August 1, 2008

Dear Shareholder:

A joint annual meeting of the BlackRock closed-end funds listed in Appendix A to the enclosed proxy statement (each a “Fund”) will be held at the offices of BlackRock Advisors, LLC, Park Avenue Plaza, 55 East 52nd Street, 11th Floor, New York, New York 10055, on Friday, September 12, 2008, at 12:30 p.m. (Eastern time), to vote on the proposal discussed in the enclosed proxy statement.

The purpose of the meeting is to seek shareholder approval of nominees to the board of directors or trustees (each a “Board,” the members of which are referred to as “Board Members”) of each Fund. At a meeting of the Boards held on May 29-30, 2008, each Board approved the proposed nominees on behalf of its Fund, subject to approval by the Fund’s shareholders. The Boards have reviewed the qualifications and backgrounds of the nominees and believe that they are experienced in overseeing investment companies and are familiar with the Funds and their investment advisers and that their election is in your best interests.

The Board Members responsible for your Fund recommend that you vote “FOR” the nominees for your Fund. However, before you vote, please read the full text of the proxy statement for an explanation of the proposal.

Your vote is important. Even if you plan to attend and vote in person at the meeting, please promptly follow the enclosed instructions to submit voting instructions by telephone or over the Internet. Alternatively, you may submit voting instructions by signing and dating each proxy card you receive, and if received by mail, returning it in the accompanying postage-paid return envelope.

You have received this proxy statement because you were a shareholder of record on July 14, 2008 of at least one of the Funds listed in Appendix A. Certain other BlackRock closed-end funds not listed in Appendix A will also hold their annual meeting at the place and date stated above. If you were also a shareholder of record on July 14, 2008 of at least one of those other funds, you will receive a separate proxy statement relating to those funds. If you have any questions about the proposal to be voted on, please call The Altman Group, Inc. at 1-800-820-2412.

Sincerely,

Howard B. Surloff
Secretary of the Funds

BlackRock Closed-End Funds
100 Bellevue Parkway Wilmington, DE 19809 (800) 441-7762


IMPORTANT NEWS
FOR FUND SHAREHOLDERS

     While we encourage you to read the full text of the enclosed proxy statement, for your convenience we have provided a brief overview of the matters to be voted on.

Questions and Answers

Q.      Why am I receiving the proxy statement?
 
A.      Each Fund is required to hold an annual meeting of shareholders for the election of Board Members. This proxy statement describes the nominees to the Board of the Fund(s) in which you own shares and provides you with other information relating to the meeting. The enclosed proxy card(s) indicate the Fund(s) in which you own shares. The table beginning on page 3 of the proxy statement identifies the nominees for each Fund.
 
Q.      How do the Boards of the Funds recommend that I vote?
 
A.      The Boards have reviewed the qualifications and backgrounds of the nominees and believe that they are experienced in overseeing investment companies and are familiar with the Funds and their investment advisers. The Boards have approved the nominees named in the proxy statement, believe their election is in your best interests and recommend that you vote “FOR” each nominee.
 
Q.      Will my vote make a difference?
 
A.      Your vote is very important and can make a difference in the governance and management of the Funds, no matter how many shares you own. Your vote can help ensure that the nominees recommended by the Boards will be elected. We encourage all shareholders to participate in the governance of their Funds.
 
Q.      Are the Funds paying for the cost of the proxy statement?
 
A.      The costs associated with the proxy statement, including the mailing and the proxy solicitation costs, will be borne by the Funds. Additional out-of-pocket costs, such as legal expenses and auditor fees, incurred in connection with the preparation of the proxy statement, also will be borne by the Funds. Costs that are borne by the Funds collectively will be allocated among the Funds on the basis of a combination of their respective net assets and number of shareholder accounts, except when direct costs can reasonably be attributed to one or more specific Funds.
 
  The Funds and BlackRock, Inc. have retained The Altman Group, Inc. (“Altman”), 60 East 42nd Street, Suite 405, New York, New York 10165, a proxy solicitation firm, to assist in the printing and distribution of proxy materials and the solicitation and tabulation of proxies. In addition, Broadridge Financial Solutions, Inc. (“Broadridge”), 51 Mercedes Way, Edgewood, New York 11717, will assist the Funds in the distribution of proxy materials. It is anticipated that Altman and Broadridge will be paid approximately $33,432 and $915,447, respectively, for such services (including reimbursements of out-of-pocket expenses).
 
Q.      Whom do I call if I have questions?
 
A.      If you need more information, or have any questions about voting, please call Altman, the Funds’ proxy solicitor, at 1-800-820-2412.
 
Q.      How do I vote my shares?
 
A.      You can provide voting instructions by telephone by calling the toll-free number on the proxy card(s) or by computer by going to the Internet address provided on the Notice of Internet Availability of Proxy Materials or proxy card(s) and following the instructions. Alternatively, if you received your proxy card(s) by mail, you can vote your shares by signing and dating the proxy card(s) and mailing it in the enclosed postage-paid envelope. You may also attend the meeting and vote in person; however, even if you intend to do so, we encourage you to provide voting instructions by one of the methods discussed above.
 

Please vote now. Your vote is important.

To avoid the wasteful and unnecessary expense of further solicitation, we urge you to indicate your voting instructions on the proxy card(s), and if received by mail, date and sign it and return it promptly in the envelope provided, or record your voting instructions by telephone or via the Internet, no matter how large or small your holdings may be. If your shares are held through a broker, you must provide voting instructions to your broker about how to vote your shares in order for your broker to vote your shares as you instruct at the meeting.


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August 1, 2008

NOTICE OF ANNUAL MEETING OF SHAREHOLDERS TO BE HELD ON SEPTEMBER 12, 2008

Annual meetings of the shareholders of the funds identified below (each a “Fund”) will be held at the offices of BlackRock Advisors, LLC, Park Avenue Plaza, 55 East 52nd Street, 11th Floor, New York, New York 10055, on Friday September 12, 2008, at 12:30 p.m. (Eastern time), to consider and vote on the proposal, as more fully described in the accompanying joint proxy statement:

PROPOSAL 1. To elect nominees to the Board of your Fund(s).
   
PROPOSAL 2. To transact such other business as may properly come before the meeting or any adjournments or postponements thereof.

Your Board recommends that you vote “FOR” the nominees upon which you are being asked to vote.

Shareholders of record as of the close of business on July 14, 2008 are entitled to vote at the meeting and at any adjournments or postponements thereof.

If you own shares in more than one Fund as of July 14, 2008, you may receive more than one proxy card. Please be certain to sign, date and return each proxy card you receive.

By Order of the Boards,

Howard B. Surloff
Secretary of the Funds

BlackRock Closed-End Funds
100 Bellevue Parkway Wilmington, DE 19809 (800) 441-7762


BlackRock Closed-End Funds
Holding Annual Meetings of Shareholders on September 12, 2008

Name of Fund Ticker


BlackRock Apex Municipal Fund, Inc. APX
BlackRock Florida Insured Municipal Income Trust BAF
BlackRock Florida Municipal Income Trust BBF
BlackRock Municipal Bond Trust BBK
BlackRock Real Asset Equity Trust BCF
BlackRock California Insured Municipal Income Trust BCK
BlackRock California Municipal Income Trust II BCL
BlackRock Broad Investment Grade 2009 Term Trust Inc. BCT
BlackRock Enhanced Dividend AchieversTM Trust BDJ
BlackRock Strategic Dividend AchieversTM Trust BDT
BlackRock Dividend AchieversTM Trust BDV
BlackRock California Insured Municipal 2008 Term Trust Inc. BFC
BlackRock Global Equity Income Trust BFD
BlackRock Municipal Income Trust BFK
BlackRock Florida Municipal 2020 Term Trust BFO
BlackRock New York Municipal Income Trust II BFY
BlackRock California Municipal Income Trust BFZ
BlackRock Global Energy and Resources Trust BGR
BlackRock Global Floating Rate Income Trust BGT
BlackRock International Growth and Income Trust BGY
BlackRock Strategic Bond Trust BHD
BlackRock Core Bond Trust BHK
BlackRock Defined Opportunity Credit Trust BHL
BlackRock Virginia Municipal Bond Trust BHV
BlackRock High Yield Trust BHY
BlackRock Florida Municipal Bond Trust BIE
BlackRock California Municipal 2018 Term Trust BJZ
BlackRock Municipal 2020 Term Trust BKK
BlackRock Investment Quality Municipal Trust Inc. BKN
BlackRock Income Trust Inc. BKT
BlackRock Municipal Income Trust II BLE
BlackRock New York Municipal 2018 Term Trust BLH
BlackRock New Jersey Municipal Bond Trust BLJ
BlackRock New York Insured Municipal 2008 Term Trust Inc. BLN
BlackRock Limited Duration Income Trust BLW
BlackRock Health Sciences Trust BME
BlackRock Insured Municipal Term Trust Inc. BMT
BlackRock Income Opportunity Trust Inc. BNA
BlackRock New Jersey Municipal Income Trust BNJ
BlackRock New York Municipal Income Trust BNY
BlackRock Global Opportunities Equity Trust BOE
BlackRock Municipal 2018 Term Trust BPK
BlackRock Preferred Opportunity Trust BPP
BlackRock Pennsylvania Strategic Municipal Trust BPS
BlackRock New York Municipal Bond Trust BQH
BlackRock EcoSolutions Investment Trust BQR
BlackRock S&P Quality Rankings Global Equity Managed Trust BQY
BlackRock Florida Insured Municipal 2008 Term Trust BRF
BlackRock Insured Municipal 2008 Term Trust Inc. BRM
BlackRock Strategic Municipal Trust BSD
BlackRock New York Insured Municipal Income Trust BSE
BlackRock Long-Term Municipal Advantage Trust BTA


Name of Fund Ticker


BlackRock Preferred and Equity Advantage Trust BTZ
BlackRock World Investment Trust BWC
BlackRock Insured Municipal Income Trust BYM
BlackRock California Municipal Bond Trust BZA
BlackRock Maryland Municipal Bond Trust BZM
BlackRock High Income Shares HIS
BlackRock MuniAssets Fund, Inc. MUA
BlackRock California Investment Quality Municipal Trust Inc. RAA
BlackRock Florida Investment Quality Municipal Trust RFA
BlackRock New Jersey Investment Quality Municipal Trust Inc. RNJ
BlackRock New York Investment Quality Municipal Trust Inc. RNY


TABLE OF CONTENTS

  Page
JOINT PROXY STATEMENT 1
SUMMARY OF PROPOSAL AND FUNDS VOTING 3
PROPOSAL 1 — TO ELECT BOARD MEMBER NOMINEES 5
     Vote Required and Manner of Voting Proxies 11
     Independent Registered Public Accounting Firm 12
     Additional Information 13
Appendix A — Fund Information A-1
Appendix B — Compensation of the Board Members B-1
Appendix C — Equity Securities owned by Board Members C-1
Appendix D — Meetings of the Boards D-1
Appendix E — Standing Committees of the Boards E-1
Appendix F — Audit Committee and Governance and Nominating Committee Charters F-1
Appendix G — Officers of the Funds G-1
Appendix H — Audit Fees, Audit Related Fees, Tax Fees and All Other Fees to  
   Independent Registered Public Accountants H-1
Appendix I — 5% Share Ownership I-1
Appendix J — Section 16 Filings J-1
Appendix K — Additional Section 16 Information K-1


ANNUAL MEETING OF SHAREHOLDERS


SEPTEMBER 12, 2008


JOINT PROXY STATEMENT

     This joint proxy statement (the “Proxy Statement”) is furnished in connection with the solicitation of proxies by the board of directors or trustees (each a “Board,” the members of which are referred to as “Board Members”) of each BlackRock closed-end fund listed on page 3 of this Proxy Statement (each a “Fund”). The proxies will be voted at the joint annual meeting of shareholders of the Funds and at any and all adjournments or postponements thereof. The meeting will be held at the offices of BlackRock Advisors, LLC, Park Avenue Plaza, 55 East 52nd Street, 11th Floor, New York, New York 10055 on Friday, September 12, 2008, at 12:30 p.m. (Eastern time). The meeting will be held for the purposes set forth in the accompanying notice.

     The Boards of the Funds have determined that the use of this Proxy Statement for the meeting is in the best interests of the Funds and their shareholders in light of the similar matters being considered and voted on by the shareholders of each Fund. This Proxy Statement and the accompanying materials, or a Notice of Internet Availability of Proxy Materials, are being mailed to shareholders on or about August 1, 2008.

     Each Fund listed in Appendix A to this Proxy Statement is organized as a Massachusetts business trust (each, a “Massachusetts Trust”), a Maryland corporation (each, a “Maryland Corporation”) or a Delaware statutory trust (each, a “Delaware Trust”). The Massachusetts Trusts, Maryland Corporations and Delaware Trusts are closed-end investment companies registered under the Investment Company Act of 1940 (the “1940 Act”). A list of each Massachusetts Trust, Maryland Corporation and Delaware Trust is set forth in Appendix A.

     Shareholders of record of a Fund as of the close of business on July 14, 2008 (the “Record Date”) are entitled to attend and to vote at that Fund’s meeting. Shareholders of the Funds are entitled to one vote for each share held, with no shares having cumulative voting rights. Holders of the auction market preferred stock, auction market preferred shares, auction preferred stock, auction preferred shares, auction rate preferred shares of beneficial interest, municipal auction rate cumulative preferred shares or auction rate municipal preferred shares (collectively, “AMPS”) of each of the Funds identified in Appendix A (collectively, the “AMPS Funds”) will have equal voting rights with the shares of common stock or common shares of beneficial interest (collectively, “common shares”) of the AMPS Funds and will vote together with the holders of common shares as a single class on each nominee to the Board of the AMPS Fund in which they own AMPS, except that they are entitled to vote separately as a class to elect two Board Members for each AMPS Fund in which they own AMPS. The quorum and voting requirements for each Fund are described in the section below entitled “Vote Required and Manner of Voting Proxies.”

     The number of shares outstanding of each Fund as of the close of business on the Record Date and the net assets of each Fund on the Record Date are shown in Appendix A. Except as set forth in Appendix I, to the knowledge of each Fund, as of May 31, 2008, no person was the beneficial owner of five percent or more of a class of a Fund’s outstanding shares.

     The Fund in which you owned shares on the Record Date is named on the proxy card or Notice of Internet Availability of Proxy Materials. If you owned shares in more than one Fund on the Record Date, you may receive more than one proxy card. Even if you plan to attend the meeting, please sign, date and return EACH proxy card you receive or if you provide voting instructions by telephone or over the Internet, please vote on the proposal affecting EACH Fund you own. If you vote by telephone or over the Internet, you will be asked to enter a unique code that has been assigned to you, which is printed on your proxy card(s) or Notice of Internet Availability of Proxy Materials, as applicable.

1


This code is designed to confirm your identity, provide access into the voting site and confirm that your instructions are properly recorded.

     All properly executed proxies received prior to the meeting will be voted at the meeting. On any matter coming before the meeting as to which a shareholder has specified a choice on that shareholder’s proxy, the shares will be voted accordingly. If a proxy is properly executed and returned and no choice is specified with respect to the proposal, the shares will be voted “FOR” the proposal. Shareholders who execute proxies or provide voting instructions by telephone or the Internet may revoke them with respect to the proposal at any time before a vote is taken on the proposal by filing with the applicable Fund a written notice of revocation (addressed to the Secretary of the Fund at the principal executive offices of the Fund at the address above), by delivering a duly executed proxy bearing a later date or by attending the meeting and voting in person, in all cases prior to the exercise of the authority granted in the proxy card. Merely attending the meeting, however, will not revoke any previously executed proxy. If you hold shares through a bank or other intermediary, please consult your bank or intermediary regarding your ability to revoke voting instructions after such instructions have been provided.

     Certain other BlackRock closed-end funds not listed on page 3 will also hold their annual meeting at the place and date stated above. If you were also a shareholder of record on the Record Date of at least one of those other funds, you will receive a separate proxy statement relating to those funds.

     Photographic identification will be required for admission to the meeting.

     Each Fund will furnish, without charge, a copy of its annual report and most recent semi-annual report succeeding the annual report, if any, to a shareholder upon request. Such requests should be directed to the Fund at 40 East 52nd Street, New York, New York 10022-5911, or by calling toll free at 1-800-441-7762. Copies of annual and semi-annual reports of each Fund are also available on the EDGAR Database on the Securities and Exchange Commission’s Internet site at www.sec.gov.

     Please note that only one annual or semi-annual report or Proxy Statement or Notice of Internet Availability of Proxy Materials may be delivered to two or more shareholders of a Fund who share an address, unless the Fund has received instructions to the contrary. To request a separate copy of an annual report or semi-annual report or this Proxy Statement or Notice of Internet Availability of Proxy Materials, or for instructions as to how to request a separate copy of these documents or as to how to request a single copy if multiple copies of these documents are received, shareholders should contact the applicable Fund at the address and phone number set forth above.

YOUR VOTE IS IMPORTANT

To avoid the unnecessary expense of further solicitation, we urge you to indicate voting instructions on the enclosed proxy card, and if received by mail, date and sign it and return it promptly in the envelope provided, no matter how large or small your holdings may be. If you submit a properly executed proxy but do not indicate how you wish your shares to be voted, your shares will be voted “FOR” the proposal.

BlackRock Closed-End Funds
100 Bellevue Parkway Wilmington, DE 19809 (800) 441-7762

2


SUMMARY OF PROPOSAL AND FUNDS VOTING

The following table shows the Funds for which the nominees are standing for election.

