Most recent declared

Data as of

9/30/2023 (Unless Noted Otherwise)

Closed-End Municipal Funds

Economic

Latest

3 Month

Distribution

3 Month

Leverage

Through TOBs

1 Month

Declared

Avg Earned

Coverage

Current UNII

Avg UNII

Through VRDP

or Reverse

Cost of

Ticker

Distribution1

Rate2

Ratio3

Balance4

Balance5

or VMTP (%)6

Repo (%)7

Financing8

National

BlackRock Municipal Income Fund

MUI

0.034000

0.034368

101.1%

0.001513

(0.005508)

37.5%

3.9%

4.65%

BlackRock MuniAssets Fund

MUA

0.040500

0.038336

94.7%

(0.003946)

(0.028660)

30.2%

0.8%

4.79%

BlackRock MuniHoldings Fund

MHD

0.035500

0.035855

101.0%

0.002413

(0.007785)

34.5%

0.9%

5.06%

BlackRock MuniHoldings Quality Fund II

MUE

0.029000

0.028082

96.8%

(0.000902)

(0.016392)

35.5%

0.7%

5.04%

BlackRock MuniVest Fund

MVF

0.021000

0.020874

99.4%

0.000267

(0.011132)

33.4%

3.0%

4.87%

BlackRock MuniVest Fund II

MVT

0.031500

0.033090

105.0%

0.003304

(0.021813)

37.2%

0.0%

5.00%

BlackRock MuniYield Fund

MYD

0.036500

0.036887

101.1%

(0.000304)

(0.024271)

32.6%

1.5%

4.58%

BlackRock MuniYield Quality Fund III

MYI

0.040500

0.038014

93.9%

(0.006167)

(0.005749)

28.2%

11.3%

4.62%

BlackRock MuniYield Quality Fund

MQY

0.043500

0.040775

93.7%

(0.007098)

(0.023395)

33.1%

3.0%

4.49%

BlackRock MuniYield Quality Fund II

MQT

0.035000

0.033471

95.6%

(0.003891)

(0.013329)

31.1%

5.3%

4.81%

BlackRock Long-Term Municipal Advantage Trust

BTA

0.043500

0.032893

75.6%

(0.022260)

(0.021656)

36.1%

4.0%

4.59%

BlackRock Municipal Income Quality Trust

BYM

0.038000

0.035636

93.8%

(0.005173)

(0.019295)

29.1%

7.0%

4.90%

BlackRock Municipal Income Trust II

BLE

0.034000

0.033438

98.3%

(0.001220)

(0.027935)

35.3%

3.1%

4.90%

BlackRock Municipal Income Trust

BFK

0.030500

0.031482

103.2%

0.002964

(0.023023)

36.4%

0.0%

4.87%

BlackRock Investment Quality Municipal Trust

BKN

0.039500

0.037921

96.0%

(0.004708)

(0.029713)

37.0%

2.0%

4.84%

California

BlackRock MuniHoldings CA Quality Fund

MUC

0.033500

0.032853

98.1%

(0.002457)

(0.021675)

30.7%

5.8%

4.37%

BlackRock CA Municipal Income Trust

BFZ

0.039000

0.029485

75.6%

0.014376

0.013791

30.3%

6.2%

4.36%

Michigan

BlackRock MuniYield Michigan Quality Fund, Inc.

MIY

0.034500

0.032810

95.1%

(0.004939)

(0.021581)

40.2%

0.0%

4.64%

New Jersey

BlackRock MuniHoldings New Jersey Quality Fund,

MUJ

0.037500

0.035575

94.9%

(0.004665)

(0.034669)

38.5%

1.8%

4.52%

New York

BlackRock MuniHoldings New York Quality Fund, In

MHN

0.033500

0.029472

88.0%

(0.009138)

(0.027874)

42.1%

0.4%

4.60%

BlackRock MuniYield New York Quality Fund, Inc.

