Schedule
of
Investments
(unaudited)
April
30,
2026
BlackRock
Short
Obligations
Fund
2
(Percentages
shown
are
based
on
Net
Assets)
Security
Par
(000)
Par
(000)
Value
Asset-Backed
Securities
BMW
Vehicle
Lease
Trust
Series
2025-2,
Class
A2A,
3.94%,
11/26/27
.
USD
3,154
$
3,153,843
Series
2025-2,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.31%),
3.96%,
11/26/27
(a)
.....................
2,314
2,314,888
Series
2026-1,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.37%),
4.01%,
07/25/28
(a)
.....................
3,580
3,580,717
CNH
Equipment
Trust,
Series
2026-A,
Class
A2A,
3.82%,
06/15/29
...............
5,218
5,208,135
Ford
Credit
Auto
Lease
Trust,
Series
2026-A,
Class
A2A,
3.83%,
08/15/28
...........
1,940
1,937,365
Ford
Credit
Auto
Owner
Trust
Series
2025-B,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.30%),
3.94%,
06/15/28
(a)
.....................
2,415
2,414,220
Series
2025-C,
Class
A2A,
3.99%,
09/15/28
.
1,862
1,861,958
Series
2025-C,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.36%),
4.00%,
09/15/28
(a)
.....................
1,770
1,769,330
Honda
Auto
Receivables
Owner
Trust
(a)
Series
2025-4,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.38%),
4.02%,
06/15/28
......................
3,579
3,580,145
Series
2026-1,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.34%),
3.98%,
09/21/28
......................
7,598
7,598,752
Hyundai
Auto
Lease
Securitization
Trust
(b)
Series
2026-A,
Class
A2A,
3.85%,
05/15/28
.
4,109
4,102,359
Series
2026-A,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.36%),
4.00%,
05/15/28
(a)
.....................
1,921
1,920,973
Series
2026-B,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.40%),
4.04%,
09/15/28
(a)
.....................
4,456
4,456,488
Hyundai
Auto
Receivables
Trust
(a)
Series
2025-C,
Class
A2B,
(SOFR
30
day
Average
+
0.35%),
3.99%,
07/17/28
....
2,382
2,380,930
Series
2025-D,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.38%),
4.02%,
11/15/28
......................
7,053
7,054,371
Series
2026-A,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.34%),
3.98%,
02/15/29
......................
7,564
7,558,746
Nissan
Auto
Receivables
Owner
Trust
Series
2025-B,
Class
A2A,
4.00%,
07/17/28
.
2,238
2,237,663
Series
2025-B,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.38%),
4.02%,
07/17/28
(a)
.....................
1,413
1,413,153
Toyota
Auto
Receivables
Owner
Trust
Series
2025-D,
Class
A2A,
3.89%,
08/15/28
.
2,068
2,066,885
Series
2025-D,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.32%),
3.96%,
08/15/28
(a)
.....................
1,467
1,467,207
Series
2026-A,
Class
A2A,
3.80%,
12/15/28
.
3,734
3,728,920
Series
2026-A,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.33%),
3.97%,
12/15/28
(a)
.....................
1,186
1,186,246
Series
2026-B,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.38%),
4.02%,
02/15/29
(a)
.....................
4,360
4,362,178
Toyota
Lease
Owner
Trust,
Series
2025-B,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.34%),
3.98%,
05/22/28
(a)
(b)
...........
1,322
1,322,140
Security
Par
(000)
Par
(000)
Value
Asset-Backed
Securities
(continued)
USAA
Auto
Owner
Trust,
Series
2025-A,
Class
A2,
3.98%,
03/15/28
(b)
...............
USD
1,558
$
1,558,237
Volkswagen
Auto
Lease
Trust,
Series
2025-B,
Class
A2B,
(SOFR
30
day
Average
at
0.00%
Floor
+
0.37%),
4.01%,
04/20/28
(a)
.......
2,079
2,080,217
Total
Asset-Backed
Securities
8
.5
%
(Cost:
$
82,340,108
)
...............................
82,316,066
Corporate
Bonds
Aerospace
&
Defense
0.2%
General
Dynamics
Corp.,
3.50%,
04/01/27
...
1,970
1,962,606
Automobiles
2.4%
(b)
BMW
US
Capital
LLC
(SOFR
Index
+
0.80%),
4.47%
,
08/13/26
(a)
.
2,770
2,774,538
4.65%
,
08/13/26
...................
1,175
1,177,061
Hyundai
Capital
America
5.45%
,
06/24/26
...................
2,005
2,008,475
5.25%
,
01/08/27
...................
2,625
2,640,210
4.85%
,
03/25/27
...................
3,030
3,042,304
(1-day
SOFR
at
0.00%
Floor
+
1.12%),
4.79%
,
06/23/27
(a)
................
2,835
2,847,133
(1-day
SOFR
at
0.00%
Floor
+
1.03%),
4.70%
,
09/24/27
(a)
................
