 | 1,868,997 | ||||||
英国航空公司直通信托,2020-1系列,A类,4.25%,05/15/34 (b) |
1,800 | 1,730,706 | ||||||
夏威夷品牌知识产权有限公司/夏威夷迈尔斯忠诚度有限公司,5.75%,01/20/26 (b) |
531 | 475,882 | ||||||
Mileage Plus Holdings LLC/Mileage Plus知识产权资产有限公司,6.50%,06/20/27 (b) |
2,185 | 2,146,927 | ||||||
土耳其航空直通信托,2015-1系列,A类,4.20%,09/15/28 (b) |
1,803 | 1,468,279 | ||||||
美联航直通信托,2020-1系列,A类,5.88%,29年4月15日 (d)(e) |
5,749 | 5,648,536 | ||||||
美国联合航空公司 (b) |
||||||||
4.38%, 04/15/26 |
1,022 | 900,556 | ||||||
4.63%, 04/15/29 |
1,228 | 1,041,675 | ||||||
|
|
|||||||
18,780,580 | ||||||||
汽车零部件-1.6% |
||||||||
Aptiv PLC, 3.10%, 12/01/51 |
2,670 | 1,721,973 | ||||||
Aptiv PLC/Aptiv Corp.,4.15%,05/01/52 |
4,240 | 3,204,196 | ||||||
Clario Global LP,6.75%,05/15/25 (b) |
497 | 492,254 | ||||||
克拉里奥斯全球有限责任公司/克莱里奥斯美国金融公司 (b) |
||||||||
6.25%, 05/15/26 (d) |
4,933 | 4,748,013 | ||||||
8.50%, 05/15/27 |
7,148 | 6,908,363 | ||||||
多诺克债务合并子公司,6.63%,10/15/29 (b) |
227 | 167,640 | ||||||
固特异轮胎橡胶有限公司 |
||||||||
5.00%, 07/15/29 |
270 | 223,602 | ||||||
5.63%, 04/30/33 |
288 | 230,653 | ||||||
|
|
|||||||
17,696,694 |
S C H E D U L E O F I N V E S T M E N T S |
81 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
汽车--2.3% |
||||||||
高级汽车零部件公司,3.50%,03/15/32 |
$ | 2,405 | $ | 2,062,594 | ||||
艾利森变速器公司,5.88%,06/01/29 (b) |
794 | 738,420 | ||||||
Asbury Automotive Group,Inc. |
||||||||
4.50%, 03/01/28 |
197 | 170,898 | ||||||
4.75%, 03/01/30 |
191 | 157,050 | ||||||
5.00%, 02/15/32 (b) |
101 | 82,568 | ||||||
Carvana Co. (b)(d) |
||||||||
5.50%, 04/15/27 |
602 | 388,493 | ||||||
4.88%, 09/01/29 |
461 | 262,127 | ||||||
福特汽车公司 |
||||||||
7.45%, 07/16/31 (d) |
3,660 | 3,713,802 | ||||||
3.25%, 02/12/32 |
1,255 | 938,614 | ||||||
福特汽车信贷有限责任公司 |
||||||||
4.69%, 06/09/25 |
200 | 189,002 | ||||||
5.13%, 06/16/25 |
1,270 | 1,212,748 | ||||||
3.38%, 11/13/25 |
207 | 186,397 | ||||||
2.70%, 08/10/26 |
613 | 522,368 | ||||||
4.95%, 05/28/27 |
400 | 371,500 | ||||||
2.90%, 02/16/28 |
627 | 505,212 | ||||||
5.11%, 05/03/29 |
200 | 179,295 | ||||||
4.00%, 11/13/30 |
200 | 162,051 | ||||||
3.63%, 06/17/31 |
456 | 353,400 | ||||||
通用汽车。 |
||||||||
6.25%, 10/02/43 |
940 | 895,526 | ||||||
5.95%, 04/01/49 (d) |
3,455 | 3,208,361 | ||||||
第一组汽车公司,4.00%,08/15/28 (b) |
78 | 65,191 | ||||||
现代资本美国,2.38%,10/15/27 (f) |
200 | 175,937 | ||||||
捷豹路虎汽车公司,4.50%,10/01/27 (f) |
500 | 374,770 | ||||||
Kia Corp., 3.50%, 10/25/27 (f) |
200 | 192,912 | ||||||
LCM Investments Holdings II LLC,4.88%,05/01/29 (b) |
456 | 347,062 | ||||||
Lithia Motors,Inc.,3.88%,06/01/29 (b) |
269 | 228,483 | ||||||
日产汽车股份有限公司,4.81%,09/17/30 (b)(d) |
7,125 | 6,329,360 | ||||||
彭斯克汽车集团有限公司 |
||||||||
3.50%, 09/01/25 |
441 | 413,437 | ||||||
3.75%, 06/15/29 |
141 | 117,405 | ||||||
Sonic Automotive,Inc.,4.63%,11/15/29 (b) |
119 | 92,202 | ||||||
TML控股有限公司有限公司,4.35%,06/09/26 (f) |
200 | 174,788 | ||||||
|
|
|||||||
24,811,973 | ||||||||
Banks — 3.3% |
||||||||
澳大利亚和新西兰银行集团有限公司 (5 year CMT + 1.70%), 2.57%, 11/25/35 (a)(b)(d) |
5,445 | 4,318,201 | ||||||
曼谷银行PCL |
||||||||
(5 year CMT + 1.90%), 3.73%, 09/25/34 (a)(f) |
200 | 174,725 | ||||||
(5 year CMT + 2.15%), 3.47%, 09/23/36 |
200 | 166,418 | ||||||
(5 year CMT + 4.73%), 5.00% (g) |
222 | 202,131 | ||||||
印尼Negara银行Persero Tbk PT,3.75%,03/30/26 (f) |
200 | 180,522 | ||||||
交通银行股份有限公司(5年期债务抵押贷款+3.35%),3.80% (a)(f)(g) |
252 | 246,645 | ||||||
东亚银行有限公司,(5年期CMT+5.53%),5.83% (a)(f)(g) |
750 | 723,750 | ||||||
中国建设银行股份有限公司,(5年期CMT+2.15%),2.45%,06/24/30 (a)(f) |
200 | 190,078 | ||||||
第五第三乐团,H系列,(3个月。Libor US+3.03%),5.10% (a)(g) |
5,000 | 4,197,500 | ||||||
澳门工商中国银行有限公司,(5年抵押贷款+1.65%),2.88%,09/12/29 (a)(f) |
200 | 194,725 | ||||||
Intesa Sanpaolo水疗中心(B) |
||||||||
5.71%, 01/15/26 (d) |
9,840 | 9,373,076 |
安防 |
帕尔 (000) |
价值 |
||||||
银行(续) |
||||||||
联合圣保罗水疗中心 (b) (续)(1 year CMT + 2.75%), 4.95%, 06/01/42 (a) |
$ | 3,045 | $ | 2,057,320 | ||||
Kasikornbank PCL (a)(f) |
||||||||
(5 year CMT + 1.70%), 3.34%, 10/02/31 |
200 | 180,287 | ||||||
(5 year CMT + 3.34%), 4.00% (g) |
300 | 247,500 | ||||||
KB国民信用卡有限公司,4.00%,06/09/25 |
200 | 198,416 | ||||||
农惠银行,4.00%,01/06/26 (f)(h) |
200 | 199,310 | ||||||
Samba Funding Ltd.,2.75%,10/02/24 (f) |
200 | 193,287 | ||||||
新韩金融集团有限公司 1.35%, 01/10/26 (f) |
200 | 182,926 | ||||||
Truist Financial Corp.,L系列,(3个月。Libor US+3.10%),4.93% (a)(g) |
5,270 | 4,515,361 | ||||||
富国银行。 |
||||||||
5.61%, 01/15/44 (d) |
4,119 | 4,145,161 | ||||||
(SOFR + 1.51%), 3.53%, 03/24/28 (a) |
4,075 | 3,859,625 | ||||||
|
|
|||||||
35,746,964 | ||||||||
饮料-2.1% |
||||||||
安海斯-布希公司有限责任公司/百威英博全球公司,4.90%,02/01/46 (d) |
6,170 | 5,799,120 | ||||||
百威英博全球公司,5.55%,49年1月23日 (d) |
5,000 | 5,106,603 | ||||||
ARD Finance SA, (6.50% Cash or 7.25% PIK), 6.50%, 06/30/27 (b)(i) |
2,581 | 1,914,483 | ||||||
阿尔达格金属包装金融美国有限责任公司/阿尔达格金属包装金融公司,4.00%,09/01/29 (b) |
2,874 | 2,306,385 | ||||||
Ardagh包装金融公司/Ardagh控股美国公司 (b) |
||||||||
4.13%, 08/15/26 |
811 | 687,087 | ||||||
5.25%, 08/15/27 |
225 | 160,439 | ||||||
鲍尔公司 |
||||||||
5.25%, 07/01/25 |
30 | 30,021 | ||||||
2.88%, 08/15/30 |
147 | 118,321 | ||||||
3.13%, 09/15/31 |
712 | 574,328 | ||||||
Canpack SA/Canpack U.S.LLC,3.13%,11/01/25 (b) |
228 | 203,632 | ||||||
皇冠软木和密封公司,7.38%,12/15/26 |
151 | 154,248 | ||||||
Silgan Holdings,Inc.,4.13%,02/01/28 |
58 | 52,010 | ||||||
Trivium包装金融公司 (b) |
||||||||
5.50%, 08/15/26 |
2,830 | 2,673,529 | ||||||
8.50%, 08/15/27 |
3,036 | 2,846,565 | ||||||
|
|
|||||||
22,626,771 | ||||||||
生物技术--0.5% |
||||||||
Baxalta, Inc., 5.25%, 06/23/45 (d) |
6,000 | 5,987,490 | ||||||
|
|
|||||||
建筑材料 (b) — 0.3% |
||||||||
CP Atlas Buyer,Inc.,7.00%,12/01/28 |
108 | 77,995 | ||||||
Jeld-Wen, Inc., 4.63%, 12/15/25 |
30 | 25,500 | ||||||
美森尼国际公司,C类,5.38%,02/01/28 |
206 | 186,430 | ||||||
新企业石灰股份有限公司,5.25%,07/15/28 |
163 | 133,992 | ||||||
SRM托管发行商有限责任公司,6.00%,11/01/28 |
1,212 | 1,024,419 | ||||||
标准工业公司 |
||||||||
5.00%, 02/15/27 |
303 | 270,445 | ||||||
4.38%, 07/15/30 |
1,492 | 1,176,815 | ||||||
3.38%, 01/15/31 |
214 | 157,850 | ||||||
顶峰材料有限责任公司/顶峰材料金融公司,5.25%,1/15/29 |
386 | 336,785 | ||||||
|
|
|||||||
3,390,231 | ||||||||
建筑产品 (b) — 0.4% |
||||||||
高级排水系统公司,6.38%,06/15/30 |
702 | 685,552 | ||||||
LBM收购有限责任公司,6.25%,1/15/29 |
336 | 216,322 |
82 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
建筑产品(续) |
|
|||||||
特种建筑产品控股有限责任公司/SBP金融公司,6.38%,09/30/26 |
$ | 299 | $ | 243,091 | ||||
SRS分销公司 |
||||||||
4.63%, 07/01/28 |
982 | 859,250 | ||||||
6.13%, 07/01/29 |
912 | 719,545 | ||||||
6.00%, 12/01/29 |
911 | 715,345 | ||||||
White Cap Buyer LLC,6.88%,10/15/28 (d) |
1,309 | 1,047,200 | ||||||
|
|
|||||||
4,486,305 | ||||||||
资本市场-1.2% |
||||||||
嘉信理财,H系列,(10年CMT+3.08%),4.00% (a)(e)(g) |
5,215 | 4,014,246 | ||||||
Compass Group Diversified Holdings LLC,5.25%,04/15/29 (b) |
447 | 368,775 | ||||||
Dua Capital Ltd., 2.78%, 05/11/31 (f) |
200 | 163,810 | ||||||
普洛斯资本有限公司/普洛斯融资II,Inc.,3.25%,01/15/32 |
725 | 581,066 | ||||||
华融金融二期有限公司,4.63%,06/03/26 (f) |
200 | 183,000 | ||||||
伊坎企业有限责任公司/伊坎企业财务公司 |
||||||||
4.75%, 09/15/24 |
520 | 485,320 | ||||||
6.25%, 05/15/26 |
782 | 732,077 | ||||||
5.25%, 05/15/27 |
1,803 | 1,597,169 | ||||||
4.38%, 02/01/29 |
651 | 526,112 | ||||||
杰富瑞金融集团,5.50%,10/18/23 (d) |
4,000 | 4,040,902 | ||||||
NFP Corp., 6.88%, 08/15/28 (b) |
764 | 630,331 | ||||||
淡马锡金融I有限公司,2.38%,08/02/41 (f) |
250 | 194,335 | ||||||
|
|
|||||||
13,517,143 | ||||||||
化学品-2.7% |
||||||||
Axalta Coating Systems LLC,3.38%,02/15/29 (b) |
1,090 | 889,843 | ||||||
Axalta Coating Systems LLC/Axalta Coating Systems Holding B BV,4.75%,06/15/27 (b) |
597 | 536,464 | ||||||
中航香港芬布里奇有限公司。 (f) |
||||||||
4.13%, 07/19/27 |
200 | 194,638 | ||||||
3.88%, 06/19/29 |
200 | 186,938 | ||||||
Diamond BC BV, 4.63%, 10/01/29 (b) |
1,086 | 868,474 | ||||||
杜邦公司,5.42%,48年11月15日 (d) |
7,500 | 7,447,508 | ||||||
Element Solutions,Inc.,3.88%,09/01/28 (b) |
2,963 | 2,444,860 | ||||||
EverArc托管协议,5.00%,10/30/29 (b) |
1,148 | 966,289 | ||||||
GC金库中心有限公司,2.98%,03/18/31 (f) |
200 | 166,788 | ||||||
GCP应用技术公司,5.50%,04/15/26 (b) |
299 | 297,505 | ||||||
Herens Holdco SARL,4.75%,05/15/28 (b) |
490 | 407,092 | ||||||
照明买家有限责任公司/照明控股有限公司,9.00%,07/01/28 (b) |
491 | 387,890 | ||||||
Ingevity Corp., 3.88%, 11/01/28 (b) |
100 | 83,750 | ||||||
LG Chem Ltd., 1.38%, 07/07/26 (f) |
200 | 178,840 | ||||||
LYB财务公司BV,8.10%,03/15/27 (b)(d) |
6,000 | 6,855,063 | ||||||
Nova Chemals Corp.,4.88%,06/01/24 (b) |
240 | 228,119 | ||||||
Small IV LLC/Ssel USA Holdings LLC,5.38%,11/01/26 (b) |
480 | 384,000 | ||||||
史考特奇迹公司,4.00%,04/01/31 |
364 | 272,090 | ||||||
UPL Corp.Ltd.(5年CMT+3.87%), 5.25% (a)(f)(g) |
500 | 382,594 | ||||||
韦斯科经销公司 (b) |
||||||||
7.13%, 06/15/25 |
1,485 | 1,481,778 | ||||||
7.25%, 06/15/28 |
1,354 | 1,339,106 | ||||||
WR Grace Holdings LLC (b) |
||||||||
5.63%, 10/01/24 |
1,493 | 1,446,433 | ||||||
5.63%, 08/15/29 |
2,611 | 1,922,349 | ||||||
|
|
|||||||
29,368,411 | ||||||||
商业服务和用品-1.0% |
||||||||
ADT安全公司 |
||||||||
4.13%, 06/15/23 |
174 | 170,910 |
安防 |
帕尔 (000) |
价值 |
||||||
商业服务与用品(续) |
| |||||||
ADT安全公司(续) |
||||||||
4.13%, 08/01/29 (b) |
$ | 91 | $ | 73,852 | ||||
4.88%, 07/15/32 (b) |
50 | 39,801 | ||||||
AerCap全球航空信托基金(3个月Libor US+4.30%),6.50%,06/15/45 (a)(b) |
5,000 | 4,589,217 | ||||||
APX Group, Inc., 5.75%, 07/15/29 (b) |
555 | 429,676 | ||||||
安飞士预算汽车租赁有限责任公司/安飞士预算财务公司,5.38%,03/01/29 (b)(d) |
73 | 60,722 | ||||||
招商银行国际租赁管理有限公司,1.88%,08/12/25 (f) |
200 | 186,538 | ||||||
堡垒运输和基础设施投资者有限责任公司 (b) |
||||||||
6.50%, 10/01/25 |
163 | 153,792 | ||||||
5.50%, 05/01/28 |
645 | 532,392 | ||||||
Herc Holdings,Inc.,5.50%,07/15/27 (b) |
683 | 623,511 | ||||||
赫兹公司 (b) |
||||||||
4.63%, 12/01/26 |
249 | 208,184 | ||||||
5.00%, 12/01/29 |
177 | 136,290 | ||||||
梅蒂斯合并子有限责任公司,6.50%,05/15/29 (b) |
443 | 352,029 | ||||||
Nesco Holdings II,Inc.,5.50%,04/15/29 (b) |
356 | 298,150 | ||||||
PECF USS Intermediate Holding III Corp.,8.00%,11/15/29 (b) |
13 | 10,303 | ||||||
Prime Security Services借款人LLC/Prime Finance,Inc. (b) |
||||||||
5.75%, 04/15/26 |
331 | 308,658 | ||||||
6.25%, 01/15/28 |
855 | 715,289 | ||||||
苏富比/BidFair Holdings,Inc.,5.88%,06/01/29 (b) |
482 | 413,710 | ||||||
联合租赁北美公司 |
||||||||
4.88%, 01/15/28 |
777 | 734,638 | ||||||
5.25%, 01/15/30 |
44 | 40,810 | ||||||
威廉姆斯·斯科斯曼国际公司,4.63%,08/15/28 (b) |
541 | 461,202 | ||||||
|
|
|||||||
10,539,674 | ||||||||
通信设备-0.4% |
||||||||
Avaya, Inc., 6.13%, 09/15/28 (b) |
1,027 | 670,117 | ||||||
CommScope Technologies LLC,6.00%,06/15/25 (b) |
942 | 814,830 | ||||||
CommScope,Inc. (b) |
||||||||
6.00%, 03/01/26 |
591 | 544,329 | ||||||
8.25%, 03/01/27 |
83 | 65,611 | ||||||
7.13%, 07/01/28 (d) |
464 | 352,677 | ||||||
4.75%, 09/01/29 |
250 | 201,674 | ||||||
Nokia OYJ, 6.63%, 05/15/39 |
324 | 320,355 | ||||||
ViaSat公司 (b) |
||||||||
5.63%, 09/15/25 |
731 | 591,258 | ||||||
5.63%, 04/15/27 |
243 | 210,112 | ||||||
6.50%, 07/15/28 |
287 | 197,691 | ||||||
Viavi Solutions,Inc.,3.75%,10/01/29 (b) |
600 | 502,510 | ||||||
|
|
|||||||
4,471,164 | ||||||||
建筑材料 (b) — 0.3% |
||||||||
美国建筑商和承包商供应公司 |
||||||||
4.00%, 01/15/28 |
1,004 | 859,936 | ||||||
3.88%, 11/15/29 |
41 | 32,779 | ||||||
BCPE帝国控股公司,7.63%,05/01/27 |
225 | 183,169 | ||||||
H&E设备服务公司,3.88%,12/15/28 |
132 | 106,755 | ||||||
IAA, Inc., 5.50%, 06/15/27 |
1,054 | 981,738 | ||||||
毕加索金融子公司,6.13%,25年6月15日 |
823 | 802,425 | ||||||
|
|
|||||||
2,966,802 | ||||||||
消费者可自由支配 (b) — 0.8% |
||||||||
嘉年华公司 |
||||||||
10.50%, 02/01/26 (d) |
1,407 | 1,400,626 |
S C H E D U L E O F I N V E S T M E N T S |
83 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
消费者可自由支配(续) |
||||||||
嘉年华公司(Carnival Corp.)(续) |
||||||||
5.75%, 03/01/27 |
$ | 1,195 | $ | 863,125 | ||||
9.88%, 08/01/27 |
1,285 | 1,252,875 | ||||||
4.00%, 08/01/28 |
1,999 | 1,639,180 | ||||||
6.00%, 05/01/29 |
662 | 465,128 | ||||||
CoreLogic, Inc., 4.50%, 05/01/28 |
869 | 669,130 | ||||||
Life Time, Inc., 8.00%, 04/15/26 |
187 | 166,664 | ||||||
NCL Corp. Ltd., 5.88%, 03/15/26 |
127 | 99,681 | ||||||
NCL Finance Ltd., 6.13%, 03/15/28 |
530 | 385,575 | ||||||
尼尔森金融有限责任公司/尼尔森金融公司 |
||||||||
5.63%, 10/01/28 |
768 | 713,242 | ||||||
5.88%, 10/01/30 |
400 | 367,264 | ||||||
皇家加勒比邮轮有限公司。 |
||||||||
5.50%, 08/31/26 |
241 | 178,942 | ||||||
5.50%, 04/01/28 |
579 | 402,405 | ||||||
维京远洋邮轮VII有限公司,5.63%,02/15/29 |
385 | 303,574 | ||||||
|
|
|||||||
8,907,411 | ||||||||
消费金融-1.1% |
||||||||
Block, Inc., 3.50%, 06/01/31 (b) |
2,253 | 1,795,326 | ||||||
HealthEquity,Inc.,4.50%,10/01/29 (b) |
893 | 781,375 | ||||||
MPH收购控股有限责任公司,5.50%,09/01/28 (b) |
452 | 402,279 | ||||||
纳维特公司 |
||||||||
7.25%, 09/25/23 |
299 | 295,828 | ||||||
6.13%, 03/25/24 |
59 | 55,940 | ||||||
5.50%, 03/15/29 |
547 | 421,688 | ||||||
OneMain金融公司 |
||||||||
7.13%, 03/15/26 |
1,231 | 1,137,727 | ||||||
3.50%, 01/15/27 |
627 | 501,600 | ||||||
6.63%, 01/15/28 |
506 | 452,243 | ||||||
5.38%, 11/15/29 |
85 | 68,881 | ||||||
4.00%, 09/15/30 |
296 | 219,410 | ||||||
S&P Global, Inc., 3.70%, 03/01/52 (b) |
550 | 469,537 | ||||||
Sabre Global,Inc.,9.25%,04/15/25 (b) |
578 | 556,932 | ||||||
Shift4 Payments LLC/Shift4 Payments Finance Sub,Inc.,4.63%,11/01/26 (b) |
609 | 538,959 | ||||||
新韩信用卡有限公司,1.38%,10/19/25 (f) |
200 | 182,840 | ||||||
施里拉姆交通金融有限公司,4.40%,03/13/24 |
500 | 462,500 | ||||||
SLM Corp., 3.13%, 11/02/26 |
347 | 280,189 | ||||||
Verscend托管公司,9.75%,08/15/26 (b) |
3,791 | 3,686,747 | ||||||
|
|
|||||||
12,310,001 | ||||||||
集装箱和包装-1.8% |
||||||||
阿尔达格金属包装金融美国有限责任公司/阿尔达格金属包装金融公司 (b) |
||||||||
6.00%, 06/15/27 |
309 | 305,826 | ||||||
3.25%, 09/01/28 |
200 | 170,714 | ||||||
克莱斯代尔收购控股公司。 (b) |
||||||||
6.63%, 04/15/29 |
856 | 804,323 | ||||||
8.75%, 04/15/30 |
588 | 507,191 | ||||||
Crown America LLC/Crown America Capital Corp.,4.25%,09/30/26 |
224 | 206,640 | ||||||
Crown America LLC/Crown America Capital Corp.VI,4.75%,02/01/26 |
355 | 337,825 | ||||||
国际图形包装公司,3.50%,03/01/29 (b) |
264 | 221,680 | ||||||
国际纸业公司 (d) |
||||||||
8.70%, 06/15/38 |
4,000 | 5,168,738 | ||||||
7.30%, 11/15/39 |
10,000 | 11,672,012 |
安防 |
帕尔 (000) |
价值 |
||||||
容器与包装(续) |
||||||||
LABL, Inc., 5.88%, 11/01/28 (b) |
$ | 520 | $ | 419,862 | ||||
Sealed Air Corp., 4.00%, 12/01/27 (b) |
109 | 98,265 | ||||||
|
|
|||||||
19,913,076 | ||||||||
多元化消费服务--1.2% |
||||||||
联合环球控股有限责任公司/联合环球金融公司 (b) |
||||||||
6.63%, 07/15/26 (d) |
5,419 | 4,972,637 | ||||||
9.75%, 07/15/27 |
1,306 | 1,105,320 | ||||||
6.00%, 06/01/29 |
2,301 | 1,670,921 | ||||||
联合环球控股有限公司/联合环球金融公司/Atlas Luxco 4 SARL,4.63%,06/01/28 (b) |
2,154 | 1,760,515 | ||||||
Clarivate Science Holdings Corp. (b) |
||||||||
3.88%, 07/01/28 |
1,290 | 1,077,806 | ||||||
4.88%, 07/01/29 |
824 | 676,504 | ||||||
国际服务公司 |
||||||||
5.13%, 06/01/29 |
468 | 440,945 | ||||||
3.38%, 08/15/30 |
585 | 478,969 | ||||||
4.00%, 05/15/31 |
716 | 611,285 | ||||||
|
|
|||||||
12,794,902 | ||||||||
多元化金融服务--9.2% |
||||||||
Acuris Finance U.S.,Inc./Acuris Finance SARL,5.00%,05/01/28 (b) |
724 | 600,790 | ||||||
Ally Financial,Inc.,B系列,(5年CMT+3.87%),4.70% (a)(g) |
3,375 | 2,676,425 | ||||||
Bank of America Corp., (SOFR + 1.83%), 4.57%, 04/27/33 (a)(d) |
9,380 | 9,128,720 | ||||||
巴克莱银行 (d) |
||||||||
4.84%, 05/09/28 |
4,000 | 3,848,014 | ||||||
(3 mo. LIBOR US + 1.90%), 4.97%, 05/16/29 (a) |
3,220 | 3,164,602 | ||||||
法国巴黎银行,(5年期CMT+3.34%),4.63% (a)(b)(g) |
13,999 | 10,331,236 | ||||||
中银航空有限公司,3.00%,09/11/29 (f) |
200 | 178,100 | ||||||
中央花园宠物公司,4.13%,10/15/30 |
270 | 221,538 | ||||||
中国信达2020 i管理有限公司,3.25%,27年1月28日 (f) |
200 | 186,428 | ||||||
Citigroup, Inc., 6.68%, 09/13/43 (d) |
4,125 | 4,626,623 | ||||||
长和国际17 II有限公司,3.25%,09/29/27 (f) |
200 | 194,225 | ||||||
瑞士信贷股份公司,6.50%,08/08/23 (b)(d) |
6,000 | 6,000,000 | ||||||
瑞士信贷集团,(5年期美元掉期+4.60%),7.50% (a)(b)(g) |
3,250 | 3,092,498 | ||||||
Deutsche Bank AG, (SOFR + 1.87%), 2.13%, 11/24/26 (a) |
3,260 | 2,894,462 | ||||||
多利克·尼姆罗德空气阿尔法传递信托基金,2013-1系列,A类,5.25%,05/30/25 (b) |
377 | 371,811 | ||||||
环球飞机租赁有限公司(6.50%现金或7.25%PIK),6.50%,09/15/24 (b)(i) |
326 | 247,278 | ||||||
高盛股份有限公司,3.62%,03/15/28 (a) |
1,830 | 1,731,950 | ||||||
洲际交易所,Inc.,4.00%,09/15/27 |
10,590 | 10,419,035 | ||||||
ION Trading Technologies SARL,5.75%,05/15/28 (b) |
200 | 159,958 | ||||||
Jefferies Finance LLC/JFIN联合发行商公司,5.00%,08/15/28 (b) |
675 | 555,187 | ||||||
梯子资本金融控股有限公司/梯子资本金融公司,4.25%,02/01/27 (b) |
96 | 77,503 | ||||||
莱斯银行集团,4.65%,03/24/26 (d) |
8,650 | 8,474,731 | ||||||
马纳普兰金融有限公司,5.90%,01/13/23 (f) |
700 | 686,000 | ||||||
Morgan Stanley, (SOFR + 2.62%), 5.30%, 04/20/37 (a) |
2,635 | 2,551,732 |
84 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
多元化金融服务(续) |
|
|||||||
NatWest集团PLC |
||||||||
6.10%, 06/10/23 |
$ | 2,500 | $ | 2,532,041 | ||||
6.00%, 12/19/23 (d) |
10,080 | 10,258,980 | ||||||
5.13%, 05/28/24 (d) |
5,250 | 5,273,138 | ||||||
施里拉姆运输财务有限公司。 (f) |
||||||||
5.95%, 10/24/22 |
200 | 197,440 | ||||||
5.10%, 07/16/23 |
229 | 219,840 | ||||||
SPECTRUM Brands公司 |
||||||||
5.75%, 07/15/25 |
1,002 | 989,377 | ||||||
5.00%, 10/01/29 (b) |
34 | 29,401 | ||||||
UBS Group AG, (1 year CMT + 1.55%), 4.49%, 05/12/26 (a)(b)(d) |
2,585 | 2,575,125 | ||||||
UniCredit SPA, (5 year CMT + 4.75%), 5.46%, 06/30/35 (a)(b) |
6,135 | 4,958,207 | ||||||
小米集团-W最佳时间国际有限公司,3.38%,04/29/30 |
200 | 166,788 | ||||||
|
|
|||||||
99,619,183 | ||||||||
多元化电信服务-7.1% |
||||||||
美国电话电报公司 |
||||||||
4.65%, 06/01/44 |
28 | 25,421 | ||||||
4.35%, 06/15/45 |
95 | 82,942 | ||||||
3.50%, 09/15/53 (d) |
15,960 | 12,097,657 | ||||||
联合通信公司,6.50%,10/01/28 (b) |
1,313 | 1,116,812 | ||||||
FronTier Communications Holdings LLC,8.75%,05/15/30 (b) |
472 | 477,187 | ||||||
3级融资,Inc. |
||||||||
5.38%, 05/01/25 |
614 | 594,702 | ||||||
4.63%, 09/15/27 (b) |
1,065 | 907,912 | ||||||
4.25%, 07/01/28 (b) |
188 | 150,635 | ||||||
3.63%, 01/15/29 (b) |
220 | 169,631 | ||||||
3.75%, 07/15/29 (b) |
181 | 139,950 | ||||||
流明技术公司 |
||||||||
5.63%, 04/01/25 |
1,909 | 1,810,266 | ||||||
5.13%, 12/15/26 (b) |
1,080 | 909,166 | ||||||
4.00%, 02/15/27 (b) |
1,320 | 1,116,390 | ||||||
4.50%, 01/15/29 (b) |
1,026 | 763,749 | ||||||
5.38%, 06/15/29 (b) |
988 | 782,274 | ||||||
Series U, 7.65%, 03/15/42 |
323 | 247,902 | ||||||
Series Y, 7.50%, 04/01/24 |
290 | 286,012 | ||||||
PLDT, Inc., 2.50%, 01/23/31 (f) |
200 | 165,600 | ||||||
软银集团(5年期美元洲际交易所掉期+4.23%),6.00% (a)(f)(g) |
300 | 267,000 | ||||||
Sprint Capital Corp. |
||||||||
6.88%, 11/15/28 |
2,935 | 3,086,211 | ||||||
8.75%, 03/15/32 |
2,015 | 2,425,012 | ||||||
Switch Ltd. (b) |
||||||||
3.75%, 09/15/28 |
677 | 669,655 | ||||||
4.13%, 06/15/29 |
1,200 | 1,187,809 | ||||||
意大利电信资本公司 |
||||||||
6.38%, 11/15/33 |
442 | 341,312 | ||||||
6.00%, 09/30/34 |
818 | 616,993 | ||||||
7.20%, 07/18/36 |
186 | 141,220 | ||||||
7.72%, 06/04/38 |
319 | 246,108 | ||||||
意大利电信温泉,5.30%,05/30/24 (b) |
1,062 | 1,020,423 | ||||||
Telefonica Emisiones SA,5.21%,03/08/47 |
5,000 | 4,431,112 | ||||||
Uniti Group LP/Uniti Fibre Holdings,Inc./CSL Capital LLC,6.00%,01/15/30 (b) |
325 | 224,835 | ||||||
Uniti Group LP/Uniti Group Finance,Inc./CSL Capital LLC,4.75%,04/15/28 (b) |
522 | 429,288 |
安防 |
帕尔 (000) |
价值 |
||||||
多元化电信服务(续) |
|
|||||||
Verizon Communications,Inc. (d) |
||||||||
6.40%, 09/15/33 |
$ | 9,475 | $ | 10,658,843 | ||||
6.55%, 09/15/43 |
13,225 | 15,932,354 | ||||||
5.01%, 04/15/49 |
6,998 | 7,103,726 | ||||||
Zayo集团控股有限公司 (b) |
||||||||
4.00%, 03/01/27 |
5,652 | 4,688,843 | ||||||
6.13%, 03/01/28 |
3,249 | 2,346,135 | ||||||
|
|
|||||||
77,661,087 | ||||||||
电力公用事业-4.3% |
||||||||
Dominion Energy,Inc.,C系列,(5年CMT+3.20%),4.35% (a)(g) |
2,020 | 1,661,450 | ||||||
爱迪生国际,A系列,(5年CMT+4.70%),5.38% (a)(g) |
6,851 | 5,566,437 | ||||||
Emera, Inc., Series 16-A, (3 mo. LIBOR US + 5.44%), 6.75%, 06/15/76 (a) |
7,500 | 7,237,275 | ||||||
FirstEnergy Corp. |
||||||||
2.65%, 03/01/30 |
612 | 504,900 | ||||||
Series B, 2.25%, 09/01/30 |
46 | 36,455 | ||||||
Series C, 3.40%, 03/01/50 |
1,065 | 721,963 | ||||||
第一能源传输有限责任公司,5.45%,07/15/44 (b) |
889 | 830,958 | ||||||
韩国西部电力有限公司,4.13%,06/28/25 |
200 | 200,640 | ||||||
NextEra能源资本控股公司 (a) |
||||||||
(3 mo. LIBOR US + 2.41%), 4.80%, 12/01/77 |
5,000 | 4,098,499 | ||||||
(5 year CMT + 2.55%), 3.80%, 03/15/82 |
3,279 | 2,632,228 | ||||||
NextEra能源运营伙伴有限责任公司 (b) |
||||||||
4.25%, 07/15/24 |
712 | 681,099 | ||||||
4.25%, 09/15/24 |
26 | 24,765 | ||||||
Oncor Electric Delivery Co.LLC,5.30%,06/01/42 (d) |
2,750 | 2,911,674 | ||||||
太平洋燃气电力公司,4.20%,06/01/41 |
2,310 | 1,691,534 | ||||||
Perusahaan Perseroan Persero PT Perusahaan Listrik Negara,5.25%,10/24/42 (f) |
200 | 170,975 | ||||||
PG&E Corp., 5.25%, 07/01/30 |
226 | 185,926 | ||||||
进步能源公司,7.00%,10/30/31 (d) |
12,000 | 13,475,517 | ||||||
Sempra Energy,(5年CMT+4.55%), 4.88% (a)(g) |
4,375 | 4,024,916 | ||||||
国家电网海外投资BVI有限公司,3.50%,05/04/27 (f) |
200 | 197,986 | ||||||
|
|
|||||||
46,855,197 | ||||||||
电气设备 (b) — 0.1% |
||||||||
盖茨全球有限责任公司/盖茨公司,6.25%,2016年1月15日 |
714 | 662,235 | ||||||
GrafTech Finance,Inc.,4.63%,12/15/28 |
296 | 239,610 | ||||||
|
|
|||||||
901,845 | ||||||||
电子设备、仪器和部件 (b) — 0.3% |
||||||||
BWX技术公司 |
||||||||
4.13%, 06/30/28 |
70 | 62,300 | ||||||
4.13%, 04/15/29 |
248 | 217,620 | ||||||
劲量控股公司 |
||||||||
4.75%, 06/15/28 |
244 | 193,668 | ||||||
4.38%, 03/31/29 |
41 | 31,477 | ||||||
伊莫拉合并公司,4.75%,05/15/29 |
1,384 | 1,157,937 | ||||||
Vertiv Group Corp.,4.13%,2018年11月15日 |
1,351 | 1,096,904 | ||||||
|
|
|||||||
2,759,906 | ||||||||
能源设备和服务-0.3% |
||||||||
ArchRock Partners LP/ArchRock Partners Finance Corp. (b) |
||||||||
6.88%, 04/01/27 |
515 | 469,613 | ||||||
6.25%, 04/01/28 |
607 | 537,377 | ||||||
墨西哥石油公司,6.70%,02/16/32 |
695 | 526,462 |
S C H E D U L E O F I N V E S T M E N T S |
85 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
能源设备与服务(续) |
|
|||||||
USA Compression Partners LP/USA Compression Finance Corp. |
||||||||
6.88%, 04/01/26 |
$ | 449 | $ | 408,455 | ||||
6.88%, 09/01/27 |
549 | 487,238 | ||||||
威瑟福国际有限公司 (b) |
||||||||
6.50%, 09/15/28 |
27 | 24,233 | ||||||
8.63%, 04/30/30 |
418 | 346,851 | ||||||
|
|
|||||||
2,800,229 | ||||||||
娱乐 (b) — 0.1% |
||||||||
AMC娱乐控股公司,7.50%,02/15/29 |
572 | 483,340 | ||||||
Lindblad Expeditions LLC,6.75%,02/15/27 |
410 | 351,575 | ||||||
NCL Corp. Ltd., 7.75%, 02/15/29 |
202 | 154,530 | ||||||
|
|
|||||||
989,445 | ||||||||
环境、维护和安全服务-0.6% |
||||||||
Clean Harbors,Inc.,5.13%,07/15/29 (b) |
1,278 | 1,159,785 | ||||||
卡万塔控股公司 |
||||||||
4.88%, 12/01/29 (b) |
235 | 191,224 | ||||||
5.00%, 09/01/30 |
293 | 239,176 | ||||||
GFL环境公司 (b) |
||||||||
3.75%, 08/01/25 |
297 | 275,468 | ||||||
5.13%, 12/15/26 (d) |
2,289 | 2,188,970 | ||||||
4.00%, 08/01/28 |
235 | 193,875 | ||||||
3.50%, 09/01/28 |
504 | 432,180 | ||||||
4.75%, 06/15/29 |
603 | 498,983 | ||||||
4.38%, 08/15/29 |
123 | 99,015 | ||||||
Tervita Corp., 11.00%, 12/01/25 (b) |
182 | 197,925 | ||||||
Waste Pro USA, Inc., 5.50%, 02/15/26 (b) |
1,151 | 1,022,433 | ||||||
|
|
|||||||
6,499,034 | ||||||||
股权房地产投资信托基金(REITs)-0.6% |
||||||||
Brookfield Property REIT,Inc./BPR Cumulus LLC/BPR Nimbus LLC/GGSI Sellco LL,4.50%,04/01/27 (b) |
364 | 301,842 | ||||||
Global Net Lease,Inc./Global Net Lease运营合伙公司,3.75%,12/15/27 (b) |
258 | 215,608 | ||||||
铁山公司 (b) |
||||||||
4.88%, 09/15/27 |
606 | 547,551 | ||||||
5.63%, 07/15/32 |
778 | 657,858 | ||||||
MPT运营合伙公司/MPT财务公司 |
||||||||
5.00%, 10/15/27 |
178 | 162,811 | ||||||
4.63%, 08/01/29 |
965 | 846,788 | ||||||
3.50%, 03/15/31 |
2,778 | 2,189,509 | ||||||
RHP Hotel Properties LP/RHP Finance Corp.,4.75%,10/15/27 |
1,529 | 1,356,391 | ||||||
RLJ Lodging Trust LP,4.00%,09/15/29 (b) |
199 | 163,461 | ||||||
|
|
|||||||
6,441,819 | ||||||||
食品和史泰博零售业-2.1% |
||||||||
艾伯森公司/西夫韦公司/新艾伯森公司/艾伯森有限责任公司 (b) |
||||||||
3.25%, 03/15/26 |
1,296 | 1,128,752 | ||||||
4.63%, 01/15/27 |
1,885 | 1,683,908 | ||||||
5.88%, 02/15/28 |
928 | 867,337 | ||||||
4.88%, 02/15/30 |
142 | 121,813 | ||||||
长和国际21有限公司,3.13%,04/15/41 (f) |
200 | 161,866 | ||||||
达林配料公司,6.00%,06/15/30 (b) |
518 | 516,265 | ||||||
通用磨坊公司,4.20%,04/17/28 |
620 | 615,124 | ||||||
卡夫亨氏食品公司 |
||||||||
4.25%, 03/01/31 |
68 | 64,661 | ||||||
5.00%, 07/15/35 |
214 | 207,160 | ||||||
7.13%, 08/01/39 (b)(d) |
4,415 | 4,945,746 | ||||||
4.63%, 10/01/39 |
100 | 87,759 | ||||||
5.00%, 06/04/42 |
12 | 10,963 |
安防 |
帕尔 (000) |
价值 |
||||||
食品与史泰博零售业(续) |
|
|||||||
卡夫亨氏食品公司(Kraft Heinz Foods Co.) |
||||||||
4.38%, 06/01/46 |
$ | 158 | $ | 131,678 | ||||
4.88%, 10/01/49 |
263 | 232,295 | ||||||
5.50%, 06/01/50 |
2,825 | 2,711,757 | ||||||
兰姆·韦斯顿控股公司 (b) |
||||||||
4.88%, 05/15/28 |
284 | 267,275 | ||||||
4.13%, 01/31/30 |
515 | 445,764 | ||||||
4.38%, 01/31/32 |
597 | 519,390 | ||||||
Performance Food Group,Inc.,4.25%,08/01/29 (b) |
700 | 584,500 | ||||||
邮政控股公司 (b) |
||||||||
5.63%, 01/15/28 |
428 | 406,258 | ||||||
4.63%, 04/15/30 |
596 | 502,887 | ||||||
U.S. Foods, Inc., 4.75%, 02/15/29 (b) |
595 | 520,143 | ||||||
Walmart, Inc., 5.25%, 09/01/35 (d) |
5,150 | 5,716,830 | ||||||
|
|
|||||||
22,450,131 | ||||||||
食品产品 (b) — 0.5% |
||||||||
阿拉马克服务公司 |
||||||||
5.00%, 04/01/25 |
1,367 | 1,309,784 | ||||||
6.38%, 05/01/25 |
1,154 | 1,129,016 | ||||||
5.00%, 02/01/28 |
170 | 154,056 | ||||||
Chobani LLC/Chobani金融公司 |
||||||||
7.50%, 04/15/25 |
1,321 | 1,213,165 | ||||||
4.63%, 11/15/28 |
250 | 211,250 | ||||||
JBS USA LUX SA/JBS USA Food Co./JBS USA Finance,Inc.,3.75%,12/01/31 |
576 | 472,543 | ||||||
朝圣者的骄傲公司,3.50%,03/01/32 |
387 | 302,344 | ||||||
西蒙斯食品公司/西蒙斯准备食品公司/西蒙斯宠物食品公司/西蒙斯饲料公司,4.63%,03/01/29 |
624 | 527,530 | ||||||
|
|
|||||||
5,319,688 | ||||||||
燃气公用事业-0.0% |
||||||||
郊区丙烷合伙公司/郊区能源金融公司,5.00%,06/01/31 (b) |
237 | 201,539 | ||||||
|
|
|||||||
医疗保健设备和用品-0.3% |
||||||||
埃文特基金公司 (b) |
||||||||
4.63%, 07/15/28 |
2,051 | 1,880,152 | ||||||
3.88%, 11/01/29 |
396 | 346,361 | ||||||
Embecta Corp., 6.75%, 02/15/30 (b) |
255 | 229,584 | ||||||
Hologic, Inc., 3.25%, 02/15/29 (b) |
25 | 21,368 | ||||||
Medtronic, Inc., 4.63%, 03/15/45 (d) |
647 | 648,827 | ||||||
|
|
|||||||
3,126,292 | ||||||||
医疗保健提供者和服务-4.7% |
||||||||
180 Medical, Inc., 3.88%, 10/15/29 (b) |
282 | 243,930 | ||||||
AdaptHealth LLC,5.13%,03/01/30 (b) |
55 | 46,360 | ||||||
Aetna, Inc., 3.88%, 08/15/47 |
3,500 | 2,891,238 | ||||||
AHP Health Partners,Inc.,5.75%,07/15/29 (b) |
580 | 426,126 | ||||||
森特内公司 |
||||||||
2.45%, 07/15/28 |
1,241 | 1,035,044 | ||||||
4.63%, 12/15/29 |
2,027 | 1,890,177 | ||||||
3.00%, 10/15/30 |
1,873 | 1,552,249 | ||||||
2.50%, 03/01/31 |
2,740 | 2,174,902 | ||||||
2.63%, 08/01/31 |
700 | 556,850 | ||||||
社区卫生服务/社区卫生系统公司 (b) |
||||||||
8.00%, 03/15/26 |
1,082 | 985,367 | ||||||
5.63%, 03/15/27 |
1,072 | 907,309 | ||||||
6.00%, 01/15/29 |
812 | 672,677 | ||||||
6.13%, 04/01/30 |
564 | 344,040 | ||||||
Elevance Health,Inc.,4.55%,03/01/48 (d) |
5,000 | 4,727,950 | ||||||
包括健康公司。 |
||||||||
4.50%, 02/01/28 |
106 | 90,747 |
86 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
医疗保健提供者和服务(续) |
|
|||||||
包括健康公司(续) |
||||||||
4.75%, 02/01/30 |
$ | 1,103 | $ | 924,358 | ||||
4.63%, 04/01/31 |
250 | 202,431 | ||||||
HCA,Inc. |
||||||||
5.38%, 09/01/26 |
359 | 355,979 | ||||||
5.63%, 09/01/28 |
833 | 819,418 | ||||||
5.25%, 06/15/49 |
3,500 | 3,014,376 | ||||||
传统LifePoint Health LLC (b) |
||||||||
6.75%, 04/15/25 |
409 | 395,343 | ||||||
4.38%, 02/15/27 |
491 | 420,698 | ||||||
LifePoint Health,Inc.,5.38%,01/15/29 (b)(d) |
184 | 135,240 | ||||||
Medline借款人LP,5.25%,10/01/29 (b) |
2,133 | 1,751,833 | ||||||
ModivCare, Inc., 5.88%, 11/15/25 (b) |
152 | 139,840 | ||||||
莫利纳医疗保健公司 (b) |
||||||||
4.38%, 06/15/28 |
659 | 588,666 | ||||||
3.88%, 11/15/30 |
491 | 419,697 | ||||||
3.88%, 05/15/32 |
509 | 426,840 | ||||||
Owens & Minor, Inc., 6.63%, 04/01/30 (b) |
246 | 224,714 | ||||||
Prime Healthcare Services,Inc.,7.25%,11/01/25 (b) |
432 | 368,712 | ||||||
RegionalCare医院合作伙伴控股公司/LifePoint Health,Inc.,9.75%,12/01/26 (b) |
72 | 70,020 | ||||||
外科中心控股公司 (b) |
||||||||
6.75%, 07/01/25 |
375 | 343,703 | ||||||
10.00%, 04/15/27 |
892 | 864,031 | ||||||
Teleflex,Inc. |
||||||||
4.63%, 11/15/27 |
70 | 64,575 | ||||||
4.25%, 06/01/28 (b) |
748 | 675,844 | ||||||
泰尼特医疗保健公司 |
||||||||
4.63%, 07/15/24 |
471 | 452,033 | ||||||
4.63%, 09/01/24 (b) |
882 | 846,720 | ||||||
4.88%, 01/01/26 (b)(d) |
4,122 | 3,792,240 | ||||||
6.25%, 02/01/27 (b) |
89 | 81,917 | ||||||
5.13%, 11/01/27 (b) |
2,324 | 2,091,600 | ||||||
4.63%, 06/15/28 (b) |
37 | 32,219 | ||||||
6.13%, 06/15/30 (b) |
471 | 434,535 | ||||||
联合健康集团,6.88%,02/15/38 (d) |
10,000 | 12,383,202 | ||||||
|
|
|||||||
50,865,750 | ||||||||
医疗保健技术 (b) — 0.6% |
||||||||
卡特伦特制药解决方案公司 |
||||||||
5.00%, 07/15/27 |
733 | 689,995 | ||||||
3.50%, 04/01/30 |
645 | 526,274 | ||||||
Change Healthcare Holdings LLC/Change Healthcare Finance,Inc.,5.75%,03/01/25 |
