BLACKROCK CREDIT ALLOCATION INCOME TRUST

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM N-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED

MANAGEMENT INVESTMENT COMPANY

Investment Company Act file number: 811-21972

Name of Fund: BlackRock Credit Allocation Income Trust (BTZ)

Fund Address:  100 Bellevue Parkway, Wilmington, DE 19809

Name and address of agent for service: John M. Perlowski, Chief Executive Officer, BlackRock Credit Allocation Income Trust, 55 East 52nd Street, New York, NY 10055

Registrant’s telephone number, including area code: (800) 882-0052, Option 4

Date of fiscal year end: 10/31/2017

Date of reporting period: 01/31/2017


Item 1 – Schedule of Investments


Schedule of Investments January 31, 2017 (Unaudited)

  

BlackRock Credit Allocation Income Trust (BTZ)

(Percentages shown are based on Net Assets)

 

Common Stocks — 0.0%        
Shares
    Value  

Real Estate Investment Trusts (REITs) — 0.0%

      

Ovation Acquisition I LLC,
(Acquired 12/28/15, cost $45,445) (a)

             2,951     $ 2,951  
      
                          
Asset-Backed Securities    Par
(000)
        

Asset-Backed Securities — 4.4%

      

ACAS CLO Ltd., Series 2014-1A, Class C, 3.92%, 7/18/26 (b)(c)

     USD       750       751,265  

ALM Loan Funding, Series 2012-5A, Class BR, 4.02%, 10/18/27 (b)(c)

       1,000       1,002,126  

ALM XII Ltd., Series 2015-12A, Class B, 4.27%, 4/16/27 (b)(c)

       1,000       1,002,441  

ALM XIV Ltd., Series 2014-14A, Class C, 4.34%, 7/28/26 (b)(c)

       4,500       4,440,240  

ALM XVII Ltd., Series 2015-17A, Class B1, 4.43%, 1/15/28 (b)(c)

       1,400       1,406,583  

AMMC CLO Ltd., Series 2015-17A, Class C, 4.15%, 11/15/27 (b)(c)

       1,000       1,002,519  

Anchorage Capital CLO 3, Ltd., Series 2014-3A, Class C, 4.54%, 4/28/26 (b)(c)

       1,000       985,812  

Apidos CDO, Series 2012-9AR, Class CR, 3.78%, 7/15/23 (b)(c)

       1,000       1,001,035  

Apidos CLO XVIII, Series 2014-18A, Class C, 4.69%, 7/22/26 (b)(c)

       1,300       1,294,473  

Ares CLO Ltd., Series 2012-2A, Class CR, 3.72%, 10/12/23 (b)(c)

       1,000       1,001,201  

Atlas Senior Loan Fund II, Ltd., Series 2012-2A, Class DR, 4.79%, 1/30/24 (b)(c)

       750       749,343  

Atlas Senior Loan Fund Ltd. (b)(c)

      

Series 2014-6A, Class D, 4.72%, 10/15/26

       3,000       2,991,608  

Series 2012-1A, Class B1LR, 4.81%, 8/15/24

       2,000       1,998,784  

Atrium CDO Corp., Series 9A, Class D, 4.44%, 2/28/24 (b)(c)

       1,000       995,600  

Benefit Street Partners CLO VI Ltd., Series 2015-VIA, Class B, 4.07%, 4/18/27 (b)(c)

       1,000       1,000,003  

Bowman Park CLO Ltd., Series 2014-1A, Class D2, 4.87%, 11/23/25 (b)(c)

       1,000       989,949  

Carlyle Global Market Strategies CLO Ltd. (b)(c):

      

Series 2012-2A, Class C1R, 3.93%, 7/20/23

       1,000       1,000,976  
Asset-Backed Securities   

Par  

(000)

    Value  

Asset-Backed Securities (continued)

      

Carlyle Global Market Strategies CLO Ltd. (b)(c) (continued):

      

Series 2013-3A, Class C, 4.42%, 7/15/25

     USD       1,000     $ 991,027  

Series 2014-5A, Class C, 5.17%, 10/16/25

       1,000       994,197  

Series 2015-1A, Class C, 4.18%, 4/20/27

       500       500,625  

Series 2016-1A, Class C, 5.93%, 4/20/27

       1,000       1,007,694  

Series 2016-3A, Class C, 4.79%, 10/20/29

       1,000       980,993  

CIFC Funding Ltd., Series 2014-3A, Class C1, 3.84%, 7/22/26 (b)(c)

       1,500       1,504,321  

Dryden 34 Senior Loan Fund, Series 2014-34A, Class C, 3.82%, 10/15/26 (b)(c)

       250       250,740  

GoldenTree Loan Opportunities IX Ltd., Series 2014-9A, Class D, 4.54%, 10/29/26 (c)

       1,000       982,298  

Highbridge Loan Management Ltd. (b)(c):

      

Series 4A-2014, Class B, 4.04%, 7/28/25

       750       750,841  

Series 6A-2015, Class C, 3.95%, 5/05/27

       1,500       1,500,042  

Series 8A-2016, Class D, 5.88%, 4/20/27

       500       500,163  

ING IM CLO Ltd., Series 2013-2A, Class C,
4.54%, 4/25/25 (b)(c)

       1,000       987,635  

LCM XVIII LP, Series 18A, Class C1, 4.18%, 4/20/27 (b)(c)

       1,000       1,001,340  

Limerock CLO III LLC, Series 2014-3A, Class C, 4.63%, 10/20/26 (b)(c)

       1,000       985,993  

Madison Park Funding IX Ltd., Series 2012-9AR, Class C1R, 3.76%, 8/15/22 (b)(c)

       2,000       2,001,577  

Madison Park Funding XIII Ltd., Series 2014-13A, Class C, 3.77%, 1/19/25 (b)(c)

