BlackRock Floating Rate Income Trust (BGT) Gross Margin: 96.00%
Is BlackRock Floating Rate Income Trust’s gross margin high or low?
BlackRock Floating Rate Income Trust's gross margin of 96.00% is 18% above its 5-year average of 81.56%, around the middle of its 5-year range (-8.12%–156.50%).
As of Saturday, June 20, 2026. 14.89% above its 12-month average of 83.56%.
BGT Gross Margin Chart
BGT Average Gross Margin Chart
BGT Current vs Average Gross Margin Chart
BGT Gross Margin Metrics
GROSS MARGIN
96.00%
GROSS MARGIN AVG TTM
83.56%
GROSS MARGIN AVG 3Y
104.03%
GROSS MARGIN AVG 5Y
81.56%
GROSS MARGIN AVG 10Y
78.19%
GROSS MARGIN AVG 15Y
N/A
GROSS MARGIN AVG 20Y
N/A
CURRENT VS TTM AVG
+14.89%
CURRENT VS 3Y AVG
-7.71%
CURRENT VS 5Y AVG
+17.70%
CURRENT VS 10Y AVG
+22.79%
CURRENT VS 15Y AVG
N/A
CURRENT VS 20Y AVG
N/A
BGT Competitors' Gross Margin
| NAME | MARKET CAP | GROSS MARGIN | TTM | 3Y | 5Y |
|---|---|---|---|---|---|
| BlackRock Floating Rate Income Trust (BGT) | $317.93M | 96.00% | 83.56% | 104.03% | 81.56% |
| Isabella Bank Corporation (ISBA)vs › | $295.51M | 71.36% | 67.59% | 75.75% | 78.81% |
| DeFi Technologies Inc. (DEFT)vs › | $181.93M | 40.87% | 81.72% | 89.54% | 76.36% |
| Blackrock 2037 Municipal Target Term Trust (BMN)vs › | $160.51M | N/A | N/A | N/A | N/A |
| Global X - MSCI Colombia ETF (COLO)vs › | $127.66M | N/A | N/A | N/A | N/A |
| Lufax Holding Ltd (LU)vs › | $524.09M | 41.96% | 74.93% | 74.92% | 76.18% |
| CYBER HORNET S&P 500 and Bitcoin 75/25 Strategy ETF (ZZZ)vs › | $5.89M | N/A | N/A | N/A | N/A |
| WisdomTree Artificial Intelligence and Innovation Fund (WTAI)vs › | $675.14M | N/A | N/A | N/A | N/A |
| Main Street Capital Corporation (MAIN)vs › | $4.74B | 86.39% | 91.48% | 86.62% | 80.78% |
| Kinsale Capital Group, Inc. (KNSL)vs › | $7.12B | 46.64% | 47.66% | 42.81% | 40.23% |
Gross Margin Analysis
Gross Margin
96.0%
(Revenue - COGS) / Revenue
BlackRock Floating Rate Income Trust Gross Margin Formula & Definition
Gross Margin = Gross Profit / Revenue
Gross margin is the percentage of revenue remaining after the cost of goods sold, reflecting core product profitability.
Expanded definitions: Investopedia, Wikipedia, Corporate Finance Institute
BlackRock Floating Rate Income Trust Gross Margin FAQ
- What is the gross margin for BlackRock Floating Rate Income Trust (BGT)?
- The gross margin for BGT stock is 96.00%.
- Is BlackRock Floating Rate Income Trust's gross margin high or low?
- BlackRock Floating Rate Income Trust's gross margin of 96.00% is 18% above its 5-year average of 81.56%, around the middle of its 5-year range (-8.12%–156.50%).
- What is the TTM average gross margin for BlackRock Floating Rate Income Trust (BGT)?
- The TTM average gross margin for BGT stock is 83.56%.
- What is the 3Y average gross margin for BlackRock Floating Rate Income Trust (BGT)?
- The 3Y average gross margin for BGT stock is 104.03%.
- What is the 5Y average gross margin for BlackRock Floating Rate Income Trust (BGT)?
- The 5Y average gross margin for BGT stock is 81.56%.
- What is the 10Y average gross margin for BlackRock Floating Rate Income Trust (BGT)?
- The 10Y average gross margin for BGT stock is 78.19%.
BlackRock Floating Rate Income Trust Gross Margin History
| DATE | GROSS MARGIN |
|---|---|
| 2025-12-31 | 84.12% |
| 2024-12-31 | 83.00% |
| 2023-12-31 | 92.48% |
| 2022-12-31 | 156.50% |
| 2021-12-31 | 81.41% |
| 2020-12-31 | -8.12% |
| 2019-10-31 | 61.75% |
| 2018-10-31 | 71.15% |
| 2017-10-31 | 80.84% |
| 2016-10-31 | 78.72% |
| 2015-10-31 | 100.00% |
| 2014-10-31 | 100.00% |
| 2013-10-31 | 100.00% |
| 2012-10-31 | 100.00% |
Related Metrics
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