<SEC-DOCUMENT>0000844779-17-000089.txt : 20170328
<SEC-HEADER>0000844779-17-000089.hdr.sgml : 20170328
<ACCEPTANCE-DATETIME>20170328121920
ACCESSION NUMBER:		0000844779-17-000089
CONFORMED SUBMISSION TYPE:	NSAR-A
PUBLIC DOCUMENT COUNT:		3
CONFORMED PERIOD OF REPORT:	20170131
FILED AS OF DATE:		20170328
DATE AS OF CHANGE:		20170328
EFFECTIVENESS DATE:		20170328

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			BLACKROCK MUNIHOLDINGS NEW JERSEY QUALITY FUND, INC.
		CENTRAL INDEX KEY:			0001053988
		IRS NUMBER:				223564106
		STATE OF INCORPORATION:			MD
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		NSAR-A
		SEC ACT:		1940 Act
		SEC FILE NUMBER:	811-08621
		FILM NUMBER:		17718079

	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:	BLACKROCK MUNIHOLDINGS NEW JERSEY INSURED FUND, INC.
		DATE OF NAME CHANGE:	20070611

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	MUNIHOLDINGS NEW JERSEY INSURED FUND INC
		DATE OF NAME CHANGE:	19980129
</SEC-HEADER>
<DOCUMENT>
<TYPE>NSAR-A
<SEQUENCE>1
<FILENAME>answer.fil
<TEXT>
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SIGNATURE   NEAL J. ANDREWS
TITLE       CFO

</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-99.77Q1 OTHR EXHB
<SEQUENCE>2
<FILENAME>77qmuj.txt
<TEXT>
<PAGE>

             BlackRock MuniHoldings New Jersey Quality Fund, Inc.

                              File No. 811-08621

      Sub-Item No. 77Q1(e) (Investment Advisory Contracts) -- Attachment

Attached please find an exhibit to Sub-Item 77Q1(e) of Form N-SAR, a copy of
the Closed-End Fund Master Advisory Fee Waiver Agreement between BlackRock
MuniHoldings New Jersey Quality Fund, Inc. and BlackRock Advisors, LLC.

<PAGE>

Exhibit 77Q1(e)

             CLOSED-END FUND MASTER ADVISORY FEE WAIVER AGREEMENT
             ----------------------------------------------------

   This MASTER ADVISORY FEE WAIVER AGREEMENT (this "Agreement") is made as of
the 2nd day of December, 2016, by and among BlackRock Advisors, LLC (the
"Adviser") an "Adviser") and each investment company listed on SCHEDULE A
attached hereto (each, a "Fund").

   WHEREAS, each Fund is registered under the Investment Company Act of 1940,
as amended (the "1940 Act"), as a closed-end management company, and is
organized as a statutory trust under the laws of the State of Delaware, a
limited liability company under the laws of the State of Delaware, a business
trust under the laws of the Commonwealth of Massachusetts or a corporation
under the laws of the State of Maryland;

   WHEREAS, the Adviser and each Fund are parties to investment advisory
agreements (the "Advisory Agreements"), pursuant to which the Adviser provides
investment advisory services to each Fund in consideration of compensation as
set forth in each Advisory Agreement (the "Advisory Fee"); and

   WHEREAS, the Adviser has determined that it is appropriate and in the best
interests of each Fund and its interestholders to waive part of each Fund's
Advisory Fee as set forth in SCHEDULE B attached hereto (the "Fee Waiver").
Each Fund and the Adviser, therefore, have entered into this Agreement in order
to effect the Fee Waiver for each Fund at the level specified in SCHEDULE B
attached hereto on the terms and conditions set forth in this Agreement.

   NOW, THEREFORE, in consideration of the mutual covenants set forth herein
and other good and valuable consideration, the receipt of which is hereby
acknowledged, the parties hereto agree as follows:

1. Contractual Fee Waiver. During the Term (as defined in Section 3 below), the
Adviser shall waive a portion of its Advisory Fee with respect to each Fund as
set forth in SCHEDULE B attached hereto.

2. Voluntary Fee Waiver/Expense Reimbursement. Nothing herein shall preclude an
Adviser from contractually waiving other fees and/or reimbursing expenses of
any Fund, voluntarily waiving Advisory Fees it is entitled to from any Fund or
voluntarily reimbursing expenses of any Fund as the Adviser, in its discretion,
deems reasonable or appropriate. Any such voluntary waiver or voluntary expense
reimbursement may be modified or terminated by the Adviser at any time in its
sole and absolute discretion without the approval of the Fund's Board of
Trustees or Board of Directors, as the case may be.