       1,000       1,002,830  

Madison Park Funding XIV, Ltd., Series 2014-14A, Class C1, 4.13%, 7/20/26 (b)(c)

       1,250       1,253,256  

Madison Park Funding XV Ltd., Series 2014-15A, Class B1, 4.29%, 1/27/26 (b)(c)

       2,400       2,406,591  

Mill Creek II CLO, Ltd., Series 2016-1A, Class D, 5.88%, 4/20/28 (b)(c)

       1,000       1,008,374  
 

 

                
   BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017    1


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

Asset-Backed Securities   

Par  

(000)

    Value  

Asset-Backed Securities (continued)

      

Oak Hill Credit Partners XII Ltd., Series 2015-12A, Class C2, 4.29%, 1/23/27 (b)(c)

     USD       1,600     $ 1,605,600  

Octagon Investment Partners 26 Ltd., Series 2016-1A, Class D, 5.97%, 4/15/27 (b)(c)

       500       507,468  

Octagon Investment Partners XX Ltd., Series 2014-1A, Class C, 3.70%, 8/12/26 (b)(c)

       750       752,137  

Octagon Loan Funding Ltd., Series 2014-1A, Class D, 4.56%, 11/18/26 (b)(c)

       1,500       1,494,360  

OZLM XI Ltd., Series 2015-11A, Class B,
4.04%, 1/30/27 (b)(c)

       2,750       2,747,200  

Regatta IV Funding Ltd., Series 2014-1A, Class C, 3.99%, 7/25/26 (b)(c)

       1,500       1,502,450  

Regatta V Funding Ltd., Series 2014-1A (b)(c):

      

Class B, 4.04%, 10/25/26

       1,000       1,001,591  

Class C, 4.49%, 10/25/26

       1,000       978,103  

SLM Private Credit Student Loan Trust, Series 2004-B, Class A2, 1.16%, 6/15/21 (b)

       240       239,882  

Symphony CLO Ltd., Series 2016-17A, Class D, 5.82%, 4/15/28 (b)(c)

       1,000       1,007,356  

Symphony CLO XV Ltd., Series 2014-15A (b)(c):

      

Class C, 4.22%, 10/17/26

       2,500       2,502,979  

Class D, 4.77%, 10/17/26

       1,000       994,328  

Venture XIII CLO Ltd., Series 2013-13A, Class D, 4.50%, 6/10/25 (b)(c)

       800       796,519  

Vibrant CLO II, Ltd., Series 2013-2A, Class C, 4.64%, 7/24/24 (b)(c)

       1,000       996,124  

Voya CLO Ltd., Series 2014-4A, Class C, 5.02%, 10/14/26 (b)(c)

       1,000       1,001,721  

Webster Park CLO Ltd., Series 2015-1A, Class B1, 4.13%, 1/20/27 (b)(c)

             4,000       4,006,964  
Total Asset-Backed Securities 4.4%               68,350,921  
   
                   
Corporate Bonds                         

Aerospace & Defense — 0.6%

      

Huntington Ingalls Industries, Inc., 5.00%, 12/15/21 (c)

       536       559,450  

KLX, Inc., 5.88%, 12/01/22 (c)

       725       759,437  
Corporate Bonds   

Par  

(000)

    Value  

Aerospace & Defense (continued)

      

Mexico City Airport Trust, 4.25%, 10/31/26 (c)

     USD       1,350     $ 1,320,705  

TransDigm, Inc.:

      

6.00%, 7/15/22

       4,360       4,392,700  

6.50%, 7/15/24

       1,560       1,561,950  
      

 

 

 
                       8,594,242  

Air Freight & Logistics — 0.1%

      

XPO Logistics, Inc. (c):

      

6.50%, 6/15/22

       1,421       1,481,393  

6.13%, 9/01/23

       496       512,120  
      

 

 

 
                       1,993,513  

Airlines — 0.9%

      

American Airlines Group, Inc., 4.63%, 3/01/20 (c)

       692       698,090  

Continental Airlines Pass-Through Trust:

      

Series 2009-2, Class B, 9.25%, 11/10/18

       1,278       1,302,612  

Series 2012-3, Class C, 6.13%, 4/29/18

       2,040       2,124,660  

Delta Air Lines Pass-Through Trust, Series 2002-1, Class G-1, 6.72%, 7/02/24

       2,885       3,274,528  

Turkish Airlines Pass Through Trust, Series 2015-1 Class A, 4.20%, 9/15/28 (c)

       2,807       2,747,219  

United Airlines Pass-Through Trust, Series 2014-1, Class B, 4.75%, 10/11/23

       3,616       3,678,875  

Virgin Australia Trust, Series 2013-1, Class B, 6.00%, 4/23/22 (c)

       916       929,746  
      

 

 

 
                       14,755,730  

Auto Components — 0.5%

      

Allison Transmission, Inc., 5.00%, 10/01/24 (c)

       734       739,505  

Goodyear Tire & Rubber Co., 5.00%, 5/31/26

       535       539,013  

Icahn Enterprises LP/Icahn Enterprises Finance Corp.:

      

4.88%, 3/15/19

       3,950       3,994,437  

6.00%, 8/01/20

       3,108       3,184,146  
      

 

 

 
                       8,457,101  
 

 

                
2    BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017   


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

Corporate Bonds   

Par  

(000)

    Value  

Automobiles — 0.5%

      

Ford Motor Co., 7.45%, 7/16/31

     USD       3,660     $ 4,582,170  

General Motors Co.:

      

4.88%, 10/02/23

       1,875       1,987,635  

6.25%, 10/02/43

       940       1,042,471  
      

 

 

 
                       7,612,276  

Banks — 4.3%

      

CIT Group, Inc.:

      

4.25%, 8/15/17

       4,600       4,646,000  

5.25%, 3/15/18

       4,030       4,165,005  

5.50%, 2/15/19 (c)

