Find the latest performance data chart, historical data and news for BlackRock Global Long/Short Equity Fund - Class K Shares (BGCKX) at Nasdaq.com. ("BTC"). Key Risk- The funds are actively managed and its characteristics will vary. If a dealer waives its right to receive a dealer reallowance, the fund may, at its own discretion, waive the CDSC related to NAV purchases of Investor A Shares. Class A Units—Purchased with varying initial sales charges, depending on the fund and investment amount, and provide up-front commissions and ongoing trails that begin immediately. Investor C Shares—Purchased with no initial sales charge to your clients but have higher ongoing fees. Investors who purchase shares of the Fund through an investment adviser or other financial professional may separately pay a fee to that service provider. However, there is a CDSC (contingent deferred sales charge) of up to 1.00% of the offering price or the NAV of the shares on the redemption date (whichever is less) for shares redeemed within 18 months of purchase. See the funds' prospectuses for more information. Analyze the Fund BlackRock LifePath ® Index 2040 Fund Class K Shares having Symbol LIKKX for type workplacefunds and perform research on other mutual funds. The Class K fund quotes a 0.2 percent annual expense ratio, or a $200 yearly expense to manage and maintain her investment. Class A no load — investor A shares no load - purchased with no sales charge at any investment amount. In cases where the Distributor acts as a dealer, it will not receive a placement fee on NAV purchases of more than $1 million of Investor A Shares. As of November 23, 2020 (the "Effective Date"), certain financial intermediaries, may not have been tracking such holding periods and therefore may not be able to process such conversions. Analyze the Fund BlackRock Event Driven Equity Fund Investor A Shares having Symbol BALPX for type mutual-funds and perform research on other mutual funds. The information provided does not constitute a solicitation of an offer to buy, or an offer to sell securities in any jurisdiction to any person to whom it is not lawful to make such an offer. The amount eligible for this "Reinstatement Privilege" may not exceed the amount of your redemption proceeds and is only allowed once per year.See the funds' prospectuses for more information. In cases where the Distributor acts as a dealer, it will not receive a placement fee on NAV purchases of Investor A shares. 1 The Distributor may pay a dealer reallowance or placement fee to the dealer as shown on NAV purchases of Investor A Shares of $1 million or more. Prior to the Class K Shares inception date of March 28, ... open-end management investment company. Investing involves risk, including possible loss of principal. This ratio also includes Acquired Fund Fees and Expenses, which are expenses indirectly incurred by a fund through its ownership of shares in other investment … 3 NAV purchases on most equity and multi-asset funds will be subject to a 1.00% charge if liquidated within 18 months of purchase.4The following reallowance/placement fee to dealers will apply to most Multi-Asset Funds: 1.00% on $1,000,000 to $2,999,999, 0.50% on $3,000,000 to $14,999,999, 0.25% on $15,000,000 and above; BlackRock Balanced Capital / BlackRock Multi-Asset Income / BlackRock Dynamic High Income: 0.75% on $250,000 to $2,999,999, 0.50% on $3,000,000 to $14,999,999, 0.25% on $15,000,000 and above; BlackRock Tactical Opportunities: 0.75% on $1,000,000 to $2,999,999, 0.50% on $3,000,000 to $14,999,999, 0.25% on $15,000,000 and above; BlackRock Global Allocation: 1.00% on $250,000 to $2,999,999, 0.50% on $3,000,000 to $14,999,999, 0.25% on $15,000,000 and above; BlackRock Managed Income: 0.50% on $250,000 to $2,999,999, 0.25% on $3,000,000 to $14,999,999, 0.15% on $15,000,000 and above. 1 The Distributor may pay a dealer reallowance or placement fee to the dealer as shown on NAV purchases of Investor A Shares of $1 million or more. BlackRock Equity Index Non-Lendable Fund (Class M) AS OF 2020-12-31 INVESTMENT STRATEGY: The Fund is an "index fund" that seeks investment results that correspond generally to the price and yield performance, before fees and expenses, of a particular index. The Investor A front-end sales charges can be reduced or eliminated through one or a combination of the following: the Right of Accumulation, a Letter of Intent, the Reinstatement Privilege, quantity discounts or an applicable waiver of the sales charge. Read the prospectus carefully before investing. Any loss on short positions may or may not be offset by investing short-sale proceeds in other investments. The dealer reallowance indicated will apply up to the indicated breakpoint (so that, for example, a sale of $4 million worth of Investor A Shares in an equity fund will result in a placement fee of 1.00% on the first $3 million and 0.50% on the final $1 million). *$250K NAV Breakpoints are not applicable to CollegeAdvantage 529. The Fund is The Fund shall be invested and reinvested in a portfolio of equity securities with the … If you choose to buy Investor A shares, generally a sales charge is paid at the time of purchase. The following reallowance/placement fee to dealers will apply to most, Tax-Free Fixed Income Funds (Please see exception below for Short-Term Municipal), All Equity, Multi-Asset and Fixed Income Funds*, Equity Goal Based and Target Date (Excluding BlackRock College 2020 Option and BlackRock College Enrollment Option), Fixed Income Funds and BlackRock 2020 Enrollment Option. The Fund is a collective investment trust maintained and managed by BlackRock Institutional Trust Company, N.A. As a global investment manager and fiduciary to our clients, our purpose at BlackRock is to help everyone experience financial well-being. See the funds' prospectuses for more information. May be lower on funds that have set a lower breakpoint for purchasing Investor A shares without a front-end sales charge. Investor A Shares—Purchased with varying initial sales charges, depending on the fund and investment amount, and provide up-front commissions and ongoing trails that begin immediately. The Fund invests in equity securities (e.g. Summit’s sponsor has no legal obligation to provide financial support to Summit, and you should not expect that the sponsor will provide financial support to Summit at any time. Carefully consider the Funds' investment objectives, risk factors, and charges and expenses before investing. 0.75% on $1,000,000 to $2,999,999, 0.50% on $3,000,000 to $14,999,999, and 0.25% on $15,000,000 and above. These fees are paid over the life of the investment and you receive 1.00% immediately and an ongoing trail of 1.00% that begins in the 13th month, subject to certain broker/dealer payout policies. Not all funds mentioned in this pricing guide are available at this time. 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