3. Term; Termination.
   -----------------

   3.1 Term. The term ("Term") of the Fee Waiver with respect to a Fund shall
begin on December 2, 2016 (or such other date as agreed to in writing between
the Adviser and the Fund) and end with respect to a Fund after the close of
business on the date set forth on SCHEDULE A (or such other date as agreed to
in writing between the Adviser and the Fund) unless the Fee Waiver is earlier
terminated in accordance with Section 3.2. The Term of the Fee Waiver with
respect to a Fund may be continued from year to year thereafter provided that
each such continuance is specifically approved by the Adviser and the Fund
(including with respect to the Fund, a

                                     - 1 -

<PAGE>

majority of the Fund's Trustees or Directors, as the case may be, who are not
"interested persons," as defined in the 1940 Act, of the Advisers (the
"Non-Interested Directors")). Neither the Adviser nor a Fund shall be obligated
to extend the Fee Waiver with respect to the Fund.

   3.2 Termination. This Agreement may be terminated prior to expiration by any
Fund with respect to such Fund without payment of any penalty, upon 90 days'
prior written notice to the Adviser at its principal place of business (or at
an earlier date as may be agreed to by both parties); provided that, such
action shall be authorized by resolution of a majority of the Non-Interested
Directors of such Fund or by a vote of a majority of the outstanding voting
securities of such Fund.

4. Miscellaneous.
   -------------

   4.1 Captions. The captions in this Agreement are included for convenience of
reference only and in no other way define or delineate any of the provisions
hereof or otherwise affect their construction or effect.

   4.2 Interpretation. Nothing herein contained shall be deemed to require a
Fund to take any action contrary to the Fund's Declaration of Trust or Articles
of Incorporation, as the case may be, or Bylaws, or any applicable statutory or
regulatory requirement to which it is subject or by which it is bound, or to
relieve or deprive the Fund's Board of Trustees or Board of Directors, as the
case may be, of its responsibility for and control of the conduct of the
affairs of the Fund.

   4.3 Limitation of Liability. The obligations and expenses incurred,
contracted for or otherwise existing with respect to a Fund shall be enforced
against the assets of such Fund and not against the assets of any other Fund.

   4.4 Definitions. Any question of interpretation of any term or provision of
this Agreement, including but not limited to the computations of average daily
net assets or of any Advisory Fee, and the allocation of expenses, having a
counterpart in or otherwise derived from the terms and provisions of the
relevant Advisory Agreement between the Adviser and the Fund or the 1940 Act,
shall have the same meaning as and be resolved by reference to such Advisory
Agreement or the 1940 Act, as applicable, and to interpretations thereof, if
any, by the United States Courts or in the absence of any controlling decision
of any such Court, by rules, regulations or orders of the Securities and
Exchange Commission ("SEC") issued pursuant to the 1940 Act. In addition, if
the effect of a requirement of the 1940 Act reflected in any provision of this
Agreement is revised by rule, regulation or order of the SEC, that provision
will be deemed to incorporate the effect of that rule, regulation or order.
Otherwise the provisions of this Agreement will be interpreted in accordance
with the substantive laws of the State of New York.

                                     - 2 -

<PAGE>

   IN WITNESS WHEREOF, the parties have caused this Agreement to be signed by
their respective officers as of the day and year first above written.


                                          EACH OF THE FUNDS LISTED ON SCHEDULE A
                                          ATTACHED HERETO

                                          By:     /s/ Neal J. Andrews
                                                  ------------------------------
                                          Name:   Neal J. Andrews
                                          Title:  Chief Financial Officer

                                          BLACKROCK ADVISORS, LLC

                                          By:     /s/ Neal J. Andrews
                                                  ------------------------------
                                          Name:   Neal J. Andrews
                                          Title:  Managing Director

   [SIGNATURE PAGE TO CLOSED-END FUND MASTER ADVISORY FEE WAIVER AGREEMENT]

                                     - 3 -

<PAGE>

                                  SCHEDULE A

             CLOSED-END FUND MASTER ADVISORY FEE WAIVER AGREEMENT

                          (DATED AS OF MARCH 2, 2017)

