-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, Tno2fherr6CwAB/5iPqy4Be4fsic2WNsuRkqaZ5vQlWoK/SMP+0H+U3ZGOzEvRbL zWPwWbZWNJBlZxLkeMcg7w== 0000900092-09-001004.txt : 20090928 0000900092-09-001004.hdr.sgml : 20090927 20090928154648 ACCESSION NUMBER: 0000900092-09-001004 CONFORMED SUBMISSION TYPE: N-Q PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20090731 FILED AS OF DATE: 20090928 DATE AS OF CHANGE: 20090928 EFFECTIVENESS DATE: 20090928 FILER: COMPANY DATA: COMPANY CONFORMED NAME: BLACKROCK GLOBAL ALLOCATION FUND, INC. CENTRAL INDEX KEY: 0000834237 IRS NUMBER: 222937779 STATE OF INCORPORATION: MD FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: N-Q SEC ACT: 1940 Act SEC FILE NUMBER: 811-05576 FILM NUMBER: 091090239 BUSINESS ADDRESS: STREET 1: 100 BELLEVUE PARKWAY CITY: WILMINGTON STATE: DE ZIP: 19809 BUSINESS PHONE: 800-441-7762 MAIL ADDRESS: STREET 1: 100 BELLEVUE PARKWAY CITY: WILMINGTON STATE: DE ZIP: 19809 FORMER COMPANY: FORMER CONFORMED NAME: MERRILL LYNCH GLOBAL ALLOCATION FUND INC DATE OF NAME CHANGE: 19920703 FORMER COMPANY: FORMER CONFORMED NAME: MERRILL LYNCH GLOBAL INCOME FUND INC DATE OF NAME CHANGE: 19890706 0000834237 S000002245 BLACKROCK GLOBAL ALLOCATION FUND, INC. C000005790 Investor A C000005791 Investor B C000005792 Investor C C000005793 Institutional C000005794 Class R N-Q 1 globall.htm GLOBALL globall.htm - Produced by Pellegrini and Associates, Inc. | 134 Spring Street New York NY 10012 | (212) 925-5151

UNITEDSTATES
SECURITIESANDEXCHANGECOMMISSION
Washington,D.C.20549

FORM N-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED
MANAGEMENT INVESTMENT COMPANY

Investment Company Act file number 811-05576

Name of Fund: BlackRock Global Allocation Fund, Inc.

Fund Address: 100 Bellevue Parkway, Wilmington, DE 19809

Name and address of agent for service: Anne F. Ackerley, Chief Executive Officer, BlackRock
Global Allocation Fund, Inc., 40 East 52nd Street, New York, NY 10022.

Registrant’s telephone number, including area code: (800) 441-7762

Date of fiscal year end: 10/31/2009

Date of reporting period: 07/31/2009

Item 1 – Schedule of Investments


BlackRock Global Allocation Fund, Inc.       
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
Country  Common Stocks    Shares             Value 
Australia - 0.3%  BHP Billiton Ltd.    1,014,600  $ 32,014,747 
  Newcrest Mining Ltd.    634,500  16,004,973 
  Transurban Group    2,882,894  10,421,912 
  Woodside Petroleum Ltd.    974,000  37,330,653 
        95,772,285 
Austria - 0.0%  Telekom Austria AG    680,600  10,389,623 
Brazil - 1.8%  All America Latina Logistica SA    999,300  6,309,395 
  Cia Brasileira de Distribuicao Grupo Pao de Acucar     
  (Preference Shares)    1,703,231  39,747,382 
  Cia Energetica de Minas Gerais (a)    553,248  7,900,381 
  Cosan Ltd. (b)    1,709,300  11,486,496 
  GVT Holding SA (b)    622,500  12,047,957 
  Hypermarcas SA (b)    2,951,100  42,374,364 
  MRV Engenharia e Participacoes SA    780,100  13,275,184 
  Petroleo Brasileiro SA (a)    9,102,010  309,033,330 
  SLC Agricola SA    2,897,300  27,719,043 
  Usinas Siderurgicas de Minas Gerais SA       
  (Preference 'A' Shares)    395,100  9,381,176 
  Vivo Participacoes SA (a)    2,193,575  49,947,703 
        529,222,411 
Canada - 2.8%  Alamos Gold, Inc. (b)    2,512,300  22,598,456 
  BCE, Inc.    18,700  430,848 
  Barrick Gold Corp.    1,909,140  66,628,986 
  Canadian Natural Resources Ltd.    514,600  31,076,694 
  Canadian Pacific Railway Ltd.    1,246,100  55,423,006 
  Eldorado Gold Corp. (b)    4,523,500  45,476,449 
  EnCana Corp.    24,500  1,314,425 
  Goldcorp, Inc.    3,440,300  129,664,907 
  Golden Star Resources Ltd. (b)    1,500,000  3,689,951 
  IAMGOLD Corp.    6,813,300  71,948,448 
  IAMGOLD, International African Mining Gold Corp.  1,927,900  20,437,798 
  Kinross Gold Corp.    8,375,015  165,051,883 
  New Gold, Inc. (b)    350,000  1,042,933 
  Nexen, Inc.    47,500  988,475 
  Nortel Networks Corp. (b)    788,388  39,419 
  Petro-Canada    431,300  17,813,822 
  Rogers Communications, Inc. Class B    1,252,800  34,877,952 
  Sino-Forest Corp. (b)    2,491,000  33,991,831 
  TELUS Corp.    331,500  9,570,341 
  Talisman Energy, Inc.    290,900  4,491,806 
  Teck Resources Ltd. Class B (b)    96,900  2,547,501 
  Vittera, Inc. (b)    1,000,000  8,419,587 
  Yamaha Gold, Inc.    9,986,100  95,202,829 
        822,728,347 

1


BlackRock Global Allocation Fund, Inc.       
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
Country  Common Stocks     Shares               Value 
China - 1.4%  BaWang International (Group) Holding Ltd. (b)  1,491,500  $ 640,860 
  Beijing Enterprises Holdings Ltd.    20,688,400  103,842,447 
  Chaoda Modern Agriculture Holdings Ltd.    93,705,308  63,318,267 
  China BlueChemical Ltd.    9,577,100  5,366,548 
  China Communications Services Corp. Ltd.    368,400  233,799 
  China Life Insurance Co. Ltd. (a)(c)    356,166  23,706,409 
  China Mobile Ltd.    3,422,000  35,908,672 
  China Shenhua Energy Co. Ltd. Class H    13,396,100  54,449,437 
  China South Locomotive and Rolling Corp.    9,518,500  5,882,158 
  Denway Motors Ltd.    17,802,000  8,825,938 
  Guangshen Railway Co. Ltd.    38,312,500  18,500,729 
  Huaneng Power International, Inc.    3,000,000  2,348,791 
  Jiangsu Express    3,274,000  2,861,887 
  Ping An Insurance Group Co. of China Ltd.    1,507,300  13,308,842 
  Shanghai Industrial Holdings Ltd.    1,325,000  7,162,006 
  Tianjin Development Holdings Ltd. (d)    75,963,900  53,505,869 
  Tianjin Port Development Holdings Ltd.    30,251,200  12,852,204 
  Xiamen International Port Co. Ltd.    36,222,600  7,329,836 
  Yanzhou Coal Mining Co. Ltd.    300  464 
        420,045,163 
Egypt - 0.1%  Telecom Egypt    10,449,481  33,318,765 
Finland - 0.2%  Fortum Oyj    443,275  10,274,067 
  Nokia Oyj    477,401  6,419,334 
  Nokia Oyj (a)(c)    2,144,700  28,610,298 
        45,303,699 
France - 0.8%  Bouygues    223,452  9,493,238 
  Cie Generale d'Optique Essilor International SA  1,010,000  55,981,816 
  France Telecom SA    2,223,000  55,447,909 
  Sanofi-Aventis    250,917  16,416,750 
  Sanofi-Aventis (a)    31,800  1,037,952 
  Schneider Electric SA    108,208  9,823,223 
  Thales SA    271,200  11,472,580 
  Total SA    932,993  51,744,197 
  Vivendi SA    770,300  19,745,492 
        231,163,157 
Germany - 0.2%  Allianz AG Registered Shares    106,990  10,563,524 
  BASF SE    176,417  8,823,693 
  Bayer AG    250,232  15,335,418 
  Bayer AG (a)    12,400  759,500 
  Bayerische Motoren Werke AG    136,220  6,286,051 
  Deutsche Telekom AG    434,897  5,579,622 
  E.ON AG    432,935  16,357,807 
  GEA Group AG    555,854  9,087,442 
        72,793,057 

2


BlackRock Global Allocation Fund, Inc.     
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
Country  Common Stocks                                           Shares             Value 
Hong Kong - 0.5%  Cheung Kong Holdings Ltd.  1,699,000  $ 21,897,870 
  Cheung Kong Infrastructure Holdings Ltd.  4,499,900  16,385,206 
  Hutchison Whampoa Ltd.  3,798,000  28,389,242 
  The Link REIT  17,775,000  40,327,177 
  Wharf Holdings Ltd.  5,048,375  23,687,343 
      130,686,838 
India - 0.7%  Bharat Heavy Electricals Ltd.  980,000  45,729,842 
  Container Corp. of India  302,200  6,949,427 
  Hindustan Lever Ltd.  2,439,200  14,806,545 
  Housing Development Finance Corp.  335,000  17,783,268 
  Larsen & Toubro Ltd.  687,300  21,664,837 
  Reliance Industries Ltd. (b)  1,348,900  55,021,954 
  State Bank of India Ltd.  945,000  35,808,650 
      197,764,523 
Indonesia - 0.1%  Bumi Resources Tbk PT  66,291,433  18,667,211 
Ireland - 0.0%  Covidien Plc  329,420  12,455,370 
Israel - 0.2%  AFI Development Plc (a)  2,850,986  4,846,676 
  Check Point Software Technologies Ltd. (b)  60,400  1,612,076 
  Ectel Ltd. (a)(b)  227,521  147,889 
  Teva Pharmaceutical Industries Ltd. (a)  1,025,685  54,710,012 
      61,316,653 
Italy - 0.1%  Eni SpA  969,927  22,663,946 
  Finmeccanica SpA  356,772  5,411,026 
      28,074,972 
Japan - 7.4%  Aioi Insurance Co., Ltd.  14,303,300  67,780,898 
  Astellas Pharma, Inc.  1,675,100  63,629,731 
  Canon, Inc.  1,483,400  54,983,250 
  Coca-Cola Central Japan Co., Ltd.  574,500  7,996,152 
  Coca-Cola West Holdings Co., Ltd.  1,623,900  31,804,496 
  Daihatsu Motor Co., Ltd.  1,175,100  13,154,326 
  Daikin Industries Ltd.  137,000  4,944,476 
  Daiwa House Industry Co., Ltd.  2,181,000  22,422,931 
  East Japan Railway Co.  951,708  54,382,245 
  Fanuc Ltd.  107,900  8,816,364 
  Futaba Industrial Co., Ltd.  1,790,600  6,953,035 
  Hitachi Chemical Co., Ltd.  1,303,000  26,576,108 
  Hokkaido Coca-Cola Bottling Co., Ltd.  511,000  2,698,040 
  Honda Motor Co., Ltd.  1,057,200  33,808,622 
  Hoya Corp.  2,205,000  52,997,485 
  JGC Corp.  2,396,000  41,352,471 
  KDDI Corp.  13,545  71,654,356 
  Kinden Corp.  1,672,000  14,013,003 
  Kirin Holdings Co., Ltd.  3,118,500  46,462,966 
  Kubota Corp.  6,836,100  61,138,374 
  Kyowa Hakko Kirin Co. Ltd.  1,693,000  19,388,646 
  Marco Polo Investment Holdings Ltd. (b)  4,274  - 

