US Stock MarketDetailed Quotes

BSTZ BlackRock Science and Technology Trust II

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  • 21.280
  • -0.470-2.16%
Close Dec 27 16:00 ET
1.58BMarket Cap7.49P/E (TTM)

BlackRock Science and Technology Trust II Key Stats

Quarterly+Annual
YOY yoy
Hide blank lines yoy
(Q2)Jun 30, 2024
(FY)Dec 31, 2023
(Q4)Dec 31, 2023
(Q2)Jun 30, 2023
(FY)Dec 31, 2022
(Q4)Dec 31, 2022
(Q2)Jun 30, 2022
(FY)Dec 31, 2021
(Q4)Dec 31, 2021
(Q2)Jun 30, 2021
Assets
Cash cash equivalents and federal funds sold
226.28%3.2M
-36.55%2.81M
-36.55%2.81M
-72.87%981.8K
-46.45%4.43M
-46.45%4.43M
-78.08%3.62M
-57.45%8.27M
-57.45%8.27M
83.67%16.51M
-Cash and cash equivalents
9,552.34%173.36K
--0
--0
-90.36%1.8K
557.31%1.38M
557.31%1.38M
951.07%18.63K
485.02%209.77K
485.02%209.77K
--1.77K
-Restricted cash and investments
209.18%3.03M
-7.87%2.81M
-7.87%2.81M
-72.78%980K
-62.16%3.05M
-62.16%3.05M
-78.20%3.6M
-58.45%8.06M
-58.45%8.06M
83.65%16.51M
Receivables
-11.66%4.08M
-19.17%5.35M
-19.17%5.35M
-47.30%4.61M
1,465.24%6.62M
1,465.24%6.62M
-26.22%8.76M
12.57%422.88K
12.57%422.88K
902.10%11.87M
Prepaid assets
--14.62K
--12.59K
--12.59K
----
----
----
--0
--0
--0
----
-Available for sale securities
--32.29M
-78.97%4.35M
-78.97%4.35M
----
--20.68M
--20.68M
----
----
----
----
Deferred costs
--0
--0
--0
--0
--0
--0
--0
--0
--0
--0
Other assets
----
----
----
----
--680.61K
--680.61K
----
----
----
----
Total assets
5.46%1.79B
7.25%1.66B
7.25%1.66B
-8.40%1.7B
-49.83%1.55B
-49.83%1.55B
-46.17%1.86B
-0.23%3.08B
-0.23%3.08B
66.50%3.45B
Liabilities
Payables
-42.63%5.78M
-53.00%4.14M
-53.00%4.14M
-65.34%10.08M
131.54%8.8M
131.54%8.8M
6.47%29.08M
-22.25%3.8M
-22.25%3.8M
635.51%27.31M
-Accounts payable
-59.39%2.18M
-77.97%984.91K
-77.97%984.91K
-79.65%5.36M
--4.47M
--4.47M
29.91%26.32M
--0
--0
1,195.46%20.26M
-Other payable
-23.62%3.61M
-27.22%3.15M
-27.22%3.15M
71.28%4.72M
13.90%4.33M
13.90%4.33M
-60.89%2.76M
21.49%3.8M
21.49%3.8M
228.00%7.05M
Long term debt and capital lease obligation
--26.59K
--347.36K
--347.36K
----
----
----
112.67%487.42K
----
----
79.77%229.19K
Derivative product liabilities
-41.29%19.07M
121.00%18.91M
121.00%18.91M
143.27%32.48M
-57.75%8.56M
-57.75%8.56M
-77.05%13.35M
-65.42%20.25M
-65.42%20.25M
46.49%58.19M
Other liabilities
1,085.32%30.73M
--2.87M
--2.87M
-47.32%2.59M
----
----
13.61%4.92M
--1.95M
--1.95M
-45.73%4.33M
Total liabilities
23.18%57.93M
32.75%27.87M
32.75%27.87M
-12.50%47.03M
-33.94%21M
-33.94%21M
-42.28%53.75M
-50.34%31.78M
-50.34%31.78M
79.39%93.12M
Shareholders'equity
Share capital
-10.92%1.2B
-12.23%1.2B
-12.23%1.2B
-10.75%1.35B
-9.41%1.37B
-9.41%1.37B
0.53%1.51B
0.53%1.51B
0.53%1.51B
-0.78%1.51B
-common stock
-10.92%1.2B
-12.23%1.2B
-12.23%1.2B
-10.75%1.35B
-9.41%1.37B
-9.41%1.37B
0.53%1.51B
0.53%1.51B
0.53%1.51B
-0.78%1.51B
Retained earnings
76.11%531.15M
179.26%425.31M
179.26%425.31M
4.72%301.61M
-90.07%152.3M
-90.07%152.3M
-84.42%288.01M
1.13%1.53B
1.13%1.53B
269.25%1.85B
Total stockholders'equity
4.95%1.74B
6.90%1.63B
6.90%1.63B
-8.28%1.65B
-49.99%1.52B
-49.99%1.52B
-46.27%1.8B
0.83%3.05B
0.83%3.05B
66.17%3.36B
Total equity
4.95%1.74B
6.90%1.63B
6.90%1.63B
