BlackRock Multi-Sector Income Trust

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM N-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED

MANAGEMENT INVESTMENT COMPANY

Investment Company Act file number: 811-22774

Name of Fund: BlackRock Multi-Sector Income Trust (BIT)

Fund Address: 100 Bellevue Parkway, Wilmington, DE 19809

Name and address of agent for service: John M. Perlowski, Chief Executive Officer, BlackRock Multi-Sector Income Trust, 55 East 52nd Street, New York, NY 10055

Registrant’s telephone number, including area code: (800) 882-0052, Option 4

Date of fiscal year end: 10/31/2016

Date of reporting period: 07/31/2016


Item 1 – Schedule of Investments

 


Schedule of Investments July 31, 2016 (Unaudited)

  

BlackRock Multi-Sector Income Trust (BIT)

(Percentages shown are based on Net Assets)

 

Common Stocks               
Shares
    Value  

Aerospace & Defense — 0.3%

      

United Technologies Corp.

             25,650      $ 2,761,223   

Oil, Gas & Consumable Fuels — 0.1%

      

Denbury Resources, Inc.

       43,560        122,815   

Vantage Drilling International (a)

       2,018          

Whiting Petroleum Corp. (a)

       34,342        253,100   
      

 

 

 
                       375,915   

Real Estate Investment Trusts (REITs) — 0.0%

      

Ovation Acquisition I LLC, (Acquired 12/28/15,
cost $8,635) (b)

             561        561   

Total Common Stocks 0.4%

                     3,137,699   
      
                          
Asset-Backed Securities           Par
(000)
        

Asset-Backed Securities — 30.7%

      

ACE Securities Corp. Home Equity Loan Trust, Series 2006-HE1, Class A2D,
0.79%, 2/25/36 (c)

     USD        6,361        5,742,608   

Adirondack Park CLO Ltd., Series 2013-1A, Class E, 5.33%, 4/15/24 (c)(d)

       2,000        1,676,073   

ALM Loan Funding, Series 2013-7RA, Class D, 5.71%, 4/24/24 (c)(d)

       1,000        934,970   

ALM VI Ltd., Series 2012-6A (c)(d)(e):

      

Class B2R, 3.48%, 7/15/26

       1,300        1,287,910   

Class CR, 4.43%, 7/15/26

       1,000        949,500   

ALM XIV Ltd., Series 2014-14A, Class C, 4.19%, 7/28/26 (c)(d)

       3,610        3,405,155   

American Homes 4 Rent, Series 2014-SFR2, Class E, 6.23%, 10/17/36 (d)

       2,000        2,165,884   

AMMC CDO, Series 2015-16A, Class C, 3.77%, 4/14/27 (c)(d)

       1,250        1,249,786   

AMMC CLO IX, Ltd., Series 2011-9A, Class ER, 8.33%, 1/15/22 (c)(d)

       1,000        975,980   

AMMC CLO XII Ltd., Series 2013-12A, Class D1, 4.38%, 5/10/25 (c)(d)(e)

       1,000        962,112   

Anchorage Capital CLO 3 Ltd., Series 2014-3A, Class B, 3.74%, 4/28/26 (c)(d)

       1,000        997,316   

Anchorage Capital CLO 6 Ltd.,
Series 2015-6A (c)(d):

      

Class C, 3.53%, 4/15/27

       700        683,550   

Class D, 4.08%, 4/15/27

       1,000        935,246   
Asset-Backed Securities          Par
(000)
    Value  

Asset-Backed Securities (continued)

     

Apidos CDO, Series 2012-9AR, Class CR, 3.58%, 7/15/23 (c)(d)

    USD        1,250      $ 1,244,807   

Apidos CLO XII, Series 2013-12A, Class D, 3.73%, 4/15/25 (c)(d)(e)

      1,000        935,587   

Atrium X, Series 10A (c)(d):

     

Class D, 4.18%, 7/16/25 (e)

      1,000        957,397   

Class E, 5.18%, 7/16/25

      2,000        1,710,022   

Bear Stearns Asset-Backed Securities I Trust, Series 2006-HE9, Class 2A,
0.63%, 11/25/36 (c)

      5,407        4,601,833   

Benefit Street Partners CLO II Ltd., Series 2013-IIA, Class C, 4.18%, 7/15/24 (c)(d)(e)

      1,750        1,600,425   

Benefit Street Partners CLO VI Ltd.,
Series 2015-VIA (c)(d):

     

Class B, 3.73%, 4/18/27 (e)

      1,000        985,000   

Class C, 4.38%, 4/18/27

      1,000        943,063   

Betony CLO Ltd., Series 2015-1A, Class D, 4.28%, 4/15/27 (c)(d)

      1,000        925,652   

C-BASS Trust, Series 2006-CB7, Class A4, 0.65%, 10/25/36 (c)

      8,643        6,290,278   

Carlyle Global Market Strategies CLO
Ltd. (c)(d)(e):

     

Series 2012-1AR, Class DR, 4.45%, 4/20/22

      1,000        998,149   

Series 2012-4A, Class D, 5.20%, 1/20/25

      2,350        2,351,378   

Series 2013-2A, Class D, 4.43%, 4/18/25

      1,250        1,212,165   

Carrington Mortgage Loan Trust,
Series 2006-FRE2 (c):

     

Class A2, 0.61%, 10/25/36

      6,144        3,605,697   

Class A5, 0.57%, 10/25/36

      12,658        7,388,245   

CIFC Funding Ltd. (c)(d):

     

Series 2012-1AR, Class B1R, 4.78%, 8/14/24 (e)

      2,000        1,991,846   

Series 2014-3A, Class D, 4.10%, 7/22/26

      480        442,744   

DCP Rights LLC, Series 2014-1A, Class A, 5.46%, 10/25/44 (d)

      3,671        3,645,708   

Flatiron CLO Ltd., Series 2012-1A, Class C,
5.21%, 10/25/24 (c)(d)(e)

      1,375        1,375,333   

Fremont Home Loan Trust, Class 2A3 (c):

     

Series 2006-A, 0.65%, 5/25/36

      25,852        14,002,620   

Series 2006-D, 0.64%, 11/25/36

      23,731        10,152,954   

GoldenTree Loan Opportunities VII Ltd.,
Series 2013-7A, Class D,
4.01%, 4/25/25 (c)(d)

      1,250        1,202,250   
 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    1


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Asset-Backed Securities           Par
(000)
    Value  

Asset-Backed Securities (continued)

      

GSAMP Trust (c):

      

Series 2006-FM2, Class A2C, 0.64%, 9/25/36

     USD        11,869      $ 5,597,992   

Series 2007-FM2, Class A2B, 0.58%, 1/25/37

       8,405        5,116,309   

Highbridge Loan Management Ltd., Series 4A-2014, Class B, 3.74%, 7/28/25 (c)(d)

       2,000        1,994,430   

Home Equity Mortgage Loan Asset-Backed Trust, Series 2006-E, Class 2A3, 0.66%, 4/25/37 (c)

       13,856        9,050,930   

Lehman ABS Manufactured Housing Contract Trust, Series 2001-B, Class M2, 7.17%, 4/15/40 (c)

       6,115        4,285,997   

Long Beach Mortgage Loan Trust, Series 2006-1, Class 1A, 0.71%, 2/25/36 (c)

       6,315        5,078,640   

Madison Park Funding IX Ltd., Series 2012-9AR, Class C1R, 3.48%, 8/15/22 (c)(d)(e)

       1,000        999,949   

Madison Park Funding Ltd. (c):

      

Series 2012-10A, Class D,
4.95%, 1/20/25 (d)(e)

       1,000        1,004,460   

Series 2012-8X, Class E, 5.99%, 4/22/22

       3,000        2,894,534   

Madison Park Funding XV Ltd., Series 2014-15A, Class B1, 3.98%, 1/27/26 (c)(d)

       1,600        1,618,178   

Madison Park Funding XVI Ltd.,
Series 2015-16A (c)(d)(e):

      

Class B, 3.70%, 4/20/26

       1,000        999,400   

Class C, 4.40%, 4/20/26

       1,000        936,600   

Mastr Asset-Backed Securities Trust (c):

      

Series 2006-HE2, Class A3, 0.64%, 6/25/36

       11,634        6,273,165   

Series 2006-WMC2, Class A5, 0.74%, 4/25/36

       8,898        3,839,138   

Morgan Stanley IXIS Real Estate Capital Trust, Series 2006-2, Class A3, 0.64%, 11/25/36 (c)

       14,886        6,810,056   

Octagon Investment Partners XIV Ltd.,
Series 2012-1A, Class C,
4.68%, 1/15/24 (c)(d)(e)

       1,000        983,245   

Octagon Investment Partners XXI Ltd.,
Series 2014-1A, Class C,
4.28%, 11/14/26 (c)(d)

       1,000        943,318   
Asset-Backed Securities          Par
(000)
    Value  

Asset-Backed Securities (continued)

     

OHA Credit Partners VII Ltd., Series 2012-7A,
Class D, 4.64%, 11/20/23 (c)(d)(e)

    USD        3,000      $ 2,965,384   

OneMain Financial Issuance Trust, Series 2015-2A, Class C, 4.32%, 7/18/25 (d)

      5,000        4,968,238   

OZLM Funding IV Ltd., Series 2013-4A, Class C, 3.90%, 7/22/25 (c)(d)(e)

      1,250        1,145,119   

OZLM Funding Ltd., Series 2012-2A, Class C, 4.99%, 10/30/23 (c)(d)(e)

      2,000        2,000,256   

Pretium Mortgage Credit Partners LLC,
Series 2016-NPL3, Class A1,
4.38%, 5/27/31 (d)(f)

      6,545        6,591,345   

Race Point CLO Ltd., Series 2011-5AR, Class ER, 6.34%, 12/15/22 (c)(d)

      1,500        1,461,513   

Renaissance Home Equity Loan Trust, Series 2007-3, Class AF2, 7.00%, 9/25/37 (f)

      4,602        2,736,974   

Santander Drive Auto Receivables Trust, Series 2014-S4, 0.00%, 4/16/19 (g)

      3        11,498,880   

Saxon Asset Securities Trust, Series 2007-3, Class 2A3, 0.89%, 9/25/47 (c)

      5,000        3,725,500   

Scholar Funding Trust, Series 2013-A, Class R, 0.00% (d)

      (h)      3,027,141   

SMB Private Education Loan Trust, Series 2015-C, Class C, 4.50%, 9/17/46 (d)

      4,100        4,072,136   

Symphony CLO Ltd., Series 2012-10AR, Class CR, 3.49%, 7/23/23 (c)(d)(e)

      1,500        1,497,027   

Symphony CLO XV Ltd., Series 2014-15A, Class D, 4.43%, 10/17/26 (c)(d)

      3,500        3,349,436   

TICP CLO I Ltd., Series 2015-1A, Class C, 3.70%, 7/20/27 (c)(d)

      1,000        981,885   

Treman Park CLO LLC, Series 2015-1A, Class D, 4.56%, 4/20/27 (c)(d)

      1,500        1,442,600   

Tyron Park CLO Ltd., Series 2013-1A (c)(d):

     

Class C, 4.18%, 7/15/25 (e)

      1,250        1,167,284   

Class D, 5.08%, 7/15/25

      1,000        829,971   

Venture XX CLO Ltd., Series 2015-20A (c)(d):

     

Class C, 3.83%, 4/15/27 (e)

      1,000        999,836   
 

 

                
2    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Asset-Backed Securities           Par
(000)
    Value  

Asset-Backed Securities (continued)

      

Venture XX CLO Ltd., Series 2015-20A (c)(d) (continued):

  

 

Class D, 4.53%, 4/15/27

     USD        520      $ 490,579   

Venture XXI CLO Ltd., Series 2015-21A, Class D, 4.28%, 7/15/27 (c)(d)

       480        435,436   

VOLT XLVI LLC, Series 2016-NPL6, Class A1, 3.88%, 6/25/46 (d)(f)

       4,902        4,897,603   

Voya CLO Ltd., Series 2012-2AR, Class CR, 3.63%, 10/15/22 (c)(d)(e)

       1,350        1,339,119   

WaMu Asset-Backed Certificates Trust, Series 2007-HE3, Class 2A3, 0.73%, 5/25/47 (c)

       11,214        7,485,522   

Westvue Mortgage Loan Trust, Series 2015-1A, Class A, 4.50%, 9/25/20 (d)(f)

             2,705        2,711,351   
Total Asset-Backed Securities - 30.7%                      220,775,719   
      
                          
Corporate Bonds                         

Aerospace & Defense — 0.8%

      

Accudyne Industries Borrower/Accudyne Industries LLC, 7.75%, 12/15/20 (d)(e)

       840        705,600   

Bombardier, Inc. (d):

      

5.50%, 9/15/18

       257        258,928   

6.00%, 10/15/22

       73        64,423   

7.50%, 3/15/25

       737        645,251   

KLX, Inc., 5.88%, 12/01/22 (d)

       345        349,312   

TransDigm, Inc.:

      

5.50%, 10/15/20

       262        268,550   

7.50%, 7/15/21 (e)

       312        329,940   

6.00%, 7/15/22 (e)

       1,971        2,034,111   

6.50%, 7/15/24 (e)

       356        369,770   

6.38%, 6/15/26 (d)

       403        414,082   
      

 

 

 
                       5,439,967   

Air Freight & Logistics — 0.1%

      

XPO Logistics, Inc.:

      

5.75%, 6/15/21

     EUR        100        109,977   

6.50%, 6/15/22 (d)(e)

     USD        760        752,400   
      

 

 

 
                       862,377   

Airlines — 3.2%

      

Air Canada Pass-Through Trust, Series 2013-1, Class B, 5.38%, 11/15/22 (d)(e)

       2,747        2,788,189   
Corporate Bonds           Par
(000)
    Value  

Airlines (continued)

      

American Airlines Pass-Through Trust (e):

      

Series 2013-1, Class C, 6.13%, 7/15/18 (d)

     USD        1,080      $ 1,124,550   

Series 2013-2, Class A, 4.95%, 7/15/24

       1,998        2,187,575   

Continental Airlines Pass-Through Trust (e):

      

Series 2003-ERJ1, 7.88%, 1/02/20

       365        379,395   

Series 2007-1, Class B, 6.90%, 10/19/23

       465        488,493   

Series 2012-1, Class B, 6.25%, 10/11/21

       400        429,179   

Series 2012-3, Class C, 6.13%, 4/29/18

       408        429,420   

Delta Air Lines Pass-Through Trust, Class B (e):

      

Series 2007-1, 8.02%, 2/10/24

       1,981        2,275,770   

Series 2012-1, 6.88%, 5/07/19 (d)

       3,330        3,595,865   

United Airlines Pass-Through Trust (e):

      

Series 2014-2, Class B, 4.63%, 3/03/24

       2,615        2,621,641   

Series 2015-1, Class A, 3.70%, 6/01/24

       3,570        3,748,500   

US Airways Pass-Through Trust, Class B (e):

      

Series 2011-1, 9.75%, 4/22/20

       2,109        2,362,517   

Series 2013-1, 5.38%, 5/15/23

       816        834,352   
      

 

 

 
                       23,265,446   

Auto Components — 0.5%

      

CNH Industrial Finance Europe SA, 2.88%, 5/17/23

     EUR        175        201,011   

Faurecia, 3.63%, 6/15/23

       111        128,441   

Fiat Chrysler Finance Europe:

      

6.63%, 3/15/18

       102        123,444   

4.75%, 3/22/21

       133        162,761   

4.75%, 7/15/22

       100        122,298   

FTE Verz`waltungs GmbH, 9.00%, 7/15/20

       100        117,983   

Goodyear Dunlop Tires Europe BV, 3.75%, 12/15/23

       100        118,229   

Goodyear Tire & Rubber Co., 5.00%, 5/31/26

     USD        77        81,139   
 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    3


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Corporate Bonds           Par
(000)
    Value  

Auto Components (continued)

      

Icahn Enterprises LP/Icahn Enterprises Finance Corp.:

      

4.88%, 3/15/19 (e)

     USD        481      $ 477,392   

5.88%, 2/01/22

       515        491,825   

Schaeffler Finance BV, 4.75%, 5/15/21 (d)(e)

       1,045        1,080,269   

Schaeffler Holding Finance BV (i):

      

(5.75% Cash or 6.50% PIK), 5.75%, 11/15/21

     EUR        61        73,895   

(6.75% Cash), 6.75%, 11/15/22 (d)(e)

     USD        678        748,751   
      

 

 

 
                       3,927,438   

Automobiles — 0.4%

      

General Motors Co., 6.25%, 10/02/43 (e)

             2,194        2,646,837   

Banks — 1.1%

      

ABN AMRO Bank NV, 5.75% (c)(j)

     EUR        200        217,172   

Allied Irish Banks PLC, 4.13%, 11/26/25 (c)

       100        107,034   

Bank of Ireland, 4.25%, 6/11/24 (c)

       100        111,457   

Bankia SA, 4.00%, 5/22/24 (c)

       300        329,432   

CIT Group, Inc.:

      

5.25%, 3/15/18 (e)

     USD        588        611,520   

5.50%, 2/15/19 (d)

       280        296,800   

5.00%, 8/01/23 (e)

       880        926,200   

Commerzbank AG:

      

7.75%, 3/16/21

     EUR        100        135,781   

4.00%, 3/23/26

       47        54,769   

Intesa Sanpaolo SpA, 2.86%, 4/23/25

       115        128,097   

Rizal Commercial Banking Corp., 4.25%, 1/22/20

     USD        100        105,532   

Sberbank of Russia Via SB Capital SA, 5.25%, 5/23/23 (d)

       5,000        4,877,000   
      

 

 

 
                       7,900,794   

Beverages — 0.4%

      

Anheuser-Busch InBev Finance, Inc., 4.90%, 2/01/46 (e)

       2,160        2,631,137   

OI European Group BV, 6.75%, 9/15/20

     EUR        75        100,515   

Verallia Packaging SASU, 5.13%, 8/01/22

       100        117,949   
      

 

 

 
                       2,849,601   
Corporate Bonds           Par
(000)
    Value  

Biotechnology — 0.0%

      

Senvion Holding GmbH, 6.63%, 11/15/20

     EUR        145      $ 169,544   

Building Materials — 0.0%

      

Dry Mix Solutions Investissements SAS, 3.99%, 6/15/21 (c)

       100        111,241   

Titan Global Finance PLC, 3.50%, 6/17/21

       100        113,801   
      

 

 

 
                       225,042   

Building Products — 0.6%

      

American Builders & Contractors Supply Co.,
Inc. (d)(e):

      

5.63%, 4/15/21

     USD        375        387,187   

5.75%, 12/15/23

       285        299,963   

Building Materials Corp. of America,
6.00%, 10/15/25 (d)(e)

       247        267,378   

Cemex SAB de CV, 5.88%, 3/25/19 (d)(e)

       200        205,728   

HeidelbergCement AG, 2.25%, 3/30/23

     EUR        100        116,966   

Masonite International Corp., 5.63%, 3/15/23 (d)(e)

     USD        360        379,350   

Ply Gem Industries, Inc., 6.50%, 2/01/22 (e)

       919        934,163   

Standard Industries, Inc. (d)(e):

      

5.13%, 2/15/21

       157        164,065   

5.50%, 2/15/23

       257        267,923   

USG Corp.:

      

9.50%, 1/15/18 (e)

       622        681,090   

5.88%, 11/01/21 (d)

       45        47,250   

5.50%, 3/01/25 (d)(e)

       435        464,362   
      

 

 

 
                       4,215,425   

Capital Markets — 0.2%

      

AE-Rotor Holding BV, 4.97%, 3/28/18

       140        140,233   

American Capital Ltd., 6.50%, 9/15/18 (d)(e)

       700        714,420   

E*Trade Financial Corp. (e):

      

5.38%, 11/15/22

       185        196,100   

4.63%, 9/15/23

       490        507,150   
      

 

 

 
                       1,557,903   

Chemicals — 0.6%

      

Axalta Coating Systems US Holdings, Inc./Axalta Coating Systems Dutch Holding BV, 7.38%, 5/01/21 (d)(e)

       380        401,850   
 

 

                
4    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Corporate Bonds           Par
(000)
    Value  

Chemicals (continued)

      

Chemours Co.:

      

6.63%, 5/15/23

     USD        120      $ 103,500   

7.00%, 5/15/25

       165        140,250   

Huntsman International LLC, 4.88%, 11/15/20

       180        182,700   

Ineos Finance PLC, 4.00%, 5/01/23

     EUR        115        130,499   

Inovyn Finance PLC, 6.25%, 5/15/21

       100        116,272   

Momentive Performance Materials, Inc., 3.88%, 10/24/21 (e)

     USD        609        476,610   

Montichem Holdco 3 SA, 5.25%, 6/15/21

     EUR        109        122,471   

NOVA Chemicals Corp., 5.25%, 8/01/23 (d)

     USD        145        149,531   

Platform Specialty Products Corp. (d)(e):

      

10.38%, 5/01/21

       65        65,325   

6.50%, 2/01/22

       1,427        1,237,923   

PQ Corp., 6.75%, 11/15/22 (d)

       355        373,417   

PSPC Escrow Corp., 6.00%, 2/01/23

     EUR        153        148,812   

WR Grace & Co-Conn, 5.63%, 10/01/24 (d)(e)

     USD        300        321,750   
      

 

 

 
                       3,970,910   

Commercial Services & Supplies — 1.2%

      

AA Bond Co., Ltd., 5.50%, 7/31/43

     GBP        100        129,128   

ADT Corp.:

      

3.50%, 7/15/22

     USD        506        475,007   

4.13%, 6/15/23

       86        82,453   

Aviation Capital Group Corp., 6.75%, 4/06/21 (d)(e)

       5,000        5,842,500   

Bilbao Luxembourg SA, (10.50% Cash or 11.25% PIK), 10.50%, 12/01/18 (i)

     EUR        100        109,564   

Brand Energy & Infrastructure Services, Inc., 8.50%, 12/01/21 (d)

     USD        352        350,240   

Iron Mountain, Inc., 6.00%, 10/01/20 (d)(e)

       435        458,925   

Mobile Mini, Inc., 5.88%, 7/01/24 (d)

       447        463,763   

Silk Bidco AS, 7.50%, 2/01/22

     EUR        108        127,083   

United Rentals North America, Inc.:

      

7.63%, 4/15/22

     USD        144        153,818   

5.75%, 11/15/24 (e)

       450        466,875   

5.88%, 9/15/26

       90        93,488   
      

 

 

 
                       8,752,844   

Communications Equipment — 0.6%

      

Alcatel-Lucent USA, Inc., 6.45%, 3/15/29 (e)

       1,605        1,705,312   
Corporate Bonds           Par
(000)
    Value  

Communications Equipment (continued)

