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

Historical Portfolio Holders from Q4 2016 to Q1 2024

All holders as of March 31, 2024
Q1 2024
Type / Class
Equity / COM NEW
Shares, excl. options Q1 2024
6.72 M
Holdings value Q1 2024
$74.3 M
Value change Q1 2024
-$4.44 M
Grand Portfolio weight change Q1 2024
0%
Number of holders
77
Number of buys Q1 2024
33
Number of sells Q1 2024
-32
Average buys Q1 2024 %
+0%
Average sells Q1 2024 %
0%
CUSIP
09255R202
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
Period Shares, Excl. Options Value, Excl. Options Change Price Investors
2024 Q1 6.72 M $74.3 M -$4.44 M $11.06 77
2023 Q4 7.12 M $76.9 M -$11 M $10.79 78
2023 Q3 12.5 M $128 M -$6.86 M $10.27 83
2023 Q2 13.1 M $128 M -$6.59 M $9.79 85
2023 Q1 13.8 M $131 M +$3.77 M $9.51 96
2022 Q4 13.4 M $123 M -$2.33 M $9.20 97
2022 Q3 13.6 M $122 M -$2.49 M $8.92 92
2022 Q2 13.4 M $123 M +$18.2 M $9.14 88
2022 Q1 12.1 M $126 M -$1.02 M $10.42 84
2021 Q4 11.9 M $140 M +$6.16 M $11.70 84
2021 Q3 11.8 M $136 M -$12.7 M $11.54 84
2021 Q2 12.7 M $145 M -$7.38 M $11.45 83
2021 Q1 13.5 M $149 M -$11.5 M $11.00 83
2020 Q4 14.6 M $153 M -$83.2 K $10.45 84
2020 Q3 14.3 M $142 M -$10.7 M $9.94 79
2020 Q2 15.1 M $141 M -$16.1 M $9.33 75
2020 Q1 16.5 M $139 M -$1.6 M $8.45 74
2019 Q4 17 M $191 M -$14.8 M $11.20 78
2019 Q3 18.1 M $195 M -$7.37 M $10.75 82
2019 Q2 18.8 M $202 M -$16.6 M $10.77 76
2019 Q1 20.5 M $219 M -$4.8 M $10.72 79
2018 Q4 20.9 M $204 M +$5.24 M $9.77 84
2018 Q3 19.8 M $220 M -$4.59 M $11.14 78
2018 Q2 20.1 M $225 M -$52 M $11.18 73
2018 Q1 24.8 M $288 M +$1.01 M $11.62 77
2017 Q4 24.7 M $289 M -$503 K $11.70 74
2017 Q3 24.7 M $288 M -$3.5 M $11.67 74
2017 Q2 24.9 M $288 M +$9.33 M $11.54 72
2017 Q1 24.1 M $278 M +$33.6 M $11.52 69
2016 Q4 21.3 M $242 M +$242 M $11.34 66