<TABLE>
<CAPTION>
                                                                     EXPIRATION
    TICKER                          FUND                                DATE
    ------  ----------------------------------------------------- ------------------
<C> <C>     <S>                                                   <C>
1    BBN    BlackRock Taxable Municipal Bond Trust                June 30, 2017
2    BJZ    BlackRock California Municipal 2018 Term Trust        June 30, 2017
3    BFZ    BlackRock California Municipal Income Trust           June 30, 2017
4    BHK    BlackRock Core Bond Trust                             June 30, 2017
5    HYT    BlackRock Corporate High Yield Fund, Inc.             June 30, 2017
6    BTZ    BlackRock Credit Allocation Income Trust              June 30, 2017
7    DSU    BlackRock Debt Strategies Fund, Inc.                  June 30, 2017
8    BHL    BlackRock Defined Opportunity Credit Trust            June 30, 2017
9    BGR    BlackRock Energy and Resources Trust                  June 30, 2017
10   CII    BlackRock Enhanced Capital and Income Fund, Inc.      June 30, 2017
11   BDJ    BlackRock Enhanced Equity Dividend Trust              June 30, 2017
12   EGF    BlackRock Enhanced Government Fund, Inc.              June 30, 2017
13   FRA    BlackRock Floating Rate Income Strategies Fund, Inc.  December 31, 2017
14   BGT    BlackRock Floating Rate Income Trust                  June 30, 2017
15   BFO    BlackRock Florida Municipal 2020 Term Trust           June 30, 2017
16   BOE    BlackRock Global Opportunities Equity Trust           June 30, 2017
17   BME    BlackRock Health Sciences Trust                       June 30, 2018
18   BKT    BlackRock Income Trust, Inc.                          June 30, 2017
19   BGY    BlackRock International Growth and Income Trust       June 30, 2017
20   BKN    BlackRock Investment Quality Municipal Trust, Inc.    June 30, 2017
</TABLE>

                                     - 4 -

<PAGE>

<TABLE>
<CAPTION>
                                                                       EXPIRATION
    TICKER                            FUND                                DATE
    ------  --------------------------------------------------------- --------------
<C> <C>     <S>                                                       <C>
21   BLW    BlackRock Limited Duration Income Trust                   June 30, 2017
22   BTA    BlackRock Long-Term Municipal Advantage Trust             June 30, 2017
23   BZM    BlackRock Maryland Municipal Bond Trust                   June 30, 2017
24   MHE    BlackRock Massachusetts Tax-Exempt Trust                  June 30, 2017
25   BIT    BlackRock Multi-Sector Income Trust                       June 30, 2017
26   MUI    BlackRock Muni Intermediate Duration Fund, Inc.           June 30, 2017
27   MNE    BlackRock Muni New York Intermediate Duration Fund, Inc.  June 30, 2017
28   MUA    BlackRock MuniAssets Fund, Inc.                           June 30, 2017
29   BPK    BlackRock Municipal 2018 Term Trust                       June 30, 2017
30   BKK    BlackRock Municipal 2020 Term Trust                       June 30, 2017
31   BBK    BlackRock Municipal Bond Trust                            June 30, 2017
32   BAF    BlackRock Municipal Income Investment Quality Trust       June 30, 2017
33   BBF    BlackRock Municipal Income Investment Trust               June 30, 2017
34   BYM    BlackRock Municipal Income Quality Trust                  June 30, 2017
35   BFK    BlackRock Municipal Income Trust                          June 30, 2017
36   BLE    BlackRock Municipal Income Trust II                       June 30, 2017
37   BTT    BlackRock Municipal 2030 Target Term Trust                June 30, 2017
38   MEN    BlackRock MuniEnhanced Fund, Inc.                         June 30, 2017
39   MUC    BlackRock MuniHoldings California Quality Fund, Inc.      June 30, 2017
40   MUH    BlackRock MuniHoldings Fund II, Inc.                      June 30, 2017
41   MHD    BlackRock MuniHoldings Fund, Inc.                         June 30, 2017
42   MFL    BlackRock MuniHoldings Investment Quality Fund            June 30, 2017
43   MUJ    BlackRock MuniHoldings New Jersey Quality Fund, Inc.      June 30, 2017
</TABLE>