       3,967       4,173,601  

5.00%, 8/01/23

       660       688,050  

City National Corp., 5.25%, 9/15/20 (d)

       2,900       3,181,576  

Cooperatieve Rabobank UA, 3.95%, 11/09/22 (d)

       3,775       3,862,603  

Credit Suisse Group AG, 6.50%, 8/08/23 (c)

       6,000       6,429,228  

Discover Bank/Greenwood, 8.70%, 11/18/19

       748       847,622  

Fifth Third Bancorp, 5.10% (b)(e)

       5,000       4,777,500  

HSBC Finance Corp., 6.68%, 1/15/21 (d)

       5,150       5,797,839  

Intesa Sanpaolo SpA, 5.71%, 1/15/26 (c)

       5,840       5,535,859  

Lloyds Banking Group PLC, 4.65%, 3/24/26

       1,076       1,088,124  

Royal Bank of Scotland Group PLC, 6.00%, 12/19/23

       10,080       10,599,160  

Wells Fargo & Co.:

      

3.45%, 2/13/23

       2,325       2,347,692  

4.13%, 8/15/23 (d)

       4,000       4,170,016  

5.61%, 1/15/44 (d)

       4,119       4,706,600  
      

 

 

 
                       67,016,475  

Beverages — 0.5%

      

Anheuser-Busch InBev Finance, Inc., 4.90%, 2/01/46 (d)

       6,170       6,602,548  

Molson Coors Brewing Co., 4.20%, 7/15/46

       1,665       1,545,185  
      

 

 

 
                       8,147,733  

Biotechnology — 0.4%

      

Amgen, Inc., 4.66%, 6/15/51 (d)

             6,709       6,521,215  

Building Products — 0.3%

      

American Builders & Contractors Supply Co., Inc., 5.75%, 12/15/23 (c)

       424       440,960  

Builders FirstSource, Inc., 5.63%, 9/01/24 (c)

       586       602,115  
Corporate Bonds   

Par  

(000)

    Value  

Building Products (continued)

      

Building Materials Corp. of America, 6.00%, 10/15/25 (c)

     USD       1,832     $ 1,932,760  

Masonite International Corp., 5.63%, 3/15/23 (c)

       610       631,350  

Standard Industries, Inc., 5.13%, 2/15/21 (c)

       420       438,900  
      

 

 

 
                       4,046,085  

Capital Markets — 3.9%

      

E*Trade Financial Corp., 5.38%, 11/15/22

       1,348       1,429,197  

Goldman Sachs Group, Inc.:

      

6.25%, 9/01/17

       625       641,937  

7.50%, 2/15/19 (d)

       5,165       5,711,323  

5.25%, 7/27/21

       1,175       1,288,540  

5.75%, 1/24/22

       5,500       6,174,498  

6.25%, 2/01/41 (d)

       15,000       18,701,220  

Morgan Stanley (d):

      

5.63%, 9/23/19

       6,770       7,333,846  

5.50%, 7/28/21

       2,695       2,987,017  

State Street Corp., 1.96%, 6/01/77 (b)

       17,845       15,721,445  
      

 

 

 
                       59,989,023  

Chemicals — 1.1%

      

Axalta Coating Systems LLC, 4.88%, 8/15/24 (c)

       715       723,938  

Basell Finance Co. BV, 8.10%, 3/15/27 (c)(d)

       6,000       7,890,312  

CF Industries, Inc., 5.38%, 3/15/44

       3,625       3,171,875  

Huntsman International LLC:

      

4.88%, 11/15/20

       72       74,340  

5.13%, 11/15/22

       2,495       2,577,659  

NOVA Chemicals Corp., 5.25%, 8/01/23 (c)

       772       799,020  

Platform Specialty Products Corp. (c):

      

10.38%, 5/01/21

       165       183,150  

6.50%, 2/01/22

       1,372       1,399,440  

PQ Corp., 6.75%, 11/15/22 (c)

       935       1,012,137  
      

 

 

 
                       17,831,871  

Commercial Services & Supplies — 3.2%

      

AerCap Global Aviation Trust, 6.50%, 6/15/45 (b)(c)

       5,000       5,150,000  

Aviation Capital Group Corp. (c):

      

7.13%, 10/15/20

       31,000       35,650,000  

6.75%, 4/06/21

       7,850       9,017,687  
 

 

                
   BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017    3


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

Corporate Bonds   

Par  

(000)

    Value  

Commercial Services & Supplies (continued)

      

United Rentals North America, Inc., 7.63%, 4/15/22

     USD       664     $ 695,540  
      

 

 

 
                       50,513,227  

Communications Equipment — 0.4%

      

CommScope Technologies Finance LLC, 6.00%, 6/15/25 (c)

       2,242       2,389,143  

CommScope, Inc., 5.50%, 6/15/24 (c)

       254       261,938  

Zayo Group LLC/Zayo Capital, Inc.:

      

6.38%, 5/15/25

       2,126       2,249,584  

5.75%, 1/15/27 (c)

       593       607,113  
      

 

 

 
                       5,507,778  

Construction & Engineering — 0.1%

      

AECOM Co., 5.75%, 10/15/22

       333       350,899  

BlueLine Rental Finance Corp., 7.00%, 2/01/19 (c)

       413       407,837  

Weekley Homes LLC/Weekley Finance Corp., 6.00%, 2/01/23

       825       783,750  
      

 

 

 
                       1,542,486  

Construction Materials — 0.5%

      

Allegion US Holding Co., Inc., 5.75%, 10/01/21

       1,907       1,988,047  

HD Supply, Inc. (c):

      

5.25%, 12/15/21

       3,278       3,454,192  

5.75%, 4/15/24

       1,701       1,790,303  

PulteGroup, Inc., 5.50%, 3/01/26

       926       946,835  
      

 

