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NYSE, BLW:

05 Sep 2025
LAST:

14.15

CHANGE:
 0.03
OPEN:
14.20
HIGH:
14.20
ASK:
15.90
VOLUME:
99.7K
CHG(%):
0.21
PREV:
14.18
LOW:
14.14
BID:
14.15
 

CHART

RECENT END OF DAY PRICES

DateOpenHighLowCloseVolume
05 Sep 2514.2014.2014.1414.1599.7K
04 Sep 2514.1214.2014.1114.1875.4K
03 Sep 2514.1714.1814.0914.15120.8K
02 Sep 2514.1414.1714.1014.1587.5K
29 Aug 2514.1514.1714.1314.1791.8K
28 Aug 2514.1514.2014.1314.1956.8K
27 Aug 2514.1514.1614.1114.11105.1K
26 Aug 2514.0614.2714.0614.1799.6K
25 Aug 2514.0414.1214.0414.0756.9K
22 Aug 2514.0514.0814.0414.0669.8K

COMPANY PROFILE

Name:
About:BlackRock Limited Duration Income Trust is a close ended fixed income mutual fund launched by BlackRock, Inc. It is managed by BlackRock Advisors, LLC. The fund invests in fixed income securities of the United States. It invests in securities of companies operating across diversified sectors. The fund primarily invests in investment grade corporate bonds, mortgage-related securities, asset-backed securities, US Government and agency securities, and senior, secured floating rate loans. It has an average portfolio duration of less than five years. The fund benchmarks the performance of its portfolio against the Lehman Brothers U.S. Aggregate Index. BlackRock Limited Duration Income Trust was formed on July 31, 2003 and is domiciled in the United States.
Industry:Asset Management
Address:50 Hudson Yards, New York, NY, United States, 10001
Website:https://www.blackrock.com/investing/products/24019
CUSIP:09249W101
CIK:0001233681
ISIN:US09249W1018
FIGI:BBG000PLYMY2
LEI:4VIZ12RURKQTKPDDB492

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FUNDAMENTALS

P/E Ratio:11.16
DivYield:0.09
Div/Share:1.33
Price to Book:1.06
Price to Sales:8.55
Shares:38.73M
Market Cap:548.08M

TECHNICAL INDICATORS

MA5:14.16
MA10:14.14
MA20:14.13
MA50:14.14
MA100:14.02
MA200:14.07
STO9:40.00
STO14:52.00
RSI14:58.33
WPR14:-23.53
MTM14:0.11
ROC14:0.01
ATR:0.09
Week High:14.20
Week Low:14.09
Month High:14.27
Month Low:14.00
Year High:14.63
Year Low:12.48
Volatility:3.49

RECENT DIVIDENDS

Date Amount
15 Aug 2025$0.11
15 Jul 2025$0.11
13 Jun 2025$0.11
15 May 2025$0.11
15 Apr 2025$0.11
14 Mar 2025$0.11
14 Feb 2025$0.11
15 Jan 2025$0.11
16 Dec 2024$0.11
15 Nov 2024$0.11