Affiliated Issuer | Shares Held at 09/30/19 | Shares Purchased | Shares Sold | Shares Held at 06/30/20 | Value at 06/30/20 | Income | Net Realized Gain (Loss)(a) | Change in Unrealized Appreciation (Depreciation) | |||
BlackRock Liquidity Funds, T-Fund, Institutional Class | 227,834,577 | — | (124,924,479)(b) | 102,910,098 | $ 102,910,098 | $ 858,828 | $ 19 | $ — | |||
SL Liquidity Series, LLC, Money Market Series | 159,577,658 | 114,829,886(b) | — | 274,407,544 | 274,627,070 | 1,371,273(c) | (55,404) | 206,197 | |||
$ 377,537,168 | $ 2,230,101 | $ (55,385) | $ 206,197 |
(a) | Includes net capital gain distributions, if applicable. |
(b) | Represents net shares purchased (sold). |
(c) | All or a portion represents securities lending income earned from the reinvestment of cash collateral from loaned securities, net of fees and collateral investment expenses, and other payments to and from borrowers of securities. |
Portfolio Abbreviation | |
ADR | American Depositary Receipt |
Level 1 | Level 2 | Level 3 | Total | ||||
Assets | |||||||
Investments | |||||||
Long-Term Investments | |||||||
Common Stocks | |||||||
Biotechnology | $ 1,915,761,995 | $ 92,330,565 | $ 39,210,082 | $ 2,047,302,642 | |||
Diversified Financial Services | 9,438,786 | — | — | 9,438,786 | |||
Health Care Equipment & Supplies | 2,474,016,765 | 18,378,893 | — | 2,492,395,658 | |||
Health Care Providers & Services | 1,605,554,082 | 19,273,690 | 10,075,391 | 1,634,903,163 | |||
Health Care Technology | 183,588,100 | — | — | 183,588,100 | |||
Life Sciences Tools & Services | 537,687,225 | 93,800,730 | — | 631,487,955 | |||
Pharmaceuticals | 1,412,398,489 | 455,808,450 | — | 1,868,206,939 | |||
Other Interests | — | — | 4,481,039 | 4,481,039 | |||
Preferred Securities | — | — | 10,950,678 | 10,950,678 | |||
Short-Term Securities | |||||||
Money Market Funds | 102,910,098 | — | — | 102,910,098 | |||
$ 8,241,355,540 | $ 679,592,328 | $ 64,717,190 | 8,985,665,058 | ||||
Investments Valued at NAV(a) | 274,627,070 | ||||||
$ 9,260,292,128 |
The breakdown of the Fund’s investments into major categories is disclosed in the Schedule of Investments above. |
(a) | Certain investments of the Fund were fair valued using NAV per share as no quoted market value is available and therefore have been excluded from the fair value hierarchy. |