BLACKROCK MUNIYIELD CALIF FD - COM (MYC) Institutional Ownership

13F Institutional Holders and Ownership History from Q1 2014 to Q2 2022

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

Institutional Holders of BLACKROCK MUNIYIELD CALIF FD - COM (MYC) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (Median) Investors
2022 Q2 0 $0 -$69,963,000 0
2022 Q1 5,372,265 $69,963,000 +$4,269,753 $13.02 47
2021 Q4 5,044,916 $75,920,000 +$2,470,340 $15.05 42
2021 Q3 4,832,909 $73,413,000 +$3,573,577 $15.19 42
2021 Q2 4,597,361 $70,772,000 +$3,458,851 $15.39 41
2021 Q1 4,361,035 $64,370,886 +$3,287,757 $14.74 42
2020 Q4 3,911,118 $57,865,000 +$3,429,776 $14.79 44
2020 Q3 3,669,542 $50,843,000 +$609,733 $13.85 39
2020 Q2 3,672,997 $51,271,000 +$2,248,626 $13.93 38
2020 Q1 3,516,881 $46,572,000 +$2,750,621 $13.23 40
2019 Q4 3,307,664 $46,697,000 +$1,039,316 $14.12 39
2019 Q3 3,233,947 $46,454,358 +$1,248,023 $14.37 40
2019 Q2 3,144,651 $44,140,000 -$649,750 $14.04 36
2019 Q1 3,192,063 $42,663,000 -$479,993 $13.37 40
2018 Q4 3,229,911 $41,696,000 +$1,400,772 $12.91 36
2018 Q3 3,105,789 $40,034,000 +$1,243,817 $12.73 38
2018 Q2 3,004,012 $40,277,000 +$4,986,565 $13.32 41
2018 Q1 2,625,734 $35,082,000 +$2,350,955 $13.33 36
2017 Q4 2,415,722 $35,730,000 +$3,595,815 $14.79 34
2017 Q3 2,132,528 $32,948,000 +$545,750 $15.45 27
2017 Q2 2,097,703 $31,848,000 -$1,219,182 $15.19 28
2017 Q1 2,198,173 $32,381,000 +$2,133,767 $14.73 32
2016 Q4 2,052,237 $31,340,000 -$84,157 $15.27 27
2016 Q3 2,015,209 $34,614,000 +$2,016,673 $17.18 25
2016 Q2 1,842,378 $32,105,000 -$520,691 $17.42 23
2016 Q1 1,871,176 $31,657,000 -$2,409,054 $16.92 21
2015 Q4 2,023,291 $32,024,000 -$1,500,682 $15.82 24
2015 Q3 2,104,679 $33,345,000 -$1,030,312 $15.84 22
2015 Q2 2,171,119 $32,772,246 -$246,744 $15.09 23
2015 Q1 2,186,725 $34,635,210 -$911,862 $15.84 22
2014 Q4 2,229,577 $34,447,845 +$1,057,911 $15.45 21
2014 Q3 2,096,519 $31,764,716 +$1,376,393 $15.15 23
2014 Q2 2,036,874 $30,776,514 +$794,601 $15.11 24
2014 Q1 1,983,293 $29,156,437 -$1,087,320 $14.70 22