 

 
                       8,179,377  

Consumer Finance — 1.2%

      

Ally Financial, Inc.:

      

5.13%, 9/30/24

       590       606,048  

4.63%, 3/30/25

       136       134,300  

8.00%, 11/01/31

       5,795       6,881,562  

Capital One Bank USA NA, 3.38%, 2/15/23 (d)

       2,000       2,000,386  

Discover Financial Services, 3.85%, 11/21/22

       3,252       3,319,687  

Experian Finance PLC, 2.38%, 6/15/17 (c)(d)

       2,550       2,557,344  

Navient Corp.:

      

6.63%, 7/26/21

       461       469,068  

7.25%, 9/25/23

       996       1,003,470  

Total System Services, Inc., 3.80%, 4/01/21

       1,630       1,681,585  
      

 

 

 
                       18,653,450  
Corporate Bonds   

Par  

(000)

    Value  

Containers & Packaging — 0.4%

      

Ardagh Packaging Finance PLC/Ardagh MP Holdings USA, Inc., 6.25%, 1/31/19 (c)

     USD       400     $ 407,400  

Ball Corp., 4.38%, 12/15/20

       681       715,476  

Reynolds Group Issuer, Inc.:

      

5.75%, 10/15/20

       2,866       2,950,776  

6.88%, 2/15/21

       68       69,777  

7.00%, 7/15/24 (c)

       1,247       1,328,678  

Sealed Air Corp., 6.88%, 7/15/33 (c)

       182       191,100  
      

 

 

 
                       5,663,207  

Diversified Consumer Services — 0.4%

      

Prime Security Services Borrower LLC/Prime Finance, Inc., 9.25%, 5/15/23 (c)

       1,295       1,403,456  

Service Corp. International, 4.50%, 11/15/20

       4,382       4,480,595  
      

 

 

 
                       5,884,051  

Diversified Financial Services — 7.9%

      

AerCap Ireland Capital Ltd./AerCap Global Aviation Trust:

      

4.63%, 10/30/20

       961       1,009,396  

4.63%, 7/01/22

       518       543,335  

Air Lease Corp., 3.75%, 2/01/22

       5,000       5,132,285  

Aircastle Ltd., 6.25%, 12/01/19

       3,937       4,271,645  

Bank of America Corp.:

      

5.00%, 5/13/21 (d)

       17,100       18,549,362  

5.70%, 1/24/22

       2,590       2,904,082  

4.45%, 3/03/26

       1,765       1,801,308  

Bank of America NA, 5.30%, 3/15/17 (d)

       13,440       13,504,243  

BNP Paribas SA, 6.75% (b)(c)(e)

       5,000       4,975,000  

Citigroup, Inc., 6.68%, 9/13/43 (d)

       4,125       5,245,515  

Credit Suisse Group Funding Guernsey Ltd., 4.55%, 4/17/26 (d)

       5,000       5,137,440  

Ford Motor Credit Co. LLC, 5.88%, 8/02/21

       9,420       10,478,544  

General Motors Financial Co., Inc.:

      

6.75%, 6/01/18

       1,700       1,802,819  

4.38%, 9/25/21

       2,260       2,359,989  

4.25%, 5/15/23

       1,681       1,722,522  

ING Bank NV, 5.00%, 6/09/21 (c)(d)

       8,000       8,733,520  

Jefferies Finance LLC/JFIN Co-Issuer Corp., 7.38%, 4/01/20 (c)

       1,705       1,722,050  

Leucadia National Corp., 5.50%, 10/18/23

       4,000       4,254,100  

Moody’s Corp., 6.06%, 9/07/17

       20,000       20,221,040  
 

 

                
4    BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017   


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

Corporate Bonds   

Par  

(000)

    Value  

Diversified Financial Services (continued)

      

Resparcs Funding LP I, 8.00% (e)(f)(g)

     USD       4,000     $ 860,000  

Royal Bank of Scotland Group PLC:

      

6.10%, 6/10/23

       2,500       2,643,023  

5.13%, 5/28/24

       5,250       5,234,644  
      

 

 

 
                       123,105,862  

Diversified Telecommunication Services — 6.0%

      

AT&T, Inc.:

      

5.00%, 3/01/21 (d)

       8,575       9,240,326  

6.30%, 1/15/38 (d)

       12,000       13,596,492  

4.30%, 12/15/42

       265       233,465  

4.35%, 6/15/45

       367       315,053  

CenturyLink, Inc.:

      

6.45%, 6/15/21

       1,660       1,763,750  

Series Y, 7.50%, 4/01/24

       150       158,813  

Frontier Communications Corp.:

      

6.25%, 9/15/21

       980       916,300  

7.13%, 1/15/23

       55       49,225  

7.63%, 4/15/24

       1,309       1,155,193  

6.88%, 1/15/25

       3,964       3,324,805  

Level 3 Financing, Inc.:

      

5.38%, 8/15/22

       2,095       2,163,087  

5.13%, 5/01/23

       1,183       1,191,872  

5.38%, 1/15/24

       754       762,483  

5.38%, 5/01/25

       2,003       2,044,322  

SBA Communications Corp., 4.88%, 9/01/24 (c)

       1,658       1,618,374  

Telefonica Emisiones SAU, 3.19%, 4/27/18

       6,550       6,643,979  

Verizon Communications, Inc. (d):

      

5.15%, 9/15/23

       8,775       9,690,250  

6.40%, 9/15/33

       9,475       11,488,437  

7.35%, 4/01/39

       7,825       10,182,046  

6.55%, 9/15/43

       13,225       16,311,477  
      

 

 

 
                       92,849,749  

Electric Utilities — 4.7%

      

CMS Energy Corp., 5.05%, 3/15/22

       9,900       10,845,628  

Duke Energy Corp., 3.55%, 9/15/21 (d)