2,965
2,976,934
Mercedes-Benz
Finance
North
America
LLC,
4.88%,
07/31/26
..................
2,840
2,844,026
Volkswagen
Group
of
America
Finance
LLC,
4.45%,
09/11/27
..................
3,280
3,270,540
23,581,221
Banks
12.3%
ANZ
New
Zealand
International
Ltd.,
4.00%,
01/22/29
(b)
......................
900
892,035
ASB
Bank
Ltd.,
5.35%,
06/15/26
(b)
.........
2,925
2,928,762
Banque
Federative
du
Credit
Mutuel
SA,
5.09%,
01/23/27
(b)
......................
3,140
3,160,526
BPCE
SA,
5.20%,
01/18/27
(b)
............
2,010
2,024,868
Citibank
NA
4.93%
,
08/06/26
...................
4,420
4,426,739
(1-day
SOFR
+
0.71%),
4.38%
,
11/19/27
(a)
.
8,450
8,456,701
Commonwealth
Bank
of
Australia
(1-day
SOFR
at
0.00%
Floor
+
0.46%),
4.12%
,
11/27/26
(a)
(b)
...............
2,770
2,772,526
4.42%
,
03/14/28
...................
3,035
3,050,492
Series
C
,
4.36%
,
03/27/29
............
1,740
1,743,807
Cooperatieve
Rabobank
UA
(1-day
SOFR
+
0.59%),
4.25%
,
05/27/27
(a)
.
6,210
6,226,426
4.88%
,
01/21/28
...................
5,610
5,685,108
Morgan
Stanley
Bank
NA,
(1-day
SOFR
+
0.69%),
4.33%,
10/15/27
(a)
............
8,770
8,776,577
Morgan
Stanley
Private
Bank
NA,
(1-day
SOFR
+
0.78%),
4.20%,
11/17/28
(a)
............
2,305
2,297,312
National
Australia
Bank
Ltd.,
(1-day
SOFR
+
0.50%),
4.16%,
03/06/28
(a)
(b)
...........
2,805
2,808,871
National
Securities
Clearing
Corp.,
4.35%,
05/20/27
(b)
......................
5,715
5,740,019
NatWest
Markets
plc,
4.79%,
03/21/28
(b)
.....
4,220
4,249,588
Nordea
Bank
Abp
(b)
5.00%
,
03/19/27
...................
3,150
3,175,709
(1-day
SOFR
+
0.70%),
4.38%
,
03/17/28
(a)
.
2,210
2,218,352
PNC
Bank
NA,
(1-day
SOFR
+
0.63%),
4.54%,
05/13/27
(a)
......................
4,240
4,240,410
PNC
Financial
Services
Group,
Inc.
(The)
(a)
(1-day
SOFR
+
0.80%),
5.10%
,
07/23/27
..
2,645
2,648,813
(1-day
SOFR
+
0.61%),
4.08%
,
01/26/29
..
4,040
4,019,029
Schedule
of
Investments
(unaudited)
(continued)
April
30,
2026
BlackRock
Short
Obligations
Fund
3
(Percentages
shown
are
based
on
Net
Assets)
Security
Par
(000)
Par
(000)
Value
Banks
(continued)
Skandinaviska
Enskilda
Banken
AB,
4.38%,
06/02/28
(b)
......................
USD
6,205
$
6,216,174
Sumitomo
Mitsui
Financial
Group,
Inc.,
4.11%,
01/15/29
.......................
6,095
6,046,380
Sumitomo
Mitsui
Trust
Bank
Ltd.
(b)
4.45%
,
09/10/27
...................
2,770
2,774,333
(1-day
SOFR
+
0.71%),
4.37%
,
03/05/29
(a)
.
2,750
2,750,449
Truist
Bank
(a)
(1-day
SOFR
+
0.59%),
4.67%
,
05/20/27
..
4,955
4,954,351
Series
I
,
(1-day
SOFR
+
0.66%),
4.14%
,
01/27/29
......................
2,100
2,090,319
United
Overseas
Bank
Ltd.,
(SOFR
Index
+
0.58%),
4.24%,
04/02/28
(a)
(b)
...........
3,035
3,043,077
Wells
Fargo
&
Co.
(a)
(1-day
SOFR
+
0.78%),
4.42%
,
01/24/28
..
2,980
2,983,913
Series
W
,
(1-day
SOFR
+
0.78%),
4.90%
,
01/24/28
......................
2,010
2,017,139
Westpac
Banking
Corp.,
(1-day
SOFR
+
0.50%),
4.16%,
03/06/28
(a)
(b)
................
2,900
2,902,098
Westpac
New
Zealand
Ltd.,
4.13%,
01/29/29
(b)
.
2,050
2,035,294
119,356,197
Biotechnology
0.6%
AbbVie,
Inc.,
(SOFR
Index
+
0.48%),
4.14%,
03/03/28
(a)
......................
5,385
5,392,701
Broadline
Retail
1.0%
Amazon.com,
Inc.