3


BlackRock Global Allocation Fund, Inc.       
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
Country  Common Stocks     Shares             Value 
  Mikuni Coca-Cola Bottling Co., Ltd.    1,393,100  $ 11,476,017 
  Mitsubishi Corp.    5,161,900  102,503,550 
  Mitsubishi Tanabe Pharma Corp.    1,006,000  11,950,817 
  Mitsui & Co., Ltd.    5,655,300  70,465,273 
  Mitsui Sumitomo Insurance Group Holdings, Inc.  1,246,695  31,845,905 
  Murata Manufacturing Co., Ltd.    653,400  31,823,155 
  NCB Holdings Ltd. (b)    34,970  - 
  NGK Insulators Ltd.    795,500  17,910,215 
  NTT DoCoMo, Inc.    73,162  105,658,856 
  NTT Urban Development Co.    11,200  10,564,090 
  Nintendo Co., Ltd.    78,000  20,956,571 
  Nippon Sheet Glass Co., Ltd.    189,000  562,253 
  Nippon Telegraph & Telephone Corp.    840,000  34,675,027 
  Nipponkoa Insurance Co., Ltd.    8,492,300  50,503,747 
  Okumura Corp.    6,040,800  25,109,079 
  Panasonic Corp.    2,341,600  37,012,270 
  RHJ International (a)(b)    911,000  5,907,912 
  RHJ International (b)    3,474,800  22,509,579 
  Rinnai Corp.    271,300  11,814,432 
  Rohm Co., Ltd.    253,600  18,784,200 
  Sekisui House Ltd.    5,115,000  48,019,075 
  Seven & I Holdings Co., Ltd.    2,574,800  60,321,000 
  Shimachu Co., Ltd.    302,000  6,395,828 
  Shin-Etsu Chemical Co., Ltd.    1,587,700  85,152,842 
  Shionogi & Co., Ltd.    1,090,400  22,402,472 
  Sony Corp. (a)    27,800  777,288 
  Sumitomo Chemical Co., Ltd.    24,556,400  121,131,420 
  Sumitomo Electric Industries Ltd.    581,500  7,213,725 
  Sumitomo Mitsui Financial Group, Inc.    1,021,300  43,474,031 
  Suzuki Motor Corp.    3,151,000  79,241,159 
  TDK Corp.    152,400  7,972,061 
  Tadano Ltd.    606,000  2,893,090 
  Takeda Pharmaceutical Co., Ltd.    789,500  31,804,792 
  Terumo Corp.    205,000  10,387,972 
  Toda Corp.    4,179,300  15,915,631 
  Toho Co., Ltd.    1,392,000  24,740,310 
  Tokio Marine Holdings, Inc.    4,079,500  117,596,075 
  Tokyo Gas Co., Ltd.    11,317,000  41,482,178 
  Toyota Industries Corp.    1,710,500  46,102,607 
  Toyota Motor Corp.    758,300  31,828,394 
  Ube Industries Ltd.    8,735,800  25,153,841 
  West Japan Railway Co.    5,020  15,999,487 
        2,174,996,201 
Kazakhstan - 0.2%  KazMunaiGas Exploration Production (a)    3,419,100  73,681,605 
Luxembourg - 0.1%  ArcelorMittal    395,857  14,266,303 
Malaysia - 0.3%  Axiata Group Bhd (b)    8,437,500  7,037,981 

4


BlackRock Global Allocation Fund, Inc.     
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
Country  Common Stocks                                           Shares             Value 
  British American Tobacco Malaysia Bhd  1,131,000  $ 14,924,948 
  Genting Malaysia Bhd  5,027,888  4,196,463 
  IOI Corp. Bhd  18,696,656  25,988,713 
  PLUS Expressways Bhd  3,642,800  3,390,905 
  Telekom Malaysia Bhd  5,850,000  4,964,748 
  Tenaga Nasional Bhd  9,249,444  21,396,135 
      81,899,893 
Mexico - 0.1%  America Movil, SA de CV (a)  665,200  28,610,252 
  Fomento Economico Mexicano, SA de CV (a)  349,200  13,479,120 
      42,089,372 
Netherlands - 0.1%  Koninklijke KPN NV  1,322,069  19,885,163 
  Koninklijke Philips Electronics NV  74,300  1,691,068 
  Unilever NV (a)  267,300  7,270,560 
      28,846,791 
Norway - 0.1%  StatoilHydro ASA  1,105,000  23,625,836 
Philippines - 0.0%  First Gen Corp. (b)  450,000  210,302 
Russia - 1.0%  Kuzbassrazrezugol (b)  48,662,296  8,637,558 
  MMC Norilsk Nickel (a)  1,560,974  15,625,350 
  Novorossiysk Commercial Sea Port (a)  5,050,829  65,155,694 
  OAO Gazprom (a)  2,367,000  48,878,550 
  Polyus Gold Co. ZAO (a)  1,221,400  26,260,100 
  RusHydro (a)  19,490,823  67,633,156 
  Sberbank  26,283,800  36,008,806 
  Surgutneftegaz (a)  1,423,200  11,072,496 
  Uralkali (a)  88,300  1,624,720 
      280,896,430 
Singapore - 0.8%  CapitaLand Ltd.  4,556,700  12,085,658 
  Fraser and Neave Ltd.  8,750,000  25,200,373 
  Keppel Corp. Ltd.  8,844,900  51,510,663 
  MobileOne Ltd.  10,800,000  12,586,941 
  Noble Group Ltd.  5,085,317  7,380,893 
  Oversea-Chinese Banking Corp.  3,900,000  21,175,572 
  Parkway Holdings Ltd.  13,359,853  19,393,673 
  Parkway Life Real Estate Investment Trust  449,995  319,027 
  Sembcorp Marine Ltd.  4,629,100  10,029,969 
  Singapore Press Holdings Ltd.  4,350,000  10,842,565 
  Singapore Telecommunications Ltd.  23,351,910  56,752,133 
      227,277,467 
South Africa - 0.1%  Anglo Platinum Ltd.  79,000  5,635,380 
  Gold Fields Ltd. (a)  550,000  6,633,000 
  Impala Platinum Holdings Ltd.  310,000  7,502,199 
  Katanga Mining Ltd. (b)  5,006,133  3,160,056 
  Sasol Ltd.  152,000  5,441,224 
      28,371,859 
South Korea - 0.8%  Cheil Industries, Inc.  215,411  8,334,444 
  KT Corp. (a)  2,127,300  34,164,438 

5


BlackRock Global Allocation Fund, Inc.       
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
Country  Common Stocks     Shares             Value 
  KT&G Corp.    652,800  $ 37,890,839 
  Korean Reinsurance Co.    316,706  3,024,129 
  LS Corp.    291,400  20,155,905 
  Meritz Fire & Marine Insurance Co. Ltd.    324,466  1,737,944 
  POSCO    45,230  18,368,124 
  POSCO (a)    217,800  22,013,046 
  Paradise Co. Ltd.    1,915,226  5,223,421 
  SK Telecom Co., Ltd.    77,940  11,769,895 
  Samsung Electronics Co., Ltd.    92,100  54,229,087 
  Samsung Fine Chemicals Co., Ltd.    467,400  19,207,610 
        236,118,882 
Spain - 0.2%  Iberdrola Renovables    1,315,200  6,075,462 
  Telefonica SA    1,325,328  32,973,783 
  Telefonica SA (a)    186,798  13,942,603 
        52,991,848 
Sweden - 0.0%  Autoliv, Inc.    24,600  880,926 
Switzerland - 0.8%  Credit Suisse Group AG    349,240  16,503,633 
  Foster Wheeler AG (b)    898,791  20,762,072 
  Nestle SA Registered Shares    2,039,031  83,792,863 
  Noble Corp.    44,000  1,489,840 
  Novartis AG Registered Shares    317,171  14,491,382 
  Roche Holding AG    136,115  21,458,104 
  Transocean Ltd. (b)    267,000  21,277,230 
  Tyco Electronics Ltd.    335,194  7,196,615 
  Tyco International Ltd.    329,246  9,949,814 
  Weatherford International Ltd. (b)    499,800  9,376,248 
  Zurich Financial Services AG    124,699  24,488,142 
        230,785,943 
Taiwan - 0.6%  ASUSTek Computer, Inc.    3,823,000  6,049,581 
  Catcher Technology Co. Ltd.    2,104,000  5,896,129 
  Chunghwa Telecom Co., Ltd.    9,631,331  19,316,678 
  Chunghwa Telecom Co., Ltd. (a)    2,323,976  40,576,612 
  Delta Electronics, Inc.    10,769,011  27,856,663 
  HON HAI Precision Industry Co., Ltd.    4,959,375  17,123,397 
  HTC Corp.    379,000  5,169,143 
  MediaTek, Inc.    418,000  6,006,021 
  Taiwan Cement Corp.    24,323,534  25,737,971 
  Taiwan Semiconductor Manufacturing Co., Ltd.  20,433,808  36,387,458 
        190,119,653 
Thailand - 0.2%  Hana Microelectronics Pcl    10,705,000  5,945,475 
  PTT Public Co. THB10    3,250,000  22,920,952 
  Siam Commercial Bank Pcl    12,594,600  28,590,445 
        57,456,872 
United Kingdom - 1.2%  AstraZeneca Group Plc (a)    27,000  1,253,880 
  BP Plc    5,655,503  46,899,391 
  BP Plc (a)    1,453,600  72,738,144 

6


BlackRock Global Allocation Fund, Inc.     
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
Country  Common Stocks                                           Shares             Value 
  British American Tobacco Plc  682,043  $ 21,170,295 
  Cadbury Plc (a)  505,536  19,983,838 
  Diageo Plc (a)  1,215,000  75,791,700 
  Guinness Peat Group Plc  32,072,701  16,132,927 
  HSBC Holdings Plc  1,459,600  14,769,478 
  Shire Pharmaceuticals Plc (a)  32,600  1,460,806 
  Unilever Plc  646,606  17,043,829 
  Vodafone Group Plc  22,331,161  45,912,871 
  Vodafone Group Plc (a)  1,314,786  27,058,296 
      360,215,455 
United States - 28.2%  3Com Corp. (b)  7,469,116  28,158,567 
  3M Co.  757,300  53,404,796 
  ACE Ltd.  1,995,905  97,919,099 
  AT&T Inc.  9,234,770  242,228,017 
  Abbott Laboratories  1,785,900  80,347,641 
  Accenture Ltd. Class A  42,000  1,472,940 
  Aetna, Inc.  1,982,500  53,468,025 
  Affiliated Computer Services, Inc. Class A (b)  26,800  1,270,588 
  Alliance Resource Partners LP  396,262  14,075,226 
  The Allstate Corp.  331,700  8,926,047 
  Altria Group, Inc.  1,866,500  32,719,745 
  Amdocs Ltd. (b)  61,200  1,463,904 
  American Commercial Lines, Inc. (b)(d)  711,846  11,119,027 
  AmerisourceBergen Corp.  513,300  10,122,276 
  Amgen, Inc. (b)  560,800  34,943,448 
  Amphenol Corp. Class A  128,400  4,282,140 
  Anadarko Petroleum Corp.  800,600  38,588,920 
  Analog Devices, Inc.  223,700  6,122,669 
  Apache Corp.  535,800  44,980,410 
  Apple, Inc. (b)  397,100  64,882,169 
  Arch Capital Group Ltd. (b)  302,100  18,787,599 
  Archer-Daniels-Midland Co.  44,100  1,328,292 
  Ascent Media Corp. Class A (b)  3,255  90,229 
  Autodesk, Inc. (b)  181,900  3,967,239 
  Avnet, Inc. (b)  21,200  517,280 
  Avon Products, Inc.  556,400  18,016,232 
  Axis Capital Holdings Ltd.  19,300  549,278 
  BMC Software, Inc. (b)  140,900  4,794,827 
  Bank of America Corp.  2,491,900  36,855,201 
  The Bank of New York Mellon Corp.  4,315,548  117,987,082 
  Baxter International, Inc.  209,982  11,836,685 
  Big Lots, Inc. (b)  26,300  605,952 
  Biogen Idec, Inc. (b)  27,100  1,288,605 
  Boeing Co.  1,701,800  73,024,238 
  Boston Scientific Corp. (b)  1,057,500  11,357,550 
  Bristol-Myers Squibb Co.  12,361,300  268,734,662 