       3,650       3,788,737  

Emera, Inc., Series 16-A, 6.75%, 6/15/76 (b)

       7,500       8,175,000  

Great Plains Energy, Inc., 5.29%, 6/15/22 (h)

       5,550       6,025,929  

Midland Cogeneration Venture LP, 5.25%, 3/15/25 (c)

       4,102       4,245,656  

NiSource Finance Corp., 6.80%, 1/15/19 (d)

       3,075       3,352,651  
Corporate Bonds   

Par  

(000)

    Value  

Electric Utilities (continued)

      

Oncor Electric Delivery Co. LLC (d):

      

4.10%, 6/01/22

     USD       4,150     $ 4,426,755  

5.30%, 6/01/42

       2,750       3,251,529  

Progress Energy, Inc., 7.00%, 10/30/31 (d)

       12,000       15,852,900  

Puget Energy, Inc.:

      

6.00%, 9/01/21

       275       307,898  

5.63%, 7/15/22

       5,550       6,139,343  

Southern Co., 4.40%, 7/01/46

       7,500       7,421,572  
      

 

 

 
                       73,833,598  

Electronic Equipment, Instruments & Components — 0.5%

 

   

CDW LLC/CDW Finance Corp.:

      

6.00%, 8/15/22

       1,050       1,107,750  

5.00%, 9/01/23

       306       312,120  

5.50%, 12/01/24

       2,458       2,559,392  

Jabil Circuit, Inc., 8.25%, 3/15/18

       2,600       2,770,976  

Sanmina Corp., 4.38%, 6/01/19 (c)

       1,415       1,457,450  
      

 

 

 
                       8,207,688  

Energy Equipment & Services — 0.7%

      

Genesis Energy LP/Genesis Energy Finance Corp.:

      

5.75%, 2/15/21

       473       485,416  

6.75%, 8/01/22

       1,175       1,242,563  

GrafTech International Ltd., 6.38%, 11/15/20

       890       732,025  

Halliburton Co., 5.00%, 11/15/45

       6,615       7,082,892  

Noble Holding International Ltd., 4.63%, 3/01/21

       34       32,470  

Transocean, Inc., 6.00%, 3/15/18 (d)

       880       898,700  
      

 

 

 
                       10,474,066  

Food & Staples Retailing — 1.7%

      

Albertsons Cos. LLC/Safeway, Inc./New Albertson’s, Inc./Albertson’s LLC (c):

      

6.63%, 6/15/24

       775       807,705  

5.75%, 3/15/25

       1,120       1,113,000  

CVS Health Corp.:

      

4.75%, 12/01/22

       289       314,046  

5.00%, 12/01/24

       183       199,120  

5.13%, 7/20/45 (d)

       3,879       4,266,244  

Dollar Tree, Inc.:

      

5.25%, 3/01/20

       105       107,888  

5.75%, 3/01/23

       3,938       4,170,342  

H.J. Heinz Finance Co., 7.13%, 8/01/39 (c)

       4,415       5,732,485  
 

 

                
   BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017    5


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

Corporate Bonds   

Par  

(000)

    Value  

Food & Staples Retailing (continued)

      

Pinnacle Foods Finance LLC/Pinnacle Foods Finance Corp., 5.88%, 1/15/24

     USD       191     $ 201,946  

Rite Aid Corp.:

      

6.75%, 6/15/21

       541       562,640  

6.13%, 4/01/23 (c)

       2,974       3,096,678  

Wal-Mart Stores, Inc., 5.25%, 9/01/35 (d)

       5,150       6,054,628  
      

 

 

 
                       26,626,722  

Food Products — 1.2%

      

Aramark Services, Inc., 5.13%, 1/15/24 (c)

       815       846,915  

FAGE International SA/FAGE USA Dairy Industry, Inc., 5.63%, 8/15/26 (c)

       830       840,889  

Kraft Foods, Inc.:

      

6.50%, 8/11/17 (d)

       4,450       4,564,868  

6.13%, 8/23/18

       4,840       5,164,711  

Kraft Heinz Foods Co., 4.38%, 6/01/46

       2,475       2,313,833  

Post Holdings, Inc. (c):

      

7.75%, 3/15/24

       1,502       1,662,534  

8.00%, 7/15/25

       743       835,875  

5.00%, 8/15/26

       1,349       1,304,308  

Smithfield Foods, Inc., 5.88%, 8/01/21 (c)

       715       746,396  

TreeHouse Foods, Inc., 6.00%, 2/15/24 (c)

       431       452,011  
      

 

 

 
                       18,732,340  

Health Care Equipment & Supplies — 0.6%

      

DJO Finco, Inc./DJO Finance LLC/DJO Finance Corp., 8.13%, 6/15/21 (c)

       2,065       1,786,225  

Mallinckrodt International Finance SA/Mallinckrodt CB LLC (c):

      

4.88%, 4/15/20

       517       509,245  

5.75%, 8/01/22

       1,370       1,270,675  

5.63%, 10/15/23

       506       448,442  

Medtronic, Inc., 4.63%, 3/15/45 (d)

       4,565       4,865,409  
      

 

 

 
                       8,879,996  

Health Care Providers & Services — 3.6%

      

Acadia Healthcare Co., Inc., 5.13%, 7/01/22

       191       191,478  

Amsurg Corp., 5.63%, 7/15/22

       1,466       1,509,980  

Centene Corp.:

      

5.63%, 2/15/21

       875       918,575  

6.13%, 2/15/24

       645       685,313  
Corporate Bonds   

Par  

(000)

    Value  

Health Care Providers & Services (continued)

      

CHS/Community Health Systems, Inc.:

      