601 | 585,188 | ||||||
查尔斯·里弗国际实验室公司 |
||||||||
4.25%, 05/01/28 |
324 | 291,053 | ||||||
3.75%, 03/15/29 |
141 | 122,367 | ||||||
4.00%, 03/15/31 |
204 | 173,899 | ||||||
IQVIA,Inc. |
||||||||
5.00%, 10/15/26 |
554 | 527,591 | ||||||
5.00%, 05/15/27 |
592 | 560,091 | ||||||
Minerva合并子公司,6.50%,02/15/30 |
1,117 | 928,886 | ||||||
Syneos Health,Inc.,3.63%,01/15/29 |
1,874 | 1,586,956 | ||||||
|
|
|||||||
5,992,300 | ||||||||
酒店、餐饮和休闲-3.0% |
||||||||
1011778 BC ULC/新红色金融公司 (b) |
||||||||
5.75%, 04/15/25 |
552 | 555,215 | ||||||
3.88%, 01/15/28 |
1,493 | 1,295,805 | ||||||
4.38%, 01/15/28 |
2,509 | 2,193,619 |
安防 |
帕尔 (000) |
价值 |
||||||
酒店、餐馆和休闲(续) |
| |||||||
1011778 BC ULC/新红色金融公司 (b) (续) |
| |||||||
4.00%, 10/15/30 |
$ | 232 | $ | 186,180 | ||||
博伊德游戏公司 |
||||||||
4.75%, 12/01/27 |
393 | 355,665 | ||||||
4.75%, 06/15/31 (b) |
775 | 654,890 | ||||||
Boyne USA, Inc., 4.75%, 05/15/29 (b) |
508 | 439,898 | ||||||
凯撒娱乐公司 (b) |
||||||||
6.25%, 07/01/25 |
3,215 | 3,098,392 | ||||||
8.13%, 07/01/27 |
3,127 | 3,021,464 | ||||||
4.63%, 10/15/29 |
1,499 | 1,165,472 | ||||||
凯撒度假村收藏有限责任公司/CRC Finco,Inc.,5.75%,07/01/25 (b) |
1,048 | 1,002,213 | ||||||
Carnival Corp., 7.63%, 03/01/26 (b) |
149 | 115,406 | ||||||
CDI托管发行商,Inc.,5.75%,04/01/30 (b) |
1,311 | 1,193,010 | ||||||
Cedar Fair LP/加拿大仙境公司/Magnum Management Corp./Millennium Op,5.50%,05/01/25 (b) |
408 | 395,760 | ||||||
冠军路径控股有限公司。 (f) |
||||||||
4.50%, 01/27/26 |
500 | 310,000 | ||||||
4.85%, 01/27/28 |
500 | 285,875 | ||||||
丘吉尔唐斯公司 (b) |
||||||||
5.50%, 04/01/27 |
1,730 | 1,643,500 | ||||||
4.75%, 01/15/28 |
442 | 393,380 | ||||||
费尔蒂塔娱乐有限责任公司/费尔蒂塔娱乐金融有限公司 (b) |
||||||||
4.63%, 01/15/29 |
807 | 687,967 | ||||||
6.75%, 01/15/30 |
521 | 399,867 | ||||||
财富之星BVI有限公司 (f) |
||||||||
6.75%, 07/02/23 |
200 | 157,175 | ||||||
5.95%, 10/19/25 |
269 | 164,090 | ||||||
5.00%, 05/18/26 |
344 | 206,400 | ||||||
希尔顿国内运营有限公司。 |
||||||||
5.38%, 05/01/25 (b) |
319 | 312,620 | ||||||
5.75%, 05/01/28 (b) |
451 | 428,824 | ||||||
3.75%, 05/01/29 (b) |
239 | 202,708 | ||||||
4.88%, 01/15/30 |
1,316 | 1,189,335 | ||||||
4.00%, 05/01/31 (b) |
483 | 401,373 | ||||||
拉斯维加斯金沙公司 |
||||||||
3.50%, 08/18/26 |
96 | 83,434 | ||||||
3.90%, 08/08/29 |
88 | 71,904 | ||||||
万豪国际,EE系列,5.75%,05/01/25 |
1,295 | 1,343,451 | ||||||
McDonald’s Corp., 4.20%, 04/01/50 (d) |
480 | 428,680 | ||||||
新濠国际度假村财务有限公司 (f) |
||||||||
5.25%, 04/26/26 |
300 | 210,000 | ||||||
5.75%, 07/21/28 |
300 | 189,000 | ||||||
5.38%, 12/04/29 |
383 | 227,885 | ||||||
美高梅中国控股有限公司,5.88%,05/15/26 (f) |
200 | 151,850 | ||||||
米高梅国际度假村,6.00%,03/15/23 |
1,335 | 1,331,903 | ||||||
中西部博彩借款人有限责任公司/中西部博彩金融公司,4.88%,05/01/29 (b) |
487 | 396,905 | ||||||
Premier Entertainment Sub LLC/Premier Entertainment Finance Corp. (b) |
||||||||
5.63%, 09/01/29 |
242 | 172,294 | ||||||
5.88%, 09/01/31 |
242 | 167,951 | ||||||
皇家加勒比邮轮有限公司,5.38%,07/15/27 (b) |
679 | 493,545 | ||||||
国际科学游戏公司 (b) |
||||||||
8.63%, 07/01/25 |
442 | 453,094 | ||||||
7.00%, 05/15/28 |
451 | 423,232 | ||||||
7.25%, 11/15/29 |
218 | 204,443 |
S C H E D U L E O F I N V E S T M E N T S |
87 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
酒店、餐馆和休闲(续) |
| |||||||
六旗主题公园,Inc.,7.00%,07/01/25 (b) |
$ | 591 | $ | 598,287 | ||||
Station Casinos LLC,4.63%,12/01/31 (b) |
611 | 476,580 | ||||||
影城财务有限公司。 (f) |
||||||||
6.50%, 01/15/28 |
300 | 168,750 | ||||||
5.00%, 01/15/29 |
530 | 264,271 | ||||||
阳光快递企业股份有限公司,2.95%,03/01/27 (f) |
200 | 191,330 | ||||||
Vail Resorts,Inc.,6.25%,05/15/25 (b) |
341 | 340,581 | ||||||
永利拉斯维加斯有限责任公司/永利拉斯维加斯资本公司,5.25%,05/15/27 (b)(d) |
602 | 515,607 | ||||||
永利澳门有限公司 (f) |
||||||||
4.88%, 10/01/24 |
200 | 145,124 | ||||||
5.50%, 01/15/26 |
230 | 158,987 | ||||||
永利度假村金融有限责任公司/永利度假村资本公司,5.13%,10/01/29 (b) |
1,103 | 868,723 | ||||||
好吃!Brands公司 |
||||||||
4.75%, 01/15/30 (b) |
135 | 122,513 | ||||||
3.63%, 03/15/31 |
134 | 112,560 | ||||||
|
|
|||||||
32,768,987 | ||||||||
家用耐用品-0.4% |
||||||||
Brookfield Residential Properties,Inc./Brookfield Residential U.S.LLC,4.88%,02/15/30 (b) |
770 | 559,405 | ||||||
CD&R Smokey Buyer,Inc.,6.75%,07/15/25 (b) |
507 | 448,229 | ||||||
Lennar Corp., 5.25%, 06/01/26 |
890 | 902,894 | ||||||
玛塔米集团,4.63%,03/01/30 (b) |
427 | 312,058 | ||||||
美的投资发展有限公司,2.88%,02/24/27 (f) |
200 | 188,346 | ||||||
NCR公司 (b) |
||||||||
5.75%, 09/01/27 |
512 | 454,415 | ||||||
5.00%, 10/01/28 |
241 | 204,343 | ||||||
5.13%, 04/15/29 |
159 | 134,473 | ||||||
6.13%, 09/01/29 |
175 | 151,350 | ||||||
PulteGroup,Inc. |
||||||||
5.00%, 01/15/27 |
55 | 54,995 | ||||||
7.88%, 06/15/32 |
56 | 63,072 | ||||||
主权财富基金托管发行商公司,6.50%,10/01/29 (b) |
684 | 459,990 | ||||||
坦普尔海利国际公司 (b) |
||||||||
4.00%, 04/15/29 |
471 | 379,409 | ||||||
3.88%, 10/15/31 |
344 | 258,000 | ||||||
Toll Brothers Finance Corp.,4.35%,02/15/28 |
35 | 31,627 | ||||||
|
|
|||||||
4,602,606 | ||||||||
独立电力和可再生电力生产商-0.8% |
||||||||
卡尔平公司 (b) |
||||||||
5.25%, 06/01/26 |
379 | 360,050 | ||||||
4.50%, 02/15/28 |
438 | 397,650 | ||||||
5.13%, 03/15/28 |
2,807 | 2,471,002 | ||||||
5.00%, 02/01/31 |
3 | 2,425 | ||||||
Clearway Energy运营有限责任公司 (b) |
||||||||
4.75%, 03/15/28 |
630 | 566,799 | ||||||
3.75%, 01/15/32 |
307 | 243,298 | ||||||
Greenko荷兰BV,3.85%,03/29/26 (f) |
782 | 662,592 | ||||||
韩华能源美国控股公司,4.13%,07/05/25 (f)(h) |
200 | 200,702 | ||||||
印度绿色能源控股,5.38%,04/29/24 (f) |
250 | 233,750 | ||||||
印度绿色电力控股,4.00%,27年2月22日 (f) |
700 | 542,500 | ||||||
NRG能源公司 |
||||||||
6.63%, 01/15/27 |
618 | 605,255 | ||||||
5.75%, 01/15/28 |
52 | 47,264 | ||||||
5.25%, 06/15/29 (b) |
960 | 856,800 | ||||||
3.63%, 02/15/31 (b) |
514 | 402,971 |
安防 |
帕尔 (000) |
价值 |
||||||
独立发电商和可再生发电商(续) |
| |||||||
续订电力有限公司,5.88%,03/05/27 (f) |
$ | 200 | $ | 181,288 | ||||
Renew Wind Energy AP2/Renew Power Pvt Ltd.其他9家子公司,4.50%,07/14/28 (f) |
550 | 429,688 | ||||||
SMC Global Power Holdings Corp.(5年CMT+7.16%),5.45% (a)(f)(g) |
300 | 270,750 | ||||||
TerraForm Power Operating LLC (b) |
||||||||
5.00%, 01/31/28 |
231 | 209,226 | ||||||
4.75%, 01/15/30 |
127 | 108,774 | ||||||
|
|
|||||||
8,792,784 | ||||||||
保险--3.9% |
||||||||
Acrisure LLC/Acrisure Finance,Inc.,6.00%,08/01/29 (b) |
478 | 374,174 | ||||||
友邦保险有限公司(5年CMT+1.76%), 2.70% (a)(f)(g) |
200 | 178,000 | ||||||
联合控股中级有限责任公司/联合控股联合发行人 (b) |
||||||||
4.25%, 10/15/27 |
88 | 76,170 | ||||||
6.75%, 10/15/27 |
2,839 | 2,519,272 | ||||||
5.88%, 11/01/29 |
127 | 105,386 | ||||||
好事达公司,B系列,(3个月。Libor US+2.94%),5.75%,08/15/53 (a)(d) |
5,000 | 4,381,250 | ||||||
AmWINS Group,Inc.,4.88%,06/30/29 (b) |
551 | 451,226 | ||||||
Aon Global Ltd., 4.25%, 12/12/42 (d) |
6,500 | 5,600,968 | ||||||
农民交易资本II,(3个月Libor US+3.74%),6.15%,11/01/53 (a)(b) |
4,890 | 5,169,291 | ||||||
GTCR AP Finance,Inc.,8.00%,05/15/27 (b) |
87 | 81,445 | ||||||
韩华人寿保险股份有限公司(5年期CMT+2.00%),4.70% (a)(f)(g) |
200 | 199,100 | ||||||
HUB国际有限公司 (b) |
||||||||
7.00%, 05/01/26 |
1,724 | 1,621,250 | ||||||
5.63%, 12/01/29 |
181 | 149,515 | ||||||
西北互惠人寿保险公司,6.06%,03/30/40 (b)(d) |
12,000 | 13,080,408 | ||||||
信安金融集团有限公司(3个月Libor US+3.04%),4.46%,05/15/55 (a) |
5,000 | 4,475,180 | ||||||
进步公司,B系列,(3个月。Libor US+2.54%),5.38% (a)(g) |
5,000 | 4,400,000 | ||||||
|
|
|||||||
42,862,635 | ||||||||
互动媒体和服务-0.6% |
||||||||
Baidu, Inc., 1.63%, 02/23/27 |
200 | 177,136 | ||||||
有线电视光路有限责任公司 (b) |
||||||||
3.88%, 09/15/27 |
368 | 304,520 | ||||||
5.63%, 09/15/28 |
540 | 422,420 | ||||||
Netflix公司 |
||||||||
3.63%, 06/15/25 (b) |
210 | 200,208 | ||||||
5.88%, 11/15/28 |
1,698 | 1,660,152 | ||||||
5.38%, 11/15/29 (b) |
2,007 | 1,896,615 | ||||||
4.88%, 06/15/30 (b) |
461 | 421,928 | ||||||
西北光纤有限责任公司/西北光纤金融子公司,4.75%,27年4月30日 (b) |
614 | 505,661 | ||||||
腾讯控股控股有限公司,3.60%,01/19/28 (f) |
400 | 380,512 | ||||||
推特公司 (b) |
||||||||
3.88%, 12/15/27 |
766 | 722,150 | ||||||
5.00%, 03/01/30 |
192 | 182,160 | ||||||
|
|
|||||||
6,873,462 | ||||||||
互联网和直销零售业-0.3% |
||||||||
阿里巴巴。 |
||||||||
3.60%, 11/28/24 |
200 | 198,668 |
88 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
互联网与直销零售(续) |
| |||||||
阿里巴巴。(续) |
||||||||
3.40%, 12/06/27 |
$ | 200 | $ | 191,164 | ||||
Amazon.com, Inc., 2.70%, 06/03/60 (d) |
3,614 | 2,447,869 | ||||||
|
|
|||||||
2,837,701 | ||||||||
互联网软件和服务-1.0% |
||||||||
ANGI Group LLC, 3.88%, 08/15/28 (b) |
582 | 443,134 | ||||||
Booking Holdings,Inc.,3.55%,03/15/28 (d) |
3,375 | 3,252,884 | ||||||
Go爸爸运营有限责任公司/GD金融有限公司 (b) |
||||||||
5.25%, 12/01/27 |
370 | 338,550 | ||||||
3.50%, 03/01/29 |
317 | 267,260 | ||||||
Match Group Holdings II LLC (b) |
||||||||
4.13%, 08/01/30 |
383 | 319,845 | ||||||
3.63%, 10/01/31 |
305 | 240,187 | ||||||
优步技术公司 (b) |
||||||||
7.50%, 05/15/25 |
1,750 | 1,733,323 | ||||||
8.00%, 11/01/26 |
481 | 478,835 | ||||||
7.50%, 09/15/27 |
2,069 | 2,004,406 | ||||||
6.25%, 01/15/28 |
581 | 537,332 | ||||||
4.50%, 08/15/29 |
1,982 | 1,630,195 | ||||||
|
|
|||||||
11,245,951 | ||||||||
IT服务-0.8% |
||||||||
博思艾伦汉密尔顿公司 (b) |
||||||||
3.88%, 09/01/28 |
561 | 496,485 | ||||||
4.00%, 07/01/29 |
945 | 823,974 | ||||||
CA Magnum Holdings |
||||||||
5.38%, 10/31/26 (b) |
964 | 833,860 | ||||||
5.38%, 10/31/26 (f) |
700 | 605,500 | ||||||
Camelot Finance SA,4.50%,11/01/26 (b) |
1,254 | 1,143,772 | ||||||
秃鹰合并子公司,7.38%,02/15/30 (b) |
1,273 | 1,034,656 | ||||||
邓白氏公司,5.00%,12/15/29 (b) |
262 | 226,303 | ||||||
Fair Isaac Corp., 4.00%, 06/15/28 (b) |
393 | 348,135 | ||||||
高德纳公司 (b) |
||||||||
4.50%, 07/01/28 |
743 | 682,226 | ||||||
3.63%, 06/15/29 |
138 | 119,559 | ||||||
3.75%, 10/01/30 |
792 | 674,190 | ||||||
Twilio, Inc., 3.88%, 03/15/31 |
810 | 666,444 | ||||||
Wipro IT服务有限责任公司,1.50%,06/23/26 (f) |
200 | 178,313 | ||||||
ZoomInfo科技有限公司/ZoomInfo金融公司,3.88%,02/01/29 (b) |
989 | 828,428 | ||||||
|
|
|||||||
8,661,845 | ||||||||
休闲产品-0.1% |
||||||||
美泰公司 |
||||||||
3.75%, 04/01/29 (b) |
213 | 191,401 | ||||||
6.20%, 10/01/40 |
513 | 489,915 | ||||||
5.45%, 11/01/41 |
753 | 660,947 | ||||||
|
|
|||||||
1,342,263 | ||||||||
机械设备 (b) — 0.4% |
||||||||
Husky III Holding Ltd., (13.00% Cash or 13.75% PIK), 13.00%, 02/15/25 (i) |
166 | 161,020 | ||||||
Madison IAQ LLC,5.88%,06/30/29 |
645 | 494,276 | ||||||
Terex Corp., 5.00%, 05/15/29 |
688 | 584,800 | ||||||
泰坦收购有限公司/泰坦公司-借款人有限责任公司,7.75%,04/15/26 |
1,550 | 1,424,760 | ||||||
TK电梯Holdco GmbH,7.63%,07/15/28 |
596 | 534,910 | ||||||
TK电梯美国Newco,Inc.,5.25%,07/15/27 |
1,747 | 1,557,564 | ||||||
|
|
|||||||
4,757,330 |
安防 |
帕尔 (000) |
价值 |
||||||
Media — 9.9% |
||||||||
Altice Finding SA (b) |
||||||||
5.00%, 01/15/28 |
$ | 863 | $ | 695,440 | ||||
5.75%, 08/15/29 |
2,009 | 1,612,222 | ||||||
Altices France Holding SA,10.50%,05/15/27 (b) |
5,291 | 4,439,890 | ||||||
AMC Networks,Inc.,4.25%,02/15/29 |
263 | 213,080 | ||||||
Cable One, Inc., 4.00%, 11/15/30 (b) |
521 | 427,991 | ||||||
CCO Holdings LLC/CCO Holdings Capital Corp. |
||||||||
5.13%, 05/01/27 (b)(d) |
2,592 | 2,446,200 | ||||||
5.00%, 02/01/28 (b) |
274 | 252,820 | ||||||
5.38%, 06/01/29 (b) |
1,823 | 1,629,470 | ||||||
4.75%, 03/01/30 (b) |
579 | 495,190 | ||||||
4.50%, 08/15/30 (b) |
3,257 | 2,704,216 | ||||||
4.25%, 02/01/31 (b) |
1,749 | 1,425,435 | ||||||
4.75%, 02/01/32 (b) |
593 | 485,548 | ||||||
4.50%, 05/01/32 |
341 | 276,108 | ||||||
4.50%, 06/01/33 (b) |
326 | 256,895 | ||||||
4.25%, 01/15/34 (b) |
2,197 | 1,697,182 | ||||||
特许通信运营有限责任公司/特许通信运营资本 |
||||||||
6.38%, 10/23/35 |
479 | 481,737 | ||||||
6.48%, 10/23/45 (d) |
9,584 | 9,317,274 | ||||||
5.38%, 05/01/47 |
1,500 | 1,277,192 | ||||||
6.83%, 10/23/55 |
3,540 | 3,557,672 | ||||||
Clear Channel户外控股公司 (b) |
||||||||
5.13%, 08/15/27 (d) |
5,585 | 4,715,583 | ||||||
7.75%, 04/15/28 |
2,155 | 1,567,913 | ||||||
7.50%, 06/01/29 (d) |
1,931 | 1,388,505 | ||||||
康卡斯特公司 |
||||||||
3.75%, 04/01/40 |
545 | 477,671 | ||||||
2.99%, 11/01/63 |
5,558 | 3,790,961 | ||||||
Connect Finco SARL/Connect U.S.FinCo LLC,6.75%,10/01/26 (b)(d) |
4,514 | 4,056,416 | ||||||
考克斯通信公司,8.38%,03/01/39 (b) |
5,000 | 6,493,127 | ||||||
CSC控股有限责任公司 |
||||||||
5.25%, 06/01/24 |
1,061 | 992,035 | ||||||
5.38%, 02/01/28 (b) |
336 | 290,640 | ||||||
7.50%, 04/01/28 (b) |
877 | 732,295 | ||||||
5.75%, 01/15/30 (b) |
406 | 295,377 | ||||||
4.13%, 12/01/30 (b) |
2,480 | 1,934,400 | ||||||
3.38%, 02/15/31 (b) |
225 | 166,345 | ||||||
4.50%, 11/15/31 (b) |
680 | 524,382 | ||||||
DirecTV融资有限责任公司/DirecTV融资公司-债务人,5.88%,08/15/27 (b) |
897 | 765,204 | ||||||
Discovery Communications LLC,4.88%,04/01/43 |
4,000 | 3,325,942 | ||||||
迪什星展银行公司 |
||||||||
5.88%, 07/15/22 |
2,545 | 2,530,570 | ||||||
7.75%, 07/01/26 |
1,110 | 865,245 | ||||||
5.25%, 12/01/26 (b) |
2,398 | 1,879,648 | ||||||
5.75%, 12/01/28 (b) |
1,904 | 1,409,741 | ||||||
前沿通信控股有限责任公司 (b) |
||||||||
5.88%, 10/15/27 |
911 | 819,082 | ||||||
5.00%, 05/01/28 |
414 | 351,900 | ||||||
6.75%, 05/01/29 |
1,212 | 996,870 | ||||||
6.00%, 01/15/30 |
536 | 412,425 | ||||||
GCI LLC, 4.75%, 10/15/28 (b) |
251 | 217,479 | ||||||
Global Telecom,Inc.(5年CMT+5.53%),4.20% (a)(f)(g) |
700 | 651,000 | ||||||
Gray TV,Inc.,7.00%,05/15/27 (b) |
415 | 399,437 | ||||||
IHeartCommunications,Inc. |
||||||||
6.38%, 05/01/26 |
370 | 342,696 | ||||||
5.25%, 08/15/27 (b) |
376 | 321,792 |
S C H E D U L E O F I N V E S T M E N T S |
89 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
媒体(续) |
| |||||||
IHeartCommunications,Inc.(续) |
||||||||
4.75%, 01/15/28 (b) |
$ | 184 | $ | 151,631 | ||||
伊利亚特持有萨苏 (b) |
||||||||
6.50%, 10/15/26 |
978 | 880,171 | ||||||
7.00%, 10/15/28 |
757 | 658,541 | ||||||
Lamar Media Corp.,4.00%,02/15/30 |
307 | 257,773 | ||||||
LCPR高级担保融资DAC (b) |
||||||||
6.75%, 10/15/27 |
860 | 802,234 | ||||||
5.13%, 07/15/29 |
1,214 | 1,013,690 | ||||||
Ligado Networks LLC, (15.50% PIK), 15.50%, 11/01/23 (b)(i) |
508 | 261,446 | ||||||
狮门资本控股有限公司,5.50%,04/15/29 (b) |
1,340 | 1,045,200 | ||||||
Live Nation Entertainment,Inc. (b) |
||||||||
4.88%, 11/01/24 |
136 | 129,880 | ||||||
6.50%, 05/15/27 |
2,379 | 2,339,556 | ||||||
4.75%, 10/15/27 |
606 | 537,231 | ||||||
3.75%, 01/15/28 |
150 | 129,375 | ||||||
Magallanes, Inc., 3.43%, 03/15/24 (b) |
1,460 | 1,431,285 | ||||||
Network i2i Ltd.(5年CMT+4.27%),5.65% (a)(f)(g) |
695 | 643,222 | ||||||
OutFront Media Capital LLC/Outfront Media Capital Corp. (b) |
||||||||
5.00%, 08/15/27 |
476 | 415,905 | ||||||
4.25%, 01/15/29 |
336 | 267,664 | ||||||
4.63%, 03/15/30 |
55 | 43,333 | ||||||
派拉蒙全球,5.85%,09/01/43 |
1,300 | 1,214,553 | ||||||
Radiate Holdco LLC/Radiate Finance,Inc. (b) |
||||||||
4.50%, 09/15/26 |
1,459 | 1,258,067 | ||||||
6.50%, 09/15/28 |
3,116 | 2,408,278 | ||||||
斯克里普斯托管II,Inc.,3.88%,1/15/29 (b) |
37 | 31,007 | ||||||
辛克莱电视集团,4.13%,12/01/30 (b) |
817 | 648,016 | ||||||
天狼星XM无线电公司 (b) |
||||||||
3.13%, 09/01/26 |
1,020 | 910,075 | ||||||
5.00%, 08/01/27 |
596 | 552,802 | ||||||
4.00%, 07/15/28 |
619 | 535,435 | ||||||
5.50%, 07/01/29 |
1,008 | 918,540 | ||||||
3.88%, 09/01/31 |
601 | 478,546 | ||||||
Stagwell Global LLC,5.63%,08/15/29 (b) |
209 | 167,938 | ||||||
Telenet Finance卢森堡债券,5.50%,03/01/28 (b) |
1,000 | 882,400 | ||||||
时代华纳有线电视有限责任公司,6.55%,05/01/37 |
3,519 | 3,523,486 | ||||||
Univision Communications,Inc. (b) |
||||||||
6.63%, 06/01/27 |
113 | 107,588 | ||||||
7.38%, 06/30/30 |
215 | 210,163 | ||||||
UPC宽带Finco BV,4.88%,07/15/31 (b) |
934 | 761,210 | ||||||
Videotron Ltd., 3.63%, 06/15/29 (b) |
421 | 341,751 | ||||||
维珍媒体供应商融资报告IV DAC,5.00%,07/15/28 (b) |
1,452 | 1,201,485 | ||||||
Walt Disney Co., 2.75%, 09/01/49 |
3,614 | 2,579,650 | ||||||
WMG收购公司,3.88%,07/15/30 (b) |
263 | 218,698 | ||||||
Ziggo Bonds Co.BV,6.00%,01/15/27 (b) |
955 | 845,175 | ||||||
Ziggo BV, 4.88%, 01/15/30 (b) |
605 | 513,005 | ||||||
|
|
|||||||
107,722,248 | ||||||||
金属和矿业--2.1% |
||||||||
ABJA投资有限公司,5.45%,28年1月24日 (f) |
306 | 287,640 | ||||||
阿勒格尼技术公司,5.13%,10/01/31 |
656 | 502,523 | ||||||
Arconic Corp. (b) |
||||||||
6.00%, 05/15/25 |
705 | 687,589 | ||||||
6.13%, 02/15/28 |
552 | 515,447 | ||||||
大河钢铁有限责任公司/BRS金融公司,6.63%,01/31/29 (b) |
2,193 | 2,034,984 |
安防 |
帕尔 (000) |
价值 |
||||||
金属与矿业(续) |
||||||||
商业金属公司,4.88%,05/15/23 |
$ | 2,194 | $ | 2,180,288 | ||||
Constellium SE (b) |
||||||||
5.88%, 02/15/26 |
996 | 929,915 | ||||||
3.75%, 04/15/29 |
1,731 | 1,372,809 | ||||||
FMG资源2006年8月私人。有限公司,6.13%,04/15/32 (b) |
708 | 637,200 | ||||||
JSW Steel Ltd., 3.95%, 04/05/27 (f) |
500 | 401,250 | ||||||
凯撒铝业公司 (b) |
||||||||
4.63%, 03/01/28 |
988 | 822,530 | ||||||
4.50%, 06/01/31 |
700 | 529,816 | ||||||
矿产资源有限公司。 (b) |
||||||||
8.00%, 11/01/27 |
214 | 208,650 | ||||||
8.50%, 05/01/30 |
218 | 214,730 | ||||||
蒙古矿业公司/能源有限责任公司,9.25%,04/15/24 (f) |
200 | 134,600 | ||||||
New Gold, Inc., 7.50%, 07/15/27 (b) |
1,357 | 1,180,590 | ||||||
Novelis Corp. (b) |
||||||||
3.25%, 11/15/26 |
942 | 796,249 | ||||||
4.75%, 01/30/30 |
2,489 | 2,068,807 | ||||||
3.88%, 08/15/31 |
832 | 640,798 | ||||||
Periama Holdings LLC,5.95%,04/19/26 (f) |
200 | 178,000 | ||||||
美国滚动轴承公司,4.38%,10/15/29 (b) |
249 | 211,878 | ||||||
南方铜业,5.88%,04/23/45 (d) |
3,870 | 4,007,385 | ||||||
钢铁动力公司,3.25%,10/15/50 |
1,145 | 787,390 | ||||||
U.S. Steel Corp., 6.88%, 03/01/29 |
752 | 656,188 | ||||||
韦丹塔资源财务II公司 (f) |
||||||||
13.88%, 01/21/24 |
400 | 356,000 | ||||||
8.95%, 03/11/25 |
200 | 158,000 | ||||||
|
|
|||||||
22,501,256 | ||||||||
多线零售-0.1% |
||||||||
Bath&Body Works,Inc.,6.88%,11/01/35 |
456 | 370,500 | ||||||
NMG Holding Co./Neiman Marcus Group LLC,7.13%,04/01/26 (b) |
820 | 755,696 | ||||||
|
|
|||||||
1,126,196 | ||||||||
近海钻探和其他服务-0.1% |
||||||||
Entegris, Inc., 4.38%, 04/15/28 (b) |
176 | 155,320 | ||||||
LAM Research Corp.,4.88%,03/15/49 |
875 | 889,328 | ||||||
|
|
|||||||
1,044,648 | ||||||||
石油、天然气和消耗性燃料-14.9% |
||||||||
Aethon United BR LP/Aethon United Finance Corp.,8.25%,02/15/26 (b) |
839 | 815,298 | ||||||
Antero Midstream Partners LP/Antero Midstream Finance Corp. (b) |
||||||||
5.75%, 03/01/27 |
713 | 663,090 | ||||||
5.75%, 01/15/28 |
127 | 115,623 | ||||||
5.38%, 06/15/29 |
425 | 380,613 | ||||||
阿帕奇公司 |
||||||||
4.25%, 01/15/30 |
469 | 415,651 | ||||||
5.10%, 09/01/40 |
346 | 292,155 | ||||||
5.25%, 02/01/42 |
57 | 47,679 | ||||||
5.35%, 07/01/49 |
198 | 156,448 | ||||||
Asccent Resources Utica Holdings LLC/ARU Finance Corp. (b) |
||||||||
9.00%, 11/01/27 |
916 | 1,149,748 | ||||||
5.88%, 06/30/29 |
26 | 22,880 | ||||||
七叶树合伙公司 |
||||||||
4.13%, 03/01/25 (b) |
594 | 549,943 | ||||||
5.85%, 11/15/43 |
383 | 271,930 | ||||||
5.60%, 10/15/44 |
191 | 133,007 |
90 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
石油、天然气和消耗性燃料(续) |
||||||||
卡隆石油公司。 |
||||||||
6.13%, 10/01/24 |
$ | 282 | $ | 286,343 | ||||
9.00%, 04/01/25 (b) |
2,272 | 2,408,320 | ||||||
6.38%, 07/01/26 |
178 | 164,205 | ||||||
8.00%, 08/01/28 (b) |
1,141 | 1,096,045 | ||||||
7.50%, 06/15/30 (b) |
912 | 839,168 | ||||||
Cenovus Energy,Inc. |
||||||||
5.38%, 07/15/25 |
1,186 | 1,220,696 | ||||||
5.40%, 06/15/47 |
77 | 73,962 | ||||||
百年资源生产有限责任公司,6.88%,04/01/27 (b) |
168 | 159,539 | ||||||
中央母公司/中央合并子公司,7.25%,6/15/29 (b) |
929 | 894,162 | ||||||
Cheniere Energy Partners LP |
||||||||
4.50%, 10/01/29 |
1,299 | 1,159,617 | ||||||
4.00%, 03/01/31 |
567 | 482,120 | ||||||
3.25%, 01/31/32 (b) |
1,036 | 815,850 | ||||||
Cheniere Energy,Inc.,4.63%,2018年10月15日 |
3,887 | 3,500,516 | ||||||
切萨皮克能源公司 (b) |
||||||||
5.88%, 02/01/29 |
80 | 75,440 | ||||||
6.75%, 04/15/29 |
1,024 | 990,239 | ||||||
CNOOC Finance 2013 Ltd., 2.88%, 09/30/29 |
200 | 184,787 | ||||||
中国海洋石油石油北美公司,6.40%,05/15/37 (d) |
2,000 | 2,221,625 | ||||||
CNX Resources Corp.,6.00%,01/15/29 (b) |
78 | 72,868 | ||||||
高露洁能源合作伙伴III有限责任公司 (b) |
||||||||
7.75%, 02/15/26 |
276 | 262,375 | ||||||
5.88%, 07/01/29 (d) |
452 | 396,065 | ||||||
Comstock Resources,Inc. (b) |
||||||||
6.75%, 03/01/29 |
792 | 709,181 | ||||||
5.88%, 01/15/30 |
1,107 | 952,020 | ||||||
Coterra Energy,Inc.,4.38%,06/01/24 (b) |
38 | 37,982 | ||||||
CQP Holdco LP/BIP-V Chinook Holdco LLC,5.50%,6月15日/31 (b) |
1,968 | 1,675,831 | ||||||
新月能源金融有限责任公司,7.25%,05/01/26 (b) |
1,096 | 997,360 | ||||||
Crestwood Midstream Partners LP/Crestwood Midstream Finance Corp. (b) |
||||||||
5.63%, 05/01/27 |
189 | 168,210 | ||||||
6.00%, 02/01/29 |
97 | 84,640 | ||||||
8.00%, 04/01/29 |
286 | 265,625 | ||||||
CrownRock LP/CrownRock Finance,Inc.,5.63%,10/15/25 (b) |
1,702 | 1,599,880 | ||||||
DCP中流作业LP (b) |
||||||||
6.45%, 11/03/36 |
177 | 173,460 | ||||||
6.75%, 09/15/37 |
1,218 | 1,158,622 | ||||||
德文能源公司 |
||||||||
8.25%, 08/01/23 |
811 | 842,974 | ||||||
5.25%, 09/15/24 |
100 | 102,014 | ||||||
5.25%, 10/15/27 |
130 | 131,552 | ||||||
5.88%, 06/15/28 |
204 | 208,135 | ||||||
4.50%, 01/15/30 |
117 | 110,518 | ||||||
响尾蛇能源公司,3.50%,12/01/29 |
692 | 633,847 | ||||||
DT Midstream,Inc. (b) |
||||||||
4.13%, 06/15/29 |
842 | 713,595 | ||||||
4.38%, 06/15/31 |
876 | 733,650 | ||||||
土石能源控股有限责任公司,8.00%,04/15/27 (b) |
507 | 479,749 | ||||||
Eg Global Finance PLC (b) |
||||||||
6.75%, 02/07/25 |
703 | 662,848 | ||||||
8.50%, 10/30/25 |
787 | 762,406 | ||||||
Enbridge,Inc. (a) |
||||||||
(3 mo. LIBOR US + 3.64%), 6.25%, 03/01/78 |
5,000 | 4,450,693 |
安防 |
帕尔 (000) |
价值 |
||||||
石油、天然气和消耗性燃料(续) |
||||||||
Enbridge,Inc. (a) (续) |
||||||||
Series 16-A, (3 mo. LIBOR US + 3.89%), 6.00%, 01/15/77 |
$ | 5,880 | $ | 5,439,254 | ||||
Endeavor Energy Resources LP/EER Finance,Inc. (b) |
||||||||
6.63%, 07/15/25 |
322 | 323,578 | ||||||
5.75%, 01/30/28 |
518 | 493,473 | ||||||
能量转移LP |
||||||||
5.50%, 06/01/27 |
406 | 412,094 | ||||||
6.13%, 12/15/45 |
3,579 | 3,413,568 | ||||||
B系列,(3个月。Libor US+4.16%), 6.63% (a)(g) |
5,000 | 3,681,958 | ||||||
EnLink中流有限责任公司 |
||||||||
5.63%, 01/15/28 (b) |
546 | 500,828 | ||||||
5.38%, 06/01/29 |
645 | 564,509 | ||||||
EnLink Midstream Partners LP |
||||||||
4.40%, 04/01/24 |
613 | 598,377 | ||||||
4.15%, 06/01/25 |
48 | 44,682 | ||||||
4.85%, 07/15/26 |
64 | 59,040 | ||||||
5.60%, 04/01/44 |
626 | 443,341 | ||||||
5.05%, 04/01/45 |
68 | 45,985 | ||||||
5.45%, 06/01/47 |
215 | 152,164 | ||||||
企业产品经营有限责任公司 |
||||||||
4.90%, 05/15/46 (d) |
5,375 | 4,911,918 | ||||||
Series E, (3 mo. LIBOR US + 3.03%), 5.25%, 08/16/77 (a) |
4,800 | 3,987,749 | ||||||
EQM中游合作伙伴有限公司 |
||||||||
4.13%, 12/01/26 |
226 | 195,207 | ||||||
7.50%, 06/01/30 (b) |
141 | 135,451 | ||||||
4.75%, 01/15/31 (b) |
1,052 | 838,970 | ||||||
埃克森美孚,3.45%,51年4月15日 (d) |
3,890 | 3,178,007 | ||||||
银河管道资产BIDCO有限公司,2.63%,03/31/36 (f) |
200 | 161,662 | ||||||
Genesis Energy LP/Genesis Energy Finance Corp.,7.75%,02/01/28 |
293 | 253,460 | ||||||
GS Caltex Corp., 4.50%, 01/05/26 (h) |
200 | 199,423 | ||||||
湾港能源公司,8.00%,05/17/26 (b) |
53 | 51,646 | ||||||
港湾能源公司,5.50%,10/15/26 (b) |
200 | 179,750 | ||||||
嘉实中游I LP,7.50%,09/01/28 (b) |
115 | 108,012 | ||||||
Hess Corp., 5.80%, 04/01/47 (d) |
5,000 | 4,986,549 | ||||||
Hess Midstream Operations LP,4.25%,02/15/30 (b) |
497 | 416,220 | ||||||
Hilcorp Energy I LP/Hilcorp Finance Co.,6.25%,11/01/28 (b) |
116 | 109,331 | ||||||
ITT Holdings LLC,6.50%,08/01/29 (b) |
711 | 568,800 | ||||||
金德摩根公司 |
||||||||
7.80%, 08/01/31 |
197 | 228,880 | ||||||
7.75%, 01/15/32 (d) |
4,586 | 5,350,804 | ||||||
Kinetik Holdings LP,5.88%,06/15/30 (b) |
928 | 884,027 | ||||||
马拉松石油公司,5.13%,12/15/26 |
937 | 958,880 | ||||||
斗牛士资源公司,5.88%,09/15/26 |
1,584 | 1,522,668 | ||||||
美可贝尔私人有限公司。有限公司,6.38%,01/30/27 (f) |
300 | 253,500 | ||||||
美可月桂树私人有限公司有限公司,6.95%,11/12/28 (f) |
400 | 332,000 | ||||||
美可橡树私人有限公司。有限公司,7.38%,05/14/26 (f) |
200 | 181,500 | ||||||
MPLX LP |
||||||||
5.20%, 03/01/47 |
3,500 | 3,172,804 | ||||||
4.70%, 04/15/48 (d) |
5,000 | 4,203,156 | ||||||
5.50%, 02/15/49 |
2,640 | 2,448,665 | ||||||
墨菲石油公司 |
||||||||
5.75%, 08/15/25 |
3 | 2,969 | ||||||
5.88%, 12/01/27 |
46 | 42,929 | ||||||
6.13%, 12/01/42 |
47 | 35,133 | ||||||
墨菲石油美国公司,4.75%,09/15/29 |
323 | 290,719 | ||||||
纳博斯实业有限公司 (b) |
||||||||
7.25%, 01/15/26 |
139 | 123,272 |
S C H E D U L E O F I N V E S T M E N T S |
91 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
石油、天然气和消耗性燃料(续) |
||||||||
纳博斯实业有限公司 (b) (续) |
||||||||
7.50%, 01/15/28 |
$ | 354 | $ | 304,440 | ||||
Nabors Industries,Inc.,7.38%,05/15/27 (b) |
620 | 589,000 | ||||||
新堡垒能源公司 (b) |
||||||||
6.75%, 09/15/25 |
1,419 | 1,340,955 | ||||||
6.50%, 09/30/26 |
1,543 | 1,397,590 | ||||||
NGL能源运营有限责任公司/NGL能源金融公司,7.50%,02/01/26 (b) |
364 | 327,600 | ||||||
NGPL PipeCo LLC,7.77%,12/15/37 (b) |
1,117 | 1,215,560 | ||||||
北方石油天然气公司,8.13%,03/01/28 (b) |
1,330 | 1,253,525 | ||||||
NuSTAR物流有限公司 |
||||||||
6.00%, 06/01/26 |
373 | 348,755 | ||||||
6.38%, 10/01/30 |
45 | 39,097 | ||||||
西方石油公司 |
||||||||
6.95%, 07/01/24 |
92 | 94,760 | ||||||
8.00%, 07/15/25 |
60 | 63,150 | ||||||
5.88%, 09/01/25 |
195 | 194,152 | ||||||
5.50%, 12/01/25 |
289 | 284,665 | ||||||
8.88%, 07/15/30 |
159 | 182,544 | ||||||
6.63%, 09/01/30 |
1,685 | 1,735,550 | ||||||
6.13%, 01/01/31 |
255 | 258,423 | ||||||
6.45%, 09/15/36 |
161 | 165,025 | ||||||
6.20%, 03/15/40 |
1,521 | 1,498,185 | ||||||
6.60%, 03/15/46 |
66 | 70,092 | ||||||
PDC Energy, Inc., 5.75%, 05/15/26 |
759 | 708,018 | ||||||
PerTamina Persero PT,2.30%,02/09/31 (f) |
200 | 161,844 | ||||||
墨西哥石油公司 |
||||||||
3.50%, 01/30/23 |
5,000 | 4,906,250 | ||||||
4.63%, 09/21/23 (d) |
3,965 | 3,867,461 | ||||||
马来西亚国家石油公司加拿大能源有限公司,2.11%,03/23/28 (f) |
200 | 180,500 | ||||||
Plains All American Pipeline LP,B系列,(3个月。Libor US+4.11%),6.13% (a)(g) |
2,215 | 1,572,650 | ||||||
Qatar Energy, 2.25%, 07/12/31 (f) |
200 | 171,000 | ||||||
Range Resources Corp. |
||||||||
5.00%, 03/15/23 |
551 | 546,867 | ||||||
4.88%, 05/15/25 |
30 | 29,262 | ||||||
信实工业有限公司,2.88%,01/12/32 (f) |
250 | 207,785 | ||||||
Rockcliff Energy II LLC,5.50%,10/15/29 (b) |
667 | 606,950 | ||||||
落基山脉快速管道有限责任公司,6.88%,04/15/40 (b) |
580 | 479,950 | ||||||
Sabine Pass液化有限责任公司 |
||||||||
5.63%, 04/15/23 (d) |
10,510 | 10,609,669 | ||||||
5.75%, 05/15/24 (d) |
2,575 | 2,626,087 | ||||||
5.88%, 06/30/26 |
1,481 | 1,530,215 | ||||||
中石化集团海外发展2017年4月12日,3.63% (f) |
200 | 198,814 | ||||||
中石化集团海外发展2018年1月8日2.30% |
200 | 174,658 | ||||||
SM能源公司 |
||||||||
5.63%, 06/01/25 |
44 | 41,580 | ||||||
6.75%, 09/15/26 |
327 | 308,480 | ||||||
6.63%, 01/15/27 |
121 | 113,135 | ||||||
6.50%, 07/15/28 |
241 | 221,649 | ||||||
西南能源公司 |
||||||||
5.95%, 01/23/25 |
29 | 28,649 | ||||||
5.38%, 02/01/29 |
392 | 363,619 | ||||||
4.75%, 02/01/32 |
322 | 275,157 |
安防 |
帕尔 (000) |
价值 |
||||||
石油、天然气和消耗性燃料(续) |
||||||||
Sunoco LP/Sunoco Finance Corp. |
||||||||
6.00%, 04/15/27 |
$ | 141 | $ | 134,427 | ||||
5.88%, 03/15/28 |
317 | 289,027 | ||||||
Tallgras Energy Partners LP/Tallgras Energy Finance Corp. (b) |
||||||||
6.00%, 03/01/27 |
150 | 133,875 | ||||||
6.00%, 12/31/30 |
102 | 84,660 | ||||||
6.00%, 09/01/31 |
239 | 197,175 | ||||||
TAP Rock Resources LLC,7.00%,10/01/26 (b) |
1,368 | 1,291,691 | ||||||
TransCanada管道有限公司,4.88%,5/15/48 (d) |
4,000 | 3,835,265 | ||||||
TransCanada Trust,(3个月Libor US+3.53%),5.63%,05/20/75 (a) |
2,755 | 2,600,110 | ||||||
Transocean, Inc., 11.50%, 01/30/27 (b) |
294 | 275,957 | ||||||
Venture Global Calcasieu Pass LLC (b) |
||||||||
3.88%, 08/15/29 |
1,623 | 1,419,679 | ||||||
4.13%, 08/15/31 |
1,500 | 1,281,780 | ||||||
3.88%, 11/01/33 |
2,652 | 2,187,900 | ||||||
朱砂能源公司,6.88%,05/01/30 (b) |
270 | 241,650 | ||||||
西部中游营运LP |
||||||||
5.45%, 04/01/44 |
12 | 9,974 | ||||||
5.30%, 03/01/48 |
945 | 761,812 | ||||||
5.50%, 08/15/48 |
117 | 95,355 | ||||||
5.75%, 02/01/50 |
1,445 | 1,160,420 | ||||||
威廉姆斯公司 |
||||||||
4.55%, 06/24/24 |
527 | 531,175 | ||||||
8.75%, 03/15/32 |
2,478 | 3,089,314 | ||||||
5.10%, 09/15/45 (d) |
5,075 | 4,727,251 | ||||||
|
|
|||||||
162,101,525 | ||||||||
制药-3.8% |
||||||||
艾伯维公司 (d) |
||||||||
4.75%, 03/15/45 |
5,485 | 5,157,714 | ||||||
4.70%, 05/14/45 |
3,255 | 3,063,977 | ||||||
博世健康公司 (b) |
||||||||
9.00%, 12/15/25 |
221 | 163,286 | ||||||
6.13%, 02/01/27 |
119 | 101,150 | ||||||
7.00%, 01/15/28 |
33 | 18,892 | ||||||
6.25%, 02/15/29 |
4 | 2,129 | ||||||
7.25%, 05/30/29 |
283 | 153,527 | ||||||
CVS Health Corp. (d) |
||||||||
5.13%, 07/20/45 |
3,879 | 3,736,339 | ||||||
5.05%, 03/25/48 |
8,205 | 7,854,220 | ||||||
Elanco动物健康公司,6.40%,08/28/28 |
353 | 336,021 | ||||||
Jazz Securities DAC,4.38%,01/15/29 (b) |
853 | 758,758 | ||||||
Merck & Co., Inc., 6.50%, 12/01/33 (d) |
6,420 | 7,758,688 | ||||||
Option Care Health,Inc.,4.38%,10/31/29 (b) |
380 | 325,850 | ||||||
Organon&Co./Organon外债联合发行商BV (b) |
||||||||
4.13%, 04/30/28 |
1,633 | 1,445,205 | ||||||
5.13%, 04/30/31 |
1,599 | 1,379,665 | ||||||
P&L Development LLC/PLD Finance Corp.,7.75%,11/15/25 (b) |
394 | 275,820 | ||||||
PRA Health Science,Inc.,2.88%,07/15/26 (b) |
1,021 | 908,690 | ||||||