7


BlackRock Global Allocation Fund, Inc.     
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
Country  Common Stocks  Shares             Value 
  Broadcom Corp. Class A (b)  430,100  $ 12,141,723 
  Bunge Ltd.  170,749  11,947,308 
  Burlington Northern Santa Fe Corp.  1,516,600  119,189,594 
  CA, Inc.  3,139,600  66,371,144 
  CF Industries Holdings, Inc.  18,100  1,428,814 
  CMS Energy Corp.  701,900  9,082,586 
  CNA Financial Corp.  15,700  267,685 
  CNX Gas Corp. (b)  421,212  12,379,421 
  CVS Caremark Corp.  945,700  31,662,036 
  Calpine Corp. (b)  124,800  1,607,424 
  Cell Genesys, Inc. (b)  673,235  181,773 
  CenturyTel, Inc.  184,249  5,783,589 
  Chevron Corp.  2,723,750  189,218,913 
  Chubb Corp.  785,800  36,288,244 
  Cigna Corp.  2,100,000  59,640,000 
  Circuit City Stores, Inc. (b)  558,700  5,140 
  Cisco Systems, Inc. (b)  5,316,917  117,025,343 
  Citigroup, Inc.  3,696,523  11,717,978 
  The Coca-Cola Co.  553,000  27,561,520 
  Cognizant Technology Solutions Corp. (b)  220,100  6,512,759 
  Comcast Corp. Class A  6,118,563  90,921,846 
  Complete Production Services, Inc. (b)  1,697,000  14,017,220 
  Computer Sciences Corp. (b)  150,850  7,266,445 
  Comverse Technology, Inc. (b)  2,552,750  20,192,253 
  ConAgra Foods, Inc.  575,925  11,305,408 
  ConocoPhillips  2,051,100  89,653,581 
  Consol Energy, Inc.  2,739,247  97,325,446 
  Constellation Brands, Inc. Class A (b)  401,700  5,487,222 
  Corning, Inc.  5,799,300  98,588,100 
  Crown Holdings, Inc. (b)  600,900  15,082,590 
  DISH Network Corp. (b)  610,500  10,347,975 
  DaVita, Inc. (b)  501,800  24,939,460 
  Dell, Inc. (b)  1,316,400  17,613,432 
  Devon Energy Corp.  752,400  43,706,916 
  Discover Financial Services, Inc.  3,450  40,986 
  Discovery Communications, Inc. Class A (b)  32,550  797,475 
  Discovery Communications, Inc. Class C (b)  32,550  729,120 
  Dover Corp.  32,200  1,095,122 
  The Dow Chemical Co.  2,142,300  45,352,491 
  Dr. Pepper Snapple Group, Inc. (b)  398,152  9,798,521 
  E.I. du Pont de Nemours & Co.  1,487,000  45,992,910 
  EMC Corp. (b)  1,792,549  26,995,788 
  ENSCO International, Inc.  131,600  4,986,324 
  eBay, Inc. (b)  1,089,500  23,151,875 
  Edison International  44,400  1,435,008 
  El Paso Corp.  5,188,543  52,196,743 

8


BlackRock Global Allocation Fund, Inc.     
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
Country  Common Stocks  Shares             Value 
  Electronic Arts, Inc. (b)  1,056,800  $ 22,689,496 
  Eli Lilly & Co.  994,300  34,691,127 
  Endo Pharmaceuticals Holdings, Inc. (b)  185,600  3,899,456 
  Endurance Specialty Holdings Ltd.  874,600  29,185,402 
  Entergy Corp.  468,800  37,658,704 
  Everest Re Group Ltd.  169,200  13,573,224 
  Exelon Corp.  629,100  31,996,026 
  Extreme Networks, Inc. (b)  68,641  155,815 
  Exxon Mobil Corp.  3,548,042  249,746,676 
  FMC Corp.  670,200  32,598,528 
  FPL Group, Inc.  1,146,200  64,955,154 
  FairPoint Communications, Inc.  56,015  33,049 
  Family Dollar Stores, Inc.  45,000  1,413,900 
  Fidelity National Information Services, Inc.  190,000  4,449,800 
  Fidelity National Title Group, Inc. Class A  3,231,600  46,373,460 
  Fluor Corp.  29,300  1,547,040 
  Forest Laboratories, Inc. (b)  272,500  7,038,675 
  Frontline Ltd.  29,900  683,813 
  The Gap, Inc.  82,900  1,352,928 
  Garmin Ltd.  62,900  1,739,814 
  General Communication, Inc. Class A (b)  657,800  4,505,930 
  General Dynamics Corp.  94,057  5,209,817 
  General Electric Co.  5,397,300  72,323,820 
  General Mills, Inc.  391,000  23,033,810 
  Genzyme Corp. (b)  532,800  27,646,992 
  Gilead Sciences, Inc. (b)  585,400  28,643,622 
  Global Industries Ltd. (b)  4,880,600  33,334,498 
  Goodrich Corp.  28,700  1,474,032 
  Google, Inc. Class A (b)  246,129  109,047,453 
  H.J. Heinz Co.  392,598  15,099,319 
  Halliburton Co.  911,300  20,130,617 
  Hanesbrands, Inc. (b)  50,875  1,012,413 
  Harris Corp.  99,600  3,118,476 
  HealthSouth Corp. (b)  533,765  7,686,216 
  Hess Corp.  540,800  29,852,160 
  Hewitt Associates, Inc. Class A (b)  33,000  987,690 
  Hewlett-Packard Co.  2,155,700  93,341,810 
  Hologic, Inc. (b)  4,010,800  58,918,652 
  Honeywell International, Inc.  14,100  489,270 
  Humana, Inc. (b)  1,558,700  51,203,295 
  IPC Holdings, Ltd.  553,485  16,017,856 
  International Business Machines Corp.  1,316,639  155,271,237 
  International Game Technology  1,764,000  34,839,000 
  International Paper Co.  530,233  9,973,683 
  JDS Uniphase Corp. (b)  313,092  1,834,719 
  JPMorgan Chase & Co.  4,916,000  190,003,400 

9


BlackRock Global Allocation Fund, Inc.       
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
Country  Common Stocks     Shares  Value 
  Johnson & Johnson    3,658,700  $ 222,778,243 
  KBR, Inc.    738,400  15,646,696 
  Key Energy Services, Inc. (b)    565,600  3,925,264 
  King Pharmaceuticals, Inc. (b)    279,900  2,538,693 
  Kraft Foods, Inc.    2,920,668  82,771,731 
  L-3 Communications Holdings, Inc.    8,600  649,300 
  LSI Corp. (b)    218,428  1,131,457 
  Lexmark International, Inc. Class A (b)    812,200  11,760,656 
  Liberty Media Corp. - Entertainment Class A (b)  768  21,481 
  Liberty Media Holding Corp. - Capital (b)    192  2,799 
  Liberty Media Holding Corp. - Interactive (b)  48,153  320,699 
  Life Technologies Corp. (b)    351,500  16,003,795 
  Lockheed Martin Corp.    443,300  33,141,108 
  MEMC Electronic Materials, Inc. (b)    164,500  2,898,490 
  Macquarie Infrastructure Co. LLC    519,200  2,019,688 
  Manpower, Inc.    9,700  465,115 
  Marathon Oil Corp.    1,959,636  63,198,261 
  Marsh & McLennan Cos., Inc.    95,200  1,943,984 
  Mattel, Inc.    1,397,800  24,573,324 
  McDermott International, Inc. (b)    827,900  16,177,166 
  McDonald's Corp.    621,100  34,197,766 
  The McGraw-Hill Cos., Inc.    49,700  1,558,095 
  McKesson Corp.    450,700  23,053,305 
  Mead Johnson Nutrition Co.    570,900  20,786,469 
  Medco Health Solutions, Inc. (b)    659,800  34,877,028 
  Medtronic, Inc.    2,372,400  84,030,408 
  Merck & Co., Inc.    2,614,000  78,446,140 
  MetLife, Inc.    628,575  21,340,121 
  Mettler Toledo International, Inc. (b)    125,900  10,583,154 
  Microsoft Corp.    12,801,750  301,097,160 
  Morgan Stanley    1,183,600  33,732,600 
  Motorola, Inc.    4,508,750  32,282,650 
  Murphy Oil Corp.    257,200  14,969,040 
  Mylan, Inc. (b)(c)    1,693,458  22,336,711 
  Nabors Industries Ltd. (b)    306,500  5,216,630 
  National Oilwell Varco, Inc. (b)    1,195,800  42,977,052 
  National Semiconductor Corp.    190,100  2,862,906 
  NetApp, Inc. (b)    259,600  5,830,616 
  Newmont Mining Corp.    2,396,515  99,095,895 
  News Corp. Class A    2,149,500  22,204,335 
  Noble Energy, Inc.    14,500  886,240 
  Northern Trust Corp.    1,443,474  86,334,180 
  Northrop Grumman Corp.    27,300  1,217,034 
  Novell, Inc. (b)    532,900  2,440,682 
  Novellus Systems, Inc. (b)    73,200  1,432,524 
  Occidental Petroleum Corp.    915,381  65,303,281 

10


BlackRock Global Allocation Fund, Inc.     
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
Country  Common Stocks                                           Shares             Value 
  Oracle Corp.  3,054,700  $ 67,600,511 
  PPL Corp.  613,500  20,730,165 
  Pall Corp.  101,400  3,050,112 
  Panera Bread Co. Class A (b)  196,400  10,794,144 
  PartnerRe Ltd.  173,500  11,900,365 
  Pepsi Bottling Group, Inc.  23,500  797,825 
  PepsiAmericas, Inc.  167,000  4,472,260 
  PerkinElmer, Inc.  463,700  8,175,031 
  Perrigo Co.  381,100  10,343,054 
  Pfizer, Inc.  9,194,100  146,462,013 
  PharMerica Corp. (b)  17,575  368,372 
  Philip Morris International, Inc.  1,162,900  54,191,140 
  Pitney Bowes, Inc.  49,900  1,030,435 
  Platinum Underwriters Holdings Ltd.  369,300  12,463,875 
  Polycom, Inc. (b)  2,120,500  50,361,875 
  Praxair, Inc.  100,000  7,818,000 
  Precision Castparts Corp.  353,500  28,212,835 
  Pride International, Inc. (b)  54,400  1,363,808 
  Principal Financial Group, Inc.  446,800  10,589,160 
  The Procter & Gamble Co.  2,528,900  140,379,239 
  The Progressive Corp.  1,040,900  16,217,222 
  QUALCOMM, Inc.  1,487,950  68,758,170 
  Quest Diagnostics, Inc.  27,200  1,485,664 
  Qwest Communications International Inc.  8,787,001  33,917,824 
  Ralcorp Holdings, Inc. (b)  86,662  5,503,904 
  Raytheon Co.  10,800  507,060 
  RenaissanceRe Holdings Ltd.  370,500  18,617,625 
  Reynolds American, Inc.  19,600  852,796 
  Ross Stores, Inc.  43,600  1,922,324 
  RusHydro (b)  64,472,822  2,237,207 
  Ryder System, Inc.  46,800  1,644,084 
  SUPERVALU, Inc.  203,876  3,023,481 
  Safeway, Inc.  54,200  1,026,006 
  Sara Lee Corp.  4,339,900  46,176,536 
  Schering-Plough Corp.  2,880,700  76,367,357 
  Schlumberger Ltd.  869,788  46,533,658 
  Seagate Technology  40,500  487,620 
  Smith International, Inc.  204,487  5,138,758 
  The Southern Co.  239,400  7,517,160 
  Spirit Aerosystems Holdings, Inc. Class A (b)  2,699,700  35,123,097 
  Sprint Nextel Corp. (b)  3,441,000  13,764,000 
  The St. Joe Co. (b)  1,178,000  33,172,480 
  Stone Energy Corp. (b)  184,500  2,003,670 
  Sun Microsystems, Inc. (b)  1,049,962  9,628,152 
  Sunoco, Inc.  10,300  254,307 
  Synopsys, Inc. (b)  68,700  1,372,626 