5.13%, 8/15/18

     USD       1,620     $ 1,625,062  

6.88%, 2/01/22

       1,111       808,253  

DaVita HealthCare Partners, Inc., 5.13%, 7/15/24

       1,990       1,965,125  

HCA, Inc.:

      

3.75%, 3/15/19

       4,364       4,440,370  

6.50%, 2/15/20

       10,421       11,384,942  

7.50%, 2/15/22

       2,214       2,518,425  

5.88%, 3/15/22

       340       369,325  

4.75%, 5/01/23

       236       244,555  

5.38%, 2/01/25

       440       448,800  

5.88%, 2/15/26

       1,297       1,348,880  

HealthSouth Corp.:

      

5.13%, 3/15/23

       512       509,440  

5.75%, 11/01/24

       637       647,351  

Hologic, Inc., 5.25%, 7/15/22 (c)

       742       773,535  

MEDNAX, Inc., 5.25%, 12/01/23 (c)

       587       606,078  

MPH Acquisition Holdings LLC, 7.13%, 6/01/24 (c)

       829       879,776  

RegionalCare Hospital Partners Holdings, Inc., 8.25%, 5/01/23 (c)

       1,109       1,145,042  

Tenet Healthcare Corp.:

      

6.25%, 11/01/18

       736       773,720  

4.75%, 6/01/20

       1,450       1,471,750  

6.00%, 10/01/20

       3,645       3,845,475  

4.50%, 4/01/21

       73       73,365  

7.50%, 1/01/22 (c)

       394       422,565  

8.13%, 4/01/22

       1,907       1,926,070  

6.75%, 6/15/23

       1,758       1,661,310  

UnitedHealth Group, Inc., 6.88%, 2/15/38 (d)

       10,000       13,639,860  
      

 

 

 
                       56,834,420  

Hotels, Restaurants & Leisure — 0.6%

      

Boyd Gaming Corp., 6.38%, 4/01/26 (c)

       71       76,148  

ESH Hospitality, Inc., 5.25%, 5/01/25 (c)

       1,970       1,977,387  

GLP Capital LP / GLP Financing II, Inc., 4.38%, 4/15/21

       143       148,720  

KFC Holding Co/Pizza Hut Holdings LLC/Taco Bell of America LLC (c):

      

5.00%, 6/01/24

       600       611,250  

5.25%, 6/01/26

       650       657,579  

MGM Resorts International, 6.75%, 10/01/20

       214       237,005  
 

 

                
6    BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017   


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

Corporate Bonds   

Par  

(000)

    Value  

Hotels, Restaurants & Leisure (continued)

      

MGP Escrow Issuer LLC/MGP Escrow Co-Issuer, Inc., 5.63%, 5/01/24 (c)

     USD       627     $ 654,431  

New Red Finance, Inc., 6.00%, 4/01/22 (c)

       2,215       2,307,853  

Sabre GLBL, Inc. (c):

      

5.38%, 4/15/23

       594       604,210  

5.25%, 11/15/23

       294       297,675  

Six Flags Entertainment Corp., 5.25%, 1/15/21 (c)

       1,718       1,765,245  
      

 

 

 
                       9,337,503  

Household Durables — 0.8%

      

Brookfield Residential Properties, Inc./Brookfield Residential US Corp., 6.13%, 7/01/22 (c)

       1,647       1,671,705  

CalAtlantic Group, Inc., 8.38%, 1/15/21

       3,015       3,512,475  

Lennar Corp.:

      

4.75%, 11/15/22

       1,805       1,851,262  

4.88%, 12/15/23

       466       474,155  

Newell Brands, Inc.:

      

3.85%, 4/01/23

       2,585       2,664,804  

4.20%, 4/01/26

       955       989,245  

TRI Pointe Group, Inc.:

      

4.38%, 6/15/19

       920       936,100  

5.88%, 6/15/24

       625       646,875  
      

 

 

 
                       12,746,621  

Household Products — 0.2%

      

Spectrum Brands, Inc.:

      

6.63%, 11/15/22

       1,110       1,176,600  

6.13%, 12/15/24

       231       244,283  

5.75%, 7/15/25

       1,002       1,047,090  
      

 

 

 
                       2,467,973  

Independent Power and Renewable Electricity Producers — 0.8%

      

Calpine Corp.:

      

6.00%, 1/15/22 (c)

       1,548       1,619,595  

5.88%, 1/15/24 (c)

       823       862,093  

5.75%, 1/15/25

       1,064       1,040,060  

Dynegy, Inc., 6.75%, 11/01/19

       1,945       1,996,056  

NRG Energy, Inc.:

      

6.25%, 5/01/24

       135       137,363  

7.25%, 5/15/26 (c)

       1,581       1,654,121  

6.63%, 1/15/27 (c)

       2,521       2,502,092  

QEP Resources, Inc., 5.38%, 10/01/22

       1,927       1,946,270  
      

 

 

 
                       11,757,650  
Corporate Bonds   

Par  

(000)

    Value  

Industrial Conglomerates — 0.0%

      

Cortes NP Acquisition Corp., 9.25%, 10/15/24 (c)

     USD       623     $ 658,430  

Insurance — 3.1%

      

American International Group, Inc., 6.40%, 12/15/20 (d)

       8,710       9,915,891  

Aon Corp., 5.00%, 9/30/20 (d)

       7,700       8,309,817  

Aon PLC, 4.25%, 12/12/42 (d)

       6,500       6,044,012  

Forethought Financial Group, Inc., 8.63%, 4/15/21 (c)

       3,400       3,777,842  

MetLife, Inc., 6.40%, 12/15/66

       5,000       5,425,000  

Northwestern Mutual Life Insurance Co., 6.06%, 3/30/40 (c)(d)

       12,000       14,904,048  
      

 

 

 
                       48,376,610  

Internet Software & Services — 0.1%

      

