BlackRock Capital Allocation Trust

BCAT
$15.90 (+ $0.16 + 1.02%)
Last updated: 2026-08-21 23:23 UTC
BCAT Metrics
Exchange
🇺🇸 NYSE XNYS
New York Stock Exchange, Inc.United StatesAmerica/New_York
SectorFinancial Services
IndustryAsset Management
ISINUS09260U1097
CUSIP09260U109
Market Price15.9
Dividend Yield 19.45%
Dividend Growth
1Y -22.97%
3YN/A
5YN/A
10YN/A
Annual Dividend 2.64
Latest Payout ($)0.1
Latest Payout Date2021-05-13
Dividend FrequencyMonthly
P/E Ratio9.43
EPS1.51
Market Cap$1.5B
Book ValueN/A
Price to BookN/A
Beta-0.84
52w High15.91
52w Low12.91
Next Earnings DateN/A

BlackRock Capital Allocation Trust trades under ticker BCAT on NYSE as a stock. Use this page to review stock price, share price, dividends, and price history. The page also shows Financial Services exposure. Identifiers: ISIN US09260U1097, CUSIP 09260U109.

Related researchBCAT stock priceBCAT share priceBCAT dividend historyBCAT dividend yieldBlackRock Capital Allocation Trust dividend historyBlackRock Capital Allocation Trust dividend yield09260U109BlackRock Capital Allocation Trust stockBlackRock Capital Allocation Trust share price
About the Company
BlackRock Capital Allocation Trust is a closed-end investment fund managed by BlackRock, one of the world’s largest asset managers. Its primary function is to provide investors with total return and income through a dynamically balanced mix of global equities, fixed income instruments, and private investments. The fund typically maintains a diversified allocation, with a notable recent split of approximately 55% equity and 45% fixed income. It also seeks meaningful exposure to private equity and private credit, with a portion of assets dedicated to innovative sectors such as technology and medical devices. BlackRock Capital Allocation Trust stands out for its unconstrained, multi-asset approach, allowing portfolio managers to adjust allocations opportunistically based on evolving market conditions. Over time, the strategy has included both U.S. and non-U.S. securities, aiming for risk-adjusted returns by combining liquid assets with selected private investments. The trust incorporates risk management tools and periodic share buyback programs, and it plans a liquidity event at net asset value in 2032. Altogether, it serves as a comprehensive solution for investors seeking diversified exposure to stock, bond, and private markets within a single investment vehicle.
Price History