MYN

0.031500

0.028748

91.3%

(0.006118)

(0.021541)

37.0%

1.9%

4.61%

BlackRock New York Municipal Income Trust

BNY

0.030500

0.029233

95.8%

(0.003843)

(0.027062)

40.5%

0.3%

4.60%

Pennsylvania

BlackRock MuniYield Pennsylvania Quality Fund

MPA

0.034000

0.030772

90.5%

(0.006224)

(0.029458)

33.7%

3.1%

4.69%

Virginia

BlackRock Virginia Municipal Bond Trust

BHV

0.026500

0.022511

84.9%

(0.001547)

(0.021885)

39.4%

0.0%

5.24%

Target Term Trust

BlackRock Municipal Target Term Trust

BTT

0.046400

0.044987

97.0%

0.481352

0.413330

31.3%

2.9%

4.44%

BlackRock Municipal 2037 Target Term Trust

BMN

0.093750

0.088000

93.9%

0.043811

0.048876

0.0%

0.0%

NA

Taxable

BlackRock Taxable Municipal Bond Trust

BBN

0.092900

0.072507

78.0%

(0.222426)

(0.201826)

0.0%

33.1%

5.62%

  • Distribution declared on 10/2/2023. Not reflected in 3-month average UNII ending balances.
  • Represents estimated Average Earned Income per share over the past three months, as of 9/30/2023
  • Distribution Coverage Ratio is calculated by dividing 3 Month Avg. Earned Rate. by the Latest Declared Distribution

4 Represents the Undistributed Net Investment Income balance as of 9/30/2023

  • Represents an Estimate of Average Undistributed Net Investment Income balance over the past three months, as of 9/30/2023
  • Represents % of Total Assets represented by variable rate demand preferred shares or variable Muni term preferred shares outstanding, as of 9/30/2023
    7 Represents % of Total Assets represented by economic exposure to investment securities through municipal tender option bonds or reverse repo, as of 8 Represents annualized costs of leverage for the month of August.
    In tax-exempt funds, income may be subject to state and local taxes, as well as the alternative federal minimum tax.
    Capital gains, if any, will be subject to taxes. Income for state specific funds may be exempt from state and local taxes for in-state residents only. The information provided is not tax or investment advice. Each investor's tax and investment considerations may be different.
    BlackRock does not provide tax advice. Distributions and yields may be affected by: 1) changes in the portfolio as when bonds paying higher interest rates are called or mature and are replaced by bonds paying lower current interest rates and 2) in the case of leveraged funds, by changes in the variable rate paid by the fund for leverage. Current year distributions are not classified as "Income", "Short-Term Capital Gains", "Long Term Capital Gains",
    or "Return of Capital" until calendar year-end and may be paid from non-income sources such as return of capital. Note that closed-end funds often trade at a discount to NAV but may trade at a premium.
    All other information is reported by BlackRock as of September 30, 2023. Past performance is no guarantee of future results. The price of fund shares will fluctuate so they may be worth more or less than their original cost.
    There is no assurance that a fund will meet its investment objective. The information contained herein represents past performance and is no guarantee of future results; current performance may be lower or higher than indicated here. Please visit www.blackrock.com for the most up to date information about the funds.
    All investors should consider the investment objectives, risks, charges and expenses of the funds carefully before investing.
    This and other information can be found in the Fund's shareholder report and prospectus, if applicable, which may be obtained by visiting the SEC Edgar database. All investors are urged to carefully read the shareholder report and prospectus, if applicable, of a fund in its entirety before investing.
    There is no assurance that any fund will achieve its objectives. The information contained herein is not complete and may be changed.
    This document is not an offer to sell a fund's securities and is not soliciting an offer to buy a fund's securities in any jurisdiction where the offer or sale is not permitted.

USWAM1023U/S-3158480-1/1

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Disclaimer

BlackRock MuniYield Quality Fund Inc. published this content on 30 September 2023 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 26 October 2023 15:09:05 UTC.