                                     - 5 -

<PAGE>

<TABLE>
<CAPTION>
                                                                 EXPIRATION
    TICKER                         FUND                             DATE
    ------  --------------------------------------------------- --------------
<C> <C>     <S>                                                 <C>
44   MHN    BlackRock MuniHoldings New York Quality Fund, Inc.  June 30, 2017
45   MUE    BlackRock MuniHoldings Quality Fund II, Inc.        June 30, 2017
46   MUS    BlackRock MuniHoldings Quality Fund, Inc.           June 30, 2017
47   MVT    BlackRock MuniVest Fund II, Inc.                    June 30, 2017
48   MVF    BlackRock MuniVest Fund, Inc.                       June 30, 2017
49   MZA    BlackRock MuniYield Arizona Fund, Inc.              June 30, 2017
50   MYC    BlackRock MuniYield California Fund, Inc.           June 30, 2017
51   MCA    BlackRock MuniYield California Quality Fund, Inc.   June 30, 2017
52   MYD    BlackRock MuniYield Fund, Inc.                      June 30, 2017
53   MYF    BlackRock MuniYield Investment Fund                 June 30, 2017
54   MFT    BlackRock MuniYield Investment Quality Fund         June 30, 2017
55   MIY    BlackRock MuniYield Michigan Quality Fund, Inc.     June 30, 2017
56   MYJ    BlackRock MuniYield New Jersey Fund, Inc.           June 30, 2017
57   MYN    BlackRock MuniYield New York Quality Fund, Inc.     June 30, 2017
58   MPA    BlackRock MuniYield Pennsylvania Quality Fund       June 30, 2017
59   MQT    BlackRock MuniYield Quality Fund II, Inc.           June 30, 2017
60   MYI    BlackRock MuniYield Quality Fund III, Inc.          June 30, 2017
61   MQY    BlackRock MuniYield Quality Fund, Inc.              June 30, 2017
62   BLJ    BlackRock New Jersey Municipal Bond Trust           June 30, 2017
63   BNJ    BlackRock New Jersey Municipal Income Trust         June 30, 2017
64   BLH    BlackRock New York Municipal 2018 Term Trust        June 30, 2017
65   BQH    BlackRock New York Municipal Bond Trust             June 30, 2017
66   BSE    BlackRock New York Municipal Income Quality Trust   June 30, 2017
</TABLE>

                                     - 6 -

<PAGE>

<TABLE>
<CAPTION>
                                                                EXPIRATION
    TICKER                        FUND                             DATE
    ------  -------------------------------------------------- --------------
<C> <C>     <S>                                                <C>
67   BNY    BlackRock New York Municipal Income Trust          June 30, 2017
68   BFY    BlackRock New York Municipal Income Trust II       June 30, 2017
69   --     BlackRock Preferred Partners LLC                   July 31, 2017
70   BCX    BlackRock Resources & Commodities Strategy Trust   June 30, 2017
71   BST    BlackRock Science and Technology Trust             June 30, 2017
72   BUI    BlackRock Utility and Infrastructure Trust         June 30, 2017
73   BHV    BlackRock Virginia Municipal Bond Trust            June 30, 2017
74   BSD    The BlackRock Strategic Municipal Trust            June 30, 2017
75   BGIO   BlackRock 2022 Global Income Opportunity Trust/1/  June 30, 2018
</TABLE>
--------
/1/  This Agreement was effective with respect to BlackRock 2022 Global Income
     Opportunity Trust as of February 16, 2017.

                                     - 7 -

<PAGE>

                                  SCHEDULE B

             CLOSED-END FUND MASTER ADVISORY FEE WAIVER AGREEMENT

                        (DATED AS OF DECEMBER 2, 2016)

       BlackRock Advisors, LLC will waive the management fee with respect to
any portion of the Fund's assets estimated to be attributable to investments in
other equity and fixed-income mutual funds and exchange-traded funds managed by
BlackRock Advisors, LLC or its affiliates.

                                     - 8 -
</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-99.77O RULE 10F-3
<SEQUENCE>3
<FILENAME>77o07.txt
<TEXT>