3.85%
,
03/13/28
...................
5,150
5,126,706
(1-day
SOFR
+
0.44%),
4.12%
,
03/13/28
(a)
.
2,575
2,577,833
3.90%
,
11/20/28
...................
2,010
1,996,926
9,701,465
Capital
Markets
3.8%
Bank
of
New
York
Mellon
Corp.
(The),
(SOFR
Index
+
0.68%),
4.36%,
06/09/28
(a)
.......
9,240
9,254,055
Macquarie
Bank
Ltd.
(b)
5.39%
,
12/07/26
...................
1,990
2,005,476
3.92%
,
02/03/28
...................
4,285
4,260,596
Morgan
Stanley,
3.63%,
01/20/27
.........
9,000
8,969,127
State
Street
Bank
&
Trust
Co.,
(1-day
SOFR
+
0.46%),
4.12%,
11/25/26
(a)
............
1,135
1,136,544
UBS
AG
(a)
(1-day
SOFR
+
0.50%),
4.19%
,
05/17/27
..
7,760
7,764,647
(1-day
SOFR
+
0.72%),
4.86%
,
01/10/28
..
3,420
3,433,044
36,823,489
Commercial
Services
&
Supplies
0.2%
Waste
Management,
Inc.,
4.95%,
07/03/27
...
2,155
2,174,812
Consumer
Finance
4.6%
American
Honda
Finance
Corp.
(a)
(1-day
SOFR
at
0.00%
Floor
+
0.55%),
4.23%
,
05/21/26
.................
2,200
2,200,254
(1-day
SOFR
at
0.00%
Floor
+
0.65%),
4.30%
,
07/15/26
.................
5,000
5,003,348
(SOFR
Index
+
0.72%),
4.39%
,
10/05/26
..
2,000
2,002,452
Series
A
,
(SOFR
Index
at
0.00%
Floor
+
0.93%),
4.58%
,
04/10/28
...........
2,430
2,434,369
Caterpillar
Financial
Services
Corp.
(1-day
SOFR
+
0.38%),
4.05%
,
01/07/27
(a)
.
2,155
2,152,545
4.50%
,
01/07/27
...................
2,780
2,788,828
3.95%
,
11/14/28
...................
7,500
7,469,686
Hyundai
Capital
Services,
Inc.,
5.25%,
01/22/28
(b)
5,790
5,856,480
John
Deere
Capital
Corp.
4.50%
,
01/08/27
...................
2,780
2,789,269
4.20%
,
07/15/27
...................
1,165
1,167,778
Security
Par
(000)
Par
(000)
Value
Consumer
Finance
(continued)
Toyota
Motor
Credit
Corp.
5.20%
,
05/15/26
...................
USD
2,975
$
2,976,492
(1-day
SOFR
at
0.00%
Floor
+
0.43%),
4.07%
,
06/09/27
(a)
................
7,700
7,707,569
44,549,070
Electric
Utilities
0.6%
Florida
Power
&
Light
Co.,
4.45%,
05/15/26
...
1,915
1,915,179
NextEra
Energy
Capital
Holdings,
Inc.
4.69%
,
09/01/27
...................
1,790
1,797,847
4.85%
,
02/04/28
...................
2,235
2,253,697
5,966,723
Electrical
Equipment
0.3%
Eaton
Corp.,
3.85%,
03/06/28
...........
2,550
2,532,766
Electronic
Equipment,
Instruments
&
Components
0.7%
Amphenol
Corp.
5.05%
,
04/05/27
...................
2,755
2,779,904
(1-day
SOFR
+
0.53%),
4.22%
,
11/15/27
(a)
.
3,725
3,720,891
6,500,795
Entertainment
0.6%
TWDC
Enterprises
18
Corp.,
2.95%,
06/15/27
.
6,040
5,966,659
Financial
Services
5.2%
Equitable
America
Global
Funding
(b)
3.95%
,
09/15/27
...................
830
822,492
(1-day
SOFR
+
0.71%),
4.39%
,
09/15/27
(a)
.
3,115
3,118,102
4.30%
,
12/15/28
...................
6,050
5,992,387
JPMorgan
Chase
Bank
NA,
5.11%,
12/08/26
..
3,030
3,048,185
National
Rural
Utilities
Cooperative
Finance
Corp.
(1-day
SOFR
+
0.33%),
3.97%
,
10/30/26
(a)
.
2,690
2,690,009
(1-day
SOFR
+
0.58%),
4.26%
,
11/22/26
(a)
.
7,550
7,563,026
Series
D
,
(SOFR
Index
+
0.43%),
4.12%
,
08/09/27
(a)
.....................
2,430
2,430,583
4.75%
,
02/07/28
...................
1,350
1,359,776
Nationwide
Building
Society,
1.50%,
10/13/26
(b)
8,900
8,797,677
NTT
Finance
Corp.,
4.57%,
07/16/27
(b)
......
2,865
2,873,051
PayPal
Holdings,
Inc.