威望品牌公司,3.75%,04/01/31 (b) |
318 | 263,686 | ||||||
武田药品工业株式会社,2.05%,03/31/30 (d) |
8,270 | 6,917,148 | ||||||
Teva制药金融荷兰III BV,7.13%,25年1月31日 |
200 | 194,162 | ||||||
|
|
|||||||
40,814,927 |
92 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
房地产-0.0% |
||||||||
Vici Properties LP/Vici Note Co.,Inc.,4.50%,01/15/28 (b) |
$ | 430 | $ | 391,857 | ||||
|
|
|||||||
房地产管理与开发-1.3% |
||||||||
雅居乐集团控股有限公司 (f) |
||||||||
5.75%, 01/02/25 |
200 | 68,000 | ||||||
6.05%, 10/13/25 |
200 | 65,000 | ||||||
AYC金融有限公司,3.90% (f)(g) |
300 | 232,500 | ||||||
中国奥源集团有限公司 (f)(j)(k) |
||||||||
7.95%, 02/19/23 |
230 | 21,103 | ||||||
6.20%, 03/24/26 |
420 | 33,600 | ||||||
中国恒大 (f)(j)(k) |
||||||||
10.00%, 04/11/23 |
300 | 24,525 | ||||||
7.50%, 06/28/23 |
300 | 24,806 | ||||||
9.50%, 03/29/24 |
300 | 24,619 | ||||||
10.50%, 04/11/24 |
350 | 29,159 | ||||||
中信集团控股有限公司。 (f) |
||||||||
7.25%, 04/19/23 |
200 | 84,000 | ||||||
7.38%, 04/09/24 |
200 | 66,000 | ||||||
CIFI控股集团有限公司 (f) |
||||||||
6.55%, 03/28/24 |
450 | 299,250 | ||||||
6.45%, 11/07/24 |
250 | 160,000 | ||||||
德信中国控股有限公司,9.95%,12/03/22 (f) |
298 | 179,228 | ||||||
Easy Tactic Ltd., 9.13%, 07/28/22 (f) |
200 | 52,600 | ||||||
幻想曲控股集团有限公司 7.95%, 07/05/22 (f)(j)(k) |
1,050 | 86,625 | ||||||
Five Point Operating Co.LP/Five Point Capital Corp.,7.88%,11/15/25 (b) |
43 | 36,066 | ||||||
全球优质资本私人有限公司。有限公司,5.95%,01/23/25 (f) |
200 | 187,000 | ||||||
普洛斯私人有限公司 (f) |
||||||||
3.88%, 06/04/25 |
200 | 192,606 | ||||||
(5 year CMT + 3.74%), 4.50% (a)(g) |
200 | 168,850 | ||||||
Greystar Real Estate Partners LLC,5.75%,12/01/25 (b) |
360 | 340,758 | ||||||
霍华德·休斯公司 (b) |
||||||||
5.38%, 08/01/28 |
762 | 638,175 | ||||||
4.13%, 02/01/29 |
176 | 135,747 | ||||||
4.38%, 02/01/31 |
46 | 34,044 | ||||||
佳兆业集团控股有限公司 (f)(j)(k) |
||||||||
11.50%, 01/30/23 |
200 | 26,500 | ||||||
9.75%, 09/28/23 |
200 | 26,850 | ||||||
11.95%, 11/12/23 |
249 | 32,993 | ||||||
KWG集团控股有限公司,5.88%,11/10/24 (f) |
400 | 78,000 | ||||||
现代置地中国有限公司 11.50%, 11/13/22 (c)(f)(j)(k) |
1,130 | 180,800 | ||||||
新麦德龙环球有限公司,4.50%,05/02/26 (f) |
349 | 164,030 | ||||||
西北佛罗里达木材金融有限责任公司,4.75%,03/04/29 (b)(d) |
4,485 | 4,100,164 | ||||||
八泉源Jati Tbk PT,4.88%,04/29/28 (f) |
500 | 423,687 | ||||||
宝龙地产控股有限公司。 (f) |
||||||||
6.25%, 08/10/24 |
200 | 34,000 | ||||||
5.95%, 04/30/25 |
200 | 32,000 | ||||||
Realology Group LLC/Realology联合发行商 金丝雀 (b) |
||||||||
5.75%, 01/15/29 |
362 | 274,512 | ||||||
5.25%, 04/15/30 |
263 | 194,620 | ||||||
红杉地产集团有限公司,10.50%,10/03/22 (f) |
200 | 48,000 | ||||||
RKPF海外有限公司。 (f) |
||||||||
Series 2019-A, 5.90%, 03/05/25 |
200 | 100,000 | ||||||
Series 2020-A, 5.20%, 01/12/26 |
306 | 139,230 | ||||||
朗盛中国控股有限公司,7.10%,01/25/25 (f) |
200 | 20,000 | ||||||
世茂集团控股有限公司,3.45%,01/11/31 (f) |
200 | 21,000 | ||||||
瑞安发展控股有限公司 (f) |
||||||||
5.75%, 11/12/23 |
225 | 201,375 |
安防 |
帕尔 (000) |
价值 |
||||||
房地产管理与开发(续) |
| |||||||
瑞安发展控股有限公司 (f) (续) |
| |||||||
5.50%, 03/03/25 |
$ | 230 | $ | 173,650 | ||||
中化离岸金融股份有限公司,1.50%,09/23/26 (f) |
200 | 177,934 | ||||||
喜达屋地产信托公司,4.38%,27年1月15日 (b) |
150 | 130,209 | ||||||
融创中国控股有限公司、 7.00%, 07/09/25 (f)(j)(k) |
782 | 109,480 | ||||||
Theta Capital Pte.有限公司,8.13%,01/22/25 (f) |
200 | 172,000 | ||||||
时代中国控股有限公司 (f) |
||||||||
6.75%, 07/08/25 |
570 | 79,800 | ||||||
5.75%, 01/14/27 |
326 | 44,010 | ||||||
万科置业香港有限公司,3.98%,11/09/27 (f) |
200 | 175,350 | ||||||
Vici Properties LP,5.13%,05/15/32 |
3,155 | 2,973,083 | ||||||
万达地产国际有限公司,7.25%,01/29/24 (f) |
285 | 209,475 | ||||||
阳歌正义国际有限公司。 (f)(j)(k) |
||||||||
8.25%, 11/25/23 |
200 | 12,000 | ||||||
7.50%, 04/15/24 |
200 | 12,000 | ||||||
仁达置业香港有限公司。 (f) |
||||||||
6.80%, 02/27/24 |
200 | 169,000 | ||||||
5.13%, 05/20/26 |
200 | 148,000 | ||||||
禹州集团控股有限公司。 (f)(j)(k) |
||||||||
7.70%, 02/20/25 |
200 | 13,000 | ||||||
7.38%, 01/13/26 |
1,300 | 84,500 | ||||||
真诺地产集团有限公司 7.35%, 02/05/25 (f)(j)(k) |
233 | 15,145 | ||||||
|
|
|||||||
13,980,658 | ||||||||
公路和铁路-2.0% |
||||||||
BNSF资金信托I,(3个月Libor US+2.35%),6.61%,12/15/55 (a)(d) |
6,125 | 5,983,472 | ||||||
CSX Corp., 3.80%, 04/15/50 |
770 | 649,348 | ||||||
诺福克南方公司,6.00%,2105年3月15日 (d) |
12,700 | 12,376,377 | ||||||
彭斯克卡车租赁有限公司/PTL金融公司,4.40%,07/01/27 (b) |
2,750 | 2,695,733 | ||||||
Seaspan Corp., 5.50%, 08/01/29 (b) |
683 | 549,520 | ||||||
|
|
|||||||
22,254,450 | ||||||||
半导体和半导体设备-2.2% |
||||||||
Broadcom, Inc., 5.00%, 04/15/30 (d) |
10,970 | 10,756,069 | ||||||
NVIDIA公司 (d) |
||||||||
3.50%, 04/01/50 |
2,785 | 2,363,845 | ||||||
3.70%, 04/01/60 |
1,760 | 1,476,777 | ||||||
恩智浦BV/恩智浦融资有限责任公司/恩智浦美国公司 |
||||||||
4.40%, 06/01/27 |
750 | 738,891 | ||||||
3.40%, 05/01/30 |
1,755 | 1,565,570 | ||||||
Qualcomm, Inc., 4.30%, 05/20/47 (d) |
3,500 | 3,355,620 | ||||||
Sensata Technologies BV (b) |
||||||||
5.63%, 11/01/24 |
695 | 686,076 | ||||||
5.00%, 10/01/25 |
572 | 549,120 | ||||||
4.00%, 04/15/29 |
207 | 175,552 | ||||||
Sensata Technologies,Inc.,4.38%,02/15/30 (b) |
2,261 | 1,924,513 | ||||||
SK Hynix, Inc., 1.50%, 01/19/26 (f) |
200 | 179,194 | ||||||
TSMC Global Ltd., 2.25%, 04/23/31 (f) |
200 | 169,258 | ||||||
|
|
|||||||
23,940,485 | ||||||||
软件-1.4% |
||||||||
Black Knight InfoServ LLC,3.63%,09/01/28 (b) |
859 | 743,035 | ||||||
拳击手母公司 (b) |
||||||||
7.13%, 10/02/25 |
764 | 731,576 | ||||||
9.13%, 03/01/26 |
336 | 313,895 | ||||||
Elastic NV, 4.13%, 07/15/29 (b) |
718 | 599,372 | ||||||
Helios Software Holdings,Inc./ION Corporation Solutions Finance SARL,4.63%,05/01/28 (b) |
205 | 162,696 |
S C H E D U L E O F I N V E S T M E N T S |
93 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
软件(续) |
||||||||
铁山信息管理服务公司,5.00%,07/15/32 (b) |
$ | 273 | $ | 220,342 | ||||
MicroStrategy,Inc.,6.13%,06/15/28 (b)(d) |
180 | 143,339 | ||||||
MSCI,Inc. (b) |
||||||||
3.63%, 09/01/30 |
131 | 109,212 | ||||||
3.88%, 02/15/31 |
707 | 604,485 | ||||||
3.63%, 11/01/31 |
264 | 217,311 | ||||||
3.25%, 08/15/33 |
397 | 316,445 | ||||||
Open Text Corp. (b) |
||||||||
3.88%, 02/15/28 |
474 | 421,590 | ||||||
3.88%, 12/01/29 |
315 | 265,120 | ||||||
Open Text Holdings,Inc.,4.13%,02/15/30 (b) |
901 | 779,410 | ||||||
Oracle Corp., 3.95%, 03/25/51 |
4,425 | 3,250,148 | ||||||
Playtika Holding Corp.,4.25%,3月15日/29 (b) |
939 | 774,675 | ||||||
PTC,Inc. (b) |
||||||||
3.63%, 02/15/25 |
166 | 157,000 | ||||||
4.00%, 02/15/28 |
867 | 783,479 | ||||||
SS&C Technologies,Inc.,5.50%,09/30/27 (b)(d) |
3,862 | 3,601,547 | ||||||
Veritas U.S.,Inc./Veritas百慕大有限公司,7.50%,09/01/25 (b) |
1,099 | 824,739 | ||||||
|
|
|||||||
15,019,416 | ||||||||
特色零售-0.3% |
||||||||
Bath&Body Works,Inc.,7.60%,07/15/37 |
226 | 182,195 | ||||||
Carvana Co., 10.25%, 05/01/30 (b) |
283 | 232,060 | ||||||
PetSmart,Inc./PetSmart Finance Corp. (b) |
||||||||
4.75%, 02/15/28 |
481 | 416,180 | ||||||
7.75%, 02/15/29 |
1,711 | 1,540,773 | ||||||
Staples, Inc., 7.50%, 04/15/26 (b) |
943 | 781,624 | ||||||
|
|
|||||||
3,152,832 | ||||||||
科技硬件、存储和外围设备-0.6% |
||||||||
戴尔国际有限责任公司/EMC Corp. |
||||||||
5.85%, 07/15/25 |
2,395 | 2,469,979 | ||||||
8.35%, 07/15/46 |
2,355 | 2,932,739 | ||||||
II-VI, Inc., 5.00%, 12/15/29 (b) |
892 | 778,270 | ||||||
|
|
|||||||
6,180,988 | ||||||||
纺织品、服装和奢侈品 (b) — 0.1% |
||||||||
Crocs, Inc., 4.13%, 08/15/31 |
244 | 172,692 | ||||||
Levi Strauss & Co., 3.50%, 03/01/31 |
281 | 229,718 | ||||||
威廉卡特公司,5.63%,27年3月15日 |
365 | 341,790 | ||||||
|
|
|||||||
744,200 | ||||||||
储蓄和抵押金融-0.2% |
||||||||
Home Point Capital,Inc.,5.00%,02/01/26 (b) |
411 | 283,590 | ||||||
梯子资本金融控股有限责任公司/梯子资本金融公司,5.25%,10/01/25 (b) |
268 | 242,540 | ||||||
MGIC投资公司,5.25%,08/15/28 |
337 | 301,767 | ||||||
Nationstar Mortgage控股公司。 (b) |
||||||||
6.00%, 01/15/27 |
524 | 454,539 | ||||||
5.13%, 12/15/30 |
163 | 121,847 | ||||||
5.75%, 11/15/31 |
197 | 150,843 | ||||||
Rocket Mortgage LLC/Rocket Mortgage联合发行商,2.88%,10/15/26 (b) |
233 | 192,553 | ||||||
|
|
|||||||
1,747,679 | ||||||||
烟草 (d) — 2.0% |
||||||||
Altria Group, Inc., 10.20%, 02/06/39 |
13,392 | 17,412,563 | ||||||
BAT Capital Corp.,4.54%,47年8月15日 |
3,000 | 2,199,618 | ||||||
雷诺美国公司,5.85%,45/8/15 |
2,335 | 1,959,281 | ||||||
|
|
|||||||
21,571,462 |
安防 |
帕尔 (000) |
价值 |
||||||
交通基础设施-0.6% |
||||||||
FedEx Corp., 5.25%, 05/15/50 |
$ | 6,000 | $ | 5,974,043 | ||||
GMR海得拉巴国际机场有限公司,5.38%,04/10/24 (f) |
200 | 193,475 | ||||||
顺丰控股投资2021有限公司,2.38%,11/17/26 (f) |
200 | 184,618 | ||||||
Signature Aviation U.S.Holdings,Inc.,4.00%,03/01/28 (b) |
541 | 528,016 | ||||||
|
|
|||||||
6,880,152 | ||||||||
公用事业-0.3% |
||||||||
Consensus Cloud Solutions,Inc.,6.50%,10/15/28 (b) |
286 | 236,007 | ||||||
Minejesa Capital BV,4.63%,08/10/30 (f) |
200 | 178,022 | ||||||
Mong Duong Finance Holdings BV,5.13%,05/07/29 (f) |
605 | 486,760 | ||||||
花样能源运营公司/花样能源运营公司,4.50%,08/15/28 (b) |
795 | 691,650 | ||||||
三峡一期开曼群岛金融有限公司,3.15%,06/02/26 (f) |
200 | 196,392 | ||||||
维斯特拉运营有限公司 (b) |
||||||||
5.63%, 02/15/27 |
812 | 763,491 | ||||||
4.38%, 05/01/29 |
471 | 394,053 | ||||||
|
|
|||||||
2,946,375 | ||||||||
无线电信服务--2.6% |
||||||||
法国阿尔蒂斯公司 (b) |
||||||||
8.13%, 02/01/27 |
528 | 485,966 | ||||||
5.50%, 01/15/28 |
560 | 451,282 | ||||||
5.13%, 01/15/29 |
338 | 256,072 | ||||||
5.13%, 07/15/29 |
1,305 | 985,275 | ||||||
5.50%, 10/15/29 |
1,029 | 786,063 | ||||||
美国铁塔公司,3.60%,2018年1月15日 |
4,000 | 3,740,028 | ||||||
皇冠城堡国际公司 |
||||||||
3.65%, 09/01/27 (d) |
8,000 | 7,576,380 | ||||||
4.15%, 07/01/50 |
820 | 681,524 | ||||||
Digicel International Finance Ltd./Digicel International Holdings Ltd.,8.75%,05/25/24 (b) |
635 | 586,105 | ||||||
罗杰斯通信公司,4.55%,02/15/52 (b)(d) |
5,433 | 4,771,031 | ||||||
SBA通信公司 |
||||||||
3.13%, 02/01/29 |
33 | 27,010 | ||||||
3.88%, 02/15/27 |
2,441 | 2,228,120 | ||||||
Sprint Corp., 7.63%, 03/01/26 |
1,096 | 1,154,775 | ||||||
T-Mobile美国公司 |
||||||||
4.75%, 02/01/28 |
1,013 | 981,810 | ||||||
2.63%, 02/15/29 |
438 | 368,703 | ||||||
3.38%, 04/15/29 |
506 | 442,750 | ||||||
2.88%, 02/15/31 |
235 | 195,104 | ||||||
3.50%, 04/15/31 |
990 | 854,796 | ||||||
Uniti Group LP/Uniti Group Finance,Inc./CSL Capital LLC,6.50%,02/15/29 (b) |
1,037 | 759,602 | ||||||
VMED O2 U.K.Finding I PLC,4.75%,07/15/31 (b) |
1,234 | 996,887 | ||||||
|
|
|||||||
28,329,283 | ||||||||
|
|
|||||||
公司债券总额-113.6% (Cost: $1,347,561,217) |
1,235,005,118 | |||||||
|
|
|||||||
浮动利率贷款利息 (a) |
||||||||
航空航天和国防-0.2% |
||||||||
阿特拉斯CC收购公司 |
||||||||
Term Loan B, (3 mo. LIBOR + 4.25%, 0.75% Floor), 5.82%, 05/25/28 |
636 | 586,479 | ||||||
Term Loan C, (3 mo. LIBOR + 4.25%, 0.75% Floor), 5.82%, 05/25/28 |
106 | 97,788 |
94 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
航空航天与国防(续) |
| |||||||
Cobham Ultra U.S.联合借款人有限责任公司,美元定期贷款B,11/17/28 (l) |
$ | 100 | $ | 94,917 | ||||
王朝收购公司。 |
||||||||
2020 CAD Term Loan B2, (1 mo. LIBOR + 3.50%), 5.17%, 04/06/26 |
82 | 75,487 | ||||||
2020 Term Loan B1, (1 mo. LIBOR + 3.50%), 5.17%, 04/06/26 |
153 | 140,405 | ||||||
佩拉顿公司 |
||||||||
2nd Lien Term Loan B1, (1 mo. LIBOR + 7.75%, 0.75% Floor), 9.00%, 02/01/29 |
113 | 104,733 | ||||||
Term Loan B, (1 mo. LIBOR + 3.75%, 0.75% Floor), 5.42%, 02/01/28 |
809 | 758,093 | ||||||
TransDigm, Inc., 2020 Term Loan F, (1 mo. LIBOR + 2.25%), 3.92%, 12/09/25 |
264 | 249,440 | ||||||
|
|
|||||||
2,107,342 | ||||||||
航空货运和物流-0.0% |
||||||||
AIT全球物流控股公司,2021年定期贷款,(3个月Libor+4.75%,0.75%下限),5.72%,04/06/28 |
100 | 89,880 | ||||||
Kestrel Bidco,Inc.,定期贷款B,(3个月Libor+3.00%,下限1.00%),5.03%,12/11/26 |
30 | 26,625 | ||||||
PECF USS Intermediate Holding III Corp.,定期贷款B,(1个月Libor+4.25%),5.92%,12/15/28 |
149 | 134,415 | ||||||
|
|
|||||||
250,920 | ||||||||
航空公司-0.2% |
||||||||
AAdvantage忠诚IP有限公司,2021定期贷款,(3个月Libor+4.75%,0.75%下限),5.81%,04/20/28 |
436 | 414,982 | ||||||
Air Canada, 2021 Term Loan B, (3 mo. LIBOR + 3.50%, 0.75% Floor), 4.25%, 08/11/28 (c) |
374 | 343,145 | ||||||
美国航空公司 |
||||||||
2017 1st Lien Term Loan, (1 mo. LIBOR + 1.75%), 3.40%, 01/29/27 |
389 | 341,681 | ||||||
2018 Term Loan B, (1 mo. LIBOR + 1.75%), 3.37%, 06/27/25 |
77 | 68,708 | ||||||
Mileage Plus Holdings LLC,2020定期贷款B,(3个月Libor+5.25%,1.00%下限),7.31%,06/21/27 |
533 | 525,341 | ||||||
联合航空公司,2021年定期贷款B,(1个月Libor+3.75%,0.75%下限),5.39%,04/21/28 |
446 | 413,150 | ||||||
|
|
|||||||
2,107,007 | ||||||||
汽车零部件-0.1% |
||||||||
Clario Global LP,2021美元定期贷款B,(1个月Libor+3.25%),4.92%,04/30/26 |
602 | 560,613 | ||||||
Truck Hero, Inc., 2021 Term Loan B, (1 mo. LIBOR + 3.50%, 0.75% Floor), 5.17%, 01/31/28 |
160 | 142,655 | ||||||
USI, Inc., 2017 Repriced Term Loan, (3 mo. LIBOR + 3.00%), 5.25%, 05/16/24 |
374 | 357,908 | ||||||
Wand NewCo 3, Inc., 2020 Term Loan, (1 mo. LIBOR + 3.00%), 4.67%, 02/05/26 |
341 | 279,791 | ||||||
|
|
|||||||
1,340,967 |
安防 |
帕尔 (000) |
价值 |
||||||
Banks — 0.1% |
||||||||
DirecTV融资有限责任公司,定期贷款,(1个月Libor+5.00%,0.75%下限),6.67%,08/02/27 |
$ | 373 | $ | 342,016 | ||||
LABL, Inc., 2021 USD 1st Lien Term Loan, (1 mo. LIBOR + 5.00%), 6.67%, 10/29/28 |
223 | 205,422 | ||||||
|
|
|||||||
547,438 | ||||||||
饮料-0.0% |
||||||||
裸露果汁有限责任公司 |
||||||||
2nd Lien Term Loan, (SOFR + 6.00%), 8.15%, 01/24/30 (c) |
178 | 160,202 | ||||||
Term Loan, (SOFR + 3.25%), 5.40%, 01/24/29 |
385 | 357,933 | ||||||
|
|
|||||||
518,135 | ||||||||
建筑产品-0.1% |
||||||||
CP Atlas Buyer, Inc., 2021 Term Loan B, (1 mo. LIBOR + 3.75%), 5.42%, 11/23/27 |
226 | 197,745 | ||||||
CPG International LLC,2022年定期贷款B,(SOFR+2.50%),4.09%,04/28/29 (c) |
89 | 82,325 | ||||||
Jeld-Wen, Inc., 2021 Term Loan B, (1 mo. LIBOR + 2.25%), 3.92%, 07/28/28 |
100 | 94,224 | ||||||
New AMI I LLC, 2022 Term Loan B, (SOFR + 6.00%), 7.52%, 03/08/29 |
98 | 88,964 | ||||||
标准工业公司,2021年定期贷款B,(6个月Libor+2.50%),3.79%,09/22/28 |
74 | 71,757 | ||||||
Wilsonart LLC, 2021 Term Loan E, (3 mo. LIBOR + 3.25%, 1.00% Floor), 5.51%, 12/31/26 |
343 | 302,952 | ||||||
|
|
|||||||
837,967 | ||||||||
资本市场-0.1% |
||||||||
迪尔菲尔德达科他控股有限责任公司,2020美元定期贷款B,(SOFR+3.75%,1.00%下限),5.28%,04/09/27 |
1,002 | 935,513 | ||||||
鹰宽带投资有限责任公司,定期贷款,(3个月Libor+3.00%,0.75%下限),5.31%,11/12/27 |
149 | 140,293 | ||||||
|
|
|||||||
1,075,806 | ||||||||
化学品-0.2% |
||||||||
Ascend Performance Material Operations LLC,2021定期贷款B,(3个月Libor+4.75%,0.75%下限),7.00%,08/27/26 |
260 | 252,487 | ||||||
Atotech BV, 2021 USD Term Loan B, (1 mo. LIBOR + 2.50%), 4.17%, 03/18/28 |
374 | 356,651 | ||||||
Element Solutions,Inc.,2019年1月31日定期贷款 (l) |
111 | 109,629 | ||||||
龙沙集团,美元定期贷款B,(3个月。Libor+4.00%,0.75%下限),6.25%,07/03/28 |
18 | 15,940 | ||||||
Messer Industries GmbH,2018美元定期贷款,(3个月Libor+2.50%),4.75%,03/02/26 |
99 | 94,685 | ||||||
记忆性能材料公司,定期贷款B,(1个月Libor+3.25%),4.92%,05/15/24 |
199 | 191,845 | ||||||
New Arclin U.S.Holding Corp.,2021年定期贷款,(1个月Libor+3.75%),5.42%,09/30/28 |
189 | 174,231 | ||||||
Oxea Holding Drei GmbH,2017美元定期贷款B2,(1个月Libor+3.25%),4.38%,10/14/24 |
225 | 208,040 | ||||||
PQ Corp., 2021 Term Loan B, (3 mo. LIBOR + 2.50%), 3.74%, 06/09/28 |
187 | 178,404 |
S C H E D U L E O F I N V E S T M E N T S |
95 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
化学品(续) |
| |||||||
SCIH Salt Holdings,Inc.,2021年增量定期贷款B,(6个月Libor+4.00%,0.75%下限),4.75%,03/16/27 |
$ | 76 | $ | 67,227 | ||||
斯巴达美国Holdco LLC,2021年定期贷款,(1个月Libor+3.50%,0.75%下限),4.62%,08/02/28 (c) |
221 | 210,300 | ||||||
|
|
|||||||
1,859,439 | ||||||||
商业服务和用品-0.3% |
||||||||
联合环球控股有限责任公司,2021美元增量定期贷款B,(1个月Libor+3.75%),5.42%,05/12/28 |
300 | 273,909 | ||||||
Amentum政府服务控股有限责任公司,2022年定期贷款,(SOFR+4.00%),5.30%,02/15/29 |
54 | 51,267 | ||||||
Aramark Services,Inc.,2021定期贷款B,(1个月Libor+2.50%),4.17%,04/06/28 |
113 | 107,821 | ||||||
Asurion LLC |
||||||||
2018 Term Loan B6, 11/03/23 (l) |
111 | 106,810 | ||||||
2020 Term Loan B8, (1 mo. LIBOR + 3.25%), 4.92%, 12/23/26 |
225 | 203,358 | ||||||
2021 2nd Lien Term Loan B3, (1 mo. LIBOR + 5.25%), 6.92%, 01/31/28 |
375 | 318,750 | ||||||
Clean Harbors,Inc.,2021年增量定期贷款B,(1个月Libor+2.00%),3.67%,10/08/28 |
148 | 146,772 | ||||||
卡万塔控股公司 (l) |
||||||||
2021 Term Loan B, 11/30/28 |
84 | 78,758 | ||||||
2021 Term Loan C, 11/30/28 |
6 | 5,914 | ||||||
Dealer Tire LLC, 2020 Term Loan B, (1 mo. LIBOR + 4.25%), 5.92%, 12/12/25 |
223 | 213,139 | ||||||
GFL环境公司,2020年定期贷款,(3个月Libor+3.00%),4.24%,05/30/25 |
112 | 108,417 | ||||||
包装控股有限责任公司,2021年定期贷款,(1个月Libor+3.25%,0.75%下限),4.44%,03/09/28 |
200 | 182,664 | ||||||
Prime Security Services借款人有限责任公司,2021年定期贷款,(3个月Libor+2.75%,0.75%下限),3.65%,09/23/26 |
150 | 139,367 | ||||||
天宝收购有限责任公司,2022年定期贷款B,28年8月31日 (l) |
621 | 587,508 | ||||||
Verscend Holding Corp.,2021年定期贷款B,(1个月Libor+4.00%),5.67%,08/27/25 |
334 | 319,267 | ||||||
Viad Corp.,初始定期贷款,(1个月。Libor+5.00%),6.67%,07/30/28 |
149 | 139,547 | ||||||
|
|
|||||||
2,983,268 | ||||||||
通信设备-0.0% |
||||||||
ViaSat, Inc., Term Loan, (SOFR + 4.50%), 6.14%, 03/02/29 |
272 | 252,522 | ||||||
|
|
|||||||
建筑与工程-0.1% |
||||||||
Brand Energy&Infrastructure Services,Inc.,2017年定期贷款,(3个月Libor+4.25%,1.00%下限),5.40%,06/21/24 |
618 | 531,362 | ||||||
派克公司,2021年增量定期贷款B,(1个月Libor+3.00%),4.67%,01/21/28 |
75 | 71,141 | ||||||
SRS分销公司,2021年定期贷款B,(3个月Libor+3.50%),4.02%,06/02/28 |
568 | 522,525 | ||||||
USIC Holdings, Inc., 2021 Term Loan, (1 mo. LIBOR + 3.50%, 0.75% Floor), 5.17%, 05/12/28 |
149 | 138,502 | ||||||
|
|
|||||||
1,263,530 |
安防 |
帕尔 (000) |
价值 |
||||||
建筑材料-0.1% |
| |||||||
Core & Main LP, 2021 Term Loan B, (1 mo. LIBOR + 2.50%), 4.12%, 07/27/28 |
$ | 561 | $ | 533,616 | ||||
过滤集团公司,2018年第一笔留置权定期贷款,(1个月Libor+3.00%),4.67%,03/29/25 |
561 | 530,201 | ||||||
Tamko建筑产品有限责任公司,定期贷款B,(3个月。Libor+3.00%),4.33%,06/01/26 |
12 | 11,079 | ||||||
|
|
|||||||
1,074,896 | ||||||||
集装箱和包装-0.2% |
||||||||
BWAY Holding Co.,2017年定期贷款B,(1周LIBOR+3.25%),4.31%,04/03/24 |
376 | 352,911 | ||||||
Charge Next Generation,Inc.,2021年定期贷款,(1个月Libor+3.75%,0.75%下限),5.42%,12/01/27 |
1,006 | 945,229 | ||||||
Pregis TopCo Corp.,第一笔留置权定期贷款,(1个月Libor+4.00%),5.67%,07/31/26 |
186 | 175,503 | ||||||
托斯卡服务有限责任公司,2021年定期贷款,(1个月Libor+3.50%,0.75%下限),5.17%,08/18/27 |
262 | 232,016 | ||||||
|
|
|||||||
1,705,659 | ||||||||
总代理商-0.0% |
||||||||
美国建筑商和承包商供应公司,2019年定期贷款,(1个月Libor+2.00%),3.67%,01/15/27 |
123 | 116,194 | ||||||
TMK鹰牌母公司,2020超级优先第二期定期贷款B,(1个月。Libor+3.50%,1.00%下限),5.11%,08/28/24 (c) |
122 | 92,502 | ||||||
|
|
|||||||
208,696 | ||||||||
多元化消费服务--0.1% |
||||||||
Ascend Learning LLC |
||||||||
2021 2nd Lien Term Loan, (1 mo. LIBOR + 5.75%), 7.42%, 12/10/29 (c) |
100 | 91,500 | ||||||
2021 Term Loan, (1 mo. LIBOR + 3.50%), 5.17%, 12/11/28 |
149 | 137,571 | ||||||
Bright Horizons Family Solutions LLC,2021定期贷款B,(1个月Libor+2.25%),3.92%,11/24/28 (c) |
125 | 119,415 | ||||||
Midas Intermediate Holdco II LLC,2020年定期贷款B,(Prime+5.75%),10.50%,12/22/25 |
485 | 443,037 | ||||||
Okta, Inc., Term Loan, (SOFR + 6.25%), 7.63%, 12/15/26 |
126 | 106,674 | ||||||
PAI Holdco, Inc., 2020 Term Loan B, (3 mo. LIBOR + 3.50%, 0.75% Floor), 4.99%, 10/28/27 |
113 | 105,825 | ||||||
Sotheby’s, 2021 Term Loan B, (3 mo. LIBOR + 4.50%), 5.54%, 01/15/27 |
372 | 355,320 | ||||||
|
|
|||||||
1,359,342 | ||||||||
多元化金融服务-0.4% |
||||||||
Advisor Group,Inc.,2021年定期贷款,(1个月Libor+4.50%),6.17%,07/31/26 |
372 | 353,223 | ||||||
炼金术版权有限责任公司,定期贷款B,(1个月。Libor+3.00%),4.06%,03/10/28 (c) |
149 | 143,646 | ||||||
AlixPartners LLP,2021美元定期贷款B,(1个月Libor+2.75%),4.42%,02/04/28 |
187 | 177,437 | ||||||
AqGen Island Holdings,Inc.定期贷款,(3个月Libor+3.50%),5.81%,08/02/28 (c) |
456 | 423,813 | ||||||
Castlelake航空有限公司,定期贷款B,(3个月Libor+2.75%),4.58%,10/22/26 |
262 | 249,710 | ||||||
Cogeco融资2 LP,2021年增量定期贷款B,(1个月。Libor+2.50%),4.17%,09/01/28 |
167 | 159,406 |
96 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
多元化金融服务(续) |
| |||||||
Delta TopCo,Inc. |
||||||||
2020 2nd Lien Term Loan, (3 mo. LIBOR + 7.25%, 0.75% Floor), 9.34%, 12/01/28 (c) |
$ | 50 | $ | 42,500 | ||||
2020 Term Loan B, (3 mo. LIBOR + 3.75%, 0.75% Floor), 5.84%, 12/01/27 |
187 | 168,684 | ||||||
Gainwell收购公司,定期贷款B,(3个月。Libor+4.00%,0.75%下限),6.25%,10/01/27 |
370 | 349,215 | ||||||
I-Logic Technologies Bidco Ltd.,2021美元定期贷款B,(SOFR+4.00%),6.20%,02/16/28 |
50 | 47,000 | ||||||
Kingpin Intermediate Holdings LLC,2018年定期贷款B,(1个月Libor+3.50%,下限1.00%),5.17%,07/03/24 |
75 | 71,050 | ||||||
KKR Apple Bidco LLC |
||||||||
2021 2nd Lien Term Loan, (1 mo. LIBOR + 5.75%), 7.42%, 09/21/29 |
15 | 14,306 | ||||||
2021 Term Loan, (1 mo. LIBOR + 2.75%), 4.42%, 09/23/28 |
40 | 37,495 | ||||||
LBM收购有限责任公司,定期贷款B,12/18/27 (l) |
235 | 192,078 | ||||||
Leb Holdings USA,Inc.,定期贷款B,(1个月Libor+3.75%,0.75%下限),5.42%,11/02/27 |
75 | 73,091 | ||||||
Oscar Acquisitionco LLC,定期贷款B,(SOFR+4.50%),6.11%,04/29/29 |
123 | 109,162 | ||||||
Radiate Holdco LLC,2021定期贷款B,(1个月Libor+3.25%,0.75%下限),4.92%,09/25/26 |
262 | 242,835 | ||||||
RVR经销商控股有限公司,定期贷款B,(SOFR+3.75%),5.17%,02/08/28 |
75 | 62,560 | ||||||
塞坦塔飞机租赁指定活动公司,定期贷款B,(3个月。Libor+2.00%),4.25%,11/05/28 |
75 | 71,188 | ||||||
SMG U.S. Midco 2, Inc., 2020 Term Loan, (1 mo. LIBOR + 2.50%), 4.17%, 01/23/25 |
153 | 142,489 | ||||||
宋承宪集团控股有限公司,2018年第一笔留置权定期贷款,(3个月Libor+4.25%),6.50%,07/30/25 |
77 | 71,683 | ||||||
Veritas U.S., Inc., 2021 USD Term Loan B, (3 mo. LIBOR + 5.00%, 1.00% Floor), 7.25%, 09/01/25 |
477 | 389,265 | ||||||
VS买方有限责任公司,定期贷款B,(1个月Libor+3.00%),4.67%,02/28/27 |
300 | 282,060 | ||||||
白色资本买家有限责任公司,定期贷款B,(SOFR+3.75%),5.28%,10/19/27 |
74 | 68,503 | ||||||
Ziggo融资伙伴关系,美元定期贷款I,(1个月。Libor+2.50%),3.82%,04/30/28 |
126 | 117,219 | ||||||
|
|
|||||||
4,059,618 | ||||||||
多元化电信服务-0.0% |
||||||||
Cablevision LightPath LLC,定期贷款B,(1个月Libor+3.25%),4.57%,11/30/27 |
112 | 105,084 | ||||||
边疆通信公司,2021年DIP定期贷款B,(3个月。Libor+3.75%,0.75%下限),6.06%,05/01/28 |
186 | 173,685 | ||||||
Ir卫星有限责任公司,2021年定期贷款B2,(1个月Libor+2.50%,0.75%下限),4.17%,11/04/26 |
223 | 213,388 | ||||||
|
|
|||||||
492,157 | ||||||||
电力公用事业-0.1% |
||||||||
ExGen Renewables IV LLC,2020定期贷款,(3个月Libor+2.50%,1.00%下限),4.08%,12/15/27 |
247 | 237,857 | ||||||
Triton Water Holdings,Inc.,定期贷款,(3个月Libor+3.50%),5.75%,03/31/28 |
407 | 358,306 | ||||||
|
|
|||||||
596,163 |
安防 |
帕尔 (000) |
价值 |
||||||
电气设备-0.0% |
| |||||||
Arcline FM Holdings LLC,2021年第一笔留置权定期贷款,(6个月Libor+4.75%,0.75%下限),7.63%,06/23/28 (c) |
$ | 223 | $ | 208,947 | ||||
AZZ, Inc., Term Loan B, (SOFR + 4.25%), 5.88%, 05/13/29 (c) |
35 | 33,338 | ||||||
Gates Global LLC, 2021 Term Loan B3, (1 mo. LIBOR + 2.50%, 0.75% Floor), 4.17%, 03/31/27 |
183 | 172,581 | ||||||
II-VI,Inc.,2021年桥梁定期贷款B,07/02/29 (l) |
125 | 119,531 | ||||||
|
|
|||||||
534,397 | ||||||||
环境、维护和安全服务-0.0% |
||||||||
Asplundh Tree Expert LLC,2021年定期贷款B,(1个月。Libor+1.75%),3.42%,09/07/27 |
300 | 288,952 | ||||||
TruGreen LP, 2020 Term Loan, (1 mo. LIBOR + 4.00%, 0.75% Floor), 5.67%, 11/02/27 |
37 | 34,911 | ||||||
|
|
|||||||
323,863 | ||||||||
股权房地产投资信托基金(REITs)-0.0% |
||||||||
RHP Hotel Properties LP,2017年定期贷款B,(1个月Libor+2.00%),3.67%,05/11/24 |
33 | 32,480 | ||||||
|
|
|||||||
食品和史泰博零售业-0.0% |
||||||||
美国食品公司 |
||||||||
2019 Term Loan B, (3 mo. LIBOR + 2.00%), 3.57%, 09/13/26 |
53 | 49,721 | ||||||
2021 Term Loan B, (3 mo. LIBOR + 2.75%), 4.32%, 11/22/28 |
249 | 236,375 | ||||||
|
|
|||||||
286,096 | ||||||||
食品-0.2% |
||||||||
第8大道食品与供应公司,2018年第一笔留置权定期贷款,(1个月Libor+3.75%),5.42%,10/01/25 |
164 | 137,325 | ||||||
B&G Foods,Inc.,2019年定期贷款B4,10/10/26 (l) |
112 | 105,245 | ||||||
Chobani LLC, 2020 Term Loan B, (1 mo. LIBOR + 3.50%, 1.00% Floor), 5.17%, 10/25/27 |
594 | 537,252 | ||||||
Froneri International Ltd.,2020美元定期贷款,(1个月Libor+2.25%),3.92%,01/29/27 |
569 | 522,385 | ||||||
Sovos Brands Intermediate,Inc.,2021年定期贷款,(3个月Libor+3.50%,0.75%下限),4.25%,06/08/28 |
224 | 210,981 | ||||||
Utz Quality Foods LLC,2021年定期贷款B,(1个月Libor+3.00%),4.67%,01/20/28 |
187 | 177,932 | ||||||
|
|
|||||||
1,691,120 | ||||||||
燃气公用事业-0.0% |
||||||||
自由港液化天然气投资有限公司,定期贷款B,(3个月Libor+3.50%),4.56%,12/21/28 |
445 | 383,761 | ||||||
|
|
|||||||
医疗保健设备和用品-0.1% |
||||||||
电子Bidco,Inc.,2021年11月1日定期贷款 (l) |
300 | 280,518 | ||||||
Insulet Corp.,定期贷款B,(1个月Libor+3.25%),4.92%,05/04/28 |
112 | 105,587 | ||||||
Medline借款人LP,美元定期贷款B,(1个月。Libor+3.25%),4.92%,10/23/28 |
766 | 709,491 | ||||||
|
|
|||||||
1,095,596 | ||||||||
医疗保健提供者和服务-0.1% |
||||||||
CHG Healthcare Services,Inc.,2021年定期贷款,(3个月Libor+3.25%),4.75%,09/29/28 |
186 | 175,550 | ||||||
达芬奇买家公司,2019年定期贷款,(3个月。Libor+4.00%,下限1.00%),6.25%,01/08/27 |
297 | 280,895 | ||||||
EnVision Healthcare Corp.,2018年第一笔留置权定期贷款,(1个月Libor+3.75%),5.42%,10/10/25 |
296 | 97,431 |
S C H E D U L E O F I N V E S T M E N T S |
97 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
医疗保健提供者和服务(续) |
| |||||||
Eyes ecare Partners LLC,2020定期贷款,(3个月Libor+3.75%),6.00%,02/18/27 |
$ | 200 | $ | 184,486 | ||||
股骨买家公司,第一留置权定期贷款,(3个月。Libor+4.50%),6.75%,03/05/26 |
158 | 137,409 | ||||||
Orbcomm, Inc., Term Loan B, (1 mo. LIBOR + 4.25%), 5.92%, 09/01/28 |
149 | 137,558 | ||||||
Sotera Health Holdings LLC,2021年定期贷款,(1个月Libor+2.75%),4.42%,12/11/26 |
126 | 119,543 | ||||||
Vizient, Inc., 2022 Term Loan B, (SOFR + 2.25%), 3.68%, 04/28/29 |
32 | 31,720 | ||||||
WP CityMD Bidco LLC,2021年第一笔留置权定期贷款B,(3个月Libor+3.25%),5.50%,12/22/28 |
250 | 234,413 | ||||||
|
|
|||||||
1,399,005 | ||||||||
医疗保健服务-0.0% |
||||||||
杜鹃花Topco,Inc.定期贷款,(3个月Libor+3.50%),4.74%,07/24/26 |
376 | 351,246 | ||||||
|
|
|||||||
医疗保健技术-0.1% |
||||||||
AthenaHealth,Inc.,2022年定期贷款B,(SOFR+3.50%),5.01%,02/15/29 |
386 | 354,465 | ||||||
GoodRx,Inc.,第一留置权定期贷款,(1个月Libor+2.75%),4.42%,10/10/25 |
82 | 74,897 | ||||||
北极星新闻有限责任公司,美元定期贷款B,(1个月。Libor+4.00%),5.67%,06/02/28 |
223 | 205,366 | ||||||
|
|
|||||||
634,728 | ||||||||
酒店、餐饮和休闲-0.4% |
||||||||
1011778 B.C.无限责任公司,定期贷款B4,(1个月Libor+1.75%),3.42%,11/19/26 |
341 | 324,546 | ||||||
贵族技术公司,2022年定期贷款B,(SOFR+2.25%),4.40%,05/24/29 |
23 | 22,160 | ||||||
凯撒度假村集合有限责任公司,2017第一笔留置权定期贷款B,(1个月Libor+2.75%),4.42%,12/23/24 |
450 | 432,128 | ||||||
Carnival Corp., (6 mo. LIBOR + 3.00%, 0.75% Floor), 5.88%, 06/30/25 |
110 | 102,486 | ||||||
Equinox Holdings,Inc.,2017第一笔留置权定期贷款,(3个月Libor+3.00%,下限1.00%),5.25%,03/08/24 |
585 | 432,849 | ||||||
费尔蒂塔娱乐有限责任公司,2022年定期贷款B,(SOFR+4.00%),5.53%,01/27/29 |
597 | 548,987 | ||||||
四季酒店有限公司,新第一留置权定期贷款,(1个月Libor+2.00%),3.67%,11/30/23 |
98 | 96,525 | ||||||
希尔顿全球金融有限责任公司,2019年6月22日定期贷款B2 (l) |
31 | 30,038 | ||||||
IRB Holding Corp., 2022 Term Loan B, (SOFR + 3.15%, 0.75% Floor), 4.24%, 12/15/27 |
547 | 512,567 | ||||||
宾夕法尼亚国家博彩公司,2022年定期贷款B,(SOFR+2.75%),4.38%,05/03/29 |
154 | 147,025 | ||||||
Playtika Holding Corp.,2021年定期贷款,(1个月。Libor+2.75%),4.42%,03/13/28 |
236 | 222,136 | ||||||
科学游戏国际公司,2022美元定期贷款,(SOFR+3.00%),4.36%,04/14/29 |
88 | 83,380 | ||||||
星空集团控股BV,2018美元增量定期贷款,(3个月Libor+2.25%),4.50%,07/21/26 |
75 | 71,005 | ||||||
Station Casinos LLC,2020定期贷款B,(1个月Libor+2.25%),3.92%,02/08/27 |
301 | 282,425 | ||||||
旅游金融卢森堡SARL,2021年同意定期贷款,(3个月Libor+5.00%),7.25%,05/29/26 |
276 | 212,511 |
安防 |
帕尔 (000) |
价值 |
||||||
酒店、餐馆和休闲(续) |
| |||||||
Twin River Worldwide Holdings,Inc.,2021定期贷款B,(1个月Libor+3.25%),4.37%,10/02/28 |
$ | 74 | $ | 69,086 | ||||
Whataband LLC,2021年定期贷款B,(1个月Libor+3.25%),4.92%,08/03/28 |
262 | 244,675 | ||||||
温德姆酒店及度假村公司,定期贷款B,5/30/25 (l) |
19 | 18,274 | ||||||
|
|
|||||||
3,852,803 | ||||||||
家用耐用品-0.1% |
||||||||
ACProducts Holdings,Inc.,2021年定期贷款B,(3个月Libor+4.25%),6.97%,05/17/28 |
172 | 132,722 | ||||||
Snap One Holdings Corp.,定期贷款B,(6个月。Libor+4.50%),7.38%,12/08/28 |
188 | 169,949 | ||||||
Solis IV BV,美元定期贷款B1,(SOFR+3.50%),4.84%,02/26/29 |
262 | 224,830 | ||||||
Springs Windows Fashions LLC,2021定期贷款B,(1个月Libor+4.00%,0.75%下限),5.60%,10/06/28 |
76 | 62,069 | ||||||
韦伯-斯蒂芬产品有限责任公司,定期贷款B,(1个月Libor+3.25%,0.75%下限),4.92%,10/30/27 |
130 | 117,885 | ||||||
|
|
|||||||
707,455 | ||||||||
工业集团-0.1% |
||||||||
AVSC Holding Corp.,2020年定期贷款B1,(0.25%PIK),5.11%,03/03/25 (i) |
385 | 329,729 | ||||||
Diamond BC BV, 2021 Term Loan B, (3 mo. LIBOR + 2.75%), 3.99%, 09/29/28 |
341 | 314,379 | ||||||
Sequa Mezzanine Holdings LLC,2020延期定期贷款,(3个月。Libor+6.75%,1.00%下限),8.30%,11/28/23 |
10 | 9,830 | ||||||
垂直美国Newco,Inc.,定期贷款B,(1个月Libor+3.50%),4.02%,07/30/27 |
99 | 93,023 | ||||||
Vertiv Group Corp.,2021年定期贷款B,(1个月Libor+2.75%),3.87%,03/02/27 |
460 | 426,498 | ||||||
|
|
|||||||
1,173,459 | ||||||||
保险--0.2% |
||||||||
联合控股中级有限责任公司 |
||||||||
2018 Term Loan B, (1 mo. LIBOR + 3.25%), 4.92%, 05/09/25 |
626 | 587,752 | ||||||
2021 Term Loan B4, (1 mo. LIBOR + 3.50%), 5.01%, 11/06/27 |
119 | 110,772 | ||||||
AmWINS Group, Inc., 2021 Term Loan B, (1 mo. LIBOR + 2.25%), 3.92%, 02/19/28 |
175 | 165,116 | ||||||
AssuredPartners,Inc.,2020年定期贷款B,(1个月Libor+3.50%),5.17%,02/12/27 |
263 | 245,581 | ||||||
HUB国际有限公司 |
||||||||
2018 Term Loan B, 04/25/25 (l) |
451 | 425,822 | ||||||
2021 Term Loan B, (3 mo. LIBOR + 3.25%), 4.35%, 04/25/25 |
111 | 105,470 | ||||||
瑞安专业集团有限责任公司,定期贷款,(SOFR+3.00%,0.75%下限),4.63%,09/01/27 (c) |
124 | 119,393 | ||||||
Sedgwick索赔管理服务公司,2019年定期贷款B,(1个月Libor+3.75%),5.42%,09/03/26。 |
224 | 212,374 | ||||||
|
|