       Nominees
Standing for Election

AMPS
Nominee
Standing for
Election(2)

Fund Name
Ticker
Class 1(1)
Class 2
Class 3
BlackRock Apex Municipal Fund, Inc.    APX X      
BlackRock Florida Insured Municipal            
     Income Trust    BAF X     X
BlackRock Florida Municipal Income Trust    BBF X     X
BlackRock Municipal Bond Trust    BBK X     X
BlackRock Real Asset Equity Trust    BCF X      
BlackRock California Insured Municipal            
     Income Trust    BCK X     X
BlackRock California Municipal Income Trust II    BCL X     X
BlackRock Broad Investment Grade 2009            
     Term Trust Inc.    BCT X      
BlackRock Enhanced Dividend            
     AchieversTM Trust    BDJ X      
BlackRock Strategic Dividend            
     AchieversTM Trust    BDT X      
BlackRock Dividend AchieversTM Trust    BDV X      
BlackRock California Insured Municipal            
     2008 Term Trust Inc.    BFC X      
BlackRock Global Equity Income Trust    BFD X      
BlackRock Municipal Income Trust    BFK X     X
BlackRock Florida Municipal 2020            
     Term Trust    BFO X     X
BlackRock New York Municipal Income            
     Trust II    BFY X     X
BlackRock California Municipal Income Trust    BFZ X     X
BlackRock Global Energy and Resources Trust    BGR X      
BlackRock Global Floating Rate Income Trust    BGT X     X
BlackRock International Growth and            
     Income Trust    BGY X      
BlackRock Strategic Bond Trust    BHD X      
BlackRock Core Bond Trust    BHK X      
BlackRock Defined Opportunity Credit Trust    BHL X      
BlackRock Virginia Municipal Bond Trust    BHV X     X
BlackRock High Yield Trust    BHY X      
BlackRock Florida Municipal Bond Trust    BIE X     X
BlackRock California Municipal 2018            
     Term Trust    BJZ X     X
BlackRock Municipal 2020 Term Trust    BKK X     X
BlackRock Investment Quality Municipal            
     Trust Inc.    BKN X     X
BlackRock Income Trust Inc.    BKT X      
BlackRock Municipal Income Trust II    BLE X     X
BlackRock New York Municipal 2018            
     Term Trust    BLH X     X
BlackRock New Jersey Municipal Bond Trust    BLJ X     X
BlackRock New York Insured Municipal            
     2008 Term Trust Inc.    BLN X      
BlackRock Limited Duration Income Trust    BLW X      
BlackRock Health Sciences Trust    BME X      
BlackRock Insured Municipal Term Trust Inc.    BMT X     X
BlackRock Income Opportunity Trust Inc.    BNA X      
BlackRock New Jersey Municipal Income Trust    BNJ X     X
BlackRock New York Municipal Income Trust    BNY X     X
BlackRock Global Opportunities Equity Trust    BOE X      
BlackRock Municipal 2018 Term Trust    BPK X     X
BlackRock Preferred Opportunity Trust    BPP X     X
BlackRock Pennsylvania Strategic            
     Municipal Trust    BPS X     X
BlackRock New York Municipal Bond Trust    BQH X     X
BlackRock EcoSolutions Investment Trust    BQR X X(3) X(4)  

3


       Nominees
Standing for Election

AMPS
Nominee
Standing for
Election(2)

Fund Name
Ticker
Class 1(1)
Class 2
Class 3
BlackRock S&P Quality Rankings Global            
     Equity Managed Trust    BQY X      
BlackRock Florida Insured Municipal 2008            
     Term Trust    BRF X      
BlackRock Insured Municipal 2008            
     Term Trust Inc.    BRM X      
BlackRock Strategic Municipal Trust    BSD X     X
BlackRock New York Insured Municipal            
     Income Trust    BSE X     X
BlackRock Long-Term Municipal            
     Advantage Trust    BTA X      
BlackRock Preferred and Equity            
     Advantage Trust    BTZ X     X
BlackRock World Investment Trust    BWC X      
BlackRock Insured Municipal Income Trust    BYM X     X
BlackRock California Municipal Bond Trust    BZA X     X
BlackRock Maryland Municipal Bond Trust    BZM X     X
BlackRock High Income Shares    HIS X      
BlackRock MuniAssets Fund, Inc.    MUA X      
BlackRock California Investment Quality            
     Municipal Trust Inc.    RAA X     X
BlackRock Florida Investment Quality            
     Municipal Trust    RFA X     X
BlackRock New Jersey Investment Quality            
     Municipal Trust Inc.    RNJ X     X
BlackRock New York Investment Quality            
     Municipal Trust Inc.    RNY X     X

(1)      The Class I Board Member nominees are: G. Nicholas Beckwith, III, Kent Dixon, R. Glenn Hubbard, W. Carl Kester and Robert S. Salomon, Jr. These nominees are voted upon by the common and preferred shareholders of each respective Fund voting together as a single class, except for those Funds for which Mr. Kester is an AMPS Nominee, in which case Mr. Kester is voted upon by owners of AMPS voting as a separate class. Please see the description below under “Proposal 1 — TO ELECT BOARD MEMBER NOMINEES” for a more detailed discussion regarding the AMPS Nominee.
(2)      The AMPS Nominee standing for election is W. Carl Kester. This nominee is voted upon by the owners of AMPS voting as a separate class. Please see the description below under “Proposal 1 — TO ELECT BOARD MEMBER NOMINEES” for a more detailed discussion regarding the AMPS Nominee.
(3)      The BQR Class II Board Member nominees are: James T. Flynn and Karen. Robards. Please see the description below under “Proposal 1 — TO ELECT BOARD MEMBER NOMINEES” for a detailed discussion regarding BQR’s Board Member nominees.
(4)      The BQR Class III Board Member nominees are: Richard E. Cavanagh, Henry Gabbay and Jerrold B. Harris. Please see the description below under “Proposal 1 — TO ELECT BOARD MEMBER NOMINEES” for a detailed discussion regarding BQR’s Board Member nominees.

4


PROPOSAL 1—TO ELECT BOARD MEMBER NOMINEES

     The purpose of Proposal 1 is to elect Board Member nominees for each Fund.

     Nominees for each Fund. The Board of each Fund currently has 13 Board Members, except that the Board of BlackRock EcoSolutions Investment Trust (“BQR”) currently has six Board Members. The Funds divide their Board Members into three classes: Class I, Class II and Class III and generally only one class of Board Members stands for election each year. Except as noted below for BQR, only the Class I Board Members are standing for election this year. Each Class I Board Member elected at the meeting will serve until the later of 2011 or until his or her successor is elected and qualifies, or upon his or her earlier death, resignation, retirement or removal.

     The Board of BQR currently is comprised of six members, not 13 members. In order to conform the membership of the BQR Board to the Boards of the other Funds, the Board of BQR has approved increasing its size to 13 members and reclassifying its existing Class I, Class II and Class III Board Members. As is the case with the other Funds, all BQR Class I Board Member nominees are up for election this year. However, several Class II and Class III Board Members are also up for election this year for BQR because: (a) these Board Member nominees are some of the seven new Board Members being added and therefore have not previously been elected by BQR’s shareholders; or (b) these Board Member nominees were previously in Class I but were moved to a different class as part of the reclassification approved by the Board and therefore need to be elected by BQR’s shareholders. The BQR nominees will serve in the following classes if elected: Class I — G. Nicholas Beckwith, III, Kent Dixon, R. Glenn Hubbard, W. Carl Kester and Robert S. Salomon, Jr.; Class II — Richard S. Davis, Frank J. Fabozzi, James T. Flynn and Karen P. Robards; and Class III —Richard E. Cavanagh, Kathleen F. Feldstein, Henry Gabbay and Jerrold B. Harris. The term of office of each Board Member elected to Class I, Class II and Class III will expire the later of 2011, 2009 and 2010, respectively, or when his or her successor is elected and qualifies, or upon his or her earlier death, resignation, retirement or removal.

     With respect to AMPS Funds, the owners of AMPS are entitled to vote as a separate class to elect two of the Board Members (the “AMPS Nominees”) for the AMPS Fund in which they own AMPS. This means that owners of common shares are not entitled to vote in connection with the election of the AMPS Nominees. However, the owners of common shares and the owners of AMPS, voting together as a single class, are entitled to elect the remainder of the Board Member nominees. Only W. Carl Kester is standing for election this year as an AMPS Nominee.

     Please refer to the table below which identifies the nominees, including any AMPS Nominees, for election to the Board of each Fund.

     Biographical Information. The table below sets forth certain biographical information about the nominees for all of the Funds in a single location. Please note that, except as described above for BQR, only the Class I nominees are standing for election for the Funds. Unless otherwise indicated, the address of each Board Member is 40 East 52nd Street, New York, New York 10022. Each Board Member was nominated by the Governance and Nominating Committee of the Board of each respective Fund. Richard E. Cavanagh was selected to serve as the Chair and Karen P. Robards was selected to serve as the Vice Chair of each Board.

     BlackRock Broad Investment Grade 2009 Term Trust Inc. (“BCT”) holds substantially all of its assets through its wholly-owned subsidiary, BCT Subsidiary, Inc. (“BCTS”). The Board of BCTS is identical to the Board of BCT. Accordingly, Board Member nominees elected to the Board of BCT will be appointed by BCT to the Board of BCTS.

     Richard S. Davis and Henry Gabbay are “interested persons” (as defined in the 1940 Act) of the Funds by virtue of their current or former positions with BlackRock Advisors, LLC, BlackRock Capital Management, Inc. or BlackRock Financial Management, Inc. (collectively, “BlackRock Advisors”), each a wholly owned subsidiary of BlackRock, Inc. (“BlackRock”). All of the closed-end registered investment companies advised by BlackRock Advisors, including the Funds, are referred to collectively as the “Fund Complex.”

5


                Number of
BlackRock-
Advised Funds
and Portfolios
Overseen
    
                 
     Position(s)
Held
with Funds
            
Name, Address and
Year of Birth
  Length of
Time Served*
   Principal Occupation(s)
During Past
Five Years
   Public
Directorships

 
 
 
 
 
Non-Interested Directors              
Richard E.   Director/   2007 to   Trustee, Aircraft Finance Trust since   113 Funds   Arch
Cavanagh (4)   Trustee   present   1999; Director, The Guardian Life   110   Chemical
40 East 52nd   and       Insurance Company of America   Portfolios   (chemical and
Street   Chairman of       since 1998; Chairman and Trustee,       allied
New York, NY   the Boards       Educational Testing Service since       products)
10022           1997; Director, The Fremont Group        
            since 1996; Formerly President and        
1946           Chief Executive Officer of The        
            Conference Board, Inc. (global        
            business research organization)        
            from 1995 to 2007.        
 
Karen.   Director/   2007 to   Partner of Robards & Company, LLC   112 Funds   AtriCure, Inc.
Robards (3)   Trustee and Vice   present   (financial advisory firm) since   109   (medical
40 East 52nd   Chair of the       1987; Co-founder and Director of   Portfolios   devices);
Street   Boards       the Cooke Center for Learning and       Care
New York, NY           Development (a not-for-profit       Investment
10022           organization) since 1987; Formerly       Trust, Inc.
            Director of Enable Medical Corp.       (health care
1950           from 1996 to 2005; Formerly an       REIT)
            investment banker at Morgan        
            Stanley from 1976 to 1987.        
 
G. Nicholas   Director/   2007 to   Chairman and Chief Executive   112 Funds   None
Beckwith, III (1)   Trustee   present   Officer, Arch Street Management,   109    
40 East 52nd           LLC (Beckwith Family Foundation)   Portfolios    
Street           and various Beckwith property        
New York, NY           companies since 2005; Chairman        
10022           of the Board of Directors, University        
            of Pittsburgh Medical Center since        
1945           2002; Board of Directors, Shady        
            Side Hospital Foundation since        
            1977; Board of Directors, Beckwith        
            Institute for Innovation In Patient        
            Care since 1991; Member, Advisory        
            Council on Biology and Medicine,        
            Brown University since 2002;        
            Trustee, Claude Worthington        
            Benedum Foundation (charitable        
            foundation) since 1989; Board of        
            Trustees, Chatham College since        
            1981; Board of Trustees, University        
            of Pittsburgh since 2002; Emeritus        
            Trustee, Shady Side Academy since        
            1977; Formerly Chairman and        
            Manager, Penn West Industrial        
            Trucks LLC (sales, rental and        
            servicing of material handling        
            equipment) from 2005 to 2007;        
            Formerly Chairman, President and        
            Chief Executive Officer, Beckwith        
            Machinery Company (sales, rental        
            and servicing of construction and        
            equipment) from 1985 to 2005;        
            Formerly Board of Directors,        
            National Retail Properties (REIT)        
            from 2006 to 2007.        

6


                Number of
BlackRock-
Advised Funds
and Portfolios
Overseen
    
                 
    Position(s)
Held
with Funds
            
Name, Address and
Year of Birth
   Length of
Time Served*
   Principal Occupation(s)
During Past
Five Years
   Public
Directorships

 
 
 
 
 
Kent Dixon (1)   Director/   2007 to   Consultant/Investor since 1988.   113 Funds   None
40 East 52nd   Trustee   present       110    
Street               Portfolios    
New York, NY                    
10022                    
 
1937                    
 
Frank J. Fabozzi (2)   Director/   2007 to   Consultant/Editor of The Journal of   113 Funds   None
40 East 52nd   Trustee   present   Portfolio Management since 2006;   110    
Street           Professor in the Practice of Finance   Portfolios    
New York, NY           and Becton Fellow, Yale University,        
10022           School of Management, since        
            2006; Formerly Adjunct Professor        
1948           of Finance and Becton Fellow, Yale        
            University from 1994 to 2006.        
 
Kathleen F.   Director/   2007 to   President of Economics Studies,   113 Funds   The
Feldstein   Trustee   present   Inc. (private economic consulting   110   McClatchy
40 East 52nd           firm) since 1987; Chair, Board of   Portfolios   Company
Street           Trustees, McLean Hospital since       (publishing)
New York, NY           2000; Member of the Corporation        
10022           of Partners Community Healthcare,        
            Inc. since 2005; Member of the        
1941           Corporation of Partners HealthCare        
            since 1995; Member of the        
            Corporation of Sherrill House        
            (health care) since 1990; Trustee,        
            Museum of Fine Arts, Boston since        
            1992; Member of the Visiting        
            Committee to the Harvard        
            University Art Museum since 2003;        
            Trustee, The Committee for        
            Economic Development (research        
            organization) since 1990; Member        
            of the Advisory Board to the        
            International School of Business,        
            Brandeis University since 2002;        
            Formerly Director of Bell South        
            (communications) from 1998 to        
            2006; Formerly Director of Ionics        
            (water purification) from 1992 to        
            2005; Formerly Director of John        
            Hancock Financial Services from        
            1994 to 2003; Formerly Director of        
            Knight Ridder (media) from 1998 to        
            2006.        
 
James T. Flynn (3)   Director/   2007 to   Formerly Chief Financial Officer of   112 Funds   None
40 East 52nd   Trustee   present   JP Morgan & Co., Inc. from 1990 to   109    
Street           1995.   Portfolios    
New York, NY                    
10022                    
 
1939                    

7


                Number of
BlackRock-
Advised Funds
and Portfolios
Overseen
    
                 
    Position(s)
Held
with Funds
            
Name, Address and
Year of Birth
   Length of
Time Served*
   Principal Occupation(s)
During Past
Five Years
   Public
Directorships

 
     
 
 
Jerrold B. Harris (4)   Director/   2007 to   Trustee, Ursinus College since   112 Funds   BlackRock-
40 East 52nd   Trustee   present   2000; Director, Troemner LLC   109   Kelso Capital
Street           (scientific equipment) since 2000.   Portfolios   Corp.
New York, NY                    
10022                    
 
1942                    
 
R. Glenn   Director/   2007 to   Dean of Columbia Business School   113 Funds   ADP (data
Hubbard (1)   Trustee   present   since 2004; Columbia faculty   110   and
40 East 52nd           member since 1988; Formerly Co-   Portfolios   information
Street           Director of Columbia Business       services),
New York, NY           School’s Entrepreneurship Program       KKR Financial
10022           from 1997 to 2004; Visiting       Corporation
            Professor at the John F. Kennedy       (finance),
1958           School of Government at Harvard       Duke Realty
            University and the Harvard       (real estate),
            Business School since 1985 and       Metropolitan
            at the University of Chicago since       Life Insurance
            1994; Formerly Chairman of the       Company
            U.S. Council of Economic Advisers       (insurance),
            under the President of the United       Information
            States from 2001 to 2003.       Services
                    Group
                    (media/
                    technology)
 
W. Carl   Director/   2007 to   Mizuho Financial Group Professor   112 Funds   None
Kester (1) (2)   Trustee   present   of Finance, Harvard Business   109    
40 East 52nd           School; Deputy Dean for Academic   Portfolios    
Street           Affairs since 2006; Unit Head,        
New York, NY           Finance, Harvard Business School        
10022           from 2005 to 2006; Senior        
            Associate Dean and Chairman of        
1951           the MBA Program of Harvard        
            Business School from 1999 to        
            2005; Member of the faculty of        
            Harvard Business School since        
            1981; Independent Consultant        
            since 1978.        
 
Robert S.   Director/   2007 to   Formerly Principal of STI   112 Funds   None
Salomon, Jr. (1)   Trustee   present   Management LLC (investment   109    
40 East 52nd           adviser) from 1994 to 2005.   Portfolios    
Street                    
New York, NY                    
10022                    
 
1936                    

8


                Number of
BlackRock-
Advised Funds
and Portfolios
Overseen
    
                 
    Position(s)
Held
with Funds
            
Name, Address and
Year of Birth
   Length of
Time Served*
   Principal Occupation(s)
During Past
Five Years
   Public
Directorships

 
 
 
 
 
Interested Directors              
Richard S. Davis   Director/   2007 to   Managing Director, BlackRock, Inc.   185 Funds   None
40 East 52nd   Trustee   present   since 2005; Formerly Chief   295    
Street           Executive Officer, State Street   Portfolios    
New York, NY           Research & Management Company        
10022           from 2000 to 2005; Formerly        
            Chairman of the Board of Trustees,        
1945           State Street Research Mutual        
            Funds from 2000 to 2005;        
            Formerly Chairman, SSR Realty        
            from 2000 to 2004.        
 
