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BGF US Dollar High Yield Bond Fund - PM Commentary
Share ClassAll Classes
DescriptionBGF US Dollar High Yield Bond Fund - PM Commentary
Publication DateJun 30, 2015
Product GroupBlackRock Global Funds
Document TypeMarket Commentary
Prospectus - All Investor/Institutional Shares - Multi Manager Alternative Strategies Fund
Share ClassAll Classes
DescriptionThe Fund prospectus contains information including sales charges, management fees and other expenses, as well as the risks associated with an investment in the Fund.
Publication DateDec 29, 2014
Product GroupMutual Funds
Document TypeProspectus
Prospectus - All Investors - BR Value Opportunities
Share ClassClass R, Institutional, Class C, Class B, Class A
DescriptionThe Fund prospectus contains information including sales charges, management fees and other expenses, as well as the risks associated with an investment in the Fund.
Publication DateJul 29, 2014
Product GroupMutual Funds
Document TypeProspectus
Summary Prospectus - All Investor/Institutional Shares - Multi Manager Alternative Strategies Fund
Share ClassAll Classes
DescriptionThe Fund prospectus contains information including sales charges, management fees and other expenses, as well as the risks associated with an investment in the Fund.
Publication DateDec 29, 2014
Product GroupMutual Funds
Document TypeSummary Prospectus
Summary Prospectus - All Investors - BR Value Opportunities Fund
Share ClassAll Classes
DescriptionThe Fund summary prospectus contains information including sales charges, management fees and other expenses, as well as the risks associated with an investment in the Fund.
Publication DateJul 29, 2014
Product GroupMutual Funds
Document TypeSummary Prospectus
SAI - All Investor/Institutional Shares - Multi Manager Alternative Strategies Fund
Share ClassAll Classes
DescriptionThe Fund prospectus contains information including sales charges, management fees and other expenses, as well as the risks associated with an investment in the Fund.
Publication DateJun 02, 2015
Product GroupMutual Funds
Document TypeSAI
SAI - Value Opportunities Fund
Share ClassAll Classes
DescriptionThe statement of additional information offers detailed information about the Fund's policies, operations, management and risks.
Publication DateJul 29, 2014
Product GroupMutual Funds
Document TypeSAI

SAI - Value Opportunities Fund

  • Publication Date: Jul 29, 2014
Daily MTM NAVs-BlackRock Retail Funds
Share ClassInstitutional
Descriptiondaily MTM NAVs for BlackRock Retail Funds, BIF, Retirement Rserves Funds
Publication DateJul 29, 2015
Product GroupNA
Document TypeHoldings Report

Daily MTM NAVs-BlackRock Retail Funds

  • Publication Date: Jul 29, 2015
Closed-End Fund Market Review
Share ClassAll Classes
DescriptionQuarterly overview of the closed-end fund marketplace.
Publication DateJul 30, 2015
Product GroupNA
Document TypeMarket Commentary

Closed-End Fund Market Review

  • Publication Date: Jul 30, 2015
Summary Prospectus - All Investor Shares - Summit Cash Reserves Fund
Share ClassClass B, Class A
DescriptionThe Fund prospectus contains information including sales charges, management fees and other expenses, as well as the risks associated with an investment in the Fund
Publication DateAug 28, 2014
Product GroupMoney Markets
Document TypeSummary Prospectus
Shareholder Report - Annual - Small Cap Book of 2
Share ClassClass R, Class B, Class A, Institutional, Class C
DescriptionThe Fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information.
Publication DateMay 31, 2015
Product GroupMutual Funds
Document TypeAnnual Report

Shareholder Report - Annual - Small Cap Book of 2

  • Publication Date: May 31, 2015
Prospectus - All Investors - Ready Assets Prime Money Fund
Share ClassAll Classes
DescriptionThe Fund prospectus contains information including sales charges, management fees and other expenses, as well as the risks associated with an investment in the Fund.
Publication DateSep 03, 2014
Product GroupMoney Markets
Document TypeProspectus
Prospectus - All Investor Shares - Ready Assets US Government Money Fund
Share ClassAll Classes
DescriptionReady Assets USA Government Money Fund
Publication DateAug 28, 2014
Product GroupMoney Markets
Document TypeProspectus
Shareholder Report - Annual - CA-NJ-PA-Intermediate Municipal Bond Funds
Share ClassAll Classes
DescriptionThe Fund's annual report provides shareholders with information such as recent performance, portfolio information and financial information.
Publication DateMay 31, 2015
Product GroupMutual Funds
Document TypeAnnual Report
Prospectus - All Investors - Ready Assets US Treasury Money Fund
Share ClassAll Classes
DescriptionThe Fund prospectus contains information including sales charges, management fees and other expenses, as well as the risks associated with an investment in the Fund.
Publication DateSep 03, 2014
Product GroupMoney Markets
Document TypeProspectus