Equinix, Inc., 5.88%, 1/15/26

       1,061       1,127,312  

Netflix, Inc., 5.50%, 2/15/22

       563       603,114  
      

 

 

 
                       1,730,426  

IT Services — 0.8%

      

Ceridian HCM Holding, Inc., 11.00%, 3/15/21 (c)

       1,755       1,825,200  

Fidelity National Information Services, Inc., 5.00%, 10/15/25

       1,935       2,103,409  

First Data Corp. (c):

      

6.75%, 11/01/20

       503       519,976  

5.38%, 8/15/23

       764       786,920  

7.00%, 12/01/23

       5,218       5,533,689  

5.75%, 1/15/24

       410       422,813  

Western Digital Corp., 10.50%, 4/01/24 (c)

       584       687,660  
      

 

 

 
                       11,879,667  

Life Sciences Tools & Services — 0.8%

      

Life Technologies Corp., 6.00%, 3/01/20 (d)

             12,000       13,109,040  

Media — 7.2%

      

21st Century Fox America, Inc., 6.15%, 3/01/37 (d)

       9,575       11,244,171  

A&E Television Networks LLC, 3.11%, 8/22/19

       5,000       5,035,500  

Altice Financing SA, 7.50%, 5/15/26 (c)

       2,172       2,291,460  

Altice Luxembourg SA (c):

      

7.75%, 5/15/22

       2,362       2,506,672  

7.63%, 2/15/25

       1,752       1,852,740  

Altice US Finance I Corp. (c):

      

5.38%, 7/15/23

       2,919       3,039,409  

5.50%, 5/15/26

       1,211       1,241,275  
 

 

                
   BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017    7


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

Corporate Bonds   

Par  

(000)

    Value  

Media (continued)

      

AMC Networks, Inc.:

      

4.75%, 12/15/22

     USD       685     $ 698,700  

5.00%, 4/01/24

       432       440,640  

CCO Holdings LLC/CCO Holdings Capital Corp. (c):

      

5.88%, 4/01/24

       1,759       1,887,636  

5.75%, 2/15/26

       499       528,784  

5.50%, 5/01/26

       1,219       1,276,903  

Charter Communications Operating LLC/Charter Communications Operating Capital:

      

4.91%, 7/23/25

       5,000       5,257,550  

6.38%, 10/23/35

       479       540,097  

6.48%, 10/23/45

       4,584       5,210,853  

6.83%, 10/23/55

       3,540       4,157,886  

Cinemark USA, Inc., 5.13%, 12/15/22

       349       358,598  

Clear Channel Worldwide Holdings, Inc., 6.50%, 11/15/22

       11,711       12,129,754  

Cox Communications, Inc., 8.38%, 3/01/39 (c)(d)

       5,000       6,221,635  

CSC Holdings LLC:

      

8.63%, 2/15/19

       4,005       4,445,550  

6.63%, 10/15/25 (c)

       832       907,920  

DISH DBS Corp., 7.75%, 7/01/26

       1,901       2,127,941  

Grupo Televisa SAB, 5.00%, 5/13/45 (d)

       3,345       2,861,055  

Hughes Satellite Systems Corp. (c):

      

5.25%, 8/01/26

       1,017       1,017,000  

6.63%, 8/01/26

       685       707,263  

Intelsat Jackson Holdings SA:

      

7.25%, 4/01/19

       1,107       951,328  

5.50%, 8/01/23 (d)

       1,127       788,900  

Interpublic Group of Cos., Inc., 3.75%, 2/15/23

       6,025       6,121,816  

MDC Partners, Inc., 6.50%, 5/01/24 (c)

       1,036       901,320  

NAI Entertainment Holdings/NAI Entertainment Holdings Finance Corp., 5.00%, 8/01/18 (c)

       1,471       1,483,871  

Nexstar Escrow Corp., 5.63%, 8/01/24 (c)

       495       494,381  

Nielsen Finance LLC/Nielsen Finance Co., 5.00%, 4/15/22 (c)

       475       485,094  

Outfront Media Capital LLC/Outfront Media Capital Corp.:

      

5.25%, 2/15/22

       249       257,715  

5.63%, 2/15/24

       122       127,338  
Corporate Bonds   

Par  

(000)

    Value  

Media (continued)

      

SFR Group SA (c):

      

6.00%, 5/15/22

     USD       4,544     $ 4,674,640  

7.38%, 5/01/26

       5,843       5,996,379  

Time Warner Cable, Inc., 6.55%, 5/01/37

       3,519       4,026,383  

Time Warner, Inc.:

      

4.65%, 6/01/44

       28       26,873  

4.85%, 7/15/45

       97       94,918  

Tribune Media Co., 5.88%, 7/15/22

       1,308       1,321,080  

Univision Communications, Inc. (c):

      

5.13%, 5/15/23

       5,293       5,256,584  

5.13%, 2/15/25

       999       953,426  

Virgin Media Secured Finance PLC,
5.50%, 8/15/26 (c)

       487       494,305  
      

 

 

 
                       112,443,343  

Metals & Mining — 3.4%

      

Alcoa Nederland Holding BV, 7.00%, 9/30/26 (c)

       291       318,645  

Alcoa, Inc., 5.13%, 10/01/24

       1,903       1,974,077  

Anglo American Capital PLC, 4.45%, 9/27/20 (c)

       136       140,760  

AngloGold Ashanti Holdings PLC, 5.13%, 8/01/22

       5,000       5,173,750  

ArcelorMittal:

      

6.13%, 6/01/18

       2,575       2,700,531  

7.75%, 3/01/41

       455       494,813  

Commercial Metals Co., 4.88%, 5/15/23

       2,194       2,237,880  

Constellium NV:

      

4.63%, 5/15/21

     EUR       490       521,285  

5.75%, 5/15/24 (c)