11


BlackRock Global Allocation Fund, Inc.       
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
Country  Common Stocks    Shares               Value 
  Tellabs, Inc. (b)    263,300  $ 1,527,140 
  Teradata Corp. (b)    169,200  4,157,244 
  Texas Instruments, Inc.    982,800  23,636,340 
  Thermo Fisher Scientific, Inc. (b)    560,600  25,383,968 
  Time Warner Cable, Inc.    144,255  4,769,070 
  Time Warner, Inc.    574,633  15,319,716 
  Total System Services, Inc.    146,600  2,152,088 
  Transatlantic Holdings, Inc.    208,800  9,878,328 
  The Travelers Cos., Inc.    1,450,658  62,479,840 
  U.S. Bancorp    3,142,200  64,132,302 
  URS Corp. (b)    28,600  1,447,160 
  Unifi, Inc. (b)    1,621,711  3,405,593 
  Unilever Plc (a)    419,600  11,056,460 
  Union Pacific Corp.    1,870,700  107,602,664 
  United Technologies Corp.    224,000  12,201,280 
  UnitedHealth Group, Inc.    2,667,700  74,855,662 
  Valero Energy Corp.    58,600  1,054,800 
  Verizon Communications, Inc.    5,159,300  165,458,751 
  Viacom, Inc. Class B (b)    2,271,600  52,610,256 
  WABCO Holdings, Inc.    4,400  83,644 
  Wal-Mart Stores, Inc.    2,733,500  136,346,980 
  Waters Corp. (b)    504,000  25,326,000 
  WellPoint, Inc. (b)    1,362,500  71,722,000 
  Wells Fargo & Co.    4,152,600  101,572,596 
  Western Digital Corp. (b)    224,041  6,777,240 
  The Western Union Co.    702,400  12,277,952 
  Windstream Corp.    505,566  4,433,814 
  Wyeth    1,804,100  83,980,855 
  XL Capital Ltd. Class A    5,310,337  74,769,545 
  XTO Energy, Inc.    522,000  21,000,060 
  Xerox Corp.    5,148,500  42,166,215 
  Xilinx, Inc.    57,800  1,253,682 
        8,260,307,954 
  Total Common Stocks - 51.4%      15,074,741,666 
  Fixed Income Securities       
         Par   
  Asset-Backed Securities    (000)   
United States - 0.0%  Latitude CLO Ltd. Series 2005-1I Class SUB,       
  0.00%, 12/15/17 (g)  USD  8,000  80,000 
  Total Asset-Backed Securities- 0.0%      80,000 
  Corporate Bonds       
Brazil - 0.0%  Cosan Finance Ltd., 7.00%, 2/01/17 (e)    7,050  6,424,313 
Canada - 0.2%  Rogers Wireless Communications, Inc.,       
  7.63%, 12/15/11  CAD  6,250  6,432,989 
  Sino-Forest Corp., 5.00%, 8/01/13 (e)(f)  USD  70,625  64,886,719 
  Sino-Forest Corp., 10.25%, 7/28/14 (e)    3,144  3,238,320 
        74,558,028 

12


BlackRock Global Allocation Fund, Inc.         
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
         Par   
Country  Corporate Bonds      (000)             Value 
China - 0.7%  Celestial Nutrifoods Ltd., 30.53%, 6/12/11 (f)(g)  SGD  89,400  $ 41,931,001 
  Chaoda Modern Agriculture Holdings Ltd.,         
  7.75%, 2/08/10    USD  17,113  16,899,088 
  China Petroleum & Chemical Corp.,         
  5.72%, 4/24/14 (f)(g)    HKD  271,770  38,187,822 
  GOME Electrical Appliances Holdings Ltd.,         
  8.26%, 5/18/14 (f)(g)    USD  484,800  67,145,094 
  Pine Agritech Ltd., 20.99%, 7/27/12 (f)(g)      416,500  48,769,778 
          212,932,783 
Europe - 0.5%  European Investment Bank, 11.36%, 9/21/10 (e)(g)  BRL  127,600  60,012,863 
  European Investment Bank, 4.38%, 4/15/13  EUR  37,150  56,683,706 
  European Investment Bank Series 1158/0100, 3.63%,       
  10/15/11      14,382  21,398,516 
          138,095,085 
France - 0.0%  Compagnie Generale des Etablissements Michelin       
  Series ML, 5.20%, 1/01/17 (f)(g)      9,371  12,855,832 
Germany - 0.6%  KfW - Kreditanstalt fuer Wiederaufbau,         
  3.25%, 6/27/13 (f)      81,000  118,904,481 
  Kreditanstalt fuer Wiederaufbau Series DPW, 0.50%,       
  2/03/10 (f)      45,420  63,996,101 
          182,900,582 
Hong Kong - 0.5%  CITIC Resources Finance Ltd., 6.75%, 5/15/14 (e)  USD  25,822  25,111,895 
  FU JI Food and Catering Services Holdings Ltd.,       
  44.74%, 10/18/10 (f)(g)    CNY  190,300  21,106,223 
  Hongkong Land CB 2005 Ltd., 2.75%, 12/21/12 (f)  USD  7,500  8,737,500 
  Hutchison Whampoa International (03/33) Ltd.,       
  5.45%, 11/24/10      15,000  15,649,080 
  Hutchison Whampoa International (03/33) Ltd.,       
  5.45%, 11/24/10 (e)      5,500  5,709,435 
  Hutchison Whampoa International (03/33) Ltd.,       
  6.25%, 1/24/14      12,662  13,647,977 
  Hutchison Whampoa International (09) Ltd.,       
  7.63%, 4/09/19 (e)      29,713  33,988,255 
  Noble Group Ltd., 8.50%, 5/30/13 (e)      29,558  29,705,790 
          153,656,155 
India - 1.0%  Gujarat NRE Coke Ltd., 18.19%, 4/12/11 (f)(g)    10,100  10,100,000 
  Housing Development Finance Corp.,         
  7.74%, 9/27/10 (f)(g)      24,300  39,973,500 
  Punj Lloyd Ltd., 14.22%, 4/08/11 (f)(g)      16,300  17,441,000 
  Reliance Communications Ltd., 15.14%, 5/10/11 (f)(g)    38,750  44,175,000 
  Reliance Communications Ltd., 10.72%, 3/01/12 (f)(g)    104,700  106,588,893 
  Suzlon Energy Ltd., 22.10%, 6/12/12 (f)(g)      24,975  21,228,750 
  Tata Motors Ltd., 1.00%, 4/27/11 (f)      23,750  24,818,750 
  Tata Motors Ltd., 21.53%, 7/12/12 (f)(g)      4,300  3,977,500 
  Tata Steel Ltd., 1.00%, 9/05/12 (f)      26,100  27,470,250 
          295,773,643 

13


BlackRock Global Allocation Fund, Inc.         
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
           Par   
Country  Corporate Bonds      (000)               Value 
Ireland - 0.2%  EuroChem Finance, 7.88%, 3/21/12    USD  8,275  $ 7,795,050 
  TransCapital Invest Ltd. for OJSC AK Transneft,       
  6.10%, 6/27/12 (e)      8,000  7,850,400 
  TransCapital Invest Ltd. for OJSC AK Transneft,       
  5.67%, 3/05/14      8,085  7,529,156 
  TransCapital Invest Ltd. for OJSC AK Transneft,       
  8.70%, 8/07/18 (e)      15,100  15,100,000 
  VIP Finance Ireland Ltd. for OJSC Vimpel         
  Communications, 8.38%, 4/30/13 (h)      25,174  24,355,845 
          62,630,451 
Japan - 0.3%  The Bank of Kyoto Ltd., 1.80%, 3/31/14 (f)(g)  JPY  915,000  9,507,926 
  The Bank of Kyoto Ltd., Series 1, 1.90%, 9/30/09 (f)    1,783,000  23,967,684 
  The Mie Bank Ltd., 1.00%, 10/31/11 (f)      379,000  3,834,258 
  Nagoya Railroad Co. Ltd., 1.22%, 3/30/12 (f)(g)    156,000  1,689,828 
  Suzuki Motor Corp. Series 9, 3.82%, 3/29/13 (f)(g)    4,530,000  48,273,834 
          87,273,530 
Kazakhstan - 0.3%  KazMunaiGaz Finance Sub BV, 9.13%, 7/02/18 (e)  USD  88,763  81,218,145 
Luxembourg - 1.2%  ALROSA Finance SA, 8.88%, 11/17/14      12,489  11,926,995 
  Acergy SA Series ACY, 2.25%, 10/11/13 (f)      11,200  9,503,166 
  Evraz Group SA, 8.88%, 4/24/13 (e)      12,250  10,657,500 
  Evraz Group SA, 8.25%, 11/10/15      5,800  4,930,000 
  Evraz Group SA, 9.50%, 4/24/18 (e)      33,495  28,303,275 
  Gaz Capital SA, 2.89%, 11/15/12    JPY  1,800,000  15,208,778 
  Gaz Capital SA, 5.36%, 10/31/14    EUR  9,717  12,880,118 
  Gaz Capital SA, 5.88%, 6/01/15      6,555  8,712,158 
  Gaz Capital SA, 5.14%, 3/22/17      9,799  11,634,052 
  Gaz Capital SA, 5.44%, 11/02/17      7,706  9,285,510 
  Gaz Capital SA, 6.61%, 2/13/18      39,523  50,473,351 
  Gaz Capital SA, 8.15%, 4/11/18 (e)    USD  3,000  2,872,500 
  Gaz Capital SA, 8.63%, 4/28/34      14,490  15,069,600 
  Gazprom International SA, 7.20%, 2/01/20      25,856  25,468,009 
  TNK-BP Finance SA, 6.13%, 3/20/12 (e)      8,064  7,741,440 
  TNK-BP Finance SA, 7.50%, 3/13/13 (e)      4,900  4,765,250 
  TNK-BP Finance SA, 7.50%, 7/18/16 (e)      12,621  11,642,873 
  TNK-BP Finance SA, Series 2, 7.50%, 7/18/16    6,643  6,161,383 
  UBS Luxembourg SA for OJSC Vimpel         
  Communications, 8.25%, 5/23/16      19,590  17,606,513 
  UBS Luxembourg SA for OJSC Vimpel         
  Communications, 8.25%, 5/23/16 (e)      2,481  2,229,799 
  VIP Finance Ireland Ltd. for OJSC Vimpel         
  Communications, 9.13%, 4/30/18 (e)      94,670  85,676,350 
          352,748,620 
Malaysia - 1.0%  Berjaya Land Bhd, 8.00%, 8/15/11 (f)    MYR  71,700  20,800,714 
  Cherating Capital Ltd., 2.00%, 7/05/12 (f)(i)  USD  33,400  34,986,500 
  Feringghi Capital Ltd., 10.64%, 12/22/09 (f)(g)    20,700  23,339,250 
  IOI Resources, 8.28%, 1/15/13 (f)(g)      47,250  45,714,375 

14


BlackRock Global Allocation Fund, Inc.         
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
           Par   
Country  Corporate Bonds      (000)             Value 
  Johor Corp. Series P3, 1.00%, 7/31/12    MYR  179,132  $ 49,836,582 
  Rafflesia Capital Ltd., 1.25%, 10/04/11 (f)(i)  USD  69,200  77,482,672 
  YTL Power Finance Cayman Ltd., 2.68%, 5/09/10 (f)(g)    35,800  42,638,194 
          294,798,287 
Netherlands - 0.2%  ASM International NV, 4.25%, 12/06/11 (e)(f)    4,235  4,166,181 
  ASM International NV, 4.25%, 12/06/11 (f)      1,500  1,261,085 
  Heidelberg International Finance B.V.,         
  0.88%, 2/09/12 (f)    EUR  17,800  26,568,608 
  Pargesa Netherlands NV, 1.75%, 6/15/14 (f)  CHF  35,500  27,239,976 
          59,235,850 
Norway - 0.2%  Subsea 7, Inc., 2.80%, 6/06/11 (f)    USD  30,900  27,307,875 
  Subsea 7, Inc., 6.27%, 6/29/17 (f)(g)      19,600  18,280,038 
          45,587,913 
Philippines - 0.1%  First Gen Corp., 2.50%, 2/11/13 (f)      23,500  22,618,750 
Russia - 0.0%  Raspadskaya Securities Ltd. for OJSC Raspadskaya,       
  7.50%, 5/22/12      1,890  1,729,350 
Singapore - 1.1%  CapitaLand Ltd., 2.10%, 11/15/16 (f)    SGD  55,250  36,306,370 
  CapitaLand Ltd., 3.13%, 3/05/18 (f)      125,500  80,445,923 
  CapitaLand Ltd., 2.95%, 6/20/22 (f)      144,500  76,487,957 
  Keppel Land Ltd., 2.50%, 6/23/13 (f)      26,200  17,584,576 
  Noble Group Ltd., 6.63%, 3/17/15    USD  1,936  1,747,424 
  Wilmar International Ltd., 4.96%, 12/18/12 (f)(g)    37,200  44,882,507 
  Yanlord Land Group Ltd., 5.85%, 7/13/14 (f)  SGD  66,000  53,656,672 
          311,111,429 
South Korea - 0.4%  Korea Electric Power Corp., 1.60%, 11/23/11 (f)(g)  JPY  3,470,000  35,419,010 
  Korea Electric Power Corp., 5.13%, 4/23/34  USD  13,725  14,083,346 
  Zeus Cayman, 4.13%, 8/19/13 (f)(g)    JPY  8,155,000  81,821,474 
          131,323,830 
Sweden - 0.1%  Svensk Exportkredit AB, 10.50%, 9/29/15 (i)  TRY  31,601  15,485,773 
United Arab Emirates - 1.0%  Abu Dhabi National Energy Co.,         
  6.50%, 10/27/36    USD  6,431  5,482,428 
  Dana Gas Sukuk Ltd., 7.50%, 10/31/12 (f)      197,130  159,255,413 
  Nakheel Development Ltd., 3.17%, 12/14/09    105,155  91,747,738 
  Nakheel Development 2 Ltd., 2.75%, 1/16/11    56,155  37,062,300 
          293,547,879 
United Kingdom - 0.2%  Shire Plc, 2.75%, 5/09/14 (f)      62,022  55,390,670 
United States - 5.7%  The AES Corp., 8.38%, 3/01/11    GBP  3,393  5,611,169 
  Addax Petroleum Corp., 3.75%, 5/31/12 (f)  USD  31,800  35,616,000 
  Advanced Micro Devices, Inc., 7.75%, 11/01/12    1,207  941,460 
  Advanced Micro Devices, Inc., 6.00%, 5/01/15 (f)    323,361  195,633,405 
  Amgen, Inc., 0.38%, 2/01/13 (f)      103,185  103,700,925 
  Archer-Daniels-Midland Co., 0.88%, 2/15/14 (f)    21,854  21,580,825 
  Cell Genesys, Inc., 3.13%, 5/01/13 (f)      1,013  402,221 
  Chesapeake Energy Corp., 2.75%, 11/15/35 (f)    14,886  13,211,325 
  Chesapeake Energy Corp., 2.50%, 5/15/37 (f)    65,692  50,172,265 
  Chesapeake Energy Corp., 2.25%, 12/15/38 (f)    42,384  26,754,900 

