BLACKROCK DEBT STRATEGIES FUND, INC. - COM NEW (DSU)

Historical Portfolio Holders from Q4 2016 to Q3 2024

All holders as of September 30, 2024
Q3 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q3 2024
10.8M
Holdings value Q3 2024
$120M
Value change Q3 2024
+$5.98M
Grand Portfolio weight change Q3 2024
+0%
Number of holders
83
Number of buys Q3 2024
42
Number of sells Q3 2024
-21
Average buys Q3 2024 %
+0%
Average sells Q3 2024 %
0%
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q3 10.8M $120M +$5.98M $11.03 83
2024 Q2 10.3M $111M -$4.41M $10.84 74
2024 Q1 10.7M $118M -$8.39M $11.06 81
2023 Q4 11.5M $124M -$9.59M $10.79 79
2023 Q3 12.5M $128M -$6.69M $10.27 83
2023 Q2 13.1M $128M -$6.59M $9.79 86
2023 Q1 13.8M $131M +$3.78M $9.51 96
2022 Q4 13.4M $123M -$2.34M $9.20 98
2022 Q3 13.6M $122M -$1.95M $8.92 92
2022 Q2 13.4M $123M +$17.2M $9.14 89
2022 Q1 12.3M $128M -$1.01M $10.42 87
2021 Q4 11.9M $140M +$6.16M $11.70 84
2021 Q3 11.8M $136M -$12.7M $11.54 84
2021 Q2 12.7M $145M -$7.38M $11.45 84
2021 Q1 13.5M $149M -$11.5M $11.00 83
2020 Q4 14.6M $153M -$83.2K $10.45 84
2020 Q3 14.3M $142M -$10.7M $9.94 79
2020 Q2 15.3M $143M -$15.2M $9.33 76
2020 Q1 17M $144M -$3.95M $8.45 77
2019 Q4 16.4M $184M -$15.6M $11.20 79
2019 Q3 18.2M $196M -$7.77M $10.75 84
2019 Q2 18.9M $204M -$16.3M $10.77 78
2019 Q1 20.5M $219M -$4.8M $10.72 80
2018 Q4 20.9M $204M +$5.24M $9.77 84
2018 Q3 19.8M $220M -$4.65M $11.14 78
2018 Q2 20.2M $226M -$51.3M $11.18 75
2018 Q1 24.8M $288M +$1.01M $11.62 77
2017 Q4 24.7M $289M -$502K $11.70 74
2017 Q3 24.7M $288M -$3.5M $11.67 74
2017 Q2 24.9M $288M +$9.33M $11.54 72
2017 Q1 24.2M $279M +$33.6M $11.52 70
2016 Q4 21.3M $242M +$242M $11.34 66