(1-day
SOFR
+
0.67%),
4.33%
,
03/06/28
(a)
.
2,080
2,083,438
4.45%
,
03/06/28
...................
1,305
1,307,011
Siemens
Financieringsmaatschappij
NV,
6.13%,
08/17/26
(b)
......................
8,750
8,802,616
50,888,353
Food
Products
0.4%
Mars,
Inc.,
4.45%,
03/01/27
(b)
...........
3,370
3,381,943
Health
Care
Equipment
&
Supplies
0.6%
Stryker
Corp.,
4.55%,
02/10/27
..........
5,935
5,958,293
Health
Care
Providers
&
Services
0.1%
UnitedHealth
Group,
Inc.,
4.75%,
07/15/26
...
850
851,326
Hotels,
Restaurants
&
Leisure
0.6%
Marriott
International,
Inc.,
4.20%,
07/15/27
...
3,030
3,024,070
Starbucks
Corp.,
4.85%,
02/08/27
.........
3,130
3,144,285
6,168,355
Insurance
8.4%
(b)
Athene
Global
Funding
(a)
(SOFR
Index
at
0.00%
Floor
+
0.75%),
4.40%
,
07/16/26
.................
3,810
3,812,476
(SOFR
Index
at
0.00%
Floor
+
0.68%),
4.37%
,
08/10/26
.................
3,065
3,066,611
(1-day
SOFR
at
0.00%
Floor
+
0.95%),
4.61%
,
04/19/27
.................
2,545
2,550,225
(SOFR
Index
at
0.00%
Floor
+
0.95%),
4.61%
,
03/06/28
.................
11,065
11,045,137
Schedule
of
Investments
(unaudited)
(continued)
April
30,
2026
BlackRock
Short
Obligations
Fund
4
(Percentages
shown
are
based
on
Net
Assets)
Security
Par
(000)
Par
(000)
Value
Insurance
(continued)
MassMutual
Global
Funding
II
4.45%
,
03/27/28
...................
USD
5,448
$
5,468,659
4.00%
,
01/22/29
...................
6,630
6,558,666
Metropolitan
Life
Global
Funding
I,
4.15%,
08/25/28
.......................
1,295
1,289,243
New
York
Life
Global
Funding,
4.20%,
04/20/29
2,405
2,393,688
Northwestern
Mutual
Global
Funding
4.49%
,
03/21/28
...................
3,940
3,954,773
4.13%
,
08/25/28
...................
1,425
1,420,819
4.40%
,
03/30/29
...................
5,125
5,132,642
Pacific
Life
Global
Funding
II
(1-day
SOFR
+
0.48%),
4.15%
,
02/04/27
(a)
.
6,635
6,642,520
(1-day
SOFR
+
0.60%),
4.26%
,
01/27/28
(a)
.
5,000
4,997,500
4.30%
,
04/27/29
...................
2,405
2,398,037
Principal
Life
Global
Funding
II
4.60%
,
08/19/27
...................
2,910
2,917,217
4.25%
,
08/18/28
...................
1,125
1,118,161
Protective
Life
Global
Funding
(1-day
SOFR
+
0.50%),
4.14%
,
07/22/26
(a)
.
8,460
8,461,323
4.99%
,
01/12/27
...................
3,150
3,169,437
(1-day
SOFR
at
0.00%
Floor
+
0.85%),
4.51%
,
09/11/28
(a)
................
5,440
5,453,266
81,850,400
IT
Services
0.8%
Accenture
Capital,
Inc.,
3.90%,
10/04/27
.....
2,015
2,009,521
International
Business
Machines
Corp.,
3.30%,
05/15/26
.......................
6,070
6,068,212
8,077,733
Machinery
0.8%
Daimler
Truck
Finance
North
America
LLC
(b)
5.00%
,
01/15/27
...................
2,260
2,272,041
4.30%
,
08/12/27
...................
1,620
1,616,759
4.95%
,
01/13/28
...................
1,775
1,789,197
4.15%
,
01/12/29
...................
2,280
2,250,961
7,928,958
Metals
&
Mining
0.3%
Rio
Tinto
Finance
USA
plc
4.38%
,
03/12/27
...................
1,040
1,043,809
(SOFR
Index
+
0.84%),
4.52%
,
03/14/28
(a)
.
1,395
1,399,805
2,443,614
Multi-Utilities
0.4%
WEC
Energy
Group,
Inc.,
4.75%,
01/15/28
...
3,575
3,594,935
Pharmaceuticals
0.1%
Pfizer,
Inc.,
3.88%,
11/15/27
............
1,040
1,037,512
Semiconductors
&
Semiconductor
Equipment
0.3%
Advanced
Micro
Devices,
Inc.,
4.21%,
09/24/26
3,040
3,042,953
Software
0.8%
Salesforce,
Inc.,
4.50%,
03/15/28
.........
7,720
7,727,249
Specialty
Retail
0.3%
Home
Depot,
Inc.