      

CommScope Technologies Finance LLC, 6.00%, 6/15/25 (d)(e)

     USD        610      $ 643,550   

CommScope, Inc., 4.38%, 6/15/20 (d)(e)

       170        175,568   

Nokia OYJ, 6.63%, 5/15/39 (e)

       245        263,987   

Zayo Group LLC/Zayo Capital, Inc., 6.38%, 5/15/25 (e)

       1,107        1,158,199   
      

 

 

 
                       3,946,616   

Construction & Engineering — 0.2%

      

Aeropuerto Internacional de Tocumen SA, 5.63%, 5/18/36 (d)

       200        206,500   

BlueLine Rental Finance Corp., 7.00%, 2/01/19 (d)(e)

       643        591,560   

Safway Group Holding LLC/Safway Finance Corp., 7.00%, 5/15/18 (d)(e)

       900        916,875   
      

 

 

 
                       1,714,935   

Construction Materials — 0.9%

      

American Tire Distributors, Inc., 10.25%, 3/01/22 (d)(e)

       295        271,031   

Beacon Roofing Supply, Inc., 6.38%, 10/01/23 (e)

       353        379,475   

HD Supply, Inc. (e):

      

7.50%, 7/15/20

       1,946        2,033,570   

5.25%, 12/15/21 (d)

       1,265        1,339,319   

5.75%, 4/15/24 (d)

       1,157        1,232,031   

LKQ Italia Bondco SpA, 3.88%, 4/01/24

     EUR        302        356,206   

PulteGroup, Inc.:

      

5.50%, 3/01/26

     USD        257        268,015   

6.00%, 2/15/35

       88        90,420   

Rexel SA, 3.50%, 6/15/23

     EUR        223        255,784   
      

 

 

 
                       6,225,851   

Consumer Finance — 0.9%

      

Ally Financial, Inc., 8.00%, 11/01/31 (e)

     USD        4,555        5,545,712   

Navient Corp.:

      

5.00%, 10/26/20 (e)

       370        360,750   

6.63%, 7/26/21

       173        174,730   

5.50%, 1/25/23

       30        27,825   

6.13%, 3/25/24

       132        124,740   

5.88%, 10/25/24

       138        127,305   

5.63%, 8/01/33

       105        81,638   

OneMain Financial Holdings LLC (d):

      

6.75%, 12/15/19

       112        113,288   
 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    5


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Corporate Bonds           Par
(000)
    Value  

Consumer Finance (continued)

      

OneMain Financial Holdings LLC (d) (continued):

      

7.25%, 12/15/21

     USD        110      $ 110,000   
      

 

 

 
                       6,665,988   

Containers & Packaging — 1.0%

      

Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc.:

      

6.75%, 1/31/21 (d)

       630        648,144   

4.25%, 1/15/22

     EUR        100        115,350   

6.75%, 5/15/24

       156        182,692   

Ardagh Packaging Finance PLC/Ardagh MP Holdings USA, Inc. (d):

      

6.25%, 1/31/19

     USD        403        412,067   

4.63%, 5/15/23

       252        253,575   

7.25%, 5/15/24 (e)

       1,126        1,187,930   

Bahia Sul Holdings GmbH, 5.75%, 7/14/26 (d)

       481        473,184   

Ball Corp., 5.00%, 3/15/22

       440        470,800   

Crown European Holdings SA:

      

4.00%, 7/15/22

     EUR        103        125,230   

3.38%, 5/15/25

       154        176,545   

Fibria Overseas Finance, Ltd., 5.25%, 5/12/24

     USD        381        392,735   

JH-Holding Finance SA, 8.25%, 12/01/22 (i)

     EUR        102        121,840   

Reynolds Group Issuer, Inc./Reynolds Group Issuer LLC/Reynolds Group Issuer Lu (d):

      

4.13%, 7/15/21 (c)

     USD        866        872,495   

5.13%, 7/15/23 (k)

       139        143,344   

7.00%, 7/15/24

       529        559,087   

Sappi Papier Holding GmbH, 4.00%, 4/01/23

     EUR        200        233,103   

Sealed Air Corp.:

      

4.88%, 12/01/22 (d)(e)

     USD        100        105,125   

4.50%, 9/15/23

     EUR        100        121,583   

5.13%, 12/01/24 (d)(e)

     USD        139        146,124   

6.88%, 7/15/33 (d)

       99        104,940   

Suzano Trading, Ltd., 5.88%, 1/23/21 (d)

       381        399,707   
      

 

 

 
                       7,245,600   

Diversified Consumer Services — 0.2%

      

ADT Corp., 4.88%, 7/15/32 (d)

       40        33,100   

APX Group, Inc.:

      

6.38%, 12/01/19

       255        261,375   

8.75%, 12/01/20

       125        118,750   
Corporate Bonds           Par
(000)
    Value  

Diversified Consumer Services (continued)

      

Prime Security Services Borrower LLC/Prime Finance, Inc., 9.25%, 5/15/23 (d)

     USD        636      $ 678,930   

Service Corp. International, 5.38%, 5/15/24 (e)

       590        629,825   
      

 

 

 
                       1,721,980   

Diversified Financial Services — 1.0%

      

AerCap Ireland Capital Ltd./AerCap Global Aviation Trust (e):

      

4.63%, 10/30/20

       759        811,181   

5.00%, 10/01/21

       318        346,779   

Aircastle Ltd.:

      

6.25%, 12/01/19 (e)

       784        864,360   

5.00%, 4/01/23

       80        83,904   

Deutsche Bank AG, 4.50%, 5/19/26

     EUR        100        107,522   

DPL, Inc., 6.50%, 10/15/16

     USD        50        50,125   

Garfunkelux Holdco 3 SA, 8.50%, 11/01/22

     GBP        100        131,022   

General Motors Financial Co., Inc., 4.25%, 5/15/23 (e)

     USD        326        341,935   

Goldman Sachs Group, Inc., 5.30% (c)(j)

       155        157,519   

Jefferies Finance LLC/JFIN Co-Issuer Corp., 7.38%, 4/01/20 (d)(e)

       845        790,075   

Mercury Bondco PLC, (8.25% Cash, 9.00% PIK), 8.25%, 5/30/21 (i)

     EUR        358        406,601   

Reynolds Group Issuer, Inc.:

      

9.88%, 8/15/19

     USD        245        251,737   

5.75%, 10/15/20

       590        609,175   

8.25%, 2/15/21

       1,191        1,238,640   

UniCredit SpA:

      

6.95%, 10/31/22

     EUR        270        342,435   

5.75%, 10/28/25 (c)

       207        241,775   

WMG Acquisition Corp., 5.00%, 8/01/23 (d)

     USD        80        81,200   
      

 

 

 
                       6,855,985   

Diversified Telecommunication Services — 2.6%

      

AT&T, Inc., 4.75%, 5/15/46 (e)

       2,545        2,695,033   

CenturyLink, Inc., 6.45%, 6/15/21 (e)

       544        580,720   

Frontier Communications Corp.:

      

7.13%, 3/15/19

       195        208,650   

7.13%, 1/15/23 (e)

       65        60,288   

7.63%, 4/15/24 (e)

       455        419,737   

6.88%, 1/15/25 (e)

       1,155        1,012,923   

11.00%, 9/15/25

       485        517,738   

Level 3 Financing, Inc.:

      

5.38%, 8/15/22

       140        147,000   
 

 

                
6    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Corporate Bonds           Par
(000)
    Value  

Diversified Telecommunication Services (continued)

  

   

Level 3 Financing, Inc. (continued):

      

5.63%, 2/01/23 (e)

     USD        360      $ 378,000   

5.13%, 5/01/23 (e)

       990        1,019,700   

5.38%, 1/15/24 (e)

       294        308,332   

5.38%, 5/01/25 (e)

       825        866,250   

5.25%, 3/15/26 (d)

       186        194,603   

OTE PLC, 3.50%, 7/09/20

     EUR        200        224,396   

SoftBank Group Corp., 5.25%, 7/30/27

       191        235,095   

Telecom Italia Capital SA, 6.00%, 9/30/34 (e)

     USD        705        690,900   

Telecom Italia Finance SA, 7.75%, 1/24/33

     EUR        81        123,389   

Telecom Italia SpA:

      

3.25%, 1/16/23

       273        332,216   

3.63%, 1/19/24

       146        177,637   

Verizon Communications, Inc., 6.55%, 9/15/43 (e)

     USD        6,500        8,843,659   
      

 

 

 
                       19,036,266   

Electric Utilities — 0.5%

      

AES Corp.:

      

8.00%, 6/01/20 (e)

       280        329,000   

4.88%, 5/15/23

       350        355,250   

AES Gener SA, 5.00%, 7/14/25 (d)

       762        812,039   

Star Energy Geothermal Wayang Windu Ltd., 6.13%, 3/27/20

       1,700        1,774,375   
      

 

 

 
                       3,270,664   

Electrical Equipment — 0.1%

      

Belden, Inc., 5.50%, 4/15/23

     EUR        111        130,303   

Trionista TopCo GmbH, 6.88%, 4/30/21

       213        250,636   
      

 

 

 
                       380,939   

Electronic Equipment, Instruments & Components — 0.2%

  

 

CDW LLC/CDW Finance Corp.:

      

6.00%, 8/15/22 (e)

     USD        770        821,975   

5.00%, 9/01/23 (e)

       550        561,000   

5.50%, 12/01/24

       247        257,589   
      

 

 

 
                       1,640,564   

Energy Equipment & Services — 0.3%

      

Ensco PLC:

      

4.70%, 3/15/21

       85        72,250   

4.50%, 10/01/24

       317        217,938   

5.20%, 3/15/25 (e)

       239        162,520   

Gates Global LLC/Gates Global Co., 6.00%, 7/15/22 (d)

       418        380,380   
Corporate Bonds           Par
(000)
    Value  

Energy Equipment & Services (continued)

      

Noble Holding International Ltd.:

      

4.63%, 3/01/21

     USD        40      $ 33,220   

6.95%, 4/01/25

       105        86,940   

Transocean, Inc.:

      

6.00%, 3/15/18

       195        190,125   

7.38%, 4/15/18

       35        34,300   

8.13%, 12/15/21

       694        579,490   

5.05%, 10/15/22

       341        243,815   

Weatherford International, Ltd., 7.75%, 6/15/21

       255        240,895   
      

 

 

 
                       2,241,873   

Environmental, Maintenance, & Security Service — 0.0%

  

 

Befesa Zinc SAU Via Zinc Capital SA, 8.88%, 5/15/18

     EUR        100        113,710   

Food & Staples Retailing — 0.8%

      

Albertsons Cos. LLC/Safeway, Inc./New Albertson’s, Inc./Albertson’s LLC, 6.63%, 6/15/24 (d)

     USD        172        182,750   

Casino Guichard Perrachon SA:

      

5.98%, 5/26/21

     EUR        200        266,527   

3.31%, 1/25/23

       200        249,614   

Dollar Tree, Inc., 5.75%, 3/01/23

     USD        2,510        2,710,800   

Rite Aid Corp.:

      

6.75%, 6/15/21 (e)

       329        345,861   

6.13%, 4/01/23 (d)(e)

       1,727        1,832,779   

7.70%, 2/15/27

       310        368,900   

Tesco PLC, 6.00%, 12/14/29

     GBP        50        73,372   
      

 

 

 
                       6,030,603   

Food Products — 0.8%

      

Acosta, Inc., 7.75%, 10/01/22 (d)(e)

     USD        674        616,710   

Aramark Services, Inc.:

      

5.13%, 1/15/24

       483        498,697   

5.13%, 1/15/24 (d)

       154        159,005   

4.75%, 6/01/26 (d)

       252        254,520   

Darling Global Finance BV, 4.75%, 5/30/22

     EUR        107        123,345   

JBS USA LLC/JBS USA Finance, Inc. (d):

      

7.25%, 6/01/21

     USD        40        41,300   

5.75%, 6/15/25

       478        466,050   

Pinnacle Foods Finance Corp., 5.88%, 1/15/24 (d)

       75        79,688   

Post Holdings, Inc.:

      

6.75%, 12/01/21 (d)

       120        128,100   

7.38%, 2/15/22 (e)

       484        518,219   
 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    7


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Corporate Bonds           Par
(000)
    Value  

Food Products (continued)

      

Post Holdings, Inc. (continued):

      

7.75%, 3/15/24 (d)(e)

     USD        840      $ 929,250   

8.00%, 7/15/25 (d)

       395        453,262   

5.00%, 8/15/26 (d)(k)

       433        431,647   

Smithfield Foods, Inc., 5.88%, 8/01/21 (d)(e)

       307        320,048   

TreeHouse Foods, Inc., 6.00%, 2/15/24 (d)(e)

       159        170,925   

WhiteWave Foods Co., 5.38%, 10/01/22 (e)

       211        240,804   
      

 

 

 
                       5,431,570   

Forest Products — 0.2%

      

Arcor SAIC, 6.00%, 7/06/23 (d)

       230        240,299   

FAGE International SA/FAGE USA Dairy Industry, Inc., 5.63%, 8/15/26 (d)

       400        408,500   

Marfrig Holdings Europe BV, 8.00%, 6/08/23 (d)

       480        493,200   

Tereos Finance Groupe I SA, 4.13%, 6/16/23

     EUR        100        112,346   
      

 

 

 
                       1,254,345   

Health Care Equipment & Supplies — 0.4%

      

Crimson Merger Sub, Inc., 6.63%, 5/15/22 (d)

     USD        276        235,290   

DJO Finance LLC/DJO Finance Corp.,
8.13%, 6/15/21 (d)(e)

       1,235        1,123,850   

Fresenius US Finance II, Inc., 4.50%, 1/15/23 (d)

       280        295,750   

Hologic, Inc., Series 2010, 2.00%, 12/15/37 (f)(l)

       295        492,097   

IDH Finance PLC, 6.25%, 8/15/22 (k)

     GBP        100        131,518   

Mallinckrodt International Finance SA/Mallinckrodt CB LLC, 5.63%, 10/15/23 (d)(e)

     USD        420        403,200   

Teleflex, Inc.:

      

3.88%, 8/01/17 (l)

       110        321,268   

4.88%, 6/01/26

       108        110,430   
      

 

 

 
                       3,113,403   

Health Care Providers & Services — 2.2%

      

Acadia Healthcare Co., Inc.:

      

5.63%, 2/15/23 (e)

       455        451,760   

6.50%, 3/01/24

       69        71,285   

Amsurg Corp., 5.63%, 7/15/22 (e)

       810        850,500   

Centene Corp.:

      

5.63%, 2/15/21 (e)

       403        425,669   

4.75%, 5/15/22 (e)

       487        501,610   

6.13%, 2/15/24

       238        255,702   
Corporate Bonds           Par
(000)
    Value  

Health Care Providers & Services (continued)

      

CHS/Community Health Systems, Inc., 6.88%, 2/01/22

     USD        463      $ 398,180   

DaVita HealthCare Partners, Inc.:

      

5.13%, 7/15/24 (e)

       1,027        1,060,162   

5.00%, 5/01/25

       75        75,844   

Envision Healthcare Corp., 5.13%, 7/01/22 (d)(e)

       205        208,588   

HCA, Inc.:

      

6.50%, 2/15/20 (e)

       1,103        1,214,679   

7.50%, 2/15/22 (e)

       800        908,000   

5.88%, 3/15/22 (e)

       124        136,400   

4.75%, 5/01/23

       56        58,380   

5.88%, 5/01/23

       90        96,300   

5.38%, 2/01/25

       450        468,284   

5.25%, 4/15/25 (e)

       1,220        1,301,587   

5.88%, 2/15/26 (e)

       508        543,560   

5.25%, 6/15/26 (e)

       520        551,200   

HealthSouth Corp.:

      

5.75%, 11/01/24 (e)

       836        867,350   

5.75%, 9/15/25 (e)

       256        264,351   

2.00%, 12/01/43 (l)

       375        457,969   

Hologic, Inc., 5.25%, 7/15/22 (d)(e)

       680        720,800   

MEDNAX, Inc., 5.25%, 12/01/23 (d)(e)

       239        249,158   

MPH Acquisition Holdings LLC, 7.13%, 6/01/24 (d)

       345        368,072   

RegionalCare Hospital Partners Holdings, Inc., 8.25%, 5/01/23 (d)

       405        421,702   

Surgery Center Holdings, Inc., 8.88%, 4/15/21 (d)

       82        87,330   

Tenet Healthcare Corp. (e):

      

6.00%, 10/01/20

       1,150        1,216,067   

8.13%, 4/01/22

       637        657,702   

6.75%, 6/15/23

       1,090        1,049,125   
      

 

 

 
                       15,937,316   

Hotels, Restaurants & Leisure — 3.9%

      

Boyd Gaming Corp., 6.88%, 5/15/23

       290        310,663   

Caesars Entertainment Resort Properties LLC/Caesars Entertainment Resort Property, 8.00%, 10/01/20 (e)

       1,705        1,722,050   

Cemex Finance LLC, 9.38%, 10/12/22 (d)

       608        671,080   

CPUK Finance, Ltd., 7.00%, 2/28/42

     GBP        168        234,957   

Enterprise Inns PLC, 6.00%, 10/06/23

       3,320        4,368,114   
 

 

                
8    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Corporate Bonds           Par
(000)
    Value  

Hotels, Restaurants & Leisure (continued)

      

ESH Hospitality, Inc., 5.25%, 5/01/25 (d)(e)

     USD        1,009      $ 1,003,955   

Gala Electric Casinos PLC, 11.50%, 6/01/19

     GBP        64        87,041   

GLP Capital LP/GLP Financing II, Inc., 5.38%, 11/01/23

     USD        194        208,065   

International Game Technology PLC, 4.75%, 2/15/23

     EUR        107        128,897   

KFC Holding Co/Pizza Hut Holdings LLC/Taco Bell of America LLC (d):

      

5.00%, 6/01/24

     USD        45        47,025   

5.25%, 6/01/26

       244        258,181   

MGM Resorts International:

      

8.63%, 2/01/19

       170        192,525   

6.75%, 10/01/20

       52        57,460   

6.63%, 12/15/21 (e)

       1,550        1,715,664   

6.00%, 3/15/23 (e)

       64        69,240   

MGP Escrow Issuer LLC/MGP Escrow Co-Issuer, Inc., 5.63%, 5/01/24 (d)(e)

       1,242        1,330,182   

New Red Finance, Inc., 6.00%, 4/01/22 (d)(e)

       1,130        1,185,087   

PortAventura Entertainment Barcelona BV, 7.25%, 12/01/20

     EUR        208        241,934   

RHP Hotel Properties LP/RHP Finance Corp., 5.00%, 4/15/21 (e)

     USD        460        470,350   

Sabre GLBL, Inc., 5.25%, 11/15/23 (d)(e)

       317        332,058   

Scientific Games International, Inc.:

      

7.00%, 1/01/22 (d)(e)

       360        374,400   

10.00%, 12/01/22

       210        186,638   

Six Flags Entertainment Corp. (d):

      

5.25%, 1/15/21 (e)

       310        319,300   

4.88%, 7/31/24

       161        161,403   

Snai SpA, 7.63%, 6/15/18

     EUR        105        121,508   

Station Casinos LLC, 7.50%, 3/01/21 (e)

     USD        1,085        1,147,387   

Unique Pub Finance Co. PLC:

      

Series A3, 6.54%, 3/30/21

     GBP        2,063        2,839,213   

Series M, 7.40%, 3/28/24

       6,400        8,143,278   

Vougeot Bidco PLC, 7.88%, 7/15/20

       117        161,037   

Yum! Brands, Inc.:

      

3.75%, 11/01/21

     USD        80        80,000   

3.88%, 11/01/23

       30        29,550   
      

 

 

 
                       28,198,242   
Corporate Bonds           Par
(000)
    Value  

Household Durables — 0.7%

      

Brookfield Residential Properties, Inc./Brookfield Residential US Corp., 6.13%, 7/01/22 (d)(e)

     USD        750      $ 742,500   

CalAtlantic Group, Inc.:

      

8.38%, 1/15/21

       150        177,225   

5.25%, 6/01/26

       40        40,400   

Century Communities, Inc., 6.88%, 5/15/22 (e)

       830        823,775   

DR Horton, Inc., 4.00%, 2/15/20 (e)

       170        176,800   

Lennar Corp.:

      

4.50%, 11/15/19 (e)

       320        336,400   

4.75%, 4/01/21

       252        265,230   

4.88%, 12/15/23 (e)

       146        150,745   

4.75%, 5/30/25 (e)

       410        416,150   

Meritage Homes Corp., 4.50%, 3/01/18 (e)

       600        613,500   

PulteGroup, Inc., 6.38%, 5/15/33 (e)

       600        637,500   

Riverbed Technology, Inc., 8.88%, 3/01/23 (d)

       180        188,100   

Standard Pacific Corp., 5.88%, 11/15/24

       50        53,375   

TRI Pointe Group, Inc.:

      

4.38%, 6/15/19 (e)

       225        230,625   

4.88%, 7/01/21

       210        213,675   

5.88%, 6/15/24 (e)

       280        288,400   
      

 

 

 
                       5,354,400   

Household Products — 0.3%

      

Prestige Brands, Inc., 6.38%, 3/01/24 (d)

       176        185,680   

Spectrum Brands, Inc. (e):

      

6.63%, 11/15/22

       710        753,488   

6.13%, 12/15/24

       681        735,480   

Tempur Sealy International, Inc., 5.50%, 6/15/26 (d)

       150        151,782   
      

 

 

 
                       1,826,430   

Independent Power and Renewable Electricity Producers — 0.7%

  

 

Calpine Corp. (e):

      

6.00%, 1/15/22 (d)

       89        93,005   

5.38%, 1/15/23

       745        743,137   

5.88%, 1/15/24 (d)

       240        252,600   

Dynegy, Inc.:

      

6.75%, 11/01/19 (e)

       1,030        1,049,312   

7.38%, 11/01/22

       30        29,400   

7.63%, 11/01/24

       40        38,800   

NRG Energy, Inc.:

      

7.63%, 1/15/18 (e)

       151        161,570   
 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    9


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Corporate Bonds           Par
(000)
    Value  

Independent Power and Renewable Electricity Producers (continued)

  

NRG Energy, Inc. (continued):

      

7.88%, 5/15/21

     USD        355      $ 368,313   

6.63%, 3/15/23

       45        45,360   

7.25%, 5/15/26 (d)

       313        321,216   

6.63%, 1/15/27 (d)(k)

       710        702,013   

NRG Yield Operating LLC, 5.38%, 8/15/24 (e)

       130        132,925   

QEP Resources, Inc., 5.38%, 10/01/22 (e)

       1,020        974,100   
      

 

