Sector note: Free-cash-flow and enterprise-value multiples (P/FCF, FCF yield, EV/EBITDA, EV/EBIT) are omitted — they aren't meaningful for banks and insurers, whose deposits and reserves a standard model misreads as debt. Book value (P/B), ROE and net interest margin are the right lenses here.
BGT Valuation Metrics
BGT Stock Price Metrics
BGT Dividend Metrics
BGT Growth Rate Metrics
BGT Discounted Cash Flow Metrics
| Fair Value Price | - |
| Margin of Safety | - |
BGT Revenue Metrics
BGT PE Ratio Metrics
| PE Ratio | 9.78 |
| PE Ratio Avg TTM | 10.63 |
| PE Ratio Avg 3Y | 8.05 |
| Current VS TTM Avg | -7.98% |
| Current VS 3Y Avg | +21.44% |
| Current VS 5Y Avg | +37.44% |
BGT PS Ratio Metrics
| PS Ratio | 7.45 |
| PS Ratio Avg TTM | 8.10 |
| PS Ratio Avg 3Y | 7.32 |
| Current VS TTM Avg | -8.06% |
| Current VS 3Y Avg | +1.75% |
| Current VS 5Y Avg | -4.14% |
BGT PB Ratio Metrics
| PB Ratio | 0.90 |
| PB Ratio Avg TTM | 0.97 |
| PB Ratio Avg 3Y | 0.97 |
| Current VS TTM Avg | -7.24% |
| Current VS 3Y Avg | -6.84% |
| Current VS 5Y Avg | -6.26% |
BGT Debt to Equity Ratio Metrics
| Debt/Equity Ratio | 0.20 |
| Debt/Equity Ratio Avg TTM | 0.20 |
| Debt/Equity Ratio Avg 3Y | 0.27 |
| Current VS TTM Avg | +2.56% |
| Current VS 3Y Avg | -24.53% |
| Current VS 5Y Avg | -39.09% |
BGT PEG Ratio Metrics
| PEG Ratio | 0.22 |
| PEG Ratio Avg TTM | 0.17 |
| PEG Ratio Avg 3Y | 0.17 |
| Current VS TTM Avg | +29.41% |
| Current VS 3Y Avg | +29.41% |
| Current VS 5Y Avg | +29.41% |
BGT Earnings Yield
| Earnings Yield | 10.22% |
| Earnings Yield Avg TTM | 9.44% |
| Earnings Yield Avg 3Y | 14.77% |
| Current VS TTM Avg | +8.25% |
| Current VS 3Y Avg | -30.81% |
| Current VS 5Y Avg | -36.61% |
BGT Current Ratio Metrics
| Current Ratio | 0.00 |
| Current Ratio Avg TTM | 0.28 |
| Current Ratio Avg 3Y | 1.18 |
| Current VS TTM Avg | -100.00% |
| Current VS 3Y Avg | -100.00% |
| Current VS 5Y Avg | -100.00% |
BGT Quick Ratio Metrics
| Quick Ratio | 0.00 |
| Quick Ratio Avg TTM | 0.28 |
| Quick Ratio Avg 3Y | 0.51 |
| Current VS TTM Avg | -100.00% |
| Current VS 3Y Avg | -100.00% |
| Current VS 5Y Avg | -100.00% |
BGT ROIC Metrics
| ROIC | 4.57% |
| ROIC Avg 3Y | 3.12% |
| ROIC Avg 5Y | 1.85% |
| Current VS 3Y Avg | +46.71% |
| Current VS 5Y Avg | +147.47% |
| Current VS 10Y Avg | +289.93% |
BGT Return on Assets Metrics
| ROA | 4.44 |
| ROA Avg TTM | 5.37 |
| ROA Avg 3Y | 4.77 |
| Current VS TTM Avg | -17.32% |
| Current VS 3Y Avg | -6.87% |
| Current VS 5Y Avg | +12.74% |
BGT Return on Equity Metrics
| ROE | 5.50 |
| ROE Avg TTM | 6.65 |
| ROE Avg 3Y | 6.19 |
| Current VS TTM Avg | -17.36% |
| Current VS 3Y Avg | -11.11% |
| Current VS 5Y Avg | +4.04% |
BGT Net Profit Margin Metrics
| Net Profit Margin | 83.15% |
| Net Profit Margin Avg TTM | 82.45% |
| Net Profit Margin Avg 3Y | 92.25% |
| Current VS TTM Avg | +0.85% |
| Current VS 3Y Avg | -9.87% |
| Current VS 5Y Avg | -10.47% |
Last Updated: Saturday, June 20, 2026
About BlackRock Floating Rate Income Trust
BlackRock Floating Rate Income Trust, an investment vehicle established in the United States on August 30, 2004 (originally known as BlackRock Global Floating Rate Income Trust), operates as a closed-end mutual fund concentrating on fixed income. Jointly managed by BlackRock Advisors, LLC and BlackRock Financial Management, Inc., under the umbrella of BlackRock Inc., the Trust strategically allocates capital to fixed income instruments across international markets, with a significant emphasis on opportunities within the United States. Its portfolio primarily comprises corporate bonds issued by companies spanning various sectors. A key characteristic of its investment strategy is maintaining an average effective portfolio duration of no more than 1.5 years.
- Sector
- Financial Services
- Industry
- Asset Management - Income
- CEO
- Charles Choon Sik Park