                                                            [LOGO OF BLACKROCK]
Rule 10f-3 Transaction Form

Acquisition of Securities During Affiliated Underwritings

PARTICIPATING FUNDS

..   U.S. Registered Funds (Name of Fund, Aladdin Ticker):
    BlackRock Municipal 2030 Target Term Trust (BTT2)
    BlackRock Municipal Income Investment Quality Trust (BAF)
    BlackRock Allocation Target Shares : Series E Portfolio (BATSE)
    BlackRock Municipal Income Investment Trust (BBF)
    BlackRock New Jersey Municipal Bond Trust (BLJ)
    BlackRock New Jersey Municipal Income Trust (BNJ)
    BlackRock National Municipal Fund of Blackrock Municipal Bond Fund, Inc.
    (BR-NATL)
    BlackRock New Jersey Municipal Bond Fund of BlackRock Multi-State Municipal
    (BR-NJMUNI)
    BlackRock Strategic Municipal Trust (BSD)
    BlackRock Long-Term Municipal Advantage Trust (BTA)
    BlackRock MuniYield Investment Quality Fund (MFT)
    BlackRock MuniHoldings Quality Fund II, Inc. (MUE)
    BlackRock MuniHoldings New Jersey Quality Fund, Inc. (MUJ)
    BlackRock MuniHoldings Quality Fund, Inc. (MUS)
    BlackRock MuniVest Fund, Inc. (MVF)
    BlackRock MuniYield New Jersey Fund, Inc. (MYJ)
    BlackRock Municipal Bond Trust (BBK)
    BlackRock Investment Quality Municipal Trust (BKN)

THE OFFERING

KEY CHARACTERISTICS (COMPLETE ALL FIELDS)

Date of                    10-21-2016
Offering Commencement:

Security Type:             BND/MUNI

Issuer                     New Jersey Health Care Facilities Financing
                           Authority Revenue and Refunding Bonds RWJ Barnabas
                           Health Obligated Group Issue, Series 2016A

Selling Underwriter        Citigroup Global Markets Inc

Affiliated Underwriter(s)  [X] PNC Capital Markets LLC
                           [_] Other:

List of Underwriter(s)     Citigroup Global Markets Inc., Duncan-Williams,
                           Inc, Estrada Hinojosa & Company, Estrada Hinojosa &
                           Company, J.P. Morgan Securities LLC, PNC Capital
                           Markets LLC, Wells Fargo Securities, LLC

                                                                    Page 1 of 2

Rule 10f-3 Report - Definitions                            [LOGO OF BLACKROCK]

TRANSACTION DETAILS

Date of Purchase           10-21-2016

Purchase Price/Share
(PER SHARE / % OF PAR)     $117.584 Total Commission, Spread or Profit   0.523%
                           $113.875
                           $102.578

<TABLE>
<S>                                                                <C>
1.  Aggregate Principal Amount Purchased (a+b)                     $ 64,725,000

    a.  US Registered Funds
        (Appendix attached with individual Fund/Client purchase)   $ 53,745,000

    b.  Other BlackRock Clients                                    $ 10,980,000

2.  Aggregate Principal Amount of Offering                         $679,135,000
FUND RATIO
[Divide Sum of #1 by #2]
Must be less than 0.25                                                  0.09531
</TABLE>

Rule 10f-3 Report - Definitions                            [LOGO OF BLACKROCK]

LEGAL REQUIREMENTS

OFFERING TYPE (CHECK ONE)

The securities fall into one of the following transaction types (see
Definitions):

[_] U.S. Registered Public Offering... [Issuer must have 3 years of continuous
                                       operations]
[_] Eligible Rule 144A Offering....... [Issuer must have 3 years of continuous
                                       operations]
[X] Eligible Municipal Securities
[_] Eligible Foreign Offering......... [Issuer must have 3 years of continuous
                                       operations]
[_] Government Securities Offering.... [Issuer must have 3 years of continuous
                                       operations]

TIMING AND PRICE (CHECK ONE OR BOTH)

[X] The securities were purchased before the end of the first day on which any
    sales were made, at a price that was not more than the price paid by each
    other purchaser of securities in that offering or in any concurrent
    offering of the securities; and
[_] If the securities are offered for subscription upon exercise of rights, the
    securities were purchased on or before the fourth day before the day on
    which the rights offering terminated.

FIRM COMMITMENT OFFERING (CHECK ONE)

[X] YES  The securities were offered pursuant to an underwriting or similar
[_] NO   agreement under which the underwriters were committed to purchase all
         of the securities being offered, except those purchased by others
         pursuant to a rights offering, if the underwriters purchased any of
         the securities.

NO BENEFIT TO AFFILIATED UNDERWRITER (CHECK ONE)

[X] YES  No affiliated underwriter was a direct or indirect participant in, or
[_] NO   benefited directly or indirectly from, the transaction.