(The),
5.15%,
06/25/26
....
2,900
2,905,530
Trading
Companies
&
Distributors
0.1%
Mitsubishi
Corp.,
4.00%,
09/09/28
(b)
........
1,035
1,027,942
Total
Corporate
Bonds
46
.5
%
(Cost:
$
450,901,116
)
..............................
451,393,600
Security
Par
(000)
Par
(000)
Value
Foreign
Agency
Obligations
Australia
0.6%
NBN
Co.
Ltd.
,
4.00
%
,
10/01/27
(b)
..........
USD
5,925
$
5,904,400
Total
Foreign
Agency
Obligations
0
.6
%
(Cost:
$
5,919,596
)
...............................
5,904,400
Municipal
Bonds
Illinois
0.0
%
State
of
Illinois
,
Series
2026A
,
GO
,
4.33
%
,
04/01/27
...................
285
285,522
New
York
0
.3
%
City
of
New
York
,
Series
2026,
Sub-Series
H-1
,
GO
,
02/01/28
(c)
....................
615
615,619
New
York
City
Transitional
Finance
Authority
Future
Tax
Secured
,
Series
2025J,
Sub-Series
J-2
,
RB
,
4.51
%
,
11/01/26
.............
2,835
2,842,524
3,458,143
Other
0
.1
%
Taxable
Municipal
Funding
Trust
,
Series
2020-
11
,
RB
,
VRDN
(
Barclays
Bank
plc
LOC
)
,
3.97
%
,
10/01/26
(b)
(d)
.................
720
720,000
Total
Municipal
Bonds
0
.4
%
(Cost:
$
4,455,000
)
...............................
4,463,665
U.S.
Treasury
Obligations
U.S.
Treasury
Notes
3.75
%
,
08/31/26
...................
5,815
5,814,909
3.50
%
,
09/30/26
...................
2,930
2,926,953
4.13
%
,
10/31/26
...................
13,355
13,378,475
Total
U.S.
Treasury
Obligations
2
.3
%
(Cost:
$
22,075,884
)
...............................
22,120,337
Total
Long-Term
Investments
58.3%
(Cost:
$
565,691,704
)
..............................
566,198,068
Short-Term
Securities
Certificates
of
Deposit
12.0%
Domestic
0.4%
Bank
of
America
NA
,
3.79
%
,
08/24/26
.......
3,810
3,809,380
Yankee
11.6%
(e)
Banco
Bilbao
Vizcaya
Argentaria,
New
York
,
3.83
%
,
08/20/26
...................
6,250
6,249,297
Banco
Santander
SA,
New
York
,
4.44
%
,
05/26/26
...................
7,020
7,022,730
Bank
of
Montreal,
Chicago
3.80
%
,
11/13/26
...................
3,000
2,996,851
(1-day
SOFR
+
0.40%),
4.03
%
,
12/10/26
(a)
..
6,170
6,174,370
Barclays
Bank
plc,
New
York
(1-day
SOFR
+
0.40%),
4.04
%
,
11/19/26
(a)
..
2,500
2,500,580
4.05
%
,
03/12/27
...................
5,000
4,998,573
BNP
Paribas
SA,
New
York
,
3.80
%
,
07/13/26
..
2,500
2,499,686
Canadian
Imperial
Bank
of
Commerce,
New
York
(1-day
SOFR
at
0.00%
Floor
+
0.40%),
4.03
%
,
11/09/26
(a)
................
5,200
5,204,255
3.80
%
,
01/11/27
...................
3,800
3,794,017
Commerzbank
AG,
New
York
,
3.85
%
,
02/01/27
.
3,280
3,274,699
Cooperatieve
Rabobank
UA,
New
York
,
3.80
%
,
11/16/26
...................
5,470
5,463,820
Credit
Agricole
Corporate
&
Investment
Bank
SA,
New
York
,
4.39
%
,
07/31/26
............
9,420
9,431,292
Schedule
of
Investments
(unaudited)
(continued)
April
30,
2026
BlackRock
Short
Obligations
Fund
5
(Percentages
shown
are
based
on
Net
Assets)
Security
Par
(000)
Par
(000)
Value
Yankee
(continued)
Credit
Industriel
et
Commercial,
New
York
,
4.44
%
,
05/12/26
...................
USD
6,000
$
6,001,173
Deutsche
Bank
AG,
New
York
,
4.40
%
,
07/17/26
8,730
8,738,560
Intesa
Sanpaolo
SpA,
New
York
,
4.05
%
,
05/14/26
...................
5,290
5,290,362
Lloyds
Bank
Corporate
Markets
plc,
New
York
,
4.41
%
,
05/15/26
...................
6,090
6,091,448
Mizuho
Bank
Ltd.,
New
York
,
3.82
%
,
07/31/26
.
5,650
5,649,130
National
Bank
of
Kuwait,
New
York
,
4.05
%
,
01/25/27
...................
5,325
5,316,691
Natixis
SA,
New
York
,
4.43
%
,
05/13/26
......