Henry Gabbay (4)   Director/   2007 to   Consultant, BlackRock, Inc. since   184 Funds   None
40 East 52nd   Trustee   present   2007; Formerly Managing Director,   294    
Street           BlackRock, Inc. from 1989 to   Portfolios    
New York, NY           2007; Formerly Chief        
10022           Administrative Officer, BlackRock        
            Advisors, LLC from 1998 to 2007;        
1947           Formerly President of BlackRock        
            Funds and BlackRock Bond        
            Allocation Target Shares from 2005        
            to 2007; Formerly Treasurer of        
            certain closed-end funds in the        
            BlackRock fund complex from 1989        
            to 2006.        

*     

Following the combination of Merrill Lynch Investment Managers, L.P. ("MLIM") and BlackRock in September 2006, the various legacy MLIM and legacy BlackRock fund boards were realigned and consolidated into three new fund boards in 2007. As a result, although the chart shows certain Board Members as joining the Boards in 2007, each Board Member first became a member of the board of directors/trustees of other legacy MLIM or legacy BlackRock funds as follows: G. Nicholas Beckwith, III since 1999; Richard E. Cavanagh since 1994; Kent Dixon since 1988; Frank J. Fabozzi since 1988; Kathleen F. Feldstein since 2005; James T. Flynn since 1996; Jerrold B. Harris since 1999; R. Glenn Hubbard since 2004; W. Carl Kester since 1998; Karen P. Robards since 1998 and Robert S. Salomon, Jr. since 1996. Board Members serve until their resignation, removal or death, or until December 31 of the year in which they turn 72.

†      Messrs. Davis and Gabbay are both “interested persons,” as defined in the 1940 Act, of the Funds based on their positions with BlackRock and its affiliates.
(1)      Class I Board Member nominee.
(2)     AMPS Nominee.
(3) BQR Class II Board Member nominee.
(4) BQR Class III Board Member nominee.

     Compensation. Information relating to compensation paid to Board Members who are not “interested persons,” as defined in the 1940 Act, (the “Independent Board Members”) for each Fund’s most recent fiscal year is set forth in Appendix B.

     Equity Securities Owned by the Board Members. Information relating to the amount of equity securities owned by the Board Members in the Funds that they are nominated to oversee, as well as certain other funds in the Fund Complex, as of May 31, 2008 is set forth in Appendix C.

     Attendance of Board Members at Annual Shareholders’ Meetings. It is the policy of all the Funds to encourage Board Members to attend the annual shareholders’ meeting. All of the Board Members of each Fund attended last year’s annual shareholder’s meeting.

     Board Meetings. Information relating to the number of times that the Boards met during each Fund’s most recent fiscal year is set forth in Appendix D.

     Standing Committees of the Boards. Information relating to the various standing committees of the Boards is set forth in Appendix E.

     In addition to the standing committees identified in Appendix E, the Boards of the AMPS Funds established an Ad Hoc Committee on AMPS (the “AMPS Committee”) in March 2008. The current members of the AMPS Committee are: Richard E. Cavanagh, Frank J. Fabozzi, Henry Gabbay, W. Carl Kester and Karen P. Robards. Since February 2008, most auction rate preferred shares, including the AMPS, have been unable to hold successful auctions and AMPS holders have suffered reduced liquidity. The AMPS Committee was formed for the purpose of monitoring issues arising from this

9


recent market turmoil and overseeing efforts to provide liquidity to the AMPS holders. The AMPS Committee has met eight times since its formation. To date, the BlackRock closed-end funds, including the AMPS Funds, that have issued auction market preferred shares have redeemed more than $2.4 billion of these shares, which represents approximately 25% of all auction market preferred shares outstanding for the BlackRock closed-end funds. In addition to these redemptions, the AMPS Funds are currently exploring alternative forms of leverage in order to provide liquidity to holders of AMPS, including the development of a put feature for the AMPS or issuing a new form of preferred stock that includes a put feature, which would make each eligible for purchase by money market funds.

     Compliance with Section 16(a) of the Securities Exchange Act of 1934 (the “Exchange Act”). Section 16(a) of the Exchange Act requires the Funds’ directors/trustees, executive officers, persons who own more than ten percent of a registered class of a Fund’s equity securities, BlackRock Advisors and certain officers of BlackRock Advisors, to file reports on holdings of, and transactions in, Fund shares with the Securities and Exchange Commission (“SEC”) and to furnish the Funds with copies of all such reports. Based solely on a review of copies of such reports furnished to the relevant Fund and representations from these reporting persons, each Fund believes that its directors/trustees, executive officers, ten percent holders, BlackRock Advisors and certain officers of BlackRock Advisors met all applicable SEC filing requirements except for late Forms 3 and 4 relating to the Fund’s most recently concluded fiscal year, as listed in Appendix J for Funds with a fiscal year end of June 30 or earlier, or relating to the period between the close of the Fund’s most recently concluded fiscal year and the date of this Proxy Statement, as listed in Appendix K for Funds with a fiscal year end after June 30.

     Additionally, based on a review of copies of such reports furnished to the relevant Fund and representations from these reporting persons, each municipal fixed income Fund believes that Peter Hayes, an officer of BlackRock Advisors required to file reports under Section 16(a), met all applicable SEC filing requirements except for the late Forms 3 relating to the Fund’s most recently concluded fiscal year, or relating to the period between the close of the Fund’s most recently concluded fiscal year and the date of this Proxy Statement, as applicable.

     These late filings were primarily due to an administrative oversight following BlackRock’s acquisition of Merrill Lynch Investment Managers, L. P. and the subsequent integration of back-office systems.

     Officers of the Funds. Information about the officers of each Fund, including their year of birth and their principal occupations during the past five years, is set forth in Appendix G.

     Indemnification of Board Members and Officers. The governing documents of each Fund generally provide that, to the extent permitted by applicable law, the Fund will indemnify its Board Members and officers against liabilities and expenses incurred in connection with litigation in which they may be involved because of their offices with the Fund unless, as to liability to the Fund or its investors, it is finally adjudicated that they engaged in willful misfeasance, bad faith, gross negligence or reckless disregard of the duties involved in their offices. In addition, the Fund will not indemnify Board Members with respect to any matter as to which Board Members did not act in good faith in the reasonable belief that his or her action was in the best interest of the Fund or, in the case of any criminal proceeding, as to which Board Members did not have reasonable cause to believe that the conduct was unlawful. Indemnification provisions contained in a Fund’s governing documents are subject to any limitations imposed by applicable law.

     The funds in the Fund Complex have also entered into a separate indemnification agreement with the Board Members of each Board (the “Indemnification Agreement”). The Indemnification Agreement (i) extends the indemnification provisions contained in a fund’s governing documents to Board Members who leave that fund’s Board and serve on an advisory board of a different fund in the Fund Complex; (ii) sets in place the terms of the indemnification provisions of a fund’s governing documents once a Board Member retires from a Board and (iii) in the case of Board Members who left the Board of a fund in connection with or prior to the Board consolidation that occurred last year as a result of the merger of BlackRock and Merrill Lynch & Co., Inc.’s investment management business, clarifies that that fund continues to indemnify the Board Member for claims arising out of his or her past service to that fund.

     Your Board recommends that you vote “FOR” the election of each nominee to the Board of your Fund(s).

10


VOTE REQUIRED AND MANNER OF VOTING PROXIES

     A quorum of shareholders is required to take action at each meeting. The holders of a majority of the shares entitled to vote on any matter at a meeting present in person or by proxy shall constitute a quorum for purposes of conducting business on such matter. The affirmative vote of a plurality of the shares present for each Fund at the meeting at which a quorum is present and entitled to vote on a nominee is necessary to approve the respective nominee under Proposal 1 for each respective Fund.

     Votes cast by proxy or in person at each meeting will be tabulated by the inspectors of election appointed for that meeting. The inspectors of election, who may be employees of a Fund, will determine whether or not a quorum is present at the meeting. The inspectors of election will treat abstentions and “broker non-votes” as present for purposes of determining a quorum. Broker non-votes occur when shares held by brokers or nominees, typically in “street name,” as to which proxies have been returned but (a) voting instructions have not been received from the beneficial owners or persons entitled to vote and (b) the broker or nominee does not have discretionary voting power or elects not to exercise discretion on a particular matter. Shares of AMPS of any Fund held in “street name” may be counted for purposes of establishing a quorum of that Fund if no instructions are received one business day before the applicable meeting or, if adjourned, one business day before the day to which the meeting is adjourned.

     If you hold your shares directly (not through a broker-dealer, bank or other financial institution) and if you return a properly executed proxy card that does not specify how you wish to vote on a proposal, your shares will be voted “FOR” the Board Member nominees in Proposal 1.

     Broker-dealer firms holding shares of a Fund in “street name” for the benefit of their customers and clients will request the instructions of such customers and clients on how to vote their shares on Proposal 1 before the meetings. The Funds understand that, under the rules of the New York Stock Exchange (the “NYSE”), such broker-dealer firms may, without instructions from their customers and clients, grant authority to the proxies designated to vote on the election of Board Member nominees in Proposal 1 if no instructions have been received prior to the date specified in the broker-dealer firm’s request for voting instructions. A properly executed proxy card or other authorization by a beneficial owner of Fund shares that does not specify how the beneficial owner’s shares should be voted on Proposal 1 may be deemed an instruction to vote such shares in favor of the proposal. Beneficial owners who do not provide proxy instructions or who do not return a proxy card may have their shares voted by broker-dealer firms in favor of Proposal 1.

     If you hold shares of a Fund through a bank or other financial institution or intermediary (called a service agent) that has entered into a service agreement with the Fund or a distributor of the Fund, the service agent may be the record holder of your shares. At the meetings, a service agent will vote shares for which it receives instructions from its customers in accordance with those instructions. A properly executed proxy card or other authorization by a shareholder that does not specify how the shareholder’s shares should be voted on a proposal may be deemed to authorize a service provider to vote such shares in favor of the proposal. Depending on its policies, applicable law or contractual or other restrictions, a service agent may be permitted to vote shares with respect to which it has not received specific voting instructions from its customers. In those cases, the service agent may, but is not be required to, vote such shares in the same proportion as those shares for which the service agent has received voting instructions. This practice is commonly referred to as “echo voting.”

     If you beneficially own shares that are held in “street name” through a broker-dealer or that are held of record by a service agent, and if you do not give specific voting instructions for your shares, they may not be voted at all or, as described above, they may be voted in a manner that you may not intend. Therefore, you are strongly encouraged to give your broker-dealer or service agent specific instructions as to how you want your shares to be voted.

     Approval of Proposal 1 by shareholders of a Fund will occur only if a sufficient number of votes are cast “FOR” the proposal at the Fund’s meeting. Abstentions and broker non-votes will not be counted as votes cast. Because each Fund requires a plurality of votes to pass Proposal 1, abstentions and broker non-votes will not have an effect on the vote for Proposal 1.

11


INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM

     The Board Members, including a majority of the Independent Board Members, of each Fund have selected Deloitte & Touche LLP (“D&T”) as the independent registered public accounting firm for the Funds. D&T, in accordance with Independence Standards Board Standard No. 1 (ISB No. 1), has confirmed to each applicable Audit Committee that it is an independent registered public accounting firm with respect to each Fund.

No representatives of D&T will be present at the meeting.

     Each Audit Committee has discussed with D&T its independence with respect to the Fund and certain matters required to be discussed by Statement on Auditing Standard No. 61, as currently modified or supplemented. Each Audit Committee has considered whether the provision of non-audit services by the Fund’s independent registered public accounting firm is compatible with maintaining the independence of that registered public accounting firm. Each Audit Committee also reviews and discusses the audit of the Fund’s financial statements with Fund management and the independent registered public accounting firm. If any material concerns arise during the course of the audit and the preparation of the audited financial statements mailed to shareholders and included in the Fund’s Annual Report to Shareholders, the Audit Committee would be notified by Fund management or the independent registered public accounting firm. The Audit Committees received no such notifications for any Fund. Following each Audit Committee’s review and discussion of the Fund’s independent registered public accounting firm, each Audit Committee recommended to its respective Board that the Fund’s audited financial statements for the Fund’s most recently completed fiscal year (each Fund’s fiscal year end is set forth in Appendix H) for which audited financial statements are available be included in each Fund’s Annual Report to Shareholders.

     Appendix H sets forth for each Fund the fees billed by that Fund’s independent registered public accounting firm for the two most recent fiscal years for all audit and non-audit services provided directly to the Fund. The fee information in Appendix H is presented under the following captions:

     (a) Audit Fees—fees related to the audit and review of the financial statements included in annual reports and registration statements, and other services that are normally provided in connection with statutory and regulatory filings or engagements, including out-of-pocket expenses.

     (b) Audit-Related Fees—fees related to assurance and related services that are reasonably related to the performance of the audit or review of financial statements, but not reported under “Audit Fees,” including accounting consultations, agreed-upon procedure reports, attestation reports, comfort letters, out-of-pocket expenses and internal control reviews not required by regulators.

     (c) Tax Fees—fees associated with tax compliance, tax advice and tax planning, including services relating to the filing or amendment of federal, state or local income tax returns, regulated investment company qualification reviews, tax distribution and analysis reviews and miscellaneous tax advice.

     (d) All Other Fees—fees for products and services provided to the Fund other than those reported under “Audit Fees,” “Audit-Related Fees” and “Tax Fees.”

     Each Audit Committee is required to approve all audit engagement fees and terms for the Fund. Each Audit Committee also is required to consider and act upon (i) the provision by any independent accountant of any non-audit services for any Fund, and (ii) the provision by any independent accountant of non-audit services to Fund service providers and their affiliates (“Affiliated Service Providers”) to the extent that such approval (in the case of this clause (ii)) is required under applicable regulations of the SEC. The Audit Committee has implemented policies and procedures by which such services may be approved other than by the full Audit Committee. See Appendix H to this Proxy Statement for information about the fees paid by the Funds, their investment advisers, and Affiliated Service Providers to each Fund’s independent registered public accounting firm.

12


     The Audit Committee of each Fund complies with applicable laws and regulations with regard to the pre-approval of services. Audit, audit-related and tax compliance services provided to a Fund on an annual basis require specific pre-approval by the Fund’s Audit Committee. As noted above, the Audit Committee also must approve other non-audit services provided to a Fund and those non-audit services provided to the Fund’s Affiliated Service Providers that relate directly to the operations and financial reporting of the Fund. Certain of these non-audit services that the Audit Committee believes are (a) consistent with the SEC’s auditor independence rules and (b) routine and recurring services that will not impair the independence of the independent registered public accounting firm may be approved by the Audit Committee without consideration on a specific case-by-case basis (“general pre-approval”). The Audit Committee is informed of each service approved subject to general pre-approval at the next regularly scheduled in-person board meeting.

     For each Fund’s two most recent fiscal years, there were no services rendered by D&T to the Funds for which the pre-approval requirement was waived.

     Each Audit Committee has considered whether the provision of non-audit services that were rendered by D&T to BlackRock Advisors and Affiliated Service Providers that were not pre-approved (not requiring pre-approval) is compatible with maintaining such auditor’s independence. All services provided by D&T to each Fund, BlackRock Advisors or Affiliated Service Providers that required pre-approval were pre-approved as required.

     The Audit Committee of each Fund, except BQR, consists of the following Board Members: Karen P. Robards (Chair), Kent Dixon, Frank J. Fabozzi, James T. Flynn, W. Carl Kester and Robert S. Salomon, Jr. The Audit Committee of BQR consists of the following Board Members: Richard E. Cavanagh (Chair), Frank J. Fabozzi and Kent Dixon.

ADDITIONAL INFORMATION

5% Share Ownership

     As of May 31, 2008, to the best of the Funds’ knowledge, the persons listed in Appendix I owned beneficially or of record the amounts of the Funds indicated.

Submission of Shareholder Proposals

     A shareholder proposal intended to be presented at a future meeting of shareholders of a Fund must be received at the offices of the Fund, 40 East 52nd Street, New York, New York 10022-5911, a reasonable time before the Fund begins to print and mail its proxy materials. Timely submission of a proposal does not guarantee that such proposal will be included in a proxy statement.

     The Funds anticipate holding their next annual meeting of shareholders in August 2009. If a shareholder intends to present a proposal at the 2009 annual meeting of shareholders of these Funds and desires to have the proposal included in the Fund’s proxy statement and form of proxy for that meeting pursuant to Rule 14a-8 under the Exchange Act, the shareholder must deliver the proposal to the offices of the appropriate Fund by April 3, 2009.

     Shareholders who do not wish to submit a proposal for inclusion in the Fund’s proxy statement and form of proxy for the 2009 annual meeting in accordance with Rule 14a-8 may submit a proposal for consideration at the 2009 annual meeting in accordance with the By-laws of the Funds. The By-laws for all of the Funds generally require that advance notice be given to the Fund in the event a shareholder desires to transact any business from the floor at an annual meeting of shareholders. Notice of any such business must be in writing and received at the Fund’s principal executive office between Friday, May 15, 2009 and Saturday, June 14, 2009.

     For all Funds, written proposals and notices should be sent to the Secretary of the Fund, 40 East 52nd Street, New York, New York 10022.

13


Shareholder Communications

     Shareholders who want to communicate with the Board or any individual Board Member should write their Fund to the attention of the Secretary, 40 East 52nd Street, New York, New York 10022-5911. Shareholders may communicate with the Boards electronically by sending an email to closedendfundsbod@blackrock.com. The communication should indicate that you are a Fund shareholder. If the communication is intended for a specific Board Member and so indicates, it will be sent only to that Board Member. If a communication does not indicate a specific Board Member, it will be sent to the Chair of the Governance and Nominating Committee and the outside counsel to the Independent Board Members for further distribution as deemed appropriate by such persons.

     Additionally, shareholders with complaints or concerns regarding accounting matters may address letters to the Fund’s Chief Compliance Officer (“CCO”), 40 East 52nd Street, New York, New York 10022-5911. Shareholders who are uncomfortable submitting complaints to the CCO may address letters directly to the Chair of the Audit Committee of the Board that oversees the Fund. Such letters may be submitted on an anonymous basis.