|||||||
1,972,280 | ||||||||
互动媒体和服务-0.1% |
||||||||
Adevinta ASA,美元定期贷款B,(3个月。Libor+3.00%,0.75%下限),5.25%,06/26/28 |
371 | 353,961 |
98 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
互动媒体与服务(续) |
| |||||||
Arches Buyer, Inc., 2021 Term Loan B, (1 mo. LIBOR + 3.25%), 4.92%, 12/06/27 |
$ | 93 | $ | 84,391 | ||||
卡梅洛特美国收购有限责任公司,2020年增量定期贷款B,(1个月Libor+3.00%,1.00%下限),4.67%,10/30/26 |
432 | 406,258 | ||||||
Go爸爸运营有限公司,2021年定期贷款B4,(1个月Libor+2.00%),3.67%,08/10/27 |
125 | 120,221 | ||||||
Grab控股公司,定期贷款B,(6个月Libor+4.50%,1.00%下限),5.50%,01/29/26 |
447 | 406,531 | ||||||
|
|
|||||||
1,371,362 | ||||||||
互联网和直销零售-0.0% |
||||||||
CNT Holdings I Corp.,2020年定期贷款,(1个月Libor+3.50%,0.75%下限),4.69%,11/08/27 |
199 | 188,504 | ||||||
|
|
|||||||
互联网软件和服务-0.0% |
||||||||
优步技术公司,2021年定期贷款B,(3个月Libor+3.50%),5.07%,02/25/27 |
515 | 491,668 | ||||||
|
|
|||||||
IT服务-0.3% |
||||||||
阿鲁巴投资公司,2020美元定期贷款,(1个月Libor+4.00%,0.75%下限),5.63%,11/24/27 (c) |
75 | 68,654 | ||||||
Banff Merge Sub,Inc.,2021美元定期贷款,(1个月Libor+3.75%),5.42%,10/02/25 |
225 | 208,777 | ||||||
Camelot Finance SA,定期贷款B,(1个月Libor+3.00%),4.67%,10/30/26 |
124 | 117,419 | ||||||
CCC智能解决方案公司,定期贷款B,(3个月Libor+2.25%),4.50%,09/21/28 |
187 | 177,052 | ||||||
CoreLogic,Inc. |
||||||||
2nd Lien Term Loan, (1 mo. LIBOR + 6.50%), 8.19%, 06/04/29 (c) |
100 | 72,000 | ||||||
Term Loan, (1 mo. LIBOR + 3.50%), 5.19%, 06/02/28 |
453 | 375,606 | ||||||
FleetCor Technologies运营有限公司,2021年定期贷款B4,(1个月Libor+1.75%),3.42%,04/28/28 |
226 | 216,874 | ||||||
Greeneden U.S.Holdings II LLC,2020美元定期贷款B4,(1个月Libor+4.00%,0.75%下限),5.67%,12/01/27 |
927 | 883,805 | ||||||
PUG LLC, USD Term Loan, (1 mo. LIBOR + 3.50%), 5.17%, 02/12/27 (c) |
378 | 340,255 | ||||||
TransUnion LLC |
||||||||
2019 Term Loan B5, (1 mo. LIBOR + 1.75%), 3.42%, 11/16/26 |
113 | 106,099 | ||||||
2021 Term Loan B6, (1 mo. LIBOR + 2.25%), 3.92%, 12/01/28 |
448 | 426,401 | ||||||
Virtusa Corp.,第一留置权定期贷款B,(1个月。Libor+3.75%,0.75%下限),5.42%,02/11/28 |
75 | 70,285 | ||||||
WEX, Inc., 2021 Term Loan, (1 mo. LIBOR + 2.25%), 3.92%, 03/31/28 |
124 | 119,319 | ||||||
|
|
|||||||
3,182,546 | ||||||||
休闲产品-0.0% |
||||||||
Fender乐器公司,2021年定期贷款B,(SOFR+4.00%),5.23%,12/01/28 |
100 | 94,153 | ||||||
Peloton Interactive,Inc.,定期贷款,(SOFR+6.50%),8.35%,05/25/27 |
41 | 38,976 | ||||||
|
|
|||||||
133,129 | ||||||||
生命科学工具和服务-0.2% |
||||||||
Avantor Funding,Inc.,2021年定期贷款B5,(1个月Libor+2.25%),3.92%,11/08/27 |
277 | 265,410 |
安防 |
帕尔 (000) |
价值 |
||||||
生命科学工具与服务(续) |
| |||||||
EResearchTechnology,Inc.,2020第一笔留置权定期贷款,(1个月Libor+4.50%,下限1.00%),6.17%,02/04/27 |
$ | 556 | $ | 512,365 | ||||
图标卢森堡SARL |
||||||||
LUX Term Loan, (3 mo. LIBOR + 2.25%), 4.56%, 07/03/28 |
278 | 268,006 | ||||||
US Term Loan, (3 mo. LIBOR + 2.25%), 4.56%, 07/03/28 |
69 | 66,774 | ||||||
Maravai Intermediate Holdings LLC,2022年定期贷款B,(SOFR+3.00%),3.85%,10/19/27 (c) |
186 | 176,297 | ||||||
PAREXEL国际公司,2021年第一笔留置权定期贷款,(1个月Libor+3.25%),4.88%,11/15/28 |
523 | 489,760 | ||||||
|
|
|||||||
1,778,612 | ||||||||
机械--0.2% |
||||||||
Albion Acquires Ltd.,美元定期贷款,(3个月Libor+5.25%),6.43%,08/17/26 |
224 | 213,801 | ||||||
ASP刀片控股公司,初始定期贷款,(1个月Libor+4.00%),5.67%,10/13/28 |
66 | 57,767 | ||||||
Clark Equipment Co.,2022定期贷款B,(SOFR+2.50%),4.65%,04/20/29 |
42 | 40,271 | ||||||
哥伦布·麦金农公司,2021年定期贷款B,(3个月Libor+2.75%),5.06%,05/14/28 |
72 | 68,740 | ||||||
Fluidra SA, 2022 USD Term Loan B, (SOFR + 2.00%), 3.63%, 01/29/29 |
22 | 21,188 | ||||||
Gardner Denver,Inc.,2020美元定期贷款B2,(1个月伦敦银行同业拆息+1.75%),3.38%,03/01/27 |
143 | 137,037 | ||||||
英格索尔-兰德服务公司,2020美元Spinco定期贷款,(1个月伦敦银行同业拆息+1.75%),3.38%,03/01/27 |
159 | 151,590 | ||||||
麦迪逊IAQ有限责任公司,定期贷款,(6个月Libor+3.25%),4.52%,06/21/28 |
456 | 414,388 | ||||||
SPX Flow, Inc., (SOFR + 4.50%), 6.13%, 04/05/29 |
146 | 135,788 | ||||||
泰坦收购有限公司,2018年定期贷款B,(6个月Libor+3.00%),5.88%,03/28/25 |
451 | 412,432 | ||||||
|
|
|||||||
1,653,002 | ||||||||
Media — 0.6% |
||||||||
Altices Finding SA,2017美元第一留置权定期贷款,(3个月Libor+2.75%),3.79%,01/31/26 |
252 | 226,829 | ||||||
Altice France SA, 2018 Term Loan B13, (3 mo. LIBOR + 4.00%), 5.41%, 08/14/26 |
412 | 375,647 | ||||||
AMC娱乐控股公司,2019年定期贷款B,(1个月Libor+3.00%),4.20%,04/22/26 |
164 | 137,847 | ||||||
Charge Communications Operating LLC,A类,2019年定期贷款B1,(1个月Libor+1.75%),3.42%,04/30/25 |
124 | 120,877 | ||||||
城市足球集团有限公司,定期贷款,(3个月Libor+3.50%),4.60%,07/21/28 (c) |
225 | 206,273 | ||||||
Clear Channel Outdoor Holdings,Inc.定期贷款B,(3个月Libor+3.50%),4.74%,08/21/26 |
601 | 514,449 | ||||||
CMG Media Corp., 2021 Term Loan, (1 mo. LIBOR + 3.50%), 5.17%, 12/17/26 |
124 | 114,316 | ||||||
连接Finco SARL,2021年定期贷款B,(1个月Libor+3.50%,1.00%下限),5.17%,12/12/26 |
672 | 616,161 | ||||||
CSC Holdings LLC,2019年定期贷款B5,(1个月Libor+2.50%),3.82%,04/15/27 |
243 | 225,156 | ||||||
Learfield Communications LLC,2016第一笔留置权定期贷款,(1个月Libor+3.25%,下限1.00%),4.92%,12/01/23 (c) |
92 | 80,590 | ||||||
狮门资本控股有限公司,2018年定期贷款B,(1个月Libor+2.25%),3.92%,03/24/25 |
75 | 72,752 |
S C H E D U L E O F I N V E S T M E N T S |
99 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
媒体(续) |
| |||||||
Live Nation Entertainment,Inc.,定期贷款B4,(1个月Libor+1.75%),3.35%,10/17/26 |
$ | 457 | $ | 425,912 | ||||
MH Sub I LLC |
||||||||
2017 1st Lien Term Loan, (1 mo. LIBOR + 3.50%), 5.42%, 09/13/24 |
727 | 683,101 | ||||||
2021 2nd Lien Term Loan, (1 mo. LIBOR + 6.25%), 7.92%, 02/23/29 |
207 | 193,923 | ||||||
辛克莱电视集团,2022年定期贷款B4,(SOFR+3.75%),5.38%,04/21/29 (c) |
201 | 184,920 | ||||||
Trader Corp., 2017 Term Loan B, (1 mo. LIBOR + 3.00%, 1.00% Floor), 4.63%, 09/28/23 (c) |
299 | 286,293 | ||||||
UPC融资伙伴,2021年美元定期贷款AX,(1个月。Libor+3.00%),4.32%,01/31/29 |
45 | 42,761 | ||||||
维珍媒体布里斯托尔有限责任公司,2020美元定期贷款Q,(1个月。Libor+3.25%),4.57%,01/31/29 |
300 | 286,767 | ||||||
Voyage Digital Ltd., (SOFR + 4.50%), 5.28%, 05/11/29 (c) |
107 | 101,650 | ||||||
William Morris Endeavor Entertainment LLC,2018第一笔留置权定期贷款,(1个月Libor+2.75%),4.42%,05/18/25 |
569 | 533,959 | ||||||
WMG收购公司,2021年定期贷款G,(1个月。Libor+2.12%),3.79%,01/20/28 |
225 | 215,507 | ||||||
Zayo集团控股公司,美元定期贷款,(1个月。Libor+3.00%),4.67%,03/09/27 |
585 | 537,237 | ||||||
|
|
|||||||
6,182,927 | ||||||||
石油、天然气和消耗性燃料-0.2% |
||||||||
Asccent Resources Utica LLC,2020固定第二留置权定期贷款,(3个月Libor+9.00%,下限1.00%),10.02%,11/01/25 |
784 | 821,891 | ||||||
Edgewater发电有限责任公司,定期贷款,(1个月Libor+3.75%),5.42%,12/13/25 |
62 | 52,622 | ||||||
Lucid Energy Group II借款人LLC,2021年定期贷款,(1个月Libor+4.25%,0.75%下限),5.87%,11/24/28 |
371 | 365,089 | ||||||
Medalion Midland收购有限责任公司,(1个月Libor+3.75%,0.75%下限),5.42%,10/18/28 |
223 | 213,804 | ||||||
Oryx Midstream Services二叠纪盆地有限责任公司,定期贷款B,(3个月Libor+3.25%),4.71%,10/05/28 |
372 | 353,279 | ||||||
|
|
|||||||
1,806,685 | ||||||||
个人用品--0.1% |
||||||||
卢森堡阳光七世SARL,2021年定期贷款B3,(3个月Libor+3.75%,0.75%下限),6.00%,10/01/26。 |
744 | 687,082 | ||||||
|
|
|||||||
制药类股-0.1% |
||||||||
Amneal PharmPharmticals LLC,2018年定期贷款B,(1个月Libor+3.50%),5.50%,05/04/25 |
125 | 113,122 | ||||||
博世健康公司,2022年定期贷款B,(SOFR+5.25%),6.55%,02/01/27 |
273 | 233,330 | ||||||
Catalent Pharma Solutions,Inc.,2021定期贷款B3,(1个月Libor+2.00%),3.63%,02/22/28 |
124 | 122,318 | ||||||
Elanco动物健康公司,定期贷款B,(1个月Libor+1.75%),2.81%,08/01/27 |
138 | 130,035 | ||||||
爵士融资Lux SARL,美元定期贷款,(1个月。伦敦银行同业拆息+3.50%),5.17%,05/05/28 |
298 | 283,227 | ||||||
Option Care Health,Inc.,2021年定期贷款B,(1个月Libor+2.75%),4.42%,10/27/28 |
55 | 52,035 |
安防 |
帕尔 (000) |
价值 |
||||||
制药(续) |
| |||||||
Organon & Co., USD Term Loan, (3 mo. LIBOR + 3.00%), 4.63%, 06/02/28 |
$ | 216 | $ | 207,696 | ||||
精密医疗集团有限责任公司 (c) |
| |||||||
2021 Delayed Draw Term Loan, (3 mo. LIBOR + 3.75%), 3.75%, 11/18/27 |
15 | 13,838 | ||||||
2021 Term Loan, (3 mo. LIBOR + 3.00%, 0.75% Floor), 5.25%, 11/18/27 |
286 | 263,960 | ||||||
|
|
|||||||
1,419,561 | ||||||||
专业服务--0.1% |
||||||||
邓白氏公司,定期贷款,(1个月。Libor+3.25%),4.87%,02/06/26 |
498 | 469,339 | ||||||
元素材料科技集团美国控股公司 (l) |
||||||||
2022年4/12/29美元延迟提取定期贷款B |
77 | 73,463 | ||||||
2022美元延迟提取定期贷款D/12/29 |
166 | 159,170 | ||||||
Galaxy U.S.OPCO,Inc.,定期贷款,(SOFR+4.75%),6.28%,04/29/29 |
180 | 168,525 | ||||||
|
|
|||||||
870,497 | ||||||||
房地产管理和开发-0.1% |
||||||||
张伯伦集团公司,定期贷款B,(1个月Libor+3.50%),5.17%,11/03/28 |
375 | 338,088 | ||||||
高纬物业美国借款人有限责任公司,2020年定期贷款B,(1个月Libor+2.75%),4.42%,08/21/25 |
299 | 280,600 | ||||||
|
|
|||||||
618,688 | ||||||||
公路和铁路-0.0% |
||||||||
AVIS预算汽车租赁有限责任公司,2020定期贷款B,(1个月Libor+1.75%),3.42%,08/06/27 |
71 | 67,493 | ||||||
Genesee&Wyming,Inc.,定期贷款,(3个月Libor+2.00%),4.25%,12/30/26 |
188 | 179,716 | ||||||
SIRVA Worldwide,Inc.,2018第一笔留置权定期贷款,(1个月Libor+5.50%),7.09%,08/04/25 (c) |
80 | 71,464 | ||||||
|
|
|||||||
318,673 | ||||||||
半导体和半导体设备-0.0% |
||||||||
Synaptics,Inc.,定期贷款B,(3个月Libor+2.25%),4.36%,12/02/28 |
111 | 108,195 | ||||||
|
|
|||||||
软件-0.6% |
||||||||
应用系统公司,2017年第一笔留置权定期贷款,(3个月Libor+3.00%),5.25%,09/19/24 |
39 | 39,020 | ||||||
梭鱼网络公司 |
||||||||
1st Lien Term Loan, (3 mo. LIBOR + 3.75%, 0.75% Floor), 5.98%, 02/12/25 |
298 | 294,327 | ||||||
2022 Term Loan, 05/17/29 (l) |
83 | 79,369 | ||||||
Central Parent,Inc.,2022美元定期贷款B,07/06/29 (l) |
73 | 68,812 | ||||||
Cloudera公司 |
||||||||
2021 Second Lien Term Loan, (1 mo. LIBOR + 6.00%), 7.67%, 10/08/29 (c) |
113 | 98,310 | ||||||
2021 Term Loan, (1 mo. LIBOR + 3.75%), 5.42%, 10/08/28 |
246 | 226,056 | ||||||
基石OnDemand,Inc.,2021年定期贷款,(1个月Libor+3.75%),5.42%,10/16/28 |
187 | 166,325 | ||||||
Digicel国际金融有限公司,2017年定期贷款B,(1个月Libor+3.25%),4.92%,05/28/24 (c) |
205 | 176,601 | ||||||
Epicor Software Corp.,2020年定期贷款,(1个月Libor+3.25%,0.75%下限),4.92%,07/30/27 |
299 | 281,080 | ||||||
Helios Software Holdings,Inc.,2021年美元定期贷款B,(3个月Libor+3.75%),5.95%,03/11/28 |
100 | 91,700 |
100 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
软件(续) |
||||||||
Informatica LLC,2021美元定期贷款B,(1个月Libor+2.75%),4.44%,10/27/28 |
$ | 486 | $ | 460,450 | ||||
基础设施控股公司,2021年定期贷款B,(3个月Libor+2.75%),3.27%,10/30/28 (c) |
100 | 94,513 | ||||||
洋红色买家有限责任公司 |
||||||||
2021 USD 1st Lien Term Loan, (3 mo. LIBOR + 5.00%, 0.75% Floor), 6.23%, 07/27/28 |
253 | 226,699 | ||||||
2021 USD 2nd Lien Term Loan, (3 mo. LIBOR + 8.25%, 0.75% Floor), 9.48%, 07/27/29 |
193 | 176,021 | ||||||
McAfee LLC, 2022 USD Term Loan B, (SOFR + 4.00%), 5.15%, 03/01/29 |
376 | 341,220 | ||||||
NetSmart Technologies,Inc.,2020定期贷款B,(1个月Libor+4.00%,0.75%下限),5.67%,10/01/27 |
186 | 176,755 | ||||||
Planview母公司,定期贷款,(1个月Libor+4.00%,0.75%下限),5.67%,12/17/27 |
111 | 104,748 | ||||||
Proofpoint,Inc.,第一笔留置权定期贷款,(3个月Libor+3.25%),4.82%,08/31/28 |
450 | 416,972 | ||||||
RealPage,Inc.,第一笔留置权定期贷款,(1个月Libor+3.00%),4.67%,04/24/28 |
742 | 684,151 | ||||||
修复五金公司,定期贷款B,(1个月Libor+2.50%),4.14%,10/20/28 |
187 | 163,326 | ||||||
Severin收购有限责任公司,2018年定期贷款B,(1个月Libor+3.00%),4.62%,08/01/25 |
150 | 143,928 | ||||||
Sophia LP, 2021 Term Loan B, (3 mo. LIBOR + 3.25%), 5.50%, 10/07/27 |
398 | 370,386 | ||||||
Tibco Software,Inc.,2020第二留置权定期贷款,(1个月Libor+7.25%),7.25%,03/03/28 |
335 | 327,798 | ||||||
旗舰软件集团公司 |
||||||||
2021 2nd Lien Term Loan, (3 mo. LIBOR + 5.25%), 6.21%, 05/03/27 |
112 | 103,444 | ||||||
2021 Term Loan, (3 mo. LIBOR + 3.25%), 4.21%, 05/04/26 |
825 | 770,728 | ||||||
|
|
|||||||
6,082,739 | ||||||||
特色零售-0.2% |
||||||||
贝伦金融美国有限责任公司,2018年定期贷款B,(3个月Libor+2.25%),3.69%,11/13/25 |
374 | 360,970 | ||||||
EG Group Ltd., 2021 Term Loan, 6.50%, 03/31/26 |
447 | 422,522 | ||||||
狂热商业中级控股有限责任公司,定期贷款B,(1个月。Libor+3.25%),4.92%,11/24/28 |
75 | 70,303 | ||||||
Mavis轮胎快递服务公司,2021年定期贷款B,(SOFR+4.00%),5.63%,05/04/28 |
274 | 252,503 | ||||||
Med Parentco LP,第一留置权定期贷款,(1个月Libor+4.25%),5.92%,08/31/26 |
149 | 134,356 | ||||||
PetSmart, Inc., 2021 Term Loan B, (3 mo. LIBOR + 3.75%, 0.75% Floor), 4.50%, 02/11/28 |
557 | 522,834 | ||||||
Pilot Travel Center LLC,2021年定期贷款B,(SOFR+2.00%),3.63%,08/04/28 |
99 | 95,146 | ||||||
恢复硬件公司,2022年增量定期贷款,(SOFR+3.25%),4.88%,10/20/28 |
90 | 80,100 | ||||||
混响买家,公司,2021年第一留置权定期贷款,(3个月。Libor+3.50%),6.38%,11/01/28 |
308 | 287,760 | ||||||
|
|
|||||||
2,226,494 | ||||||||
技术硬件、存储和外围设备-0.0% |
||||||||
电子成像公司,定期贷款,07/23/26 (l) |
67 | 59,666 | ||||||
|
|
|||||||
纺织品、服装和奢侈品-0.0% |
||||||||
Crocs, Inc., Term Loan B, (SOFR + 3.50%), 4.45%, 02/17/29 |
266 | 241,865 | ||||||
|
|
安防 |
帕尔 (000) |
价值 |
||||||
贸易公司和分销商-0.0% |
| |||||||
Beacon Roofing Supply,Inc.,2021年定期贷款B,(1个月Libor+2.25%),3.92%,05/19/28 |
$ | 187 | $ | 178,131 | ||||
基础建材控股有限公司,2021年定期贷款,(3个月Libor+3.25%),4.49%,01/31/28 (c) |
113 | 98,681 | ||||||
离子贸易金融有限公司,2021年定期贷款,(3个月伦敦银行同业拆息+4.75%),7.00%,04/03/28 |
75 | 68,607 | ||||||
SRS分销公司,2022年增量定期贷款,(SOFR+3.50%),4.00%,06/02/28 |
68 | 62,386 | ||||||
|
|
|||||||
407,805 | ||||||||
无线电信服务-0.0% |
||||||||
Gogo Intermediate Holdings LLC,定期贷款B,(3个月Libor),4.99%,04/30/28 |
75 | 70,444 | ||||||
Metronet Systems Holdings LLC,2021第一笔留置权定期贷款,(SOFR+3.75%),5.05%,06/02/28 |
111 | 102,897 | ||||||
SBA高级财务II有限责任公司,2018年定期贷款B,(1个月Libor+1.75%),3.42%,04/11/25 |
188 | 180,840 | ||||||
|
|
|||||||
354,181 | ||||||||
|
|
|||||||
总浮动利率贷款利息-6.4% (Cost: $74,520,431) |
69,263,042 | |||||||
|
|
|||||||
外国机构的义务 |
| |||||||
巴西-0.4% |
||||||||
巴西政府国际债券,5.00%,1/27/45 |
6,525 | 4,678,833 | ||||||
|
|
|||||||
哥伦比亚-0.3% |
||||||||
哥伦比亚政府国际债券,5.63%,02/26/44 |
4,000 | 2,879,500 | ||||||
|
|
|||||||
India — 0.0% |
||||||||
印度进出口银行,3.88%,02/01/28 (f) |
200 | 191,004 | ||||||
|
|
|||||||
印度尼西亚-0.5% |
||||||||
印尼政府国际债券 |
||||||||
5.88%, 01/15/24 (b) |
4,400 | 4,525,950 | ||||||
2.85%, 02/14/30 |
200 | 178,037 | ||||||
1.85%, 03/12/31 |
200 | 162,022 | ||||||
3.70%, 10/30/49 |
200 | 160,022 | ||||||
3.50%, 02/14/50 |
200 | 157,475 | ||||||
Perusahaan Penerbit SBSN印度尼西亚III,2.80%,06/23/30 (f) |
200 | 175,475 | ||||||
|
|
|||||||
5,358,981 | ||||||||
墨西哥-0.4% |
||||||||
墨西哥政府国际债券,4.75%,03/08/44 (d) |
5,800 | 4,804,212 | ||||||
|
|
|||||||
巴基斯坦-0.0% |
||||||||
巴基斯坦政府国际债券 (f) |
||||||||
6.00%, 04/08/26 |
450 | 301,550 | ||||||
7.38%, 04/08/31 |
200 | 124,022 | ||||||
|
|
|||||||
425,572 | ||||||||
菲律宾-0.1% |
||||||||
菲律宾政府国际债券 |
||||||||
1.65%, 06/10/31 |
200 | 160,272 | ||||||
1.95%, 01/06/32 |
200 | 162,772 | ||||||
2.65%, 12/10/45 |
200 | 137,022 | ||||||
|
|
|||||||
460,066 |
S C H E D U L E O F I N V E S T M E N T S |
101 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||
韩国-0.0% |
||||||||
韩国进出口银行,1.63%,01/18/27 |
$ | 200 | $ | 182,990 | ||||
|
|
|||||||
乌拉圭-0.3% |
||||||||
乌拉圭政府国际债券,5.10%,06/18/50 |
3,500 | 3,510,500 | ||||||
|
|
|||||||
外国机构债务总额--2.0% (Cost: $25,976,979) |
|
22,491,658 | ||||||
|
|
|||||||
市政债券 |
||||||||
纽约-1.0% |
||||||||
大都会运输局,RB,BAB,6.55%,11/15/31 |
10,000 | 11,227,440 | ||||||
|
|
|||||||
市政债券总额-1.0% (Cost: $9,833,900) |
|
11,227,440 | ||||||
|
|
|||||||
优先证券 |
||||||||
资本信托-12.6% |
||||||||
航空公司-0.0% |
||||||||
机场管理局,2.10% (a)(f)(g) |
200 | 180,975 | ||||||
|
|
|||||||
汽车--0.2% |
||||||||
通用汽车金融公司,C系列,5.70% (a)(g) |
2,565 | 2,231,550 | ||||||
|
|
|||||||
银行 (a)(g) — 4.4% |
||||||||
汇丰资本融资1美元LP,10.18% (b)(d) |
11,835 | 16,035,358 | ||||||
亨廷顿银行股份有限公司,F系列,5.63% |
6,450 | 6,029,873 | ||||||
中国银行工商股份有限公司 3.20% (f) |
300 | 283,500 | ||||||
ING Groep NV,3.88% |
3,326 | 2,408,737 | ||||||
Kasikornbank PCL,5.28% (f) |
268 | 245,605 | ||||||
麦格理银行有限公司,6.13% (b) |
1,885 | 1,704,896 | ||||||
北欧银行总部基地,6.13% (b) |
5,540 | 5,336,593 | ||||||
里萨尔商业银行公司,6.50% (f) |
700 | 669,069 | ||||||
SVB金融集团,4.10% |
4,556 | 3,133,226 | ||||||
TMB Thanachart Bank PCL,4.90% (f) |
700 | 638,444 | ||||||
U.S.Bancorp,J系列,5.30% (d) |
10,415 | 8,850,146 | ||||||
富国银行。 |
||||||||
S系列,5.90% |
281 | 254,080 | ||||||
U系列,5.88% |
2,655 | 2,588,360 | ||||||
|
|
|||||||
48,177,887 | ||||||||
资本市场-0.1% |
||||||||
道富集团,F系列,5.43% (a)(g) |
618 | 602,326 | ||||||
|
|
|||||||
多元化金融服务--4.9% |
||||||||
美国银行(Bank of America Corp.)U系列,5.20% (a)(d)(g) |
5,785 | 5,365,587 | ||||||
巴克莱银行 (a)(g) |
||||||||
4.38% |
1,630 | 1,249,988 | ||||||
8.00% |
4,500 | 4,421,250 | ||||||
法国巴黎银行,7.38% (a)(b)(g) |
4,535 | 4,489,413 |
安防 |
帕尔 (000) |
价值 |
||||||
多元化金融服务(续) |
||||||||
法国农业信贷银行,8.13% (a)(b)(g) |
$ | 5,000 | $ | 5,121,500 | ||||
瑞士信贷集团,7.50% (a)(b)(g) |
1,865 | 1,720,463 | ||||||
汇丰控股,6.50% (a)(g) |
2,615 | 2,368,108 | ||||||
摩根大通。 |
||||||||
8.75%, 09/01/30 |
2,000 | 2,443,366 | ||||||
S系列,6.75% (a)(d)(g) |
9,775 | 9,840,248 | ||||||
劳埃德银行集团,7.50% (a)(g) |
8,285 | 8,075,158 | ||||||
NatWest Group PLC,8.00% (a)(g) |
970 | 959,573 | ||||||
瑞银集团,7.00% (a)(b)(g) |
7,500 | 7,305,918 | ||||||
|
|
|||||||
53,360,572 | ||||||||
电力公用事业-0.6% |
||||||||
PPL Capital Funding,Inc.,A系列,4.92%,03/30/67 (a) |
8,300 | 6,121,250 | ||||||
|
|
|||||||
独立电力和可再生电力生产商-0.1% |
| |||||||
维斯特拉公司,7.00% (a)(b)(g) |
481 | 436,507 | ||||||
|
|
|||||||
保险--1.7% |
||||||||
ACE Capital Trust II,9.70%,04/01/30 (d) |
7,000 | 8,930,864 | ||||||
爱荷华州Cos资本信托II的衡平法,B系列,8.42%,04/01/27 |
5,000 | 4,816,060 | ||||||
MetLife, Inc., 6.40%, 12/15/66 |
5,000 | 5,026,300 | ||||||
|
|
|||||||
18,773,224 | ||||||||
石油、天然气和消耗性燃料-0.2% |
||||||||
企业产品运营有限责任公司,4.36%,06/01/67 (a) |
2,500 | 1,842,262 | ||||||
|
|
|||||||
房地产管理与开发-0.0% |
||||||||
新世界发展金融BVI有限公司,4.13% (a)(f)(g) |
409 | 345,605 | ||||||
|
|
|||||||
无线电信服务-0.4% |
||||||||
沃达丰集团,7.00%,04/04/79 (a) |
4,745 | 4,654,608 | ||||||
|
|
|||||||
136,726,766 | ||||||||
|
|
|||||||
股票 |
||||||||
优先股-3.7% |
||||||||
银行 (a)(g) — 2.3% |
| |||||||
花旗集团,K系列,6.88% |
488,320 | 12,564,474 | ||||||
富国银行,系列Q,5.85% |
550,500 | 13,068,870 | ||||||
|
|
|||||||
25,633,344 | ||||||||
资本市场 (a)(g) — 0.9% |
||||||||
高盛,J系列,5.50% |
162,450 | 3,970,278 | ||||||
道富银行,D系列,5.90% |
220,495 | 5,483,711 | ||||||
|
|
|||||||
9,453,989 |
102 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 (显示的百分比以净资产为基础) |
安防 |
股票 |
价值 |
||||||
|
||||||||
互动媒体和服务-0.5% |
||||||||
字节跳动有限公司,E-1系列,(11/11/20收购,成本:3,526,645美元) (c)(k)(m) |
32,185 | $ | 5,327,131 | |||||
|
|
|||||||
40,414,464 | ||||||||
|
|
|||||||
优先证券总额-16.3% (Cost: $185,172,899) |
177,141,230 | |||||||
|
|
|||||||
长期投资总额-145.7% (Cost: $1,716,201,108) |
|
1,584,492,992 | ||||||
|
|
|||||||
短期证券 |
||||||||
货币市场基金-0.3% |
||||||||
贝莱德流动性基金,T基金,机构类,1.33% (n)(o) |
3,126,037 | 3,126,037 | ||||||
|
|
|||||||
短期证券总额-0.3% (Cost: $3,126,037) |
3,126,037 | |||||||
|
|
|||||||
购买的期权-0.0% (Cost: $680,224) |
659,767 | |||||||
|
|
|||||||
期权签订前的总投资-146.0% (Cost: $1,720,007,369) |
|
1,588,278,796 | ||||||
|
|
|||||||
已写入的期权-(0.2)% (已收保费:(2,702,036美元)) |
(2,698,232 | ) | ||||||
|
|
|||||||
总投资,扣除期权净额-145.8% (Cost: $1,717,305,333) |
|
1,585,580,564 | ||||||
负债超过其他资产-(45.8%) |
|
(498,353,717 | ) | |||||
|
|
|||||||
净资产-100.0% |
$ | 1,087,226,847 | ||||||
|
|
(a) |
可变利率证券。利率会定期重置。显示的利率是期末的实际利率。安全说明还包括参考利率和利差(如果已发布并可用)。 |
(b) |
根据修订后的1933年证券法,根据规则144A豁免注册的证券。这些证券可以在豁免注册的交易中转售给合格机构投资者。 |
(c) |
安全使用重大的不可观察的投入进行估值,并在公允价值层次结构中被归类为第三级。 |
(d) |
全部或部分证券已被质押为与未完成的逆回购协议有关的抵押品。 |
(e) |
全部或部分证券已被质押和/或分离为与所发行的未偿还交易所交易期权相关的抵押品。 |
(f) |
根据1933年证券法的S规定,这种证券可以转售给合格的外国投资者和外国机构买家。 |
(g) |
没有规定到期日的永久证券。 |
(h) |
何时签发的保证金。 |
(i) |
实物支付证券,可以以额外的面值/股份和/或现金支付利息/股息。显示的费率是当前费率和可能的付款费率。 |
(j) |
发行人申请破产和/或违约。 |
(k) |
非创收证券。 |
(l) |
表示期末未结清的贷款承诺。在结算日之前,与此次收购相关的某些细节尚不清楚,包括票面利率。 |
(m) |
关于转售的受限证券,不包括144A证券。该信托持有的限制性证券现值为5,327,131美元,相当于其截至期末净资产的0.5%,原始成本为3,526,645美元。 |
(n) |
信托基金的附属机构。 |
(o) |
截至期末的年化7日收益率。 |
关联发行商 |
价值在 12/31/21 |
购买 按成本计算 |
收益 来自销售部门 |
网络 已实现 得(损) |
更改中 未实现 欣赏 (折旧) |
价值在 06/30/22 |
股票 持有时间 06/30/22 |
收入 |
资本利得 分配 从… 潜在的 基金 |
|||||||||||||||||||||||||||
贝莱德流动性基金、T基金、机构类 |
$ | 22,030,719 | $ | — | $ | (18,904,682 | ) (a) |
$ | — | $ | — | $ | 3,126,037 | 3,126,037 | $ | 23,618 | $ | — | ||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
(a) |
代表净买入(卖出)金额。 |
|
||||||||||||||||||||||||||
交易对手 |
利息 费率 |
贸易 日期 |
成熟性 日期 |
(a) |
面值 |
面值 包括 应计利息 |
非现金标的的类型 抵押品 |
剩余 合同到期日 协议中的 (a |
) | |||||||||||||||||
|
||||||||||||||||||||||||||
巴克莱资本公司 |
1.80 | % (b) |
12/21/21 | 打开 | $ | 14,668,500 | $ | 14,707,840 | 公司债券 | 开放/需求 | ||||||||||||||||
法国巴黎银行 |
1.78 | (b) |
02/11/22 | 打开 | 5,362,500 | 5,374,061 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.78 | (b) |
02/11/22 | 打开 | 3,685,775 | 3,693,721 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.80 | (b) |
02/11/22 | 打开 | 484,800 | 485,882 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.80 | (b) |
02/11/22 | 打开 | 3,908,469 | 3,917,192 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.95 | (b) |
02/14/22 | 打开 | 9,371,250 | 9,397,398 | 资本信托基金 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | (b) |
03/01/22 | 打开 | 6,573,125 | 6,585,815 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | (b) |
03/01/22 | 打开 | 7,339,625 | 7,353,795 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | (b) |
03/01/22 | 打开 | 7,214,062 | 7,227,990 | 公司债券 | 开放/需求 |
S C H E D U L E O F I N V E S T M E N T S |
103 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 |
|
||||||||||||||||||||||||||
交易对手 |
利息 费率 |
贸易 日期 |
成熟性 日期 |
(a) |
面值 |
面值 包括 应计利息 |
非现金标的的类型 抵押品 |
剩余 合同到期日 协议中的 (a |
) | |||||||||||||||||
|
||||||||||||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | % (b) |
03/01/22 | 打开 | $ | 6,648,175 | $ | 6,661,010 | 公司债券 | 开放/需求 | ||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | (b) |
03/01/22 | 打开 | 2,700,000 | 2,705,213 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | (b) |
03/01/22 | 打开 | 6,231,500 | 6,243,530 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | (b) |
03/01/22 | 打开 | 19,435,140 | 19,473,720 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.88 | (b) |
03/01/22 | 打开 | 8,854,675 | 8,875,638 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.88 | (b) |
03/01/22 | 打开 | 3,678,300 | 3,687,008 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.88 | (b) |
03/01/22 | 打开 | 4,462,500 | 4,473,065 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.80 | (b) |
03/02/22 | 打开 | 3,287,550 | 3,294,422 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.80 | (b) |
03/02/22 | 打开 | 8,737,500 | 8,755,764 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/02/22 | 打开 | 10,730,000 | 10,751,797 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/02/22 | 打开 | 4,757,445 | 4,767,109 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/02/22 | 打开 | 11,855,594 | 11,879,677 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.62 | (b) |
03/03/22 | 打开 | 4,324,725 | 4,331,156 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/03/22 | 打开 | 2,332,081 | 2,336,937 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | (b) |
03/03/22 | 打开 | 2,701,450 | 2,706,628 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/03/22 | 打开 | 13,487,500 | 13,514,689 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/03/22 | 打开 | 2,610,000 | 2,615,261 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/03/22 | 打开 | 4,325,000 | 4,333,718 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/03/22 | 打开 | 724,640 | 726,101 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/03/22 | 打开 | 7,162,500 | 7,176,938 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/03/22 | 打开 | 8,313,900 | 8,330,659 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/03/22 | 打开 | 5,815,000 | 5,826,722 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/03/22 | 打开 | 14,850,000 | 14,879,935 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/03/22 | 打开 | 8,714,875 | 8,732,443 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/03/22 | 打开 | 6,697,500 | 6,711,001 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/03/22 | 打开 | 14,715,000 | 14,744,663 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/03/22 | 打开 | 7,770,000 | 7,785,663 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/03/22 | 打开 | 9,076,781 | 9,095,079 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/03/22 | 打开 | 5,596,719 | 5,608,001 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.90 | (b) |
03/03/22 | 打开 | 2,673,000 | 2,679,449 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.65 | (b) |
03/08/22 | 打开 | 156,620 | 156,865 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.65 | (b) |
03/08/22 | 打开 | 1,509,638 | 1,512,001 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.65 | (b) |
03/08/22 | 打开 | 1,018,175 | 1,019,769 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.95 | (b) |
03/08/22 | 打开 | 1,331,374 | 1,334,723 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.95 | (b) |
03/08/22 | 打开 | 4,445,000 | 4,456,180 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.95 | (b) |
03/08/22 | 打开 | 419,795 | 420,561 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 9,087,087 | 9,105,552 | 资本信托基金 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 4,675,000 | 4,684,499 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 882,500 | 884,293 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 5,121,619 | 5,132,026 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 5,417,212 | 5,428,220 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 4,707,062 | 4,716,627 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 4,787,500 | 4,797,228 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 6,056,094 | 6,068,450 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 4,954,677 | 4,964,744 | 外国机构的义务 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 4,464,900 | 4,473,972 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 4,561,340 | 4,568,715 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 1,636,800 | 1,640,126 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 4,823,244 | 4,833,044 | 资本信托基金 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 3,775,000 | 3,782,671 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 3,869,302 | 3,877,165 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 4,924,219 | 4,934,224 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 8,773,062 | 8,790,889 | 资本信托基金 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
1.80 | (b) |
03/09/22 | 打开 | 4,318,750 | 4,327,525 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
2.00 | (b) |
03/09/22 | 打开 | 15,533,437 | 15,574,752 | 资本信托基金 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
2.00 | (b) |
03/09/22 | 打开 | 5,337,500 | 5,351,696 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | (b) |
03/09/22 | 打开 | 4,445,756 | 4,454,092 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | (b) |
03/09/22 | 打开 | 17,473,531 | 17,506,294 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/09/22 | 打开 | 3,186,562 | 3,192,862 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.78 | (b) |
03/09/22 | 打开 | 2,370,000 | 2,374,685 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.90 | (b) |
03/09/22 | 打开 | 8,228,700 | 8,248,003 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.90 | (b) |
03/09/22 | 打开 | 3,014,483 | 3,021,554 | 公司债券 | 开放/需求 |
104 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 |
|
||||||||||||||||||||||||||
交易对手 |
利息 费率 |
贸易 日期 |
成熟性 日期 |
(a) |
面值 |
面值 包括 应计利息 |
非现金标的的类型 抵押品 |
剩余 合同到期日 协议中的 (a |
) | |||||||||||||||||
|
||||||||||||||||||||||||||
RBC资本市场有限责任公司 |
1.90 | % (b) |
03/09/22 | 打开 | $ | 8,973,020 | $ | 8,994,069 | 公司债券 | 开放/需求 | ||||||||||||||||
RBC资本市场有限责任公司 |
1.90 | (b) |
03/09/22 | 打开 | 2,774,744 | 2,781,253 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.90 | (b) |
03/09/22 | 打开 | 8,555,400 | 8,575,470 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.90 | (b) |
03/09/22 | 打开 | 2,763,265 | 2,769,747 | 公司债券 | 开放/需求 | ||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
1.75 | (b) |
03/17/22 | 打开 | 2,910,188 | 2,915,745 | 公司债券 | 开放/需求 | ||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
1.75 | (b) |
03/17/22 | 打开 | 3,688,125 | 3,695,168 | 公司债券 | 开放/需求 | ||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
1.80 | (b) |
03/17/22 | 打开 | 7,557,840 | 7,573,376 | 公司债券 | 开放/需求 | ||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
1.95 | (b) |
03/17/22 | 打开 | 1,373,680 | 1,377,105 | 公司债券 | 开放/需求 | ||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
1.95 | (b) |
03/17/22 | 打开 | 2,803,315 | 2,810,304 | 公司债券 | 开放/需求 | ||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
1.95 | (b) |
03/17/22 | 打开 | 3,489,421 | 3,498,120 | 公司债券 | 开放/需求 | ||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
1.95 | (b) |
03/17/22 | 打开 | 3,550,000 | 3,558,850 | 公司债券 | 开放/需求 | ||||||||||||||||||
道明证券(美国)有限公司 |
1.75 | (b) |
03/17/22 | 打开 | 11,079,700 | 11,100,859 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.90 | (b) |
03/22/22 | 打开 | 2,106,000 | 2,110,753 | 公司债券 | 开放/需求 | ||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
1.75 | (b) |
03/24/22 | 打开 | 2,760,193 | 2,765,234 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | (b) |
03/24/22 | 打开 | 13,167,000 | 13,191,048 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | (b) |
03/24/22 | 打开 | 3,248,175 | 3,254,107 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.75 | (b) |