 

 
                       4,911,751   

Insurance — 0.4%

      

Aon PLC, 3.88%, 12/15/25 (e)

       1,280        1,370,061   

Assicurazioni Generali SpA, 5.00%, 6/08/48 (c)

     EUR        100        114,176   

HUB International Ltd. (d):

      

9.25%, 2/15/21

     USD        195        205,725   

7.88%, 10/01/21 (e)

       702        703,755   

TMF Group Holding BV, 9.88%, 12/01/19

     EUR        101        120,935   

Trader Corp., 9.88%, 8/15/18 (d)(e)

     USD        170        174,038   

Wayne Merger Sub LLC, 8.25%, 8/01/23 (d)

       490        488,162   
      

 

 

 
                       3,176,852   

Internet Software & Services — 0.2%

      

Blue Coat Holdings, Inc., 8.38%, 6/01/23 (d)(e)

       412        463,500   

Equinix, Inc. (e):

      

4.88%, 4/01/20

       144        149,400   

5.88%, 1/15/26

       636        685,290   

Netflix, Inc., 5.75%, 3/01/24 (e)

       380        402,800   
      

 

 

 
                       1,700,990   

IT Services — 0.9%

      

Ceridian HCM Holding, Inc., 11.00%, 3/15/21 (d)(e)

       287        289,870   

First Data Corp. (d)(e):

      

5.38%, 8/15/23

       364        373,555   

7.00%, 12/01/23

       2,538        2,610,967   

5.00%, 1/15/24

       227        228,703   

5.75%, 1/15/24

       2,738        2,751,635   
      

 

 

 
                       6,254,730   

Machinery — 0.0%

      

Gardner Denver, Inc., 6.88%, 8/15/21 (d)

       155        143,762   
Corporate Bonds           Par
(000)
    Value  

Machinery (continued)

      

Trinseo Materials Operating SCA/Trinseo Materials Finance, Inc., 6.38%, 5/01/22

     EUR        142      $ 165,170   
      

 

 

 
                       308,932   

Media — 6.2%

      

Altice Financing SA:

      

5.25%, 2/15/23

       108        123,763   

7.50%, 5/15/26 (d)

     USD        264        266,640   

Altice Luxembourg SA, 6.25%, 2/15/25

     EUR        100        103,951   

Altice US Finance I Corp. (d):

      

5.38%, 7/15/23 (e)

     USD        980        1,011,850   

5.50%, 5/15/26

       488        505,080   

Altice US Finance II Corp., 7.75%, 7/15/25 (d)(e)

       1,630        1,735,950   

AMC Networks, Inc.:

      

4.75%, 12/15/22 (e)

       344        352,600   

5.00%, 4/01/24

       161        163,818   

Bharti Airtel International Netherlands BV, 5.13%, 3/11/23

       1,500        1,637,472   

Cablevision Systems Corp.:

      

8.63%, 9/15/17

       126        133,875   

7.75%, 4/15/18

       517        553,836   

8.00%, 4/15/20

       140        145,950   

CCO Holdings LLC/CCO Holdings Capital Corp.:

      

5.25%, 9/30/22 (e)

       560        583,100   

5.13%, 2/15/23 (e)

       709        733,372   

5.13%, 5/01/23 (d)(e)

       719        743,266   

5.88%, 4/01/24 (d)(e)

       617        658,647   

5.75%, 2/15/26 (d)(e)

       336        354,480   

5.50%, 5/01/26 (d)

       470        490,563   

5.88%, 5/01/27 (d)(e)

       1,010        1,065,550   

Cequel Communications Holdings I LLC/Cequel Capital Corp. (d):

      

6.38%, 9/15/20

       145        149,531   

5.13%, 12/15/21

       662        658,470   

Charter Communications Operating LLC/Charter Communications Operating Capital, 6.48%, 10/23/45 (d)(e)

       3,000        3,599,205   

Clear Channel International BV,
8.75%, 12/15/20 (d)(e)

       508        534,670   

Clear Channel Worldwide Holdings, Inc. (e):

      

6.50%, 11/15/22

       3,013        3,118,455   

Series B, 7.63%, 3/15/20

       884        875,160   
 

 

                
10    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Corporate Bonds           Par
(000)
    Value  

Media (continued)

      

Columbus International, Inc., 7.38%, 3/30/21 (d)(e)

     USD        1,195      $ 1,275,316   

CSC Holdings LLC, 5.25%, 6/01/24 (e)

       1,205        1,147,027   

DISH DBS Corp.:

      

6.75%, 6/01/21 (e)

       430        456,875   

5.88%, 7/15/22 (e)

       219        218,864   

5.88%, 11/15/24 (e)

       158        152,470   

7.75%, 7/01/26 (d)

       952        987,105   

eircom Finance DAC, 4.50%, 5/31/22

     EUR        100        112,627   

Gray Television, Inc., 5.88%, 7/15/26 (d)

     USD        89        91,492   

Hughes Satellite Systems Corp. (d):

      

5.25%, 8/01/26

       244        243,390   

6.63%, 8/01/26

       180        178,650   

iHeartCommunications, Inc. (e):

      

9.00%, 12/15/19

       254        204,389   

10.63%, 3/15/23

       936        713,700   

Intelsat Jackson Holdings SA (e):

      

7.25%, 10/15/20

       475        345,563   

5.50%, 8/01/23

       867        567,885   

Lamar Media Corp., 5.75%, 2/01/26 (d)

       83        89,018   

LGE HoldCo VI BV, 7.13%, 5/15/24

     EUR        177        223,117   

Live Nation Entertainment, Inc., 7.00%, 9/01/20 (d)(e)

     USD        199        206,960   

McGraw-Hill Global Education Holdings LLC/McGraw-Hill Global Education Finance, 7.88%, 5/15/24 (d)

       101        106,050   

MDC Partners, Inc., 6.50%, 5/01/24 (d)

       472        456,660   

Midcontinent Communications & Midcontinent Finance Corp., 6.25%, 8/01/21 (d)(e)

       250        260,625   

NAI Entertainment Holdings/NAI Entertainment Holdings Finance Corp., 5.00%, 8/01/18 (d)(e)

       629        638,435   

Neptune Finco Corp. (d):

      

10.13%, 1/15/23 (e)

       988        1,132,495   

6.63%, 10/15/25 (e)

       350        377,125   

10.88%, 10/15/25

       393        459,810   

Nexstar Escrow Corp., 5.63%, 8/01/24 (d)

       186        189,023   

Nielsen Finance LLC/Nielsen Finance Co., 5.00%, 4/15/22 (d)(e)

       710        732,187   

Numericable Group SA, 5.38%, 5/15/22

     EUR        116        133,579   
Corporate Bonds           Par
(000)
    Value  

Media (continued)

      

Numericable-SFR SA, 5.63%, 5/15/24

     EUR        108      $ 122,917   

Outfront Media Capital LLC/Outfront Media Capital Corp. (e):

      

5.25%, 2/15/22

     USD        102        105,315   

5.63%, 2/15/24

       364        384,020   

RCN Telecom Services LLC/RCN Capital Corp., 8.50%, 8/15/20 (d)(e)

       350        366,625   

SFR Group SA (d)(e):

      

6.00%, 5/15/22

       1,492        1,454,700   

7.38%, 5/01/26

       2,371        2,368,036   

Sirius XM Radio, Inc., 4.25%, 5/15/20 (d)(e)

       704        718,080   

Tribune Media Co., 5.88%, 7/15/22 (e)

       776        791,520   

United Group BV, 7.88%, 11/15/20

     EUR        100        117,407   

Unitymedia Hessen GmbH & Co. KG/Unitymedia NRW GmbH:

      

5.50%, 1/15/23 (d)(e)

     USD        762        796,290   

4.00%, 1/15/25

     EUR        117        136,038   

3.50%, 1/15/27

       188        208,608   

6.25%, 1/15/29

       100        126,602   

Univision Communications, Inc. (d)(e):

      

5.13%, 5/15/23

     USD        1,285        1,320,337   

5.13%, 2/15/25

       800        823,000   

UPCB Finance IV Ltd., 4.00%, 1/15/27

     EUR        114        126,178   

Virgin Media Finance PLC, 5.75%, 1/15/25 (d)(e)

     USD        850        846,812   

Virgin Media Secured Finance PLC:

      

5.50%, 8/15/26 (d)

       200        201,250   

4.88%, 1/15/27

     GBP        130        170,758   

6.25%, 3/28/29

       175        242,026   

WaveDivision Escrow LLC/WaveDivision Escrow Corp., 8.13%, 9/01/20 (d)(e)

     USD        980        1,019,200   

Wind Acquisition Finance SA, 7.00%, 4/23/21

     EUR        122        135,823   

Ziggo Secured Finance BV, 3.75%, 1/15/25

       200        223,835   
      

 

 

 
                       44,805,068   

Metals & Mining — 2.2%

      

Alcoa, Inc. (e):

      

5.87%, 2/23/22

     USD        900        969,750   

5.13%, 10/01/24

       140        147,175   
 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    11


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Corporate Bonds           Par
(000)
    Value  

Metals & Mining (continued)

      

Anglo American Capital PLC:

      

4.45%, 9/27/20 (d)

     USD        100      $ 99,250   

4.13%, 4/15/21 (d)

       200        194,000   

3.50%, 3/28/22

     EUR        100        111,208   

4.13%, 9/27/22 (d)(e)

     USD        400        384,000   

3.25%, 4/03/23

     EUR        100        107,681   

ArcelorMittal:

      

6.13%, 6/01/18 (e)

     USD        421        444,155   

10.85%, 6/01/19

       161        189,175   

7.25%, 2/25/22

       24        26,280   

8.00%, 10/15/39

       108        114,480   

7.75%, 3/01/41

       309        318,270   

Constellium NV (d)(e):

      

8.00%, 1/15/23

       1,500        1,368,750   

5.75%, 5/15/24

       500        411,250   

Freeport-McMoRan, Inc.:

      

2.30%, 11/14/17

       322        321,195   

2.38%, 3/15/18 (e)

       1,946        1,921,675   

3.10%, 3/15/20

       170        157,622   

4.00%, 11/14/21

       331        295,418   

3.55%, 3/01/22

       881        753,255   

3.88%, 3/15/23

       1,323        1,137,846   

5.40%, 11/14/34

       140        108,500   

5.45%, 3/15/43

       649        498,108   

Glencore Finance Europe SA, 3.38%, 9/30/20

     EUR        100        119,333   

Joseph T Ryerson & Son, Inc.,
11.00%, 5/15/22 (d)

     USD        192        209,280   

Kaiser Aluminum Corp., 5.88%, 5/15/24 (d)

       124        130,200   

Novelis, Inc.:

      

8.38%, 12/15/17

       200        204,250   

8.75%, 12/15/20 (e)

       1,237        1,289,572   

Steel Dynamics, Inc.:

      

5.13%, 10/01/21 (e)

       970        1,008,800   

5.25%, 4/15/23

       525        549,937   

Teck Resources Ltd.:

      

3.00%, 3/01/19 (e)

       240        229,812   

8.00%, 6/01/21 (d)

       421        449,418   

8.50%, 6/01/24 (d)

       493        536,137   

6.00%, 8/15/40

       279        210,645   

United States Steel Corp., 8.38%, 7/01/21 (d)

       357        389,576   

Wise Metals Group LLC/Wise Alloys Finance Corp., 8.75%, 12/15/18 (d)(e)

       442        419,900   
      

 

 

 
                       15,825,903   

Multiline Retail — 0.2%

      

Hema Bondco I BV, 6.25%, 6/15/19

     EUR        100        86,366   
Corporate Bonds           Par
(000)
    Value  

Multiline Retail (continued)

      

Neiman Marcus Group Ltd. (d)(e):

      

8.00%, 10/15/21

     USD        722      $ 611,967   

(8.75% Cash or 9.50% PIK),
8.75%, 10/15/21 (i)

       963        760,770   
      

 

 

 
                       1,459,103   

Oil, Gas & Consumable Fuels — 5.9%

      

Alberta Energy Co. Ltd., 7.38%, 11/01/31

       81        88,350   

Antero Resources Corp., 5.63%, 6/01/23

       43        40,689   

California Resources Corp.:

      

5.50%, 9/15/21

       90        41,400   

8.00%, 12/15/22 (d)

       430        275,286   

6.00%, 11/15/24

       250        107,500   

Carrizo Oil & Gas, Inc., 6.25%, 4/15/23 (e)

       790        748,525   

Cenovus Energy, Inc.:

      

5.70%, 10/15/19

       51        54,160   

5.20%, 9/15/43

       25        22,857   

Cheniere Corpus Christi Holdings LLC,
7.00%, 6/30/24 (d)

       698        729,410   

Chesapeake Energy Corp.:

      

3.93%, 4/15/19 (c)

       581        476,420   

6.63%, 8/15/20

       55        40,425   

8.00%, 12/15/22 (d)

       353        307,110   

CONSOL Energy, Inc.:

      

5.88%, 4/15/22 (e)

       1,889        1,723,712   

8.00%, 4/01/23

       221        212,160   

Continental Resources, Inc.:

      

5.00%, 9/15/22

       344        321,640   

4.50%, 4/15/23

       223        201,815   

3.80%, 6/01/24 (e)

       689        589,095   

4.90%, 6/01/44

       107        85,333   

Crestwood Midstream Partners LP/Crestwood Midstream Finance Corp.:

      

6.00%, 12/15/20

       35        33,425   

6.25%, 4/01/23

       35        32,550   

CrownRock LP/CrownRock Finance, Inc.,
7.13%, 4/15/21 (d)(e)

       1,121        1,137,815   

DCP Midstream LLC (d):

      

6.45%, 11/03/36

       110        102,300   

6.75%, 9/15/37

       122        114,375   

Denbury Resources, Inc., 9.00%, 5/15/21 (d)

       625        625,000   

Diamondback Energy, Inc., 7.63%, 10/01/21 (e)

       572        604,890   

Encana Corp. (e):

      

3.90%, 11/15/21

       164        162,509   
 

 

                
12    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Corporate Bonds          Par
(000)
    Value  

Oil, Gas & Consumable Fuels (continued)

  

Encana Corp. (e) (continued):

     

6.50%, 8/15/34

    USD        217      $ 226,477   

6.63%, 8/15/37

      180        183,760   

6.50%, 2/01/38

      526        531,360   

5.15%, 11/15/41

      216        195,979   

Energy Transfer Equity LP:

     

5.88%, 1/15/24 (e)

      960        962,966   

5.50%, 6/01/27

      415        403,338   

Extraction Oil & Gas Holdings LLC/Extraction Finance Corp., 7.88%, 7/15/21 (d)

      300        300,000   

Freeport-McMoran Oil & Gas LLC/FCX Oil & Gas, Inc., 6.88%, 2/15/23

      293        283,478   

Gazprom OAO Via Gaz Capital SA, 4.95%, 7/19/22 (d)

      476        483,140   

Genesis Energy LP/Genesis Energy Finance Corp., 5.63%, 6/15/24

      449        428,795   

GNL Quintero SA, 4.63%, 7/31/29 (d)

      535        557,791   

Gulfport Energy Corp.:

     

7.75%, 11/01/20

      244        250,100   

6.63%, 5/01/23

      24        24,180   

Halcon Resources Corp., 0.00%, 2/01/20 (a)(d)(m)

      185        170,200   

Hilcorp Energy I LP/Hilcorp Finance Co., 7.63%, 4/15/21 (d)

      50        51,125   

Matador Resources Co., 6.88%, 4/15/23

      460        472,650   

MEG Energy Corp., 6.50%, 3/15/21 (d)(e)

      2,036        1,516,820   

Memorial Resource Development Corp., 5.88%, 7/01/22 (e)

      579        579,122   

MPLX LP, 4.88%, 6/01/25 (d)(e)

      790        789,291   

NGPL PipeCo LLC (d):

     

7.12%, 12/15/17 (e)

      2,866        3,002,135   

7.77%, 12/15/37

      158        162,740   

Noble Energy, Inc., 5.63%, 5/01/21 (e)

      1,700        1,790,229   

Oasis Petroleum, Inc.:

     

7.25%, 2/01/19

      45        42,188   

6.50%, 11/01/21

      450        378,000   

6.88%, 3/15/22 (e)

      613        534,842   

6.88%, 1/15/23

      195        163,800   

ONEOK, Inc.:

     

4.25%, 2/01/22

      80        77,200   

7.50%, 9/01/23 (e)

      150        164,250   

Parsley Energy LLC/Parsley Finance Corp. (d):

     

7.50%, 2/15/22 (e)

      575        589,375   
Corporate Bonds          Par
(000)
    Value  

Oil, Gas & Consumable Fuels (continued)

  

Parsley Energy LLC/Parsley Finance Corp. (d) (continued):

  

6.25%, 6/01/24

    USD        81      $ 81,304   

PDC Energy, Inc., 7.75%, 10/15/22

      275        283,937   

Pertamina Persero PT, 5.63%, 5/20/43 (d)(e)

      2,000        2,067,914   

Petrobras Argentina SA, 7.38%, 7/21/23 (d)

      400        402,000   

Petrobras Global Finance BV:

     

8.38%, 5/23/21

      1,827        1,931,596   

6.75%, 1/27/41

      83        68,060   

6.85%, 6/05/49

      518        395,493   

Petroleos de Venezuela SA:

     

6.00%, 5/16/24

      1,563        582,281   

6.00%, 11/15/26

      125        45,625   

QEP Resources, Inc.:

     

6.88%, 3/01/21

      50        50,250   

5.25%, 5/01/23

      40        37,700   

Range Resources Corp.:

     

5.00%, 8/15/22 (e)

      91        83,493   

5.00%, 3/15/23

      310        285,200   

Rockies Express Pipeline LLC, 5.63%, 4/15/20 (d)(e)

      685        705,550   

RSP Permian, Inc., 6.63%, 10/01/22

      290        297,250   

Sabine Pass Liquefaction LLC:

     

6.25%, 3/15/22 (e)

      752        786,780   

5.63%, 4/15/23 (e)

      1,980        2,019,600   

5.63%, 3/01/25

      31        31,649   

5.88%, 6/30/26 (d)

      551        565,464   

Sanchez Energy Corp.:

     

7.75%, 6/15/21

      536        410,040   

6.13%, 1/15/23 (e)

      1,008        677,880   

Seven Generations Energy Ltd.,
8.25%, 5/15/20 (d)(e)

      1,550        1,596,500   

SM Energy Co.:

     

6.13%, 11/15/22 (e)

      122        103,395   

5.00%, 1/15/24

      15        12,000   

Southwestern Energy Co.:

     

7.50%, 2/01/18

      40        41,960   

5.80%, 1/23/20

      229        223,275   

4.10%, 3/15/22

      216        191,160   

6.70%, 1/23/25

      65        63,050   

Targa Resources Partners LP/Targa Resources Partners Finance Corp.:

     

6.88%, 2/01/21

      82        84,050   

6.38%, 8/01/22

      95        96,900   

5.25%, 5/01/23

      16        15,640   

6.75%, 3/15/24 (d)

      82        85,485   

Tesoro Logistics LP/Tesoro Logistics Finance Corp.:

     

6.13%, 10/15/21

      44        45,764   
 

 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    13


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Corporate Bonds          Par
(000)
    Value  

Oil, Gas & Consumable Fuels (continued)

  

 

Tesoro Logistics LP/Tesoro Logistics Finance Corp. (continued):

     

6.38%, 5/01/24

    USD        124      $ 130,743   

Vantage Drilling International, 10.00%, 12/31/20

      34          

Weatherford International LLC, 6.80%, 6/15/37

      60        43,200   

Weatherford International Ltd.:

     

4.50%, 4/15/22

      107        88,275   

6.50%, 8/01/36

      85        60,350   

7.00%, 3/15/38

      94        69,560   

5.95%, 4/15/42

      83        57,270   

Whiting Petroleum Corp. (l):

     

Series 1, 1.25%, 6/05/20

      823        713,389   

Series B-1, 5.00%, 3/15/19

      29        26,280   

Series C-1, 5.75%, 3/15/21

      421        378,027   

Series D-1, 6.25%, 4/01/23

      173        153,792   

Williams Cos., Inc.:

     

3.70%, 1/15/23

      48        43,800   

4.55%, 6/24/24

      138        131,445   

WPX Energy, Inc.:

     

5.25%, 1/15/17

      45        44,888   

7.50%, 8/01/20

      80        78,800   

6.00%, 1/15/22

      312        282,360   

8.25%, 8/01/23

      215        210,833   

5.25%, 9/15/24

      435        371,925   

YPF SA (d):

     

8.75%, 4/04/24

      14        15,015   

8.50%, 7/28/25

      821        865,129   
     

 

 

 
                      42,327,408   

Paper & Forest Products — 0.1%

     

Pfleiderer GmbH, 7.88%, 8/01/19

    EUR        168        195,337   

Unifrax I LLC/Unifrax Holding Co.,
7.50%, 2/15/19 (d)(e)

    USD        390        350,025   
     

 

 

 
                      545,362   

Pharmaceuticals — 1.1%

     

DPx Holdings BV, 7.50%, 2/01/22 (d)

      135        143,438   

Endo Finance LLC/Endo Finco, Inc. (d)(e):

     

5.38%, 1/15/23

      620        537,850   

6.00%, 7/15/23

      459        400,193   

Forest Laboratories, Inc.,
5.00%, 12/15/21 (d)(e)

      718        812,704   

Grifols Worldwide Operations Ltd.,
5.25%, 4/01/22 (e)

      314        327,345   

Jaguar Holding Co. II/Pharmaceutical Product Development LLC,
6.38%, 8/01/23 (d)(e)

      1,166        1,236,893   
Corporate Bonds          Par
(000)
    Value  

Pharmaceuticals (continued)

  

NBTY, Inc., 7.63%, 5/15/21 (d)

    USD        662      $ 675,240   

Synlab Bondco PLC, 6.25%, 7/01/22

    EUR        145        172,647   

Synlab Unsecured Bondco PLC,
8.25%, 7/01/23

      100        115,937   

Valeant Pharmaceuticals International, Inc. (d):

  

 

6.75%, 8/15/18

    USD        1,517        1,498,037   

5.38%, 3/15/20

      161        143,592   

6.75%, 8/15/21

      1,276        1,145,210   

5.63%, 12/01/21

      932        795,695   

5.88%, 5/15/23

      82        68,265   
     

 

 

 
                      8,073,046   

Real Estate Investment Trusts (REITs) — 0.0%

  

 

Hilton Worldwide Finance LLC/Hilton Worldwide Finance Corp.,
5.63%, 10/15/21 (e)

            295        305,706   

Real Estate Management & Development — 3.2%

  

 

