BLACKROCK STRATEGIC MUN TR - COM (BSD) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q2 2021

Type / Class
Equity / COM
Symbol
BSD
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors

Institutional Holders of BLACKROCK STRATEGIC MUN TR - COM (BSD) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2021 Q2 0 $0 -$12,797,000 0
2021 Q1 876,550 $12,797,000 -$854,649 $14.60 22
2020 Q4 602,757 $8,605,000 +$467,498 $14.28 23
2020 Q3 569,986 $7,598,532 +$80,216 $13.33 21
2020 Q2 563,971 $7,395,000 +$793,548 $13.11 19
2020 Q1 503,462 $6,465,000 -$1,529,704 $12.84 19
2019 Q4 617,909 $8,670,000 -$1,386,309 $14.03 22
2019 Q3 716,486 $10,296,081 -$323,768 $14.37 22
2019 Q2 739,387 $10,565,000 +$585,241 $14.29 22
2019 Q1 698,480 $9,306,000 -$1,213,299 $13.33 20
2018 Q4 853,486 $10,188,000 +$2,003,204 $11.91 26
2018 Q3 718,373 $8,795,000 +$606,685 $12.24 29
2018 Q2 666,691 $8,420,000 +$1,799,791 $12.63 31
2018 Q1 524,181 $6,678,000 +$376,470 $12.69 25
2017 Q4 503,291 $6,884,000 +$961,897 $13.67 20
2017 Q3 432,919 $6,207,000 -$652,991 $14.36 20
2017 Q2 462,911 $6,348,604 -$1,611,431 $13.71 20
2017 Q1 581,354 $7,801,000 -$726,469 $13.44 22
2016 Q4 634,363 $8,563,000 -$215,970 $13.49 23
2016 Q3 658,638 $9,826,458 -$14,407 $14.92 26
2016 Q2 658,882 $10,281,913 -$4,344,440 $15.58 23
2016 Q1 1,046,259 $14,008,171 +$4,294,107 $14.53 21
2015 Q4 677,724 $9,388,695 +$1,775,055 $13.85 23
2015 Q3 614,002 $8,331,998 +$1,162,000 $13.57 20
2015 Q2 528,913 $6,907,142 -$182,003 $13.06 22
2015 Q1 543,073 $7,515,688 -$611,454 $13.84 23
2014 Q4 587,328 $8,267,233 +$1,070,641 $14.08 25
2014 Q3 532,703 $7,078,154 +$872,974 $13.28 25
2014 Q2 447,026 $6,044,477 +$400,657 $13.52 23
2014 Q1 425,595 $5,455,512 -$5,613 $12.82 24