04/01/22 | 打开 | 2,610,406 | 2,614,449 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司 |
1.90 | (b) |
04/01/22 | 打开 | 3,113,738 | 3,120,259 | 公司债券 | 开放/需求 | ||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
1.25 | (b) |
04/12/22 | 打开 | 301,600 | 301,070 | 公司债券 | 开放/需求 | ||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
(0.75 | ) (b) |
04/21/22 | 打开 | 382,270 | 381,237 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.80 | (b) |
04/27/22 | 打开 | 6,419,312 | 6,428,585 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.80 | (b) |
04/27/22 | 打开 | 8,993,075 | 9,006,065 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
(1.25 | ) (b) |
04/28/22 | 打开 | 285,820 | 285,185 | 公司债券 | 开放/需求 | ||||||||||||||||||
道明证券(美国)有限公司 |
1.74 | (b) |
05/12/22 | 打开 | 2,465,444 | 2,468,885 | 公司债券 | 开放/需求 | ||||||||||||||||||
道明证券(美国)有限公司 |
1.74 | (b) |
05/12/22 | 打开 | 1,184,400 | 1,186,053 | 公司债券 | 开放/需求 | ||||||||||||||||||
道明证券(美国)有限公司 |
1.74 | (b) |
05/12/22 | 打开 | 3,159,844 | 3,164,254 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.88 | (b) |
06/15/22 | 打开 | 4,427,895 | 4,430,211 | 公司债券 | 开放/需求 | ||||||||||||||||||
RBC资本市场有限责任公司。 |
1.75 | (b) |
06/15/22 | 打开 | 4,412,500 | 4,414,553 | 公司债券 | 开放/需求 | ||||||||||||||||||
巴克莱资本公司 |
(3.00 | ) (b) |
06/17/22 | 打开 | 53,838 | 53,793 | 公司债券 | 开放/需求 | ||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
(0.50 | ) (b) |
06/22/22 | 打开 | 386,785 | 386,742 | 公司债券 | 开放/需求 | ||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
(5.00 | ) (b) |
06/24/22 | 打开 | 108,900 | 108,794 | 公司债券 | 开放/需求 | ||||||||||||||||||
法国巴黎银行 |
1.95 | (b) |
06/28/22 | 打开 | 296,380 | 296,412 | 公司债券 | 开放/需求 | ||||||||||||||||||
|
|
|
|
|||||||||||||||||||||||
$ | 546,585,368 | $ | 547,698,452 | |||||||||||||||||||||||
|
|
|
|
(a) |
某些协议没有规定的到期日,任何一方都可以随时终止。 |
(b) |
可变利率证券。截止到期末和到期日的利率是指可以通过需求收回所欠本金的日期。 |
描述 |
数量 合同 |
期满 日期 |
概念上的 金额(000) |
价值/ 未实现 欣赏 (折旧) |
||||||||||||
长期合同 |
||||||||||||||||
超级美国国债 |
91 | 09/21/22 | $ | 14,045 | $ | (182,556 | ) | |||||||||
5年期 美国国库券 |
2,610 | 09/30/22 | 292,646 | 1,847,147 | ||||||||||||
3个月 软性 |
2,018 | 03/14/23 | 487,498 | (11,416,906 | ) | |||||||||||
|
|
|||||||||||||||
(9,752,315 | ) | |||||||||||||||
|
|
|||||||||||||||
空头合约 |
||||||||||||||||
10年期 美国国库券 |
1,168 | 09/21/22 | 138,244 | 1,191,457 | ||||||||||||
10年期 美国超长国债 |
78 | 09/21/22 | 9,911 | 127,226 | ||||||||||||
美国长债 |
739 | 09/21/22 | 102,051 | (3,452,927 | ) | |||||||||||
|
|
|||||||||||||||
(2,134,244 | ) | |||||||||||||||
|
|
|||||||||||||||
$ | (11,886,559 | ) | ||||||||||||||
|
|
S C H E D U L E O F I N V E S T M E N T S |
105 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 |
描述 |
数量 合同 |
期满 日期 |
行权价格 |
概念上的 金额(000) |
价值 |
|||||||||||||||
看涨 |
||||||||||||||||||||
Xtracker嘉实沪深300中国 A股 基金 |
2,951 | 09/16/22 | 美元 | 36.00 | 美元 | 10,084 | $ | 278,869 | ||||||||||||
|
|
描述 |
交易对手 |
Expiration 日期 |
行权价格 |
概念上的 金额(000) |
价值 |
|||||||||||||
放 |
||||||||||||||||||
美元货币 |
高盛国际 | 09/15/22 | 127.00 | 美元 | 23,044 | $ | 147,644 | |||||||||||
美元货币 |
高盛国际 | 09/15/22 | 128.00 | 美元 | 30,932 | 233,254 | ||||||||||||
|
|
|||||||||||||||||
$ | 380,898 | |||||||||||||||||
|
|
描述 |
交易对手 |
期满 日期 |
行权价格 |
概念上的 金额(000) |
价值 |
|||||||||||||
放 |
||||||||||||||||||
美元货币 |
高盛国际 | 09/15/22 | 123.00 | 美元 | 30,931 | $ | (104,982 | ) | ||||||||||
|
|
|
由信托基金支付 | 由信托基金收到 | |
|
|
|
|
|||||||||||||||||||||||||
描述 |
费率 |
频率 |
费率 |
频率 |
交易对手 |
期满 日期 |
锻炼 费率 |
概念上的 金额(000) |
价值 |
|||||||||||||||||||||||
看涨 |
||||||||||||||||||||||||||||||||
2年制 利率互换,01/01/25 |
2.30% | 半年度报告 |
|
1天SOFR, 0.82% |
|
季刊 | 高盛国际 | 12/30/22 | 2.30 | % | 美元 | 410,000 | $ | (1,363,250 | ) | |||||||||||||||||
|
|
|||||||||||||||||||||||||||||||
放 |
||||||||||||||||||||||||||||||||
2年制 利率互换,01/01/25 |
|
1天SOFR, 0.82% |
|
季刊 | 3.80% | 半年度报告 |
高盛国际 | 12/30/22 | 3.80 | 美元 | 410,000 | (1,230,000 | ) | |||||||||||||||||||
|
|
|||||||||||||||||||||||||||||||
$ | (2,593,250 | ) | ||||||||||||||||||||||||||||||
|
|
参考债务/索引 |
融资 接收的速率 由信托基金 |
付款 频率 |
终端 日期 |
信用 额定值 |
(a) |
概念上的 金额(000) |
(b) |
价值 |
预付费用 补价 已支付 (已收到) |
未实现 欣赏 (折旧) |
||||||||||||||||||||||
CDX.NA.HY.38.V2. |
5.00 | % | 季刊 | 06/20/27 | B+ | USD 61,776 | $ | (1,722,676 | ) | $ | 2,752,043 | $ | (4,474,719 | ) | ||||||||||||||||||
|
|
|
|
|
|
(a) |
使用标准普尔全球评级提供的发行人评级或该指数的标的证券(如适用)。 |
(b) |
如果发生协议条款所定义的负信用事件,信托可能支付的最大潜在金额。 |
描述 |
交换 保费 已支付 |
交换 保费 已收到 |
未实现 欣赏 |
未实现 折旧 |
价值 |
|||||||||||||||
集中清算的掉期 (a) |
$ | 2,752,043 | $ | — | $ | — | $ | (4,474,719 | ) | $ — | ||||||||||
已写入选项 |
不适用 | 不适用 | 3,804 | — | (2,698,232 | ) |
(a) |
包括中央结算掉期的累计升值(折旧),如投资明细表所述。只有当日的变动保证金在资产负债表中报告,并扣除之前支付(收到)的任何掉期溢价金额。 |
106 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 |
商品 合同 |
信用 合同 |
权益 合同 |
外国 货币 交易所 合同 |
利息 费率 合同 |
其他 合同 |
总计 |
||||||||||||||||||||||
资产-衍生金融工具 |
||||||||||||||||||||||||||||
期货合约 |
||||||||||||||||||||||||||||
期货合约未实现增值 (a) |
$ | — | $ | — | $ | — | $ | — | $ | 3,165,830 | $ | — | $ | 3,165,830 | ||||||||||||||
购买的选项 |
||||||||||||||||||||||||||||
有价值的投资--非关联投资 (b) |
— | — | 278,869 | 380,898 | — | — | 659,767 | |||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
$ | — | $ | — | $ | 278,869 | $ | 380,898 | $ | 3,165,830 | $ | — | $ | 3,825,597 | |||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
负债--衍生金融工具 |
||||||||||||||||||||||||||||
期货合约 |
||||||||||||||||||||||||||||
期货合约未实现折旧 (a) |
$ | — | $ | — | $ | — | $ | — | $ | 15,052,389 | $ | — | $ | 15,052,389 | ||||||||||||||
已写入选项 |
||||||||||||||||||||||||||||
按价值计价的期权 |
— | — | — | 104,982 | 2,593,250 | — | 2,698,232 | |||||||||||||||||||||
掉期-集中结算 |
||||||||||||||||||||||||||||
集中清算掉期的未实现折旧 (a) |
— | 4,474,719 | — | — | — | — | 4,474,719 | |||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
$ | — | $ | 4,474,719 | $ | — | $ | 104,982 | $ | 17,645,639 | $ | — | $ | 22,225,340 | |||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
(a) |
期货合约和中央结算掉期(如有)的累计未实现净增值(折旧)在投资附表中列报。在资产负债表中,只在应收或应付账款中报告当日变动幅度,累计未实现增值(折旧)净额计入累计收益(亏损)。 |
(b) |
包括按投资明细表中报告的价值购买的期权。 |
商品 合同 |
信用 合同 |
权益 合同 |
外国 货币 交易所 合同 |
利息 费率 合同 |
其他 合同 |
总计 |
||||||||||||||||||||||
净已实现收益(亏损)来自: |
||||||||||||||||||||||||||||
期货合约 |
$ | — | $ | — | $ | 195,243 | $ | — | $ | 16,596,665 | $ | — | $ | 16,791,908 | ||||||||||||||
购买的选项 (a) |
— | — | (741,488 | ) | — | (233,652 | ) | — | (975,140 | ) | ||||||||||||||||||
已写入选项 |
— | — | 576,973 | — | — | — | 576,973 | |||||||||||||||||||||
掉期 |
— | 976,762 | — | — | — | — | 976,762 | |||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
$ | — | $ | 976,762 | $ | 30,728 | $ | — | $ | 16,363,013 | $ | — | $ | 17,370,503 | |||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
未实现增值(折旧)净变化如下: |
||||||||||||||||||||||||||||
期货合约 |
$ | — | $ | — | $ | — | $ | — | $ | (11,081,811 | ) | $ | — | $ | (11,081,811 | ) | ||||||||||||
购买的选项 (b) |
— | — | 687,689 | (77,325 | ) | — | — | 610,364 | ||||||||||||||||||||
已写入选项 |
— | — | — | 3,804 | — | — | 3,804 | |||||||||||||||||||||
掉期 |
— | (4,474,719 | ) | — | — | — | — | (4,474,719 | ) | |||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
$ | — | $ | (4,474,719 | ) | $ | 687,689 | $ | (73,521 | ) | $ | (11,081,811 | ) | $ | — | $ | (14,942,362 | ) | |||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
(a) |
购买的期权包括在非关联投资的已实现净收益(亏损)中。 |
(b) |
购买的期权包括在非关联投资的未实现增值(折旧)净变化中。 |
期货合约: |
||||
长期合同的平均名义价值 |
$ | 651,559,491 | ||
合同的平均名义价值-空头 |
$ | 289,575,086 | ||
选项: |
||||
购买的期权合同的平均价值 |
$ | 1,208,817 | ||
签订的期权合约的平均价值 |
$ | 172,819 | ||
签订的掉期合同的平均名义价值 |
$ | 410,000,000 | ||
信用违约互换: |
||||
平均名义价值-卖出保护 |
$ | 62,088,000 |
S C H E D U L E O F I N V E S T M E N T S |
107 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 |
资产 |
负债 |
|||||||
衍生金融工具 |
||||||||
期货合约 |
$ | 2,251,913 | $ | 1,917,252 | ||||
选项 |
659,767 | (a) |
2,698,232 | |||||
掉期-集中结算 |
— | 85,129 | ||||||
|
|
|
|
|||||
资产负债表中的衍生资产和负债总额 |
2,911,680 | 4,700,613 | ||||||
|
|
|
|
|||||
不受总净额结算协议或类似协议约束的衍生品(“MNA”) |
(2,530,782 | ) | (2,002,381 | ) | ||||
|
|
|
|
|||||
受多边投资协定约束的衍生品资产和负债总额 |
$ | 380,898 | $ | 2,698,232 | ||||
|
|
|
|
(a) |
包括按价值购买的期权,按价值计入投资--在资产和负债表中无关联,并在投资明细表中列报。 |
交易对手 |
导数 资产 受制于 MNA作者: 交易对手 |
衍生品 可用 对于偏移 |
(a) |
非现金 抵押品 已收到 |
现金 抵押品 已收到 |
净额 衍生品的 资产 |
||||||||||||||
高盛国际 |
$ | 380,898 | $ | (380,898) | $ | — | $ | — | $ | — | ||||||||||
|
|
|
|
|
|
|
|
|
|
交易对手 |
导数 负债 受制于 MNA作者: 交易对手 |
衍生品 可用 对于偏移 |
(a) |
非现金 抵押品 已承诺 |
现金 抵押品 已承诺 |
净额 衍生品的 负债 |
(b) | |||||||||||||
高盛国际 |
$ | 2,698,232 | $ | (380,898) | $ | — | $ | — | $ | 2,317,334 | ||||||||||
|
|
|
|
|
|
|
|
|
|
(a) |
可用于抵销的衍生品数量限于受多边投资协定约束的衍生品资产和/或负债的数量。 |
(b) |
净额是指在违约情况下应付交易对手的净额。净额可通过资产和负债表上列示的应收/应付期权进一步抵销。 |
1级 |
2级 |
3级 |
总计 |
|||||||||||||
资产 |
||||||||||||||||
投资 |
||||||||||||||||
长期投资 |
||||||||||||||||
资产支持证券 |
$ | — | $ | 68,306,666 | $ | 1,057,838 | $ | 69,364,504 | ||||||||
公司债券 |
— | 1,233,754,561 | 1,250,557 | 1,235,005,118 | ||||||||||||
浮动利率贷款利息 |
— | 64,857,717 | 4,405,325 | 69,263,042 | ||||||||||||
外国机构的义务 |
— | 22,491,658 | — | 22,491,658 | ||||||||||||
市政债券 |
— | 11,227,440 | — | 11,227,440 | ||||||||||||
优先证券 |
||||||||||||||||
资本信托基金 |
— | 136,726,766 | — | 136,726,766 | ||||||||||||
优先股 |
35,087,333 | — | 5,327,131 | 40,414,464 | ||||||||||||
短期证券 |
||||||||||||||||
货币市场基金 |
3,126,037 | — | — | 3,126,037 |
108 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德信用分配收益信托基金 |
1级 |
2级 |
3级 |
总计 |
|||||||||||||
购买的选项 |
||||||||||||||||
股权合同 |
$ | 278,869 | $ | — | $ | — | $ | 278,869 | ||||||||
外币兑换合约。 |
— | 380,898 | — | 380,898 | ||||||||||||
负债 |
||||||||||||||||
无资金来源的浮动利率贷款利息 (a) |
— | (10,503 | ) | (1,030 | ) | (11,533 | ) | |||||||||
|
|
|
|
|
|
|
|
|||||||||
$ | 38,492,239 | $ | 1,537,735,203 | $ | 12,039,821 | $ | 1,588,267,263 | |||||||||
|
|
|
|
|
|
|
|
|||||||||
衍生金融工具 (b) |
||||||||||||||||
资产 |
||||||||||||||||
利率合约 |
$ | 3,165,830 | $ | — | $ | — | $ | 3,165,830 | ||||||||
负债 |
||||||||||||||||
信贷合同 |
— | (4,474,719 | ) | — | (4,474,719 | ) | ||||||||||
外币兑换合约 |
— | (104,982 | ) | — | (104,982 | ) | ||||||||||
利率合约 |
(15,052,389 | ) | (2,593,250 | ) | — | (17,645,639 | ) | |||||||||
|
|
|
|
|
|
|
|
|||||||||
$ | (11,886,559 | ) | $ | (7,172,951 | ) | $ | — | $ | (19,059,510 | ) | ||||||
|
|
|
|
|
|
|
|
(a) |
无资金来源的浮动利率贷款利息按承诺的未实现升值(折旧)计价。 |
(b) |
衍生金融工具是指掉期、期货合约和期权。掉期和期货合约按工具的未实现升值(折旧)计价,所写期权按价值计价。 |
|
||||||||||||||||||||||||
资产担保 证券 |
公司 债券 |
漂浮 利率贷款 利益 |
择优 股票 |
非代理机构 抵押贷款担保 证券 |
总计 |
|||||||||||||||||||
|
||||||||||||||||||||||||
资产 |
||||||||||||||||||||||||
期初余额,截至2021年12月31日 |
$ | 2,330,249 | $ | 1,323,551 | $ | — | $ | 5,263,862 | $ | — | $ | 8,917,662 | ||||||||||||
转到3级 (a) |
— | 203,047 | — | — | — | 203,047 | ||||||||||||||||||
转出级别3 (b) |
(1,000,000 | ) | — | — | — | — | (1,000,000 | ) | ||||||||||||||||
应计折扣/保费 |
— | — | 1,978 | — | — | 1,978 | ||||||||||||||||||
已实现净收益(亏损) |
— | — | (12,715 | ) | — | — | (12,715 | ) | ||||||||||||||||
未实现增值净变化 (折旧) (c)(d) |
(2,998 | ) | (26,922 | ) | (375,864 | ) | 63,269 | (1,030 | ) | (343,545 | ) | |||||||||||||
购买 |
— | — | 5,243,951 | — | — | 5,243,951 | ||||||||||||||||||
销售额 |
(269,413 | ) | (249,119 | ) | (452,025 | ) | — | — | (970,557 | ) | ||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||
期末余额,截至2022年6月30日 |
$ | 1,057,838 | $ | 1,250,557 | $ | 4,405,325 | $ | 5,327,131 | $ | (1,030 | ) | $ | 12,039,821 | |||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||
截至2022年6月30日仍持有的投资未实现增值(折旧)净变化 (d) |
$ | (2,998 | ) | $ | (26,922 | ) | $ | (375,864 | ) | $ | 63,269 | $ | (1,030 | ) | $ | (343,545 | ) | |||||||
|
|
|
|
|
|
|
|
|
|
|
|
(a) |
截至2021年12月31日,信托基金在确定某些投资的价值时使用了可观察到的投入。截至2022年6月30日,信托基金在确定相同投资的价值时使用了大量不可观察到的投入。因此,期初价值的投资在披露层次结构中从第2级转移到第3级。 |
(b) |
截至2021年12月31日,信托基金在确定某些投资的价值时使用了大量不可观察到的投入。截至2022年6月30日,信托基金使用可观察到的投入来确定相同投资的价值。因此,期初价值的投资被从披露层次中的第三级转移到第二级。 |
(c) |
计入营业报表中相关的未实现增值(折旧)净变化。 |
(d) |
截至2022年6月30日仍持有的投资的未实现增值(折旧)净变化与未实现增值(折旧)净变化之间的任何差异,通常是由于在期末不再持有或不再归类为3级的投资。 |
S C H E D U L E O F I N V E S T M E N T S |
109 |
投资明细表 (未经审计) June 30, 2022 |
贝莱德浮动利率收益信托(BGT) (显示的百分比以净资产为基础) |
安防 |
股票 |
价值 |
||||||||||
|
||||||||||||
普通股 |
||||||||||||
汽车零部件-0.0% |
||||||||||||
李尔公司 |
178 | $ | 22,408 | |||||||||
|
|
|||||||||||
建筑与工程-0.0% |
||||||||||||
麦克德莫特国际有限公司 (a) |
76,644 | 43,687 | ||||||||||
|
|
|||||||||||
家用耐用品-0.0% |
||||||||||||
伯克林本奇克拉夫特股权有限责任公司 (b) |
6,155 | — | ||||||||||
|
|
|||||||||||
金属和矿业-0.0% |
||||||||||||
美国锻造集团公司 |
832 | 832 | ||||||||||
Project Investor Holdings LLC,(2/12/19收购,成本:131,156美元) (b)(c) |
7,476 | 621 | ||||||||||
|
|
|||||||||||
1,453 | ||||||||||||
软件-0.0% |
||||||||||||
Avaya Holdings Corp. (a) |
40 | 90 | ||||||||||
|
|
|||||||||||
特色零售-0.2% |
||||||||||||
NMG母公司 |
2,218 | 385,932 | ||||||||||
|
|
|||||||||||
普通股总数-0.2% (Cost: $1,378,110) |
453,570 | |||||||||||
|
|
|||||||||||
帕尔 (000) |
||||||||||||
|
||||||||||||
公司债券 |
| |||||||||||
航空公司-0.3% |
| |||||||||||
爱立信旅游公司,8.50%,02/05/24 (a)(d) |
美元 | 740 | 730,750 | |||||||||
|
|
|||||||||||
汽车零部件-0.1% |
||||||||||||
Clario Global LP,6.75%,05/15/25 (a)(d) |
275 | 272,374 | ||||||||||
|
|
|||||||||||
饮料-0.1% |
||||||||||||
Triton Water Holdings,Inc. 6.25%, 04/01/29 (a)(d) |
252 | 178,920 | ||||||||||
|
|
|||||||||||
建筑材料-0.0% |
||||||||||||
顶峰材料有限责任公司/顶峰材料金融公司,5.25%,1/15/29 (a)(d) |
73 | 63,692 | ||||||||||
|
|
|||||||||||
建筑产品-0.0% |
||||||||||||
White Cap Buyer LLC,6.88%,10/15/28 (a)(d) |
155 | 124,000 | ||||||||||
|
|
|||||||||||
化学品 (a)(d) — 0.1% |
||||||||||||
照明买家有限责任公司/照明控股有限公司,9.00%,07/01/28 |
32 | 25,280 | ||||||||||
WR Grace Holdings LLC,5.63%,08/15/29 |
239 | 175,964 | ||||||||||
|
|
|||||||||||
201,244 | ||||||||||||
建筑材料-0.2% |
||||||||||||
金刚狼托管有限责任公司,9.00%,11/15/26 (a)(d) |
940 | 547,832 | ||||||||||
|
|
|||||||||||
多元化的电讯服务 (a)(d) — 0.1% |
| |||||||||||
Lumen Technologies,Inc.,5.38%,06/15/29 |
246 | 194,777 | ||||||||||
Zayo Group Holdings,Inc.,6.13%,03/01/28 |
155 | 111,927 | ||||||||||
|
|
|||||||||||
306,704 | ||||||||||||
电力公司 (a) — 0.0% |
||||||||||||
Pike Corp., 5.50%, 09/01/28 (d) |
89 | 72,251 | ||||||||||
德克萨斯竞争电力控股公司,1.00%,11/10/21 (b)(e) |
1,050 | — | ||||||||||
|
|
|||||||||||
72,251 | ||||||||||||
电子设备、仪器及部件-0.2% |
||||||||||||
Vertiv Group Corp.,4.13%,2018年11月15日 (a)(d) |
556 | 451,428 | ||||||||||
|
|
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
医疗保健设备和用品-0.1% |
||||||||||||
Avantor Funding,Inc.,3.88%,11/01/29 (a)(d) |
美元 | 231 | $ | 202,044 | ||||||||
|
|
|||||||||||
医疗保健提供者和服务-0.1% |
||||||||||||
Medline借款人LP,5.25%,10/01/29 (a)(d) |
237 | 194,648 | ||||||||||
|
|
|||||||||||
酒店、餐馆和休闲 (a)(d) — 0.1% |
||||||||||||
凯撒娱乐公司,4.63%,10/15/29 |
240 | 186,600 | ||||||||||
费尔蒂塔娱乐有限责任公司/费尔蒂塔娱乐金融公司,6.75%,01/15/30 |
235 | 180,362 | ||||||||||
|
|
|||||||||||
366,962 | ||||||||||||
家居用品-0.0% |
||||||||||||
伯克林本奇克拉夫特公司,4.50%,06/01/22 (a)(b)(e)(f) |
400 | — | ||||||||||
|
|
|||||||||||
保险--0.1% |
||||||||||||
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer,6.75%,2010年10月15日 (a)(d) |
220 | 195,224 | ||||||||||
|
|
|||||||||||
互联网软件和服务 (a)(d) — 0.1% |
||||||||||||
优步技术公司 |
||||||||||||
6.25%, 01/15/28 |
137 | 126,703 | ||||||||||
4.50%, 08/15/29 |
235 | 193,288 | ||||||||||
|
|
|||||||||||
319,991 | ||||||||||||
机械--0.2% |
||||||||||||
Madison IAQ LLC,5.88%,06/30/29 (a)(d) |
742 | 568,609 | ||||||||||
|
|
|||||||||||
媒体 (a)(d) — 0.3% |
||||||||||||
Liberty Broadband Corp.,2.75%,09/30/50 |
315 | 299,622 | ||||||||||
Ligado Networks LLC, (15.50% PIK), 15.50%, 11/01/23 (g) |
139 | 71,973 | ||||||||||
Radiate Holdco LLC/Radiate Finance,Inc.,4.50%,09/15/26 |
353 | 304,385 | ||||||||||
|
|
|||||||||||
675,980 | ||||||||||||
石油、天然气和消耗性燃料-0.1% |
||||||||||||
西方石油公司,6.63%,09/01/30 (a) |
382 | 393,460 | ||||||||||
|
|
|||||||||||
房地产管理与开发-0.0% |
| |||||||||||
Realology Group LLC/Realology Co-Issuer Corp.,5.75%,1/15/29 (a)(d) |
165 | 125,123 | ||||||||||
|
|
|||||||||||
无线电信服务-0.0% |
| |||||||||||
Vici Properties LP/Vici Note Co.,Inc.,4.63%,06/15/25 (a)(d) |
85 | 80,856 | ||||||||||
|
|
|||||||||||
公司债券总额-2.2% (Cost: $7,135,977) |
6,072,092 | |||||||||||
|
|
|||||||||||
浮动利率贷款利息 (f) |
| |||||||||||
航空航天和国防-5.3% |
| |||||||||||
阿特拉斯CC收购公司 |
||||||||||||
Term Loan B, (3 mo. LIBOR + 4.25%, 0.75% Floor), 5.82%, 05/25/28 |
3,335 | 3,074,182 | ||||||||||
Term Loan C, (3 mo. LIBOR + 4.25%, 0.75% Floor), 5.82%, 05/25/28 |
678 | 625,257 | ||||||||||
Bleriot美国Bidco,Inc.,2021年定期贷款B,(3个月Libor+4.00%),6.25%,10/31/26 |
441 | 426,892 | ||||||||||
Cobham Ultra U.S.联合借款人有限责任公司,美元定期贷款B,11/17/28 (h) |
230 | 218,309 | ||||||||||
王朝收购公司。 |
||||||||||||
2020 CAD Term Loan B2, (1 mo. LIBOR + 3.50%), 5.17%, 04/06/26 |
1,239 | 1,139,726 | ||||||||||
2020 Term Loan B1, (1 mo. LIBOR + 3.50%), 5.17%, 04/06/26 |
2,305 | 2,119,890 |
110 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德浮动利率收益信托(BGT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
航空航天与国防(续) |
||||||||||||
诺达姆集团,定期贷款B,(1个月Libor+5.50%),7.19%,04/09/26 |
美元 | 457 | $ | 377,201 | ||||||||
佩拉顿公司 |
||||||||||||
2nd Lien Term Loan B1, (1 mo. LIBOR + 7.75%, 0.75% Floor), 9.00%, 02/01/29 |
1,048 | 972,521 | ||||||||||
Term Loan B, (1 mo. LIBOR + 3.75%, 0.75% Floor), 5.42%, 02/01/28 |
3,529 | 3,306,140 | ||||||||||
SPIRIT航空系统公司,2021年定期贷款B,(1个月Libor+3.75%),5.42%,01/15/25 |
608 | 591,218 | ||||||||||
TransDigm, Inc., 2020 Term Loan F, (1 mo. LIBOR + 2.25%), 3.92%, 12/09/25 |
1,557 | 1,472,695 | ||||||||||
|
|
|||||||||||
14,324,031 | ||||||||||||
航空货运和物流-0.4% |
||||||||||||
AIT全球物流控股公司,2021年定期贷款,(3个月Libor+4.75%,0.75%下限),5.72%,04/06/28 |
359 | 323,656 | ||||||||||
Kestrel Bidco,Inc.,定期贷款B,(3个月Libor+3.00%,下限1.00%),5.03%,12/11/26 |
256 | 228,784 | ||||||||||
PECF USS Intermediate Holding III Corp.,定期贷款B,(1个月Libor+4.25%),5.92%,12/15/28 |
595 | 535,633 | ||||||||||
|
|
|||||||||||
1,088,073 | ||||||||||||
航空公司-3.0% |
||||||||||||
AAdvantage忠诚IP有限公司,2021定期贷款,(3个月Libor+4.75%,0.75%下限),5.81%,04/20/28 |
1,009 | 960,898 | ||||||||||
Air Canada, 2021 Term Loan B, (3 mo. LIBOR + 3.50%, 0.75% Floor), 4.25%, 08/11/28 (b) |
1,261 | 1,157,059 | ||||||||||
美国航空公司 |
||||||||||||
2017 1st Lien Term Loan, (1 mo. LIBOR + 1.75%), 3.40%, 01/29/27 |
633 | 555,820 | ||||||||||
2017 Incremental Term Loan, (6 mo. LIBOR + 2.00%), 2.84%, 12/15/23 |
961 | 927,156 | ||||||||||
2018 Term Loan B, (1 mo. LIBOR + 1.75%), 3.37%, 06/27/25 |
309 | 273,432 | ||||||||||
Mileage Plus Holdings LLC,2020定期贷款B,(3个月Libor+5.25%,1.00%下限),7.31%,06/21/27 |
2,132 | 2,102,188 | ||||||||||
联合航空公司,2021年定期贷款B,(1个月Libor+3.75%,0.75%下限),5.39%,04/21/28 |
2,283 | 2,116,160 | ||||||||||
|
|
|||||||||||
8,092,713 | ||||||||||||
汽车零部件-2.8% |
||||||||||||
Adient U.S. LLC, 2021 Term Loan B, (1 mo. LIBOR + 3.25%), 4.92%, 04/10/28 |
503 | 466,876 | ||||||||||
Clario Global LP,2021美元定期贷款B,(1个月Libor+3.25%),4.92%,04/30/26 |
2,248 | 2,093,503 | ||||||||||
Truck Hero, Inc., 2021 Term Loan B, (1 mo. LIBOR + 3.50%, 0.75% Floor), 5.17%, 01/31/28 |
1,253 | 1,117,914 | ||||||||||
USI,Inc. |
||||||||||||
2017 Repriced Term Loan, (3 mo. LIBOR + 3.00%), 5.25%, 05/16/24 |
2,324 | 2,224,174 | ||||||||||
2019 Incremental Term Loan B, (3 mo. LIBOR + 3.25%), 5.50%, 12/02/26 |
133 | 122,327 | ||||||||||
Wand NewCo 3, Inc., 2020 Term Loan, (1 mo. LIBOR + 3.00%), 4.67%, 02/05/26 |
1,589 | 1,471,303 | ||||||||||
|
|
|||||||||||
7,496,097 |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
Banks — 0.9% |
||||||||||||
DirecTV融资有限责任公司,定期贷款,(1个月Libor+5.00%,0.75%下限),6.67%,08/02/27 |
美元 | 1,538 | $ | 1,411,891 | ||||||||
LABL, Inc., 2021 USD 1st Lien Term Loan, (1 mo. LIBOR + 5.00%), 6.67%, 10/29/28 |
995 | 917,062 | ||||||||||
|
|
|||||||||||
2,328,953 | ||||||||||||
饮料-0.8% |
||||||||||||
裸露果汁有限责任公司 |
||||||||||||
2nd Lien Term Loan, (SOFR + 6.00%), 8.15%, 01/24/30 (b) |
726 | 653,648 | ||||||||||
Term Loan, (SOFR + 3.25%), 5.40%, 01/24/29 |
1,568 | 1,456,319 | ||||||||||
|
|
|||||||||||
2,109,967 | ||||||||||||
建材--0.1% |
||||||||||||
基石建筑品牌公司,2021年定期贷款B,(1个月Libor+3.25%,),4.57%,04/12/28 |
260 | 214,453 | ||||||||||
MI Window&Doors LLC,2022年定期贷款,(SOFR+3.50%),5.13%,12/18/27 |
— | (i) |
407 | |||||||||
|
|
|||||||||||
214,860 | ||||||||||||
建筑产品-1.8% |
||||||||||||
CP Atlas Buyer, Inc., 2021 Term Loan B, (1 mo. LIBOR + 3.75%), 5.42%, 11/23/27 |
909 | 795,919 | ||||||||||
CPG International LLC,2022年定期贷款B,(SOFR+2.50%),4.09%,04/28/29 (b) |
483 | 446,775 | ||||||||||
Jeld-Wen, Inc., 2021 Term Loan B, (1 mo. LIBOR + 2.25%), 3.92%, 07/28/28 |
508 | 480,774 | ||||||||||
New AMI I LLC, 2022 Term Loan B, (SOFR + 6.00%), 7.52%, 03/08/29 |
525 | 477,310 | ||||||||||
标准工业公司,2021年定期贷款B,(6个月Libor+2.50%),3.79%,09/22/28 |
1,002 | 966,015 | ||||||||||
Wilsonart LLC, 2021 Term Loan E, (3 mo. LIBOR + 3.25%, 1.00% Floor), 5.51%, 12/31/26 |
1,966 | 1,736,251 | ||||||||||
|
|
|||||||||||
4,903,044 | ||||||||||||
资本市场-3.4% |
||||||||||||
AqGen Asccount,Inc.,2021第二留置权定期贷款,(3个月Libor+6.50%),7.50%,08/02/29 (b) |
1,663 | 1,546,346 | ||||||||||
迪尔菲尔德达科他控股有限责任公司 |
||||||||||||
2020 USD Term Loan B, (SOFR + 3.75%, 1.00% Floor), 5.28%, 04/09/27 |
3,811 | 3,558,730 | ||||||||||
2021 USD 2nd Lien Term Loan, (1 mo. LIBOR + 6.75%, 0.75% Floor), 8.42%, 04/07/28 |
1,114 | 1,080,580 | ||||||||||
鹰宽带投资有限责任公司,定期贷款,(3个月Libor+3.00%,0.75%下限),5.31%,11/12/27 |
938 | 881,188 | ||||||||||
FinCo I LLC, 2020 Term Loan B, (1 mo. LIBOR + 2.50%), 4.17%, 06/27/25 |
508 | 483,068 | ||||||||||
Focus Financial Partners LLC,2021年定期贷款B4,(1个月Libor+2.50%),4.17%,06/30/28 |
911 | 870,760 | ||||||||||
Greenhill&Co.,Inc.,定期贷款B,(1个月Libor+3.25%),4.92%,04/12/24 |
721 | 707,533 | ||||||||||
|
|
|||||||||||
9,128,205 | ||||||||||||
化学品-5.4% |
||||||||||||
Ascend Performance Material Operations LLC,2021定期贷款B,(3个月Libor+4.75%,0.75%下限),7.00%,08/27/26 |
1,567 | 1,523,412 | ||||||||||
Atotech BV, 2021 USD Term Loan B, (1 mo. LIBOR + 2.50%), 4.17%, 03/18/28 |
2,134 | 2,033,882 | ||||||||||
Axalta Coating Systems美国控股公司,美元定期贷款B3,(3个月Libor+1.75%),4.00%,06/01/24 |
431 | 419,375 | ||||||||||
CPC收购公司,定期贷款,(3个月Libor+3.75%),6.00%,12/29/27 |
451 | 392,994 |
S C H E D U L E O F I N V E S T M E N T S |
111 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德浮动利率收益信托(BGT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
化学品(续) |
||||||||||||
元素材料科技集团美国控股公司,2017美元定期贷款B,6/28/24 |
美元 | 709 | $ | 682,174 | ||||||||
Element Solutions,Inc.,2019年定期贷款B1,(1个月Libor+2.00%),3.67%,01/31/26 |
1,229 | 1,210,497 | ||||||||||
照明买方有限责任公司,2021年定期贷款,(1个月。Libor+3.50%),5.17%,06/30/27 |
862 | 794,770 | ||||||||||
龙沙集团,美元定期贷款B,(3个月。Libor+4.00%,0.75%下限),6.25%,07/03/28 |
665 | 592,246 | ||||||||||
Messer Industries GmbH,2018美元定期贷款,(3个月Libor+2.50%),4.75%,03/02/26 |
1,506 | 1,434,335 | ||||||||||
矿物技术公司,2017年定期贷款B,(1个月Libor+2.25%),3.87%,02/14/24 |
262 | 261,276 | ||||||||||
记忆性能材料公司,定期贷款B,(1个月Libor+3.25%),4.92%,05/15/24 |
928 | 895,144 | ||||||||||
Oxea Holding Drei GmbH,2017美元定期贷款B2,(1个月Libor+3.25%),4.38%,10/14/24 |
1,066 | 983,794 | ||||||||||
PQ Corp., 2021 Term Loan B, (3 mo. LIBOR + 2.50%), 3.74%, 06/09/28 |
1,072 | 1,022,582 | ||||||||||
Pregis TopCo Corp.,2021年增量定期贷款,(1个月Libor+4.00%),5.67%,07/31/26 |
434 | 408,887 | ||||||||||
SCIH Salt Holdings,Inc.,2021年增量定期贷款B,(6个月Libor+4.00%,0.75%下限),4.75%,03/16/27 |
653 | 581,307 | ||||||||||
斯巴达美国Holdco LLC,2021年定期贷款,(1个月Libor+3.50%,0.75%下限),4.62%,08/02/28 (b) |
1,020 | 971,274 | ||||||||||
杨桃金融公司,2018年美元定期贷款B,(3个月Libor+3.00%),5.25%,10/01/25 |
99 | 92,981 | ||||||||||
WR Grace Holdings LLC,2021年定期贷款B,(3个月Libor+3.75%),6.06%,09/22/28 |
332 | 314,550 | ||||||||||
|
|
|||||||||||
14,615,480 | ||||||||||||
商业服务和用品-6.2% |
||||||||||||
联合环球控股有限责任公司,2021美元增量定期贷款B,(1个月Libor+3.75%),5.42%,05/12/28 |
1,621 | 1,482,705 | ||||||||||
Amentum政府服务控股有限责任公司,2022年定期贷款,(SOFR+4.00%),5.30%,02/15/29 |
488 | 463,297 | ||||||||||
Aramark Services,Inc.,2018年定期贷款B3,(1个月Libor+1.75%),3.42%,03/11/25 |
95 | 91,194 | ||||||||||
Asurion LLC |
||||||||||||
2018 Term Loan B6, (1 mo. LIBOR + 3.12%), 4.79%, 11/03/23 |
830 | 795,966 | ||||||||||
2018 Term Loan B7, (1 mo. LIBOR + 3.00%), 4.67%, 11/03/24 |
694 | 649,312 | ||||||||||
2020 Term Loan B8, (1 mo. LIBOR + 3.25%), 4.92%, 12/23/26 |
485 | 438,693 | ||||||||||
2021 2nd Lien Term Loan B3, (1 mo. LIBOR + 5.25%), 6.92%, 01/31/28 |
689 | 585,397 | ||||||||||
2021 2nd Lien Term Loan B4, (1 mo. LIBOR + 5.25%), 6.92%, 01/20/29 |
984 | 831,480 | ||||||||||
Clean Harbors,Inc.,2021年增量定期贷款B,(1个月Libor+2.00%),3.67%,10/08/28 |
432 | 427,512 | ||||||||||
卡万塔控股公司 |
||||||||||||
2021 Term Loan B, (1 mo. LIBOR + 2.50%), 4.17%, 11/30/28 |
703 | 663,019 | ||||||||||
2021 Term Loan C, 11/30/28 |
53 | 49,789 | ||||||||||
创意艺术家代理有限责任公司,2020年增量定期贷款B1,(1个月Libor+4.25%,1.00%下限),5.88%,11/27/26 |
1,201 | 1,135,717 |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
商业服务与用品(续) |
| |||||||||||
Dealer Tire LLC, 2020 Term Loan B, (1 mo. LIBOR + 4.25%), 5.92%, 12/12/25 |
美元 | 1,572 | $ | 1,496,951 | ||||||||
EnergySolutions LLC,2018年定期贷款B,(3个月Libor+3.75%,下限1.00%),6.00%,05/09/25 |
319 | 294,913 | ||||||||||
包装控股有限责任公司,2021年定期贷款,(1个月Libor+3.25%,0.75%下限),4.44%,03/09/28 |
1,036 | 946,127 | ||||||||||
Prime Security Services借款人有限责任公司,2021年定期贷款,(3个月Libor+2.75%,0.75%下限),3.65%,09/23/26 |
1,218 | 1,134,002 | ||||||||||
天宝收购有限责任公司,2022年定期贷款B,(SOFR+3.00%),4.53%,08/31/28 |
2,977 | 2,817,163 | ||||||||||
Vericast Corp., 2021 Term Loan, (3 mo. LIBOR + 7.75%, 1.00% Floor), 10.00%, 06/16/26 |
207 | 160,353 | ||||||||||
Verscend Holding Corp.,2021年定期贷款B,(1个月Libor+4.00%),5.67%,08/27/25 |
1,928 | 1,841,425 | ||||||||||
Viad Corp.,初始定期贷款,(1个月。Libor+5.00%),6.67%,07/30/28 |
485 | 453,786 | ||||||||||
|
|
|||||||||||
16,758,801 | ||||||||||||
通信设备-0.5% |
||||||||||||
ViaSat, Inc., Term Loan, (SOFR + 4.50%), 6.14%, 03/02/29 |
1,560 | 1,448,878 | ||||||||||
|
|
|||||||||||
建筑与工程-2.2% |
||||||||||||
Brand Energy&Infrastructure Services,Inc.,2017年定期贷款,(3个月Libor+4.25%,1.00%下限),5.40%,06/21/24 |
2,477 | 2,134,234 | ||||||||||
新Arclin美国控股公司,2021年第二留置权定期贷款,(1个月Libor+7.00%),8.67%,09/30/29 (b) |
572 | 539,110 | ||||||||||
派克公司,2021年增量定期贷款B,(1个月Libor+3.00%),4.67%,01/21/28 |
644 | 611,036 | ||||||||||
SRS分销公司,2021年定期贷款B,(3个月Libor+3.50%),4.02%,06/02/28 |
1,720 | 1,582,936 | ||||||||||
USIC Holdings, Inc., 2021 Term Loan, (1 mo. LIBOR + 3.50%, 0.75% Floor), 5.17%, 05/12/28 |
1,085 | 1,007,261 | ||||||||||
|
|
|||||||||||
5,874,577 | ||||||||||||
建筑材料-1.6% |
||||||||||||
Core & Main LP, 2021 Term Loan B, (1 mo. LIBOR + 2.50%), 4.12%, 07/27/28 |
2,540 | 2,414,356 | ||||||||||
过滤集团公司,2018年第一笔留置权定期贷款,(1个月Libor+3.00%),4.67%,03/29/25 |
1,471 | 1,390,063 | ||||||||||
Tamko建筑产品有限责任公司,定期贷款B,(3个月。Libor+3.00%),4.33%,06/01/26 |
536 | 500,217 | ||||||||||
|
|
|||||||||||
4,304,636 | ||||||||||||
集装箱和包装-1.6% |
||||||||||||
BWAY Holding Co.,2017年定期贷款B,(1周LIBOR+3.25%),4.31%,04/03/24 |
1,478 | 1,386,813 | ||||||||||
Charge Next Generation,Inc.,2021年定期贷款,(1个月Libor+3.75%,0.75%下限),5.42%,12/01/27 |
1,419 | 1,332,561 | ||||||||||
Pregis TopCo Corp.,第一笔留置权定期贷款,(1个月Libor+4.00%),5.67%,07/31/26 |
381 | 359,326 | ||||||||||
托斯卡服务有限责任公司,2021年定期贷款,(1个月Libor+3.50%,0.75%下限),5.17%,08/18/27 |
729 | 646,939 |
112 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德浮动利率收益信托(BGT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
容器与包装(续) |
||||||||||||
三叉戟TPI控股公司 |
||||||||||||
2021 Delayed Draw Term Loan, (3 mo. LIBOR + 4.00%), 5.60%, 09/15/28 |
美元 | 55 | $ | 51,899 | ||||||||
2021 Incremental Term Loan, (3 mo. LIBOR + 4.00%), 6.25%, 09/15/28 |
622 | 582,090 | ||||||||||
|
|
|||||||||||
4,359,628 | ||||||||||||
总代理商-1.0% |
||||||||||||
美国建筑商和承包商供应公司,2019年定期贷款,(1个月Libor+2.00%),3.67%,01/15/27 |
736 | 695,083 | ||||||||||
TMK鹰牌母公司 (b) |
||||||||||||
2020超级优先优先定期贷款A,(1个月Libor+10.50%,1.00%下限),11.17%,05/30/24 |
592 | 550,161 | ||||||||||
2020年8月28日超级优先二次定期贷款B |
1,900 | 1,444,197 | ||||||||||
|
|
|||||||||||
2,689,441 | ||||||||||||
多元化消费服务--3.6% |
||||||||||||
2U, Inc., Term Loan, (3 mo. LIBOR + 5.75%), 8.00%, 12/30/24 |
884 | 843,553 | ||||||||||
Ascend Learning LLC |
||||||||||||
2021 2nd Lien Term Loan, (1 mo. LIBOR + 5.75%), 7.42%, 12/10/29 (b) |
482 | 441,030 | ||||||||||
2021 Term Loan, (1 mo. LIBOR + 3.50%), 5.17%, 12/11/28 |
1,191 | 1,097,223 | ||||||||||
Bright Horizons Family Solutions LLC,2021定期贷款B,(1个月Libor+2.25%),3.92%,11/24/28 (b) |
575 | 547,792 | ||||||||||
Genuine Financial Holdings LLC,2018第一笔留置权定期贷款,(1个月Libor+3.75%),5.42%,07/11/25 |
1,388 | 1,317,079 | ||||||||||
Midas Intermediate Holdco II LLC,2020年定期贷款B,(Prime+5.75%),10.50%,12/22/25 |
1,916 | 1,793,213 | ||||||||||
Nomad Foods Europe Midco Ltd.,2017美元定期贷款B4,(3个月Libor+2.25%),3.66%,05/15/24 |
686 | 659,118 | ||||||||||
Okta, Inc., Term Loan, (SOFR + 6.25%), 7.63%, 12/15/26 |
539 | 455,252 | ||||||||||