15


BlackRock Global Allocation Fund, Inc.         
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
           Par   
Country  Corporate Bonds      (000)             Value 
  China Milk Products Group Ltd., 16.19%,         
  1/05/12 (f)(g)    USD  39,800  $ 43,569,617 
  Crown Cork & Seal Co., Inc., 7.50%, 12/15/96    5,904  4,752,720 
  General Cable Corp., 1.00%, 10/15/12 (f)      10,747  9,027,480 
  General Electric Capital Corp., 0.47%, 1/15/10 (i)  JPY  6,640,000  69,669,722 
  Greenbrier Cos., Inc., 2.38%, 5/15/26 (f)    USD  13,820  8,775,700 
  Helix Energy Solutions Group, Inc.,         
  3.25%, 12/15/25 (f)      4,235  3,409,175 
  Hologic, Inc., 2.00%, 12/15/37 (f)(j)      150,545  115,543,288 
  IOI Capital Bhd Series IOI, 0.00%, 12/18/11 (f)(g)    34,545  39,640,388 
  Intel Corp., 2.95%, 12/15/35 (f)      35,358  30,849,855 
  Intel Corp., 3.25%, 8/01/39 (e)(f)      30,452  30,642,325 
  Mandra Forestry, 12.00%, 5/15/13 (b)(e)(k)(l)    22,750  15,925,000 
  McMoRan Exploration Co., 5.25%, 10/06/11 (e)(f)    6,425  5,742,344 
  McMoRan Exploration Co., 5.25%, 10/06/11 (f)    11,275  10,077,031 
  Medtronic, Inc., 1.50%, 4/15/11 (f)      8,013  7,892,805 
  Medtronic, Inc., 1.63%, 4/15/13 (f)      77,935  75,109,856 
  Millipore Corp., 3.75%, 6/01/26 (f)      5,009  5,127,964 
  Mylan, Inc., 1.25%, 3/15/12 (f)      67,486  60,568,685 
  Nabi Biopharmaceuticals, 2.88%, 4/15/25 (f)    3,520  3,401,200 
  Nextel Communications, Inc., 5.25%, 1/15/10 (f)    14,325  14,217,563 
  Northwest Airlines, Inc. Series 1999-3-B,         
  9.49%, 10/01/16 (b)(k)      4,942  528,792 
  Paka Capital Ltd., 5.09%, 3/12/13 (f)(g)      22,100  22,073,480 
  Pemex Project Funding Master Trust,         
  5.50%, 2/24/25    EUR  46,140  53,761,277 
  Preferred Term Securities, XXIV, Ltd.,         
  5.97%, 3/22/37 (e)(f)    USD  12,100  121 
  Preferred Term Securities, XXV, Ltd.,         
  5.76%, 6/22/37 (f)      12,150  7,290 
  Preferred Term Securities, XXVI, Ltd.,         
  6.19%, 9/22/37 (f)      9,900  99 
  Preferred Term Securities, XXVII, Ltd.,         
  6.29%, 12/22/37 (f)      7,100  71 
  Ranbaxy Laboratories Ltd., 19.25%, 3/18/11 (f)(g)    20,124  21,923,408 
  SBA Communications Corp., 4.00%, 10/01/14 (e)(f)    24,713  26,597,366 
  SOCO Finance Jersey Ltd., 4.50%, 5/16/13 (f)    3,214  3,190,837 
  SanDisk Corp., 1.00%, 5/15/13 (f)      99,463  69,624,100 
  Sino-Forest Corp., 5.00%, 8/01/13 (f)      3,625  3,136,640 
  SonoSite, Inc., 3.75%, 7/15/14 (f)      12,643  11,299,681 
  Suzlon Energy Ltd., 14.04%, 10/11/12 (f)(g)    38,300  31,789,000 
  Suzlon Energy Ltd., 0.00%, 7/25/14 (f)(g)      35,760  38,620,800 

16


BlackRock Global Allocation Fund, Inc.         
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
           Par   
                                                                                 Corporate Bonds         (000)             Value 
                                                                                 TNK-BP Finance SA, 6.63%, 3/20/17 (e)    USD  57,021  $ 49,038,060 
                                                                                 TNK-BP Finance SA, 7.88%, 3/13/18 (e)      73,120  66,539,200 
                                                                                 Tenet Healthcare Corp., 9.25%, 2/01/15      10,000  9,900,000 
                                                                                 Transocean, Inc., 1.50%, 12/15/37 (f)      154,004  144,763,760 
                                                                                 Transocean, Inc., Series A, 1.63%, 12/15/37 (f)    83,111  80,409,893 
                                                                                 Transocean, Inc., Series C, 1.50%, 12/15/37 (f)    20,774  18,982,243 
                                                                                 Uno Restaurant Corp., 10.00%, 2/15/11 (e)      4,790  981,950 
        1,660,735,281 
                                                                                 Total Corporate Bonds - 15.5%        4,552,632,179 
                                                                                 Foreign Government Obligations         
                                                                                 Australian Government Bonds, 5.75%, 6/15/11  AUD  69,401  59,577,119 
                                                                                 Brazil Notas do Tesouro Nacional, Series B,         
                                                                                 6.00%, 5/15/17    BRL  22,700  21,707,009 
                                                                                 Brazil Notas do Tesouro Nacional, Series F,         
                                                                                 10.00%, 1/01/17      623,373  286,283,530 
                                                                                 Bundesrepublik Deutschland, 4.00%, 7/04/16  EUR  176,500  268,632,894 
                                                                                 Bundesrepublik Deutschland, 4.25%, 7/04/17    145,500  224,043,164 
                                                                                 Bundesrepublik Deutschland, 3.50%, 7/04/19    102,640  148,786,379 
                                                                                 Bundesrepublik Deutschland, Series 07,         
                                                                                 4.00%, 1/04/18      57,000  86,270,577 
                                                                                 Bundesrepublik Deutschland, Series 08,         
                                                                                 4.25%, 7/04/18      36,000  55,480,053 
                                                                                 Bundesschatzanweisungen Series 1, 4.75%, 6/11/10    113,322  167,097,497 
                                                                                 Caisse d'Amortissement de la Dette Sociale,       
                                                                                 3.25%, 4/25/13      20,150  29,569,876 
                                                                                 Caisse d'Amortissement de la Dette Sociale,       
                                                                                 4.00%, 10/25/14      23,500  35,325,228 
                                                                                 Canadian Government Bond, 4.00%, 9/01/10  CAD  36,750  35,366,651 
                                                                                 Canadian Government Bond, 5.25%, 6/01/13    521  534,793 
                                                                                 Canadian Government Bond, 4.00%, 6/01/16    35,000  34,425,249 
                                                                                 Canadian Government Bond, Series WL43,         
                                                                                 5.75%, 6/01/29      175  199,494 
                                                                                 Deutsche Bundesrepublik Inflation Linked         
                                                                                 Series I/L, 1.50%, 4/15/16    EUR  10,503  15,174,178 
                                                                                 Japanese Government CPI Linked Bond, Series 5,       
                                                                                 0.80%, 9/10/15    JPY  6,965,298  67,367,405 
                                                                                 Japanese Government CPI Linked Bond, Series 6,       
                                                                                 0.80%, 12/10/15      7,648,121  73,858,422 
                                                                                 Japanese Government CPI Linked Bond, Series 7,       
                                                                                 0.80%, 3/10/16      22,163,066  212,624,902 
                                                                                 Japanese Government CPI Linked Bond, Series 8,       
                                                                                 1.00%, 6/10/16      3,590,730  34,645,564 
                                                                                 Japanese Government CPI Linked Bond, Series 16,       
                                                                                 1.40%, 6/10/18      10,325,100  100,113,915 

17


BlackRock Global Allocation Fund, Inc.         
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
           Par   
  Foreign Government Obligations      (000)             Value 
  Japanese Government Two Year Bond, Series 272,       
  0.70%, 9/15/10    JPY  5,760,500  $ 61,205,335 
  Malaysia Government Bond, 3.76%, 4/28/11    MYR  215,109  62,490,676 
  Malaysia Government Bond, Series 3/06,         
  3.87%, 4/13/10      180,778  51,978,358 
  Netherland Government Bond, 3.75%, 7/15/14  EUR  24,000  35,956,728 
  New Zealand Government Bond Series 216,         
  4.50%, 2/14/16    NZD  21,250  20,347,927 
  Poland Government Bond, 3.00%, 8/24/16    PLN  180,599  55,271,990 
  United Kingdom Gilt, 4.25%, 3/07/11    GBP  153,115  267,915,441 
  Total Foreign Government Obligations - 8.6%      2,512,250,354 
  Structured Notes         
Taiwan - 0.0%  UBS AG (Total Return TWD Linked Notes),         
  0.26%, 12/01/10 (e)(g)      9,035  9,030,286 
  Total Structured Notes - 0.0%        9,030,286 
  U.S. Treasury Obligations         
  U.S. Treasury Inflation Indexed Bonds,         
  0.88%, 4/15/10    USD  234,357  234,869,491 
  U.S. Treasury Inflation Indexed Bonds,         
  2.38%, 4/15/11 (m)      380,665  391,608,974 
  U.S. Treasury Inflation Indexed Bonds,         
  2.00%, 1/15/16      361,159  366,802,438 
  U.S. Treasury Inflation Indexed Bonds,         
  2.50%, 7/15/16      318,703  334,538,989 
  U.S. Treasury Inflation Indexed Bonds,         
  2.38%, 1/15/17      27,548  28,770,602 
  U.S. Treasury Inflation Indexed Bonds,         
  1.63%, 1/15/18      95,682  95,233,817 
  U.S. Treasury Inflation Indexed Bonds,         
  2.38%, 1/15/27      101,452  103,671,328 
  U.S. Treasury Notes, 2.13%, 1/31/10      86,350  87,119,033 
  U.S. Treasury Notes, 2.88%, 6/30/10      176,297  180,153,497 
  U.S. Treasury Notes, 2.75%, 7/31/10      261,660  267,455,246 
  U.S. Treasury Notes, 4.88%, 5/31/11      226,337  242,083,265 
  U.S. Treasury Notes, 2.00%, 4/15/12      84,434  86,623,916 
  U.S. Treasury Notes, 1.75%, 1/31/14      49,136  47,911,531 
  U.S. Treasury Notes, 2.63%, 6/30/14      60,875  61,198,246 
  U.S. Treasury Notes, 2.63%, 2/29/16      94,460  91,987,793 
  U.S. Treasury Notes, 2.75%, 2/15/19      198,980  186,931,761 
  Total U.S. Treasury Obligations - 9.6%        2,806,959,927 
  Total Fixed Income Securities - 33.7%        9,880,952,746 
  Investment Companies      Shares   
Brazil - 0.0%  iShares MSCI Brazil (Free) Index Fund      22,600  1,301,760 
South Korea - 0.0%  iShares MSCI South Korea Index Fund      25,200  1,049,328 