-8.28%1.65B
-49.99%1.52B
-49.99%1.52B
-46.27%1.8B
0.83%3.05B
0.83%3.05B
66.17%3.36B
Currency Unit
USD
USD
USD
USD
USD
USD
USD
USD
USD
USD
Audit Opinions
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
Unqualified Opinion
--
--
(Q2)Jun 30, 2024(FY)Dec 31, 2023(Q4)Dec 31, 2023(Q2)Jun 30, 2023(FY)Dec 31, 2022(Q4)Dec 31, 2022(Q2)Jun 30, 2022(FY)Dec 31, 2021(Q4)Dec 31, 2021(Q2)Jun 30, 2021
Assets
Cash cash equivalents and federal funds sold 226.28%3.2M-36.55%2.81M-36.55%2.81M-72.87%981.8K-46.45%4.43M-46.45%4.43M-78.08%3.62M-57.45%8.27M-57.45%8.27M83.67%16.51M
-Cash and cash equivalents 9,552.34%173.36K--0--0-90.36%1.8K557.31%1.38M557.31%1.38M951.07%18.63K485.02%209.77K485.02%209.77K--1.77K
-Restricted cash and investments 209.18%3.03M-7.87%2.81M-7.87%2.81M-72.78%980K-62.16%3.05M-62.16%3.05M-78.20%3.6M-58.45%8.06M-58.45%8.06M83.65%16.51M
Receivables -11.66%4.08M-19.17%5.35M-19.17%5.35M-47.30%4.61M1,465.24%6.62M1,465.24%6.62M-26.22%8.76M12.57%422.88K12.57%422.88K902.10%11.87M
Prepaid assets --14.62K--12.59K--12.59K--------------0--0--0----
-Available for sale securities --32.29M-78.97%4.35M-78.97%4.35M------20.68M--20.68M----------------
Deferred costs --0--0--0--0--0--0--0--0--0--0
Other assets ------------------680.61K--680.61K----------------
Total assets 5.46%1.79B7.25%1.66B7.25%1.66B-8.40%1.7B-49.83%1.55B-49.83%1.55B-46.17%1.86B-0.23%3.08B-0.23%3.08B66.50%3.45B
Liabilities
Payables -42.63%5.78M-53.00%4.14M-53.00%4.14M-65.34%10.08M131.54%8.8M131.54%8.8M6.47%29.08M-22.25%3.8M-22.25%3.8M635.51%27.31M
-Accounts payable -59.39%2.18M-77.97%984.91K-77.97%984.91K-79.65%5.36M--4.47M--4.47M29.91%26.32M--0--01,195.46%20.26M
-Other payable -23.62%3.61M-27.22%3.15M-27.22%3.15M71.28%4.72M13.90%4.33M13.90%4.33M-60.89%2.76M21.49%3.8M21.49%3.8M228.00%7.05M
Long term debt and capital lease obligation --26.59K--347.36K--347.36K------------112.67%487.42K--------79.77%229.19K
Derivative product liabilities -41.29%19.07M121.00%18.91M121.00%18.91M143.27%32.48M-57.75%8.56M-57.75%8.56M-77.05%13.35M-65.42%20.25M-65.42%20.25M46.49%58.19M
Other liabilities 1,085.32%30.73M--2.87M--2.87M-47.32%2.59M--------13.61%4.92M--1.95M--1.95M-45.73%4.33M
Total liabilities 23.18%57.93M32.75%27.87M32.75%27.87M-12.50%47.03M-33.94%21M-33.94%21M-42.28%53.75M-50.34%31.78M-50.34%31.78M79.39%93.12M
Shareholders'equity
Share capital -10.92%1.2B-12.23%1.2B-12.23%1.2B-10.75%1.35B-9.41%1.37B-9.41%1.37B0.53%1.51B0.53%1.51B0.53%1.51B-0.78%1.51B
-common stock -10.92%1.2B-12.23%1.2B-12.23%1.2B-10.75%1.35B-9.41%1.37B-9.41%1.37B0.53%1.51B0.53%1.51B0.53%1.51B-0.78%1.51B
Retained earnings 76.11%531.15M179.26%425.31M179.26%425.31M4.72%301.61M-90.07%152.3M-90.07%152.3M-84.42%288.01M1.13%1.53B1.13%1.53B269.25%1.85B
Total stockholders'equity 4.95%1.74B6.90%1.63B6.90%1.63B-8.28%1.65B-49.99%1.52B-49.99%1.52B-46.27%1.8B0.83%3.05B0.83%3.05B66.17%3.36B
Total equity 4.95%1.74B6.90%1.63B6.90%1.63B-8.28%1.65B-49.99%1.52B-49.99%1.52B-46.27%1.8B0.83%3.05B0.83%3.05B66.17%3.36B
Currency Unit USDUSDUSDUSDUSDUSDUSDUSDUSDUSD
Audit Opinions --Unqualified Opinion----Unqualified Opinion----Unqualified Opinion----
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