PAI Holdco, Inc., 2020 Term Loan B, (3 mo. LIBOR + 3.50%, 0.75% Floor), 4.99%, 10/28/27 |
433 | 407,189 | ||||||||||
Serta Simmons床上用品有限责任公司 |
||||||||||||
2020超级优先优先定期贷款,(1个月Libor+7.50%),9.01%,08/10/23 |
287 | 278,296 | ||||||||||
2020超级优先第二期定期贷款,(1个月Libor+7.50%,1.00%下限),9.01%,08/10/23 |
452 | 315,441 | ||||||||||
Sotheby’s, 2021 Term Loan B, (3 mo. LIBOR + 4.50%), 5.54%, 01/15/27 |
1,100 | 1,050,617 | ||||||||||
澳大利亚航海私人有限公司。有限公司,美元定期贷款B,(3个月Libor+3.50%),4.56%,07/20/28 |
458 | 426,947 | ||||||||||
|
|
|||||||||||
9,632,750 | ||||||||||||
多元化金融服务-8.1% |
||||||||||||
Advisor Group,Inc.,2021年定期贷款,(1个月Libor+4.50%),6.17%,07/31/26 |
630 | 598,249 | ||||||||||
炼金术版权有限责任公司,定期贷款B,(1个月。Libor+3.00%),4.06%,03/10/28 (b) |
521 | 501,217 | ||||||||||
AlixPartners LLP,2021美元定期贷款B,(1个月Libor+2.75%),4.42%,02/04/28 |
1,073 | 1,017,803 | ||||||||||
AqGen Island Holdings,Inc.定期贷款,(3个月Libor+3.50%),5.81%,08/02/28 (b) |
2,197 | 2,043,334 | ||||||||||
Castlelake航空有限公司,定期贷款B,(3个月Libor+2.75%),4.58%,10/22/26 |
1,440 | 1,374,531 |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
多元化金融服务(续) |
||||||||||||
Cogeco融资2 LP,2021年增量定期贷款B,(1个月。Libor+2.50%),4.17%,09/01/28 |
美元 | 990 | $ | 942,464 | ||||||||
Delta TopCo,Inc. |
||||||||||||
2020 2nd Lien Term Loan, (3 mo. LIBOR + 7.25%, 0.75% Floor), 9.34%, 12/01/28 (b) |
412 | 350,200 | ||||||||||
2020 Term Loan B, (3 mo. LIBOR + 3.75%, 0.75% Floor), 5.84%, 12/01/27 |
1,071 | 967,647 | ||||||||||
例如美国有限责任公司,2018年美元定期贷款,(3个月Libor+4.00%),6.25%,02/07/25 |
558 | 522,975 | ||||||||||
Gainwell收购公司,定期贷款B,(3个月。Libor+4.00%,0.75%下限),6.25%,10/01/27 |
1,919 | 1,810,577 | ||||||||||
I-Logic Technologies Bidco Ltd.,2021美元定期贷款B,(SOFR+4.00%),6.20%,02/16/28 |
263 | 247,569 | ||||||||||
Kingpin Intermediate Holdings LLC,2018年定期贷款B,(1个月Libor+3.50%,下限1.00%),5.17%,07/03/24 |
1,029 | 979,695 | ||||||||||
KKR Apple Bidco LLC |
||||||||||||
2021 2nd Lien Term Loan, (1 mo. LIBOR + 5.75%), 7.42%, 09/21/29 |
153 | 145,924 | ||||||||||
2021 Term Loan, (1 mo. LIBOR + 2.75%), 4.42%, 09/23/28 |
373 | 351,514 | ||||||||||
LBM收购有限责任公司,定期贷款B,(1个月Libor+3.75%,0.75%下限),5.42%,12/18/27 |
1,438 | 1,175,176 | ||||||||||
Leb Holdings USA,Inc.,定期贷款B,(1个月Libor+3.75%,0.75%下限),5.42%,11/02/27 |
151 | 147,670 | ||||||||||
Oscar Acquisitionco LLC,定期贷款B,(SOFR+4.50%),6.11%,04/29/29 |
683 | 606,162 | ||||||||||
Radiate Holdco LLC,2021定期贷款B,(1个月Libor+3.25%,0.75%下限),4.92%,09/25/26 |
1,350 | 1,252,364 | ||||||||||
RVR经销商控股有限公司,定期贷款B,(SOFR+3.75%),5.17%,02/08/28 |
453 | 379,503 | ||||||||||
塞坦塔飞机租赁指定活动公司,定期贷款B,(3个月。Libor+2.00%),4.25%,11/05/28 |
826 | 784,014 | ||||||||||
SMG U.S. Midco 2, Inc., 2020 Term Loan, (1 mo. LIBOR + 2.50%), 4.17%, 01/23/25 |
944 | 878,048 | ||||||||||
宋承宪集团控股有限公司,2018年第一笔留置权定期贷款,(3个月Libor+4.25%),6.50%,07/30/25 |
620 | 575,990 | ||||||||||
Veritas U.S., Inc., 2021 USD Term Loan B, (3 mo. LIBOR + 5.00%, 1.00% Floor), 7.25%, 09/01/25 |
2,295 | 1,872,368 | ||||||||||
VS买方有限责任公司,定期贷款B,(1个月Libor+3.00%),4.67%,02/28/27 |
908 | 852,337 | ||||||||||
白色资本买家有限责任公司,定期贷款B,(SOFR+3.75%),5.28%,10/19/27 |
759 | 696,848 | ||||||||||
Ziggo融资伙伴关系,美元定期贷款I,(1个月。Libor+2.50%),3.82%,04/30/28 |
1,003 | 933,101 | ||||||||||
|
|
|||||||||||
22,007,280 | ||||||||||||
多元化电信服务--2.2% |
||||||||||||
Cablevision LightPath LLC,定期贷款B,(1个月Libor+3.25%),4.57%,11/30/27 |
351 | 329,841 | ||||||||||
联合通信公司,2021年定期贷款B,(1个月Libor+3.50%),5.19%,10/02/27 |
497 | 438,144 | ||||||||||
边疆通信公司,2021年DIP定期贷款B,(3个月。Libor+3.75%,0.75%下限),6.06%,05/01/28 |
1,222 | 1,141,231 | ||||||||||
Ir卫星有限责任公司,2021年定期贷款B2,(1个月Libor+2.50%,0.75%下限),4.17%,11/04/26 |
1,192 | 1,141,387 |
S C H E D U L E O F I N V E S T M E N T S |
113 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德浮动利率收益信托(BGT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
多元化电信服务(续) |
| |||||||||||
3级融资,Inc.,2019年定期贷款B,(1个月Libor+1.75%),3.42%,03/01/27 |
美元 | 1,183 | $ | 1,093,148 | ||||||||
子午线胶粘剂集团有限公司,定期贷款B,(3个月Libor+4.00%),4.75%,07/24/28 |
1,251 | 1,180,362 | ||||||||||
维珍媒体SFA金融有限公司,英镑定期贷款L,4.19%,27年1月15日 |
英镑 | 600 | 659,285 | |||||||||
|
|
|||||||||||
5,983,398 | ||||||||||||
电力公用事业-0.9% |
||||||||||||
ExGen Renewables IV LLC,2020定期贷款,(3个月Libor+2.50%,1.00%下限),4.08%,12/15/27 |
美元 | 772 | 742,771 | |||||||||
Triton Water Holdings,Inc.,定期贷款,(3个月Libor+3.50%),5.75%,03/31/28 |
1,994 | 1,758,348 | ||||||||||
|
|
|||||||||||
2,501,119 | ||||||||||||
电气设备-1.3% |
||||||||||||
Arcline FM Holdings LLC,2021年第一笔留置权定期贷款,(6个月Libor+4.75%,0.75%下限),7.63%,06/23/28 (b) |
947 | 887,667 | ||||||||||
AZZ, Inc., Term Loan B, (SOFR + 4.25%), 5.88%, 05/13/29 (b) |
203 | 193,358 | ||||||||||
Gates Global LLC, 2021 Term Loan B3, (1 mo. LIBOR + 2.50%, 0.75% Floor), 4.17%, 03/31/27 |
1,499 | 1,411,477 | ||||||||||
II-VI,Inc.,2021年桥梁定期贷款B,07/02/29 (h) |
1,070 | 1,023,187 | ||||||||||
|
|
|||||||||||
3,515,689 | ||||||||||||
环境、维护和安全服务-0.7% |
||||||||||||
Asplundh Tree Expert LLC,2021年定期贷款B,(1个月。Libor+1.75%),3.42%,09/07/27 |
1,217 | 1,171,732 | ||||||||||
TruGreen LP, 2020 Term Loan, (1 mo. LIBOR + 4.00%, 0.75% Floor), 5.67%, 11/02/27 |
750 | 711,523 | ||||||||||
|
|
|||||||||||
1,883,255 | ||||||||||||
股权房地产投资信托基金(REITs)-0.2% |
||||||||||||
RHP Hotel Properties LP,2017年定期贷款B,(1个月Libor+2.00%),3.67%,05/11/24 |
612 | 600,260 | ||||||||||
|
|
|||||||||||
食品和史泰博零售业-0.4% |
||||||||||||
美国食品公司 |
||||||||||||
2019 Term Loan B, (3 mo. LIBOR + 2.00%), 3.57%, 09/13/26 |
755 | 710,325 | ||||||||||
2021 Term Loan B, (3 mo. LIBOR + 2.75%), 4.32%, 11/22/28 |
463 | 439,644 | ||||||||||
|
|
|||||||||||
1,149,969 | ||||||||||||
食品-2.2% |
||||||||||||
第八大道食品和用品公司 |
||||||||||||
2018 1st Lien Term Loan, (1 mo. LIBOR + 3.75%), 5.42%, 10/01/25 |
737 | 618,221 | ||||||||||
2021 Incremental Term Loan, (1 mo. LIBOR + 4.75%), 6.42%, 10/01/25 |
944 | 797,774 | ||||||||||
Chobani LLC, 2020 Term Loan B, (1 mo. LIBOR + 3.50%, 1.00% Floor), 5.17%, 10/25/27 |
1,207 | 1,091,848 | ||||||||||
Froneri International Ltd.,2020美元定期贷款,(1个月Libor+2.25%),3.92%,01/29/27 |
2,190 | 2,010,448 | ||||||||||
雷诺集团控股公司,2020年定期贷款B2,(1个月Libor+3.25%),4.92%,02/05/26 |
248 | 230,525 |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
食品(续) |
||||||||||||
Sovos Brands Intermediate,Inc.,2021年定期贷款,(3个月Libor+3.50%,0.75%下限),4.25%,06/08/28 |
美元 | 939 | $ | 883,870 | ||||||||
Utz Quality Foods LLC,2021年定期贷款B,(1个月Libor+3.00%),4.67%,01/20/28 |
424 | 403,039 | ||||||||||
|
|
|||||||||||
6,035,725 | ||||||||||||
天然气公用事业-0.7% |
||||||||||||
自由港液化天然气投资有限公司,定期贷款B,(3个月Libor+3.50%),4.56%,12/21/28 |
2,068 | 1,782,013 | ||||||||||
|
|
|||||||||||
医疗保健设备和用品-1.7% |
| |||||||||||
电子Bidco,Inc.,2021年11月1日定期贷款 |
1,358 | 1,268,737 | ||||||||||
Insulet Corp.,定期贷款B,(1个月Libor+3.25%),4.92%,05/04/28 |
474 | 449,314 | ||||||||||
Medline借款人LP,美元定期贷款B,(1个月。Libor+3.25%),4.92%,10/23/28 |
2,695 | 2,495,277 | ||||||||||
Venga Finance SARL,2021美元定期贷款B,12/04/28 (b)(h) |
402 | 373,601 | ||||||||||
|
|
|||||||||||
4,586,929 | ||||||||||||
医疗保健提供者和服务-3.2% |
||||||||||||
CCRR母公司,定期贷款B,(3个月Libor+3.75%),6.01%,03/06/28 |
1,005 | 950,989 | ||||||||||
CHG Healthcare Services,Inc.,2021年定期贷款,(3个月Libor+3.25%),4.75%,09/29/28 |
634 | 598,375 | ||||||||||
达芬奇买家公司,2019年定期贷款,(3个月。Libor+4.00%,下限1.00%),6.25%,01/08/27 |
898 | 848,190 | ||||||||||
EnVision Healthcare Corp.,2018年第一笔留置权定期贷款,(1个月Libor+3.75%),5.42%,10/10/25 |
1,184 | 389,537 | ||||||||||
眼部护理合作伙伴有限责任公司 |
||||||||||||
2020 Term Loan, (3 mo. LIBOR + 3.75%), 6.00%, 02/18/27 |
1,040 | 959,153 | ||||||||||
2021 2nd Lien Term Loan, (3 mo. LIBOR + 6.75%), 9.00%, 11/15/29 |
358 | 338,595 | ||||||||||
2021 Incremental Term Loan, (3 mo. LIBOR + 3.75%), 6.00%, 11/15/28 |
332 | 305,116 | ||||||||||
股骨买家公司,第一留置权定期贷款,(3个月。Libor+4.50%),6.75%,03/05/26 |
647 | 562,960 | ||||||||||
Orbcomm, Inc., Term Loan B, (1 mo. LIBOR + 4.25%), 5.92%, 09/01/28 |
540 | 497,996 | ||||||||||
宠物护理中心有限责任公司,2021年定期贷款B3,(1个月Libor+3.50%),5.17%,02/14/25 |
32 | 30,576 | ||||||||||
Sotera Health Holdings LLC,2021年定期贷款,(1个月Libor+2.75%),4.42%,12/11/26 |
1,564 | 1,483,845 | ||||||||||
Vizient, Inc., 2022 Term Loan B, (SOFR + 2.25%), 3.68%, 04/28/29 |
209 | 207,171 | ||||||||||
WP CityMD Bidco LLC,2021年第一笔留置权定期贷款B,(3个月Libor+3.25%),5.50%,12/22/28 |
1,513 | 1,421,886 | ||||||||||
|
|
|||||||||||
8,594,389 | ||||||||||||
医疗保健服务--0.3% |
||||||||||||
杜鹃花Topco,Inc.定期贷款,(3个月Libor+3.50%),4.74%,07/24/26 |
600 | 560,500 | ||||||||||
医疗解决方案控股公司,2021年第二笔留置权定期贷款,(3个月伦敦银行同业拆息+7.00%),9.88%,11/01/29 |
377 | 346,840 | ||||||||||
|
|
|||||||||||
907,340 | ||||||||||||
医疗保健技术-3.2% |
||||||||||||
AthenaHealth,Inc.,2022年定期贷款B,(SOFR+3.50%),5.01%,02/15/29 |
1,783 | 1,636,674 |
114 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德浮动利率收益信托(BGT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
医疗保健技术(续) |
||||||||||||
Change Healthcare Holdings LLC,2017定期贷款B,(1个月Libor+2.50%,下限1.00%),4.17%,03/01/24 |
美元 | 852 | $ | 827,829 | ||||||||
GoodRx,Inc.,第一留置权定期贷款,(1个月Libor+2.75%),4.42%,10/10/25 |
590 | 537,562 | ||||||||||
IQVIA, Inc., 2017 USD Term Loan B1, (1 mo. LIBOR + 1.75%), 3.42%, 03/07/24 |
292 | 285,806 | ||||||||||
北极星新闻有限责任公司,美元定期贷款B,(1个月。Libor+4.00%),5.67%,06/02/28 |
2,686 | 2,474,716 | ||||||||||
Press Ganey Holdings,Inc.,2021年定期贷款B,(3个月Libor+3.75%),4.99%,07/24/26 (b) |
1,039 | 984,095 | ||||||||||
Verscend Holding Corp.,2021年第二留置权定期贷款,(1个月Libor+7.00%),8.67%,04/02/29 (b) |
1,902 | 1,787,880 | ||||||||||
|
|
|||||||||||
8,534,562 | ||||||||||||
酒店、餐馆和休闲-6.7% |
||||||||||||
1011778 B.C.无限责任公司,定期贷款B4,(1个月Libor+1.75%),3.42%,11/19/26 |
1,003 | 955,778 | ||||||||||
Aimbridge Acquisition Co.,Inc.,2019定期贷款B,(1个月Libor+3.75%),5.42%,02/02/26 |
129 | 114,979 | ||||||||||
贵族技术公司,2022年定期贷款B,(SOFR+2.25%),4.40%,05/24/29 |
124 | 119,474 | ||||||||||
凯撒度假村收藏有限公司 |
||||||||||||
2017 1st Lien Term Loan B, (1 mo. LIBOR + 2.75%), 4.42%, 12/23/24 |
1,104 | 1,061,071 | ||||||||||
2020 Term Loan B1, (1 mo. LIBOR + 3.50%), 5.17%, 07/20/25 |
751 | 722,651 | ||||||||||
Carnival Corp., (6 mo. LIBOR + 3.00%, 0.75% Floor), 5.88%, 06/30/25 |
443 | 410,286 | ||||||||||
丘吉尔唐斯公司,2021年增量定期贷款B1,(1个月Libor+2.00%),3.67%,03/17/28 |
479 | 450,599 | ||||||||||
ECL娱乐有限责任公司,定期贷款,(3个月Libor+7.50%,0.75%下限),9.75%,05/01/28 |
567 | 552,737 | ||||||||||
Equinox Holdings,Inc.,2017第一笔留置权定期贷款,(3个月Libor+3.00%,下限1.00%),5.25%,03/08/24 |
2,740 | 2,027,829 | ||||||||||
费尔蒂塔娱乐有限责任公司,2022年定期贷款B,(SOFR+4.00%),5.53%,01/27/29 |
2,097 | 1,928,452 | ||||||||||
四季酒店有限公司,新第一留置权定期贷款,(1个月Libor+2.00%),3.67%,11/30/23 |
809 | 798,519 | ||||||||||
IRB Holding Corp., 2020 Term Loan B, (6 mo. LIBOR + 2.75%, 1.00% Floor), 4.42%, 02/05/25 |
974 | 921,893 | ||||||||||
宾夕法尼亚国家博彩公司,2022年定期贷款B,(SOFR+2.75%),4.38%,05/03/29 |
920 | 880,003 | ||||||||||
Playtika Holding Corp.,2021年定期贷款,(1个月。Libor+2.75%),4.42%,03/13/28 |
1,061 | 998,103 | ||||||||||
科学游戏国际公司,2022美元定期贷款,(SOFR+3.00%),4.36%,04/14/29 |
505 | 478,488 | ||||||||||
星空集团控股BV,2018美元增量定期贷款,(3个月Libor+2.25%),4.50%,07/21/26 |
689 | 653,622 | ||||||||||
Station Casinos LLC,2020定期贷款B,(1个月Libor+2.25%),3.92%,02/08/27 |
1,266 | 1,188,522 | ||||||||||
旅游港金融卢森堡SARL |
||||||||||||
2020年超级优先定期贷款,(3个月Libor+1.50%,1.00%下限),3.75%,02/28/25 |
875 | 863,049 | ||||||||||
2021 Consented Term Loan, (3 mo. LIBOR + 5.00%), 7.25%, 05/29/26 (h) |
1,026 | 789,580 |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
酒店、餐馆和休闲(续) |
||||||||||||
Twin River Worldwide Holdings,Inc.,2021定期贷款B,(1个月Libor+3.25%),4.37%,10/02/28 |
美元 | 557 | $ | 515,292 | ||||||||
Whataband LLC,2021年定期贷款B,(1个月Libor+3.25%),4.92%,08/03/28 |
1,402 | 1,310,828 | ||||||||||
温德姆酒店及度假村公司,定期贷款B,5/30/25 |
332 | 319,698 | ||||||||||
|
|
|||||||||||
18,061,453 | ||||||||||||
家用耐用品-1.6% |
||||||||||||
ACProducts Holdings,Inc.,2021年定期贷款B,(3个月Libor+4.25%),6.97%,05/17/28 |
1,019 | 784,702 | ||||||||||
雷诺消费品有限责任公司,定期贷款,(1个月。Libor+1.75%),3.42%,02/04/27 |
930 | 891,783 | ||||||||||
Snap One Holdings Corp.,定期贷款B,(6个月。Libor+4.50%),7.38%,12/08/28 |
666 | 603,511 | ||||||||||
Solis IV BV,美元定期贷款B1,(SOFR+3.50%),4.84%,02/26/29 |
1,394 | 1,196,233 | ||||||||||
Springs Windows Fashions LLC,2021定期贷款B,(1个月Libor+4.00%,0.75%下限),5.60%,10/06/28 |
511 | 418,152 | ||||||||||
韦伯-斯蒂芬产品有限责任公司,定期贷款B,(1个月Libor+3.25%,0.75%下限),4.92%,10/30/27 |
634 | 573,729 | ||||||||||
|
|
|||||||||||
4,468,110 | ||||||||||||
家居用品-0.1% |
||||||||||||
SPECTRUM Brands,Inc.,2021年定期贷款,(1个月Libor+2.00%),3.67%,03/03/28 |
331 | 317,994 | ||||||||||
|
|
|||||||||||
独立电力和可再生电力生产商-0.6% |
| |||||||||||
卡尔平建设融资有限公司,2017年定期贷款B,(1个月Libor+2.00%),3.67%,01/15/25 |
312 | 298,648 | ||||||||||
卡尔平公司 |
||||||||||||
2019 Term Loan B10, (1 mo. LIBOR + 2.00%), 3.67%, 08/12/26 |
468 | 443,330 | ||||||||||
Term Loan B9, (1 mo. LIBOR + 2.00%), 3.67%, 04/05/26 |
871 | 818,948 | ||||||||||
|
|
|||||||||||
1,560,926 | ||||||||||||
工业集团-2.5% |
||||||||||||
AVSC Holding Corp. (g) |
||||||||||||
2020 Term Loan B1, (0.25% PIK), 5.11%, 03/03/25 |
1,498 | 1,283,344 | ||||||||||
2020 Term Loan B3, (10.00% PIK), 7.50%, 10/15/26 |
|
810 | 853,968 | |||||||||
Diamond BC BV, 2021 Term Loan B, (3 mo. LIBOR + 2.75%), 3.99%, 09/29/28 |
1,072 | 987,789 | ||||||||||
Sequa Mezzanine Holdings LLC,2020延期定期贷款,(3个月。Libor+6.75%,1.00%下限),8.30%,11/28/23 |
418 | 414,308 | ||||||||||
缝合收购公司,定期贷款B,(3个月。Libor+6.75%),9.00%,07/28/28 |
673 | 597,636 | ||||||||||
垂直美国Newco,Inc.,定期贷款B,(1个月Libor+3.50%),4.02%,07/30/27 |
1,170 | 1,090,177 | ||||||||||
Vertiv Group Corp.,2021年定期贷款B,(1个月Libor+2.75%),3.87%,03/02/27 |
1,814 | 1,682,793 | ||||||||||
|
|
|||||||||||
6,910,015 | ||||||||||||
保险--4.5% |
||||||||||||
联合控股中级有限责任公司 |
||||||||||||
2018 Term Loan B, (1 mo. LIBOR + 3.25%), 4.92%, 05/09/25 |
1,779 | 1,671,193 |
S C H E D U L E O F I N V E S T M E N T S |
115 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德浮动利率收益信托(BGT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
保险(续) |
||||||||||||
安联控股中级有限责任公司(续) |
| |||||||||||
2021 Term Loan B4, (1 mo. LIBOR + 3.50%), 5.01%, 11/06/27 |
美元 | 2,351 | $ | 2,181,397 | ||||||||
Term Loan B, (1 mo. LIBOR + 3.25%), 4.92%, 05/09/25 |
628 | 592,939 | ||||||||||
AmWINS Group, Inc., 2021 Term Loan B, (1 mo. LIBOR + 2.25%), 3.92%, 02/19/28 |
1,194 | 1,125,569 | ||||||||||
AssuredPartners,Inc. |
||||||||||||
2020 Term Loan B, (1 mo. LIBOR + 3.50%), 5.17%, 02/12/27 |
627 | 586,206 | ||||||||||
2021 Term Loan B, (1 mo. LIBOR + 3.50%), 5.17%, 02/12/27 |
606 | 566,372 | ||||||||||
HUB国际有限公司 |
||||||||||||
2018 Term Loan B, (3 mo. LIBOR + 3.00%), 4.21%, 04/25/25 |
1,765 | 1,667,502 | ||||||||||
2021 Term Loan B, (3 mo. LIBOR + 3.25%), 4.35%, 04/25/25 |
1,657 | 1,568,057 | ||||||||||
NFP Corp., 2020 Term Loan, (1 mo. LIBOR + 3.25%), 4.92%, 02/15/27 |
115 | 106,138 | ||||||||||
瑞安专业集团有限责任公司,定期贷款,(SOFR+3.00%,0.75%下限),4.63%,09/01/27 (b) |
705 | 676,777 | ||||||||||
Sedgwick索赔管理服务公司 |
| |||||||||||
2018 Term Loan B, (1 mo. LIBOR + 3.25%), 4.92%, 12/31/25 |
487 | 456,267 | ||||||||||
2019 Term Loan B, (1 mo. LIBOR + 3.75%), 5.42%, 09/03/26 |
625 | 593,105 | ||||||||||
2020 Term Loan B3, (1 mo. LIBOR + 4.25%, 1.00% Floor), 5.92%, 09/03/26 |
506 | 487,866 | ||||||||||
|
|
|||||||||||
12,279,388 | ||||||||||||
互动媒体和服务-2.5% |
||||||||||||
Adevinta ASA,美元定期贷款B,(3个月。Libor+3.00%,0.75%下限),5.25%,06/26/28 |
1,530 | 1,459,079 | ||||||||||
Arches Buyer, Inc., 2021 Term Loan B, (1 mo. LIBOR + 3.25%), 4.92%, 12/06/27 |
454 | 413,468 | ||||||||||
卡梅洛特美国收购有限责任公司,2020年增量定期贷款B,(1个月Libor+3.00%,1.00%下限),4.67%,10/30/26 |
1,746 | 1,642,144 | ||||||||||
Go爸爸运营有限公司,2021年定期贷款B4,(1个月Libor+2.00%),3.67%,08/10/27 |
453 | 434,630 | ||||||||||
Grab控股公司,定期贷款B,(6个月Libor+4.50%,1.00%下限),5.50%,01/29/26 |
3,134 | 2,851,914 | ||||||||||
|
|
|||||||||||
6,801,235 | ||||||||||||
互联网和直销零售业-0.5% |
||||||||||||
CNT Holdings I Corp.,2020年定期贷款,(1个月Libor+3.50%,0.75%下限),4.69%,11/08/27 |
1,157 | 1,096,027 | ||||||||||
PUG LLC,2021年增量定期贷款B,(1个月Libor+4.25%),5.92%,02/12/27 (b) |
228 | 210,584 | ||||||||||
|
|
|||||||||||
1,306,611 | ||||||||||||
互联网软件和服务-0.4% |
||||||||||||
优步技术公司,2021年定期贷款B,(3个月Libor+3.50%),5.07%,02/25/27 |
1,096 | 1,046,600 | ||||||||||
|
|
|||||||||||
IT服务-7.1% |
||||||||||||
阿鲁巴投资公司 |
||||||||||||
2020 2nd Lien Term Loan, (1 mo. LIBOR + 7.75%), 9.38%, 11/24/28 |
885 | 836,325 | ||||||||||
2020 USD Term Loan, (1 mo. LIBOR + 4.00%, 0.75% Floor), 5.63%, 11/24/27 (b) |
473 | 435,188 |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
IT服务(续) |
||||||||||||
Banff Merge Sub,Inc.,2021美元定期贷款,(1个月Libor+3.75%),5.42%,10/02/25 |
美元 | 1,259 | $ | 1,169,831 | ||||||||
Camelot Finance SA,定期贷款B,(1个月Libor+3.00%),4.67%,10/30/26 |
1,351 | 1,275,625 | ||||||||||
CCC智能解决方案公司,定期贷款B,(3个月Libor+2.25%),4.50%,09/21/28 |
1,043 | 986,972 | ||||||||||
CoreLogic,Inc. |
||||||||||||
2nd Lien Term Loan, (1 mo. LIBOR + 6.50%), 8.19%, 06/04/29 (b) |
873 | 628,848 | ||||||||||
Term Loan, (1 mo. LIBOR + 3.50%), 5.19%, 06/02/28 |
2,090 | 1,732,254 | ||||||||||
FleetCor Technologies运营有限公司,2021年定期贷款B4,(1个月Libor+1.75%),3.42%,04/28/28 |
1,258 | 1,207,674 | ||||||||||
Greeneden U.S.Holdings II LLC,2020美元定期贷款B4,(1个月Libor+4.00%,0.75%下限),5.67%,12/01/27 |
3,082 | 2,938,972 | ||||||||||
PUG LLC, USD Term Loan, (1 mo. LIBOR + 3.50%), 5.17%, 02/12/27 (b) |
1,564 | 1,407,466 | ||||||||||
Sophia LP, 2020 2nd Lien Term Loan, (3 mo. LIBOR + 8.00%, 1.00% Floor), 10.25%, 10/09/28 |
2,590 | 2,570,575 | ||||||||||
TransUnion LLC |
||||||||||||
2019 Term Loan B5, (1 mo. LIBOR + 1.75%), 3.42%, 11/16/26 |
1,150 | 1,082,932 | ||||||||||
2021 Term Loan B6, (1 mo. LIBOR + 2.25%), 3.92%, 12/01/28 |
1,612 | 1,533,341 | ||||||||||
Virtusa Corp.,第一留置权定期贷款B,(1个月。Libor+3.75%,0.75%下限),5.42%,02/11/28 |
645 | 607,359 | ||||||||||
WEX, Inc., 2021 Term Loan, (1 mo. LIBOR + 2.25%), 3.92%, 03/31/28 |
603 | 578,854 | ||||||||||
ZoomInfo LLC, 2021 Term Loan B, (1 mo. LIBOR + 3.00%), 4.67%, 02/02/26 |
135 | 130,191 | ||||||||||
|
|
|||||||||||
19,122,407 | ||||||||||||
休闲产品-0.5% |
||||||||||||
Fender乐器公司,2021年定期贷款B,(SOFR+4.00%),5.23%,12/01/28 |
604 | 570,171 | ||||||||||
MND Holdings III Corp.,2018年第一笔留置权定期贷款,(1个月Libor+3.50%,1.00%下限),5.17%,06/19/24 |
613 | 598,288 | ||||||||||
Peloton Interactive,Inc.,定期贷款,(SOFR+6.50%),8.35%,05/25/27 |
213 | 202,484 | ||||||||||
|
|
|||||||||||
1,370,943 | ||||||||||||
生命科学工具和服务-3.3% |
||||||||||||
Avantor Funding,Inc.,2021年定期贷款B5,(1个月Libor+2.25%),3.92%,11/08/27 |
1,641 | 1,569,719 | ||||||||||
EResearchTechnology,Inc.,2020第一笔留置权定期贷款,(1个月Libor+4.50%,下限1.00%),6.17%,02/04/27 |
2,714 | 2,500,940 | ||||||||||
图标卢森堡SARL |
||||||||||||
LUX Term Loan, (3 mo. LIBOR + 2.25%), 4.56%, 07/03/28 |
1,713 | 1,652,437 | ||||||||||
US Term Loan, (3 mo. LIBOR + 2.25%), 4.56%, 07/03/28 |
427 | 411,707 | ||||||||||
Maravai Intermediate Holdings LLC,2022年定期贷款B,(SOFR+3.00%),3.85%,10/19/27 (b) |
925 | 876,493 | ||||||||||
PAREXEL国际公司,2021年第一笔留置权定期贷款,(1个月Libor+3.25%),4.88%,11/15/28 |
2,113 | 1,979,968 | ||||||||||
|
|
|||||||||||
8,991,264 | ||||||||||||
机械-3.3% |
||||||||||||
Albion Acquires Ltd.,美元定期贷款,(3个月Libor+5.25%),6.43%,08/17/26 |
1,138 | 1,087,122 |
116 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德浮动利率收益信托(BGT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
机械(续) |
||||||||||||
ASP刀片控股公司,初始定期贷款,(1个月Libor+4.00%),5.67%,10/13/28 |
美元 | 248 | $ | 216,627 | ||||||||
Clark Equipment Co.,2022定期贷款B,(SOFR+2.50%),4.65%,04/20/29 |
188 | 180,263 | ||||||||||
哥伦布·麦金农公司,2021年定期贷款B,(3个月Libor+2.75%),5.06%,05/14/28 |
249 | 237,553 | ||||||||||
过滤集团公司,2021年增量定期贷款,(1个月Libor+3.50%),5.17%,10/21/28 |
727 | 678,396 | ||||||||||
Fluidra SA, 2022 USD Term Loan B, (SOFR + 2.00%), 3.63%, 01/29/29 |
192 | 185,875 | ||||||||||
英格索尔-兰德服务公司,2020美元Spinco定期贷款,(1个月伦敦银行同业拆息+1.75%),3.38%,03/01/27 |
1,385 | 1,322,787 | ||||||||||
麦迪逊IAQ有限责任公司,定期贷款,(6个月Libor+3.25%),4.52%,06/21/28 |
2,299 | 2,088,597 | ||||||||||
SPX Flow, Inc., (SOFR + 4.50%), 6.13%, 04/05/29 |
852 | 791,634 | ||||||||||
泰坦收购有限公司,2018年定期贷款B,(6个月Libor+3.00%),5.88%,03/28/25 |
2,402 | 2,197,148 | ||||||||||
Zurn LLC, 2021 Term Loan B, (1 mo. LIBOR + 2.25%), 3.92%, 10/04/28 |
78 | 75,827 | ||||||||||
|
|
|||||||||||
9,061,829 | ||||||||||||
Media — 12.8% |
||||||||||||
Altice Finding SA |
||||||||||||
2017 USD Term Loan B, (3 mo. LIBOR + 2.75%), 3.79%, 07/15/25 |
691 | 623,170 | ||||||||||
USD 2017 1st Lien Term Loan, (3 mo. LIBOR + 2.75%), 3.79%, 01/31/26 |
955 | 860,954 | ||||||||||
Altice France SA, 2018 Term Loan B13, (3 mo. LIBOR + 4.00%), 5.41%, 08/14/26 |
2,141 | 1,951,777 | ||||||||||
AMC娱乐控股公司,2019年定期贷款B,(1个月Libor+3.00%),4.20%,04/22/26 |
934 | 784,509 | ||||||||||
Cable One, Inc., 2021 Term Loan B4, (1 mo. LIBOR + 2.00%), 3.67%, 05/03/28 |
303 | 290,822 | ||||||||||
Charge Communications Operating LLC,A类,2019年定期贷款B1,(1个月Libor+1.75%),3.42%,04/30/25 |
1,612 | 1,567,308 | ||||||||||
城市足球集团有限公司,定期贷款,(3个月Libor+3.50%),4.60%,07/21/28 (b) |
984 | 899,935 | ||||||||||
Clear Channel Outdoor Holdings,Inc.定期贷款B,(3个月Libor+3.50%),4.74%,08/21/26 |
2,353 | 2,014,533 | ||||||||||
CMG Media Corp., 2021 Term Loan, (1 mo. LIBOR + 3.50%), 5.17%, 12/17/26 |
— | (i) |
133 | |||||||||
连接Finco SARL,2021年定期贷款B,(1个月Libor+3.50%,1.00%下限),5.17%,12/12/26 |
3,479 | 3,192,075 | ||||||||||
CSC控股有限责任公司 |
||||||||||||
2017 Term Loan B1, (1 mo. LIBOR + 2.25%), 3.57%, 07/17/25 |
1,312 | 1,217,604 | ||||||||||
2019 Term Loan B5, (1 mo. LIBOR + 2.50%), 3.82%, 04/15/27 |
1,105 | 1,024,525 | ||||||||||
E.W. Scripps Co., 2020 Term Loan B3, (1 mo. LIBOR + 2.75%, 0.75% Floor), 4.42%, 01/07/28 |
526 | 496,986 | ||||||||||
Learfield Communications LLC,2016第一笔留置权定期贷款,(1个月Libor+3.25%,下限1.00%),4.92%,12/01/23 (b) |
540 | 472,819 | ||||||||||
狮门资本控股有限公司,2018年定期贷款B,(1个月Libor+2.25%),3.92%,03/24/25 |
819 | 789,742 | ||||||||||
Live Nation Entertainment,Inc.,定期贷款B4,(1个月Libor+1.75%),3.35%,10/17/26 |
1,563 | 1,457,163 |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
媒体(续) |
||||||||||||
MH Sub I LLC |
||||||||||||
2017 1st Lien Term Loan, (1 mo. LIBOR + 3.50%), 5.42%, 09/13/24 |
美元 | 1,898 | $ | 1,783,167 | ||||||||
2020 Incremental Term Loan, (1 mo. LIBOR + 3.75%, 1.00% Floor), 5.42%, 09/13/24 |
1,796 | 1,688,024 | ||||||||||
2021 2nd Lien Term Loan, (1 mo. LIBOR + 6.25%), 7.92%, 02/23/29 |
689 | 646,321 | ||||||||||
Nexstar广播公司,2019年定期贷款B4,(1个月Libor+2.50%),4.17%,09/18/26 |
539 | 529,682 | ||||||||||
辛克莱电视集团,2022年定期贷款B4,(SOFR+3.75%),5.38%,04/21/29 (b) |
1,124 | 1,034,080 | ||||||||||
Trader Corp., 2017 Term Loan B, (1 mo. LIBOR + 3.00%, 1.00% Floor), 4.63%, 09/28/23 (b) |
2,539 | 2,430,682 | ||||||||||
Trader Interactive LLC,2021定期贷款B,(1个月Libor+3.75%),5.42%,07/28/28 (b) |
347 | 331,678 | ||||||||||
UPC融资伙伴,2021年美元定期贷款AX,(1个月。Libor+3.00%),4.32%,01/31/29 |
474 | 449,201 | ||||||||||
维珍传媒布里斯托尔有限责任公司 |
||||||||||||
2020 USD Term Loan Q, (1 mo. LIBOR + 3.25%), 4.57%, 01/31/29 |
913 | 872,728 | ||||||||||
USD Term Loan N, (1 mo. LIBOR + 2.50%), 3.82%, 01/31/28 |
609 | 569,197 | ||||||||||
Voyage Digital Ltd., (SOFR + 4.50%), 5.28%, 05/11/29 (b) |
628 | 596,600 | ||||||||||
William Morris Endeavor Entertainment LLC,2018第一笔留置权定期贷款,(1个月Libor+2.75%),4.42%,05/18/25 |
2,003 | 1,880,198 | ||||||||||
WMG收购公司,2021年定期贷款G,(1个月。Libor+2.12%),3.79%,01/20/28 |
1,309 | 1,253,266 | ||||||||||
Zayo集团控股公司,美元定期贷款,(1个月。Libor+3.00%),4.67%,03/09/27 |
3,114 | 2,861,661 | ||||||||||
|
|
|||||||||||
34,570,540 | ||||||||||||
石油、天然气和消耗性燃料-2.0% |
||||||||||||
Edgewater发电有限责任公司,定期贷款,(1个月Libor+3.75%),5.42%,12/13/25 |
578 | 488,807 | ||||||||||
利兰金融公司 |
||||||||||||
2020 Make Whole Term Loan, (1 mo. LIBOR + 3.00%), 4.67%, 06/28/24 |
25 | 14,951 | ||||||||||
2020 Take Back Term Loan, (3.00% PIK), 2.83%, 06/30/25 (g) |
183 | 91,699 | ||||||||||
Lucid Energy Group II借款人LLC,2021年定期贷款,(1个月Libor+4.25%,0.75%下限),5.87%,11/24/28 |
1,486 | 1,464,116 | ||||||||||
Medalion Midland收购有限责任公司,(1个月Libor+3.75%,0.75%下限),5.42%,10/18/28 |
1,194 | 1,142,515 | ||||||||||
墨菲美国公司,定期贷款B,(1个月Libor+1.75%),2.82%,01/31/28 |
396 | 393,691 | ||||||||||
Oryx Midstream Services二叠纪盆地有限责任公司,定期贷款B,(3个月Libor+3.25%),4.71%,10/05/28 |
1,937 | 1,838,744 | ||||||||||
|
|
|||||||||||
5,434,523 | ||||||||||||
个人产品-1.4% |
||||||||||||
Kronos Acquisition Holdings,Inc.,2021年第一笔留置权定期贷款,(SOFR+6.00%,1.00%下限),7.65%,12/22/26 |
253 | 247,359 |
S C H E D U L E O F I N V E S T M E N T S |
117 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德浮动利率收益信托(BGT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
个人产品(续) |
||||||||||||
威望品牌公司,2021年定期贷款B5,(1个月Libor+2.00%),5.42%,07/03/28 |
美元 | 138 | $ | 137,088 | ||||||||
卢森堡阳光七世SARL,2021年定期贷款B3,(3个月Libor+3.75%,0.75%下限),6.00%,10/01/26 |
3,758 | 3,468,977 | ||||||||||
|
|
|||||||||||
3,853,424 | ||||||||||||
制药-3.0% |
||||||||||||
Amneal PharmPharmticals LLC,2018年定期贷款B,(1个月Libor+3.50%),5.50%,05/04/25 |
751 | 678,049 | ||||||||||
博世健康公司,2022年定期贷款B,(SOFR+5.25%),6.55%,02/01/27 |
1,344 | 1,149,002 | ||||||||||
Catalent Pharma Solutions,Inc.,2021定期贷款B3,(1个月Libor+2.00%),3.63%,02/22/28 |
987 | 971,072 | ||||||||||
Elanco动物健康公司,定期贷款B,(1个月Libor+1.75%),2.81%,08/01/27 |
971 | 915,253 | ||||||||||
Grifols Worldwide Operations USA,Inc.,2019年定期贷款B,(1个月Libor+2.00%),3.67%,11/15/27 |
982 | 925,412 | ||||||||||
爵士融资Lux SARL,美元定期贷款,(1个月。伦敦银行同业拆息+3.50%),5.17%,05/05/28 |
1,395 | 1,327,996 | ||||||||||
Option Care Health,Inc.,2021年定期贷款B,(1个月Libor+2.75%),4.42%,10/27/28 |
435 | 414,150 | ||||||||||
Organon & Co., USD Term Loan, (3 mo. LIBOR + 3.00%), 4.63%, 06/02/28 |
951 | 913,659 | ||||||||||
精密医药集团有限责任公司,2021年定期贷款,(3个月。Libor+3.00%,0.75%下限),5.25%,11/18/27 (b) |
851 | 785,093 | ||||||||||
|
|
|||||||||||
8,079,686 | ||||||||||||
专业服务--1.5% |
||||||||||||
邓白氏公司 |
||||||||||||
2022 Incremental Term Loan B2, (SOFR + 3.25%), 4.75%, 01/18/29 |
442 | 411,512 | ||||||||||
Term Loan, (1 mo. LIBOR + 3.25%), 4.87%, 02/06/26 |
|
1,487 | 1,400,199 | |||||||||
元素材料科技集团美国控股公司 (h) |
||||||||||||
2022年美元延迟提款期限 Loan B, 04/12/29 |
375 | 359,023 | ||||||||||
2022年美元延迟提款期限 Loan D, 04/12/29 |
812 | 777,882 | ||||||||||
Galaxy U.S.OPCO,Inc.,定期贷款,(SOFR+4.75%),6.28%,04/29/29 |
1,244 | 1,164,695 | ||||||||||
|
|
|||||||||||
4,113,311 | ||||||||||||
房地产管理与开发-1.0% |
||||||||||||
张伯伦集团公司,定期贷款B,(1个月Libor+3.50%),5.17%,11/03/28 |
1,523 | 1,372,275 | ||||||||||
高纬物业美国借款人有限责任公司,2020年定期贷款B,(1个月Libor+2.75%),4.42%,08/21/25 |
1,458 | 1,369,311 | ||||||||||
|
|
|||||||||||
2,741,586 | ||||||||||||
公路和铁路-0.4% |
||||||||||||
AVIS平价汽车租赁有限责任公司,2020年 Loan B, (1 mo. LIBOR + 1.75%), 3.42%, 08/06/27 |
408 | 385,577 | ||||||||||
SIRVA Worldwide,Inc.,2018第一笔留置权定期贷款,(1个月Libor+5.50%),7.09%,08/04/25 (b) |
731 | 653,087 | ||||||||||
|
|
|||||||||||
1,038,664 | ||||||||||||
半导体和半导体设备-0.1% |
||||||||||||
Synaptics,Inc.,定期贷款B,(3个月Libor+2.25%),4.36%,12/02/28 |
388 | 376,771 | ||||||||||
|
|
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
软件-14.6% |
||||||||||||
应用系统公司 |
||||||||||||
2017 1st Lien Term Loan, (3 mo. LIBOR + 3.00%), 5.25%, 09/19/24 |
美元 | 302 | $ | 288,748 | ||||||||
2021 2nd Lien Term Loan, (3 mo. LIBOR + 5.50%), 7.75%, 09/19/25 |
439 | 421,576 | ||||||||||
梭鱼网络公司 |
||||||||||||
1st Lien Term Loan, (3 mo. LIBOR + 3.75%, 0.75% Floor), 5.98%, 02/12/25 |
1,278 | 1,264,415 | ||||||||||
2020第二留置权定期贷款,10/30/28 |
403 | 402,074 | ||||||||||
2022 Term Loan, 05/17/29 (h) |
473 | 452,306 | ||||||||||
Central Parent,Inc.,2022美元定期贷款B,07/06/29 (h) |
452 | 426,069 | ||||||||||
Cloudera公司 |
||||||||||||
2021 Second Lien Term Loan, (1 mo. LIBOR + 6.00%), 7.67%, 10/08/29 (b) |
602 | 523,740 | ||||||||||
2021 Term Loan, (1 mo. LIBOR + 3.75%), 5.42%, 10/08/28 |
1,847 | 1,694,962 | ||||||||||
ConnectWise LLC,2021定期贷款B,(3个月Libor+3.50%),5.75%,09/29/28 |
628 | 573,430 | ||||||||||
基石OnDemand,Inc.,2021年定期贷款,(1个月Libor+3.75%),5.42%,10/16/28 |
740 | 659,965 | ||||||||||
Digicel国际金融有限公司,2017年定期贷款B,(1个月Libor+3.25%),4.92%,05/28/24 (b) |
795 | 685,307 | ||||||||||
E2open LLC, 2020 Term Loan B, (3 mo. LIBOR + 3.50%), 4.83%, 02/04/28 |
177 | 166,431 | ||||||||||
Epicor Software Corp.,2020第二留置权定期贷款,(1个月Libor+7.75%,1.00%下限),9.42%,07/31/28 |
1,316 | 1,273,888 | ||||||||||
Helios Software Holdings,Inc.,2021年美元定期贷款B,(3个月Libor+3.75%),5.95%,03/11/28 |
1,315 | 1,205,803 | ||||||||||
Informatica LLC,2021美元定期贷款B,(1个月Libor+2.75%),4.44%,10/27/28 |
3,175 | 3,006,101 | ||||||||||
基础设施控股公司,2021年定期贷款B,(3个月Libor+2.75%),3.27%,10/30/28 (b) |
452 | 428,144 | ||||||||||
IPS公司 |
||||||||||||
2021 2nd Lien Term Loan B, (1 mo. LIBOR + 7.00%), 8.67%, 10/01/29 |
645 | 597,431 | ||||||||||
2021 Term Loan, (1 mo. LIBOR + 3.50%), 5.17%, 10/02/28 |
362 | 331,925 | ||||||||||
洋红色买家有限责任公司 |
||||||||||||
2021 USD 1st Lien Term Loan, (3 mo. LIBOR + 5.00%, 0.75% Floor), 6.23%, 07/27/28 |
1,499 | 1,343,635 | ||||||||||
2021 USD 2nd Lien Term Loan, (3 mo. LIBOR + 8.25%, 0.75% Floor), 9.48%, 07/27/29 |
1,359 | 1,236,214 | ||||||||||
McAfee LLC, 2022 USD Term Loan B, (SOFR + 4.00%), 5.15%, 03/01/29 |