Completed by:             Dipankar Banerjee                 Date:   11-07-2016
                          --------------------------------         ------------
                          Global Syndicate Team Member

Approved by:              Steven DeLaura                    Date:   11-07-2016
                          --------------------------------         ------------
                          Global Syndicate Team Member

Rule 10f-3 Report - Definitions                            [LOGO OF BLACKROCK]

DEFINITIONS

TERM                           DEFINITION
Fund Ratio                     Number appearing at the bottom of page 1 of 2
                               of the Rule 10f-3 Report form. It is the sum of
                               the Funds' participation in the offering by the
                               Funds and other accounts managed by BlackRock
                               divided by the total amount of the offering.

Eligible Foreign Offering      The securities are sold in a public offering
                               conducted under the laws of a country other
                               than the United States and

                               (a) the offering is subject to regulation in
                                   such country by a "foreign financial
                                   regulatory authority," as defined in
                                   Section 2(a)(50) of the Investment Company
                                   Act of 1940;

                               (b) the securities were offered at a fixed
                                   price to all purchasers in the offering
                                   (except for any rights to purchase
                                   securities that are required by law to be
                                   granted to existing security holders of the
                                   issuer);

                               (c) financial statements, prepared and audited
                                   as required or permitted by the appropriate
                                   foreign financial regulatory authority in
                                   such country, for the two years prior to
                                   the offering, were made available to the
                                   public and prospective purchasers in
                                   connection with the offering; and

                               (d) if the issuer is a "domestic issuer," i.e.,
                                   other than a foreign government, a national
                                   of any foreign country, or a corporation or
                                   other organization incorporated or
                                   organized under the laws of any foreign
                                   country, it (1) has a class of securities
                                   registered pursuant to section 12(b) or
                                   12(g) of the Securities Exchange Act of
                                   1934 or is required to file reports
                                   pursuant to section 15(d) of that act, and
                                   (2) has filed all the material required to
                                   be filed pursuant to section 13(a) or 15(d)
                                   of that act for a period of at least 12
                                   months immediately preceding the sale of
                                   securities (or for such shorter period that
                                   the issuer was required to file such
                                   material)

Rule 10f-3 Report - Definitions                            [LOGO OF BLACKROCK]

TERM                           DEFINITION
Eligible Municipal Securities  The securities:

                               (a) are direct obligations of, or obligations
                                   guaranteed as to principal or interest by,
                                   a State or any political subdivision
                                   thereof, or any agency or instrumentality
                                   of a State or any political subdivision
                                   thereof, or any municipal corporate
                                   instrumentality of one or more States, or
                                   any security which is an industrial
                                   development bond (as defined in section
                                   103(c)(2) of Title 26) the interest on
                                   which is excludable from gross income under
                                   certain provisions of the Internal Revenue
                                   Code;

                               (b) are sufficiently liquid that they can be
                                   sold at or near their carrying value within
                                   a reasonably short period of time; and

                               (c) either

                                   (1) are subject to no greater than moderate
                                       credit risk; or

                                   (2) if the issuer of the municipal
                                       securities, or the entity supplying the
                                       revenues or other payments from which
                                       the issue is to be paid, has been in
                                       continuous operation for less than
                                       three years, including the operation of
                                       any predecessors, the securities are
                                       subject to a minimal or low amount of
                                       credit risk.

                               Also, purchases of municipal securities may not
                               be designated as group sales or otherwise
                               allocated to the account of any prohibited
                               seller (i.e., an affiliated underwriter).

Eligible Rule 144A Offering    The securities are sold in an offering where

                               (a) the securities are offered or sold in
                                   transactions exempt from registration under
                                   Section 4(2) of the Securities Act of 1933,
                                   Rule 144A thereunder, or Rules 501-508
                                   thereunder;

                               (b) the securities were sold to persons that
                                   the seller and any person acting on behalf
                                   of the seller reasonably believe to include
                                   qualified institutional buyers, as defined
                                   in Rule 144A ("QIBs"); and

                               (c) the seller and any person acting on behalf
                                   of the seller reasonably believe that the
                                   securities are eligible for resale to other
                                   QIBs pursuant to Rule 144A.

Government Securities Offering The security is issued or guaranteed as to
                               principal or interest by the United States, or
                               by a person controlled or supervised by and
                               acting as an instrumentality of the Government
                               of the United States pursuant to authority
                               granted by the Congress of the United States;
                               or any certificate of deposit for any of the
                               foregoing.

Rule 10f-3 Report - Definitions                            [LOGO OF BLACKROCK]

TERM                              DEFINITION
U.S. Registered Public Offering.  The securities offered are registered under
                                  the Securities Act of 1933 that are being
                                  offered to the public.
</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