18


BlackRock Global Allocation Fund, Inc.         
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
Country  Investment Companies       Shares             Value 
United States - 3.5%  Consumer Staples Select Sector SPDR Fund      1,427,000  $ 34,990,040 
  Health Care Select Sector SPDR Fund      1,428,100  39,801,147 
  iShares Dow Jones U.S. Telecommunications Sector       
  Index Fund      791,300  14,251,313 
  iShares Silver Trust (b)      5,013,700  68,687,690 
  KBW Bank (c)      260,700  5,240,070 
  SPDR Gold Trust (b)      5,062,305  472,566,172 
  Technology Select Sector SPDR Fund (d)      14,731,500  290,210,550 
  Telecom HOLDRs Trust (d)      180,000  4,316,400 
  Utilities Select Sector SPDR Fund      2,820,200  81,616,588 
  Vanguard Telecommunication Services      24,600  1,252,386 
          1,012,932,356 
Vietnam - 0.0%  Vietnam Enterprise Investments Ltd. - R Shares (b)    2,838,370  4,541,392 
  Vinaland Ltd. (b)      14,680,000  10,992,384 
          15,533,776 
  Total Investment Companies - 3.5%        1,030,817,220 
  Preferred Securities         
             Par   
  Capital Trusts         (000)   
Singapore - 0.0%  DBS Capital Funding Corp., 7.66%, (i)(n)    USD  2,688  2,674,560 
  Total Capital Trusts - 0.0%        2,674,560 
  Preferred Stocks       Shares   
Japan - 0.2%  Mizuho Financial Group, Inc. Series 11X1, 2.00% (b)(f)    6,433,000  48,132,777 
United States - 0.5%  Bunge Ltd., 4.88% (f)      84,053  7,879,969 
  El Paso Corp., 4.99% (b)(e)(f)      10,650  9,345,375 
  El Paso Corp., 4.99% (b)(f)      70,234  61,630,335 
  Freeport-McMoRan Copper & Gold, Inc., 5.50% (f)    30,116  39,301,681 
  Mylan, Inc., 6.50% (f)      22,935  20,228,670 
  NRG Energy, Inc., 4.00% (f)      8,732  11,875,520 
  XL Capital Ltd., 10.75% (f)      264,757  6,131,772 
          156,393,322 
  Total Preferred Stocks - 0.7%        204,526,099 
  Total Preferred Securities - 0.7%        207,200,659 
  Warrants (o)         
Canada - 0.0%  Kinross Gold Corp. (expires 9/03/13)      567,813  2,424,637 
  New Gold, Inc. (expires 4/03/12)      1,750,000  56,858 
          2,481,495 
United States - 0.0%  Mandra Forestry Finance Ltd. (expires 5/15/13)    22,750  22,750 
  Total Warrants - 0.0%        2,504,245 
  Rights         
Brazil - 0.0%  Cia Brasileira de Distribuicao Grupo Pao de Acucar       
  (expires 8/21/09)      112,927  54,474 
  Total Rights - 0.0%        54,474 
  Total Long-Term Investments         
  (Cost - $25,136,033,241) - 89.3%        26,196,271,010 

19


BlackRock Global Allocation Fund, Inc.         
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
               Par   
Country  Short-Term Securities      (000)  Value 
Time Deposits - 0.0%           
Canada - 0.0%  Brown Brothers Harriman & Co., 0.03%, 8/03/09  CAD  761 $  703,620 
Sweden - 0.0%  Brown Brothers Harriman & Co., 0.01%, 8/03/09  SEK  27  3,679 
  Total Time Deposits - 0.0%        707,299 
  Short-Term Securities      Shares   
United States - 0.2%           
Money Market Fund - 0.2%  BlackRock Liquidity Funds, TempFund, 0.29% (p)(q)    4,663,006  4,663,006 
        Beneficial   
        Interest   
        (000)   
  BlackRock Liquidity Series, LLC         
  Money Market Series, 0.44% (p)(q)(r)    USD  53,753  53,752,500 
  U.S. Treasury Obligations - 10.4%         
  U.S. Treasury Bills, 0.14%, 8/06/09      147,765  147,761,384 
  U.S. Treasury Bills, 0.12%, 8/13/09      301,860  301,849,937 
  U.S. Treasury Bills, 0.15%, 8/27/09      418,889  418,852,757 
  U.S. Treasury Bills, 0.15%, 9/03/09      449,055  449,002,910 
  U.S. Treasury Bills, 0.19%, 9/10/09      271,569  271,530,437 
  U.S. Treasury Bills, 0.17%, 9/17/09      253,770  253,719,246 
  U.S. Treasury Bills, 0.19%, 9/24/09      373,582  373,490,099 
  U.S. Treasury Bills, 0.16%, 10/01/09      178,715  178,666,747 
  U.S. Treasury Bills, 0.18%, 10/08/09      175,075  175,020,377 
  U.S. Treasury Bills, 0.17%, 10/15/09      135,184  135,140,200 
  U.S. Treasury Bills, 0.18%, 10/22/09      69,335  69,307,751 
  U.S. Treasury Bills, 0.18%, 10/29/09      278,000  277,879,070 
          3,052,220,915 
  Total Short-Term Securities         
  (Cost - $3,111,260,147) - 10.6%        3,111,343,720 
  Options Purchased      Contracts   
Exchange-Traded Call Options  Bed Bath & Beyond, Inc., expiring August 2009       
  at USD 27.50      10,000  7,300,000 
  Best Buy Co., Inc., expiring September 2009       
  at USD 40      10,000  1,150,000 
  General Motors Corp., expiring January 2010       
  at USD 50      5,820  5,820 
  General Motors Corp., expiring January 2010       
  at USD 60      5,496  5,496 
  Home Depot, Inc., expiring August 2009 at USD 30    10,000  20,000 
  Paccar, Inc., expiring August 2009 at USD 35    10,000  1,150,000 
  S&P 500 Listed Option, expiring September 2009 at       
  USD 87.50      2,240  1,680,000 
  S&P 500 Listed Option, expiring December 2009       
  at USD 90      920  3,238,400 

20


BlackRock Global Allocation Fund, Inc.       
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
  Options Purchased    Contracts             Value 
  S&P 500 Listed Option, expiring December 2009     
  at USD 92.50    5,800  $ 54,984,000 
  S&P 500 Listed Option, expiring December 2009     
  at USD 100    1,000  5,040,000 
  Staples, Inc., expiring September 2009       
  at USD 22.50    10,000  500,000 
Over-the-Counter Call Options  Australian Dollar, expiring December 2009       
  at USD 0.78, Broker Morgan Stanley Capital     
  Services, Inc.    311  2,541,865 
  Total Options Purchased       
  (Cost - $68,069,734) - 0.2%      77,615,581 
  Total Investments Before Structured Options, Investments Sold Short   
  and Options Written (Cost - $28,315,363,122*) - 100.1%    29,385,230,311 
  Structured Options       
Over-the-Counter Options  Credit Suisse Euro Stoxx Index Link, expiring July 2010,     
  Broker Credit Suisse International (s)    1,350,020  13,365,194 
JPMorgan Euro Stoxx Index Link, expiring July 2010, Broker
  JPMorgan Chase (t)    1,347,500  9,499,875 
  Total Structured Options       
  (Premiums Paid - $0) - 0.1%      22,865,069 
  Investments Sold Short    Shares   
  Bed Bath & Beyond, Inc.    (1,583,174)  (55,015,297) 
  Best Buy Co., Inc.    (1,000,000)  (37,370,000) 
  Carnival Corp.    (2,140,998)  (59,926,534) 
  D.R. Horton, Inc.    (1,944,364)  (22,535,179) 
  Home Depot, Inc.    (1,677,900)  (43,524,726) 
  Lowe's Cos., Inc.    (1,211,800)  (27,217,028) 
  Masco Corp.    (1,346,938)  (18,762,846) 
  Paccar, Inc.    (1,000,000)  (34,650,000) 
  Staples, Inc.    (1,394,100)  (29,303,982) 
  Total Investments Sold Short       
  (Proceeds - $299,519,919) - (1.1)%      (328,305,592) 
  Options Written    Contracts   
Exchange-Traded Call Options  Aetna, Inc., expiring October 2009 at USD 30  7,881  (1,024,530) 
  Apple, Inc., expiring January 2010 at USD 85  3,971  (31,519,813) 
  Avon Products, Inc., expiring January 2010 at USD 22.50  5,564  (5,564,000) 
  Bank of America Corp., expiring November 2009     
  at USD 15    24,919  (3,962,121) 
Burlington Northern Santa Fe Corp., expiring January 2010
  at USD 80    5,000  (3,150,000) 
  Cigna Corp., expiring January 2010 at USD 30  4,119  (1,184,213) 
  Cigna Corp., expiring October 2009 at USD 25  8,400  (3,780,000) 
Complete Production Services, Inc., expiring January 2010
  at USD 7.50    4,243  (742,525) 
  Consol Energy, Inc., expiring January 2010 at USD 46  8,000  (1,160,000) 
  Electronic Arts, Inc., expiring January 2010 at USD 22.50  4,920  (1,033,200) 
  Hewlett-Packard Co., expiring August 2009 at USD 35  12,892  (10,700,360) 

21


BlackRock Global Allocation Fund, Inc.       
Schedule of Investments July 31, 2009 (Unaudited)  (Percentages shown are based on Net Assets) 
                                                                                 Options Written    Contracts       Value 
                                                                                 Humana, Inc., expiring November 2009 at USD 32  5,604 $  (2,353,680) 
                                                                                 JPMorgan Chase & Co., expiring December 2009     
                                                                                 at USD 39    12,290  (4,178,600) 
                                                                                 Microsoft Corp., expiring January 2010 at USD 15  13,379  (11,505,940) 
                                                                                 Microsoft Corp., expiring January 2010 at USD 17.50  13,600  (8,534,000) 
                                                                                 Microsoft Corp., expiring October 2009 at USD 25  11,425  (731,200) 
                                                                                 Morgan Stanley, expiring October 2009 at USD 33  2,959  (207,130) 
                                                                                 Mylan Laboratories Inc., expiring October 2009     
                                                                                 at USD 15    5,080  (241,300) 
                                                                                 Panera Bread Co. Class A, expiring August 2009     
                                                                                 at USD 55    1,964  (304,420) 
                                                                                 Polycom, Inc., expiring January 2010 at USD 20  5,301  (2,597,490) 
                                                                                 UnitedHealth Group, Inc., expiring December 2009     
                                                                                 at USD 27    10,000  (3,650,000) 
                                                                                 WellPoint, Inc., expiring December 2009 at USD 55  4,905  (2,011,050) 
                                                                                 S&P 500 Listed Option, expiring September 2009     
                                                                                 at USD 80    3,160  (2,083,400) 
                                                                                 S&P 500 Listed Option, expiring December 2009     
                                                                                 at USD 102.50    5,800  (22,533,000) 
                                                                                 Total Options Written       
                                                                                 (Premiums Received - $75,832,776) - (0.4)%    (124,751,972) 
                                                                                 Total Investments, Net of Structured Options,     
                                                                                 Investments Sold Short and Options Written - 98.7%    28,955,037,816 
                                                                                 Other Assets Less Liabilities - 1.3%      380,928,431 
                                                                                 Net Assets - 100.0%    $ 29,335,966,247 

* The cost and unrealized appreciation (depreciation) of investments as of July 31, 2009, as computed
for federal income tax purposes, were as follows:

Aggregate cost  $ 28,559,925,040 
Gross unrealized appreciation  $ 2,776,973,700 
Gross unrealized depreciation  (1,951,668,429) 
Net unrealized appreciation  $ 825,305,271 

(a) Depositary receipts.
(b) Non-income producing security.
(c) Security, or a portion of security, is on loan.