2,154 | 1,954,755 | ||||||||||
NetSmart Technologies,Inc.,2020定期贷款B,(1个月Libor+4.00%,0.75%下限),5.67%,10/01/27 |
965 | 916,891 | ||||||||||
Planview母公司 |
||||||||||||
2nd Lien Term Loan, (3 mo. LIBOR + 7.25%, 0.75% Floor), 8.92%, 12/18/28 (b) |
572 | 543,400 | ||||||||||
Term Loan, (1 mo. LIBOR + 4.00%, 0.75% Floor), 5.67%, 12/17/27 |
1,321 | 1,241,511 | ||||||||||
Proofpoint,Inc. |
||||||||||||
1st Lien Term Loan, (3 mo. LIBOR + 3.25%), 4.82%, 08/31/28 |
1,737 | 1,610,399 | ||||||||||
2nd Lien Term Loan, (1 mo. LIBOR + 6.25%), 7.82%, 08/31/29 |
895 | 854,725 | ||||||||||
RealPage,Inc. |
||||||||||||
1st Lien Term Loan, (1 mo. LIBOR + 3.00%), 4.67%, 04/24/28 |
3,890 | 3,587,319 |
118 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德浮动利率收益信托(BGT) (显示的百分比以净资产为基础) |
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
软件(续) |
||||||||||||
RealPage,Inc.(续) |
||||||||||||
2nd Lien Term Loan, (1 mo. LIBOR + 6.50%, 0.75% Floor), 8.17%, 04/23/29 |
美元 | 1,825 | $ | 1,730,804 | ||||||||
复兴控股公司,2018年第一笔留置权定期贷款,(1个月Libor+3.25%),4.92%,05/30/25 |
418 | 394,445 | ||||||||||
Severin收购有限责任公司,2018年定期贷款B,(1个月Libor+3.00%),4.62%,08/01/25 |
1,716 | 1,644,233 | ||||||||||
Sophia LP, 2021 Term Loan B, (3 mo. LIBOR + 3.25%), 5.50%, 10/07/27 |
1,354 | 1,260,407 | ||||||||||
Tibco Software,Inc.,2020第二留置权定期贷款,(1个月Libor+7.25%),7.25%,03/03/28 |
1,799 | 1,760,423 | ||||||||||
旗舰软件集团公司 |
||||||||||||
2021 2nd Lien Term Loan, (3 mo. LIBOR + 5.25%), 6.21%, 05/03/27 |
865 | 795,877 | ||||||||||
2021 Term Loan, (3 mo. LIBOR + 3.25%), 4.21%, 05/04/26 |
2,684 | 2,507,866 | ||||||||||
Term Loan B, (1 mo. LIBOR + 3.75%), 5.42%, 05/04/26 |
1,775 | 1,673,507 | ||||||||||
|
|
|||||||||||
39,458,726 | ||||||||||||
特色零售-4.9% |
||||||||||||
贝伦金融美国有限责任公司 |
||||||||||||
2018 Term Loan B, (3 mo. LIBOR + 2.25%), 3.69%, 11/13/25 |
269 | 259,812 | ||||||||||
2019 USD Term Loan B3, (3 mo. LIBOR + 2.25%), 3.50%, 10/30/26 (b) |
658 | 628,509 | ||||||||||
2021 USD Term Loan B, (3 mo. LIBOR + 2.50%), 3.88%, 04/13/28 |
1,710 | 1,640,035 | ||||||||||
CD&R Firefly Bidco Ltd.,2018英镑定期贷款B1,(SONIA+4.25%),5.19%,06/23/25 |
英镑 | 1,000 | 1,109,265 | |||||||||
EG Group Ltd., 2021 Term Loan, 6.50%, 03/31/26 |
美元 | 351 | 331,471 | |||||||||
狂热商业中级控股有限责任公司,定期贷款B,(1个月。Libor+3.25%),4.92%,11/24/28 |
423 | 398,382 | ||||||||||
Mavis轮胎快递服务公司,2021年定期贷款B,(SOFR+4.00%),5.63%,05/04/28 |
1,858 | 1,713,919 | ||||||||||
Med Parentco LP,第一留置权定期贷款,(1个月Libor+4.25%),5.92%,08/31/26 |
1,059 | 953,273 | ||||||||||
PetSmart, Inc., 2021 Term Loan B, (3 mo. LIBOR + 3.75%, 0.75% Floor), 4.50%, 02/11/28 |
3,261 | 3,060,689 | ||||||||||
Research Now Group,Inc.,2017第一笔留置权定期贷款,(6个月Libor+5.50%,1.00%下限),6.50%,12/20/24 |
609 | 559,374 | ||||||||||
恢复硬件公司,2022年增量定期贷款,(SOFR+3.25%),4.88%,10/20/28 |
535 | 476,150 | ||||||||||
混响买家,公司,2021年第一留置权定期贷款,(3个月。Libor+3.50%),6.38%,11/01/28 |
1,517 | 1,419,347 | ||||||||||
旺旺控股有限公司 (b) |
||||||||||||
1st Lien Term Loan, (3 mo. LIBOR + 3.75%), 5.81%, 12/21/27 |
337 | 314,008 | ||||||||||
2nd Lien Term Loan, (3 mo. LIBOR + 7.25%), 9.31%, 12/21/28 |
345 | 331,200 | ||||||||||
|
|
|||||||||||
13,195,434 | ||||||||||||
技术硬件、存储和外围设备-0.2% |
||||||||||||
电子成像公司,定期贷款,(1个月Libor+5.00%),6.67%,07/23/26 |
628 | 558,007 | ||||||||||
|
|
安防 |
帕尔 (000) |
价值 |
||||||||||
|
||||||||||||
纺织品、服装和奢侈品-0.4% |
| |||||||||||
Crocs, Inc., Term Loan B, (SOFR + 3.50%), 4.45%, 02/17/29 |
美元 | 1,172 | $ | 1,064,385 | ||||||||
|
|
|||||||||||
贸易公司和分销商-0.9% |
||||||||||||
Beacon Roofing Supply,Inc.,2021年定期贷款B,(1个月Libor+2.25%),3.92%,05/19/28 |
850 | 809,520 | ||||||||||
基础建材控股有限公司,2021年定期贷款,(3个月Libor+3.25%),4.49%,01/31/28 (b) |
753 | 655,128 | ||||||||||
离子贸易金融有限公司,2021年定期贷款,(3个月伦敦银行同业拆息+4.75%),7.00%,04/03/28 |
418 | 384,098 | ||||||||||
SRS分销公司,2022年增量定期贷款,(SOFR+3.50%),4.00%,06/02/28 |
614 | 564,057 | ||||||||||
|
|
|||||||||||
2,412,803 | ||||||||||||
无线电信服务-1.1% |
||||||||||||
Gogo Intermediate Holdings LLC,定期贷款B,(3个月Libor),4.99%,04/30/28 |
677 | 639,381 | ||||||||||
Metronet Systems Holdings LLC,2021第一笔留置权定期贷款,(SOFR+3.75%),5.05%,06/02/28 |
437 | 403,221 | ||||||||||
SBA高级财务II有限责任公司,2018年定期贷款B,(1个月Libor+1.75%),3.42%,04/11/25 |
2,064 | 1,985,390 | ||||||||||
|
|
|||||||||||
3,027,992 | ||||||||||||
|
|
|||||||||||
浮动利率贷款利息总额-143.6% (Cost: $415,971,756) |
|
388,676,689 | ||||||||||
|
|
|||||||||||
股票 |
||||||||||||
投资公司 |
||||||||||||
固定收益基金-0.2% |
||||||||||||
景顺高级贷款ETF (j)(k) |
35,400 | 717,558 | ||||||||||
|
|
|||||||||||
总投资公司-0.2% (Cost: $772,948) |
|
717,558 | ||||||||||
|
|
|||||||||||
受益的 利息(000) |
||||||||||||
其他利益 |
||||||||||||
IT服务 (b)(l) — 0.0% |
||||||||||||
千禧集团。 |
美元 | 991 | — | |||||||||
千禧年债权信托基金 |
930 | — | ||||||||||
|
|
|||||||||||
其他权益总额-0.0% (Cost: $ — ) |
|
— | ||||||||||
|
|
|||||||||||
股票 |
||||||||||||
认股权证 |
||||||||||||
金属和矿业-0.0% |
||||||||||||
美国锻造集团公司 |
2,642 | — | ||||||||||
|
|
S C H E D U L E O F I N V E S T M E N T S |
119 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德浮动利率收益信托(BGT) (显示的百分比以净资产为基础) |
安防 |
股票 |
价值 |
||||||
|
||||||||
石油、天然气和消耗性燃料-0.0% |
||||||||
加州资源公司 (a) |
617 | $ | 6,336 | |||||
|
|
|||||||
认股权证总数-0.0% (Cost: $ — ) |
6,336 | |||||||
|
|
|||||||
长期投资总额-146.2% (Cost: $425,258,791) |
395,926,245 | |||||||
|
|
|||||||
短期证券 |
||||||||
货币市场基金-0.4% |
||||||||
贝莱德流动性基金,T基金,机构类,1.33% (j)(k) |
990,767 | 990,767 | ||||||
|
|
|||||||
短期证券总额-0.4% (Cost: $990,767) |
990,767 | |||||||
|
|
|||||||
总投资-146.6% (Cost: $426,249,558) |
396,917,012 | |||||||
负债超过其他资产-(46.6%) |
|
(126,226,755 | ) | |||||
|
|
|||||||
净资产-100.0% |
$ | 270,690,257 | ||||||
|
|
(a) |
非创收证券。 |
(b) |
安全使用重大的不可观察的投入进行估值,并在公允价值层次结构中被归类为第三级。 |
(c) |
关于转售的受限证券,不包括144A证券。该信托持有的限制性证券现值为621美元,不到期末净资产的0.05%,原始成本为131,156美元。 |
(d) |
根据修订后的1933年证券法,根据规则144A豁免注册的证券。这些证券可以在豁免注册的交易中转售给合格机构投资者。 |
(e) |
发行人申请破产和/或违约。 |
(f) |
可变利率证券。利率会定期重置。显示的利率是期末的实际利率。安全说明还包括参考利率和利差(如果已发布并可用)。 |
(g) |
实物支付证券,可以以额外的面值/股份和/或现金支付利息/股息。显示的费率是当前费率和可能的付款费率。 |
(h) |
表示期末未结清的贷款承诺。在结算日之前,与此次收购相关的某些细节尚不清楚,包括票面利率。 |
(i) |
四舍五入到不到1000。 |
(j) |
信托基金的附属机构。 |
(k) |
截至期末的年化7日收益率。 |
(l) |
其他利益是指清算信托和其他重组或私人实体中的利益。 |
|
||||||||||||||||||||||||||||||||||||
关联发行商 |
价值在 12/31/21 |
购买 按成本计算 |
收益 来自销售部门 |
网络 已实现 得(损) |
更改中 未实现 欣赏 (折旧) |
价值在 06/30/22 |
股票 持有时间 06/30/22 |
收入 |
资本利得 分配 从… 潜在的 基金 |
|||||||||||||||||||||||||||
|
||||||||||||||||||||||||||||||||||||
贝莱德流动性基金、T基金、机构类 |
$ | — | $ | 990,767 | (a) |
$ | — | $ | — | $ | — | $ | 990,767 | 990,767 | $ | 559 | $ | — | ||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
(a) |
代表净买入(卖出)金额。 |
|
||||||||||||||||||
购买的货币 |
售出的货币 |
交易对手 |
结算日 |
未实现 欣赏 (折旧) |
||||||||||||||
|
||||||||||||||||||
USD 1,926,296 |
GBP 1,536,000 | NatWest Markets PLC | 09/21/22 | $ | 53,726 | |||||||||||||
|
|
|
||||||||||||||||||||||||||||||||
参考债务/索引 |
融资 接收的速率 由信托基金 |
付款 频率 |
终端 日期 |
信用 额定值 (a) |
概念上的 金额(000) (b) |
价值 |
预付费用 补价 已支付 (已收到) |
未实现 欣赏 (折旧) |
||||||||||||||||||||||||
|
||||||||||||||||||||||||||||||||
CDX.NA.HY.37.V2 |
5.00 | % | 季刊 | 12/20/26 | B+ | 美元 | 3,465 | $ | (43,320 | ) | $ | 232,801 | $ | (276,121 | ) | |||||||||||||||||
|
|
|
|
|
|
(a) |
使用标准普尔全球评级提供的发行人评级或该指数的标的证券(如适用)。 |
(b) |
如果发生协议条款所定义的负信用事件,信托可能支付的最大潜在金额。 |
120 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德浮动利率收益信托(BGT) |
描述 |
交换 保费 已支付 |
交换 保费 已收到 |
未实现 欣赏 |
未实现 折旧 |
||||||||||||
集中清算的掉期 (a) |
$ | 232,801 | $ | — | $ | — | $ | (276,121 | ) |
(a) |
包括中央结算掉期的累计升值(折旧),如投资明细表所述。只有当日的变动保证金在资产负债表中报告,并扣除之前支付(收到)的任何掉期溢价金额。 |
商品 合同 |
信用 合同 |
权益 合同 |
外国 货币 交易所 合同 |
利息 费率 合同 |
其他 合同 |
总计 |
||||||||||||||||||||||
资产-衍生金融工具 |
||||||||||||||||||||||||||||
远期外币兑换合约 |
||||||||||||||||||||||||||||
远期外汇合约的未实现升值 |
$ | — | $ | — | $ | — | $ | 53,726 | $ | — | $ | — | $ | 53,726 | ||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
负债--衍生金融工具 |
||||||||||||||||||||||||||||
掉期-集中结算 |
||||||||||||||||||||||||||||
集中清算掉期的未实现折旧 (a) |
$ | — | $ | 276,121 | $ | — | $ | — | $ | — | $ | — | $ | 276,121 | ||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
(a) |
期货合约和中央结算掉期(如有)的累计未实现净增值(折旧)在投资附表中列报。在资产负债表中,只在应收或应付账款中报告当日变动幅度,累计未实现增值(折旧)净额计入累计收益(亏损)。 |
商品 合同 |
信用 合同 |
权益 合同 |
外国 货币 交易所 合同 |
利息 费率 合同 |
其他 合同 |
总计 |
||||||||||||||||||||||
净已实现收益(亏损)来自: |
||||||||||||||||||||||||||||
远期外币兑换合约 |
$ | — | $ | — | $ | — | $ | 103,033 | $ | — | $ | — | $ | 103,033 | ||||||||||||||
掉期 |
— | 53,889 | — | — | — | — | 53,889 | |||||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
$ | — | $ | 53,889 | $ | — | $ | 103,033 | $ | — | $ | — | $ | 156,922 | |||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
未实现增值(折旧)净变化如下: |
||||||||||||||||||||||||||||
远期外币兑换合约 |
$ | — | $ | — | $ | — | $ | 102,722 | $ | — | $ | — | $ | 102,722 | ||||||||||||||
掉期 |
— | (344,860 | ) | — | — | — | — | (344,860 | ) | |||||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||||
$ | — | $ | (344,860 | ) | $ | — | $ | 102,722 | $ | — | $ | — | $ | (242,138 | ) | |||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|
|
远期外币兑换合约: |
||||
平均购买金额--美元 |
$ | 1,977,407 | ||
信用违约互换: |
||||
平均名义价值-卖出保护 |
$ | 3,482,500 |
S C H E D U L E O F I N V E S T M E N T S |
121 |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德浮动利率收益信托(BGT) |
资产 |
负债 |
|||||||
衍生金融工具 |
||||||||
远期外币兑换合约 |
$ | 53,726 | $ | — | ||||
掉期-集中结算 |
14,293 | — | ||||||
|
|
|
|
|||||
资产负债表中的衍生资产和负债总额 |
68,019 | — | ||||||
|
|
|
|
|||||
不受总净额结算协议或类似协议约束的衍生品(“MNA”) |
(14,293 | ) | — | |||||
|
|
|
|
|||||
受多边投资协定约束的衍生品资产和负债总额 |
$ | 53,726 | $ | — | ||||
|
|
|
|
交易对手 |
导数 资产 受制于 MNA作者: 交易对手 |
衍生品 可用 对于偏移 |
非现金 抵押品 已收到 |
现金 抵押品 已收到 |
净额 衍生品的 资产 |
(a) | ||||||||||||||
NatWest Markets PLC |
$ | 53,726 | $ | — | $ | — | $ | — | $ | 53,726 | ||||||||||
|
|
|
|
|
|
|
|
|
|
(a) |
净额是指发生违约时从交易对手处应收的净额。 |
1级 |
2级 |
3级 |
总计 |
|||||||||||||
资产 |
||||||||||||||||
投资 |
||||||||||||||||
长期投资 |
||||||||||||||||
普通股 |
||||||||||||||||
汽车零部件 |
$ | 22,408 | $ | — | $ | — | $ | 22,408 | ||||||||
建筑与工程 |
43,687 | — | — | 43,687 | ||||||||||||
家用耐用品 |
— | — | — | — | ||||||||||||
金属与矿业 |
— | 832 | 621 | 1,453 | ||||||||||||
软件 |
90 | — | — | 90 | ||||||||||||
专业零售 |
— | 385,932 | — | 385,932 | ||||||||||||
公司债券 |
— | 6,072,092 | — | 6,072,092 | ||||||||||||
浮动利率贷款利息 |
— | 357,586,852 | 31,089,837 | 388,676,689 | ||||||||||||
投资公司 |
717,558 | — | — | 717,558 | ||||||||||||
其他利益 |
— | — | — | — | ||||||||||||
认股权证 |
6,336 | — | — | 6,336 | ||||||||||||
短期证券 |
||||||||||||||||
货币市场基金 |
990,767 | — | — | 990,767 | ||||||||||||
负债 |
||||||||||||||||
无资金来源的浮动利率贷款利息 (a) |
— | (50,301 | ) | (3,801 | ) | (54,102 | ) | |||||||||
|
|
|
|
|
|
|
|
|||||||||
$ | 1,780,846 | $ | 363,995,407 | $ | 31,086,657 | $ | 396,862,910 | |||||||||
|
|
|
|
|
|
|
|
|||||||||
衍生金融工具 (b) |
||||||||||||||||
资产 |
||||||||||||||||
外币兑换合约 |
$ | — | $ | 53,726 | $ | — | $ | 53,726 | ||||||||
负债 |
||||||||||||||||
信贷合同 |
— | (276,121 | ) | — | (276,121 | ) | ||||||||||
|
|
|
|
|
|
|
|
|||||||||
$ | — | $ | (222,395 | ) | $ | — | $ | (222,395 | ) | |||||||
|
|
|
|
|
|
|
|
(a) |
无资金来源的浮动利率贷款利息按承诺的未实现升值(折旧)计价。 |
(b) |
衍生金融工具是掉期和远期外币兑换合约。掉期和远期外币兑换合约按该工具的未实现升值(贬值)计价。 |
122 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资明细表 (未经审计)(续) June 30, 2022 |
贝莱德浮动利率收益信托(BGT) |
|
||||||||||||||||||||||||
普普通通 股票 |
公司 债券 |
漂浮 利率贷款 利益 |
其他 利益 |
无资金支持 漂浮 利率贷款 利益 |
总计 |
|||||||||||||||||||
|
||||||||||||||||||||||||
资产 |
||||||||||||||||||||||||
期初余额,截至2021年12月31日 |
$ | 486 | $ | — | $ | 17,379,496 | $ | — | $ | (182 | ) | $ | 17,379,800 | |||||||||||
转到3级 (a) |
— | — | 21,622,048 | — | (1,028 | ) | 21,621,020 | |||||||||||||||||
转出级别3 (b) |
— | — | (5,436,326 | ) | — | 182 | (5,436,144 | ) | ||||||||||||||||
应计折扣/保费 |
— | — | 123,977 | — | — | 123,977 | ||||||||||||||||||
已实现净收益(亏损) |
4,209 | 4,209 | ||||||||||||||||||||||
未实现升值(折旧)净变化 (c)(d) |
135 | — | (2,552,886 | ) | — | (2,773 | ) | (2,555,524 | ) | |||||||||||||||
购买 |
— | — | 4,443,726 | — | — | 4,443,726 | ||||||||||||||||||
销售额 |
— | — | (4,494,407 | ) | — | — | (4,494,407 | ) | ||||||||||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||
期末余额,截至2022年6月30日。 |
$ | 621 | $ | —(e | ) | $ | 31,089,837 | $ | —(e | ) | $ | (3,801 | ) | $ | 31,086,657 | |||||||||
|
|
|
|
|
|
|
|
|
|
|
|
|||||||||||||
截至2022年6月30日仍持有的投资未实现增值(折旧)净变化 (d) |
$ | 135 | $ | — | $ | (2,476,933 | ) | $ | — | $ | (2,773 | ) | $ | (2,479,571 | ) | |||||||||
|
|
|
|
|
|
|
|
|
|
|
|
(a) |
截至2021年12月31日,信托基金在确定某些投资的价值时使用了可观察到的投入。截至2022年6月30日,信托基金在确定相同投资的价值时使用了大量不可观察到的投入。因此,期初价值的投资在披露层次结构中从第2级转移到第3级。 |
(b) |
截至2021年12月31日,信托基金在确定某些投资的价值时使用了大量不可观察到的投入。截至2022年6月30日,信托基金使用可观察到的投入来确定相同投资的价值。因此,期初价值的投资被从披露层次中的第三级转移到第二级。 |
(c) |
计入营业报表中相关的未实现增值(折旧)净变化。 |
(d) |
截至2022年6月30日仍持有的投资的未实现增值(折旧)净变化与未实现增值(折旧)净变化之间的任何差异,通常是由于在期末不再持有或不再归类为3级的投资。 |
(e) |
四舍五入到不到1美元。 |
S C H E D U L E O F I N V E S T M E N T S |
123 |
BHK | HYT (a) |
BTZ | BGT | |||||||||||||
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资产 |
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有价值的投资--非关联投资 (b) |
$ | 1,070,825,641 | $ | 1,600,914,960 | $ | 1,585,152,759 | $ | 395,926,245 | ||||||||
按价值关联的投资 (c) |
18,146,817 | 2,647,274 | 3,126,037 | 990,767 | ||||||||||||
现金 |
1,231,811 | 848,709 | — | 881,276 | ||||||||||||
已认捐现金: |
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抵押品--逆回购协议 |
9,548,039 | — | 20,758,457 | — | ||||||||||||
抵押品-场外衍生品 |
4,459,000 | 2,680,000 | — | — | ||||||||||||
期货合约 |
1,298,970 | 573,000 | 1,671,000 | — | ||||||||||||
集中清算的掉期 |
2,833,000 | — | 6,264,000 | 329,000 | ||||||||||||
外币,按价值计算 (d) |
25,778 | 99,149 | — | 18,978 | ||||||||||||
应收款: |
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出售的投资 |
2,269,879 | 37,609,776 | 6,105,164 | 4,487,907 | ||||||||||||
已写入选项 |
— | — | 2,593,250 | — | ||||||||||||
逆回购协议 |
— | — | 124,430 | — | ||||||||||||
掉期 |
5,298 | 31,789 | — | — | ||||||||||||
TBA销售承诺 |
24,956,602 | — | — | — | ||||||||||||
股息--非附属公司 |
24,339 | 7,006 | — | — | ||||||||||||
股息-附属 |
16,683 | 1,164 | 12,399 | 338 | ||||||||||||
利息--无关 |
10,524,548 | 24,466,799 | 22,726,020 | 2,488,790 | ||||||||||||
本金还款 |
320,203 | — | — | — | ||||||||||||
期货合约的变动保证金 |
992,585 | — | 2,251,913 | — | ||||||||||||
集中清算掉期的变动保证金 |
— | — | — | 14,293 | ||||||||||||
已支付的掉期保费 |
10,998 | 60,999 | — | — | ||||||||||||
在以下方面未实现增值: |
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远期外币兑换合约 |
187,533 | 780,331 | — | 53,726 | ||||||||||||
场外掉期 |
319 | 1,975 | — | — | ||||||||||||
递延发售成本 |
127,821 | 163,261 | — | — | ||||||||||||
预付费用 |
8,593 | 16,928 | — | 6,861 | ||||||||||||
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总资产 |
1,147,814,457 | 1,670,903,120 | 1,650,785,429 | 405,198,181 | ||||||||||||
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负债 |
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银行透支 |
— | — | 106,960 | — | ||||||||||||
作为场外衍生品抵押品收到的现金 |
— | — | 410,000 | — | ||||||||||||
按价值写出的期权 (e) |
— | — | 2,698,232 | — | ||||||||||||
TBA销售承诺,按价值计算 (f) |
25,144,893 | — | — | — | ||||||||||||
逆回购协议,按价值计算 |
421,979,136 | — | 547,698,452 | — | ||||||||||||
应付账款: |
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购买的投资 |
52,201,375 | 13,962,199 | 7,996,243 | 6,585,465 | ||||||||||||
逆回购协议 |
— | — | 124,430 | — | ||||||||||||
会计服务费 |
103,240 | 144,705 | 160,850 | 43,230 | ||||||||||||
银行借款 |
— | 494,000,000 | — | 127,000,000 | ||||||||||||
托管费 |
77,294 | 44,293 | 34,325 | 23,378 | ||||||||||||
收入股利分配 |
73,471 | — | 377,222 | 25,957 | ||||||||||||
利息支出 |
— | 896,510 | — | 230,519 | ||||||||||||
投资咨询费 |
444,008 | 843,433 | 850,252 | 251,907 | ||||||||||||
受托人及高级人员的费用 |
200,606 | 572,424 | 745,160 | 204,269 | ||||||||||||
其他应计费用 |
59,985 | 244,759 | 138,850 | 18,083 | ||||||||||||
专业费用 |
87,658 | 130,870 | 91,758 | 54,713 | ||||||||||||
转会代理费 |
36,632 | 58,408 | 111,934 | 16,301 | ||||||||||||
期货合约的变动保证金 |
1,082,239 | 213,568 | 1,917,252 | — | ||||||||||||
集中清算掉期的变动保证金 |
824,758 | — | 85,129 | — | ||||||||||||
收到的掉期保费 |
2,963,817 | 184,427 | — | — | ||||||||||||
以下项目的未实现折旧: |
||||||||||||||||
远期外币兑换合约 |
1,551 | 186 | — | — | ||||||||||||
场外掉期 |
1,831,922 | 3,461,234 | — | — | ||||||||||||
无资金来源的浮动利率贷款利息 |
17,250 | 114,763 | 11,533 | 54,102 | ||||||||||||
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总负债 |
507,129,835 | 514,871,779 | 563,558,582 | 134,507,924 | ||||||||||||
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净资产 |
$ | 640,684,622 | $ | 1,156,031,341 | $ | 1,087,226,847 | $ | 270,690,257 | ||||||||
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124 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
BHK | HYT (a) |
BTZ | BGT | |||||||||||||
净资产包括 |
||||||||||||||||
实收资本 (g)(h)(i) |
$ | 755,549,804 | $ | 1,551,509,936 | $ | 1,253,197,058 | $ | 328,730,953 | ||||||||
累计损失 |
(114,865,182 | ) | (395,478,595 | ) | (165,970,211 | ) | (58,040,696 | ) | ||||||||
净资产 |
$ | 640,684,622 | $ | 1,156,031,341 | $ | 1,087,226,847 | $ | 270,690,257 | ||||||||
资产净值 (g)(h)(i) |
$ | 11.86 | $ | 9.45 | $ | 11.63 | $ | 12.10 | ||||||||
(a) 合并资产负债表。 |
||||||||||||||||
(b) 投资,按成本计算-非附属公司 |
$ | 1,167,482,395 | $ | 1,850,075,851 | $ | 1,716,881,332 | $ | 425,258,791 | ||||||||
(c) 投资,按成本关联 |
$ | 18,146,817 | $ | 2,647,274 | $ | 3,126,037 | $ | 990,767 | ||||||||
(d) 外币,按成本计算 |
$ | 25,727 | $ | 101,869 | $ | — | $ | 19,851 | ||||||||
(e) 收到的 保费 |
$ | — | $ | — | $ | 2,702,036 | $ | — | ||||||||
(f) 的收益来自tba的销售承诺。 |
$ | 24,956,602 | $ | — | $ | — | $ | — | ||||||||
(g) 已发行股票 |
54,010,702 | 93,507,103 | 22,370,659 | |||||||||||||
(h) 授权的 股份 |
无限 | 无限 | 无限 | |||||||||||||
(i) 面值 |
$ | 0.001 | $ | 0.10 | $ | 0.001 | $ | 0.001 |
F I N A N C I A L S T A T E M E N T S |
125 |
BHK | HYT (a) |
BTZ | BGT | |||||||||||||
投资收益 |
||||||||||||||||
股息--非附属公司 |
$ | 136,534 | $ | 941,632 | $ | 1,072,869 | $ | 12,664 | ||||||||
股息-附属 |
28,783 | 101,936 | 23,618 | 559 | ||||||||||||
利息--无关 |
22,742,199 | 52,571,290 | 44,401,446 | 9,862,479 | ||||||||||||
其他收入--非附属关系 |
— | 137,414 | 196,991 | 96,610 | ||||||||||||
总投资收益 |
22,907,516 | 53,752,272 | 45,694,924 | 9,972,312 | ||||||||||||
费用 |
||||||||||||||||
投资咨询 |
2,936,078 | 5,717,569 | 5,476,962 | 1,589,325 | ||||||||||||
会计服务 |
75,188 | 106,910 | 78,957 | 32,010 | ||||||||||||
保管人 |
64,145 | 42,530 | 27,114 | 19,970 | ||||||||||||
转移剂 |
44,158 | 68,452 | 4,043 | 21,863 | ||||||||||||
注册 |
8,689 | 12,110 | 13,294 | 3,929 | ||||||||||||
承诺成本 |
— | 108,821 | — | 25,604 | ||||||||||||
杂类 |
84,794 | 267,508 | 25,898 | 33,455 | ||||||||||||
总支出(不包括利息支出) |
3,213,052 | 6,323,900 | 5,626,268 | 1,726,156 | ||||||||||||
利息支出 |
871,568 | 3,593,861 | 1,398,146 | 836,074 | ||||||||||||
总费用 |
4,084,620 | 9,917,761 | 7,024,414 | 2,562,230 | ||||||||||||
更少: |
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经理免除和/或退还的费用 |
(3,231 | ) | (16,112 | ) | (3,305 | ) | (79 | ) | ||||||||
免除和/或报销费用后的总费用 |
4,081,389 | 9,901,649 | 7,021,109 | 2,562,151 | ||||||||||||
净投资收益 |
18,826,127 | 43,850,623 | 38,673,815 | 7,410,161 | ||||||||||||
已实现和未实现的收益(亏损) |
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净已实现收益(亏损)来自: |
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投资--非附属公司 |
(15,380,004 | ) | (10,010,831 | ) | (11,888,224 | ) | (1,936,367 | ) | ||||||||
投资-附属 |
— | (738,522 | ) | — | — | |||||||||||
远期外币兑换合约 |
561,113 | 2,932,157 | — | 103,033 | ||||||||||||
外币交易 |
(76,113 | ) | 36,054 | — | 3,564 | |||||||||||
期货合约 |
(5,093,903 | ) | 3,289,397 | 16,791,908 | — | |||||||||||
已写入选项 |
(4,116,630 | ) | (23,707 | ) | 576,973 | — | ||||||||||
掉期 |
5,446,533 | (1,348,937 | ) | 976,762 | 53,889 | |||||||||||
(18,659,004 | ) | (5,864,389 | ) | 6,457,419 | (1,775,881 | ) | ||||||||||
未实现增值(折旧)净变化如下: |
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投资--非附属公司 |
(172,635,502 | ) | (297,311,116 | ) | (315,260,461 | ) | (28,155,798 | ) | ||||||||
投资-附属 |
— | (576,952 | ) | — | — | |||||||||||
远期外币兑换合约 |
338,746 | 1,218,978 | — | 102,722 | ||||||||||||
外币折算 |
2,307 | (37,854 | ) | — | (164 | ) | ||||||||||
期货合约 |
(3,573,400 | ) | 229,035 | (11,081,811 | ) | — | ||||||||||
已写入选项 |
(88,306 | ) | (7,688 | ) | 3,804 | — | ||||||||||
掉期 |
1,055,745 | (3,962,228 | ) | (4,474,719 | ) | (344,860 | ) | |||||||||
无资金来源的浮动利率贷款利息 |
(17,327 | ) | (123,645 | ) | (11,533 | ) | (53,390 | ) | ||||||||
(174,917,737 | ) | (300,571,470 | ) | (330,824,720 | ) | (28,451,490 | ) | |||||||||
已实现和未实现净亏损 |
(193,576,741 | ) | (306,435,859 | ) | (324,367,301 | ) | (30,227,371 | ) | ||||||||
经营所致净资产净减少 |
$ | (174,750,614 | ) | $ | (262,585,236 | ) | $ | (285,693,486 | ) | $ | (22,817,210 | ) | ||||
(a) |
合并经营报表。 |
126 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
BHK | HYT (a) |
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截至六个月 06/30/22 (未经审计) |
截至的年度 12/31/21 |
截至六个月 06/30/22 (未经审计) |
截至的年度 12/31/21 |
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净资产增加(减少) |
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运营 |
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净投资收益 |
$ | 18,826,127 | $ | 38,808,459 | $ | 43,850,623 | $ | 93,004,873 | ||||||||
已实现净收益(亏损) |
(18,659,004 | ) | 18,970,678 | (5,864,389 | ) | 67,211,285 | ||||||||||
未实现升值(折旧)净变化 |
(174,917,737 | ) | (53,684,376 | ) | (300,571,470 | ) | (41,679,483 | ) | ||||||||
经营净资产净增加(减少) |
(174,750,614 | ) | 4,094,761 | (262,585,236 | ) | 118,536,675 | ||||||||||
分配给股东 (b) |
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从净投资收益和净已实现收益 |
(20,146,009 | ) (c) |
(56,675,846 | ) | (47,620,136 | ) (c) |
(98,245,910 | ) | ||||||||
资本返还 |
— | — | — | (15,806,301 | ) | |||||||||||
分配给股东导致的净资产减少 |
(20,146,009 | ) | (56,675,846 | ) | (47,620,136 | ) | (114,052,211 | ) | ||||||||
股本交易 |
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分配的再投资 |
267,474 | 925,044 | 1,065,866 | 3,779,473 | ||||||||||||
净资产 |
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净资产合计增加(减少) |
(194,629,149 | ) | (51,656,041 | ) | (309,139,506 | ) | 8,263,937 | |||||||||
期初 |
835,313,771 | 886,969,812 | 1,465,170,847 | 1,456,906,910 | ||||||||||||
期末 |
$ | 640,684,622 | $ | 835,313,771 | $ | 1,156,031,341 | $ | 1,465,170,847 | ||||||||
(a) |
合并净资产变动表。 |
(b) |
根据美国联邦所得税规定确定的年度期间的分配。 |
(c) |
净投资收入的一部分分配可被视为在财政年度结束时的资本返还或已实现净收益。 |
F I N A N C I A L S T A T E M E N T S |
127 |
BTZ | BGT | |||||||||||||||
截至六个月 06/30/22 (未经审计) |
截至的年度 12/31/21 |
截至六个月 06/30/22 (未经审计) |
截至的年度 12/31/21 |
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净资产增加(减少) |
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运营 |
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净投资收益 |
$ | 38,673,815 | $ | 79,256,091 | $ | 7,410,161 | $ | 14,622,796 | ||||||||
已实现净收益(亏损) |
6,457,419 | 21,968,234 | (1,775,881 | ) | 4,145,350 | |||||||||||
未实现升值(折旧)净变化 |
(330,824,720 | ) | (63,539,672 | ) | (28,451,490 | ) | (507,334 | ) | ||||||||
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经营净资产净增加(减少) |
(285,693,486 | ) | 37,684,653 | (22,817,210 | ) | 18,260,812 | ||||||||||
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分配给股东 (a) |
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从净投资收益 |
(39,226,232 | ) (b) |
(80,320,881 | ) | (7,236,924 | ) (b) |
(14,667,710 | ) | ||||||||
资本返还 |
— | (13,796,133 | ) | — | (2,693,947 | ) | ||||||||||
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分配给股东导致的净资产减少 |
(39,226,232 | ) | (94,117,014 | ) | (7,236,924 | ) | (17,361,657 | ) | ||||||||
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股本交易 |
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分配的再投资 |
— | 425,778 | 32,244 | 106,634 | ||||||||||||
股份回购计划所产生的股份赎回(包括交易成本) |
— | — | — | (419,729 | ) | |||||||||||
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来自股本交易的净资产净增加(减少) |
— | 425,778 | 32,244 | (313,095 | ) | |||||||||||
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净资产 |
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净资产合计增加(减少) |
(324,919,718 | ) | (56,006,583 | ) | (30,021,890 | ) | 586,060 | |||||||||
期初 |
1,412,146,565 | 1,468,153,148 | 300,712,147 | 300,126,087 | ||||||||||||
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期末 |
$ | 1,087,226,847 | $ | 1,412,146,565 | $ | 270,690,257 | $ | 300,712,147 | ||||||||
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(a) |
根据美国联邦所得税规定确定的年度期间的分配。 |
(b) |
净投资收入的一部分分配可被视为在财政年度结束时的资本返还或已实现净收益。 |
128 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
BHK | HYT (a) |
BTZ | BGT | |||||||||||||
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经营活动提供(用于)的现金 |
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营运净资产减少净额 |
$ | (174,750,614 | ) | $ | (262,585,236 | ) | $ | (285,693,486 | ) | $ | (22,817,210 | ) | ||||
对业务造成的净资产减少与业务活动提供的现金净额进行调整: |
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出售长期投资的收益和本金支付/支付 |
631,278,466 | 467,013,987 | 301,032,750 | 75,431,162 | ||||||||||||
购买长期投资 |
(624,227,324 | ) | (304,517,751 | ) | (251,533,691 | ) | (55,791,610 | ) | ||||||||
出售(购买)短期证券的净收益 |
7,888,692 | (2,241,674 | ) | 19,091,683 | (990,767 | ) | ||||||||||
摊销保费以及增加投资和其他费用的折扣 |
616,115 | 813,391 | 1,109,042 | (311,447 | ) | |||||||||||
实物支付收入 |
— | — | — | (106,894 | ) | |||||||||||
买入成交期权所支付的保费 |
(12,484,922 | ) | (391,480 | ) | (412,482 | ) | — | |||||||||
从期权中收到的保费 |
2,110,156 | 355,566 | 1,098,240 | — | ||||||||||||
已记入投资和期权的已实现净亏损 |
18,734,193 | 10,797,046 | 11,311,251 | 1,936,367 | ||||||||||||
投资、期权、掉期、外币换算和无资金来源的浮动利率贷款利息的未实现净折旧 |
174,088,542 | 300,762,651 | 315,268,190 | 28,106,466 | ||||||||||||
资产(增加)减少 |
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应收账款 |
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股息-附属 |
(16,567 | ) | (1,160 | ) | (12,336 | ) | (336 | ) | ||||||||
股息--非附属公司 |
— | 101,452 | — | — | ||||||||||||
利息--无关 |
61,700 | 1,949,759 | 1,054,085 | (1,196,568 | ) | |||||||||||
掉期 |
(5,298 | ) | (31,789 | ) | — | — | ||||||||||
期货合约的变动保证金 |
(814,076 | ) | 234 | (2,162,280 | ) | — | ||||||||||
集中清算掉期的变动保证金 |
— | — | — | (7,947 | ) | |||||||||||
已支付的掉期保费 |
(6,589 | ) | (21,729 | ) | — | — | ||||||||||
预付费用 |
(2,433 | ) | (16,928 | ) | 7,123 | (4,743 | ) | |||||||||
递延发售成本 |
(127,821 | ) | (163,261 | ) | — | — | ||||||||||
负债增加(减少) |
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收到的现金 |
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抵押品--逆回购协议 |
(270,000 | ) | — | — | — | |||||||||||
抵押品-场外衍生品 |
(480,000 | ) | (430,000 | ) | 410,000 | — | ||||||||||
应付款 |
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会计服务费 |
49,345 | 70,190 | 88,673 | 21,139 | ||||||||||||
托管费 |
48,411 | 20,687 | 19,586 | 14,000 | ||||||||||||
利息支出 |
361,258 | 373,070 | 105,401 | 110,611 | ||||||||||||
投资咨询费 |
(89,050 | ) | (226,835 | ) | (198,775 | ) | (29,432 | ) | ||||||||
受托人及高级人员的费用 |
(129,487 | ) | (261,113 | ) | (340,615 | ) | (99,789 | ) | ||||||||
其他应计费用 |
13,099 | (32,180 | ) | 24,925 | (4,075 | ) | ||||||||||
专业费用 |
(46,631 | ) | (94,239 | ) | (28,799 | ) | (37,641 | ) | ||||||||
转会代理费 |
21,068 | 34,614 | (69,803 | ) | 10,718 | |||||||||||
期货合约的变动保证金 |
1,032,886 | 213,045 | 1,912,508 | — | ||||||||||||
集中清算掉期的变动保证金 |
245,572 | — | 85,129 | — | ||||||||||||
收到的掉期保费 |
(45,881 | ) | 38,583 | — | — | |||||||||||
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经营活动提供的净现金 |
23,052,810 | 211,528,900 | 112,166,319 | 24,232,004 | ||||||||||||
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融资活动提供(用于)的现金 |
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支付给股东的现金股利 |
(32,201,866 | ) | (56,074,876 | ) | (46,694,256 | ) | (8,625,950 | ) | ||||||||
支付银行借款 |
— | (370,000,000 | ) | — | — | |||||||||||
银行借款收益 |
— | 217,000,000 | — | 46,000,000 | ||||||||||||
银行透支增加(减少) |
— | — | 106,960 | (30,118 | ) | |||||||||||
递延发售成本摊销 |
— | — | — | (62,000,000 | ) | |||||||||||
逆回购协议净借款 |
16,095,909 | — | (39,423,566 | ) | — | |||||||||||
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用于筹资活动的现金净额 |
(16,105,957 | ) | (209,074,876 | ) | (86,010,862 | ) | (24,656,068 | ) | ||||||||
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外汇波动对现金的影响 |
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外汇波动对现金的影响 |
5,351 | (4,349 | ) | — | (164 | ) | ||||||||||
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F I N A N C I A L S T A T E M E N T S |
129 |
BHK | HYT (a) |
BTZ | BGT | |||||||||||||
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现金和外币 |
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有限制和无限制现金和外币净增(减) |
$ | 6,952,204 | $ | 2,449,675 | $ | 26,155,457 | $ | (424,228 | ) | |||||||
期初有限制和无限制现金和外币 |
12,444,394 | 1,751,183 | 2,538,000 | 1,653,482 | ||||||||||||
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期末有限制和无限制现金和外币 |
$ | 19,396,598 | $ | 4,200,858 | $ | 28,693,457 | $ | 1,229,254 | ||||||||
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补充披露现金流量信息 |