4,460
4,460,970
Standard
Chartered
Bank,
New
York
,
(1-day
SOFR
+
0.42%),
4.05
%
,
02/05/27
(a)
......
3,400
3,400,686
Westpac
Banking
Corp.,
New
York
3.89
%
,
08/12/26
...................
3,750
3,749,498
4.00
%
,
03/16/27
...................
5,100
5,097,111
113,405,799
Total
Certificates
of
Deposit
12
.0
%
(Cost:
$
117,215,000
)
..............................
117,215,179
Commercial
Paper
16.8%
American
Honda
Finance
Corp.
3.86
%
,
05/13/26
...................
2,500
2,496,432
3.87
%
,
05/18/26
...................
750
748,522
ANZ
New
Zealand
International
Ltd.
,
4.14
%
,
06/04/26
(b)
.......................
9,950
9,913,660
Australia
&
New
Zealand
Banking
Group
Ltd.
(1-day
SOFR
+
0.28%),
3.91
%
,
05/11/26
(a)
(b)
.
6,660
6,660,393
Bank
of
New
Zealand
,
3.99
%
,
08/12/26
(b)
(f)
....
2,000
1,977,990
BofA
Securities,
Inc.
,
4.02
%
,
06/05/26
(b)
(f)
.....
4,750
4,731,912
CDP
Financial,
Inc.
,
4.20
%
,
03/24/27
(b)
......
3,030
2,921,463
Danske
Bank
A/S
,
4.42
%
,
05/15/26
(b)
(f)
.......
8,120
8,107,309
DNB
Bank
ASA
,
3.72
%
,
10/05/26
(b)
.........
3,000
2,949,895
E.ON
SE
,
3.94
%
,
06/02/26
(b)
.............
2,000
1,992,549
Eaton
Capital
ULC
,
4.07
%
,
05/12/26
(b)
.......
4,500
4,494,037
Federation
des
Caisses
Desjardins
du
Quebec
,
3.76
%
,
02/25/27
(b)
..................
8,500
8,224,497
Security
Par
(000)
Par
(000)
Value
Commercial
Paper
(continued)
Glencore
Funding
LLC
(b)
3.89
%
,
05/05/26
...................
USD
2,500
$
2,498,650
3.89
%
,
05/06/26
...................
3,250
3,247,894
HSBC
Bank
plc
,
4.19
%
,
04/29/27
(b)
(f)
........
6,620
6,352,272
HSBC
USA,
Inc.
(b)(f)
4.61
%
,
05/19/26
...................
9,730
9,710,223
3.87
%
,
12/23/26
...................
2,680
2,609,797
Lloyds
Bank
plc
,
3.95
%
,
07/02/26
..........
15,160
15,058,630
Macquarie
Bank
Ltd.
,
4.07
%
,
04/23/27
(b)
.....
5,600
5,381,225
Macquarie
Group
Ltd.
,
3.98
%
,
05/04/26
(b)
(f)
....
9,660
9,655,748
Marubeni
Finance
America
LLC
,
3.90
%
,
05/01/26
(b)
(f)
.......................
6,000
5,999,323
MUFG
Bank
Ltd.
,
4.02
%
,
06/02/26
.........
3,810
3,797,239
National
Bank
of
Canada
,
4.39
%
,
07/29/26
(b)
..
4,080
4,041,138
Penske
Truck
Leasing
Co.
LP
,
3.86
%
,
05/04/26
(b)
(f)
.......................
3,750
3,748,317
Phillips
66
,
4.37
%
,
05/04/26
(b)
(f)
............
4,500
4,498,005
Pure
Grove
Funding
,
3.98
%
,
09/10/26
(b)
(f)
.....
5,320
5,243,263
Salisbury
Receivables
Co.
LLC
,
4.00
%
,
06/04/26
(b)
(f)
.......................
2,710
2,699,975
Standard
Chartered
Bank
,
4.44
%
,
05/21/26
(b)
..
9,370
9,349,551
Verto
Capital
I
Compartment
D
,
3.85
%
,
05/13/26
(b)
.......................
2,680
2,676,368
VW
Credit,
Inc.
(b)
3.90
%
,
05/12/26
(f)
..................
2,250
2,246,952
4.26
%
,
07/01/26
...................
3,070
3,048,111
Westpac
Banking
Corp.
,
3.73
%
,
09/08/26
(b)
(f)
..
6,000
5,916,401
Total
Commercial
Paper
16
.8
%
(Cost:
$
163,026,719
)
..............................
162,997,741
Total
Repurchase
Agreements
12
.3
%
(Cost:
$
119,720,000
)
..............................
119,720,000
Total
Short-Term
Securities
41.1%
(Cost:
$
399,961,719
)
..............................
399,932,920
Total
Investments
99
.4
%
(Cost:
$
965,653,423
)
..............................
966,130,988
Other
Assets
Less
Liabilities
0.6
%
....................
5,393,066
Net
Assets
100.0%
...............................