Expense of Proxy Solicitation

     The cost of preparing, printing and mailing the enclosed proxy, accompanying notice and this Proxy Statement and costs in connection with the solicitation of proxies will be borne by the Funds. Additional out-of-pocket costs, such as legal expenses and auditor fees, incurred in connection with the preparation of this Proxy Statement, also will be borne by the Funds. Costs that are borne by the Funds collectively will be allocated among the Funds on the basis of a combination of their respective net assets and number of shareholder accounts, except when direct costs can be reasonably attributed to one or more specific Funds.

     Solicitation may be made by letter or telephone by officers or employees of BlackRock Advisors, or by dealers and their representatives. Brokerage houses, banks and other fiduciaries may be requested to forward proxy solicitation material to their principals to obtain authorization for the execution of proxies. The Funds and BlackRock will reimburse brokerage firms, custodians, banks and fiduciaries for their expenses in forwarding this Proxy Statement and proxy materials to the beneficial owners of each Fund’s shares. The Funds and BlackRock have retained The Altman Group, Inc. (“Altman”), 60 East 42nd Street, Suite 405, New York, New York 10165, a proxy solicitation firm, to assist in the printing and distribution of proxy materials and the solicitation and tabulation of proxies. In addition, Broadridge Financial Solutions, Inc. (“Broadridge”), 51 Mercedes Way, Edgewood, New York 11717, will assist the Funds in the distribution of proxy materials. It is anticipated that Altman and Broadridge will be paid approximately $33,432 and $915,447, respectively, for such services (including reimbursements of out-of-pocket expenses). Altman may solicit proxies personally and by telephone. Each Fund’s portion of the foregoing expenses is not subject to any cap or voluntary agreement to waive fees and/or reimburse expenses that may otherwise apply to that Fund.

Fiscal Year

     The fiscal year end of certain Funds was amended at a meeting of the Boards in May 2008. However, all information in this Proxy Statement, unless otherwise noted, relates to the pre-amended fiscal year end. The pre-amended and post-amended fiscal year end of each Fund is as set forth in Appendix H.

Privacy Principles of the Funds

     BlackRock is committed to maintaining the privacy of its current and former fund investors and individual clients (collectively, “Clients”) and to safeguarding their non-public personal information. The following information is provided to help you understand what personal information BlackRock collects, how we protect that information and why in certain cases we share such information with select parties.

     If you are located in a jurisdiction where specific laws, rules or regulations require BlackRock to provide you with additional or different privacy-related rights beyond what is set forth below, then BlackRock will comply with those specific laws, rules or regulations.

14


     BlackRock obtains or verifies personal non-public information from and about you from different sources, including the following: (i) information we receive from you or, if applicable, your financial intermediary, on applications, forms or other documents; (ii) information about your transactions with us, our affiliates, or others; (iii) information we receive from a consumer reporting agency; and (iv) from visits to our web sites.

     BlackRock does not sell or disclose to non-affiliated third parties any non-public personal information about its Clients, except as permitted by law or as is necessary to respond to regulatory inquiries or service Client accounts. These non-affiliated third parties are required to protect the confidentiality and security of this information and to use it only for its intended purpose.

     We may share information with our affiliates to service your account or to provide you with information about other BlackRock products or services that may be of interest to you. In addition, BlackRock restricts access to non-public personal information about its Clients to those BlackRock employees with a legitimate business need for the information. BlackRock maintains physical, electronic and procedural safeguards that are designed to protect the non-public personal information of its Clients, including procedures relating to the proper storage and disposal of such information.

General

     Management does not intend to present and does not have reason to believe that any other items of business will be presented at the meeting. However, if other matters are properly presented to the meeting for a vote, the proxies will be voted by the persons acting under the proxies upon such matters in accordance with their judgment of the best interests of the Fund.

     A list of shareholders entitled to be present and to vote at the meeting will be available at the offices of the Funds, 40 East 52nd Street, New York, New York 10022-5911, for inspection by any shareholder during regular business hours beginning ten days prior to the date of the meeting.

     Failure of a quorum to be present at any meeting will necessitate adjournment. The persons named in the enclosed proxy may also move for an adjournment of any meeting to permit further solicitation of proxies with respect to the proposal if they determine that adjournment and further solicitation are reasonable and in the best interests of shareholders. Any such adjournment will require the affirmative vote of a majority of the shares of the Fund present in person or by proxy and entitled to vote at the time of the meeting to be adjourned. Any adjourned meeting or meetings may be held without the necessity of another notice. The persons named as proxies will vote in favor of any such adjournment if they believe the adjournment and additional proxy solicitation are reasonable and in the best interests of the Fund’s shareholders. For purposes of determining the presence of a quorum, abstentions and broker non-votes will be treated as shares that are present at the meeting.

     Please vote promptly by signing and dating each enclosed proxy card, and if received by mail, returning it in the accompanying postage-paid return envelope OR by following the enclosed instructions to provide voting instructions by telephone or over the Internet.

By Order of the Boards,

Howard B. Surloff
Secretary of the Funds

August 1, 2008

15


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Appendix A

Fund Information

     The following table lists, with respect to each Fund, the total number of shares outstanding and the net assets of the Fund on July 14, 2008, the record date for voting at the meeting. All Funds have a policy to encourage Board Members to attend the annual meeting.

Ticker Fund Form of
Organization
Total
Common
Shares
Outstanding
Total AMPS
Outstanding
Net
Assets ($)*






APX BlackRock Apex Municipal Fund, Inc. Maryland Corporation 19,887,919 N/A   181,742,005
BAF BlackRock Florida Insured Municipal
   Income Trust†
Delaware Statutory
Trust
  8,734,047   1,775     170,445,992
BBF BlackRock Florida Municipal Income Trust† Delaware Statutory
Trust
6,688,169 1,982   145,845,992
BBK BlackRock Municipal Bond Trust† Delaware Statutory
Trust
10,326,123 3,220   226,960,260
BCF BlackRock Real Asset Equity Trust Delaware Statutory
Trust
56,708,028 N/A   1,141,227,452
BCK BlackRock California Insured Municipal
   Income Trust†
Delaware Statutory
Trust
5,278,087 1,502   113,017,219
BCL BlackRock California Municipal
   Income Trust II†
Delaware Statutory
Trust
7,999,789 2,390   172,816,818
BCT BlackRock Broad Investment Grade 2009
   Term Trust Inc.
Maryland Corporation 2,957,093 N/A   39,671,984
BDJ BlackRock Enhanced Dividend
   AchieversTM Trust
Delaware Statutory
Trust
69,778,138 N/A   708,376,348
BDT BlackRock Strategic Dividend
   AchieversTM Trust
Delaware Statutory
Trust
26,908,028 N/A   300,451,392
BDV BlackRock Dividend AchieversTM Trust Delaware Statutory
Trust
54,518,315 N/A   600,003,203
BFC BlackRock California Insured Municipal
   2008 Term Trust Inc.
Maryland Corporation 10,407,093 N/A   157,839,575
BFD BlackRock Global Equity Income Trust Delaware Statutory
Trust
44,995,192 N/A   665,045,957
BFK BlackRock Municipal Income Trust† Delaware Statutory
Trust
44,193,305 11,725   873,608,808
BFO BlackRock Florida Municipal 2020
   Term Trust†
Delaware Statutory
Trust
5,562,128 1,716   122,975,553
BFY BlackRock New York Municipal
   Income Trust II†
Delaware Statutory
Trust
4,940,705 1,786   115,705,242
BFZ BlackRock California Municipal Income Trust† Delaware Statutory
Trust
15,139,369 4,036   317,220,824
BGR BlackRock Global Energy and Resources Trust Delaware Statutory
Trust
29,766,217 N/A   1,239,750,497
BGT BlackRock Global Floating Rate
   Income Trust†
Delaware Statutory
Trust
23,545,239 2,352   441,404,923
BGY BlackRock International Growth and
   Income Trust
Delaware Statutory
Trust
106,306,178 N/A   1,759,456,179
BHD BlackRock Strategic Bond Trust Delaware Statutory
Trust
7,058,401 N/A   90,714,462

A-1


Ticker Fund Form of
Organization
Total
Common
Shares
Outstanding
Total AMPS
Outstanding
Net
Assets ($)*






BHK BlackRock Core Bond Trust Delaware Statutory
Trust
27,018,774 N/A   350,494,683
BHL BlackRock Defined Opportunity Credit Trust Delaware Statutory
Trust
8,923,781 N/A   127,706,607
BHV BlackRock Virginia Municipal Bond Trust†

Delaware Statutory
Trust

1,552,453 487   35,792,652
BHY BlackRock High Yield Trust Delaware Statutory
Trust
6,418,859 N/A   44,407,766
BIE BlackRock Florida Municipal Bond Trust†

Delaware Statutory
Trust

3,333,337 1,047   76,286,237
BJZ BlackRock California Municipal 2018
   Term Trust†
Delaware Statutory
Trust
6,433,028 2,221   148,297,621
BKK BlackRock Municipal 2020 Term Trust† Delaware Statutory
Trust
20,236,628 6,954   458,087,703
BKN BlackRock Investment Quality
   Municipal Trust Inc.†
Maryland Corporation 16,917,047 5,078   357,039,720
BKT BlackRock Income Trust Inc. Maryland Corporation 63,942,535 N/A   427,732,024
BLE BlackRock Municipal Income Trust II† Delaware Statutory
Trust
23,146,588 6,642   487,250,890
BLH BlackRock New York Municipal 2018
   Term Trust†
Delaware Statutory
Trust
3,633,028 1,256   88,089,362
BLJ BlackRock New Jersey Municipal Bond Trust† Delaware Statutory
Trust
2,300,925 768   52,158,066
BLN BlackRock New York Insured Municipal
   2008 Term Trust Inc.
Maryland Corporation 11,257,093 N/A   170,448,750
BLW BlackRock Limited Duration Income Trust Delaware Statutory
Trust
36,889,650 N/A   621,010,202
BME BlackRock Health Sciences Trust Delaware Statutory
Trust
7,591,500 N/A   208,658,893
BMT BlackRock Insured Municipal Term Trust Inc.† Maryland Corporation 25,885,639 2,000   318,409,540
BNA BlackRock Income Opportunity Trust, Inc. Maryland Corporation 34,449,693 N/A   360,557,409
BNJ BlackRock New Jersey Municipal
   Income Trust†
Delaware Statutory
Trust
7,532,203 2,419   169,661,933
BNY BlackRock New York Municipal Income Trust† Delaware Statutory
Trust
12,679,232 3,834   276,518,914
BOE BlackRock Global Opportunities Equity Trust Delaware Statutory
Trust
12,634,026 N/A   326,134,603
BPK BlackRock Municipal 2018 Term Trust† Delaware Statutory
Trust
15,908,028 5,354   361,181,304
BPP BlackRock Preferred Opportunity Trust† Delaware Statutory
Trust
18,391,631 4,416   416,069,750
BPS BlackRock Pennsylvania Strategic
   Municipal Trust†
Delaware Statutory
Trust
2,023,459 673   44,267,041
BQH BlackRock New York Municipal Bond Trust† Delaware Statutory
Trust
2,760,056 896   63,405,755
BQR BlackRock EcoSolutions Investment Trust Delaware Statutory
Trust
11,756,964 N/A   220,045,463
BQY BlackRock S&P Quality Rankings Global
   Equity Managed Trust
Delaware Statutory
Trust
6,033,028 N/A   97,318,622
BRF BlackRock Florida Insured Municipal
   2008 Term Trust
Massachusetts
Business Trust
8,707,093 N/A   130,566,606

A-2


      Total    
      Common    
      Shares Total AMPS Net
Ticker Fund Form of Organization Outstanding Outstanding    Assets ($)*






BRM BlackRock Insured Municipal 2008
   Term Trust Inc.
Maryland Corporation 27,207,093 N/A   411,730,038
             
BSD BlackRock Strategic Municipal Trust† Delaware Statutory
Trust
7,288,024 1,910   144,996,464
BSE BlackRock New York Insured Municipal
   Income Trust†
Delaware Statutory
Trust
6,474,946 1,667   133,288,131
BTA BlackRock Long-Term Municipal
   Advantage Trust
Delaware Statutory
Trust
13,345,151 N/A   165,272,490
BTZ BlackRock Preferred and Equity Advantage Trust† Delaware Statutory
Trust
51,828,156 9,240   1,081,288,065
BWC BlackRock World Investment Trust Delaware Statutory
Trust
52,162,868 N/A   805,825,402
BYM BlackRock Insured Municipal Income Trust† Delaware Statutory
Trust
26,214,222 5,997   524,631,837
BZA BlackRock California Municipal Bond Trust† Delaware Statutory
Trust
3,409,668 1,119   79,090,602
BZM BlackRock Maryland Municipal Bond Trust† Delaware Statutory
Trust
2,040,340 640   45,871,970
HIS BlackRock High Income Shares Massachusetts
Business Trust
54,620,872 N/A   123,381,165
MUA BlackRock MuniAssets Fund, Inc. Maryland Corporation 20,892,378 N/A   262,707,171
RAA BlackRock California Investment Quality
   Municipal Trust Inc.†
Maryland Corporation 1,007,166 273   20,124,204
RFA BlackRock Florida Investment Quality
   Municipal Trust†
Massachusetts
Business Trust
1,127,093 285   21,347,429
RNJ BlackRock New Jersey Investment Quality
   Municipal Trust Inc.†
Maryland Corporation 1,012,105 283   19,703,918
RNY BlackRock New York Investment Quality
   Municipal Trust Inc.†
Maryland Corporation 1,311,673 392   27,632,634

†      Denotes an AMPS Fund.
*      Includes amounts borrowed for investment purposes.

A-3


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Appendix B

Compensation of the Board Members

     The Board Members who are not “interested persons,” as defined in the 1940 Act, (the “Independent Board Members”) receive retainer fees which includes meeting fees (up to six meetings per year) for Board and committee meetings and are reimbursed for all out-of-pocket expenses relating to attendance at such meetings. The Funds do not provide compensation to any Board Member who is an “interested person,” as defined in the 1940 Act. Information regarding compensation, including amounts deferred, paid to the Independent Board Members for each Fund’s most recent fiscal year is set forth below.

     Each Fund shall pay a pro rata portion quarterly (based on the relative net assets) of the following Board Member fees paid by the Funds in the Fund Complex for which they serve: (i) $250,000 per annum for each Independent Board Member as a retainer and (ii) $10,000 per day for each Independent Board Member for each special meeting of each Board in the Fund Complex for which they serve (i.e., any meeting, whether telephonic or in person, other than one of the six regularly scheduled meetings of each board per year) attended. Each Independent Board Member shall also be entitled to reimbursement for all of his or her out-of-pocket expenses in attending each meeting of each Board and any committee thereof. Mr. Cavanagh will receive an additional $120,000 per annum from the funds in the Fund Complex for acting as the Chair for each Board. Ms. Robards will receive an additional $40,000 per annum from the funds in the Fund Complex for acting as the Vice Chair for each Board. Mr. Fabozzi will receive an additional $20,000 per annum from the funds in the Fund Complex for acting as Chair of each Performance Oversight Committee. Ms. Feldstein will receive an additional $20,000 per annum from the funds in the Fund Complex for acting as Chair of each Compliance Committee. Mr. Hubbard will receive an additional $10,000 per annum from the funds in the Fund Complex for acting as Chair of each Governance and Nominating Committee. Mr. Dixon, Mr. Fabozzi, Mr. Flynn, Mr. Kester, Ms. Robards and Mr. Salomon will each receive an additional $25,000 per annum from the funds in the Fund Complex for their service on each Audit Committee. Ms. Robards will receive an additional $35,000 per annum from the funds in the Fund Complex for acting as the Chair of each Audit Committee. The additional compensation payable to Mr. Cavanagh, Mr. Dixon, Mr. Fabozzi, Ms. Feldstein, Mr. Flynn, Mr. Hubbard, Mr. Kester, Ms. Robards and Mr. Salomon will be allocated among the funds in the Fund Complex for which they serve based on their relative net assets.

     The Independent Board Members have agreed that a maximum of 50% of each Independent Board Member’s total compensation paid by funds in the Fund Complex may be deferred pursuant to the Fund Complex’s deferred compensation plan. Under the deferred compensation plan, deferred amounts earn a return for the Independent Board Members as though equivalent dollar amounts had been invested in common shares of certain funds in the Fund Complex selected by the Independent Board Members. This has approximately the same economic effect for the Independent Board Members as if they had invested the deferred amounts in such other funds in the Fund Complex for which they serve. The deferred compensation plan is not funded and obligations thereunder represent general unsecured claims against the general assets of a fund. A fund may, however, elect to invest in common shares of those funds in the Fund Complex selected by the Independent Board Members in order to match its deferred compensation obligation. For the year ended December 31, 2007, the Funds supervised by the Boards reimbursed Independent Board Member expenses in an aggregate amount of $37,296.

     The table below sets forth the aggregate compensation paid to each Independent Board Member by each Fund during its most recently completed fiscal year (based on each Fund’s pre-amended fiscal year end).