Caifu Holdings Ltd., 8.75%, 1/24/20

      3,000        3,187,500   

Lai Sun International Finance 2012 Ltd.,
5.70%, 1/18/18

      2,000        2,070,100   

Northwest Florida Timber Finance LLC, 4.75%, 3/04/29 (d)(e)

      4,360        3,926,564   

Punch Taverns Finance B Ltd.:

     

7.37%, 9/30/21

    GBP        2,479        3,263,609   

Series A6, 5.94%, 9/30/22

      6,446        7,922,709   

Series A7, 5.27%, 3/30/24

      127        145,950   

Realogy Group LLC/Realogy Co-Issuer Corp. (d):

  

 

4.50%, 4/15/19 (e)

    USD        205        212,687   

5.25%, 12/01/21 (e)

      1,022        1,067,990   

4.88%, 6/01/23

      1,259        1,277,885   

Vingroup JSC, 11.63%, 5/07/18

      250        267,500   
     

 

 

 
                      23,342,494   

Road & Rail — 0.9%

  

 

Avis Budget Car Rental LLC/Avis Budget Finance, Inc. (d):

     

5.13%, 6/01/22 (e)

      375        367,969   

6.38%, 4/01/24

      30        30,525   

5.25%, 3/15/25 (e)

      725        683,312   

Herc Rentals, Inc. (d):

     

7.50%, 6/01/22

      106        107,325   

7.75%, 6/01/24

      10        10,100   

Hertz Corp. (e):

     

4.25%, 4/01/18

      400        412,000   

7.38%, 1/15/21

      265        274,938   
 

 

 

                
14    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Corporate Bonds          Par
(000)
    Value  

Road & Rail (continued)

  

 

Lima Metro Line 2 Finance Ltd.,
5.88%, 7/05/34 (d)(e)

    USD        4,000      $ 4,365,000   
     

 

 

 
                      6,251,169   

Semiconductors & Semiconductor Equipment — 0.4%

  

 

NXP BV/NXP Funding LLC (d):

     

4.13%, 6/15/20 (e)

      760        782,800   

4.13%, 6/01/21

      203        209,090   

4.63%, 6/15/22 (e)

      410        421,275   

4.63%, 6/01/23

      224        231,981   

ON Semiconductor Corp., Series B, 2.63%, 12/15/26 (l)

      280        299,425   

Sensata Technologies BV, 5.00%, 10/01/25 (d)

      15        15,375   

Sensata Technologies UK Financing Co. PLC, 6.25%, 2/15/26 (d)(e)

      540        583,875   
     

 

 

 
                      2,543,821   

Software — 0.7%

     

ACI Worldwide, Inc., 6.38%, 8/15/20 (d)(e)

      580        598,125   

Infinity Acquisition LLC/Infinity Acquisition Finance Corp., 7.25%, 8/01/22 (d)

      51        44,880   

Infor US, Inc., 6.50%, 5/15/22 (e)

      1,505        1,489,950   

Informatica LLC, 7.13%, 7/15/23 (d)(e)

      521        513,185   

Nuance Communications, Inc. (d):

     

5.38%, 8/15/20 (e)

      115        117,875   

6.00%, 7/01/24

      220        227,700   

PTC, Inc., 6.00%, 5/15/24

      119        126,640   

Rolta Americas LLC, 8.88%, 7/24/19 (a)(m)

      200        22,000   

Solera LLC/Solera Finance, Inc.,
10.50%, 3/01/24 (d)(e)

      923        996,268   

SS&C Technologies Holdings, Inc., 5.88%, 7/15/23 (e)

      505        523,937   
     

 

 

 
                      4,660,560   

Specialty Retail — 0.4%

     

Asbury Automotive Group, Inc., 6.00%, 12/15/24 (e)

      740        758,870   

L Brands, Inc., 6.88%, 11/01/35 (e)

      479        507,979   

Michaels Stores, Inc., 5.88%, 12/15/20 (d)(e)

      150        155,813   

Penske Automotive Group, Inc.:

     

5.38%, 12/01/24 (e)

      613        609,935   
Corporate Bonds          Par
(000)
    Value  

Specialty Retail (continued)

     

Penske Automotive Group, Inc. (continued):

     

5.50%, 5/15/26

    USD        212      $ 209,350   

Sally Holdings LLC/Sally Capital, Inc.,
5.75%, 6/01/22 (e)

      427        445,147   

THOM Europe SAS, 7.38%, 7/15/19

    EUR        103        121,154   
     

 

 

 
                      2,808,248   

Technology Hardware, Storage & Peripherals — 0.3%

  

Diamond 1 Finance Corp./Diamond 2 Finance Corp. (d):

     

4.42%, 6/15/21

    USD        145        151,516   

5.88%, 6/15/21

      232        242,439   

7.13%, 6/15/24

      282        303,424   

6.02%, 6/15/26

      170        182,124   

8.35%, 7/15/46

      150        171,300   

Pacific Emerald Property Ltd., 9.75%, 7/25/18

      271        282,816   

Western Digital Corp., 7.38%, 4/01/23 (d)

      495        538,931   
     

 

 

 
                      1,872,550   

Textiles, Apparel & Luxury Goods — 0.0%

     

BiSoho SAS, 5.88%, 5/01/23

    EUR        100        115,983   

Hanesbrands, Inc. (d):

     

4.63%, 5/15/24

    USD        59        60,475   

4.88%, 5/15/26

      40        40,900   

Springs Industries, Inc., 6.25%, 6/01/21

      59        61,065   
     

 

 

 
                      278,423   

Thrifts & Mortgage Finance — 0.1%

     

Radian Group, Inc., 5.25%, 6/15/20 (e)

            550        570,625   

Tobacco — 0.1%

     

Reynolds American, Inc., 5.85%, 8/15/45 (e)

            465        611,516   

Trading Companies & Distributors — 0.4%

     

Doric Nimrod Air Alpha Ltd. Pass-Through Trust (d):

  

 

Series 2012-1, Class B, 6.50%, 5/30/21

      424        436,224   

Series 2013-1, Class A, 5.25%, 5/30/25 (e)

      2,326        2,427,681   
     

 

 

 
                      2,863,905   

Transportation Infrastructure — 0.1%

     

CEVA Group PLC, 7.00%, 3/01/21 (d)

      510        427,125   
 

 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    15


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Corporate Bonds          Par
(000)
    Value  

Transportation Infrastructure (continued)

     

Transurban Finance Co., 4.13%, 2/02/26 (d)(e)

    USD        520      $ 559,123   
     

 

 

 
                      986,248   

Utilities — 0.1%

     

ContourGlobal Power Holdings SA, 5.13%, 6/15/21

    EUR        100        114,791   

Generacion Mediterranea SA/Generacion Frias SA/Central Termica Roca SA, 9.63%, 7/27/23 (d)

    USD        382        379,135   
     

 

 

 
                      493,926   

Wireless Telecommunication Services — 2.2%

  

 

Communications Sales & Leasing, Inc./CSL Capital LLC:

     

6.00%, 4/15/23 (d)

      77        79,455   

8.25%, 10/15/23

      719        734,279   

Digicel Ltd., 6.00%, 4/15/21 (d)(e)

      5,000        4,643,750   

GEO Group, Inc.:

     

5.13%, 4/01/23 (e)

      440        441,100   

6.00%, 4/15/26

      71        72,864   

SBA Communications Corp., 5.63%, 10/01/19

      232        239,540   

Softbank Corp., 4.50%, 4/15/20 (d)(e)

      1,500        1,556,250   

Sprint Capital Corp.:

     

6.90%, 5/01/19

      155        153,256   

6.88%, 11/15/28 (e)

      1,395        1,196,212   

Sprint Communications, Inc.:

     

9.00%, 11/15/18 (d)(e)

      2,191        2,374,496   

7.00%, 8/15/20

      510        484,398   

Sprint Corp.:

     

7.25%, 9/15/21

      115        107,310   

7.88%, 9/15/23

      115        105,656   

7.13%, 6/15/24

      310        273,978   

7.63%, 2/15/25

      45        40,163   

T-Mobile USA, Inc.:

     

6.63%, 4/28/21 (e)

      250        262,812   

6.73%, 4/28/22 (e)

      945        989,887   

6.00%, 3/01/23

      40        42,290   

6.84%, 4/28/23 (e)

      610        651,175   

6.50%, 1/15/24 (e)

      440        470,800   

6.50%, 1/15/26 (e)

      553        598,899   
Corporate Bonds          Par
(000)
    Value  

Wireless Telecommunication Services (continued)

  

 

Wind Acquisition Finance SA, 4.00%, 7/15/20

    EUR        100      $ 112,080   
     

 

 

 
                      15,630,650   
Total Corporate Bonds — 53.7%                     386,600,394   
     
                         
Floating Rate Loan Interests (c)                     

Air Freight & Logistics — 0.0%

     

CEVA Group PLC, Synthetic LC, 6.50%, 3/19/21

    USD        34        28,133   

CEVA Intercompany BV, Dutch Term Loan, 6.50%, 3/19/21

      35        29,000   

CEVA Logistics Canada ULC, Canadian Term Loan, 6.50%, 3/19/21

      6        5,000   

CEVA Logistics US Holdings, Inc., Term Loan, 6.50%, 3/19/21

      48        39,999   
     

 

 

 
                      102,132   

Auto Components — 0.1%

     

Gates Global, Inc., Term Loan B, 4.25%, 7/06/21

            621        607,395   

Chemicals — 0.0%

     

Allnex (Luxembourg) & Cy SCA, Term Loan B1, 4.50%, 10/03/19

      86        85,952   

Allnex USA, Inc., Term Loan B2, 4.50%, 10/03/19

      45        44,596   

Chemours Co., Term Loan B, 3.75%, 5/12/22

      27        26,203   

MacDermid, Inc., Term Loan B3, 5.50%, 6/07/20

      184        183,422   
     

 

 

 
                      340,173   

Commercial Services & Supplies — 0.1%

     

ADS Waste Holdings, Inc., Term Loan B2,
3.75%, 10/09/19

      359        358,129   

Brand Energy & Infrastructure Services, Inc., Term Loan B, 4.75%, 11/26/20

      208        205,740   
     

 

 

 
                      563,869   

Diversified Consumer Services — 0.2%

     

AssuredPartners, Inc., 2015 1st Lien Term Loan, 5.75%, 10/21/22

      194        193,906   

Bright Horizons Family Solutions, Inc., Term Loan B, 3.75%, 1/30/20

      483        484,010   
 

 

 

                
16    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Floating Rate Loan Interests (c)          Par
(000)
    Value  

Diversified Consumer Services (continued)

     

Laureate Education, Inc., Term Loan B,
5.00%, 6/15/18

    USD        478      $ 468,147   
     

 

 

 
                      1,146,063   

Diversified Financial Services — 0.6%

     

Aviron Capital LLC, Term Loan, 15.00%, 10/20/16

      11,194        4,309,728   

Reynolds Group Holdings Inc., 2016 USD Term Loan, 4.25%, 2/01/23

      148        147,719   
     

 

 

 
                      4,457,447   

Diversified Telecommunication Services — 0.0%

  

 

Telenet International Finance Sarl, Term Loan AD, 4.25%, 6/30/24

            213        213,533   

Electrical Equipment — 0.1%

  

Texas Competitive Electric Holdings Co. LLC:

     

2016 DIP Term Loan B, 5.00%, 10/31/17

      591        592,247   

2016 DIP Term Loan C, 5.00%, 7/27/23

      129        128,794   
     

 

 

 
                      721,041   

Electronic Equipment, Instruments & Components — 0.0%

  

CDW LLC, Term Loan, 3.25%, 4/29/20

            290        290,778   

Energy Equipment & Services — 0.1%

  

Dynegy Holdings, Inc., Term Loan B2, 4.00%, 4/23/20

      561        559,689   

Weatherford International Ltd., Term Loan, 2.78%, 7/13/20

      397        367,173   
     

 

 

 
                      926,862   

Health Care Equipment & Supplies — 0.1%

  

Alere, Inc., 2015 Term Loan B, 4.50%, 6/18/22

      161        158,400   

DJO Finance LLC, 2015 Term Loan, 4.25%, 6/08/20

      279        271,815   

Immucor, Inc., Refinancing Term Loan B2, 5.00%, 8/17/18

      269        259,879   
     

 

 

 
                      690,094   

Health Care Providers & Services — 0.0%

  

Vizient, Inc., 1st Lien Term Loan, 6.25%, 2/13/23

            128        129,762   

Hotels, Restaurants & Leisure — 3.4%

  

Amaya Holdings BV, 1st Lien Term Loan, 5.00%, 8/01/21

      314        310,348   
Floating Rate Loan Interests (c)          Par
(000)
    Value  

Hotels, Restaurants & Leisure (continued)

  

Caesars Entertainment Resort Properties LLC, Term Loan B, 7.00%, 10/11/20

    USD        2,854      $ 2,784,168   

Hilton Ft. Lauderdale, Mezzanine Term Loan 5, 6.48%, 6/08/20

      6,500        6,435,000   

Hilton Los Cabos, B-Note, 8.44%, 3/11/21

      5,375        5,267,500   

Hilton Orlando, Mezzanine A3, 6.69%, 4/23/20

      7,250        7,250,000   

MPH Acquisition Holdings LLC, 2016 Term Loan B, 5.00%, 6/07/23

      360        363,600   

Scientific Games International, Inc., 2014 Term Loan B1, 6.00%, 10/18/20

      260        259,343   

Starwood Schulte, Mezzanine Term Loan, 8.29%, 6/30/17

      2,000        1,930,000   
     

 

 

 
                      24,599,959   

Insurance — 0.6%

  

Alliant Holdings I, Inc., Incremental Term Loan B2, 5.00%, 8/12/22

      277        277,000   

Dallas Design District, Mezzanine Term Loan, 7.14%, 11/09/16

      4,000        3,900,000   

Sedgwick Claims Management Services, Inc., 1st Lien Term Loan, 3.75%, 3/01/21

      473        464,655   
     

 

 

 
                      4,641,655   

IT Services — 0.1%

  

First Data Corp., 2021 Extended Term Loan, 4.49%, 3/24/21

      361        362,208   

WEX Inc., Term Loan B, 4.25%, 7/01/23

      158        158,839   
     

 

 

 
                      521,047   

Machinery — 0.1%

  

Silver II US Holdings LLC, Term Loan, 4.00%, 12/13/19

            557        518,280   

Media — 0.3%

  

Clear Channel Communications, Inc., Term Loan D, 7.25%, 1/30/19

      1,169        899,955   

Intelsat Jackson Holdings SA, Term Loan B2, 3.75%, 6/30/19

      962        910,978   
     

 

 

 
                      1,810,933   

Metals & Mining — 0.1%

  

FMG Resources August 2006 Property Ltd., Term Loan B, 4.25%, 6/30/19

            529        518,288   
 

 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    17


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Floating Rate Loan Interests (c)          Par
(000)
    Value  

Oil, Gas & Consumable Fuels — 0.0%

  

California Resources Corp., Term Loan A, 1.00%, 10/01/19

    USD        166      $ 152,945   

MEG Energy Corp., Refinancing Term Loan, 3.75%, 3/31/20

      97        87,831   
     

 

 

 
                      240,776   

Pharmaceuticals — 0.2%

  

DPx Holdings BV, 2014 Incremental Term Loan, 4.25%, 3/11/21

      319        317,751   

Jaguar Holding Co. II, 2015 Term Loan B, 4.25%, 8/18/22

      726        725,788   

NBTY, Inc., Term Loan B, 5.00%, 5/05/23

      177        176,115   

Valeant Pharmaceuticals International, Inc.:

     

Series A3 Tranche A, 3.75%, 10/20/18

      106        104,252   

Series C2 Term Loan B, 4.75%, 12/11/19

      40        39,797   

Series E Term Loan B, 4.75%, 8/05/20

      302        298,016   

Series F1 Term Loan B, 5.00%, 4/01/22

      86        85,573   
     

 

 

 
                      1,747,292   

Professional Services — 0.1%

     

Advantage Sales & Marketing, Inc.:

     

2014 1st Lien Term Loan, 4.25%, 7/23/21

      299        297,581   

2014 2nd Lien Term Loan, 7.50%, 7/25/22

      159        148,281   
     

 

 

 
                      445,862   

Real Estate Management & Development — 0.1%

  

 

Realogy Corp., 2016 Term Loan B, 3.75%, 7/20/22

            533        535,424   

Semiconductors & Semiconductor Equipment — 0.1%

  

 

Avago Technologies Cayman Ltd., 2016 Term Loan B1, 4.25%, 2/01/23

      755        755,051   

Microsemi Corp., 2015 Term Loan B, 3.75%, 1/15/23

      50        50,326   
     

 

 

 
                      805,377   
Floating Rate Loan Interests (c)          Par
(000)
    Value  

Software — 0.1%

     

Solera Holdings, Inc., Term Loan B, 5.75%, 3/03/23

    USD        443      $ 446,212   

Textiles, Apparel & Luxury Goods — 0.0%

     

J. Crew Group, Inc., Term Loan B, 4.00%, 3/05/21

            134        95,218   
Total Floating Rate Loan Interests 6.5%                     47,115,472   
     
   
Foreign Agency Obligations                     

Argentina Bonar Bonds:

     

28.82%, 3/28/17 (c)

    ARS        5,911        398,884   

29.11%, 10/09/17 (c)

      4,234        291,604   

9.00%, 11/29/18

    USD        144        158,423   

Argentine Republic Government International Bond:

     

32.57%, 9/29/16 (c)

    ARS        777        51,803   

6.25%, 4/22/19 (d)(e)

    USD        3,101        3,287,060   

6.88%, 4/22/21 (d)(e)

      2,144        2,306,944   

7.50%, 4/22/26 (d)(e)

      3,437        3,732,582   

5.83%, 12/31/33 (c)

    ARS        54        24,202   

7.63%, 4/22/46 (d)(e)

    USD        2,767        2,946,855   

Brazilian Government International Bond:

     

7.13%, 1/20/37

      940        1,086,640   

5.00%, 1/27/45

      595        543,830   

Cyprus Government International Bond, 4.63%, 2/03/20 (d)

    EUR        2,950        3,519,140   

Development Bank of Mongolia LLC, 5.75%, 3/21/17

    USD        1,000        997,535   

Iceland Government International Bond, 5.88%, 5/11/22

      3,415        4,006,232   

Indonesia Government International Bond, 3.75%, 6/14/23 (d)

    EUR        241        279,223   

Mexican Udibonos, 3.50%, 12/14/17

    MXN        295        87,519   

Portugal Government International Bond, 5.13%, 10/15/24 (d)

    USD        5,430        5,517,760   

Slovenia Government International Bond, 5.85%, 5/10/23 (d)(e)

      766        896,220   

Sri Lanka Government International Bond, 5.88%, 7/25/22

      3,000        3,095,238   

Turkey Government Bond:

     

8.80%, 11/14/18

    TRY        2,780        924,511   

10.40%, 3/27/19

      2,085        718,508   

8.00%, 3/12/25

      1,390        423,172   

10.60%, 2/11/26

      2,780        991,976   
 

 

 

                
18    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Foreign Agency Obligations          Par
(000)
    Value  

Venezuela Government International Bond:

     

8.25%, 10/13/24

    USD        169      $ 73,304   

7.00%, 3/31/38

            312        127,530   
Total Foreign Agency Obligations 5.1%                     36,486,695   
     
   
Non-Agency Mortgage-Backed Securities                     

Collateralized Mortgage Obligations — 21.6%

  

American Home Mortgage Assets Trust,
Series 2006-5, Class A1, 1.37%, 11/25/46 (c)

      6,428        3,039,536   

CHL Mortgage Pass-Through Trust:

     

Series 2006-3, Class 1A1,
0.73%, 3/25/36 (c)

      13,275        10,520,988   

Series 2007-J2, Class 2A1, 1.14%, 7/25/37 (c)

      5,451        2,813,932   

Series 2007-J2, Class 2A8, 6.00%, 7/25/37

      3,010        2,340,912   

Citigroup Mortgage Loan Trust, Series 2006-AR7, Class 2A3A, 2.82%, 11/25/36 (c)

      8,028        6,709,914   

Countrywide Alternative Loan Trust:

     

Series 2005-61, Class 2A1, 0.77%, 12/25/35 (c)

      4,039        3,518,800   

Series 2005-9CB, Class 1A3, 0.94%, 5/25/35 (c)(e)

      4,839        3,933,344   

Series 2006-40T1, Class 2A5, 0.89%, 12/25/36 (c)

      2,908        908,488   

Series 2006-7CB, Class 2A1, 6.50%, 5/25/36

      3,595        2,574,695   

Series 2006-J7, Class 2A1, 2.19%, 11/20/36 (c)

      7,800        4,636,867   

Series 2006-J8, Class A5, 6.00%, 2/25/37

      2,415        1,701,294   

Series 2006-OA6, Class 1A1A, 0.70%, 7/25/46 (c)

      8,965        6,616,002   

Series 2006-OA8, Class 1A1, 0.68%, 7/25/46 (c)

      3,588        2,946,589   

Series 2006-OA14, Class 3A1, 1.30%, 11/25/46 (c)

      12,179        9,996,579   

Series 2006-OA16, Class A2, 0.68%, 10/25/46 (c)

      8,030        6,811,221   
Non-Agency Mortgage-Backed Securities          Par
(000)
    Value  

Collateralized Mortgage Obligations (continued)

  

Countrywide Alternative Loan Trust (continued):

  

 

Series 2006-OA18, Class A1, 0.61%, 12/25/46 (c)

    USD        4,877      $ 4,209,159   

Series 2006-OA22, Class A1, 0.65%, 2/25/47 (c)

      4,436        3,708,708   

Series 2007-12T1, Class A5, 6.00%, 6/25/37

      3,196        2,474,200   

Series 2007-12T1, Class A22, 5.75%, 6/25/37

      6,586        4,992,536   

Series 2007-22, Class 2A16, 6.50%, 9/25/37

      11,389        8,330,632   

Series 2007-4CB, Class 1A3, 0.84%, 4/25/37 (c)

      5,929        4,190,346   

Series 2007-23CB, Class A1, 6.00%, 9/25/37

      9,402        7,712,175   

Series 2007-OA2, Class 1A1, 1.29%, 3/25/47 (c)

      6,127        4,771,778   

Countrywide Home Loan Mortgage Pass-Through Trust, Series 2006-OA5, Class 3A1, 0.69%, 4/25/46 (c)

      10,642        9,351,271   

Fannie Mae Connecticut Avenue Securities, Class 1M2 (c):

     

Series 2014-C02, 3.09%, 5/25/24

      7,927        7,586,324   

Series 2014-C03, 3.49%, 7/25/24

      6,000        5,879,791   

Morgan Stanley Re-REMIC Trust, Series 2010-R5, Class 7B,
0.79%, 5/26/37 (c)(d)