$
971,524,054
(a)
Variable
rate
security.
Interest
rate
resets
periodically.
The
rate
shown
is
the
effective
interest
rate
as
of
period
end.
Security
description
also
includes
the
reference
rate
and
spread
if
published
and
available.
(b)
Security
exempt
from
registration
pursuant
to
Rule
144A
under
the
Securities
Act
of
1933,
as
amended.
These
securities
may
be
resold
in
transactions
exempt
from
registration
to
qualified
institutional
investors.
(c)
When-issued
security.
(d)
Variable
rate
security.
Rate
as
of
period
end
and
maturity
is
the
date
the
principal
owed
can
be
recovered
through
demand.
(e)
Issuer
is
a
U.S.
branch
of
a
foreign
domiciled
bank.
(f)
Rates
are
the
current
rate
or
a
range
of
current
rates
as
of
period
end.
Schedule
of
Investments
(unaudited)
(continued)
April
30,
2026
BlackRock
Short
Obligations
Fund
6
Affiliates
Investments
in
issuers
considered
to
be
affiliate(s)
of
the
Fund
during
the period
ended
April
30,
2026
for
purposes
of
Section
2(a)(3)
of
the
Investment
Company
Act
of
1940,
as
amended,
were
as
follows:
Affiliated
Issuer
Value
at
07/31/25
Purchases
at
Cost
Proceeds
from
Sales
Net
Realized
Gain
(Loss)
Change
in
Unrealized
Appreciation
(Depreciation)
Value
at
04/30/26
Shares
Held
at
04/30/26
Income
Capital
Gain
Distributions
from
Underlying
Funds
BlackRock
Liquidity
Funds,
T-Fund,
Institutional
Class
(a)
$
372,041
$
$
(
372,041
)
(b)
$
$
$
$
11,229
$
(a)
As
of
period
end,
the
entity
is
no
longer
held.
(b)
Represents
net
amount
purchased
(sold).
For
purposes
of
this
report,
industry
and
sector
sub-classifications
may
differ
from
those
utilized
by
the
Fund
for
compliance
purposes.
Schedule
of
Investments
(unaudited)
(continued)
April
30,
2026
BlackRock
Short
Obligations
Fund
7
Repurchase
Agreements
Repurchase
Agreements
Collateral
Counterparty
Coupon
Rate
Purchase
Date
Maturity
Date
Par
(000)
A
t
Value
Proceeds
Including
Interest
Position
Original
Par
Position
Received,
At
Value
Bank
of
America
Securities,
Inc.
...
3
.93
%
(a)
04/30/26
06/05/26
$
12,250
$
12,250,000
$
12,298,142
Corporate/Debt
Obligations,
0.00%
to
6.91%,
due
06/18/26
to
10/25/63
.........
$
23,211,770
$
13,106,879
BNP
Paribas
SA
....
4
.00
(a)
04/30/26
08/04/26
8,250
8,250,000
8,338,000
Corporate/Debt
Obligations,
6.88%
to
11.25%,
due
11/01/27
to
10/15/32
.......
9,700,000
9,459,866
Citigroup
Global
Markets,
Inc.
...........
3
.94
(a)
04/30/26
07/02/26
13,000
13,000,000
13,089,635
Corporate/Debt
Obligation,
0.00%,
due
07/24/26
.........
13,778,318
13,650,001
3
.96
(a)
04/30/26
08/01/26
6,000
6,000,000
6,061,380
Corporate/Debt
Obligations,
4.74%
to
6.92%,
due
10/20/48
to
08/25/69
.........
6,596,144
6,462,644
$
19,000,000
$
20,112,645
Deutsche
Bank
Securities,
Inc.
...
4
.09
(a)
04/30/26
07/05/26
3,500
3,500,000
3,526,244
Corporate/Debt
Obligations,
1.29%
to
12.75%,
due
06/01/28
to
03/17/62
.......
20,392,159
4,198,096
Goldman
Sachs
&
Co.
LLC
...........
4
.15
(a)
04/30/26
12/02/26
20,000
20,000,000
20,498,000
U.S.
Government
Sponsored
Agency
Obligations
and
Corporate/Debt
Obligations,
0.00%
to
7.70%,
due
05/06/26
to
06/25/65
.........
1,457,049,260
21,206,202
JP
Morgan
Securities
LLC
...........
3
.89
(a)
04/30/26
05/08/26
6,220
6,220,000
6,225,377
Corporate/Debt
Obligation,
8.00%,
due
07/15/29
.........
6,043,323
6,966,400
Mizuho
Securities
USA
LLC
...........
4
.09
(a)
04/30/26
06/05/26
3,500
3,500,000
3,514,315
Corporate/Debt
Obligation,
2.31%,
due
11/20/51
.........
3,791,480
3,745,000
4
.19
(a)
04/30/26
07/31/26
19,000
19,000,000
19,203,448
Corporate/Debt
Obligations,
4.79%
to
5.92%,
due
05/15/31
to
07/25/35
.........