22


BlackRock Global Allocation Fund, Inc.

Schedule of Investments July 31, 2009 (Unaudited)

(d) Investments in companies whereby the Fund held 5.00% or more of the companies outstanding
securities) that are considered to be an affiliate, for purposes of Section 2(a)(3) of the Investment
Company Act of 1940, were as follows:

  Purchase  Sales    Realized     
Affiliate  Cost  Cost    Gain    Income 
American Commercial             
Lines, Inc.  $ 1,770,562    -    -  - 
Technology Select Sector             
SPDR Fund  $ 280,330,256    -    -  - 
Telecom HOLDRs Trust  -    -    -  $ 178,842 
Tianjin Development             
Holdings Ltd.  $ 31,634,190    -    -  - 

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

(f) Convertible security.
(g) Represents a zero-coupon bond. Rate shown represents the current yield as of report date.
(h) Represents a step-up bond that pays an initial coupon rate for the first period and then a lower
coupon rate for the following periods. Rate shown is as of report date.

(i) Variable rate security. Rate shown is as of report date.
(j) Represents a step-down bond that pays an initial coupon rate for the first period and then a higher
coupon rate for the following periods. Rate shown is as of report date.

(k) Issuer filed for bankruptcy and/or is in default of interest payments.
(l) Issued with warrants.
(m) All or a portion of security has been pledged as collateral in connection with open financial futures
contracts.

(n) Security is perpetual in nature and has no stated maturity date.
(o) Warrants entitle the Fund to purchase a predetermined number of shares of common stock and are
non-income producing. The purchase price and number of shares are subject to adjustment under
certain conditions until the expiration date.

(p) Investments in companies considered to be an affiliate of the Fund, for purposes of Section 2(a)(3)
of the Investment Company Act of 1940, were as follows:

     Net   
Affiliate  Activity  Income 
BlackRock Liquidity Funds, TempFund  4,663,006  $ 7,618 
BlackRock Liquidity Series, LLC Money Market Series  (28,900,294)  $ 378,313 

(q) Represents the current yield as of report date.
(r) Security was purchased with the cash proceeds from securities loans.
(s) CSFB DJ EuroStoxx Structured Option is issued in units. Each unit represents a composite structure
based on the product of the DJ EuroStoxx 50 Index and the Euro/U.S. Dollar exchange rate. Each unit
contains (a) one written put on the composite index at a strike price of 3173.207 and (b) two purchased
call spreads on the composite index with a lower call strike of 3271.3474 and an upper call strike of
3762.0495. Because the Structured Option was constructed with an upper call strike limit of 115%,
theoretically the structure would peak at 30.00% return in the event that the composite index rose to,
or above the level of 3762.0495 at expiration. On July 31, 2009, the composite index was 3740.209. At
this time, the value of this Structured Option was $13,365,194 representing the potential obligation to
the Fund from the counterparty based on the price of the structure of $323.86 per unit. The structure
expires on July 23, 2010.

23


BlackRock Global Allocation Fund, Inc.

Schedule of Investments July 31, 2009 (Unaudited)

(t) JP Morgan DJ EuroStoxx Structured Option is issued in units. Each unit represents a composite structure
based on the product of the DJ EuroStoxx 50 Index and the Euro/U.S. Dollar exchange rate. Each unit contains
(a) one written put on the composite index at a strike price of 3299.55 and (b) 2.03 Call Spread units on the
DJ Euro Stoxx with a lower call strike of 3401.60 and an upper call strike of 3911.84. For each unit of the
Structured Option, the Fund has sold or written 2.03 calls on the composite index at 3911.84 and bought 2.03
calls on the composite index at 3401.60. Because the Structured Option was constructed with an upper call
strike limit of 115%, theoretically the structure would peak at 30.45% return in the event that the composite
index rose to, or above 3911.84 at expiration. On July 31, 2009, the composite index was 3740.209. At this
time, the value of this Structured Option was $9,501,426 representing the potential obligation to the Fund
from the counterparty based on the price of the structure of $239.85 per unit. The structure expires on
July 16, 2010.

For Fund compliance purposes, the Fund's industry classifications refer to any one or more of the
industry sub-classifications used by one or more widely recognized market indexes or ratings group
indexes, and/or as defined by Fund management. This definition may not apply for purposes of this
report, which may combine industry sub-classifications for reporting ease.

• Foreign currency exchange contracts as of July 31, 2009 were as follows:

            Unrealized 
            Appreciation 
       Currency Purchased  Currency Sold  Counterparty  Settlement Date  (Depreciation) 
BRL  5,705,084  USD  3,034,619  Brown Brothers     
        Harriman & Co.  8/03/09  $ 23,177 
HKD  8,953,142  USD  1,155,237  UBS AG  8/03/09  - 
EUR  14,702,812  USD  20,838,295  Brown Brothers     
        Harriman & Co.  8/04/09  117,523 
SGD  2,579,319  USD  1,788,709  Brown Brothers     
        Harriman & Co.  8/04/09  3,542 
USD  3,168,930  JPY  302,157,490  Brown Brothers     
        Harriman & Co.  8/04/09  (24,280) 
USD  81,256,958  GBP  49,368,867  Brown Brothers     
        Harriman & Co.  8/06/09  (1,209,053) 
USD  63,609,225  GBP  38,621,266  Credit Suisse     
        International  8/06/09  (903,938) 
BRL  47,623,142  USD  25,164,144  JPMorgan Chase     
        Bank NA  8/07/09  325,268 
EUR  48,840,671  USD  69,278,539  Deutsche Bank AG  8/07/09  335,725 
JPY  8,601,775,000  EUR  65,000,000  Brown Brothers     
        Harriman & Co.  8/07/09  (1,739,221) 
JPY  9,921,331,110  EUR  79,934,525  Barclays Bank, Plc  8/07/09  (1,953,565) 
JPY  6,119,517,399  EUR  46,235,879  JPMorgan Chase     
        Bank NA  8/07/09  (1,227,714) 
JPY  6,222,957,400  EUR  46,948,000  Deutsche Bank AG  8/07/09  (1,149,523) 
USD  25,064,812  BRL  47,623,142  JPMorgan Chase     
        Bank NA  8/07/09  (424,600) 
USD  4,790,376  CHF  5,123,307  Credit Suisse     
        International  8/07/09  (4,035) 
USD  27,591,805  GBP  16,824,272  Deutsche Bank AG  8/07/09  (511,411) 
USD  17,877,279  KRW  22,328,721,000  Morgan Stanley     
        Capital Services Inc.  8/07/09  (301,722) 

24


BlackRock Global Allocation Fund, Inc.         
Schedule of Investments July 31, 2009 (Unaudited)       
            Unrealized 
            Appreciation 
                   Currency Purchased  Currency Sold  Counterparty  Settlement Date  (Depreciation) 
         USD  18,522,701  TRY  27,839,620  Morgan Stanley     
        Capital Services Inc.  8/07/09  $ (375,448) 
         USD  24,339,167  TWD  797,107,710  Morgan Stanley     
        Capital Services Inc.  8/07/09  37,473 
         EUR  39,308,820  USD  55,714,748  UBS AG  8/13/09  314,069 
         JPY  16,498,611,565  USD  174,588,482  Credit Suisse     
        International  8/13/09  (212,597) 
         USD  14,141,877  AUD  17,120,916  Deutsche Bank AG  8/13/09  (162,932) 
         USD  19,747,343  NZD  29,965,618  Barclays Bank, Plc  8/13/09  (77,918) 
         USD  24,828,152  ZAR  195,464,590  UBS AG  8/13/09  (293,761) 
         EUR  37,989,150  CHF  57,928,895  UBS AG  8/14/09  (65,862) 
         EUR  31,384,437  HUF  8,477,564,009  Citibank, NA  8/14/09  (515,838) 
         EUR  15,301,200  SEK  161,732,460  HSBC Bank USA  8/14/09  (604,814) 
         JPY  4,547,877,600  EUR  34,041,000  Credit Suisse     
        International  8/14/09  (452,829) 
         JPY  8,666,146,575  EUR  64,775,700  UBS AG  8/14/09  (733,650) 
         USD  38,992,928  SGD  56,253,148  HSBC Bank USA  8/14/09  (90,839) 
         Total            $ (11,878,773) 

• Financial futures contracts purchased as of July 31, 2009 were as follows:

          Unrealized 
          Appreciation 
Contracts  Issue  Exchange  Expiration Date  Face Amount  (Depreciation) 
   357  DAX Index 25 Euro  Eurex Deutschland  September 2009  $ 60,770,262  $ 7,183,943 
   3,348  DJ Euro Stoxx 50  Eurex Deutschland  September 2009  $ 113,426,046  12,360,758 
   59  EMINI MSCI  New York  September 2009  $ 3,658,787  556,468 
   1,876  FTSE 100 Index  LIFFE  September 2009  $ 137,651,915  5,749,394 
   19  Hang Seng Index         
  Future  Hong Kong  August 2009  $ 2,497,556  (1,462) 
   22  MSCI Singapore         
  IX ETS Future  Singapore  August 2009  $ 959,492  9,691 
   706  Osaka Nikkei 225  Osaska  September 2009  $ 71,506,028  3,953,805 
   1,324  S&P 500 Index  Chicago  September 2009  $ 304,373,353  21,463,047 
   142  S&P TSE 60 Index  Montreal  September 2009  $ 15,965,207  1,242,201 
   5  SPI 200 Index AUD  Sydney  September 2009  $ 396,187  43,629 
   30  Taiwan MSCI Simex         
  Index  Singapore  August 2009  $ 773,820  (5,820) 
   938  Yen Denom Nikkei  Chicago  September 2009  $ 48,528,012  2,597,325 
   Total          $ 55,152,979 
• Financial futures contracts sold as of July 31, 2009 were as follows:     
          Unrealized 
Contracts  Issue  Exchange  Expiration Date  Face Amount  Depreciation 
32  EuroDollar  Chicago  September 2009  $ 7,601,574  (358,826) 

25


BlackRock Global Allocation Fund, Inc.

Schedule of Investments July 31, 2009 (Unaudited)

• Credit default swaps on single-name issues - buy protection outstanding as of July 31, 2009 were as follows

  Pay        Unrealized 
  Fixed      Notional Amount  Appreciation 
Issuer  Rate  Counterparty  Expiration  (000)  (Depreciation) 
Carnival Corp.  0.25%  JPMorgan Chase Bank       
    NA  September 2011  USD 10,030  $ 270,010 
DaimlerChrysler AG  0.53%  JPMorgan Chase Bank       
    NA  September 2011  EUR 5,400  47,794 
JCPenney Co., Inc.  0.53%  JPMorgan Chase Bank       
    NA  September 2011  USD 3,397  86,104 
McDonald's Corp.  0.16%  JPMorgan Chase Bank       
    NA  September 2011  USD 3,397  1,952 
  0.48%  JPMorgan Chase Bank       
Whirlpool Corp.    NA  September 2011  USD 3,397  98,431 
United Mexican States  3.65%  Citibank, NA  February 2014  USD 15,580  (1,312,710) 
United Mexican States  3.85%  Citibank, NA  February 2014  USD 15,590  (1,445,067) 
United Mexican States  4.90%  Citibank, NA  March 2014  USD 15,590  (2,150,323) 
  3.87%  Credit Suisse       
United Mexican States    International  April 2014  USD 6,320  (601,764) 
United Mexican States  4.88%  Deutsche Bank AG  March 2014  USD 15,830  (2,174,339) 
Spain (Kingdom of)  0.83%  Deutsche Bank AG  December 2018  USD 30,090  (532,890) 
Spain (Kingdom of)  0.85%  Deutsche Bank AG  December 2018  USD 89,630  (1,693,631) 
Total          $ (9,406,433) 

• Credit default swaps on traded indexes - buy protection outstanding as of July 31, 2009 were as follows:   
  Pay           
  Fixed      Notional Amount  Unrealized 
   Issuer  Rate  Counterparty  Expiration  (000)    Depreciation 
   CMBX    JPMorgan Chase Bank         
  0.35%  NA  February 2051  USD 19,960  $ (729,714) 
   CMBX Index    JPMorgan Chase Bank         
  0.35%  NA  February 2051  USD 16,017    (2,246,352) 
   CMBX Index Series  0.35%  Deutsche Bank AG  February 2051  USD 15,617    (3,458,395) 
   CMBX Index Series  0.35%  Deutsche Bank AG  February 2051  USD 15,830    (3,127,510) 
   CMBX Index Series  0.35%  Deutsche Bank AG  February 2051  USD 15,830    (2,996,547) 
   Total          $ (12,558,518) 

• Currency Abbreviations:

AUD  Australian Dollar  KRW  South Korean Won 
BRL  Brazilian Real  NZD  New Zealand Dollar 
CHF  Swiss Franc  MYR  Malaysian Ringgit 
CNY  Chinese Yuan  PLN  Polish Zloty 
EUR  Euro  SEK  Swedish Krona 
GBP  British Pound  SGD  Singapore Dollar 
HKD  Hong Kong Dollar  TRY  Turkish Lira 
HUF  Hungary Forint  TWD  New Taiwan Dollar 
JPY  Japanese Yen  USD  US Dollar 
    ZAR  South African Rand 

26


BlackRock Global Allocation Fund, Inc.

