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Fund Name: BlackRock Global Opportunities Equity Trust (BOE)

Ticker: BOE

Listed On: empty, Fund Manager: empty

Issuer: BlackRock

Open: empty, Prev Close: 18.67

Prev Volume: 155637

Yesterday's Range: empty, 52 Week Range: 24.53 - 18.67


Cusip: 092501105

Marginable: --

Option Tradable: --

Short Selling: --

Derivatives: --

Inception share price: $25.00

Inception date: May 26, 2005


Shortcuts: Dividends, Holdings, Monthly Data, Semi Annual Data, Expenses

The investment objective of the Fund is to seek current income and current gains, with a secondary objective of long term capital appreciation. The Fund may invest at least 80% of its total assets in equity securities or options on equity securities or indices or sectors of equity securities. The Fund may invest up to 25% of its total assets in equity securities of issuers in emerging countries. The Fund may invest up to 20% of its total assets in debt securities, including debt securities issued by companies located in emerging markets The Fund may invest in companies of any size market capitalization and in companies conducting initial public offerings.


 
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Manager Name: Robert S. Kapito

ManagerFromTo
Robert S. Kapito

Dividends:

Payable DateEx DateDistribution AmountLong GainShort Gain
Feb 27, 2009Feb 11, 20090.568800
Nov 28, 2008Nov 12, 20080.568800
Aug 29, 2008Aug 13, 20080.568800
May 30, 2008May 13, 20080.568800
Feb 29, 2008Feb 13, 20080.568800
Dec 31, 2007Dec 18, 2007000
Nov 30, 2007Nov 13, 20070.568800
Aug 31, 2007Aug 13, 20070.568800
May 31, 2007May 11, 20070.568800
Feb 28, 2007Feb 13, 20070.568800
Dec 29, 2006Dec 22, 2006000
Nov 30, 2006Nov 13, 20060.568800

Holdings:

DateHoldingDollar Value% of Total Portfolio
Dec 31, 2008SPDR TrustN/A2.5
Dec 31, 2008ExxonMobil Corp.N/A2.3
Dec 31, 2008Occidental Petroleum Corp.N/A2.1
Dec 31, 2008Amgen Inc.N/A2
Dec 31, 2008Becton Dickinson & Co.N/A2
 
 

Semi annual Data:

Total net assets:$227,835,000
Semi annual fund data date:October 31, 2008
Total common assets:$227,835,000
Shares outstanding:12,634,026
Total preferred share assets:--
Leveraged:--
Rolling 3 avg rate:--
Share price:--

Monthly Data:

Fund Data Date:March 31, 2009
Net Value/Share:$15.32
Share Price:--
Premium Discount:-13.12%
Distribution / Share:$0.5688
Current Distribution Rate:17.09%
Average Daily Volume:46,300

Expenses:

Expense Ratios:--
Expenses management fees:1.14%
Other Expenses:0.00%
Total Expenses:1.14%
 

External links:

 
Statistics
 
7days 3mth 6mth YTD SinceInception
2.3% 10.67% 44.17% 15.6% -25.32%
 
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Last Updated on: 2010-01-14 02:03:40

 
 
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