B-1


Fund
Pre
Amended
FYE (1)
(9) (10) (11)

Post
Amended
FYE

Richard E.
Cavanagh
(2)

Kent
Dixon
(3)

Frank J.
Fabozzi
(4)

Kathleen F.
Feldstein
(5)

R. Glenn
Hubbard
(6)

G. Nicholas
Beckwith III
(7)

James T.
Flynn
(7)

Jerrold B.
Harris(7)

W. Carl
Kester
(7)

Karen P.
Robards
(7)

Robert S.
Salomon Jr.
(7)

APX 30-Jun 30-Apr $ 1,367   $ 1,016   $ 1,090   $ 997   $ 960   $ 923   $ 1,016   $ 923   $ 1,016   $ 1,293   $ 1,686  
BAF 31-Aug N/A $ 3,609   $ 3,262   $ 3,262   $ 2,892   $ 2,892   $   $   $   $   $   $  
BBF 31-Oct 31-Jul $ 3,147   $ 2,713   $ 2,713   $ 2,388   $ 2,388   $   $   $   $   $   $  
BBK 31-Aug N/A $ 5,747   $ 5,305   $ 5,305   $ 4,833   $ 4,833   $   $   $   $   $   $  
BCF 31-Oct N/A $ 13,470   $ 9,094   $ 9,094   $ 6,252   $ 6,252   $   $   $   $   $   $  
BCK 31-Aug N/A $ 2,192   $ 1,981   $ 1,981   $ 1,754   $ 1,754   $   $   $   $   $   $  
BCL 31-Aug N/A $ 3,430   $ 3,098   $ 3,098   $ 2,744   $ 2,744   $   $   $   $   $   $  
BCT 31-Oct N/A $ 1,797   $ 1,626   $ 1,626   $ 1,500   $ 1,500   $   $   $   $   $   $  
BDJ 31-Oct N/A $ 13,662   $ 9,316   $ 9,316   $ 6,250   $ 6,250   $   $   $   $   $   $  
BDT 31-Oct N/A $ 9,383   $ 7,554   $ 7,554   $ 6,250   $ 6,250   $   $   $   $   $   $  
BDV 31-Oct N/A $ 12,566   $ 8,865   $ 8,865   $ 6,250   $ 6,250   $   $   $   $   $   $  
BFC 31-Dec N/A $ 4,298   $ 3,550   $ 3,565   $ 3,071   $ 3,063   $ 185   $ 203   $ 185   $ 203   $ 259   $ 203  
BFD 31-Oct N/A $ 6,529   $ 4,069   $ 4,069   $ 3,250   $ 3,250   $   $   $   $   $   $  
BFK 31-Oct 30-Apr $ 12,632   $ 9,844   $ 9,844   $ 7,750   $ 7,750   $   $   $   $   $   $  
BFO 31-Dec 31-Jul $ 2,368   $ 1,977   $ 1,985   $ 1,727   $ 1,723   $ 96   $ 106   $ 96   $ 106   $ 135   $ 106  
BFY 31-Aug N/A $ 2,085   $ 1,884   $ 1,884   $ 1,669   $ 1,669   $   $   $   $   $   $  
BFZ 31-Oct 31-Jul $ 6,781   $ 5,805   $ 5,805   $ 5,072   $ 5,072   $   $   $   $   $   $  
BGR 31-Oct N/A $ 13,263   $ 9,026   $ 9,026   $ 6,250   $ 6,250   $   $   $   $   $   $  
BGT 31-Dec 31-Oct $ 10,223   $ 8,137   $ 8,177   $ 6,795   $ 6,774   $ 504   $ 555   $ 504   $ 555   $ 706   $ 555  
BGY 31-Oct N/A $ 11,976   $ 6,369   $ 6,369   $ 4,500   $ 4,500   $   $   $   $   $   $  
BHD 31-Oct 31-Aug $ 3,005   $ 2,588   $ 2,588   $ 2,279   $ 2,279   $   $   $   $   $   $  
BHK 31-Oct 31-Aug $ 10,161   $ 8,604   $ 8,604   $ 7,445   $ 7,445   $   $   $   $   $   $  
BHL 31-Aug N/A $   $   $   $   $   $   $   $   $   $   $  
BHV 31-Aug N/A $ 1,636   $ 1,570   $ 1,570   $ 1,500   $ 1,500   $   $   $   $   $   $  
BHY 31-Oct 31-Aug $ 1,881   $ 1,661   $ 1,661   $ 1,500   $ 1,500   $   $   $   $   $   $  
BIE 31-Aug N/A $ 1,923   $ 1,784   $ 1,784   $ 1,635   $ 1,635   $   $   $   $   $   $  
BJZ 31-Dec N/A $ 2,707   $ 2,255   $ 2,263   $ 1,962   $ 1,958   $ 111   $ 123   $ 111   $ 123   $ 156   $ 123  
BKK 31-Dec 30-Apr $ 8,197   $ 6,736   $ 6,765   $ 5,789   $ 5,775   $ 355   $ 390   $ 355   $ 390   $ 497   $ 390  
BKN 31-Oct 30-Apr $ 7,504   $ 6,424   $ 6,424   $ 5,609   $ 5,609   $   $   $   $   $   $  
BKT 31-Oct 31-Aug $ 10,811   $ 9,048   $ 9,048   $ 7,750   $ 7,750   $   $   $   $   $   $  
BLE 31-Aug N/A $ 9,328   $ 8,367   $ 8,367   $ 7,344   $ 7,344   $   $   $   $   $   $  
BLH 31-Dec N/A $ 1,809   $ 1,533   $ 1,539   $ 1,356   $ 1,353   $ 68   $ 74   $ 68   $ 74   $ 95   $ 74  
BLJ 31-Aug N/A $ 1,714   $ 1,616   $ 1,616   $ 1,511   $ 1,511   $   $   $   $   $   $  
BLN 31-Dec N/A $ 4,635   $ 3,825   $ 3,841   $ 3,306   $ 3,298   $ 200   $ 220   $ 200   $ 220   $ 280   $ 220  
BLW 31-Oct 31-Aug $ 12,906   $ 9,945   $ 9,945   $ 7,750   $ 7,750   $   $   $   $   $   $  
BME 31-Oct N/A $ 5,234   $ 4,321   $ 4,321   $ 3,702   $ 3,702   $   $   $   $   $   $  
BMT 31-Dec N/A $ 6,980   $ 5,734   $ 5,759   $ 4,937   $ 4,925   $ 309   $ 340   $ 309   $ 340   $ 433   $ 340  
BNA 31-Oct 31-Aug $ 10,424   $ 8,823   $ 8,823   $ 7,631   $ 7,631   $   $   $   $   $   $  
BNJ 31-Oct 31-Jul $ 3,621   $ 3,117   $ 3,117   $ 2,737   $ 2,737   $   $   $   $   $   $  
BNY 31-Oct 31-Jul $ 5,779   $ 4,951   $ 4,951   $ 4,330   $ 4,330   $   $   $   $   $   $  
BOE 31-Oct N/A $ 8,690   $ 7,151   $ 7,151   $ 6,107   $ 6,107   $   $   $   $   $   $  
BPK 31-Dec N/A $ 6,566   $ 5,406   $ 5,429   $ 4,654   $ 4,643   $ 283   $ 311   $ 283   $ 311   $ 396   $ 311  

B-2


Fund
Pre
Amended
FYE (1)
(9) (10) (11)

Post
Amended
FYE

Richard E.
Cavanagh
(2)

Kent
Dixon
(3)

Frank J.
Fabozzi
(4)

Kathleen F.
Feldstein
(5)

R. Glenn
Hubbard
(6)

G. Nicholas
Beckwith III
(7)

James T.
Flynn
(7)

Jerrold B.
Harris(7)

W. Carl
Kester
(7)

Karen P.
Robards
(7)

Robert S.
Salomon Jr.
(7)

BPP 31-Dec 31-Oct $ 10,070   $ 8,069   $ 8,106   $ 6,749   $ 6,730   $ 462   $ 508   $ 462   $ 508   $ 647   $ 508  
BPS 31-Dec 30-Apr $ 1,515   $ 1,376   $ 1,379   $ 1,287   $ 1,285   $ 34   $ 37   $ 34   $ 37   $ 47   $ 37  
BQH 31-Aug N/A $ 1,794   $ 1,679   $ 1,679   $ 1,556   $ 1,556   $   $   $   $   $   $  
BQR 31-Oct N/A $   $   $   $   $   $   $   $   $   $   $  
BQY 31-Oct N/A $ 3,082   $ 2,567   $ 2,567   $ 2,214   $ 2,214   $   $   $   $   $   $  
BRF 31-Dec N/A $ 3,528   $ 2,922   $ 2,934   $ 2,535   $ 2,529   $ 151   $ 166   $ 151   $ 166   $ 211   $ 166  
BRM 31-Dec N/A $ 9,976   $ 8,024   $ 8,063   $ 6,770   $ 6,750   $ 481   $ 529   $ 481   $ 529   $ 674   $ 529  
BSD 31-Dec 30-Apr $ 3,058   $ 2,543   $ 2,553   $ 2,208   $ 2,203   $ 124   $ 136   $ 124   $ 136   $ 174   $ 136  
BSE 31-Aug N/A $ 2,071   $ 1,812   $ 1,812   $ 1,535   $ 1,535   $   $   $   $   $   $  
BTA 31-Oct 30-Apr $ 5,673   $ 4,866   $ 4,866   $ 4,255   $ 4,255   $   $   $   $   $   $  
BTZ 31-Oct N/A $ 11,417   $ 6,420   $ 6,420   $ 4,753   $ 4,753   $   $   $   $   $   $  
BWC 31-Oct N/A $ 12,741   $ 8,877   $ 8,877   $ 6,250   $ 6,250   $   $   $   $   $   $  
BYM 31-Aug N/A $ 9,706   $ 8,640   $ 8,640   $ 7,500   $ 7,500   $   $   $   $   $   $  
BZA 31-Aug N/A $ 1,944   $ 1,801   $ 1,801   $ 1,648   $ 1,648   $   $   $   $   $   $  
BZM 31-Aug N/A $ 1,674   $ 1,590   $ 1,590   $ 1,500   $ 1,500   $   $   $   $   $   $  
HIS 31-Dec 31-Aug $ 3,965   $ 3,280   $ 3,294   $ 2,840   $ 2,833   $ 166   $ 182   $ 166   $ 182   $ 232   $ 182  
MUA 31-May 30-Apr $ 1,983   $ 1,474   $ 1,581   $ 1,447   $ 1,393   $ 1,340   $ 1,474   $ 1,340   $ 1,474   $ 1,875   $ 2,248  
RAA 31-Oct 31-Jul $ 1,608   $ 1,547   $ 1,547   $ 1,500   $ 1,500   $   $   $   $   $   $  
RFA 31-Oct 31-Jul $ 1,616   $ 1,550   $ 1,550   $ 1,500   $ 1,500   $   $   $   $   $   $  
RNJ 31-Oct 31-Jul $ 1,607   $ 1,546   $ 1,546   $ 1,500   $ 1,500   $   $   $   $   $   $  
RNY 31-Oct 31-Jul $ 1,644   $ 1,562   $ 1,562   $ 1,500   $ 1,500   $   $   $   $   $   $  
Total Compensation from                                                                    
   Fund Complex(8)   $ 390,280   $ 299,365   $ 302,699   $ 251,005   $ 249,338   $ 119,817   $ 175,894   $ 123,567   $ 175,894   $ 221,763   $ 245,969  
Number of Funds in Fund Complex                                                                  
   Overseen by Board Member   110     110     110     110     110     109     109     109     109     109     109  

(1)      Information is for the Fund’s most recent fiscal year.
(2)      Total amount of deferred compensation, including interest, payable to Board Member or accrued is $294,563 as of 12/31/07.
(3)      Total amount of deferred compensation, including interest, payable to Board Member or accrued is $230,925 as of 12/31/07.
(4)      Total amount of deferred compensation, including interest, payable to Board Member or accrued is $208,975 as of 12/31/07.
(5)      Total amount of deferred compensation, including interest, payable to Board Member or accrued is $84,532 as of 12/31/07.
(6)      Total amount of deferred compensation, including interest, payable to Board Member or accrued is $508,856 as of 12/31/07.
(7)      As of December 31, 2007 the Board Member did not participate in the deferred compensation plan.
(8)      Represents the aggregate compensation earned by such persons during the calendar year ended December 31, 2007. Of this amount, Mr. Cavanagh, Mr. Dixon, Mr. Fabozzi, Ms. Feldstein and Mr. Hubbard deferred $50,000, $50,000, $50,000, $30,000 and $193,502, respectively, pursuant to the Fund Complex’s deferred compensation plan.
(9)      BlackRock Defined Opportunity Credit Trust (BHL), BlackRock Global Equity Income Trust (BFD), BlackRock International Growth and Income Trust (BGY) and BlackRock EcoSolutions Investment Trust (BQR) commenced operations on January 31, 2008, March 30, 2007, May 30, 2007 and September 28, 2007, respectively, and have not completed a full fiscal year.
(10)      The fiscal year end (FYE) for certain Funds was amended at a meeting of the Boards in May 2008. However, the information reflected in this chart is for the pre-amended FYE.
(11)      Due to the board consolidation that occurred last year as a result of the merger of BlackRock and Merrill Lynch & Co., Inc.’s investment management business and payment methodology change, reflected compensation may cover a service period in excess of twelve months.

B-3


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Appendix C

Equity Securities Owned by Board Members

     The following table shows the amount of equity securities owned by the Board Members in the funds that they are nominated to oversee as of May 31, 2008, except as otherwise indicated.

Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Interested Board Members:                
Richard S. Davis BlackRock Debt 500 None $1-$10,000 Over Over
  Strategies Fund, Inc.       $100,000     $100,000
 
  BlackRock Diversified 500 None $1-$10,000    
  Income Strategies              
  Fund, Inc.              
 
  BlackRock Global 500 None $1-$10,000    
  Floating Rate Income              
  Trust              
 
  BlackRock 3,600 None $50,001    
  International Growth     -$100,000        
  and Income Trust              
 
  BlackRock Limited 500 None $1-$10,000    
  Duration Income Trust            
 
  BlackRock Municipal 500 None $1-$10,000    
  2018 Term Trust              
 
  BlackRock Real 500 None $1-$10,000    
  Asset Equity Trust              
 
  BlackRock World 500 None $1-$10,000    
  Investment Trust              
 
  The Massachusetts 500 None $1-$10,000    
  Health & Education              
  Tax-Exempt Trust              
 
Henry Gabbay BlackRock Dividend 1,000 None $10,001 Over Over
  AchieversTM Trust     -$50,000 $100,000     $100,000
 
  BlackRock Global 500 None $10,001    
  Energy and     -$50,000        
  Resources Trust              
 
  BlackRock Health 550 None $10,001    
  Sciences Trust     -$50,000        
 
  BlackRock 900 None $10,001    
  International Growth     -$50,000        
  and Income Trust              
 
  BlackRock Long-Term 1,600 None $10,001    
  Municipal Advantage     -$50,000        
  Trust              
 
  BlackRock Muni 1,400 None $10,001    
  New York     -$50,000        
  Intermediate              
  Duration Fund, Inc.              
 
  BlackRock 1,400 None $10,001    
  MuniHoldings     -$50,000        
  New York Insured              
  Fund, Inc.              

C-1


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Interested Board Members:                
(continued)                
Henry Gabbay BlackRock MuniYield 1,500 None $10,001    
(continued) New York Insured     -$50,000        
  Fund, Inc.              
 
  BlackRock New York 1,300 None $10,001    
  Municipal Income     -$50,000        
  Trust II              
 
  BlackRock Real 950 None $10,001    
  Asset Equity Trust     -$50,000        
 
  BlackRock S&P 840 None $10,001    
  Quality Rankings     -$50,000        
  Global Equity              
  Managed Trust              
 
  BlackRock Strategic 1,000 None $10,001    
  Dividend AchieversTM     -$50,000        
  Trust              
 
Independent Board Members:              
G. Nicholas Beckwith, III BlackRock Apex 102 None $1-$10,000 $50,001 Over
  Municipal Fund, Inc.       -$100,000     $100,000
 
  BlackRock Broad 101 None $1-$10,000    
  Investment Grade              
  2009 Term Trust Inc.              
 
  BlackRock Core 102 None $1-$10,000    
  Bond Trust              
 
  BlackRock Corporate 104 None $1-$10,000    
  High Yield Fund, Inc.              
 
  BlackRock Corporate 104 None $1-$10,000    
  High Yield Fund III, Inc.            
 
  BlackRock Corporate 104 None $1-$10,000    
  High Yield Fund V, Inc.            
 
  BlackRock Corporate 104 None $1-$10,000   715 $1-$10,000  
  High Yield Fund VI, Inc.            
 
  BlackRock Debt 103 None $1-$10,000    
  Strategies Fund, Inc.              
 
  BlackRock Diversified 103 None $1-$10,000    
  Income Strategies              
  Fund, Inc.              
 
  BlackRock Dividend 102 None $1-$10,000    
  AchieversTM Trust              
 
  BlackRock 102 None $1-$10,000    
  EcoSolutions              
  Investment Trust              
 
  BlackRock Enhanced 103 None $1-$10,000    
  Capital and Income              
  Fund, Inc.              
 
  BlackRock Enhanced 103 None $1-$10,000   719 $1-$10,000  
  Dividend AchieversTM              
  Trust              

C-2


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
G. Nicholas Beckwith, III BlackRock Enhanced 100 None $1-$10,000    
(continued) Equity Yield &              
  Premium Fund, Inc.              
 
  BlackRock Enhanced 103 None $1-$10,000    
  Equity Yield Fund, Inc.              
 
  BlackRock Enhanced 102 None $1-$10,000    
  Government Fund, Inc.            
 
  BlackRock Floating 103 None $1-$10,000    
  Rate Income              
  Strategies Fund, Inc.              
 
  BlackRock Floating 102 None $1-$10,000    
  Rate Income              
  Strategies Fund II, Inc.            
 
  BlackRock Global 101 None $1-$10,000   249 $1-$10,000  
  Energy and              
  Resources Trust              
 
  BlackRock Global 103 None $1-$10,000    
  Equity Income Trust              
 
  BlackRock Global 103 None $1-$10,000   529 $1-$10,000  
  Floating Rate              
  Income Trust              
 
  BlackRock Global 102 None $1-$10,000    
  Opportunities Equity              
  Trust              
 
  BlackRock Health 102 None $1-$10,000    
  Sciences Trust              
 
  BlackRock High 103 None $1-$10,000    
  Income Shares              
 
  BlackRock High 103 None $1-$10,000    
  Yield Trust              
 
  BlackRock Income 102 None $1-$10,000    
  Opportunity Trust, Inc.              
 
  BlackRock Income 102 None $1-$10,000    
  Trust, Inc.              
 
  BlackRock Insured 101 None $1-$10,000    
  Municipal Income              
  Trust              
 
  BlackRock 103 None $1-$10,000   450 $1-$10,000  
  International Growth              
  and Income Trust              
 
  BlackRock Investment 102 None $1-$10,000    
  Quality Municipal              
  Trust, Inc.              
 
  BlackRock Limited 103 None $1-$10,000   517 $1-$10,000  
  Duration Income              
  Trust              

C-3


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
G. Nicholas Beckwith, III BlackRock Long-Term 101 None $1-$10,000    
(continued) Municipal Advantage              
  Trust              
 
  BlackRock Muni 101 None $1-$10,000    
  Intermediate              
  Duration Fund, Inc.              
 