Schedule of Investments July 31, 2009 (Unaudited)

Effective November 1, 2008, the Fund adopted Financial Accounting Standards Board Statement of Financial
Accounting Standards No. 157, "Fair Value Measurements" ("FAS 157"). FAS 157 clarifies the definition of fair
value, establishes a framework for measuring fair values and requires additional disclosures about the use of fair
value measurements. Various inputs are used in determining the fair value of investments, which are as follows:

Level 1 - price quotations in active markets/exchanges for identical securities

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 Fund's own assumptions used in determining the fair
value of investments)

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with
investing in those securities. For information about the Fund's policy regarding valuation of investments and
other significant accounting policies, please refer to the Fund's most recent financial statements as contained in
its semi-annual report.

The following table summarizes the inputs used as of July 31, 2009 in determining the fair
valuation of the Fund's investments:

                 Valuation  Investments in 
Inputs  Securities   
             Assets    Liabilities 
Level 1       
Long-Term Investments:       
       Common Stocks       
               Brazil  $ 529,222,411    - 
               Canada  822,728,347    - 
               China  24,347,269    - 
               Finland  28,610,298    - 
               France  1,037,952    - 
               Germany  759,500    - 
               Ireland  12,455,370    - 
               Israel  61,316,653    - 
               Japan  6,685,200    - 
               Kazakhstan  73,681,605    - 
               Mexico  42,089,372    - 
               Netherlands  8,961,628    - 
               Russia  213,263,274    - 
               South Africa  9,793,056    - 
               South Korea  56,177,484    - 
               Spain  13,942,603    - 
               Sweden  880,926    - 
               Switzerland  70,051,819    - 
               Taiwan  59,893,290    - 
               Thailand  57,456,872    - 
               United Kingdom  198,286,664    - 
               United States  8,260,307,954    - 
       Investment Companies  1,026,275,828    - 
       Preferred Stocks  73,542,092    - 
       Rights  54,474    - 
       Warrants  2,481,495    - 
       Short-Term Securities  4,663,006    - 
Investments Sold Short                                 -  $ (328,305,592) 
Total Level 1  11,658,966,442    (328,305,592) 

27


BlackRock Global Allocation Fund, Inc.     
Schedule of Investments July 31, 2009 (Unaudited)     
             Assets  Liabilities 
                           Level 2     
Long-Term Investments:     
                                   Common Stocks     
                                           Australia  $ 95,772,285  - 
                                           Austria  10,389,623  - 
                                           China  395,697,894  - 
                                           Egypt  33,318,765  - 
                                           Finland  16,693,401  - 
                                           France  230,125,205  - 
                                           Germany  72,033,557  - 
                                           Hong Kong  130,686,838  - 
                                           India  197,764,523  - 
                                           Indonesia  18,667,211  - 
                                           Italy  28,074,972  - 
                                           Japan  2,168,311,001  - 
                                           Luxembourg  14,266,303  - 
                                           Malaysia  81,899,893  - 
                                           Netherlands  19,885,163  - 
                                           Norway  23,625,836  - 
                                           Philippines  210,302  - 
                                           Russia  67,633,156  - 
                                           Singapore  227,277,467  - 
                                           South Africa  18,578,803  - 
                                           South Korea  179,941,398  - 
                                           Spain  39,049,245  - 
                                           Switzerland  160,734,124  - 
                                           Taiwan  130,226,363  - 
                                           United Kingdom  161,928,791  - 
                                   Corporate Bonds  3,811,467,447  - 
                                   Foreign Government Obligations  2,456,978,364  - 
                                   U.S. Treasury Obligations  2,806,959,927  - 
                                   Investment Companies  4,541,392  - 
                                   Capital Trusts  2,674,560  - 
                                   Preferred Stocks  82,851,230  - 
Short-Term Securities  3,106,680,714  - 
                           Total Level 2  16,794,945,753  - 
                           Level 3     
Long-Term Investments:     
                                   Asset-Backed Securities  80,000  - 
                                   Corporate Bonds  741,164,732  - 
                                   Foreign Government Obligations  55,271,990  - 
                                   Structured Notes  9,030,286  - 
                                   Preferred Stock  48,132,777  - 
                                   Warrants  22,750  - 
                           Total Level 3  853,702,535  - 
                           Total  $ 29,307,614,730  $ (328,305,592) 

28


BlackRock Global Allocation Fund, Inc.       
Schedule of Investments July 31, 2009 (Unaudited)       
Valuation  Other Financial 
Inputs  Instruments1   
  Assets    Liabilities 
                           Level 1  $ 130,233,977  $ (125,118,080) 
                           Level 2  4,202,933    (22,946,274) 
                           Level 3  22,865,069    (12,558,518) 
                           Total  $ 157,301,979    (160,622,872) 

1Other financial instruments are swaps, financial futures contracts, foreign currency exchange
contracts, structured options and options. Swaps, financial futures contracts and foreign
currency exchange contracts are shown at the unrealized appreciation/depreciation on the
instrument and options and structured options are shown at market value.

29


BlackRock Global Allocation Fund, Inc.           
Schedule of Investments July 31, 2009 (Unaudited)           
The following is a reconciliation of investments for unobservable inputs (Level 3) used in determining fair value:   
Investments in Securities

  Asset-    Foreign           
  Backed  Corporate  Government  Structured    Preferred  Common   
  Securities  Bonds  Obligations  Notes  Warrants  Stock  Stock  Total 
Balance, as of                 
October 31, 2008  -  $ 3  -  -  -  -  $ 3,978,472  $ 3,978,475 
Accrued                 
discounts/                 
premiums  -  -  -  -  -  -  -  - 
Realized gain                 
(loss)  -  -  -  -  -  -  -  - 
Change in                 
unrealized                 
appreciation/                 
depreciation  -  (3)  -  -  -  -  9,602,524  9,602,521 
Net purchases                 
(sales)  -  -  -  -  -  -  -  - 
Net transfers                 
in/out  $ 80,000  741,164,732  $ 55,271,990  $ 9,030,286  $ 22,750  $ 48,132,777  (13,580,996)  840,121,539 
Balance, as of                 
July 31, 2009  $ 80,000  $ 741,164,732  $ 55,271,990  $ 9,030,286  $ 22,750  $ 48,132,777  -  $ 853,702,535 

The following is a reconciliation of investments for unobservable inputs (Level 3) used in determining fair value:
Other Financial

                                 Instruments2 
  Assets  Liabilities 
Balance, as of     
October 31, 2008     
                                     -  - 
Accrued     
discounts/     
premiums                                     -  - 
Realized gain     
(loss)                                     -  - 
Change in     
unrealized     
appreciation/     
depreciation                                     - $  (1,284,140) 
Net purchases     
(sales)                                     -  - 
Net transfers     
in/out of Level 3  $ 22,865,069  (11,274,378) 
Balance, as of     
July 31, 2009  $ 22,865,069 $  (12,558,518) 

2 Other financial instruments are swaps and structured options. Swaps
are shown at the unrealized appreciation/depreciation on the
instrument. Structured options are shown at market value

30


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 15(d)-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 Global Allocation Fund, Inc.

By: /s/ Anne F. Ackerley
Anne F. Ackerley
Chief Executive Officer of
BlackRock Global Allocation Fund, Inc.

Date: September 22, 2009

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/ Anne F. Ackerley
Anne F. Ackerley
Chief Executive Officer (principal executive officer) of
BlackRock Global Allocation Fund, Inc.

Date: September 22, 2009

By: /s/ Neal J. Andrews
Neal J. Andrews
Chief Financial Officer (principal financial officer) of
BlackRock Global Allocation Fund, Inc.

Date: September 22, 2009


EX-99.CERT 2 globallex99cert.htm CERT globallex99cert.htm - Produced by Pellegrini and Associates, Inc. | 134 Spring Street New York NY 10012 | (212) 925-5151

EX-99.CERT
CERTIFICATION PURSUANT TO RULE 30a-2(a) UNDER THE 1940 ACT AND SECTION 302 OF
THE SARBANES-OXLEY ACT OF 2002

I, Anne F. Ackerley, Chief Executive Officer (principal executive officer) of BlackRock Global Allocation Fund, Inc.,
certify that:

1. I have reviewed this report on Form N-Q of BlackRock Global Allocation Fund, Inc.;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a
material fact necessary to make the statements made, in light of the circumstances under which such statements were made,
not misleading with respect to the period covered by this report;

3. Based on my knowledge, the schedules of investments included in this report fairly present in all material respects
the investments of the registrant as of the end of the fiscal quarter for which the report is filed;

4. The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls
and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial
reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

a) designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be
designed under our supervision, to ensure that material information relating to the registrant, including its
consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in
which this report is being prepared;

b) designed such internal control over financial reporting, or caused such internal control over financial
reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of
financial reporting and the preparation of financial statements for external purposes in accordance with generally
accepted accounting principles;

c) evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this
report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90
days prior to the filing date of this report, based on such evaluation; and

d) disclosed in this report any change in the registrant's internal control over financial reporting that
occurred during the registrant's most recent fiscal quarter that has materially affected, or is reasonably likely to
materially affect, the registrant's internal control over financial reporting; and

5. The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee
of the registrant's board of directors (or persons performing the equivalent functions):

a) all significant deficiencies and material weaknesses in the design or operation of internal control over
financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process,
summarize, and report financial information; and

b) any fraud, whether or not material, that involves management or other employees who have a significant
role in the registrant's internal control over financial reporting.

Date: September 22, 2009

/s/ Anne F. Ackerley
Anne F. Ackerley
Chief Executive Officer (principal executive officer) of
BlackRock Global Allocation Fund, Inc.


EX-99.CERT
CERTIFICATION PURSUANT TO RULE 30a-2(a) UNDER THE 1940 ACT AND SECTION 302 OF
THE SARBANES-OXLEY ACT OF 2002

I, Neal J. Andrews, Chief Financial Officer (principal financial officer) of BlackRock Global Allocation Fund, Inc., certify
that:

1. I have reviewed this report on Form N-Q of BlackRock Global Allocation Fund, Inc.;

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a
material fact necessary to make the statements made, in light of the circumstances under which such statements were made,
not misleading with respect to the period covered by this report;

3. Based on my knowledge, the schedules of investments included in this report fairly present in all material respects
the investments of the registrant as of the end of the fiscal quarter for which the report is filed;

4. The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls
and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial
reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

a) designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be
designed under our supervision, to ensure that material information relating to the registrant, including its
consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in
which this report is being prepared;

b) designed such internal control over financial reporting, or caused such internal control over financial
reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of
financial reporting and the preparation of financial statements for external purposes in accordance with generally
accepted accounting principles;

c) evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this
report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90
days prior to the filing date of this report, based on such evaluation; and

d) disclosed in this report any change in the registrant's internal control over financial reporting that
occurred during the registrant's most recent fiscal quarter that has materially affected, or is reasonably likely to
materially affect, the registrant's internal control over financial reporting; and

5. The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee
of the registrant's board of directors (or persons performing the equivalent functions):

a) all significant deficiencies and material weaknesses in the design or operation of internal control over
financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process,
summarize, and report financial information; and

b) any fraud, whether or not material, that involves management or other employees who have a significant
role in the registrant's internal control over financial reporting.

Date: September 22, 2009

/s/ Neal J. Andrews
Neal J. Andrews
Chief Financial Officer (principal financial officer) of
BlackRock Global Allocation Fund, Inc.


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