      16,558        11,424,688   

Nomura Asset Acceptance Corp. Alternative Loan Trust, Series 2006-AF1, Class 1A2, 6.16%, 5/25/36 (c)

      9,360        4,259,215   

Residential Asset Securitization Trust, Series 2006-A8, Class 2A5, 1.09%, 8/25/36 (c)

      7,768        2,190,134   

WaMu Mortgage Pass-Through Certificates, Series 2007-OA4, Class 1A,
1.22%, 5/25/47 (c)

      5,750        4,793,587   
     

 

 

 
        154,943,705   

Commercial Mortgage-Backed Securities — 8.7%

  

 

Bank of America Merrill Lynch Commercial Mortgage Securities Trust,
Series 2013-DSMZ, Class M, 6.17%, 9/15/18 (c)(d)

      7,500        6,959,250   

CD Commercial Mortgage Trust,
Series 2007-CD5, Class C, 6.12%, 11/15/44 (c)

      3,372        3,421,929   
 

 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    19


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Non-Agency Mortgage-Backed Securities          Par
(000)
    Value  

Commercial Mortgage-Backed Securities (continued)

  

CDGJ Commercial Mortgage Trust, Series 2014-BXCH, Class EPA, 4.93%, 12/15/27 (c)(d)

    USD        5,000      $ 4,955,753   

CG-CCRE Commercial Mortgage Trust,
Series 2014-FL1 (c)(d):

     

Class D, 3.19%, 6/15/31

      3,000        2,973,946   

Class E, 5.09%, 6/15/31

      1,931        1,927,353   

Commercial Mortgage Pass-Through Certificates (c)(d):

     

Series 2013-LC13, Class D, 5.04%, 8/10/46

      2,650        2,417,448   

Series 2014-FL5, Class HFL1, 3.69%, 7/15/31

      6,057        5,608,705   

Series 2014-LC15, Class D, 4.94%, 4/10/47

      3,000        2,497,531   

Series 2014-PAT, Class E, 3.63%, 8/13/27

      1,000        984,315   

Series 2014-PAT, Class F, 2.92%, 8/13/27

      3,000        2,790,003   

Series 2014-PAT, Class G, 2.07%, 8/13/27

      2,000        1,979,280   

Credit Suisse First Boston Mortgage Securities Corp., Series 2005-C3, Class B, 4.88%, 7/15/37

      2,000        1,998,007   

GAHR Commercial Mortgage Trust, Series 2015-NRF, Class GFX, 3.38%, 12/15/34 (c)(d)

      2,500        2,304,334   

Goldman Sachs Mortgage Securities Trust,
Series 2014-GSFL (c)(d):

     

Class D, 4.38%, 7/15/31

      1,325        1,277,917   

Class E, 6.43%, 7/15/31

      1,000        991,302   

Great Wolf Trust, Series 2015-WFMZ, Class M, 7.47%, 5/15/32 (c)(d)

      3,300        3,298,837   

JPMorgan Chase Commercial Mortgage Securities Trust, Series 2014-DSTY, Class E,
3.80%, 6/10/27 (c)(d)

      5,000        4,638,856   

London & Regional Debt Securitisation No. 2 PLC, Series 2, Class A, 3.53%, 10/15/18 (c)

    GBP        1,290        1,696,447   

Madison Avenue Trust, Series 2013-650M, Class E, 4.03%, 10/12/32 (c)(d)

    USD        5,000        4,982,419   
Non-Agency Mortgage-Backed Securities          Par
(000)
    Value  

Commercial Mortgage-Backed Securities (continued)

  

New York Mortgage Securitization Trust, Series 2013-1, Class A, 5.70%, 8/27/24 (c)(d)

    USD        5,000      $ 5,037,500   
     

 

 

 
                      62,741,132   
Total Non-Agency Mortgage-Backed Securities — 30.3%        217,684,837   
     
                         
Preferred Securities                     
Capital Trusts                     

Banks — 5.5%

     

Banco Bilbao Vizcaya Argentaria SA (c)(j):

     

7.00%

      200        202,302   

8.88%

      200        232,824   

Banco Santander SA, 6.25% (c)(j)

      200        199,049   

Bank of Ireland, 7.38% (c)(j)

      200        216,892   

BNP Paribas SA, 7.20% (c)(d)(e)(j)

      4,000        4,429,500   

Capital One Financial Corp., Series E,
5.55% (c)(e)(j)

      3,500        3,549,875   

Citigroup, Inc. (c)(e)(j):

     

5.90% (e)

      2,250        2,309,062   

Series D, 5.95% (e)

      3,700        3,809,890   

Series R, 6.13% (e)

      1,170        1,216,543   

Cooperatieve Rabobank UA, 6.63% (c)(j)

      200        232,294   

Fifth Third Bancorp, Series J, 4.90% (c)(e)(j)

      3,000        2,770,650   

Intesa Sanpaolo SpA, 7.00% (c)(j)

      234        255,404   

JPMorgan Chase & Co. (c)(e)(j):

     

Series Q, 5.15%

      5,500        5,500,000   

Series V, 5.00%

      3,830        3,791,700   

Wells Fargo & Co. (c)(e)(j):

     

Series S, 5.90%

      8,800        9,383,000   

Series U, 5.88%

      1,240        1,365,550   
     

 

 

 
                      39,464,535   

Capital Markets — 1.2%

     

Goldman Sachs Group, Inc., Series L,
5.70% (c)(e)(j)

      1,287        1,306,305   

Morgan Stanley, Series H, 5.45% (c)(e)(j)

      5,007        4,919,378   
 

 

 

                
20    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Capital Trusts          Par
(000)
    Value  

Capital Markets (continued)

     

State Street Corp., Series F, 5.25% (c)(e)(j)

    USD        1,875      $ 1,968,750   

UBS Group AG, 5.75% (c)(j)

      200        230,867   
     

 

 

 
                      8,425,300   

Diversified Financial Services — 4.3%

     

Bank of America Corp. (c)(e)(j):

     

Series AA, 6.10% (e)

      2,865        2,995,443   

Series U, 5.20% (e)

      1,750        1,719,375   

Series V, 5.13% (e)

      705        689,138   

Series X, 6.25% (e)

      6,175        6,468,313   

Bank of New York Mellon Corp., Series D,
4.50% (c)(e)(j)

      6,067        5,947,783   

HBOS Capital Funding LP, 6.85% (j)

      100        100,750   

Macquarie Bank Ltd., 10.25%, 6/20/57 (c)

      10,000        10,575,440   

Societe Generale SA, 6.00% (c)(d)(e)(j)

      3,000        2,703,750   
     

 

 

 
                      31,199,992   

Diversified Telecommunication Services — 0.1%

  

Telefonica Europe BV, 4.20% (c)(j)

            300        341,689   

Electric Utilities — 1.0%

     

Electricite de France SA, 5.25% (c)(d)(e)(j)

      7,500        7,312,500   

Gas Natural Fenosa Finance BV, 4.13% (c)(j)

      100        113,792   
     

 

 

 
                      7,426,292   

Industrial Conglomerates — 0.9%

     

General Electric Co., 5.00% (c)(e)(j)

            5,921        6,379,877   

Insurance — 1.3%

     

Allstate Corp, 5.75%, 8/15/53 (c)(e)

      2,000        2,100,000   

Prudential Financial, Inc., 5.63%, 6/15/43 (c)(e)

      6,000        6,424,500   

Voya Financial, Inc., 5.65%,5/15/53 (c)(e)

      1,090        1,051,850   
     

 

 

 
                      9,576,350   

Oil, Gas & Consumable Fuels — 0.0%

  

Enel SpA, 6.50%, 1/10/74 (c)

      102        124,299   
Capital Trusts          Par
(000)
    Value  

Oil, Gas & Consumable Fuels (continued)

  

TOTAL SA, 3.88% (c)(j)

    USD        100      $ 117,055   
     

 

 

 
                      241,354   
Total Capital Trusts — 14.3%                     103,055,389   
     
   
Preferred Stocks          Shares         

Banks — 0.3%

  

 

Citigroup, Inc., Series K, 6.88% (c)(j)

            75,000        2,232,750   

Capital Markets — 2.0%

  

 

Goldman Sachs Group, Inc., Series J, 5.50% (c)(j)

      395,017        10,693,110   

Morgan Stanley, 6.88% (c)(j)

      100,000        2,950,000   

SCE Trust III, 5.75% (c)(j)

      23,730        718,307   
     

 

 

 
                      14,361,417   

Real Estate Investment Trusts (REITs) — 2.0%

  

 

Firstar Realty LLC, 8.88% (d)(j)

      10,000        12,450,000   

SunTrust Real Estate Investment Corp., 9.00% (d)(j)

      15        1,644,831   
     

 

 

 
                      14,094,831   
Total Preferred Stocks — 4.3%        30,688,998   
Total Preferred Securities 18.6%        133,744,387   
     
   
U.S. Treasury Obligations         

Par

(000)

        

U.S. Treasury Notes (e):

     

2.25%, 11/15/25

    USD        34,500        36,892,092   

1.63%, 2/15/26

            15,500        15,729,663   
Total U.S. Treasury Obligations - 7.3%        52,621,755   
Total Long-Term Investments
(Cost — $1,098,672,610) — 152.6%
        1,098,166,958   
     
   
Short-Term Securities — 5.1%          Shares         

BlackRock Liquidity Funds, TempFund, Institutional Class, 0.36% (n)(o)

            36,588,973        36,588,973   

Total Short-Term Securities

(Cost — $36,588,973) — 5.1%

  

  

    36,588,973   
 

 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    21


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

               Value  

Options Purchased

(Cost — $884,953) — 0.1%

  $ 364,338   

Total Investments Before Options Written

(Cost — $1,136,146,536) — 157.8%

    1,135,120,269   

Options Written

(Premiums Received — $530,775) — (0.0)%

    (50,393

Total Investments, Net of Options Written

(Cost — $1,135,615,761*) — 157.8%

    1,135,069,876   

Liabilities in Excess of Other Assets(57.8)%

    (415,539,016
     

 

 

 

Net Assets100.0%

  $ 719,530,860   
     

 

 

 
*   As of July 31, 2016, gross unrealized appreciation and depreciation based on cost for federal income tax purposes were as follows:

 

Tax cost

   $ 1,127,938,356   
  

 

 

 

Gross unrealized appreciation

   $ 36,450,805   

Gross unrealized depreciation

     (29,319,285
  

 

 

 

Net unrealized appreciation

   $ 7,131,520   
  

 

 

 
 

 

Notes to Schedule of Investments

 

(a)   Non-income producing security.

 

(b)   Restricted security as to resale, excluding 144A securities. As of period end, the Trust held restricted securities with a current value of $561 and an original cost of $8,635, which was less than 0.01% of its net assets.

 

(c)   Variable rate security. Rate as of period end.

 

(d)   Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors.

 

(e)   All or a portion of security has been pledged as collateral in connection with outstanding reverse repurchase agreements.

 

(f)   Step-up bond that pays an initial coupon rate for the first period and then a higher coupon rate for the following periods. Rate as of period end.

 

(g)   Security is eligible to receive residual cash flows.

 

(h)   Amount is less than $500.

 

(i)   Payment-in-kind security which may pay interest/dividends in additional par/shares and/or in cash. Rates shown are the current rate and possible payment rates.

 

(j)   Perpetual security with no stated maturity date.

 

(k)   When-issued security.

 

(l)   Convertible security.

 

(m)   Issuer filed for bankruptcy and/or is in default of interest payments.

 

(n)   During the period ended July 31, 2016, investments in issuers considered to be affiliates of the Trust for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:

 

Affiliate      Shares Held
at October 31,
2015
       Net
Activity
       Shares Held
at July 31,
2016
       Value
at July 31,
2016
       Income  

BlackRock Liquidity Funds, TempFund, Institutional Class

       6,140,532           30,448,441           36,588,973         $ 36,588,973         $ 76,503   

 

(o)   Current yield as of period end.

 

Portfolio Abbreviations

 

ABS    Asset-Backed Security              
ADS    American Depositary Shares              

 

 

                
22    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

 

ABS    Asset-Backed Security
ADS    American Depositary Shares
ARS    Auction Rate Securities
ARS    Argentine Peso
AUD    Australian Dollar
BRL    Brazilian Real
CAD    Canadian Dollar
CHF    Swiss Franc
CLO    Collateralized Loan Obligation
CLP    Chilean Peso
CNY    Chinese Renminbi
COP    Certificates of Participation
CR    Custodian Receipt
DIP    Debtor-In-Possession
EUR    Euro
GBP    British Pound
ISDA    International Swaps and Derivatives Association, Inc.
JPY    Japanese Yen
JSC    Joint Stock Company
KRW    South Korean Won
LIBOR    London Interbank Offered Rate
MXN    Mexican Peso
MYR    Malaysian Ringgit
NOK    Norwegian Krone
OTC    Over-the-Counter
PIK    Payment-In-Kind.
PLN    Polish Zloty
Radian    Radian Guaranty, Inc.
REMIC    Real Estate Mortgage Investment Conduit
RUB    Russian Ruble
SEK    Swedish Krona
TRY    Turkish Lira
TWD    Taiwan Dollar
USD    U.S. Dollar
ZAR    South African Rand

 

 

For Trust compliance purposes, the Trust’s industry classifications refer to any one or more of the industry sub-classifications used by one or more widely recognized market indexes or rating group indexes, and/or as defined by the investment adviser. These definitions may not apply for purposes of this report, which may combine such industry subclassifications for reporting ease.

Reverse Repurchase Agreements

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
  Remaining
Contractual
Maturity of
the Agreements
 

UBS Ltd.

    0.80     6/03/15        Open      $ 158,000      $ 159,489      Corporate Bonds     Open/Demand 1 

UBS Ltd.

    0.85     6/03/15        Open        232,500        234,828      Corporate Bonds     Open/Demand 1 

UBS Ltd.

    0.70     11/10/15        Open        5,117,774        5,144,036      Foreign Agency Obligations     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        440,735        443,027      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        387,100        389,113      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        253,575        254,894      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        450,215        452,556      Corporate Bonds     Open/Demand 1 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    23


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (continued)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
  Remaining
Contractual
Maturity of
the Agreements
 

UBS Securities LLC

    0.80     12/09/15        Open      $ 486,675      $ 489,206      Corporate Bonds     Open/Demand 1

UBS Securities LLC

    0.80     12/09/15        Open        539,850        542,657      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        708,037        711,719      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        542,430        545,251      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        537,000        539,792      Corporate Bonds     Open/Demand 1

UBS Securities LLC

    0.80     12/09/15        Open        789,750        793,857      Corporate Bonds     Open/Demand 1

UBS Securities LLC

    0.80     12/09/15        Open        419,475        421,656      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        680,600        684,139      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        545,200        548,035      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        723,450        727,212      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        688,750        692,332      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        549,750        552,609      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        2,095,144        2,106,039      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        535,087        537,870      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     12/09/15        Open        642,950        646,293      Corporate Bonds     Open/Demand 1

UBS Securities LLC

    0.80     12/10/15        Open        1,504,800        1,512,491      Corporate Bonds     Open/Demand 1 

Barclays Bank PLC

    0.75     12/17/15        Open        3,504,644        3,521,218      Foreign Agency Obligations     Open/Demand 1 

Barclays Bank PLC

    0.80     12/17/15        Open        947,031        951,808      Corporate Bonds     Open/Demand 1

Barclays Bank PLC

    0.85     12/17/15        Open        1,387,625        1,395,062      Corporate Bonds     Open/Demand 1

Barclays Capital, Inc.

    0.60     12/17/15        Open        5,887,500        5,909,774      Capital Trusts     Open/Demand 1 

Barclays Capital, Inc.

    0.80     12/17/15        Open        975,550        980,471      Capital Trusts     Open/Demand 1

Barclays Capital, Inc.

    0.80     12/17/15        Open        1,988,437        1,998,468      Capital Trusts     Open/Demand 1

Barclays Capital, Inc.

    0.80     12/17/15        Open        230,313        231,474      Corporate Bonds     Open/Demand 1

Barclays Capital, Inc.

    0.80     12/17/15        Open        867,300        871,675      Corporate Bonds     Open/Demand 1

Barclays Capital, Inc.

    0.80     12/17/15        Open        702,406        705,951      Corporate Bonds     Open/Demand 1 

Barclays Capital, Inc.

    0.80     12/17/15        Open        644,875        648,130      Corporate Bonds     Open/Demand 1 

Barclays Capital, Inc.

    0.95     12/17/15        Open        3,224,398        3,243,713      Corporate Bonds     Open/Demand 1

Credit Suisse Securities (USA) LLC

    0.70     12/17/15        Open        814,036        817,629      Corporate Bonds     Open/Demand 1 

Credit Suisse Securities (USA) LLC

    1.10     12/17/15        Open        802,750        808,318      Corporate Bonds     Open/Demand 1 

Credit Suisse Securities (USA) LLC

    1.15     12/17/15        Open        577,212        581,398      Corporate Bonds     Open/Demand 1 

HSBC Securities (USA), Inc.

    0.65     12/17/15        Open        2,685,000        2,696,005      Capital Trusts     Open/Demand 1

HSBC Securities (USA), Inc.

    0.65     12/17/15        Open        3,456,000        3,470,165      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.64     12/17/15        Open        484,900        486,857      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.90     12/17/15        Open        202,125        203,272      Corporate Bonds     Open/Demand 1

RBC Capital Markets, LLC

    0.90     12/17/15        Open        388,220        390,423      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.90     12/17/15        Open        123,487        124,188      Corporate Bonds     Open/Demand 1

 

                
24    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (continued)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
    Remaining
Contractual
Maturity of
the Agreements
 

RBC Capital Markets, LLC

    0.95     12/17/15        Open      $ 376,875      $ 379,133        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    0.95     12/17/15        Open        737,200        741,616        Corporate Bonds        Open/Demand 1

RBC Capital Markets, LLC

    0.95     12/17/15        Open        1,973,420        1,985,241        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    0.95     12/17/15        Open        315,900        317,792        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    0.95     12/17/15        Open        233,250        234,647        Corporate Bonds        Open/Demand 1

RBC Capital Markets, LLC

    0.95     12/17/15        Open        179,877        180,955        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    0.95     12/17/15        Open        267,637        269,241        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    0.95     12/17/15        Open        275,200        276,849        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    0.95     12/17/15        Open        167,860        168,866        Corporate Bonds        Open/Demand 1

RBC Capital Markets, LLC

    0.95     12/17/15        Open        462,075        464,843        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    0.95     12/17/15        Open        448,800        451,488        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        622,500        626,425        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        152,220        153,180        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        767,350        772,189        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        267,138        268,822        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        1,178,000        1,185,428        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        492,900        496,008        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        398,475        400,988        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        378,200        380,585        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        492,800        495,907        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        241,425        242,947        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        138,400        139,273        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        192,625        193,840        Corporate Bonds        Open/Demand 1 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    25


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (continued)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
    Remaining
Contractual
Maturity of
the Agreements
 

RBC Capital Markets, LLC

    1.00     12/17/15        Open      $ 45,390      $ 45,676        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        45,337        45,623        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        193,590        194,811        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        103,500        104,153        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        323,900        325,942        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        124,000        124,782        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        120,080        120,837        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        245,700        247,249        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        80,250        80,756        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        270,100        271,803        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        194,375        195,601        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        78,500        78,995        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        373,500        375,855        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        243,000        244,532        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        88,400        88,957        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/17/15        Open        323,900        325,942        Corporate Bonds        Open/Demand 1

RBC Capital Markets, LLC

    1.05     12/17/15        Open        1,247,750        1,256,011        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.05     12/17/15        Open        133,200        134,082        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.05     12/17/15        Open        245,700        247,327        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.05     12/17/15        Open        64,080        64,504        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    0.95     12/18/15        Open        406,400        408,802        Corporate Bonds        Open/Demand 1 

RBC Capital Markets, LLC

    1.00     12/18/15        Open        1,050,000        1,056,621        Corporate Bonds        Open/Demand 1 

UBS Ltd.

    1.00     12/21/15        Open        1,464,000        1,473,069        Corporate Bonds        Open/Demand 1 

UBS Ltd.

    1.00     12/21/15        Open        9,175,000        9,231,834        Capital Trusts        Open/Demand 1 

UBS Securities LLC

    0.75     12/21/15        Open        7,068,750        7,101,590        Capital Trusts        Open/Demand 1 

 

                
26    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (continued)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
  Remaining
Contractual
Maturity of
the Agreements
 

UBS Securities LLC

    0.75     12/21/15        Open      $ 3,540,000      $ 3,556,446      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.75     12/21/15        Open        4,963,750        4,986,811      Capital Trusts     Open/Demand 1 

UBS Securities LLC

    0.75     12/21/15        Open        5,125,000        5,148,810      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.75     12/21/15        Open        8,206,000        8,244,124      Capital Trusts     Open/Demand 1

UBS Securities LLC

    1.00     12/21/15        Open        2,385,000        2,399,774      Foreign Agency Obligations     Open/Demand 1 

UBS Securities LLC

    1.00     12/21/15        Open        3,062,500        3,081,470      Capital Trusts     Open/Demand 1 

UBS Securities LLC

    1.00     12/21/15        Open        3,135,750        3,155,174      Capital Trusts     Open/Demand 1 

UBS Securities LLC

    1.00     12/21/15        Open        4,071,000        4,096,218      Capital Trusts     Open/Demand 1 

UBS Securities LLC

    1.00     12/21/15        Open        3,812,500        3,836,116      Corporate Bonds     Open/Demand 1

RBC Capital Markets, LLC

    0.65     12/22/15        Open        52,981        53,194      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     12/23/15        Open        507,642        510,616      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     12/28/15        Open        1,042,335        1,048,618      Corporate Bonds     Open/Demand 1 

RBC Capital Markets LLC

    1.00     1/07/16        Open        469,040        471,737      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     1/14/16        Open        57,000        57,315      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     1/14/16        Open        125,000        125,691      Corporate Bonds     Open/Demand 1

Deutsche Bank Securities, Inc.

    0.40     1/15/16        Open        35,276,250        35,354,250      U.S. Treasury Obligations     Open/Demand 1 

UBS Securities LLC

    0.60     1/21/16        Open        1,587,375        1,592,481      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     1/22/16        Open        386,975        389,007      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.90     1/26/16        Open        88,075        88,489      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     1/26/16        Open        845,975        850,393      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     2/04/16        Open        271,440        272,715      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     2/09/16        Open        978,412        983,141      Capital Trusts     Open/Demand 1

Deutsche Bank Securities, Inc.