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期内支付的利息支出现金 |
$ | 510,310 | $ | 3,220,791 | $ | 1,292,745 | $ | 725,463 | ||||||||
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非现金融资活动 |
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分配的再投资 |
$ | 267,474 | $ | 1,065,866 | $ | — | $ | 32,244 | ||||||||
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期末限制性和非限制性现金和外币与资产负债表的对账 |
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现金 |
$ | 1,231,811 | $ | 848,709 | $ | — | $ | 881,276 | ||||||||
质押现金 |
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抵押品--逆回购协议 |
9,548,039 | — | 20,758,457 | — | ||||||||||||
抵押品-场外衍生品 |
4,459,000 | 2,680,000 | — | — | ||||||||||||
期货合约 |
1,298,970 | 573,000 | 1,671,000 | — | ||||||||||||
集中清算的掉期 |
2,833,000 | — | 6,264,000 | 329,000 | ||||||||||||
等值外币 |
25,778 | 99,149 | — | 18,978 | ||||||||||||
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$ | 19,396,598 | $ | 4,200,858 | $ | 28,693,457 | $ | 1,229,254 | |||||||||
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(a) |
合并现金流量表。 |
130 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
BHK | ||||||||||||||||||||||||||||||||||
截至六个月 06/30/22 (未经审计) |
截至十二月三十一日止的年度: | 开始时间段 09/01/19 to 12/31/19 |
截至八月三十一日止的年度: | |||||||||||||||||||||||||||||||
2021 | 2020 | 2019 | 2018 | 2017 | ||||||||||||||||||||||||||||||
资产净值,期初 |
$ | 15.47 | $ | 16.45 | $ | 15.32 | $ | 15.79 | $ | 14.08 | $ | 14.96 | $ | 15.25 | ||||||||||||||||||||
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净投资收益 (a) |
0.35 | 0.72 | 0.72 | 0.22 | 0.66 | 0.72 | 0.76 | |||||||||||||||||||||||||||
已实现和未实现净收益(亏损) |
(3.59 | ) | (0.65 | ) | 1.24 | (0.36 | ) | 1.82 | (0.82 | ) | (0.27 | ) | ||||||||||||||||||||||
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投资业务净增(减) |
(3.24 | ) | 0.07 | 1.96 | (0.14 | ) | 2.48 | (0.10 | ) | 0.49 | ||||||||||||||||||||||||
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分配 (b) |
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从净投资收益 |
(0.37 | ) (c) |
(0.80 | ) | (0.64 | ) | (0.27 | ) | (0.73 | ) | (0.78 | ) | (0.78 | ) | ||||||||||||||||||||
从已实现净收益 |
— | (0.25 | ) | (0.19 | ) | (0.04 | ) | (0.04 | ) | — | — | |||||||||||||||||||||||
资本返还 |
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— | — | (0.02 | ) | — | — | — | ||||||||||||||||||||||||
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总分配 |
(0.37 | ) | (1.05 | ) | (0.83 | ) | (0.33 | ) | (0.77 | ) | (0.78 | ) | (0.78 | ) | ||||||||||||||||||||
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资产净值,期末 |
$ | 11.86 | $ | 15.47 | $ | 16.45 | $ | 15.32 | $ | 15.79 | $ | 14.08 | $ | 14.96 | ||||||||||||||||||||
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市场价,期末 |
$ | 11.32 | $ | 16.51 | $ | 16.30 | $ | 14.58 | $ | 14.56 | $ | 12.85 | $ | 14.10 | ||||||||||||||||||||
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总回报 (d) |
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以资产净值为基础 |
(20.99 | )% (e) |
0.50 | % (f) |
13.24 | % | (0.75 | )% (e) |
18.86 | % | (0.24 | )% | 3.88 | % | ||||||||||||||||||||
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以市场价格为基础 |
(29.34 | )% (e) |
8.25 | % | 17.90 | % | 2.43 | % (e) |
20.09 | % | (3.40 | )% | 4.20 | % | ||||||||||||||||||||
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对平均净资产的比率 (g) |
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总费用 |
1.12 | % (h) |
0.85 | % | 0.91 | % | 1.42 | % (h)(i) |
1.72 | % | 1.60 | % | 1.16 | % | ||||||||||||||||||||
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免除和/或报销费用后的总费用 |
1.12 | % (h) |
0.85 | % | 0.90 | % | 1.42 | % (h) |
1.72 | % | 1.60 | % | 1.16 | % | ||||||||||||||||||||
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免除和/或报销费用后的总费用,不包括利息费用 |
0.88 | % (h) |
0.81 | % | 0.75 | % | 0.79 | % (h) |
0.77 | % | 0.82 | % | 0.78 | % | ||||||||||||||||||||
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净投资收益 |
5.18 | % (h) |
4.50 | % | 4.52 | % | 4.15 | % (h) |
4.63 | % | 4.99 | % | 5.19 | % | ||||||||||||||||||||
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补充数据 |
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期末净资产(000) |
$ | 640,685 | $ | 835,314 | $ | 886,970 | $ | 826,349 | $ | 851,650 | $ | 759,385 | $ | 806,848 | ||||||||||||||||||||
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未偿还借款,截止日期 句号(000) |
$ | 421,979 | $ | 405,522 | $ | 296,921 | $ | 271,749 | $ | 273,621 | $ | 316,216 | $ | 289,078 | ||||||||||||||||||||
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投资组合流动率 (j) |
48 | % | 54 | % | 69 | % | 21 | % | 27 | % | 28 | % | 32 | % | ||||||||||||||||||||
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(a) 基于平均流通股。(b) 根据美国联邦所得税条例确定的年度期间的 分配。(c) 净投资收入的一部分分配可被视为在财政年度末的资本回报或已实现净收益。(d) 基于市场价格的总回报可能显著高于或低于资产净值,但可能会导致显著不同的回报。在适用的情况下,不包括任何销售费用的影响,并假设以实际再投资价格对分配进行再投资。(e) 合计总回报。(f) 包括一家附属公司的付款,这对基金的总回报没有影响。(g) 不包括因投资于相关基金而间接产生的费用和支出。(h) 年化。(i) 在费用比率的计算中, 审计费用没有按年率计算。如果这些费用按年计算,则总费用和免除和/或报销费用后的总费用将为1.45%。(j) 包括抵押贷款美元滚动交易(“MDR”)。有关投资组合流失率的其他信息如下: |
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截至六个月 06/30/22 (未经审计) |
截至十二月三十一日止的年度: | 开始时间段 09/01/19 to 12/31/19 |
截至八月三十一日止的年度: | |||||||||||||||||||||||||||||||
2021 |
2020 |
2019 |
2018 |
2017 |
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投资组合流动率(不包括MDR) |
37 | % | 34 | % | 55 | % | 11 | % | 27 | % | 28 | % | 32 | % | |||||||||||||||||||
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F I N A N C I A L H I G H L I G H T S |
131 |
HYT (a) |
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截至六个月 06/30/22 (未经审计) |
截至十二月三十一日止的年度: | 开始时间段 09/01/19 to 12/31/19 |
截至八月三十一日止的年度: | |||||||||||||||||||||||||||||
2021 |
2020 |
2019 |
2018 |
2017 |
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资产净值,期初 |
$ | 11.99 | $ | 11.95 | $ | 11.91 | $ | 11.82 | $ | 11.90 | $ | 12.22 | $ | 11.79 | ||||||||||||||||||
净投资收益 (b) |
0.36 | 0.76 | 0.79 | 0.25 | 0.79 | 0.83 | 0.85 | |||||||||||||||||||||||||
已实现和未实现净收益(亏损) |
(2.51 | ) | 0.21 | 0.18 | 0.22 | (0.01 | ) | (0.31 | ) | 0.47 | ||||||||||||||||||||||
投资业务净增(减) |
(2.15 | ) | 0.97 | 0.97 | 0.47 | 0.78 | 0.52 | 1.32 | ||||||||||||||||||||||||
分配 (c) |
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从净投资收益 |
(0.39 | ) (d) |
(0.80 | ) | (0.82 | ) | (0.35 | ) | (0.86 | ) | (0.84 | ) | (0.89 | ) | ||||||||||||||||||
资本返还 |
— | (0.13 | ) | (0.11 | ) | (0.03 | ) | — | — | — | ||||||||||||||||||||||
总分配 |
(0.39 | ) | (0.93 | ) | (0.93 | ) | (0.38 | ) | (0.86 | ) | (0.84 | ) | (0.89 | ) | ||||||||||||||||||
资产净值,期末 |
$ | 9.45 | $ | 11.99 | $ | 11.95 | $ | 11.91 | $ | 11.82 | $ | 11.90 | $ | 12.22 | ||||||||||||||||||
市场价,期末 |
$ | 9.53 | $ | 12.34 | $ | 11.43 | $ | 11.20 | $ | 10.51 | $ | 10.70 | $ | 11.13 | ||||||||||||||||||
总回报 (e) |
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以资产净值为基础 |
(18.17 | )% (f) |
8.42 | % | 9.57 | % | 4.28 | % (f) |
8.06 | % | 5.25 | % | 12.41 | % (g) | ||||||||||||||||||
以市场价格为基础 |
(19.82 | )% (f) |
16.66 | % | 11.45 | % | 10.28 | % (f) |
6.86 | % | 3.91 | % | 10.94 | % | ||||||||||||||||||
对平均净资产的比率 (h) |
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总费用 |
1.50 | % (i) |
1.35 | % | 1.50 | % | 1.92 | % (i)(j) |
2.19 | % | 1.99 | % | 1.54 | % | ||||||||||||||||||
免除和/或报销费用后的总费用 |
1.50 | % (i) |
1.34 | % | 1.49 | % | 1.92 | % (i) |
2.19 | % | 1.99 | % | 1.54 | % | ||||||||||||||||||
免除和/或报销费用后的总费用,不包括利息费用 |
0.95 | % (i) |
0.93 | % | 0.94 | % | 0.93 | % (i) |
0.92 | % | 0.94 | % | 0.91 | % | ||||||||||||||||||
净投资收益 |
6.64 | % (i) |
6.30 | % | 7.06 | % | 6.39 | % (i) |
6.87 | % | 6.88 | % | 7.04 | % | ||||||||||||||||||
补充数据 |
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期末净资产(000) |
$ | 1,156,031 | $ | 1,465,171 | $ | 1,456,907 | $ | 1,451,868 | $ | 1,440,436 | $ | 1,482,422 | $ | 1,545,622 | ||||||||||||||||||
未偿还借款,期末(000) |
$ | 494,000 | $ | 647,000 | $ | 685,000 | $ | 607,000 | $ | 486,000 | $ | 647,000 | $ | 649,000 | ||||||||||||||||||
资产覆盖范围,每1,000美元银行借款期末 |
$ | 3,340 | $ | 3,265 | $ | 3,127 | $ | 3,392 | $ | 3,965 | $ | 3,292 | $ | 3,382 | ||||||||||||||||||
投资组合流动率 |
16 | % | 54 | % | 82 | % | 20 | % | 64 | % | 65 | % | 75 | % | ||||||||||||||||||
(a) |
综合财务亮点。 |
(b) |
根据平均流通股计算。 |
(c) |
根据美国联邦所得税规定确定的年度期间的分配。 |
(d) |
净投资收入的一部分分配可被视为在财政年度结束时的资本返还或已实现净收益。 |
(e) |
基于市场价格的总回报可能显著高于或低于资产净值,但可能导致显著不同的回报。在适用的情况下,不包括任何销售费用的影响,并假设以实际再投资价格对分配进行再投资。 |
(f) |
合计总回报。 |
(g) |
包括从诉讼和解收到的收益,这对信托基金的总回报没有影响。 |
(h) |
不包括因投资于相关基金而间接产生的费用和支出。 |
(i) |
按年计算。 |
(j) |
在计算费用比率时,审计费用没有按年率计算。如果这些费用按年计算,则总费用和免除和/或报销费用后的总费用将为1.95%。 |
132 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
BTZ | ||||||||||||||||||||||||||||||
截至六个月 06/30/22 (未经审计) |
截至十二月三十一日止的年度: | 开始时间段 11/01/19 to 12/31/19 |
截至十月三十一日止的年度, | |||||||||||||||||||||||||||
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资产净值,期初 |
$ | 15.10 | $ | 15.71 | $ | 14.97 | $ | 14.94 | $ | 13.72 | $ | 14.88 | $ | 14.61 | ||||||||||||||||
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净投资收益 (a) |
0.41 | 0.85 | 0.84 | 0.13 | 0.79 | 0.81 | 0.81 | |||||||||||||||||||||||
已实现和未实现净收益(亏损) |
(3.46 | ) | (0.45 | ) | 0.91 | 0.15 | 1.25 | (1.17 | ) | 0.30 | ||||||||||||||||||||
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投资业务净增(减) |
(3.05 | ) | 0.40 | 1.75 | 0.28 | 2.04 | (0.36 | ) | 1.11 | |||||||||||||||||||||
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分配 (b) |
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从净投资收益 |
(0.42 | ) (c) |
(0.86 | ) | (0.85 | ) | (0.23 | ) | (0.79 | ) | (0.80 | ) | (0.79 | ) | ||||||||||||||||
资本返还 |
— | (0.15 | ) | (0.16 | ) | (0.02 | ) | (0.03 | ) | — | (0.05 | ) | ||||||||||||||||||
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总分配 |
(0.42 | ) | (1.01 | ) | (1.01 | ) | (0.25 | ) | (0.82 | ) | (0.80 | ) | (0.84 | ) | ||||||||||||||||
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资产净值,期末 |
$ | 11.63 | $ | 15.10 | $ | 15.71 | $ | 14.97 | $ | 14.94 | $ | 13.72 | $ | 14.88 | ||||||||||||||||
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市场价,期末 |
$ | 10.89 | $ | 15.05 | $ | 14.71 | $ | 13.98 | $ | 13.55 | $ | 11.72 | $ | 13.36 | ||||||||||||||||
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总回报 (d) |
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以资产净值为基础 |
(20.22 | )% (e) |
2.73 | % | 12.78 | % | 2.02 | % (e) |
16.17 | % | (1.72 | )% | 8.53 | % | ||||||||||||||||
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以市场价格为基础 |
(25.05 | )% (e) |
9.36 | % | 13.07 | % | 5.05 | % (e) |
23.34 | % | (6.49 | )% | 10.62 | % | ||||||||||||||||
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对平均净资产的比率 (f) |
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总费用 |
1.13 | % (g) |
1.12 | % | 1.35 | % | 1.68 | % (g)(h) |
2.26 | % | 1.82 | % | 1.23 | % | ||||||||||||||||
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免除和/或报销费用后的总费用 |
1.13 | % (g) |
1.12 | % | 1.35 | % | 1.68 | % (g) |
2.25 | % | 1.82 | % | 1.23 | % | ||||||||||||||||
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免除和/或报销费用后的总费用,不包括利息费用 |
0.91 | % (g) |
0.94 | % | 0.94 | % | 0.92 | % (g) |
1.08 | % | 0.94 | % | 0.87 | % | ||||||||||||||||
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净投资收益 |
6.23 | % (g) |
5.49 | % | 5.69 | % | 5.29 | % (g) |
5.57 | % | 5.69 | % | 5.53 | % | ||||||||||||||||
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补充数据 |
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期末净资产(000) |
$ | 1,087,227 | $ | 1,412,147 | $ | 1,468,153 | $ | 1,554,828 | $ | 1,551,243 | $ | 1,439,954 | $ | 1,598,034 | ||||||||||||||||
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未偿还借款,期末(000) |
$ | 547,698 | $ | 587,017 | $ | 614,172 | $ | 577,231 | $ | 568,461 | $ | 707,102 | $ | 477,822 | ||||||||||||||||
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投资组合流动率 |
14 | % | 20 | % | 34 | % | 2 | % | 18 | % | 30 | % | 25 | % | ||||||||||||||||
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(a) |
根据平均流通股计算。 |
(b) |
根据美国联邦所得税规定确定的年度期间的分配。 |
(c) |
净投资收入的一部分分配可被视为在财政年度结束时的资本返还或已实现净收益。 |
(d) |
基于市场价格的总回报可能显著高于或低于资产净值,但可能导致显著不同的回报。在适用的情况下,不包括任何销售费用的影响,并假设以实际再投资价格对分配进行再投资。 |
(e) |
合计总回报。 |
(f) |
不包括因投资于相关基金而间接产生的费用和支出。 |
(g) |
按年计算。 |
(h) |
在费用比率的计算中,审计费用没有按年率计算。如果这些费用按年率计算,总费用将为1.70%。 |
F I N A N C I A L H I G H L I G H T S |
133 |
BGT | ||||||||||||||||||||||||||||||
截至六个月 06/30/22 (未经审计) |
截至十二月三十一日止的年度: | 开始时间段 11/01/19 to 12/31/19 |
截至十月三十一日止的年度, | |||||||||||||||||||||||||||
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2021 |
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2020 |
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2019 |
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资产净值,期初 |
$ | 13.44 | $ | 13.40 | $ | 14.10 | $ | 13.95 | $ | 14.33 | $ | 14.49 | $ | 14.41 | ||||||||||||||||
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净投资收益 (a) |
0.33 | 0.65 | 0.66 | 0.12 | 0.80 | 0.76 | 0.73 | |||||||||||||||||||||||
已实现和未实现净收益(亏损) |
(1.35 | ) | 0.17 | (0.47 | ) | 0.26 | (0.37 | ) | (0.21 | ) | 0.12 | |||||||||||||||||||
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投资业务净增(减) |
(1.02 | ) | 0.82 | 0.19 | 0.38 | 0.43 | 0.55 | 0.85 | ||||||||||||||||||||||
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分配 (b) |
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从净投资收益 |
(0.32 | ) (c) |
(0.66 | ) | (0.69 | ) | (0.23 | ) | (0.81 | ) | (0.71 | ) | (0.77 | ) | ||||||||||||||||
资本返还 |
— | (0.12 | ) | (0.20 | ) | — | — | — | — | |||||||||||||||||||||
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总分配 |
(0.32 | ) | (0.78 | ) | (0.89 | ) | (0.23 | ) | (0.81 | ) | (0.71 | ) | (0.77 | ) | ||||||||||||||||
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资产净值,期末 |
$ | 12.10 | $ | 13.44 | $ | 13.40 | $ | 14.10 | $ | 13.95 | $ | 14.33 | $ | 14.49 | ||||||||||||||||
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市场价,期末 |
$ | 11.02 | $ | 13.99 | $ | 11.79 | $ | 12.87 | $ | 12.42 | $ | 12.72 | $ | 14.31 | ||||||||||||||||
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总回报 (d) |
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以资产净值为基础 |
(7.50 | )% (e) |
6.43 | % | 2.83 | % | 2.89 | % (e) |
4.00 | % | 4.25 | % | 6.13 | % | ||||||||||||||||
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以市场价格为基础 |
(19.07 | )% (e) |
25.91 | % | (0.88 | )% | 5.48 | % (e) |
4.31 | % | (6.30 | )% | 11.21 | % | ||||||||||||||||
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对平均净资产的比率 (f) |
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总费用 |
1.76 | % (g) |
1.61 | % | 1.72 | % | 2.11 | % (g) |
2.41 | % | 2.29 | % | 1.92 | % | ||||||||||||||||
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免除和/或报销费用后的总费用 |
1.76 | % (g) |
1.60 | % | 1.70 | % | 2.11 | % (g) |
2.41 | % | 2.29 | % | 1.92 | % | ||||||||||||||||
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免除和/或报销费用后的总费用,不包括利息费用 |
1.19 | % (g) |
1.19 | % | 1.17 | % | 1.28 | % (g) |
1.16 | % | 1.21 | % | 1.20 | % | ||||||||||||||||
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净投资收益 |
5.10 | % (g) |
4.82 | % | 5.13 | % | 5.23 | % (g) |
5.68 | % | 5.27 | % | 5.02 | % | ||||||||||||||||
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补充数据 |
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期末净资产(000) |
$ | 270,690 | $ | 300,712 | $ | 300,126 | $ | 323,708 | $ | 321,091 | $ | 339,096 | $ | 342,890 | ||||||||||||||||
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未偿还借款,期末(000) |
$ | 127,000 | $ | 143,000 | $ | 129,000 | $ | 130,000 | $ | 123,000 | $ | 142,000 | $ | 150,000 | ||||||||||||||||
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资产覆盖范围,每1,000美元银行借款期末 |
$ | 3,131 | $ | 3,103 | $ | 3,327 | $ | 3,490 | $ | 3,610 | $ | 3,389 | $ | 3,287 | ||||||||||||||||
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投资组合流动率 |
11 | % | 50 | % | 65 | % | 6 | % | 53 | % | 57 | % | 63 | % | ||||||||||||||||
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(a) |
根据平均流通股计算。 |
(b) |
根据美国联邦所得税规定确定的年度期间的分配。 |
(c) |
净投资收入的一部分分配可被视为在财政年度结束时的资本返还或已实现净收益。 |
(d) |
基于市场价格的总回报可能显著高于或低于资产净值,但可能导致显著不同的回报。在适用的情况下,不包括任何销售费用的影响,并假设以实际再投资价格对分配进行再投资。 |
(e) |
合计总回报。 |
(f) |
不包括因投资于相关基金而间接产生的费用和支出。 |
(g) |
按年计算。 |
134 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
1. |
组织 |
信任名称 |
在此称为 |
有组织的 |
多元化经营 分类 |
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贝莱德核心债券信托基金 |
BHK | 特拉华州 | 多样化 | |||||||||
贝莱德企业级高收益基金公司。 |
HYT | 马里兰州 | 多样化 | |||||||||
贝莱德信用分配收益信托基金 |
BTZ | 特拉华州 | 多样化 | |||||||||
贝莱德浮动利率收益信托基金 |
BGT | 特拉华州 | 多样化 | |||||||||
2. |
重大会计政策 |
N O T E S T O F I N A N C I A L S T A T E M E N T S |
135 |
3. |
投资估值与公允价值计量 |
• | 在认可证券交易所交易的股权投资,按照股票主要交易所在交易所当日的正式收盘价(如适用)估值。在认可交易所交易的股票投资,如果当天没有出售,可以按最后可用买入(多头头寸)或卖出(空头头寸)价格估值。 |
• | 容易获得市场报价的固定收益投资通常使用独立交易商或第三方定价服务提供的最后可用投标价格或当前市场报价进行估值。浮动利率贷款利息按从第三方定价服务获得的一个或多个独立经纪商或交易商的投标价格的平均值进行估值。定价服务通常对固定收益证券进行估值,假设固定收益证券的交易有序,但基金可能会以较小的、奇怪的批量持有或交易此类证券。单手交易价格可能低于机构轮交易价格。定价服务可以使用矩阵定价或估值模型,其利用某些输入和假设来导出价值,包括交易数据(例如,最近的代表性出价和报价)、市场数据、信用质量信息、感知的市场动向、新闻和其他相关信息。一定的 固定收益 证券,包括资产支持证券和抵押相关证券,可根据估值模型进行估值,该估值模型考虑实体每一部分的估计现金流,确定基准收益率,并根据该部分的独特属性,制定与基准收益率的估计部分特定利差。除非管理人认为摊销成本法不代表公允价值,否则可对剩余期限不超过60天的债务采用摊余成本法估值。 |
• | 交易所买卖基金(“ETF”)及 封闭式 在认可证券交易所交易的基金,按股票主要交易所在交易所当日的正式收市价(视何者适用而定)估值。ETF和封闭式 在认可交易所交易的基金,如当日没有售出,可按最后可得的买入(多头)或卖出(空头)价格估值。 |
• | 在以下方面的投资 开放式 美国共同基金(包括货币市场基金)的估值以当日公布的资产净值计算。 |
• | 期货合约的估值基于合约交易所在交易所当天最后一次报告的结算或交易价格。 |
136 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
• | 远期外币兑换合约按买入价和卖出价之间的平均值进行估值,并在纽约证券交易所收盘时根据当日标的货币的现行远期汇率确定。 |
• | 交易所交易期权的估值是在期权交易所在的期权市场收盘时,最后一次出价和要价之间的平均值。没有平均价格的交易所交易期权按最后买入(多头)或卖出(空头)价格估值。如果没有买入价或卖出价,将使用前一天的价格,除非确定前一天的价格不再反映期权的公允价值。 非处方药 |
• | 掉期协议利用独立定价服务机构或经纪商每天收到的报价进行估值,这些报价是使用每日掉期曲线和模型得出的,这些曲线和模型纳入了许多市场数据因素,如贴现现金流、相关参考工具的交易和价值。 |
第三方定价服务通常考虑的标准投入 | ||||
市场方法 |
(i) |
最近的市场交易,包括随后的几轮融资,在标的投资或可比发行人; | ||
(Ii) |
资本结构中的资本重组和其他交易;以及 | |||
(Iii) |
相当于可比发行商的市盈率。 | |||
收益法 |
(i) |
对未来现金流进行贴现,并根据流动性、信贷和/或市场风险进行适当调整; | ||
(Ii) |
类似投资或资产在活跃市场的报价;以及 | |||
(Iii) |
其他风险因素,如利率、收益率曲线、波动性、提前还款速度、损失严重性、信用风险、回收率、清算金额和/或违约率。 | |||
成本法 |
(i) |
经审计或未经审计的财务报表、投资者信息以及私人公司发布的财务或经营指标; | ||
(Ii) |
与私人公司相当的相关指数或上市公司的估值变化; | |||
(Iii) |
相关新闻和其他公共来源;以及 | |||
(Iv) |
已知的二级市场交易对私人公司的利益和公司的并购活动可与私人公司相媲美。 |
• | 第1级--活跃市场/交易所对每个信托有能力获得的相同资产或负债的未经调整的报价; |
• | 第2级--其他可观察到的投入(包括但不限于活跃市场中类似资产或负债的报价、不活跃市场中相同或类似资产或负债的报价、资产或负债可观察到的报价以外的投入(如利率、收益率曲线、波动性、提前还款速度、损失严重性、信用风险和违约率)或其他市场证实的投入);以及 |
N O T E S T O F I N A N C I A L S T A T E M E N T S |
137 |
• | 第3级--不可观察到的投入,以当时可获得的最佳信息为基础,但不可观察到的投入(包括全球估值委员会在确定金融工具公允价值时使用的假设)。 |
4. |
证券及其他投资 |
138 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
信任名称 |
借款人 |
帕尔 |
承诺 金额 |
价值 |
未实现 欣赏 (折旧) |
|||||||||||||
BHK |
AthenaHealth公司 | $ | 195,963 | $ | 195,963 | $ | 179,920 | $ | (16,043) | |||||||||
新Arclin美国控股公司。 | 16,201 | 16,120 | 14,913 | (1,207) | ||||||||||||||
HYT |
AthenaHealth公司 | 1,283,682 | 1,283,682 | 1,178,587 | (105,095) | |||||||||||||
新Arclin美国控股公司。 | 129,776 | 129,126 | 119,458 | (9,668) | ||||||||||||||
BTZ |
AthenaHealth公司 | 65,453 | 65,274 | 60,095 | (5,179) | |||||||||||||
新Arclin美国控股公司。 | 27,771 | 27,528 | 25,563 | (1,965) | ||||||||||||||
精密医疗集团有限责任公司 | 14,448 | 14,359 | 13,329 | (1,030) | ||||||||||||||
混响买家,Inc. | 52,158 | 52,165 | 48,806 | (3,359) | ||||||||||||||
N O T E S T O F I N A N C I A L S T A T E M E N T S |
139 |
信任名称 |
借款人 |
帕尔 |
承诺 金额 |
价值 |
未实现 欣赏 (折旧) |
|||||||||||||
BGT |
AthenaHealth公司 | $ | 302,121 | $ | 302,121 | $ | 277,386 | $ | (24,735) | |||||||||
CP Iris Holdco I,Inc. | 72,634 | 72,634 | 66,551 | (6,083) | ||||||||||||||
精密医疗集团有限责任公司 | 49,052 | 49,052 | 45,251 | (3,801) | ||||||||||||||
混响买家,Inc. | 289,637 | 288,395 | 271,028 | (17,367) | ||||||||||||||
三叉戟TPI控股公司 | 33,063 | 33,063 | 30,947 | (2,116) | ||||||||||||||
信任名称 |
平均金额 杰出的 |
加权平均 利率 |
||||||
BHK |
$ | 452,957,005 | 0.39 | % | ||||
BTZ |
529,556,428 | 0.53 |
140 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
|
||||||||||||||||||||||||||||||||
信托名称/交易对手 |
逆回购 协议 |
|
的公允价值 非现金抵押品 承诺包括 应计利息 |
(a) |
|
现金抵押品 已认捐/已收 |
(a) |
净额 |
||||||||||||||||||||||||
|
||||||||||||||||||||||||||||||||
BHK |
||||||||||||||||||||||||||||||||
巴克莱资本公司 |
$ | (654,417 | ) | $ | 654,417 | $ | — | $ | — | |||||||||||||||||||||||
法国巴黎银行 |
(149,957,522 | ) | 149,957,522 | — | — | |||||||||||||||||||||||||||
康托·菲茨杰拉德公司 |
(31,546,918 | ) | 31,546,918 | — | — | |||||||||||||||||||||||||||
法国农业信贷银行企业和投资银行 |
(24,295,984 | ) | 24,295,984 | — | — | |||||||||||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
(352,502 | ) | 352,502 | — | — | |||||||||||||||||||||||||||
汇丰证券(美国)有限公司 |
(92,696,272 | ) | 92,696,272 | — | — | |||||||||||||||||||||||||||
野村证券国际公司。 |
(88,610,525 | ) | 88,610,525 | — | — | |||||||||||||||||||||||||||
RBC资本市场有限责任公司 |
(10,578,470 | ) | 10,578,470 | — | — | |||||||||||||||||||||||||||
道明证券(美国)有限公司 |
(23,286,526 | ) | 23,286,526 | — | — | |||||||||||||||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||||||||||||||||
$ | (421,979,136 | ) | $ | 421,979,136 | $ | — | $ | — | ||||||||||||||||||||||||
|
|
|
|
|
|
|
|
(a) |
如有抵押品,价值434,131,128美元的抵押品已被质押,与未平仓逆回购协议有关。质押给个别交易对手的超额抵押品不为财务报告目的而显示。 |
|
||||||||||||||||||||||||||||||||
信托名称/交易对手 |
|
逆回购 e 协议 |
|
|
的公允价值 非现金抵押品 承诺包括 应计利息 |
(a) |
现金抵押品 已认捐/已收 |
(a) |
净额 |
|||||||||||||||||||||||
|
||||||||||||||||||||||||||||||||
BTZ |
||||||||||||||||||||||||||||||||
巴克莱资本公司 |
$ | (129,651,329 | ) | $ | 129,651,329 | $ | — | $ | — | |||||||||||||||||||||||
法国巴黎银行 |
(63,979,812 | ) | 63,979,812 | — | — | |||||||||||||||||||||||||||
瑞士信贷证券(美国)有限公司 |
(29,371,745 | ) | 29,371,745 | — | — | |||||||||||||||||||||||||||
RBC资本市场有限责任公司 |
(306,775,515 | ) | 306,775,515 | — | — | |||||||||||||||||||||||||||
道明证券(美国)有限公司 |
(17,920,051 | ) | 17,920,051 | — | — | |||||||||||||||||||||||||||
|
|
|
|
|
|
|
|
|||||||||||||||||||||||||
$ | (547,698,452 | ) | $ | 547,698,452 | $ | — | $ | — | ||||||||||||||||||||||||
|
|
|
|
|
|
|
|
(a) |
价值608,766,147美元的抵押品已被质押,与未平仓逆回购协议有关。质押给个别交易对手的超额抵押品不为财务报告目的而显示。 |
5. |
衍生金融工具 |
N O T E S T O F I N A N C I A L S T A T E M E N T S |
141 |
• | 掉期-信托可购买和承销掉期期权(“掉期”),主要是为了保留特定投资或信托所持部分的回报或利差,作为一种存续期管理技术,或防止其预期稍后购买的证券价格上涨。掉期的买方和卖方正在购买或授予在期权到期前的任何时间订立先前商定的利率或信用违约掉期协议(利率风险和/或信用风险)的权利。 |
• | 利率上限和下限-利率上限和下限是为了获得或减少对利率的敞口(利率风险和/或其他风险)。上限是一方同意向另一方支付款项,以换取溢价的协议,条件是利率指数超过指定的利率或“上限”。下限是一方同意向另一方支付款项,以换取溢价的协议,条件是利率指数降至指定利率以下,即“下限”。根据利率上限,基金未来可能需要支付的最大付款金额将是名义金额乘以利率指数现值与上限订立时的价值之间的差额确定的利率增加百分比。 |
• | 外币期权-信托可购买外币期权、外币期货和外币期货期权,以增加或减少对外币的敞口(外币汇率风险)。外币期权使购买者有权在期权到期前的任何时间从作者手中购买或向其出售外币。 |
142 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
• | 信用违约互换-订立信用违约互换是为了管理对市场或市场某些部门的风险敞口,以减少对公司和/或主权发行人违约的风险敞口,或创造对基金在其他方面没有敞口的公司和/或主权发行人的敞口(信用风险)。 |
• | 总回报互换-总回报互换是为了在不拥有证券或市场或直接投资于该市场的情况下获得对该证券或市场的敞口,或将一种证券或市场(如固定收益)的风险/收益与另一证券或市场(如股票或商品价格)交换(股票风险、商品价格风险和/或利率风险)。 |
• | 利率互换-利率互换是为了增加或减少对利率的敞口,或管理持续期、收益率曲线或利率(利率风险)。 |
N O T E S T O F I N A N C I A L S T A T E M E N T S |
143 |
6. |
与关联公司的投资咨询协议和其他交易 |
信任名称 |
投资 咨询费 |
|||
BHK |
0.50 | % | ||
BTZ |
0.62 | |||
BGT |
0.75 |
信任名称 |
免除和/或退还费用 由经理 |
|||
BHK |
$ | 3,231 | ||
HYT |
16,112 |
|||
BTZ |
3,305 | |||
BGT |
79 | |||
144 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
信任名称 |
购买 |
销售额 |
已实现净额 得(损) |
|||||||||
BHK |
$ | 3,863,624 | $ | 441,007 | $ | (172,975 | ) | |||||
HYT |
59,136 | 938,498 | 39,760 | |||||||||
BTZ |
163,445 | 549,077 | (77,795 | ) | ||||||||
7. |
购销 |
美国政府证券 | 其他证券 | |||||||||||||||
信任名称 |
购买 |
销售额 |
购买 |
销售额 |
||||||||||||
BHK |
$ | 10,061,736 | $ | 73,379,727 | $ | 554,225,254 | $ | 526,408,058 | ||||||||
HYT |
— | — | 307,653,957 | 501,683,990 | ||||||||||||
BTZ |
— | — | 252,327,821 | 300,493,490 | ||||||||||||
BGT |
— | — | 47,420,697 | 72,156,313 | ||||||||||||
信任名称 |
购买 |
销售额 |
||||||
BHK |
$ | 128,391,293 | $ | 128,436,775 | ||||
8. |
所得税信息 |
信任名称 |
未到期 |
|||
HYT |
$ | 121,511,509 | ||
BTZ |
11,269,126 | |||
BGT |
24,851,216 | |||
信任名称 |
税费 |
未实现总额 欣赏 |
未实现总额 折旧 |
未实现净额 欣赏 (折旧) |
||||||||||||
BHK |
$ | 1,187,529,702 | $ | 19,888,209 | $ | (118,927,761 | ) | $ | (99,039,552 | ) | ||||||
HYT |
1,854,288,067 | 14,665,116 | (267,839,542 | ) | (253,174,426 | ) | ||||||||||
BTZ |
1,724,514,242 | 30,710,382 | (183,303,302 | ) | (152,592,920 | ) | ||||||||||
BGT |
426,438,450 | 327,921 | (30,071,756 | ) | (29,743,835 | ) | ||||||||||
N O T E S T O F I N A N C I A L S T A T E M E N T S |
145 |
9. |
银行借款 |
信任名称 |
极大值 借入金额 |
平均金额 杰出的 |
日加权平均数 利率 |
|||||||||
HYT |
$ | 663,000,000 | $ | 587,707,182 | 1.23% | |||||||
BGT |
146,000,000 | 134,049,724 | 1.26 | |||||||||
10. |
主要风险 |
146 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
N O T E S T O F I N A N C I A L S T A T E M E N T S |
147 |
11. |
股本交易 |
信任名称 |
截至六个月 06/30/22 |
截至的年度 12/31/21 |
||||||
BHK |
17,666 | 57,910 | ||||||
HYT |
101,463 | 311,681 | ||||||
BTZ |
— | 28,104 | ||||||
BGT |
2,386 | 7,902 | ||||||
12. |
后续事件 |
信任名称 |
申报 日期 |
记录 日期 |
应付/ 支付日期 |
每股股息 普通股 |
||||||||||||
BHK |
07/01/22 | 07/15/22 | 07/29/22 | $ | 0.074600 | |||||||||||
08/01/22 | 08/15/22 | 08/31/22 | 0.074600 | |||||||||||||
HYT |
07/01/22 | 07/15/22 | 07/29/22 | 0.077900 | ||||||||||||
08/01/22 | 08/15/22 | 08/31/22 | 0.077900 | |||||||||||||
BTZ |
07/01/22 | 07/15/22 | 07/29/22 | 0.083900 | ||||||||||||
08/01/22 | 08/15/22 | 08/31/22 | 0.083900 | |||||||||||||
BGT |
07/01/22 | 07/15/22 | 07/29/22 | 0.064700 | ||||||||||||
08/01/22 | 08/15/22 | 08/31/22 | 0.064700 |
148 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
D I S C L O S U R E O F I N V E S T M E N T A D V I S O R Y A G R E E M E N T S A N D S U B - A D V I S O R Y A G R E E M E N T S |
149 |
150 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
D I S C L O S U R E O F I N V E S T M E N T A D V I S O R Y A G R E E M E N T S A N D S U B - A D V I S O R Y A G R E E M E N T S |
151 |
152 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
A D D I T I O N A L I N F O R M A T I O N |
153 |
154 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
投资顾问 |
传输代理 | |
贝莱德顾问有限责任公司 | 北卡罗来纳州计算机共享信托公司 | |
邮编:19809,威尔明顿 | 马萨诸塞州坎顿,邮编:02021 | |
副顾问 |
独立注册会计师事务所 | |
贝莱德国际有限公司 | 德勤律师事务所 | |
爱丁堡,EH3 8BL | 马萨诸塞州波士顿,邮编:02116 | |
英国 | ||
法律顾问 | ||
贝莱德(新加坡)有限公司 (a) |
Willkie Farr&Gallagher LLP | |
079912新加坡 | 纽约州纽约市,邮编:10019 | |
会计代理和托管人 |
信托基金的地址 | |
道富银行信托公司 | 贝尔维尤大道100号 | |
马萨诸塞州波士顿,邮编:02111 | 邮编:19809,威尔明顿 | |
(a) 对于BHK和BTZ。 |
A D D I T I O N A L I N F O R M A T I O N |
155 |
货币缩写 | ||
计算机辅助设计 | 加元 | |
欧元 | 欧元 | |
英镑 | 英磅 | |
美元 | 美元 | |
投资组合缩写 | ||
年度股东大会 | 保证担保市政公司 | |
巴布 | 打造美国债券 | |
驾驶室 | 资本增值债券 | |
CDI | 佳洁士存托利息 | |
克罗 | 抵押贷款债券 | |
CMT | 恒定到期日国债 | |
发援会 | 指定活动公司 | |
浸渍 | 占有债务人 | |
etf | 交易所买卖基金 | |
Euribor | 欧元银行同业拆借利率 | |
去 | 一般义务债券 | |
伦敦银行同业拆借利率 | 伦敦银行间同业拆借利率 | |
PCL | 公众股份有限公司 | |
PIK | 实物支付 | |
RB | 收入债券 | |
房地产投资信托基金 | 房地产投资信托基金 | |
标普(S&P) | 标准普尔 | |
软性 | 有担保的隔夜融资利率 | |
索尼娅 | 英镑隔夜银行间平均利率 | |
TBA | 待公布 |
156 |
2 0 2 2 B L A C K R O C K S E M I - A N N U A L R E P O R T T O S H A R E H O L D E R S |
|
(B)不适用
第2项-- | 道德守则-不适用于本半年度报告 |
第3项-- | 审计委员会财务专家-不适用于本半年度报告 |
第4项-- | 首席会计师费用及服务-不适用于本半年度报告 |
第5项-- | 上市注册人审计委员会-不适用于本半年度报告 |
第6项-- | 投资 |
(A)注册人的投资明细表是根据本表格第1(A)项提交给股东的报告的一部分。
(B)不适用,因为自上一份表格N-CSR提交以来,在所涵盖的半年度期间没有此类撤资。
第7项-- | 披露封闭式管理投资公司的代理投票政策和程序-不适用于本半年度报告 |
第8项-- | 封闭式管理投资公司的投资组合经理 |
(A)不适用于本半年度报告。
(B)截至本文件提交之日,最近一份N-CSR年度报告中确定的投资组合经理没有任何变动。
项目9-- | 封闭式管理投资公司及关联购买者购买股票证券-由于在本报告所述期间没有购买此类证券,因此不适用。 |
Item 10 – | 将事项提交证券持有人表决--这些程序没有实质性变化。 |
Item 11 – | 控制和程序 |
(A)注册人的主要行政人员和主要财务官,或履行类似职能的人,根据对规则所要求的这些控制和程序的评估,认为注册人的披露控制和程序(如1940年《投资公司法》(下称《1940年法案》)下的规则30a-3(C)所界定)在提交本报告之日起90天内有效30a-3(b)根据1940年法案和修订后的1934年证券交易法第13a-15(B)条。
(B)在本报告所述期间,注册人对财务报告的内部控制(根据1940年法案规则30a-3(D)的定义)没有发生重大影响或合理地可能对注册人的财务报告内部控制产生重大影响的变化。
Item 12 – | 封闭式管理投资公司证券借贷活动披露-不适用于本半年度报告 |
Item 13 – | 附件所附展品 |
(A)(1)道德守则--不适用于本半年度报告
(A)(2)附第302条证书
(A)(3)根据规则23c-1发出的任何购买证券的书面邀请书--不适用
(A)(4)变更注册人的独立注册会计师--不适用
(B)附上第906条证书
(C)根据《1940年法令》第6(C)条发出的关于豁免1940年法令第19(B)节和《1940年法令》第19b-1条规定豁免登记人普通股股东的通知,日期为2009年5月9日1
(101)内联交互数据文件-实例文档不会出现在交互数据文件中,因为它的XBRL标记嵌入在内联XBRL文档中。
1 | 该基金已获得美国证券交易委员会的豁免,允许其每年以12次的频率定期分配与其已发行普通股有关的长期资本收益,并按照其已发行优先股的条款规定或根据其已发行优先股的条款进行分配。这种救济在一定程度上是以基金承诺向基金普通股持有者披露信息为条件的,以及1940年法案第19(A)节和规则19a-1所要求的信息。基金同样有义务向美国证券交易委员会提交致股东的任何该等通知所载的资料,并在此附上期间发出的每份该等通知的副本。 |
根据1934年《证券交易法》和1940年《投资公司法》的要求,注册人已正式授权下列签署人代表其签署本报告。
贝莱德企业级高收益基金公司。
发信人: | /s/ John M. Perlowski | |||
约翰·M·佩洛夫斯基 | ||||
行政总裁(首席行政人员) | ||||
贝莱德企业级高收益基金公司。 |
日期:2022年8月19日
根据1934年《证券交易法》和1940年《投资公司法》的要求,本报告已由下列人员以登记人的身份在下列日期签署。
发信人: | /s/ John M. Perlowski | |||
约翰·M·佩洛夫斯基 | ||||
行政总裁(首席行政人员) | ||||
贝莱德企业级高收益基金公司。 |
日期:2022年8月19日
发信人: | /s/ Trent Walker | |||
特伦特·沃克 | ||||
首席财务官(首席财务官) | ||||
贝莱德企业级高收益基金公司。 |
日期:2022年8月19日