BLACKROCK INVESTMENT QUALITY MUNICIPAL TRUST, INC. - COM (BKN)

Historical Holders from Q1 2014 to Q4 2025

Type / Class
Equity / COM
Symbol
BKN on NYSE
Price per share
$11.20
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
4,604,193
Total reported value
$52,199,498
% of total 13F portfolios
0%
Share change
-116,430
Value change
-$1,268,116
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
64
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, BLACKROCK INVESTMENT QUALITY MUNICIPAL TRUST, INC. - COM (BKN) has 64 institutional shareholders filing 13F forms. They hold 4,604,193 shares. .

Institutional Holders of BLACKROCK INVESTMENT QUALITY MUNICIPAL TRUST, INC. - COM (BKN) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 71,597 $801,890 +$16,453 1,120% 3
2025 Q3 4,604,193 $52,199,498 -$1,268,116 1,134% 64
2025 Q2 4,720,623 $51,548,990 +$2,594,627 1,092% 67
2025 Q1 4,490,084 $51,577,168 +$4,385,413 1,149% 65
2024 Q4 4,148,143 $46,234,940 +$2,159,838 1,115% 67
2024 Q3 3,952,011 $51,037,474 -$3,021,483 1,292% 60
2024 Q2 4,192,712 $50,207,766 -$1,909,860 1,197% 62
2024 Q1 4,350,683 $53,921,183 -$4,676,368 1,241% 63
2023 Q4 4,739,114 $56,272,109 +$5,151,534 1,186% 64
2023 Q3 4,317,013 $43,689,441 +$4,422,659 1,012% 61
2023 Q2 3,820,107 $44,462,816 +$7,274,599 1,163% 68
2023 Q1 3,193,797 $38,512,763 +$5,077,625 1,207% 58
2022 Q4 2,832,626 $33,095,973 +$7,622,017 1,166% 60
2022 Q3 2,125,253 $26,623,553 -$409,571 1,252.22% 55
2022 Q2 2,151,404 $29,274,961 +$1,625,885 1,360.37% 55
2022 Q1 2,027,133 $29,132,617 -$4,882,460 1,437.92% 55
2021 Q4 2,318,665 $40,275,087 -$5,033,787 1,735.03% 57
2021 Q3 2,531,372 $43,707,669 +$951,409 1,726.03% 57
2021 Q2 2,475,329 $45,663,020 -$3,880,300 1,844.98% 53
2021 Q1 2,690,586 $47,385,880 -$3,990,345 1,761.02% 53
2020 Q4 2,582,957 $44,378,712 +$4,335,403 1,717.97% 50
2020 Q3 2,341,046 $36,611,967 -$2,003,900 1,563.6% 47
2020 Q2 2,433,764 $37,604,243 -$2,161,131 1,544.97% 47
2020 Q1 2,573,485 $38,943,092 +$525,514 1,513.23% 47
2019 Q4 2,530,699 $39,425,560 +$1,159,276 1,557.93% 46
2019 Q3 2,426,106 $37,779,481 -$225,506 1,556.05% 45
2019 Q2 2,444,142 $36,558,444 -$9,520,250 1,494.04% 49
2019 Q1 3,107,497 $43,975,609 +$985,124 1,413.79% 59
2018 Q4 3,035,193 $40,129,176 +$5,385,743 1,320.98% 56
2018 Q3 2,616,748 $34,730,253 +$1,468,872 1,327.28% 56
2018 Q2 2,513,636 $35,918,156 +$4,049,685 1,407.06% 55
2018 Q1 2,218,413 $30,458,898 +$7,382,227 1,372.94% 54
2017 Q4 1,685,929 $25,151,840 +$2,123,139 1,491.99% 50
2017 Q3 1,522,020 $22,763,382 +$1,733,151 1,496.01% 42
2017 Q2 1,374,443 $20,377,660 +$2,069,375 1,482.87% 43
2017 Q1 1,235,889 $17,895,960 -$3,550,064 1,448.06% 40
2016 Q4 1,481,966 $21,772,000 +$4,019,040 1,468.56% 47
2016 Q3 1,206,406 $20,565,000 +$110,167 1,708.81% 33
2016 Q2 1,198,763 $21,423,000 +$411,363 1,788.97% 35
2016 Q1 1,181,299 $19,550,000 -$787,521 1,653.08% 36
2015 Q4 1,233,834 $19,011,000 +$1,977,290 1,538.82% 42
2015 Q3 981,456 $14,641,000 +$512,791 1,489.98% 32
2015 Q2 939,236 $13,672,368 -$423,679 1,453.79% 30
2015 Q1 948,242 $15,106,600 -$3,295,687 1,595.18% 24
2014 Q4 1,151,967 $18,926,678 +$122,994 1,642.96% 28
2014 Q3 1,154,272 $17,582,099 +$2,552,639 1,522.83% 32
2014 Q2 996,400 $15,104,609 +$1,003,203 1,515.77% 30
2014 Q1 929,352 $13,383,000 -$1,040,733 1,440.04% 27