BKT - BlackRock Income Trust, Inc.

NYSE - Nasdaq Real Time Price. Currency in USD
5.90
-0.02 (-0.28%)
As of 10:29AM EDT. Market open.
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Previous Close5.92
Open5.92
Bid5.90 x 900
Ask5.91 x 2900
Day's Range5.90 - 5.91
52 Week Range5.55 - 5.97
Volume3,374
Avg. Volume155,522
Market Cap376.613M
Beta (3Y Monthly)0.05
PE Ratio (TTM)N/A
EPS (TTM)-0.10
Earnings DateN/A
Forward Dividend & Yield0.41 (7.04%)
Ex-Dividend Date2018-03-14
1y Target EstN/A
Trade prices are not sourced from all markets
  • Business Wire17 days ago

    Distribution Dates and Amounts Announced for Certain BlackRock Closed-End Funds

    Certain BlackRock closed-end funds announced distributions today as detailed below.

  • Business Wire20 days ago

    Certain BlackRock Closed-End Funds Announce Estimated Sources of Distributions

    Today, BlackRock Resources & Commodities Strategy Trust , BlackRock Enhanced Equity Dividend Trust , BlackRock Energy and Resources Trust , BlackRock Enhanced International Dividend Trust , BlackRock Health Sciences Trust , BlackRock Enhanced Global Dividend Trust , BlackRock Utilities, Infrastructure & Power Opportunities Trust , BlackRock Enhanced Capital and Income Fund, Inc.

  • Business Wire7 months ago

    Certain BlackRock Closed-End Funds Announce Renewal of Share Repurchase Programs

    BlackRock Advisors, LLC announced today that the Boards of Directors/Trustees of twenty BlackRock taxable fixed-income and equity closed-end funds have authorized the renewal of open market share repurchase programs .

  • Business Wire9 months ago

    BlackRock Income Trust, Inc. Announces Adoption of Managed Distribution Plan and Change of Fiscal Year End

    BlackRock Advisors, LLC today announced the Board of Directors (the "Board") of BlackRock Income Trust, Inc. (BKT) (the “Fund”) has approved the adoption of a managed distribution plan (the “Plan”) whereby the Fund, beginning in August 2018, will make monthly distributions to common stockholders at a monthly fixed rate of $0.0344 per share of common stock (a “share”) or 6.5% per annum based on the Fund’s net asset value as of July 2, 2018 and a change of the Fund's fiscal year end from August 31 to December 31, to be effective following the August 31, 2018 fiscal year end. The primary purpose of the Plan is to provide stockholders with a constant, but not guaranteed, fixed minimum rate of distribution each month.