    1.00     2/10/16        Open        416,000        417,999      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     2/10/16        Open        178,000        178,855      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     2/10/16        Open        640,000        643,076      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     2/10/16        Open        496,000        498,384      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     2/10/16        Open        291,000        292,398      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     2/10/16        Open        1,034,426        1,039,397      Capital Trusts     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     2/11/16        Open        1,461,480        1,468,422      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     2/12/16        Open        773,000        776,672      Capital Trusts     Open/Demand 1

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    27


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (continued)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
 

Remaining

Contractual

Maturity of

the Agreements

 

UBS Securities LLC

    1.00     2/16/16        Open      $ 1,049,510      $ 1,054,349      Capital Trusts     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     2/17/16        Open        203,000        203,936      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     2/26/16        Open        404,000        405,762      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     3/01/16        Open        3,795,000        3,811,129      Capital Trusts     Open/Demand 1 

UBS Securities LLC

    1.00     3/01/16        Open        2,287,500        2,297,222      Capital Trusts     Open/Demand 1 

RBC Capital Markets, LLC

    0.64     3/02/16        Open        2,187,000        2,192,910      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.64     3/02/16        Open        1,389,760        1,393,515      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     3/02/16        Open        717,200        720,228      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.10     3/02/16        Open        602,062        604,859      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     3/10/16        Open        325,000        326,291      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     3/16/16        Open        303,030        304,126      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     3/17/16        Open        713,000        715,634      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     3/17/16        Open        474,267        476,020      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    0.80     3/22/16        Open        5,161,000        5,176,139      Capital Trusts     Open/Demand 1 

HSBC Securities (USA), Inc.

    0.95     3/22/16        Open        908,000        911,163      Corporate Bonds     Open/Demand 1 

HSBC Securities (USA), Inc.

    0.95     3/22/16        Open        1,178,000        1,182,103      Corporate Bonds     Open/Demand 1

RBC Capital Markets, LLC

    0.64     3/22/16        Open        1,219,200        1,222,061      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.64     3/22/16        Open        534,750        536,005      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.75     3/22/16        Open        278,225        278,990      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.75     3/22/16        Open        242,222        242,889      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     3/22/16        Open        701,250        703,821      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     3/22/16        Open        732,000        734,684      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     3/23/16        Open        321,000        322,168      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     3/30/16        Open        395,000        396,339      Corporate Bonds     Open/Demand 1

RBC Capital Markets, LLC

    1.00     3/30/16        Open        463,138        464,707      Corporate Bonds     Open/Demand 1 

 

                
28    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (continued)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
  Remaining
Contractual
Maturity of
the Agreements
 

RBC Capital Markets, LLC

    1.00     3/30/16        Open      $ 919,538      $ 922,654      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     3/30/16        Open        2,133,500        2,140,730      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     4/05/16        Open        1,790,320        1,796,188      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.64     4/06/16        Open        38,100        38,179      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.75     4/06/16        Open        131,610        131,928      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.75     4/06/16        Open        709,700        711,415      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.75     4/06/16        Open        128,173        128,482      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.75     4/06/16        Open        138,600        138,935      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.75     4/06/16        Open        145,618        145,969      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     4/06/16        Open        511,010        512,574      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.10     4/06/16        Open        45,600        45,762      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.10     4/06/16        Open        633,810        636,057      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.75     4/07/16        Open        150,120        150,470      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     4/07/16        Open        135,450        135,883      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     4/08/16        Open        1,315,843        1,319,900      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     4/13/16        Open        465,750        467,090      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     4/13/16        Open        499,495        500,932      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     4/13/16        Open        628,350        630,253      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     4/13/16        Open        483,000        484,462      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     4/13/16        Open        608,000        609,841      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     4/13/16        Open        909,150        911,903      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     4/13/16        Open        412,610        413,859      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.10     4/13/16        Open        402,675        404,016      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.10     4/13/16        Open        483,840        485,451      Corporate Bonds     Open/Demand 1 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    29


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (continued)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
  Remaining
Contractual
Maturity of
the Agreements
 

RBC Capital Markets, LLC

    1.10     4/13/16        Open      $ 696,143      $ 698,461      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.10     4/13/16        Open        490,245        491,878      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     4/20/16        Open        217,120        217,729      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.05     4/21/16        Open        544,000        545,603      Capital Trusts     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.05     4/21/16        Open        1,409,000        1,413,151      Capital Trusts     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.05     4/21/16        Open        1,953,000        1,958,753      Capital Trusts     Open/Demand 1 

RBC Capital Markets, LLC

    0.75     4/21/16        Open        494,000        495,039      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     4/21/16        Open        381,700        382,717      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     4/21/16        Open        347,600        348,526      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     4/21/16        Open        288,000        288,768      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     4/21/16        Open        354,900        355,846      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     4/21/16        Open        361,008        361,970      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     4/21/16        Open        77,225        77,444      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     4/21/16        Open        884,948        887,430      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     4/21/16        Open        480,375        481,723      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.10     4/21/16        Open        899,020        901,794      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.10     4/21/16        Open        697,150        699,301      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.10     4/21/16        Open        280,688        281,554      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     4/21/16        Open        2,310,400        2,316,882      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     4/21/16        Open        3,477,100        3,486,855      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     4/22/16        Open        311,500        312,297      Corporate Bonds     Open/Demand 1 

Barclays Capital, Inc.

    0.80     4/26/16        Open        310,531        311,187      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.90     4/27/16        Open        858,572        860,590      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     4/28/16        Open        586,704        588,187      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     4/29/16        Open        157,007        157,400      Corporate Bonds     Open/Demand 1 

 

                
30    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (continued)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
  Remaining
Contractual
Maturity of
the Agreements
 

RBC Capital Markets, LLC

    0.25     4/29/16        Open      $ 499,392      $ 499,704      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     4/29/16        Open        915,800        918,090      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/02/16        Open        464,800        465,949      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.10     5/02/16        Open        809,100        811,300      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.05     5/04/16        Open        665,824        667,513      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/04/16        Open        524,450        525,717      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/04/16        Open        120,085        120,375      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.05     5/04/16        Open        784,550        786,541      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     5/04/16        Open        690,858        692,566      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/05/16        Open        2,150,955        2,155,974      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/05/16        Open        638,000        639,489      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/05/16        Open        1,060,125        1,062,599      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/05/16        Open        451,000        452,052      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/05/16        Open        142,375        142,707      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    0.80     5/05/16        Open        891,000        892,663      Corporate Bonds     Open/Demand 1 

BNP Paribas Securities Corp.

    0.10     5/06/16        Open        15,345,000        15,360,336      U.S. Treasury Obligations     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     5/06/16        Open        813,400        815,182      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     5/09/16        Open        412,000        412,938      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     5/09/16        Open        1,134,000        1,136,583      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.75     5/09/16        Open        425,685        426,412      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     5/09/16        Open        379,500        380,321      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     5/09/16        Open        211,185        211,642      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/09/16        Open        141,950        142,273      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/09/16        Open        246,325        246,886      Corporate Bonds     Open/Demand 1 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    31


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (continued)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
  Remaining
Contractual
Maturity of
the Agreements
 

RBC Capital Markets, LLC

    1.00     5/09/16        Open      $ 318,250      $ 318,975      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     5/09/16        Open        608,970        610,357      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     5/09/16        Open        287,525        288,180      Corporate Bonds     Open/Demand 1 

Barclays Capital, Inc.

    0.80     5/10/16        Open        659,120        660,306      Corporate Bonds     Open/Demand 1 

BNP Paribas Securities Corp.

    1.04     5/10/16        Open        1,177,000        1,179,754      Corporate Bonds     Open/Demand 1 

BNP Paribas Securities Corp.

    1.04     5/10/16        Open        1,149,000        1,151,689      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     5/10/16        Open        292,000        292,657      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     5/10/16        Open        1,025,000        1,027,306      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     5/10/16        Open        2,486,000        2,491,594      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     5/10/16        Open        851,000        852,915      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     5/10/16        Open        250,000        250,563      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     5/10/16        Open        728,000        729,638      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     5/10/16        Open        270,400        270,985      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     5/10/16        Open        452,880        453,848      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     5/10/16        Open        135,548        135,837      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     5/10/16        Open        562,238        563,439      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/10/16        Open        620,400        621,796      Corporate Bonds     Open/Demand 1

UBS Securities LLC

    1.00     5/10/16        Open        89,505        89,706      Corporate Bonds     Open/Demand 1

UBS Securities LLC

    1.00     5/10/16        Open        355,775        356,575      Corporate Bonds     Open/Demand 1 

Credit Suisse Securities (USA) LLC

    1.25     5/11/16        Open        1,766,120        1,771,149      Foreign Agency Obligations     Open/Demand 1 

Credit Suisse Securities (USA) LLC

    1.25     5/11/16        Open        390,930        392,043      Foreign Agency Obligations     Open/Demand 1 

Credit Suisse Securities (USA) LLC

    1.25     5/11/16        Open        2,175,554        2,181,748      Foreign Agency Obligations     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     5/11/16        Open        117,455        117,703      Corporate Bonds     Open/Demand 1 

Barclays Bank PLC

    0.65     5/12/16        Open        1,396,875        1,398,817      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     5/12/16        Open        401,625        402,484      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/13/16        Open        589,515        590,825      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.05     5/16/16        Open        2,612,000        2,617,790      Corporate Bonds     Open/Demand 1 

 

                
32    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (continued)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
  Remaining
Contractual
Maturity of
the Agreements
 

RBC Capital Markets, LLC

    1.00     5/16/16        Open      $ 1,747,655      $ 1,751,344      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/16/16        Open        885,625        887,495      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/16/16        Open        589,875        591,120      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/17/16        Open        595,875        597,100      Corporate Bonds     Open/Demand 1 

BNP Paribas Securities Corp.

    0.75     5/18/16        Open        8,200,000        8,212,642      Corporate Bonds     Open/Demand 1 

BNP Paribas Securities Corp.

    1.04     5/18/16        Open        1,560,000        1,563,335      Corporate Bonds     Open/Demand 1 

BNP Paribas Securities Corp.

    1.04     5/18/16        Open        816,000        817,744      Corporate Bonds     Open/Demand 1 

BNP Paribas Securities Corp.

    1.04     5/18/16        Open        633,000        634,353      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.64     5/19/16        Open        185,000        185,230      Corporate Bonds     Open/Demand 1 

BNP Paribas Securities Corp.

    1.04     5/20/16        Open        360,000        360,718      Corporate Bonds     Open/Demand 1 

Credit Suisse Securities (USA) LLC

    1.25     5/20/16        Open        2,839,821        2,846,625      Foreign Agency Obligations     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     5/23/16        Open        343,400        344,016      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/23/16        Open        949,701        951,547      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     5/23/16        Open        180,720        181,072      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.90     5/24/16        Open        215,000        215,360      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     5/24/16        Open        495,600        496,476      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.75     5/25/16        Open        2,763,354        2,767,269      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/25/16        Open        346,768        347,423      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     5/25/16        Open        371,900        372,582      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     5/26/16        Open        236,931        237,350      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     5/27/16        Open        433,733        434,467      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     5/31/16        Open        317,285        317,814      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     6/01/16        Open        354,750        355,302      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     6/02/16        Open        679,800        680,805      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     6/02/16        Open        208,896        209,205      Corporate Bonds     Open/Demand 1 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    33


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (continued)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
  Remaining
Contractual
Maturity of
the Agreements
 

RBC Capital Markets, LLC

    1.00     6/06/16        Open      $ 474,780      $ 475,492      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.90     6/07/16        Open        63,550        63,637      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.90     6/07/16        Open        478,800        479,434      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     6/07/16        Open        143,261        143,480      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     6/15/16        Open        106,000        106,133      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     6/21/16        Open        125,250        125,386      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     6/21/16        Open        4,822,606        4,827,831      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.05     6/29/16        Open        86,000        86,078      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     6/29/16        Open        170,150        170,301      Corporate Bonds     Open/Demand 1 

BNP Paribas Securities Corp.

    1.47     7/01/16        8/5/2016        824,000        824,907      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.47     7/01/16        8/5/2016        1,112,000        1,113,224      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.47     7/01/16        8/5/2016        1,060,000        1,061,167      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.47     7/01/16        8/5/2016        823,000        823,906      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.47     7/01/16        8/5/2016        816,000        816,898      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.47     7/01/16        8/5/2016        814,000        814,896      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        1,283,000        1,284,556      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        791,000        791,960      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        951,000        952,154      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        773,000        773,938      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        2,307,000        2,309,799      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        920,000        921,116      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        1,556,000        1,557,888      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        762,000        762,924      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        755,000        755,916      Asset-Backed Securities     Up to 30 Days   

 

                
34    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (continued)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
  Remaining
Contractual
Maturity of
the Agreements
 

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016      $ 734,000      $ 734,890      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        750,000        750,910      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        778,000        778,944      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        1,088,000        1,089,320      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        924,000        925,121      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        1,572,000        1,573,907      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        749,000        749,909      Asset-Backed Securities     Up to 30 Days   

BNP Paribas Securities Corp.

    1.62     7/01/16        8/5/2016        1,881,000        1,883,282      Asset-Backed Securities     Up to 30 Days   

Barclays Capital, Inc.

    1.97     7/05/16        8/5/2016        9,870,803        9,884,844          Up to 30 Days   

Deutsche Bank Securities, Inc.

    0.80     7/07/16        Open        813,000        813,434      Foreign Agency Obligations     Open/Demand 1 

Deutsche Bank Securities, Inc.

    0.80     7/07/16        Open        2,683,000        2,684,431      Capital Trusts     Open/Demand 1 

Deutsche Bank Securities, Inc.

    0.80     7/07/16        Open        2,512,000        2,513,340      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    0.80     7/07/16        Open        1,812,000        1,812,966      Capital Trusts     Open/Demand 1 

Deutsche Bank Securities, Inc.

    0.80     7/07/16        Open        1,890,000        1,891,008      Capital Trusts     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        556,000        556,371      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        2,283,000        2,284,522      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        729,000        729,486      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        4,614,000        4,617,076      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        2,835,000        2,836,890      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        3,137,000        3,139,091      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        2,528,000        2,529,685      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        1,489,000        1,489,993      Capital Trusts     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        310,000        310,207      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        1,168,000        1,168,779      Corporate Bonds     Open/Demand 1 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    35


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (continued)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
  Remaining
Contractual
Maturity of
the Agreements
 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open      $ 2,373,000      $ 2,374,582      Capital Trusts     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        2,638,000        2,639,759      Capital Trusts     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        1,811,000        1,812,207      Capital Trusts     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        189,000        189,126      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        2,368,000        2,369,579      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        591,000        591,394      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        265,000        265,177      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        313,000        313,209      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        355,000        355,237      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        137,000        137,091      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        234,000        234,156      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        1,412,000        1,412,941      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        587,000        587,391      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        1,127,000        1,127,751      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        719,000        719,479      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        265,000        265,177      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        89,000        89,059      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        99,000        99,066      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        849,000        849,566      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        373,000        373,249      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        290,000        290,193      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        191,000        191,127      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        300,000        300,200      Corporate Bonds     Open/Demand 1 

 

                
36    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (continued)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
  Remaining
Contractual
Maturity of
the Agreements
 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open      $ 124,000      $ 124,083      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.00     7/07/16        Open        1,704,000        1,705,136      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    (1.00 )%      7/07/16        Open        1,528,000        1,526,981      Capital Trusts     Open/Demand 1 

Deutsche Bank Securities, Inc.

    1.10     7/07/16        Open        2,766,000        2,768,028      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     7/07/16        Open        295,200        295,364      Corporate Bonds     Open/Demand 1 

Morgan Stanley & Co. LLC

    1.50     7/08/16        8/10/16        3,977,375        3,980,855      Asset-Backed Securities     Up to 30 Days   

RBC Capital Markets, LLC

    0.95     7/08/16        Open        181,770        181,866      Corporate Bonds     Open/Demand 1 

Barclays Capital, Inc.

    1.98     7/13/16        8/15/16        3,050,895        3,053,747      Non-Agency Mortgage-Backed Securities     Up to 30 Days   

RBC Capital Markets, LLC

    0.95     7/13/16        Open        128,296        128,354      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    (3.00 )%      7/14/16        Open        583,605        582,730      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     7/14/16        Open        57,600        57,622      Corporate Bonds     Open/Demand 1 

BNP Paribas Securities Corp.

    1.59     7/15/16        10/21/16        1,255,000        1,255,554      Asset-Backed Securities     Up to 30 Days   

RBC Capital Markets, LLC

    0.95     7/19/16        Open        342,336        342,453      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     7/20/16        Open        805,800        806,013      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     7/20/16        Open        1,449,250        1,449,653      Corporate Bonds     Open/Demand 1 

Deutsche Bank Securities, Inc.

    (0.25 )%      7/21/16        Open        150,675        150,665      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.75     7/21/16        Open        171,004        171,029      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    1.00     7/22/16        Open        305,100        305,151      Corporate Bonds     Open/Demand 1 

UBS Securities LLC

    1.00     7/22/16        Open        99,125        99,142      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.00     7/25/16        Open        912,135        912,135      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.75     7/25/16        Open        210,490        210,512      Corporate Bonds     Open/Demand 1 

RBC Capital Markets LLC

    0.75     7/27/16        Open        437,850        437,877      Corporate Bonds     Open/Demand 1 

RBC Capital Markets, LLC

    0.95     7/27/16        Open        260,820        260,841      Corporate Bonds     Open/Demand 1 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    37


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Reverse Repurchase Agreements (concluded)

 

Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
  Face Value     Face Value
Including
Accrued
Interest
    Type of
Underlying
Collateral
    Remaining
Contractual
Maturity of
the Agreements
 

J.P. Morgan Securities LLC

    1.84     7/28/16      8/26/16   $ 5,757,000      $ 5,757,885        Asset-Backed Securities        Up to 30 Days   

RBC Capital Markets, LLC

    0.75     7/28/16      Open     743,820        743,820        Corporate Bonds        Open/Demand1   

RBC Capital Markets, LLC

    0.95     7/28/16      Open     183,870        183,870        Corporate Bonds        Open/Demand1   

RBC Capital Markets, LLC

    0.75     7/29/16      Open     259,350        259,350        Corporate Bonds        Open/Demand1   

RBC Capital Markets, LLC

    0.95     7/29/16      Open     478,855        478,855        Corporate Bonds        Open/Demand1   

UBS Securities LLC

    1.00     7/29/16      Open     460,200        460,200        Corporate Bonds        Open/Demand1   
Total   $ 421,917,357      $ 423,126,377       
       

 

 

     

1    Certain agreements have no stated maturity and can be terminated by either party at any time.

 

 

Derivative Financial Instruments Outstanding as of Period End

Futures Contracts

 

Contracts Short   Issue      Expiration       

Notional

Value

      

Unrealized
Appreciation

(Depreciation)

 

(123)

  2-Year U.S. Treasury Note        September 2016           USD         26,937,000         $ (148,760

(8)

  5-Year U.S. Treasury Note        September 2016           USD         976,125           (7,940

(21)

  10-Year U.S. Treasury Note        September 2016           USD         2,793,985           3,448   

(3)

  EURO-BOBL Future        September 2016           EUR         401,010           (3,658

(5)

  Long U.S. Treasury Bond        September 2016           USD         872,188           (50,101
(1)   Ultra U.S. Treasury Bond        September 2016           USD         190,531           (12,595

Total

                    $ (219,606
                   

 

 

 

Forward Foreign Currency Exchange Contracts

 

Currency
Purchased
       Currency
Sold
    Counterparty   Settlement
Date
       Unrealized
Appreciation
(Depreciation)
 
COP        197,340,000         USD        63,827      Credit Suisse International     8/01/16         $ 453   
COP        2,512,951,261         USD        812,785      Credit Suisse International     8/01/16           5,766   
COP        2,707,601,802         USD        875,742      Credit Suisse International     8/01/16           6,213   
COP        951,437,500         USD        325,000      Credit Suisse International     8/01/16           (15,085
COP        961,350,000         USD        325,000      Credit Suisse International     8/01/16           (11,857
COP        1,919,450,000         USD        650,000      Standard Chartered Bank     8/01/16           (24,772
COP        1,347,248,000         USD        460,000      Standard Chartered Bank     8/01/16           (21,157
USD        65,000         COP        197,340,000      Credit Suisse International     8/01/16           720   
USD        880,049         COP        2,707,601,802      Credit Suisse International     8/01/16           (1,906

 

                
38    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Forward Foreign Currency Exchange Contracts (continued)

 

Currency
Purchased
       Currency
Sold
    Counterparty   Settlement
Date
       Unrealized
Appreciation
(Depreciation)
 
USD        814,951         COP        2,512,951,261      Credit Suisse International     8/01/16         $ (3,600
USD        307,731         COP        951,437,500      Credit Suisse International     8/01/16           (2,183
USD        310,937         COP        961,350,000      Credit Suisse International     8/01/16           (2,206
USD        620,824         COP        1,919,450,000      Standard Chartered Bank     8/01/16           (4,404
USD        435,752         COP        1,347,248,000      Standard Chartered Bank     8/01/16           (3,091
BRL        2,038,895         USD        608,989      Credit Suisse International     8/02/16           19,834   
BRL        707,182         USD        213,007      Goldman Sachs International     8/02/16           5,098   
BRL        893,289         USD        265,000      Goldman Sachs International     8/02/16           10,502   
BRL        2,245,209         USD        666,056      Goldman Sachs International     8/02/16           26,397   
BRL        859,925         USD        265,000      Morgan Stanley & Co. International PLC     8/02/16           213   
BRL        26,524,909         USD        8,159,000      Royal Bank of Scotland PLC     8/02/16           21,641   
BRL        30,693,939         USD        9,476,363      Royal Bank of Scotland PLC     8/02/16           (9,937
BRL        1,348,477         USD        416,325      Royal Bank of Scotland PLC     8/02/16           (437
BRL        1,340,682         USD        413,918      Standard Chartered Bank     8/02/16           (434
EUR        1,585,000         USD        1,765,436      Deutsche Bank AG     8/02/16           6,594   
USD        629,483         BRL        2,038,895      Credit Suisse International     8/02/16           660   
USD        218,334         BRL        707,182      Goldman Sachs International     8/02/16           229   
USD        693,180         BRL        2,245,209      Goldman Sachs International     8/02/16           727   
USD        275,791         BRL        893,289      Goldman Sachs International     8/02/16           289   
USD        265,491         BRL        859,925      Morgan Stanley & Co. International PLC     8/02/16           278   
USD        9,355,056         BRL        30,693,939      Royal Bank of Scotland PLC     8/02/16           (111,370
USD        410,996         BRL        1,348,477      Royal Bank of Scotland PLC     8/02/16           (4,893
USD        8,189,228         BRL        26,524,909      Royal Bank of Scotland PLC     8/02/16           8,587   
USD        411,000         BRL        1,340,682      Standard Chartered Bank     8/02/16           (2,484
USD        1,767,402         EUR        1,555,000      Citibank N.A.     8/02/16           28,911   
EUR        1,000,000         USD        1,109,996      Bank of America N.A.     8/03/16           8,046   
EUR        600,000         USD        665,605      Morgan Stanley & Co. International PLC     8/03/16           5,220   
USD        3,191,153         EUR        2,860,000      Morgan Stanley & Co. International PLC     8/03/16           (6,447
USD        17,588,713         EUR        15,830,000      Morgan Stanley & Co. International PLC     8/03/16           (109,890
USD        120,450         GBP        92,000      Credit Suisse International     8/03/16           (1,309
USD        17,344         GBP        13,000      Morgan Stanley & Co. International PLC     8/03/16           139   
USD        29,448,795         GBP        21,869,000      Royal Bank of Scotland PLC     8/03/16           505,928   
USD        1,953,917         GBP        1,451,000      Royal Bank of Scotland PLC     8/03/16           33,568   
USD        168,875         JPY        17,336,000      Bank of America N.A.     8/03/16           (1,033
USD        168,997         JPY        17,336,000      Barclays Bank PLC     8/03/16           (910
EUR        3,190,000         SEK        30,207,865      Deutsche Bank AG     8/04/16           36,156   
GBP        1,340,000         USD        1,765,490      Goldman Sachs International     8/04/16           7,975   
GBP        1,340,000         USD        1,759,637      Morgan Stanley & Co. International PLC     8/04/16           13,828   
GBP        1,340,000         USD        1,764,208      UBS AG     8/04/16           9,257   
NOK        29,528,210         USD        3,530,000      Standard Chartered Bank     8/04/16           (30,183

