BlackRock Science & Technology Trust - SHS (BST)

Historical Holders from Q4 2014 to Q4 2025

Type / Class
Equity / SHS
Symbol
BST on NYSE
Price per share
$40.54
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares as of 30 Sep 2025
6,746,928
Total reported value
$278,508,992
% of total 13F portfolios
0%
Share change
-225,647
Value change
-$8,933,115
Avg buy value change
+0%
Avg sell value change
-0%
Number of holders
134
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, BlackRock Science & Technology Trust - SHS (BST) has 134 institutional shareholders filing 13F forms. They hold 6,746,928 shares. .

Institutional Holders of BlackRock Science & Technology Trust - SHS (BST) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price (% of par) Investors
2025 Q4 18,482 $749,283 +$205,582 4,054.12% 3
2025 Q3 6,746,928 $278,508,992 -$8,933,115 4,136% 134
2025 Q2 6,919,575 $264,120,974 +$6,013,130 3,817% 127
2025 Q1 6,760,659 $223,070,210 -$1,484,008 3,299% 118
2024 Q4 6,799,476 $248,514,035 -$7,731,766 3,656% 120
2024 Q3 7,072,801 $246,684,023 +$9,368,533 3,544% 116
2024 Q2 6,095,198 $229,471,198 -$2,119,593 3,766% 106
2024 Q1 6,198,669 $228,651,726 +$121,715 3,692% 104
2023 Q4 54,615 $1,838,292 +$318,785 3,365.91% 1
2023 Q3 5,856,846 $183,873,033 +$6,192,144 3,141% 97
2023 Q2 4,573,822 $157,512,730 +$4,275,103 3,444% 89
2023 Q1 5,778,759 $186,708,495 +$5,315,998 3,234% 91
2022 Q4 5,658,534 $160,549,165 +$8,574,478 2,837% 92
2022 Q3 5,279,167 $155,201,448 -$11,652,914 2,937.98% 81
2022 Q2 5,744,416 $186,948,188 -$25,184,782 3,249.06% 91
2022 Q1 6,363,650 $275,591,325 -$76,590,564 4,327% 108
2021 Q4 8,123,578 $405,898,881 -$20,126,328 4,997.18% 122
2021 Q3 8,447,913 $440,688,697 +$174,001,419 5,215.96% 111
2021 Q2 5,292,262 $315,175,229 +$2,402,038 5,958.71% 106
2021 Q1 5,263,534 $284,740,906 +$3,866,207 5,409.87% 100
2020 Q4 5,164,038 $275,758,098 +$16,016,022 5,330.02% 87
2020 Q3 4,530,815 $195,057,313 -$1,949,151 4,305.01% 79
2020 Q2 4,546,181 $171,897,390 -$11,612,530 3,780.85% 66
2020 Q1 4,647,912 $133,325,880 +$7,880,385 2,869.04% 59
2019 Q4 4,413,234 $146,827,596 +$5,549,747 3,326.61% 66
2019 Q3 3,473,255 $111,142,744 -$2,162,361 3,199.72% 52
2019 Q2 4,235,658 $136,841,347 -$477,522 3,230.79% 55
2019 Q1 3,518,246 $115,398,458 +$319,093 3,279.87% 49
2018 Q4 3,523,151 $96,798,811 -$4,053,951 2,747.72% 48
2018 Q3 4,451,831 $158,050,085 +$51,093 3,550.02% 53
2018 Q2 4,409,631 $148,383,602 -$9,454,245 3,365.08% 45
2018 Q1 4,683,292 $141,014,024 -$21,210,203 3,007.99% 44
2017 Q4 4,523,710 $120,726,002 -$24,600,489 2,669.21% 44
2017 Q3 6,626,467 $161,721,000 -$8,131,024 2,442.99% 44
2017 Q2 6,967,069 $154,743,000 -$5,338,792 2,220.92% 41
2017 Q1 7,209,071 $152,549,000 +$2,507,276 2,115.86% 36
2016 Q4 7,109,945 $127,570,000 +$3,801,488 1,794% 35
2016 Q3 6,897,504 $128,499,000 +$6,474,968 1,863.01% 29
2016 Q2 6,559,062 $108,257,000 +$8,130,867 1,649.96% 31
2016 Q1 5,266,727 $89,511,000 +$8,078,850 1,700% 29
2015 Q4 5,711,608 $98,848,000 +$38,283,680 1,730.92% 32
2015 Q3 3,555,764 $56,379,000 +$43,599 1,584.78% 29
2015 Q2 3,476,597 $61,267,000 +$11,466,483 1,764.96% 24
2015 Q1 2,824,809 $50,372,000 +$32,621,695 1,782.99% 24
2014 Q4 997,142 $17,538,000 +$15,472,993 1,758.72% 15