  BlackRock 102 None $1-$10,000    
  MuniAssets Fund, Inc.            
 
  BlackRock Municipal 101 None $1-$10,000    
  2018 Term Trust              
 
  BlackRock Municipal 101 None $1-$10,000    
  2020 Term Trust              
 
  BlackRock Municipal 102 None $1-$10,000    
  Bond Trust              
 
  BlackRock Municipal 102 None $1-$10,000    
  Income Trust              
 
  BlackRock Municipal 102 None $1-$10,000    
  Income Trust II              
 
  BlackRock 101 None $1-$10,000    
  MuniEnhanced              
  Fund, Inc.              
 
  BlackRock 101 None $1-$10,000    
  MuniHoldings              
  Fund, Inc.              
 
  BlackRock 101 None $1-$10,000    
  MuniHoldings              
  Fund II, Inc.              
 
  BlackRock 101 None $1-$10,000    
  MuniHoldings              
  Insured Fund, Inc.              
 
  BlackRock 101 None $1-$10,000    
  MuniHoldings              
  Insured Fund II, Inc.              
 
  BlackRock MuniVest 101 None $1-$10,000    
  Fund, Inc.              
 
  BlackRock 102 None $1-$10,000    
  MuniVest Fund II, Inc.              
 
  BlackRock 102 None $1-$10,000    
  MuniYield Fund, Inc.              
 
  BlackRock MuniYield 101 None $1-$10,000    
  Insured Fund, Inc.              
 
  BlackRock MuniYield 101 None $1-$10,000    
  Pennsylvania Insured              
  Fund              
 
  BlackRock MuniYield 101 None $1-$10,000    
  Quality Fund, Inc.              
 
  BlackRock MuniYield 101 None $1-$10,000    
  Quality Fund II, Inc.              

C-4


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
G. Nicholas Beckwith, III BlackRock Preferred 103 None $1-$10,000    
(continued) and Corporate              
  Income Strategies              
  Fund, Inc.              
 
  BlackRock Preferred 103 None $1-$10,000   474 $1-$10,000  
  and Equity              
  Advantage Trust              
 
  BlackRock Preferred 103 None $1-$10,000   501 $1-$10,000  
  Income Strategies              
  Fund, Inc.              
 
  BlackRock Preferred 103 None $1-$10,000    
  Opportunity Trust              
 
  BlackRock Real 102 None $1-$10,000    
  Asset Equity Trust              
 
  BlackRock S&P 101 None $1-$10,000    
  Quality Rankings              
  Global Equity              
  Managed Trust              
 
  BlackRock Senior 103 None $1-$10,000    
  High Income              
  Fund, Inc.              
 
  BlackRock Strategic 103 None $1-$10,000    
  Bond Trust              
 
  BlackRock Strategic 102 None $1-$10,000    
  Dividend AchieversTM              
  Trust              
 
  BlackRock World 102 None $1-$10,000    
  Investment Trust              
 
  The BlackRock 101 None $1-$10,000    
  Insured Municipal              
  Term Trust, Inc.              
 
  The BlackRock 101 None $1-$10,000    
  Pennsylvania              
  Strategic Municipal              
  Trust              
 
  The BlackRock 102 None $1-$10,000    
  Strategic Municipal              
  Trust              
 
Richard E. Cavanagh BlackRock Apex 100 None $1-$10,000 Over Over
  Municipal Fund, Inc.       $100,000     $100,000
 
  BlackRock Broad 100 None $1-$10,000    
  Investment Grade              
  2009 Term Trust Inc.              
 
  BlackRock Core 500 None $1-$10,000    
  Bond Trust              
 
  BlackRock Corporate 100 None $1-$10,000    
  High Yield Fund, Inc.              
 
  BlackRock Corporate 100 None $1-$10,000    
  High Yield Fund III, Inc.            

C-5


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Richard E. Cavanagh BlackRock Corporate 100 None $1-$10,000    
(continued) High Yield Fund V, Inc.              
 
  BlackRock Corporate 100 None $1-$10,000   3,774 $10,001-  
  High Yield Fund VI, Inc.         $50,000  
 
  BlackRock Debt 100 None $1-$10,000    
  Strategies Fund, Inc.              
 
  BlackRock Diversified 100 None $1-$10,000    
  Income Strategies              
  Fund, Inc.              
 
  BlackRock Dividend 100 None $1-$10,000    
  AchieversTM Trust              
 
  BlackRock 100 None $1-$10,000    
  EcoSolutions              
  Investment Trust              
 
  BlackRock Enhanced 100 None $1-$10,000    
  Capital and Income              
  Fund, Inc.              
 
  BlackRock Enhanced 100 None $1-$10,000   3,611 $10,001  
  Dividend AchieversTM           -$50,000  
  Trust              
 
  BlackRock Enhanced 100 None $1-$10,000    
  Equity Yield &              
  Premium Fund, Inc.              
 
  BlackRock Enhanced 100 None $1-$10,000    
  Equity Yield Fund, Inc.              
 
  BlackRock Enhanced 100 None $1-$10,000    
  Government Fund, Inc.              
 
  BlackRock Floating 100 None $1-$10,000    
  Rate Income              
  Strategies Fund, Inc.              
 
  BlackRock Floating 100 None $1-$10,000    
  Rate Income              
  Strategies Fund II, Inc.              
 
  BlackRock Global 100 None $1-$10,000   1,315 $10,001  
  Energy and           -$50,000  
  Resources Trust              
 
  BlackRock Global 100 None $1-$10,000    
  Equity Income Trust              
 
  BlackRock Global 200 None $1-$10,000   2,830 $10,001  
  Floating Rate           -$50,000  
  Income Trust              
 
  BlackRock Global 100 None $1-$10,000    
  Opportunities Equity              
  Trust              
 
  BlackRock Health 100 None $1-$10,000    
  Sciences Trust              
 
  BlackRock High 100 None $1-$10,000    
  Income Shares              

C-6


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Richard E. Cavanagh BlackRock High 200 None $1-$10,000    
(continued) Yield Trust              
 
  BlackRock Income 100 None $1-$10,000    
  Opportunity Trust, Inc.              
 
  BlackRock Income 500 None $1-$10,000    
  Trust, Inc.              
 
  BlackRock Insured 200 None $1-$10,000    
  Municipal Income              
  Trust              
 
  BlackRock 100 None $1-$10,000   2,637 $10,001  
  International Growth           -$50,000  
  and Income Trust              
 
  BlackRock Investment 500 None $1-$10,000    
  Quality Municipal              
  Trust, Inc.              
 
  BlackRock Limited 100 None $1-$10,000   2,701 $10,001  
  Duration Income Trust           -$50,000  
 
  BlackRock Long-Term 200 None $1-$10,000    
  Municipal Advantage              
  Trust              
 
  BlackRock Muni 100 None $1-$10,000    
  Intermediate Duration              
  Fund, Inc.              
 
  BlackRock 100 None $1-$10,000    
  MuniAssets Fund, Inc.              
 
  BlackRock Municipal 300 None $1-$10,000    
  2018 Term Trust              
 
  BlackRock Municipal 100 None $1-$10,000    
  2020 Term Trust              
 
  BlackRock Municipal 100 None $1-$10,000    
  Bond Trust              
 
  BlackRock Municipal 300 None $1-$10,000    
  Income Trust              
 
  BlackRock Municipal 100 None $1-$10,000    
  Income Trust II              
 
  BlackRock 100 None $1-$10,000    
  MuniEnhanced              
  Fund, Inc.              
 
  BlackRock 100 None $1-$10,000    
  MuniHoldings              
  Fund Inc.              
 
  BlackRock 100 None $1-$10,000    
  MuniHoldings              
  Fund II, Inc.              
 
  BlackRock 100 None $1-$10,000    
  MuniHoldings              
  Insured Fund, Inc.              

C-7


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Richard E. Cavanagh BlackRock 100 None $1-$10,000    
(continued) MuniHoldings              
  Insured Fund II, Inc.              
 
  BlackRock MuniVest 100 None $1-$10,000    
  Fund, Inc.              
 
  BlackRock MuniVest 100 None $1-$10,000    
  Fund II, Inc.              
 
  BlackRock MuniYield 100 None $1-$10,000    
  Fund, Inc.              
 
  BlackRock MuniYield 100 None $1-$10,000    
  Insured Fund, Inc.              
 
  BlackRock MuniYield 100 None $1-$10,000    
  Quality Fund, Inc.              
 
  BlackRock MuniYield 100 None $1-$10,000    
  Quality Fund II, Inc.              
 
  BlackRock New York 200 None $1-$10,000    
  Insured Municipal              
  Income Trust              
 
  BlackRock New York 100 None $1-$10,000    
  Investment Quality              
  Municipal Trust, Inc.              
 
  BlackRock New York 100 None $1-$10,000      
  Municipal 2018              
  Term Trust              
 
  BlackRock New York 100 None $1-$10,000    
  Municipal Bond Trust              
 
  BlackRock New York 300 None $1-$10,000    
  Municipal Income Trust            
 
  BlackRock New York 100 None $1-$10,000    
  Municipal Income              
  Trust II              
 
  BlackRock Preferred 100 None $1-$10,000    
  and Corporate              
  Income Strategies              
  Fund, Inc.              
 
  BlackRock Preferred 200 None $1-$10,000   2,520 $10,001  
  and Equity           -$50,000  
  Advantage Trust              
 
  BlackRock Preferred 100 None $1-$10,000   2,630 $10,001  
  Income Strategies           -$50,000  
  Fund, Inc.              
 
  BlackRock Preferred 100 None $1-$10,000    
  Opportunity Trust              
 
  BlackRock Real 200 None $1-$10,000    
  Asset Equity Trust              

C-8


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Richard E. Cavanagh BlackRock S&P 100 None $1-$10,000    
(continued) Quality Rankings              
  Global Equity              
  Managed Trust              
 
  BlackRock Senior 100 None $1-$10,000    
  High Income Fund, Inc.            
 
  BlackRock Strategic 300 None $1-$10,000    
  Bond Trust              
 
  BlackRock Strategic 100 None $1-$10,000    
  Dividend AchieversTM              
  Trust              
 
  BlackRock World 100 None $1-$10,000    
  Investment Trust              
 
  The BlackRock 100 None $1-$10,000    
  Insured Municipal              
  2008 Term Trust, Inc.              
 
  The BlackRock 100 None $1-$10,000    
  Insured Municipal              
  Term Trust, Inc.              
 
  The BlackRock 100 None $1-$10,000    
  New York Insured              
  Municipal 2008              
  Term Trust              
 
  The BlackRock 500 None $1-$10,000    
  Strategic Municipal              
  Trust              
 
  The Massachusetts 100 None $1-$10,000    
  Health & Education              
  Tax-Exempt Trust              
 
Kent Dixon BlackRock Broad 100 None $1-$10,000 Over Over
  Investment Grade       $100,000     $100,000
  2009 Term Trust Inc.              
 
  BlackRock Core 100 None $1-$10,000    
  Bond Trust              
 
  BlackRock Corporate None   2,725 $10,001  
  High Yield Fund VI, Inc.         -$50,000  
 
  BlackRock Dividend 3,000 None $10,001    
  AchieversTM Trust     -$50,000        
 
  BlackRock 100 None $1-$10,000    
  EcoSolutions              
  Investment Trust              
 
  BlackRock Enhanced 3,000 None $10,001   2,622 $10,001  
  Dividend AchieversTM     -$50,000     -$50,000  
  Trust              
 
  BlackRock Florida 100 None $1-$10,000    
  Insured Municipal              
  Income Trust              

C-9


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Kent Dixon BlackRock Florida 100 None $1-$10,000    
(continued) Investment Quality              
  Municipal Trust              
 
  BlackRock Florida 100 None $1-$10,000    
  Municipal 2020              
  Term Trust              
 
  BlackRock Florida 100 None $1-$10,000    
  Municipal Bond Trust              
 
  BlackRock Florida 2,100 None $10,001    
  Municipal Income     -$50,000        
  Trust              
 
  BlackRock Global 1,500 None $50,001   951 $10,001  
  Energy and     -$100,000     -$50,000  
  Resources Trust              
 
  BlackRock Global 1,000 None $10,001    
  Equity Income Trust     -$50,000        
 
  BlackRock Global 500 None $1-$10,000   2,038 $10,001  
  Floating Rate           -$50,000  
  Income Trust              
 
  BlackRock Global 3,000 None $50,001    
  Opportunities Equity     -$100,000        
  Trust              
 
  BlackRock Health 1,100 None $10,001    
  Sciences Trust     -$50,000        
 
  BlackRock High 500 None $1-$10,000    
  Income Shares              
 
  BlackRock High 5,000 None $10,001    
  Yield Trust     -$50,000        
 
  BlackRock Income 100 None $1-$10,000    
  Opportunity Trust, Inc.            
 
  BlackRock Income 100 None $1-$10,000    
  Trust, Inc.              
 
  BlackRock Insured 5,100 None $50,001    
  Municipal Income     -$100,000        
  Trust              
 
  BlackRock 2,000 None $10,001   1,920 $10,001  
  International Growth     -$50,000     -$50,000  
  and Income Trust              
 
  BlackRock Investment 100 None $1-$10,000    
  Quality Municipal              
  Trust, Inc.              
 
  BlackRock Limited 1,000 None $10,001   1,929 $10,001  
  Duration Income     -$50,000     -$50,000  
  Trust              
 
  BlackRock Long-Term 100 None $1-$10,000    
  Municipal Advantage              
  Trust              

C-10


Name of Board Member Fund Name Number of
Shares of

Common

Stock
 Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Kent Dixon BlackRock Municipal 100 None $1-$10,000    
(continued) 2018 Term Trust              
 
  BlackRock Municipal 100 None $1-$10,000    
  2020 Term Trust              
 
  BlackRock Municipal 5,000 None $50,001    
  Bond Trust     -$100,000        
 
  BlackRock Municipal 5,100 None $50,001    
  Income Trust     -$100,000        
 
  BlackRock Municipal 100 None $1-$10,000    
  Income Trust II              
 
  BlackRock Preferred 2,000 None $10,001   1,820 $10,001  
  and Equity     -$50,000     -$50,000  
  Advantage Trust              
 
  BlackRock Preferred None   1,898 $10,001  
  Income Strategies           -$50,000  
  Fund, Inc.              
 
  BlackRock Preferred 100 None $1-$10,000    
  Opportunity Trust              
 
  BlackRock Real 1,000 None $10,001    
  Asset Equity Trust     -$50,000        
 
  BlackRock S&P 100 None $1-$10,000    
  Quality Rankings              
  Global Equity              
  Managed Trust              
 
  BlackRock Strategic 100 None $1-$10,000    
  Bond Trust              
 
  BlackRock Strategic 100 None $1-$10,000    
  Dividend AchieversTM              
  Trust              
 
  BlackRock World 1,000 None $10,001    
  Investment Trust     -$50,000        
 
  The BlackRock 100 None $1-$10,000    
  Florida Insured              
  Municipal 2008              
  Term Trust              
 
  The BlackRock 100 None $1-$10,000    
  Insured Municipal              
  2008 Term Trust, Inc.              
 
  The BlackRock 100 None $1-$10,000    
  Insured Municipal              
  Term Trust, Inc.              
 
  The BlackRock 100 None $1-$10,000    
  Strategic Municipal              
  Trust              
 
Frank J. Fabozzi BlackRock Apex 10 None $1-$10,000 $50,001 Over
  Municipal Fund, Inc.       -$100,000     $100,000

C-11


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Frank J. Fabozzi BlackRock Broad 10 None $1-$10,000    
(continued) Investment Grade              
  2009 Term Trust Inc.              
 
  BlackRock Core 20 None $1-$10,000    
  Bond Trust              
 
  BlackRock Corporate 10 None $1-$10,000    
  High Yield Fund              
 
  BlackRock Corporate 10 None $1-$10,000    
  High Yield Fund III              
 
  BlackRock Corporate 10 None $1-$10,000    
  High Yield Fund V, Inc.              
 
  BlackRock Corporate None   2,960 $10,001-  
  High Yield Fund VI, Inc.           $50,000  
 
  BlackRock Debt 10 None $1-$10,000    
  Strategies Fund, Inc.              
 
  BlackRock Defined 10 None $1-$10,000    
  Opportunity Credit Trust              
 
  BlackRock Diversified 10 None $1-$10,000    
  Income Strategies              
  Fund, Inc.              
 
  BlackRock Dividend 300 None $1-$10,000    
  AchieversTM Trust              
 
  BlackRock 300 None $1-$10,000    
  EcoSolutions              
  Investment Trust              
 
  BlackRock Enhanced 100 None $1-$10,000   2,845 $10,001  
  Dividend AchieversTM           -$50,000  
  Trust              
 
  BlackRock Enhanced 10 None $1-$10,000    
  Government Fund, Inc.              
 
  BlackRock Floating 10 None $1-$10,000    
  Rate Income              
  Strategies Fund Inc.              
 
  BlackRock Floating 10 None $1-$10,000    
  Rate Income              
  Strategies II Fund, Inc.              
 
  BlackRock Global 100 None $1-$10,000   1,020 $10,001  
  Energy and           -$50,000  
  Resources Trust              
 
  BlackRock Global 300 None $1-$10,000    
  Equity Income Trust              
 
  BlackRock Global 100 None $1-$10,000   2,200 $10,001  
  Floating Rate           -$50,000  
  Income Trust              
 
  BlackRock Global 100 None $1-$10,000    
  Opportunities Equity              
  Trust              

C-12


Name of Board Member Fund Name Number of
Shares of

Common

Stock
      Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Frank J. Fabozzi BlackRock Health 100 None $1-$10,000    
(continued) Sciences Trust              
 
  BlackRock High 100 None $1-$10,000    
  Income Shares              
 
  BlackRock High 10 None $1-$10,000    
  Yield Trust              
 
  BlackRock Income 10 None $1-$10,000    
  Opportunity Trust, Inc.              
 