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    39


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Forward Foreign Currency Exchange Contracts (continued)

 

Currency
Purchased
       Currency
Sold
    Counterparty   Settlement
Date
       Unrealized
Appreciation
(Depreciation)
 
SEK        15,617,315         EUR        1,650,000      Morgan Stanley & Co. International PLC     8/04/16         $ (19,571
SEK        14,511,910         EUR        1,540,000      Royal Bank of Scotland PLC     8/04/16           (25,776
USD        1,780,940         GBP        1,340,000      BNP Paribas SA     8/04/16           7,476   
USD        1,780,940         GBP        1,340,000      BNP Paribas SA     8/04/16           7,476   
USD        1,778,193         GBP        1,340,000      BNP Paribas SA     8/04/16           4,729   
USD        7,040,000         NOK        60,261,921      Standard Chartered Bank     8/04/16           (102,515
TRY        1,265,816         USD        420,000      Credit Suisse International     8/05/16           3,319   
USD        308,000         TRY        931,867      Citibank N.A.     8/05/16           (3,639
USD        210,000         TRY        635,903      Deutsche Bank AG     8/05/16           (2,661
USD        112,000         TRY        338,908      Goldman Sachs International     8/05/16           (1,339
USD        210,000         TRY        635,404      Royal Bank of Scotland PLC     8/05/16           (2,494
CLP        89,876,250         USD        135,000      BNP Paribas SA     8/08/16           2,205   
CLP        89,876,250         USD        135,000      Royal Bank of Scotland PLC     8/08/16           2,205   
CLP        86,502,000         USD        130,000      Royal Bank of Scotland PLC     8/08/16           2,054   
CLP        135,495,745         USD        203,753      Standard Chartered Bank     8/08/16           3,095   
USD        603,753         CLP        400,710,866      Deutsche Bank AG     8/08/16           (7,974
USD        1,894,007         TRY        5,731,879      Goldman Sachs International     8/08/16           (21,542
USD        717,620         TRY        2,147,336      Royal Bank of Scotland PLC     8/08/16           (3
USD        516,373         TRY        1,546,505      Royal Bank of Scotland PLC     8/08/16           (456
USD        323,948         ZAR        4,803,717      Citibank N.A.     8/08/16           (21,689
USD        120,886         ZAR        1,791,531      Goldman Sachs International     8/08/16           (8,018
USD        166,388         ZAR        2,461,962      Morgan Stanley & Co. International PLC     8/08/16           (10,755
ZAR        3,062,094         USD        205,000      Goldman Sachs International     8/08/16           15,324   
ZAR        6,057,398         USD        406,222      Royal Bank of Scotland PLC     8/08/16           29,619   
JPY        16,014,948         USD        151,600      Goldman Sachs International     8/09/16           5,386   
JPY        4,958,494         USD        47,600      Royal Bank of Scotland PLC     8/09/16           1,006   
JPY        4,249,211         USD        40,798      UBS AG     8/09/16           855   
JPY        4,957,984         USD        47,603      Westpac Group     8/09/16           998   
USD        20,075         ARS        305,935      Royal Bank of Scotland PLC     8/09/16           (217
RUB        73,959,200         USD        1,120,000      Credit Suisse International     8/11/16           (1,824
EUR        483,883         USD        547,704      Royal Bank of Scotland PLC     8/12/16           (6,521
USD        670,000         CAD        879,436      Morgan Stanley & Co. International PLC     8/12/16           (3,615
USD        552,973         EUR        483,883      Royal Bank of Scotland PLC     8/12/16           11,790   
JPY        38,322,121         USD        368,000      JPMorgan Chase Bank N.A.     8/15/16           7,731   
RUB        45,609,000         USD        690,000      BNP Paribas SA     8/15/16           (1,152
RUB        46,669,000         USD        700,000      Deutsche Bank AG     8/15/16           4,857   
USD        528,706         GBP        400,000      UBS AG     8/15/16           (771
CAD        335,673         USD        255,750      Morgan Stanley & Co. International PLC     8/16/16           1,369   
EUR        142,800         RUB        10,391,556      Deutsche Bank AG     8/16/16           2,828   
EUR        239,792         USD        269,437      Citibank N.A.     8/16/16           (1,207
EUR        269,000         USD        304,955      Deutsche Bank AG     8/16/16           (4,054
EUR        172,800         USD        191,763      JPMorgan Chase Bank N.A.     8/16/16           1,529   

 

                
40    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Forward Foreign Currency Exchange Contracts (continued)

 

Currency
Purchased
       Currency
Sold
    Counterparty   Settlement
Date
       Unrealized
Appreciation
(Depreciation)
 
EUR        411,223         USD        455,961      Morgan Stanley & Co. International PLC     8/16/16         $ 4,029   
EUR        610,331         USD        676,749      Morgan Stanley & Co. International PLC     8/16/16           5,962   
EUR        493,250         USD        558,272      Royal Bank of Scotland PLC     8/16/16           (6,527
GBP        197,300         USD        264,372      Citibank N.A.     8/16/16           (3,203
GBP        78,014         USD        102,509      Citibank N.A.     8/16/16           760   
GBP        531,986         USD        698,144      Deutsche Bank AG     8/16/16           6,053   
GBP        97,522         USD        127,953      Goldman Sachs International     8/16/16           1,138   
GBP        177,085         USD        232,683      Goldman Sachs International     8/16/16           1,727   
GBP        40,000         USD        52,617      Morgan Stanley & Co. International PLC     8/16/16           332   
GBP        195,000         USD        256,106      Morgan Stanley & Co. International PLC     8/16/16           2,018   
GBP        97,522         USD        127,870      Royal Bank of Scotland PLC     8/16/16           1,221   
GBP        82,872         USD        108,740      Royal Bank of Scotland PLC     8/16/16           959   
JPY        140,020,026         USD        1,313,000      Royal Bank of Scotland PLC     8/16/16           59,882   
MXN        2,704,886         USD        144,963      Citibank N.A.     8/16/16           (915
MXN        4,326,010         USD        227,000      Deutsche Bank AG     8/16/16           3,381   
MXN        9,417,508         USD        502,137      Deutsche Bank AG     8/16/16           (609
MXN        4,181,982         USD        223,000      Royal Bank of Scotland PLC     8/16/16           (289
MYR        606,784         USD        152,000      JPMorgan Chase Bank N.A.     8/16/16           (1,511
PLN        2,974,178         USD        751,482      BNP Paribas SA     8/16/16           11,442   
PLN        2,852,683         USD        736,547      JPMorgan Chase Bank N.A.     8/16/16           (4,788
PLN        17,631         USD        4,434      Morgan Stanley & Co. International PLC     8/16/16           88   
PLN        4,934,087         USD        1,232,328      Royal Bank of Scotland PLC     8/16/16           33,344   
PLN        4,875,186         USD        1,218,263      State Street Bank And Trust Co.     8/16/16           32,300   
PLN        5,030,035         USD        1,298,074      State Street Bank And Trust Co.     8/16/16           (7,789
RUB        10,512,650         EUR        142,800      Deutsche Bank AG     8/16/16           (999
RUB        18,203,640         USD        273,000      Deutsche Bank AG     8/16/16           1,865   
TWD        9,659,600         USD        304,000      Standard Chartered Bank     8/16/16           (100
USD        85,250         CAD        111,085      Standard Chartered Bank     8/16/16           161   
USD        75,028         EUR        67,678      Goldman Sachs International     8/16/16           (676
USD        547,774         EUR        483,883      Royal Bank of Scotland PLC     8/16/16           6,507   
USD        1,079,274         EUR        953,876      Royal Bank of Scotland PLC     8/16/16           12,276   
USD        304,352         EUR        269,000      Royal Bank of Scotland PLC     8/16/16           3,451   
USD        190,518         EUR        172,800      Royal Bank of Scotland PLC     8/16/16           (2,775
USD        40,489         GBP        30,000      Barclays Bank PLC     8/16/16           777   
USD        324,190         GBP        240,000      BNP Paribas SA     8/16/16           6,499   
USD        324,202         GBP        240,000      BNP Paribas SA     8/16/16           6,510   
USD        261,773         GBP        197,300      Citibank N.A.     8/16/16           605   
USD        323,450         GBP        240,000      Deutsche Bank AG     8/16/16           5,758   
USD        331,126         GBP        245,000      JPMorgan Chase Bank N.A.     8/16/16           6,816   
USD        283,484         GBP        210,000      JPMorgan Chase Bank N.A.     8/16/16           5,504   
USD        128,338         GBP        95,000      Royal Bank of Scotland PLC     8/16/16           2,585   
USD        385,000         JPY        39,554,900      BNP Paribas SA     8/16/16           (2,832

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    41


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Forward Foreign Currency Exchange Contracts (continued)

 

Currency
Purchased
       Currency
Sold
    Counterparty   Settlement
Date
       Unrealized
Appreciation
(Depreciation)
 
USD        271,500         JPY        27,928,662      BNP Paribas SA     8/16/16         $ (2,338
USD        271,500         JPY        27,906,127      Goldman Sachs International     8/16/16           (2,117
USD        385,000         JPY        39,601,100      Morgan Stanley & Co. International PLC     8/16/16           (3,285
USD        194,800         KRW        224,347,264      Deutsche Bank AG     8/16/16           (6,827
USD        379,000         MXN        7,090,954      Citibank N.A.     8/16/16           1,373   
USD        92,556         MXN        1,717,841      Citibank N.A.     8/16/16           1,072   
USD        227,000         MXN        4,335,309      Citibank N.A.     8/16/16           (3,876
USD        92,237         MXN        1,711,942      Goldman Sachs International     8/16/16           1,068   
USD        230,000         MXN        4,268,938      Goldman Sachs International     8/16/16           2,658   
USD        185,100         MXN        3,470,666      Goldman Sachs International     8/16/16           270   
USD        88,055         MXN        1,634,214      Royal Bank of Scotland PLC     8/16/16           1,025   
USD        76,000         MXN        1,410,533      State Street Bank And Trust Co.     8/16/16           882   
USD        4,874,426         PLN        19,017,160      Royal Bank of Scotland PLC     8/16/16           (3,780
USD        429,923         PLN        1,666,638      State Street Bank And Trust Co.     8/16/16           2,403   
USD        273,000         RUB        17,799,600      JPMorgan Chase Bank N.A.     8/16/16           4,236   
USD        304,000         TWD        9,797,920      Deutsche Bank AG     8/16/16           (4,252
USD        11,604         ARS        174,289      Royal Bank of Scotland PLC     8/18/16           115   
AUD        2,315,000         USD        1,706,169      Citibank N.A.     8/22/16           52,053   
USD        1,756,159         AUD        2,315,000      BNP Paribas SA     8/22/16           (2,063
USD        1,778,316         AUD        2,365,000      Citibank N.A.     8/22/16           (17,880
ARS        265,474         USD        17,250      BNP Paribas SA     8/29/16           120   
ARS        89,413         USD        5,750      Royal Bank of Scotland PLC     8/29/16           100   
JPY        10,480,275         USD        99,658      BNP Paribas SA     8/31/16           3,155   
JPY        9,998,611         USD        95,142      Citibank N.A.     8/31/16           2,945   
USD        335,000         MXN        6,351,776      Goldman Sachs International     9/01/16           (2,700
USD        335,000         MXN        6,352,773      Morgan Stanley & Co. International PLC     9/01/16           (2,753
BRL        1,362,348         USD        410,996      Royal Bank of Scotland PLC     9/02/16           4,658   
BRL        31,009,672         USD        9,355,056      Royal Bank of Scotland PLC     9/02/16           106,035   
USD        15,018,888         EUR        13,488,000      Royal Bank of Scotland PLC     9/06/16           (81,323
USD        3,151,205         EUR        2,830,000      Royal Bank of Scotland PLC     9/06/16           (17,063
USD        1,686,675         GBP        1,280,000      HSBC Bank USA N.A.     9/06/16           (8,290
USD        28,149,028         GBP        21,362,000      HSBC Bank USA N.A.     9/06/16           (138,355
USD        162,911         JPY        17,034,500      Bank of America N.A.     9/06/16           (4,240
USD        162,756         JPY        17,034,500      Morgan Stanley & Co. International PLC     9/06/16           (4,395
USD        2,200         ARS        34,430      BNP Paribas SA     9/12/16           (33
CAD        1,778,568         AUD        1,815,000      Deutsche Bank AG     9/14/16           (14,925
USD        90,000         ARS        1,359,000      Royal Bank of Scotland PLC     9/14/16           1,951   
JPY        90,051,399         EUR        795,000      UBS AG     9/26/16           (6,460
ARS        905,077         USD        58,242      BNP Paribas SA     9/30/16           (152
ARS        2,018,077         USD        131,044      BNP Paribas SA     9/30/16           (1,519
ARS        1,139,354         USD        72,802      Royal Bank of Scotland PLC     9/30/16           324   
USD        30,500         ARS        467,907      BNP Paribas SA     9/30/16           469   
USD        12,000         ARS        181,560      Royal Bank of Scotland PLC     10/05/16           381   
USD        23,000         ARS        354,660      Royal Bank of Scotland PLC     10/18/16           475   

 

                
42    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

Forward Foreign Currency Exchange Contracts (concluded)

 

Currency
Purchased
       Currency
Sold
    Counterparty   Settlement
Date
       Unrealized
Appreciation
(Depreciation)
 
USD        25,000           ARS           386,250      Royal Bank of Scotland PLC     10/18/16         $ 469   
CNH        1,003,210           USD           150,000      BNP Paribas SA     11/07/16           749   
CNH        1,003,145           USD           150,000      Goldman Sachs International     11/07/16           740   
CNH        1,231,654           USD           184,200      Goldman Sachs International     11/07/16           877   
CNH        1,036,531           USD           155,000      Goldman Sachs International     11/07/16           756   
CNH        1,003,390           USD           150,000      Royal Bank of Canada     11/07/16           776   
USD        1,973,000           CNH           13,024,957      Deutsche Bank AG     11/07/16           15,780   
USD        21,611           ARS           339,827      BNP Paribas SA     11/18/16           379   
USD        10,000           ARS           157,500      BNP Paribas SA     11/18/16           160   
USD        140,800           ARS           2,297,856      BNP Paribas SA     12/01/16           (1,878
USD        19,300           ARS           299,729      BNP Paribas SA     12/05/16           725   
USD        362,400           ARS           6,468,840      BNP Paribas SA     7/28/17           (1,445
Total                         $ 329,866   
                       

 

 

 

OTC Options Purchased

 

Description   Put/
Call
    Counterparty     Expiration
Date
    Strike
Price
    Notional
Amount
(000)
    Contracts     Value  

USD Currency

    Call        Deutsche Bank AG        8/05/16        JPY        106.00        USD        379             $ 116   

GBP Currency

    Call        Goldman Sachs International        8/08/16        USD        1.36        GBP        470               1,708   

USD Currency

    Call        Deutsche Bank        8/10/16        JPY        104.00        USD        920               2,751   

USD Currency

    Call        JPMorgan Chase Bank N.A.        8/11/16        JPY               USD        30               11,776   

GBP Currency

    Call        HSBC Bank PLC        8/16/16        USD        1.36        GBP        5,545               22,889   

AUD Currency

    Call        Bank of America N.A.        8/18/16        USD        0.76        AUD        9,340               69,822   

USD Currency

    Call        Deutsche Bank AG        8/24/16        CNH        6.70        USD        608               883   

USD Currency

    Call        Deutsche Bank AG        8/24/16        CNH        7.15        USD        608                 

USD Currency

    Call        BNP Paribas SA        9/09/16        JPY        105.00        USD        1,150               6,448   

AUD Currency

    Call        Deutsche Bank AG        9/12/16        CAD        1.01        AUD        9,455               25,350   

USD Currency

    Call        Deutsche Bank AG        9/27/16        TWD        32.70        USD        830               716   

USD Currency

    Call        Goldman Sachs International        10/27/16        MXN        19.15        USD        1,170               23,474   

USD Currency

    Call        Deutsche Bank AG        12/15/16        CNH        6.75        USD        240               2,552   

USD Currency

    Put        Morgan Stanley & Co. International PLC        8/04/16        BRL        3.58        USD        415                 

GBP Currency

    Put        Goldman Sachs International        8/08/16        USD        1.32        GBP        470               3,637   

GBP Currency

    Put        HSBC Bank PLC        8/16/16        USD        1.31        GBP        5,545               28,980   

CHF Currency

    Put        UBS AG        8/18/16        SEK        8.45        CHF        9,960               791   

GBP Currency

    Put        BNP Paribas SA        8/25/16        USD        1.30        GBP        10,630               49,591   

GBP Currency

    Put        BNP Paribas SA        8/25/16        USD        1.19        GBP        10,630               112   

EUR Currency

    Put        Deutsche Bank AG        9/20/16        SEK        9.35        EUR        9,700               25,344   

EUR Currency

    Put        Deutsche Bank AG        9/22/16        JPY        113.00        EUR        6,125               87,398   

Total

                  $ 364,338   
                 

 

 

 

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    43


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

OTC Options Written

 

Description   Put/
Call
   
Counterparty
    Expiration
Date
    Strike
Price
    Notional
Amount
(000)
    Contracts     Value  

EUR Currency

    Call        HSBC Bank PLC        8/02/16        USD        1.14        EUR        9,470             $ (498

USD Currency

    Call        Deutsche Bank AG        8/24/16        CNH        6.85        USD        608               (52

USD Currency

    Call        Deutsche Bank AG        8/24/16        CNH        7.00        USD        608                 

USD Currency

    Call        BNP Paribas SA        9/09/16        JPY        109.00        USD        1,150               (1,205

USD Currency

    Call        Goldman Sachs International        10/27/16        MXN        20.00        USD        1,170               (10,651

USD Currency

    Call        Deutsche Bank AG        12/15/16        CNH        7.10        USD        240               (558

EUR Currency

    Put        HSBC Bank PLC        8/02/16        USD        1.09        EUR        9,470               (42

GBP Currency

    Put        BNP Paribas SA        8/25/16        USD        1.23        GBP        21,260               (4,558

EUR Currency

    Put        Deutsche Bank AG        9/22/16        JPY        108.00        EUR        6,125               (27,117

EUR Currency

    Put        Deutsche Bank AG        9/22/16        JPY        104.50        EUR        3,065               (5,712

Total

                  $ (50,393
                 

 

 

 

Centrally Cleared Credit Default Swaps — Buy Protection

 

Issuer / Index   Pay
Fixed
Rate
    Expiration
Date
    Notional
Amount
(000)
    Unrealized
Depreciation
 

Markit iTraxx XO, Series 25, Version 1

    5.00     6/20/21      $ 580      $ (18,874

Centrally Cleared Interest Rate Swaps

 

Fixed Rate   Floating
Rate
  Effective
Date
  Expiration
Date
  Notional
Amount
(000)
   

Unrealized
Appreciation

(Depreciation)

 

2.13%1

  3-Month LIBOR   N/A   8/25/25     USD        110      $ 7,967   

2.27%2

  3-Month LIBOR   N/A   9/11/25     USD        68        (5,781

1.46%2

  3-Month LIBOR   N/A   6/28/26     USD        357        (4,041

1.46%2

  3-Month LIBOR   N/A   6/28/26     USD        1,427        (16,100

Total

    $ (17,955
           

 

 

 

1    Trust pays the floating rate and receives the fixed rate.

2    Trust pays the fixed rate and receives the floating rate.

OTC Credit Default Swaps — Buy Protection

 

Issuer/Index   Pay
Fixed
Rate
   
Counterparty
  Expiration
Date
  Notional
Amount
(000)
   
Value
    Premiums
Paid
    Unrealized
Appreciation
(Depreciation)
 

United Mexican States

    1.00   Citibank N.A.   6/20/20     USD        604      $ 4,553      $ 4,586      $ (33

United Mexican States

    1.00   Bank of America N.A.   9/20/20     USD        604        6,977        6,317        660   

Federation of Russia

    1.00   Bank of America N.A.   6/20/21     USD        662        40,060        41,191        (1,131

Federation of Russia

    1.00   HSBC Bank PLC   6/20/21     USD        671        40,636        39,672        964   

Republic of Philippines

    1.00   Bank of America N.A.   6/20/21     USD        54        (37     248        (285

Republic of Philippines

    1.00   Barclays Bank PLC   6/20/21     USD        191        (130     1,408        (1,538

 

                
44    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

OTC Credit Default Swaps — Buy Protection (continued)

 

Issuer/Index   Pay
Fixed
Rate
   
Counterparty
  Expiration
Date
  Notional
Amount
(000)
   
Value
    Premiums
Paid
   

Unrealized
Appreciation

(Depreciation)

 