46,734,514
21,850,112
$
22,500,000
$
25,595,112
Santander
US
Capital
Markets
LLC
.....
4
.08
(b)
04/30/26
05/07/26
15,500
15,500,000
15,512,297
U.S.
Government
Sponsored
Agency
Obligations
and
U.S.
Treasury
Obligations,
0.00%
to
4.25%,
due
06/04/26
to
05/01/51
15,640,912
15,810,000
Wells
Fargo
Securities
LLC
...........
4
.05
(a)
04/30/26
08/09/26
12,500
12,500,000
12,642,031
Corporate/Debt
Obligations,
0.15%
to
6.88%,
due
01/09/40
to
11/25/68
.........
694,201,632
13,375,000
$
119,720,000
$
129,830,200
(a)
Variable
rate
security.
Rate
as
of
period
end
and
maturity
is
the
date
the
principal
owed
can
be
recovered
through
demand.
(b)
Variable
rate
security.
Interest
rate
resets
periodically.
The
rate
shown
is
the
effective
interest
rate
as
of
period
end.
Security
description
also
includes
the
reference
rate
and
spread
if
published
and
available.
Schedule
of
Investments
(unaudited)
(continued)
April
30,
2026
BlackRock
Short
Obligations
Fund
8
Fair
Value
Hierarchy
as
of
Period
End
Various
inputs
are
used
in
determining
the
fair
value
of
financial
instruments
at
the
measurement
date.
These
inputs
to
valuation
techniques
are
categorized
into
a
fair
value
hierarchy
consisting
of
three
broad
levels
for
financial
reporting
purposes
as
follows:
Level
1
Unadjusted
price
quotations
in
active
markets/exchanges
that
the
Fund
has
the
ability
to
access
for
identical
assets
or
liabilities;
Level
2
Inputs
other
than
quoted
prices
included
within
Level
1
that
are
observable
for
the
asset
or
liability,
either
directly
or
indirectly;
and
Level
3
Inputs
that
are
unobservable
and
significant
to the
entire
fair
value
measurement
for
the asset
or
liability (including
the
Valuation
Committee's
assumptions
used
in
determining
the
fair
value
of
financial
instruments).
The
hierarchy
gives
the
highest
priority
to
unadjusted
quoted
prices
in
active
markets
for
identical
assets
or
liabilities
(Level
1
measurements)
and
the
lowest
priority
to
unobservable
inputs
(Level
3
measurements).
Accordingly,
the
degree
of
judgment
exercised
in
determining
fair
value
is
greatest
for
instruments
categorized
in
Level
3.
The
inputs
used
to
measure
fair
value
may
fall
into
different
levels
of
the
fair
value
hierarchy.
In
such
cases,
for
disclosure
purposes,
the
fair
value
hierarchy
classification
is
determined
based
on
the
lowest
level
input
that
is
significant
to
the
fair
value
measurement
in
its
entirety.
Investments
classified
within
Level
3
have
significant
unobservable
inputs
used
by
the
Valuation
Committee
in
determining
the
price
for
Fair
Valued
Investments.
Level
3
investments
include
equity
or
debt
issued
by
privately
held
companies
or
funds
that
may
not
have
a
secondary
market
and/
or may
have
a
limited
number
of
investors.
The
categorization
of
a
value
determined
for
financial
instruments
is
based
on
the
pricing
transparency
of
the
financial
instruments
and
is
not
necessarily
an
indication
of
the
risks
associated
with
investing
in
those
securities.
For
information
about
the
Fund’s
policy
regarding
valuation
of
financial
instruments,
refer
to
its
most
recent
financial
statements.
The
following
table
summarizes
the
Fund’s
financial
instruments
categorized
in
the
fair
value
hierarchy.
The
breakdown
of
the
Fund's
financial
instruments
into
major
categories
is
disclosed
in
the
Schedule
of
Investments
above.
Level
1
Level
2
Level
3
Total
Assets
Investments
Long-Term
Investments
Asset-Backed
Securities
...................................
$
$
82,316,066
$
$
82,316,066
Corporate
Bonds
........................................
451,393,600
451,393,600
Foreign
Agency
Obligations
.................................
5,904,400
5,904,400
Municipal
Bonds
.........................................
4,463,665
4,463,665
U.S.
Treasury
Obligations
...................................
22,120,337
22,120,337
Short-Term
Securities
Certificates
of
Deposit
.....................................
117,215,179
117,215,179
Commercial
Paper
.......................................
162,997,741
162,997,741
Repurchase
Agreements
...................................
119,720,000
119,720,000
$
$
966,130,988
$
$
966,130,988
Currency
Abbreviation
USD
United
States
Dollar
Portfolio
Abbreviation
GO
General
Obligation
Bonds
LOC
Letter
of
Credit
RB
Revenue
Bonds
SOFR
Secured
Overnight
Financing
Rate
VRDN
Variable
Rate
Demand
Notes