  BlackRock Income 2,010 None $10,001    
  Trust, Inc.     -$50,000        
 
  BlackRock Insured 10 None $1-$10,000    
  Municipal Income              
  Trust              
 
  BlackRock 300 None $1-$10,000   2,047 $10,001  
  International Growth           -$50,000  
  and Income Trust              
 
  BlackRock Investment 10 None $1-$10,000    
  Quality Municipal              
  Trust, Inc.              
 
  BlackRock Limited 100 None $1-$10,000   2,096 $10,001  
  Duration Income Trust           -$50,000  
 
  BlackRock Long-Term 100 None $1-$10,000    
  Municipal Advantage              
  Trust              
 
  BlackRock Muni 10 None $1-$10,000    
  Intermediate Duration              
  Fund, Inc.              
 
  BlackRock 10 None $1-$10,000    
  MuniAssets Fund, Inc.              
 
  BlackRock Municipal 20 None $1-$10,000    
  2018 Term Trust              
 
  BlackRock Municipal 100 None $1-$10,000    
  2020 Term Trust              
 
  BlackRock Municipal 20 None $1-$10,000    
  Bond Trust              
 
  BlackRock Municipal 20 None $1-$10,000    
  Income Trust              
 
  BlackRock Municipal 10 None $1-$10,000    
  Income Trust II              
 
  BlackRock 10 None $1-$10,000    
  MuniEnhanced Fund,              
  Inc.              
 
  BlackRock 10 None $1-$10,000    
  MuniHoldings Fund,              
  Inc.              
 
  BlackRock 10 None $1-$10,000    
  MuniHoldings              
  Fund II, Inc.              

C-13


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Frank J. Fabozzi BlackRock 10 None $1-$10,000    
(continued) MuniHoldings              
  Insured Fund, Inc.              
 
  BlackRock 10 None $1-$10,000    
  MuniHoldings              
  Insured Fund II, Inc.              
 
  BlackRock MuniVest 10 None $1-$10,000    
  Fund, Inc.              
 
  BlackRock MuniVest 10 None $1-$10,000    
  Fund II, Inc.              
 
  BlackRock MuniYield 10 None $1-$10,000    
  Fund, Inc.              
 
  BlackRock MuniYield 10 None $1-$10,000    
  Insured Fund, Inc.              
 
  BlackRock MuniYield 10 None $1-$10,000    
  Pennsylvania Insured              
  Fund              
 
  BlackRock MuniYield 10 None $1-$10,000    
  Quality Fund, Inc.              
 
  BlackRock MuniYield              
  Quality Fund II, Inc. 10 None $1-$10,000    
 
  BlackRock Preferred 10 None $1-$10,000    
  and Corporate              
  Income Strategies              
  Fund, Inc.              
 
  BlackRock Preferred 100 None $1-$10,000   1,974 $10,001  
  and Equity Advantage           -$50,000  
  Trust              
 
  BlackRock Preferred None   2,064 $10,001  
  Income Strategies           -$50,000  
  Fund, Inc.              
 
  BlackRock Preferred 100 None $1-$10,000    
  Opportunity Trust              
 
  BlackRock Real 100 None $1-$10,000    
  Asset Equity Trust              
 
  BlackRock S&P 100 None $1-$10,000    
  Quality Rankings              
  Global Equity              
  Managed Trust              
 
  BlackRock Senior 10 None $1-$10,000    
  High Income Fund, Inc.            
 
  BlackRock Strategic 100 None $1-$10,000    
  Bond Trust              
 
  BlackRock Strategic 100 None $1-$10,000    
  Dividend AchieversTM              
  Trust              
 
  BlackRock World 100 None $1-$10,000    
  Investment Trust              

C-14


Name of Board Member Fund Name Number of
Shares of

Common

Stock
  Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Frank J. Fabozzi The BlackRock 10 None $1-$10,000    
(continued) Insured Municipal              
  2008 Term Trust, Inc.              
 
  The BlackRock 10 None $1-$10,000    
  Insured Municipal              
  Term Trust, Inc.              
 
  The BlackRock 100 None $1-$10,000    
  Pennsylvania              
  Strategic Municipal              
  Trust              
 
  The BlackRock 100 None $1-$10,000    
  Strategic Municipal              
  Trust              
 
Kathleen F. Feldstein BlackRock Broad 64 None $1-$10,000 $10,001 Over
  Investment Grade       -$50,000     $100,000
  2009 Term Trust Inc.              
 
  BlackRock Core 65 None $1-$10,000    
  Bond Trust              
 
  BlackRock Corporate None   1,451 $10,001  
  High Yield Fund VI, Inc.         -$50,000  
 
  BlackRock Dividend 62 None $1-$10,000    
  AchieversTM Trust              
 
  BlackRock 104 None $1-$10,000    
  EcoSolutions              
  Investment Trust              
 
  BlackRock Enhanced 124 None $1-$10,000   1,420 $10,001  
  Dividend AchieversTM           -$50,000  
  Trust              
 
  BlackRock Global 50 None $1-$10,000   512 $10,001  
  Energy and           -$50,000  
  Resources Trust              
 
  BlackRock Global 103 None $1-$10,000    
  Equity Income Trust              
 
  BlackRock Global 65 None $1-$10,000   1,066 $10,001  
  Floating Rate           -$50,000  
  Income Trust              
 
  BlackRock Global 100 None $1-$10,000    
  Opportunities Equity              
  Trust              
 
  BlackRock Health 126 None $1-$10,000    
  Sciences Trust              
 
  BlackRock High 131 None $1-$10,000    
  Income Shares              
 
  BlackRock High 66 None $1-$10,000    
  Yield Trust              
 
  BlackRock Income 64 None $1-$10,000    
  Opportunity Trust, Inc.            

C-15


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Kathleen F. Feldstein BlackRock Income 62 None $1-$10,000    
(continued) Trust, Inc.              
 
  BlackRock Insured 60 None $1-$10,000    
  Municipal Income              
  Trust              
 
  BlackRock 105 None $1-$10,000   987 $10,001  
  International Growth           -$50,000  
  and Income Trust              
 
  BlackRock Investment 61 None $1-$10,000    
  Quality Municipal              
  Trust, Inc.              
 
  BlackRock Limited 66 None $1-$10,000   1,029 $10,001  
  Duration Income Trust         -$50,000  
 
  BlackRock Long-Term 107 None $1-$10,000    
  Municipal Advantage              
  Trust              
 
  BlackRock Municipal 60 None $1-$10,000    
  2018 Term Trust              
 
  BlackRock Municipal 60 None $1-$10,000    
  2020 Term Trust              
 
  BlackRock Municipal 62 None $1-$10,000    
  Bond Trust              
 
  BlackRock Municipal 61 None $1-$10,000    
  Income Trust              
 
  BlackRock Municipal 61 None $1-$10,000    
  Income Trust II              
 
  BlackRock Preferred 113 None $1-$10,000   967 $10,001  
  and Equity Advantage           -$50,000  
  Trust              
 
  BlackRock Preferred None   1,012 $10,001  
  Income Strategies           -$50,000  
  Fund, Inc.              
 
  BlackRock Preferred 66 None $1-$10,000    
  Opportunity Trust              
 
  BlackRock Real 111 None $1-$10,000    
  Asset Equity Trust              
 
  BlackRock S&P 60 None $1-$10,000    
  Quality Rankings              
  Global Equity              
  Managed Trust              
 
  BlackRock Strategic 65 None $1-$10,000    
  Bond Trust              
 
  BlackRock Strategic 62 None $1-$10,000    
  Dividend AchieversTM              
  Trust              
 
  BlackRock World 130 None $1-$10,000    
  Investment Trust              

C-16


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Kathleen F. Feldstein The BlackRock 59 None $1-$10,000    
(continued) Insured Municipal              
  2008 Term Trust, Inc.              
 
  The BlackRock 57 None $1-$10,000    
  Insured Municipal              
  Term Trust, Inc.              
 
  The BlackRock 61 None $1-$10,000    
  Strategic Municipal              
  Trust              
 
James T. Flynn BlackRock Corporate None $50,001 787 $1-$10,000 Over
  High Yield Fund       -$100,000     $100,000
  VI, Inc.              
 
  BlackRock Enhanced None   791 $1-$10,000  
  Dividend AchieversTM              
  Trust              
 
  BlackRock Global None   274 $1-$10,000  
  Energy and Resources            
  Trust              
 
  BlackRock Global None   582 $1-$10,000  
  Floating Rate Income              
  Trust              
 
  BlackRock None   495 $1-$10,000  
  International Growth              
  and Income Trust              
 
  BlackRock Limited None   569 $1-$10,000  
  Duration Income              
  Trust              
 
  BlackRock Preferred None   521 $1-$10,000  
  and Equity Advantage              
  Trust              
 
  BlackRock Preferred None   551 $1-$10,000  
  Income Strategies              
  Fund, Inc.              
 
  BlackRock Senior 6,783 None $50,001    
  Floating Rate Fund, Inc.   -$100,000        
 
  BlackRock Senior 255 None $1-$10,000    
  Floating Rate              
  Fund II, Inc.              
 
Jerrold B. Harris BlackRock Apex 100 None $1-$10,000 $50,001 Over
  Municipal Fund, Inc.       -$100,000     $100,000
 
  BlackRock Broad 101 None $1-$10,000    
  Investment Grade              
  2009 Term Trust, Inc.              
 
  BlackRock Core 102 None $1-$10,000    
  Bond Trust              
 
  BlackRock Corporate 103 None $1-$10,000    
  High Yield Fund, Inc.              
 
  BlackRock Corporate 103 None $1-$10,000    
  High Yield Fund III, Inc.            

C-17


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Jerrold B. Harris BlackRock Corporate 103 None $1-$10,000    
(continued) High Yield Fund V, Inc.            
 
  BlackRock Corporate 103 None $1-$10,000   715 $1-$10,000  
  High Yield Fund VI, Inc.            
 
  BlackRock Debt 102 None $1-$10,000    
  Strategies Fund, Inc.              
 
  BlackRock Diversified 102   $1-$10,000    
  Income Strategies              
  Fund, Inc.              
 
  BlackRock Dividend 102 None $1-$10,000    
  AchieversTM Trust              
 
  BlackRock 102 None $1-$10,000    
  EcoSolutions              
  Investment Trust              
 
  BlackRock Enhanced 103 None $1-$10,000    
  Capital and Income              
  Fund, Inc.              
 
  BlackRock Enhanced 102 None $1-$10,000   719 $1-$10,000  
  Dividend AchieversTM              
  Trust              
 
  BlackRock Enhanced 100 None $1-$10,000    
  Equity Yield &              
  Premium Fund, Inc.              
 
  BlackRock Enhanced 103 None $1-$10,000    
  Equity Yield Fund, Inc.              
 
  BlackRock Enhanced 101 None $1-$10,000    
  Government Fund,              
  Inc.              
 
  BlackRock Floating 102 None $1-$10,000    
  Rate Income              
  Strategies Fund, Inc.              
 
  BlackRock Floating 102 None $1-$10,000    
  Rate Income              
  Strategies Fund II, Inc.            
 
  BlackRock Global 233 None $1-$10,000   249 $1-$10,000  
  Energy and              
  Resources Trust              
 
  BlackRock Global 100 None $1-$10,000    
  Equity Income Trust              
 
  BlackRock Global 102 None $1-$10,000   529 $1-$10,000  
  Floating Rate Income              
  Trust              
 
  BlackRock Global 100 None $1-$10,000    
  Opportunities Equity              
  Trust              
 
  BlackRock Health 102 None $1-$10,000    
  Sciences Trust              

C-18


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Jerrold B. Harris BlackRock High 103 None $1-$10,000    
(continued) Income Shares              
 
  BlackRock High 102 None $1-$10,000    
  Yield Trust              
 
  BlackRock Income 102 None $1-$10,000    
  Opportunity Trust, Inc.              
 
  BlackRock Income 101 None $1-$10,000    
  Trust, Inc.              
 
  BlackRock Insured 100 None $1-$10,000    
  Municipal Income              
  Trust              
 
  BlackRock 102 None $1-$10,000   450 $1-$10,000  
  International Growth              
  and Income Trust              
 
  BlackRock Investment 100 None $1-$10,000    
  Quality Municipal              
  Trust, Inc.              
 
  BlackRock Limited 102 None $1-$10,000   517 $1-$10,000  
  Duration Income              
  Trust              
 
  BlackRock Long-Term 100 None $1-$10,000    
  Municipal Advantage              
  Trust              
 
  BlackRock Maryland 100 None $1-$10,000    
  Municipal Bond Trust              
 
  BlackRock Muni 100 None $1-$10,000    
  Intermediate Duration              
  Fund, Inc.              
 
  BlackRock 100 None $1-$10,000    
  MuniAssets Fund, Inc.              
 
  BlackRock Municipal 101 None $1-$10,000    
  2018 Term Trust              
 
  BlackRock Municipal 101 None $1-$10,000    
  2020 Term Trust              
 
  BlackRock Municipal 102 None $1-$10,000    
  Bond Trust              
 
  BlackRock Municipal 102 None $1-$10,000    
  Income Trust              
 
  BlackRock Municipal 102 None $1-$10,000    
  Income Trust II              
 
  BlackRock 101 None $1-$10,000    
  MuniEnhanced              
  Fund, Inc.              
 
  BlackRock 101 None $1-$10,000    
  MuniHoldings              
  Fund, Inc.              

C-19


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Jerrold B. Harris BlackRock 101 None $1-$10,000    
(continued) MuniHoldings              
  Fund II, Inc.              
 
  BlackRock 101 None $1-$10,000    
  MuniHoldings              
  Insured Fund, Inc.              
 
  BlackRock 101 None $1-$10,000    
  MuniHoldings              
  Insured Fund II, Inc.              
 
  BlackRock MuniVest 101 None $1-$10,000    
  Fund, Inc.              
 
  BlackRock MuniVest 101 None $1-$10,000    
  Fund II, Inc.              
 
  BlackRock MuniYield 101 None $1-$10,000    
  Fund, Inc.              
 
  BlackRock MuniYield 101 None $1-$10,000    
  Insured Fund, Inc.              
 
  BlackRock MuniYield 101 None $1-$10,000    
  Quality Fund, Inc.              
 
  BlackRock MuniYield 101 None $1-$10,000    
  Quality Fund II, Inc.              
 
  BlackRock Preferred 102 None $1-$10,000    
  and Corporate Income            
  Strategies Fund              
 
  BlackRock Preferred 102 None $1-$10,000   474 $1-$10,000  
  and Equity Advantage              
  Trust              
 
  BlackRock Preferred 102 None $1-$10,000   501 $1-$10,000  
  Income Strategies              
 
  BlackRock Preferred 102 None $1-$10,000    
  Opportunity Trust              
 
  BlackRock Real 101 None $1-$10,000    
  Asset Equity Trust              
 
  BlackRock S&P 100 None $1-$10,000    
  Quality Rankings              
  Global Equity              
  Managed Trust              
 
  BlackRock Senior 102 None $1-$10,000    
  High Income Fund, Inc.            
 
  BlackRock Strategic 102 None $1-$10,000    
  Bond Trust              
 
  BlackRock Strategic 102 None $1-$10,000    
  Dividend AchieversTM              
  Trust              
 
  BlackRock World 101 None $1-$10,000    
  Investment Trust              

C-20


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Jerrold B. Harris BlackRock Insured 100 None $1-$10,000    
(continued) Municipal Term              
  Trust, Inc.              
 
  BlackRock Strategic 102 None $1-$10,000    
  Municipal Trust              
 
R. Glenn Hubbard BlackRock Broad 128 None $1-$10,000 $50,001 Over
  Investment Grade       -$100,000     $100,000
  Term Trust, Inc.              
 
  BlackRock Core 126 None $1-$10,000    
  Bond Trust              
 
  BlackRock Corporate None   6,766 $50,001  
  High Yield Fund VI, Inc.         -$100,000  
 
  BlackRock Dividend 124 None $1-$10,000    
  AchieversTM Trust              
 
  BlackRock Enhanced 124 None $1-$10,000   6,443 $50,001  
  Dividend AchieversTM           -$100,000  
  Trust              
 
  BlackRock Global 236 None $1-$10,000   2,319 $50,001  
  Energy and Resources           -$100,000  
  Trust              
 
  BlackRock Global 103 None $1-$10,000    
  Equity Income Trust              
 
  BlackRock Global 130 None $1-$10,000   5,033 $50,001  
  Floating Rate Income           -$100,000  
  Trust              
 
  BlackRock Global 132 None $1-$10,000    
  Opportunities Equity              
  Trust              
 
  BlackRock Health 126 None $1-$10,000    
  Sciences Trust              
 
  BlackRock High 132 None $1-$10,000    
  Income Shares              
 
  BlackRock High 132 None $1-$10,000    
  Yield Trust              
 
  BlackRock Income 128 None $1-$10,000    
  Opportunity Trust, Inc.              
 
  BlackRock Income 124 None $1-$10,000    
  Trust, Inc.              
 
  BlackRock Insured 119 None $1-$10,000    
  Municipal Income              
  Trust              
 
  BlackRock 104 None $1-$10,000   4,710 $50,001  
  International Growth           -$100,000  
  and Income Trust              
 
  BlackRock Investment 121 None $1-$10,000    
  Quality Municipal              
  Trust, Inc.              

C-21


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
R. Glenn Hubbard BlackRock Limited 132 None $1-$10,000   4,849 $50,001  
(continued) Duration Income Trust         -$100,000  
 
  BlackRock Long-Term 107 None $1-$10,000    
  Municipal Advantage              
  Trust              
 
  BlackRock Municipal 120 None $1-$10,000    
  2018 Term Trust              
 
  BlackRock Municipal 119 None $1-$10,000    
  2020 Term Trust              
 
  BlackRock Municipal 123 None $1-$10,000    
  Bond Trust              
 
  BlackRock Municipal 122 None $1-$10,000    
  Income Trust              
 
  BlackRock Municipal 122 None $1-$10,000    
  Income Trust II              
 
  BlackRock New York 119 None $1-$10,000    
  Insured Municipal              
  Income Trust              
 
  BlackRock New York 119 None $1-$10,000    
  Investment Quality              
  Municipal Trust, Inc.              
 