Republic of Philippines

    1.00   Barclays Bank PLC   6/20/21     USD        191      $ (130   $ 1,234      $ (1,364

Republic of Philippines

    1.00   Barclays Bank PLC   6/20/21     USD        191        (130     1,234        (1,364

Republic of Philippines

    1.00   Barclays Bank PLC   6/20/21     USD        232        (158     1,392        (1,550

Republic of Philippines

    1.00   Barclays Bank PLC   6/20/21     USD        194        (132     1,248        (1,380

Republic of Philippines

    1.00   Barclays Bank PLC   6/20/21     USD        155        (106     927        (1,033

Republic of Philippines

    1.00   Barclays Bank PLC   6/20/21     USD        1,140        (713     6,772        (7,485

Republic of Philippines

    1.00   Barclays Bank PLC   6/20/21     USD        456        (285     2,709        (2,994

Republic of Philippines

    1.00   Barclays Bank PLC   6/20/21     USD        684        (428     4,376        (4,804

Republic of Philippines

    1.00   Barclays Bank PLC   6/20/21     USD        456        (285     2,918        (3,203

Republic of Philippines

    1.00   BNP Paribas S.A.   6/20/21     USD        564        (384     2,723        (3,107

Republic of Philippines

    1.00   Citibank N.A.   6/20/21     USD        220        (150     1,215        (1,365

Republic of Philippines

    1.00   Citibank N.A.   6/20/21     USD        620        (388     3,967        (4,355

Republic of Philippines

    1.00   JPMorgan Chase Bank N.A.   6/20/21     USD        344        (234     2,592        (2,826

Republic of Philippines

    1.00   JPMorgan Chase Bank N.A.   6/20/21     USD        61        (42     366        (408

Republic of Philippines

    1.00   JPMorgan Chase Bank N.A.   6/20/21     USD        586        (399     3,242        (3,641

Republic of South Africa

    1.00   Bank of America N.A.   6/20/21     USD        135        9,087        14,078        (4,991

Republic of South Africa

    1.00   Barclays Capital, Inc.   6/20/21     USD        150        10,096        14,811        (4,715

Republic of South Africa

    1.00   Barclays Capital, Inc.   6/20/21     USD        320        21,539        34,666        (13,127

Republic of South Africa

    1.00   BNP Paribas S.A.   6/20/21     USD        75        5,048        8,061        (3,013

Republic of South Africa

    1.00   BNP Paribas S.A.   6/20/21     USD        80        5,385        8,335        (2,950

Republic of South Africa

    1.00   BNP Paribas S.A.   6/20/21     USD        2,066        139,024        169,822        (30,798

Republic of South Africa

    1.00   Citibank N.A.   6/20/21     USD        79        5,284        7,845        (2,561

Republic of South Africa

    1.00   Citibank N.A.   6/20/21     USD        2        135        206        (71

Republic of South Africa

    1.00   Citibank N.A.   6/20/21     USD        873        14,674        20,209        (5,535

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    45


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

OTC Credit Default Swaps — Buy Protection (concluded)

 

Issuer/Index   Pay
Fixed
Rate
   
Counterparty
    Expiration
Date
    Notional
Amount
(000)
   
Value
    Premiums
Paid
   

Unrealized
Appreciation

(Depreciation)

        

Republic of South Africa

    1.00     Citibank N.A.        6/20/21        USD        2,524      $ 169,888      $ 202,249      $ (32,361  

Republic of South Africa

    1.00     Goldman Sachs International        6/20/21        USD        75        5,048        8,063        (3,015  

Republic of South Africa

    1.00     HSBC Bank USA N.A.        6/20/21        USD        85        5,721        9,195        (3,474  

Republic of South Africa

    1.00     HSBC Bank USA N.A.        6/20/21        USD        90        6,058        9,636        (3,578  

Republic of South Africa

    1.00     JPMorgan Chase Bank N.A.        6/20/21        USD        195        13,125        20,105        (6,980  

Markit CMBX North America, Series 8

    3.00     Deutsche Bank AG        10/17/57        USD        5,000        746,154        966,411        (220,257        

Total

            $ 1,244,361      $ 1,624,029      $ (379,668  
           

 

 

 

OTC Credit Default Swaps — Sell Protection

 

Issuer/Index   Receive
Fixed
Rate
   
Counterparty
  Expiration
Date
  Credit
Rating1
  Notional
Amount
(000)2
   
Value
    Premiums
(Received)
   

Unrealized
Appreciation

(Depreciation)

 

Dow Jones CDX North America Investment Grade, Series 9

    5.00   Bank of America N.A.   12/20/17   BBB     USD       10,000      $ 696,101      $ (244,972   $ 941,073   

United Mexican States

    1.00   Bank of America N.A.   6/20/20   BBB+     USD        604        (4,553     (4,807     254   

United Mexican States

    1.00   Citibank N.A.   9/20/20   BBB+     USD        604        (6,977     (5,990     (987

Republic of Brazil

    1.00   Barclays Bank PLC   6/20/21   BB     USD        95        (8,053     (10,186     2,133   

Markit CMBX North America, Series 7

    3.00   Barclays Bank PLC   1/17/47   BBB-     USD        10,000        (691,530     (546,521     (145,009

Markit CMBX North America, Series 7

    3.00   Barclays Bank PLC   1/17/47   BBB-     USD        5,000        (345,765     (272,878     (72,887

Markit CMBX North America, Series 7

    3.00   Barclays Bank PLC   1/17/47   BBB-     USD        10,000        (691,530     (264,659     (426,871

Markit CMBX North America, Series 8

    2.00   Morgan Stanley Capital
Services LLC
  10/17/57   A     USD        5,000        (337,565     (582,461     244,896   

Markit CMBX North America, Series 8

    3.00   Credit Suisse International   10/17/57   BBB-     USD        5,000        (746,570     (523,231     (223,339

 

                
46    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

OTC Credit Default Swaps — Sell Protection (concluded)

 

Issuer/Index   Receive
Fixed
Rate
   
Counterparty
  Expiration
Date
  Credit
Rating1
  Notional
Amount
(000)2
   
Value
    Premiums
(Received)
   

Unrealized
Appreciation

(Depreciation)

 

Markit CMBX North America, Series 8

    3.00   Goldman Sachs International   10/17/57   BBB-     USD        10,000      $ (1,493,141   $ (1,112,307   $ (380,834

Markit CMBX North America, Series 9

    2.00   Credit Suisse International   9/17/58   A     USD        2,500        (209,829     (359,569     149,740   

Markit CMBX North America, Series 9

    2.00   Morgan Stanley Capital Services LLC   9/17/58   A     USD        2,500        (209,829     (356,097     146,268   

Markit CMBX North America, Series 9

    2.00   Morgan Stanley Capital Services LLC   9/17/58   A     USD        5,000        (419,659     (705,563     285,904   

Markit CMBX North America, Series 9

    3.00   Morgan Stanley Capital Services LLC   9/17/58   BBB-     USD        2,500        (419,456     (575,520     156,064   

Total

  

  $ (4,888,356   $ (5,564,761   $ 676,405   
             

 

 

 

1   Using S&P’s rating of the issuer of the issuer or the underlying securities of the index, as applicable.

2   The maximum potential amount the Trust may pay should a negative credit event take place as defined under the terms of the agreement.

OTC Interest Rate Swaps

 

Fixed

Rate

  Floating
Rate
 
Counterparty
  Effective
Date
  Expiration
Date
    Notional
Amount
(000)
   
Value
    Premiums
Paid
(Received)
   

Unrealized
Appreciation

(Depreciation)

 

  6.641

  1-Day CPOVER   Credit Suisse International   N/A     08/22/16        COP        1,713,519      $ (652          $ (652

  1.692

  3-Month KRWCD   Deutsche Bank AG   N/A     11/10/17        KRW        911,735        (4,871            (4,871

  1.921

  3-Month KRWCD   Deutsche Bank AG   N/A     11/10/17        KRW        911,735        7,664               7,664   

12.241

  1-Day BZOVER   Bank of America N.A.   N/A     01/02/19        BRL        9,431        440               440   

12.291

  1-Day BZOVER   Bank of America N.A.   N/A     01/02/19        BRL        2,672        96               96   

12.311

  1-Day BZOVER   JPMorgan Chase Bank N.A.   N/A     01/02/19        BRL        2,574        1,330               1,330   

12.461

  1-Day BZOVER   Bank of America N.A.   N/A     01/02/19        BRL        2,677        3,064               3,064   

12.521

  1-Day BZOVER   JPMorgan Chase Bank N.A.   N/A     01/02/19        BRL        2,676        4,242               4,242   

12.731

  1-Day BZOVER   JPMorgan Chase Bank N.A.   N/A     01/04/21        BRL        460        5,299               5,299   

12.751

  1-Day BZOVER   Citibank N.A.   N/A     01/04/21        BRL        672        7,853               7,853   

  2.731

  7-Day China Fixing Repo   Bank of America N.A.   N/A     05/12/21        CNY        1,135        792               792   

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    47


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

OTC Interest Rate Swaps (continued)

 

Fixed

Rate

  Floating
Rate
  Counterparty   Effective
Date
  Expiration
Date
    Notional
Amount
(000)
    Value     Premiums
Paid
(Received)
   

Unrealized
Appreciation

(Depreciation)

 

  2.741

  7-Day China Fixing Repo   Bank of America N.A.   N/A     05/12/21        CNY        1,815      $ 1,459             $ 1,459   

  2.751

  7-Day China Fixing Repo   Bank of America N.A.   N/A     05/12/21        CNY        1,135        993               993   

  2.751

  7-Day China Fixing Repo   Bank of America N.A.   N/A     05/12/21        CNY        1,816        1,588               1,588   

  2.751

  7-Day China Fixing Repo   Bank of America N.A.   N/A     05/12/21        CNY        2,270        1,985               1,985   

  2.751

  7-Day China Fixing Repo   Bank of America N.A.   N/A     05/12/21        CNY        2,270        1,985               1,985   

  2.771

  7-Day China Fixing Repo   Bank of America N.A.   N/A     05/12/21        CNY        2,840        2,926               2,926   

12.371

  1-Day BZOVER   Citibank N.A.   N/A     01/02/23        BRL        674        7,454               7,454   

12.501

  1-Day BZOVER   JPMorgan Chase Bank N.A.   N/A     01/02/23        BRL        2,703        36,621               36,621   

12.621

  1-Day BZOVER   Bank of America N.A.   N/A     01/02/23        BRL        166        2,628               2,628   

12.731

  1-Day BZOVER   Bank of America N.A.   N/A     01/02/23        BRL        143        2,570               2,570   

12.751

  1-Day BZOVER   Citibank N.A.   N/A     01/02/23        BRL        145        2,674               2,674   

12.921

  1-Day BZOVER   Bank of America N.A.   N/A     01/02/23        BRL        623        13,533               13,533   

 

                
48    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

OTC Interest Rate Swaps (concluded)

 

Fixed

Rate

  Floating
Rate
    Counterparty     Effective
Date
    Expiration
Date
    Notional
Amount
(000)
    Value     Premiums
Paid
(Received)
   

Unrealized
Appreciation

(Depreciation)

 

6.321

    1-Month MXIBTIIE        Morgan Stanley Capital Services LLC        N/A        07/17/25        MXN        5,813      $ 3,576      $ (23   $ 3,599   

6.331

    1-Month MXIBTIIE        Citibank N.A.        N/A        07/17/25        MXN        2,897        1,835        (15     1,850   

6.321

    1-Month MXIBTIIE        Goldman Sachs International        N/A        08/06/25        MXN        8,688        5,495        (41     5,536   

6.312

    1-Month MXIBTIIE        Deutsche Bank AG        N/A        08/11/25        MXN        6,393        (3,618            (3,618

6.312

    1-Month MXIBTIIE        Bank of America N.A.        N/A        08/11/25        MXN        1,723        (993            (993

6.312

    1-Month MXIBTIIE        Bank of America N.A.        N/A        08/11/25        MXN        1,723        (993            (993

6.261

    1-Month MXIBTIIE        Bank of America N.A.        N/A        06/15/26        MXN        38,640        8,621               8,621   

7.021

    1-Day CPOVER        Citibank N.A.        N/A        07/15/26        COP        558,515        1,559               1,559   

7.021

    1-Day CPOVER        Citibank N.A.        N/A        07/18/26        COP        837,773        2,324               2,324   

7.021

    1-Day CPOVER        Goldman Sachs International        N/A        07/19/26        COP        878,640        2,439               2,439   

7.001

    1-Day CPOVER        Credit Suisse International        N/A        07/22/26        COP        551,455        1,266               1,266   

7.051

    1-Day CPOVER        Credit Suisse International        N/A        07/22/26        COP        551,455        1,923               1,923   

6.841

    1-Day CPOVER        Citibank N.A.        N/A        07/29/26        COP        2,863,790        (4,382            (4,382

Total

              $ 120,725      $ (79   $ 120,804   
             

 

 

 

1    Trust pays the floating rate and receives the fixed rate.

2    Trust pays the fixed rate and receives the floating rate.

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    49


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

 

Fair Value Hierarchy as of Period End

Various inputs are used in determining the fair value of investments and derivative financial instruments. These inputs to valuation techniques are categorized into a fair value hierarchy consisting of three broad levels for financial reporting purposes as follows:

 

   

Level 1 — unadjusted price quotations in active markets/exchanges for identical assets or liabilities that the Trust has the ability to access

 

   

Level 2 — other observable inputs (including, but not limited to, quoted prices for similar assets or liabilities in markets that are active, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable for the assets or liabilities (such as interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market–corroborated inputs)

 

   

Level 3 — unobservable inputs based on the best information available in the circumstances, to the extent observable inputs are not available (including the Trust’s own assumptions used in determining the fair value of investments and derivative financial instruments)

The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized in Level 3. The inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, for disclosure purposes, the fair value hierarchy classification is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The significant unobservable inputs used by the Global Valuation Committee in determining the price for Fair Valued Investments are typically categorized as Level 3.

Changes in valuation techniques may result in transfers into or out of an assigned level within the hierarchy. In accordance with the Trust’s policy, transfers between different levels of the fair value hierarchy are deemed to have occurred as of the beginning of the reporting period. The categorization of a value determined for investments and derivative financial instruments is based on the pricing transparency of the investments and derivative financial instruments and is not necessarily an indication of the risks associated with investing in those securities. For information about the Trust’s policy regarding valuation of investments and derivative financial instruments, refer to the Trust’s most recent financial statements as contained in its semi-annual report.

The following tables summarize the Trust’s investments and derivative financial instruments categorized in the disclosure hierarchy:

 

     Level 1        Level 2        Level 3        Total  

Assets:

                
Investments:                 
Long-Term Investments:                 

Asset-Backed Securities

            $ 191,735,580         $ 29,040,139         $ 220,775,719   

Common Stocks

  $ 3,014,323           122,815           561           3,137,699   

Corporate Bonds

              386,600,394                     386,600,394   

Floating Rate Loan Interests

              17,656,071           29,459,401           47,115,472   

Foreign Agency Obligations

              36,486,695                     36,486,695   

Non-Agency Mortgage-Backed Securities

              188,654,694           29,030,143           217,684,837   

Preferred Securities

    16,594,167           115,505,389           1,644,831           133,744,387   

U.S. Treasury Obligations

              52,621,755                     52,621,755   
Short-Term Securities:                 

Money Market Fund

    36,588,973                               36,588,973   
Options Purchased:                 

Foreign currency exchange contracts

              364,338                     364,338   
 

 

 

 

Total

  $ 56,197,463         $ 989,747,731         $ 89,175,075         $ 1,135,120,269   
 

 

 

 

 

                
50    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

 

     Level 1      Level 2      Level 3      Total
Derivative Financial Instruments1                         
Assets:                         

Credit contracts

               $ 1,927,956                     $ 1,927,956  

Foreign currency exchange contracts

                 1,312,209                       1,312,209  

Interest rate contracts

    $ 3,448            144,280                       147,728  
Liabilities:                         

Credit contracts

                 (1,650,093 )                     (1,650,093 )

Foreign currency exchange contracts

                 (1,032,736 )                     (1,032,736 )

Interest rate contracts

      (223,054 )          (41,431 )                     (264,485 )
   

 

 

 

Total

    $ (219,606 )        $ 660,185                     $ 440,579  
   

 

 

 

1    Derivative financial instruments are swaps, futures contracts, forward foreign currency contracts and options written. Swaps, futures contracts and forward foreign currency exchange contracts are valued at the unrealized appreciation (depreciation) on the instrument and options written are shown at value.

        

 

The Trust may hold assets and/or liabilities in which the fair value approximates the carrying amount for financial reporting purposes. As of period end, such assets and/or liabilities are categorized within the disclosure hierarchy as follows:

   

     Level 1      Level 2      Level 3      Total
Assets:                         

Cash

    $ 13,191                                $ 13,191  
Cash pledged:                         

Collateral — OTC derivatives

      6,130,000                                  6,130,000  

Centrally cleared swaps

      1,590                                  1,590  

Futures contracts

      137,400                                  137,400  

Foreign currency at value

      3,959,238                                  3,959,238  
Liabilities:                         
Cash received:                         

Collateral — OTC derivatives

               $ (1,536,630 )                     (1,536,630 )

Collateral — reverse repurchase agreements

                 (3,723,000 )                     (3,723,000 )

Reverse repurchase agreements

                 (423,126,377 )                     (423,126,377 )
   

 

 

 
Total     $ 10,241,419          $ (428,386,007 )                   $ (418,144,588 )
   

 

 

 

During the period ended July 31, 2016, there were no transfers between Level 1 and Level 2.

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    51


Schedule of Investments (continued)

  

BlackRock Multi-Sector Income Trust (BIT)

 

A reconciliation of Level 3 investments is presented when the Trust had a significant amount of Level 3 investments at the beginning and/or end of the period in relation to net assets. The following table is a reconciliation of Level 3 investments for which significant unobservable inputs were used in determining fair value:

 

     Asset-Backed
Securities
    Corporate
Bonds
    Floating Rate
Loan
Interests
   

Non-Agency

Mortgage-

Backed

Securities

   

Preferred

Securities

    Common
Stocks
    Total  
Assets:            

Opening balance, as of October 31, 2015

  $ 65,179,443      $ 515,294      $ 41,246,750      $ 26,217,944      $ 1,833,459             $ 134,992,890   

Transfers into Level 31

    3,957,160                      7,499,925                      11,457,085   

Transfers out of Level 32

    (15,405,394     (515,294     (131,750                          (16,052,438

Accrued discounts/premiums

    7,656               (157,143     193,858                      44,371   

Net realized gain (loss)

    (8,507,477            (227,940     290,479                      (8,444,938

Net change in unrealized

Appreciation (depreciation)3

    57,430               (7,226,872     65,759        (188,628   $ (8,074     (7,300,385

Purchases

    13,900,300               562,258                      8,635        14,471,193   

Sales

    (30,148,979            (4,605,902     (5,237,822                   (39,992,703
 

 

 

 
Closing Balance, as of July 31, 2016   $ 29,040,139             $ 29,459,401      $ 29,030,143      $ 1,644,831      $ 561      $ 89,175,075   
 

 

 

 

Net change in unrealized appreciation (depreciation) on investments still held at July 31, 20164

  $ (1,354,490          $ (7,260,181   $ 4,420      $ (188,629   $ (8,074   ($ 8,806,954
 

 

 

 

 

1   

As of October 31, 2015, the Trust used observable inputs in determining the value of certain investments. As of July 31, 2016, the Trust used significant unobservable inputs in determining the value of the same investments. As a result, investments at beginning of period value were transferred from Level 2 to Level 3 in the disclosure hierarchy.

 

2   

As of October 31, 2015, the Trust used significant unobservable inputs in determining the value of certain investments. As of July 31, 2016, the Trust used observable inputs in determining the value of the same investments. As a result, investments at beginning of period value were transferred from Level 3 to Level 2 in the disclosure hierarchy.

 

3   

Any difference between net change in unrealized appreciation (depreciation) and net change in unrealized appreciation (depreciation) on investments still held July 31, 2016 is generally due to investments no longer held or categorized as Level 3 at period end.

The following table summarizes the valuation techniques used and unobservable inputs utilized by the BlackRock Global Valuation Methodologies Committee (the “Global Valuation Committee”) to determine the value of certain of the Trust’s Level 3 investments as of period end. The table does not include Level 3 investments with values based upon unadjusted third party pricing information in the amount of $83,219,955.

 

     Value     Valuation Techniques     Unobservable Inputs     Unobservable Inputs Utilized  
Assets:        

Common Stocks

  $ 561        Cost 1      N/A          

Floating Rate Loan Interests

    4,309,728        Discounted Cash Flow        Discount Rate        15%   

Preferred Stocks

    1,644,831        Market Comparables        Illiquidity Discount 2      200 bp   
 

 

 

 

Total

  $ 5,955,120         
 

 

 

       

 

                
52    BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016   


Schedule of Investments (concluded)

  

BlackRock Multi-Sector Income Trust (BIT)

 

 

1  

The Trust fair values certain of its Level 3 investments using acquisition cost, although the transaction may not have occurred during the current reporting period. These investments are generally privately held investments. There may not be a secondary market, and/or there are a limited number of investors. The determination to fair value such investments at cost is based upon factors consistent with the principles of fair value measurement that are reasonably available to the Global Valuation Committee, or its delegate. Valuations are reviewed utilizing available market information to determine if the carrying value should be adjusted. Such market data may include, but is not limited to, observations of the trading multiples of public companies considered comparable to the private companies being valued, financial or operational information released by the company, and/or news or corporate events that affect the investment. Valuations may be adjusted to account for company-specific issues, the lack of liquidity inherent in a nonpublic investment and the fact that comparable public companies are not identical to the investments being fair valued by the Trust.

 

2   

Increase in unobservable input may result in a significant increase to value, while a decrease in the unobservable input may result in a significant decrease to value.

 

                
   BLACKROCK MULTI-SECTOR INCOME TRUST    JULY 31, 2016    53


Item 2 – Controls and Procedures

 

2(a) – The registrant’s principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”)) are effective as of a date within 90 days of the filing of this report based on the evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act and Rule 13a-15(b) under the Securities Exchange Act of 1934, as amended.

 

2(b) – There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act) that occurred during the registrant’s last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the registrant’s internal control over financial reporting.

Item 3 – Exhibits

Certifications – Attached hereto


Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

BlackRock Multi-Sector Income Trust

 

By:  

/s/ John M. Perlowski

 
  John M. Perlowski  
  Chief Executive Officer (principal executive officer) of
  BlackRock Multi-Sector Income Trust
Date:   September 21, 2016  

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By:  

/s/ John M. Perlowski

 
  John M. Perlowski  
  Chief Executive Officer (principal executive officer) of
  BlackRock Multi-Sector Income Trust
Date:   September 21, 2016  
By:  

/s/ Neal J. Andrews

 
  Neal J. Andrews  
  Chief Financial Officer (principal financial officer) of
  BlackRock Multi-Sector Income Trust
Date:   September 21, 2016