  BlackRock New York 117 None $1-$10,000    
  Municipal 2018              
  Term Trust              
 
  BlackRock New York 120 None $1-$10,000    
  Municipal Bond Trust              
 
  BlackRock New York 120 None $1-$10,000    
  Municipal Income              
  Trust              
 
  BlackRock New York 119 None $1-$10,000    
  Municipal Income              
  Trust II              
 
  BlackRock Preferred 113 None $1-$10,000   4,516 $50,001  
  and Equity Advantage           -$100,000  
  Trust              
 
  BlackRock Preferred None   4,716 $50,001  
  Income Strategies           -$100,000  
  Fund, Inc.              
 
  BlackRock Preferred 133 None $1-$10,000    
  Opportunity Trust              
 
  BlackRock Real 111 None $1-$10,000    
  Asset Equity Trust              
 
  BlackRock S&P 120 None $1-$10,000    
  Quality Rankings              
  Global Equity              
  Managed Trust              
 
  BlackRock Strategic 131 None $1-$10,000    
  Bond Trust              

C-22


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
R. Glenn Hubbard BlackRock Strategic 123 None $1-$10,000    
(continued) Dividend AchieversTM              
  Trust              
 
  BlackRock World 130 None $1-$10,000    
  Investment Trust              
 
  The BlackRock 116 None $1-$10,000    
  Insured Municipal              
  2008 Term Trust, Inc.              
 
  The BlackRock 115 None $1-$10,000    
  Insured Municipal              
  Term Trust, Inc.              
 
  The BlackRock 116 None $1-$10,000    
  New York Insured              
  Municipal 2008              
  Term Trust              
 
  The BlackRock 122 None $1-$10,000    
  Strategic Municipal              
  Trust              
 
W. Carl Kester BlackRock Broad 100 None $1-$10,000 Over Over
  Investment Grade       $100,000     $100,000
  2009 Term Trust              
 
  BlackRock Core 1,000 None $10,001    
  Bond Trust     -$50,000        
 
  BlackRock Corporate 100 None $1-$10,000    
  High Yield Fund, Inc.              
 
  BlackRock Corporate 100 None $1-$10,000    
  High Yield Fund III, Inc.            
 
  BlackRock Corporate 100 None $1-$10,000    
  High Yield Fund V, Inc.            
 
  BlackRock Corporate None   429 $1-$10,000  
  High Yield Fund VI, Inc.            
 
  BlackRock Debt 100 None $1-$10,000    
  Strategies Fund, Inc.              
 
  BlackRock Diversified 100 None $1-$10,000    
  Income Strategies              
  Fund, Inc.              
 
  BlackRock Dividend 100 None $1-$10,000    
  AchieversTM Trust              
 
  BlackRock Enhanced 1,000 None $10,001    
  Capital and Income     -$50,000        
  Fund, Inc.              
 
  BlackRock Enhanced None   432 $1-$10,000  
  Dividend AchieversTM              
  Trust              
 
  BlackRock Enhanced 500 None $1-$10,000    
  Equity Yield &              
  Premium Fund, Inc.              

C-23


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
W. Carl Kester BlackRock Enhanced 500 None $1-$10,000    
(continued) Equity Yield Fund, Inc.              
 
  BlackRock Enhanced 1,000 None $10,001    
  Government Fund, Inc.     -$50,000        
 
  BlackRock Floating 100 None $1-$10,000    
  Rate Income              
  Strategies Fund, Inc.              
 
  BlackRock Floating 100 None $1-$10,000    
  Rate Income              
  Strategies Fund II, Inc.            
 
  BlackRock Global None   149 $1-$10,000  
  Energy and              
  Resources Trust              
 
  BlackRock Global 100 None $1-$10,000    
  Equity Income Trust              
 
  BlackRock Global None   317 $1-$10,000  
  Floating Rate Income              
  Trust              
 
  BlackRock Global 100 None $1-$10,000    
  Opportunities Equity              
  Trust              
 
  BlackRock Health 100 None $1-$10,000    
  Sciences Trust              
 
  BlackRock High 500 None $1-$10,000    
  Income Shares              
 
  BlackRock High 100 None $1-$10,000    
  Yield Trust              
 
  BlackRock Income 100 None $1-$10,000    
  Opportunity Trust              
 
  BlackRock Income 3,000 None $10,001    
  Trust, Inc.     -$50,000        
 
  BlackRock None   270 $1-$10,000  
  International Growth              
  and Income Trust              
 
  BlackRock Limited None   310 $1-$10,000  
  Duration Income Trust              
 
  BlackRock Preferred 100 None $1-$10,000    
  and Corporate              
  Income Strategies              
  Fund              
 
  BlackRock Preferred None   284 $1-$10,000  
  and Equity Advantage              
  Trust              
 
  BlackRock Preferred 100 None $1-$10,000   301 $1-$10,000  
  Income Strategies              
  Fund, Inc.              
 
  BlackRock Preferred 100 None $1-$10,000    
  Opportunity Trust              

C-24


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
W. Carl Kester BlackRock Real 100 None $1-$10,000    
(continued) Asset Equity Trust              
 
  BlackRock S&P 100 None $1-$10,000    
  Quality Rankings              
  Global Equity              
  Managed Trust              
 
  BlackRock Senior 1,000 None $1-$10,000    
  High Income Fund, Inc.            
 
  BlackRock Strategic 100 None $1-$10,000    
  Bond Trust              
 
  BlackRock Strategic 100 None $1-$10,000    
  Dividend AchieversTM              
  Trust              
 
  BlackRock World 1,000 None $10,001    
  Investment Trust     -$50,000        
 
Karen P. Robards BlackRock Corporate None Over 661 $1-$10,000 Over
  High Yield Fund VI, Inc.     $100,000     $100,000
 
  BlackRock Enhanced 1026 None $10,001    
  Capital and Income     -$50,000        
  Fund, Inc.              
 
  BlackRock Enhanced None   665 $1-$10,000  
  Dividend AchieversTM              
  Trust              
 
  BlackRock Enhanced 912 None $10,001    
  Equity Yield Fund, Inc.     -$50,000        
 
  BlackRock Global 400 None $10,001   230 $1-$10,000  
  Energy and     -$50,000        
  Resources Trust              
 
  BlackRock Global None   489 $1-$10,000  
  Floating Rate              
  Income Trust              
 
  BlackRock Health 500 None $10,001    
  Sciences Trust     -$50,000        
 
  BlackRock None   415 $1-$10,000  
  International Growth              
  and Income Trust              
 
  BlackRock Limited None   478 $1-$10,000  
  Duration Income Trust              
 
  BlackRock New York 750 None $10,001    
  Municipal 2018     -$50,000        
  Term Trust              
 
  BlackRock Preferred 675 None $10,001    
  and Corporate Income     -$50,000        
  Strategies Fund              
 
  BlackRock Preferred None   438 $1-$10,000  
  and Equity Advantage              
  Trust              

C-25


Name of Board Member Fund Name Number of
Shares of

Common

Stock
Number of
Shares of

AMPS
Aggregate
Dollar
Range of
Equity

Securities
in Each
Fund
Aggregate
Dollar
Range of
Equity
Securities
in All Funds
Overseen
or To Be
Overseen
by the
Board
Member
in Fund
Complex
Number of
Share

Equivalents

(1)
Aggregate
Dollar
Range of
Share

Equivalents

in Each

Fund
Aggregate
Dollar
Range of
Common
Stock
and Share

Equivalents
in all
Funds









Independent Board Members:              
(continued)                
Karen P. Robards BlackRock Preferred 690 None $10,001   463 $1-$10,000  
(continued) Income Strategies     -$50,000        
  Fund, Inc.              
 
  BlackRock Real 700 None $10,001    
  Asset Equity Trust     -$50,000        
 
  BlackRock New York 750 None $10,001    
  Insured Municipal     -$50,000        
  2008 Term Trust              
 
Robert S. Salomon, Jr. None   None   None      


(1)      Represents, as of May 31, 2008, the approximate number of share equivalents owned under the deferred compensation plan in each Fund by certain Independent Board Members who have participated in the deferred compensation plan. Under the deferred compensation plan BlackRock International Growth and Income Trust, BlackRock Enhanced Dividend Achievers™ Trust, BlackRock Global Energy and Resources Trust, BlackRock Global Floating Rating Income Trust, BlackRock Limited Duration Income Trust, BlackRock Preferred and Equity Advantage Trust, BlackRock Corporate High Yield Fund VI, Inc. and BlackRock Preferred Income Strategies Fund, Inc. are eligible investments.

     As of July 14, 2008, all Board Members and officers as a group owned less than 1% of the outstanding shares of each Fund for which they are nominated to oversee.

     None of the Independent Board Members or their family members had any interest in BlackRock or any person directly or indirectly controlling, controlled by, or under common control with BlackRock as of May 31, 2008.

C-26


Appendix D

Meetings of the Boards

     During the most recent full fiscal year for each Fund listed in the table below, the Board met the following number of times:

Fund Pre-Amended
Fiscal
Year End†
Post-Amended
Fiscal
Year End
Number of
Board
Meetings




APX 30-Jun 30-Apr 6
BAF 31-Aug N/A 5
BBF 31-Oct 31-Jul 5
BBK 31-Aug N/A 6
BCF 31-Oct N/A 5
BCK 31-Aug N/A 5
BCL 31-Aug N/A 6
BCT 31-Oct N/A 5
BDJ 31-Oct N/A 5
BDT 31-Oct N/A 5
BDV 31-Oct N/A 5
BFC 31-Dec N/A 6
BFD* 31-Oct N/A 3
BFK 31-Oct 30-Apr 5
BFO 31-Dec 31-Jul 6
BFY 31-Aug N/A 6
BFZ 31-Oct 31-Jul 5
BGR 31-Oct N/A 5
BGT 31-Dec 31-Oct 6
BGY* 31-Oct N/A 3
BHD 31-Oct 31-Aug 5
BHK 31-Oct 31-Aug 5
BHL* 31-Aug N/A 3
BHV 31-Aug N/A 6
BHY 31-Oct 31-Aug 5
BIE 31-Aug N/A 6
BJZ 31-Dec N/A 6
BKK 31-Dec 30-Apr 6
BKN 31-Oct 30-Apr 5
BKT 31-Oct 31-Aug 5
BLE 31-Aug N/A 6
BLH 31-Dec N/A 6
BLJ 31-Aug N/A 6
BLN 31-Dec N/A 6
BLW 31-Oct 31-Aug 5
BME 31-Oct N/A 5
BMT 31-Dec N/A 6
BNA 31-Oct 31-Aug 5
BNJ 31-Oct 31-Jul 5
BNY 31-Oct 31-Jul 5
BOE 31-Oct N/A 5
BPK 31-Dec N/A 6
BPP 31-Dec 31-Oct 6
BPS 31-Dec 30-Apr 6
BQH 31-Aug N/A 6
BQR* 31-Oct N/A 3
BQY 31-Oct N/A 5
BRF 31-Dec N/A 6
BRM 31-Dec N/A 6

D-1


Fund Pre-Amended
Fiscal
Year End†
Post-Amended
Fiscal
Year End

Number of
Board
Meetings





BSD 31-Dec 30-Apr 6
BSE 31-Aug N/A 5
BTA 31-Oct 30-Apr 5
BTZ 31-Oct N/A 6
BWC 31-Oct N/A 5
BYM 31-Aug N/A 5
BZA 31-Aug N/A 6
BZM 31-Aug N/A 6
HIS 31-Dec 31-Aug 6
MUA 31-May 30-Apr 6
RAA 31-Oct 31-Jul 5
RFA 31-Oct 31-Jul 5
RNJ 31-Oct 31-Jul 5
RNY 31-Oct 31-Jul 5


* BlackRock Defined Opportunity Credit Trust (BHL), BlackRock Global Equity Income Trust (BFD), BlackRock International Growth and Income Trust (BGY) and BlackRock EcoSolutions Investment Trust (BQR) commenced operations on January 31, 2008, March 30, 2007, May 30, 2007, and September 28, 2007 respectively. Number of meetings reflected are since the commencement of operations.
†     The fiscal year end (FYE) for certain Funds was amended at a meeting of the Boards in May 2008. However, the information reflected in this chart is for the pre-amended FYE.

     No incumbent Board Member attended less than 75% of the aggregate number of meetings of each Board and of each committee of each Board on which the Board Member served.

D-2


Appendix E

Standing Committees of the Boards

     The business and affairs of each Fund are managed by or under the direction of its Board. The Board of each Fund has formed the following standing committees.

     Audit Committee. Each Board, except the Board of BQR, has a standing Audit Committee comprised of Karen P. Robards, Kent Dixon, Frank J. Fabozzi, James T. Flynn, W. Carl Kester and Robert S. Salomon, Jr., each of whom is an Independent Board Member. The standing Audit Committee of BQR consists of the following Board Members: Richard E. Cavanagh, Frank J. Fabozzi and Kent Dixon, each of whom is an Independent Board Member. The primary purposes of each Board’s Audit Committee are to assist the Board in fulfilling its responsibility for oversight of the integrity of the accounting, auditing and financial reporting practices of the Funds, the qualifications and independence of the Funds’ independent registered public accounting firm, and the Funds’ compliance with legal and regulatory requirements. The Audit Committees review the scope of the Funds’ audit, accounting and financial reporting policies and practices and internal controls. The Audit Committees approve, and recommend to the Independent Board Members for their ratification, the selection, appointment, retention or termination of the Funds’ independent registered public accounting firms. The Audit Committees also approve all audit and permissible non-audit services provided by the Funds’ independent registered public accounting firms to its manager or adviser and any affiliated service providers if the engagement relates directly to the Fund’s operations and financial reporting of the Fund. A copy of the Audit Committee Charter for each Fund is included in Appendix F.

     Governance and Nominating Committee. Each Board has a standing Governance and Nominating Committee. Each Governance and Nominating Committee, except BQR’s, is comprised of R. Glenn Hubbard, G. Nicholas Beckwith, III, Richard E. Cavanagh, Jerrold B. Harris and Kathleen F. Feldstein, each of whom is not an “interested persons” within the meaning of the 1940 Act. BQR’s Governance and Nominating Committee is comprised of Richard E. Cavanagh, Kent Dixon, Frank J. Fabozzi, Kathleen F. Feldstein and R. Glenn Hubbard, each of whom is not an “interested persons” within the meaning of the 1940 Act.

     Each Governance and Nominating Committee is responsible for, among other things, recommending candidates to fill vacancies on the Board, scheduling and organization of Board meetings, evaluating the structure and composition of the board and determining compensation of the Fund’s non-interested Board Members. Each Governance and Nominating Committee may consider nominees recommended by a shareholder. Shareholders who wish to recommend a nominee should send recommendations to the Fund’s Secretary that include all information relating to such person that is required to be disclosed in solicitations of proxies for the election of Board Members. To have a candidate considered by the Governance and Nominating Committee, a shareholder must submit the recommendation in writing and must include:

E-1


     Such recommendation must be accompanied by a written consent of each proposed candidate to being named as a nominee and to serve as a director/trustee if elected. The Governance and Nominating Committee may also take into consideration the number of shares held by the recommending shareholder and the length of time that such shares have been held. A copy of the Governance and Nominating Committee Charter for each Fund is included in Appendix F.

     Compliance Committee. Each Fund, except BQR, has a Compliance Committee composed of Kathleen F. Feldstein, G. Nicholas Beckwith, III, Richard E. Cavanagh, Jerrold B. Harris and R. Glenn Hubbard, each of whom is not an “interested persons” within the meaning of the 1940 Act. BQR’s Compliance Committee is composed of Richard E. Cavanagh, Kent Dixon, Frank J. Fabozzi, Kathleen F. Feldstein and R. Glenn Hubbard, each of whom is not an “interested persons” within the meaning of the 1940 Act. The Compliance Committee performs those functions enumerated in the Compliance Committee charter, including, but not limited to, supporting the Board Members in acting independently of BlackRock Advisors in pursuing the best interests of the Funds and their shareholders, receiving information on and, where appropriate, recommending policies concerning the Funds’ compliance with applicable law, and receiving reports from and making certain recommendations in respect of the Funds’ Chief Compliance Officer.

     Performance Oversight Committee. Each Fund, except BQR, has a Performance Oversight Committee composed of all of the Independent Board Members. BQR’s Performance Oversight Committee is comprised of Richard E. Cavanagh, Kent Dixon, Frank J. Fabozzi, Kathleen F. Feldstein R. Glenn Hubbard and Richard S. Davis. The Performance Oversight Committee acts in accordance with the Performance Oversight Committee charter. The Performance Oversight Committee performs those functions enumerated in the Performance Oversight Committee charter, including, but not limited to, supporting the Board Members who are not “interested persons,” within the meaning of the 1940 Act, of the Funds in acting independently of BlackRock in pursuing the best interests of the Funds and their shareholders, developing an understanding of and reviewing the investment objective, policies and practices of the Funds, and reviewing with respect to the Funds: (a) whether the Funds have complied with their investment policies and restrictions as reflected in its prospectus and statement of additional information, (b) appropriate benchmarks and competitive universes, (c) investment performance, (d) unusual or exceptional investment matters, and (e) other matters bearing on the Funds’ investment results.

     Executive Committee. Each Fund has an Executive Committee composed of Messrs. Cavanagh and Davis, which acts on behalf of the full Board on certain matters in the interval between meetings of the Board.

     Each Governance and Nominating Committee, each Audit Committee, each Compliance Committee and each Performance Oversight Committee met the following number of times for each Fund’s most recent fiscal year:

Fund Pre-Amended
Fiscal

Year End†
Post-Amended
Fiscal

Year End
Number of
Audit
Committee
Meetings
Number of
Governance
and
Nominating
Committee
Meetings
Number of
Compliance
Committee
Meetings
Number of
Performance
Oversight
Committee
Meeting







APX 30-Jun 30-Apr 4 3 3 3
BAF 31-Aug N/A 7 4 4 4
BBF 31-Oct 31-Jul