     USD       1,728       1,663,200  

First Quantum Minerals Ltd. (c):

      

7.00%, 2/15/21

       303       310,575  

7.25%, 5/15/22

       912       930,240  

FMG Resources August 2006 Property Ltd.,
9.75%, 3/01/22 (c)

       826       958,160  

Freeport-McMoRan, Inc.:

      

2.38%, 3/15/18

       4,664       4,650,008  

4.00%, 11/14/21

       500       487,500  

3.55%, 3/01/22

       1,251       1,169,685  

3.88%, 3/15/23

       5,360       4,944,600  

5.40%, 11/14/34

       2,250       1,965,240  

5.45%, 3/15/43

       1,542       1,326,120  

Novelis Corp. (c):

      

6.25%, 8/15/24

       2,862       3,012,255  

5.88%, 9/30/26

       2,060       2,090,900  

Southern Copper Corp., 5.88%, 4/23/45

       3,870       3,943,909  
 

 

 

                
8    BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017   


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

Corporate Bonds   

Par  

(000)

    Value  

Metals & Mining (continued)

      

Steel Dynamics, Inc.:

      

5.13%, 10/01/21

     USD       1,105     $ 1,143,675  

6.38%, 8/15/22

       1,430       1,496,138  

5.25%, 4/15/23

       309       321,746  

5.50%, 10/01/24

       240       254,700  

5.00%, 12/15/26 (c)

       35       35,613  

Teck Resources Ltd.:

      

3.00%, 3/01/19

       119       119,595  

8.00%, 6/01/21 (c)

       1,202       1,325,205  

8.50%, 6/01/24 (c)

       799       929,836  

6.00%, 8/15/40

       1,861       1,865,652  

6.25%, 7/15/41

       721       740,828  

5.20%, 3/01/42

       640       595,200  

United States Steel Corp., 8.38%, 7/01/21 (c)

       944       1,047,840  

Wise Metals Group LLC/Wise Alloys Finance Corp., 8.75%, 12/15/18 (c)

       1,472       1,522,107  
      

 

 

 
                       52,412,268  

Multi-Utilities — 0.6%

      

CenterPoint Energy, Inc., 5.95%, 2/01/17 (d)

             9,000       9,000,000  

Offshore Drilling & Other Services — 0.0%

      

Sensata Technologies BV, 5.63%, 11/01/24 (c)

             695       729,312  

Oil, Gas & Consumable Fuels — 15.0%

      

Access Midstream Partners LP/ACMP Finance Corp.:

      

6.13%, 7/15/22

       1,668       1,722,220  

4.88%, 5/15/23

       343       353,776  

California Resources Corp., 8.00%, 12/15/22 (c)

       1,492       1,327,880  

Cheniere Corpus Christi Holdings LLC, 7.00%, 6/30/24 (c)

       1,231       1,374,104  

CONSOL Energy, Inc., 5.88%, 4/15/22

       7,210       6,975,675  

Continental Resources, Inc.:

      

5.00%, 9/15/22

       7,519       7,669,380  

4.50%, 4/15/23

       469       463,138  

DCP Midstream LLC, 6.75%, 9/15/37 (c)

       1,527       1,588,080  

Denbury Resources, Inc., 9.00%, 5/15/21 (c)

       182       198,835  

Devon Energy Corp., 5.85%, 12/15/25

       4,000       4,589,356  

El Paso LLC:

      

7.80%, 8/01/31

       197       246,663  

7.75%, 1/15/32

       4,586       5,724,731  

El Paso Natural Gas Co. LLC, 8.63%, 1/15/22

       2,345       2,880,514  
Corporate Bonds   

Par  

(000)

    Value  

Oil, Gas & Consumable Fuels (continued)

      

El Paso Pipeline Partners Operating Co. LLC, 6.50%, 4/01/20

     USD       5,075     $ 5,665,608  

Enbridge Energy Partners LP, 9.88%, 3/01/19 (d)

       6,000       6,915,930  

Enbridge, Inc., Series 16-A, 6.00%, 1/15/77 (b)

       3,880       3,928,500  

Energy Transfer Equity LP:

      

7.50%, 10/15/20

       598       671,255  

5.88%, 1/15/24

       5,241       5,594,767  

5.50%, 6/01/27

       870       900,450  

Energy Transfer Partners LP:

      

5.20%, 2/01/22

       10,200       11,007,687  

6.13%, 12/15/45

       3,579       3,902,334  

Enterprise Products Operating LLC:

      

4.90%, 5/15/46

       5,375       5,541,286  

Series N, 6.50%, 1/31/19 (d)

       12,000       13,060,584  

EP Energy LLC/Everest Acquisition Finance, Inc., 8.00%, 11/29/24 (c)

       415       448,200  

Gulfport Energy Corp. (c):

      

6.00%, 10/15/24

       444       452,325  

6.38%, 5/15/25

       558       571,950  

Hilcorp Energy I LP/Hilcorp Finance Co., 5.00%, 12/01/24 (c)

       3,666       3,611,010  

Kinder Morgan Energy Partners LP:

      

6.85%, 2/15/20

       12,000       13,457,292  

4.25%, 9/01/24

       2,170       2,217,918  

5.40%, 9/01/44

       3,615       3,750,172  

MEG Energy Corp. (c):

      

6.50%, 3/15/21

       3,839       3,941,501  

7.00%, 3/31/24

       3,100       2,914,000  

6.50%, 1/15/25

       2,021       2,041,210  

Midcontinent Express Pipeline LLC, 6.70%, 9/15/19 (c)

       3,500       3,692,500  

Murphy Oil Corp., 6.88%, 8/15/24

       752       806,520  

Nexen Energy ULC, 6.40%, 5/15/37

       2,000       2,416,870  

NGPL PipeCo LLC (c):

      

7.12%, 12/15/17

       2,859       2,944,770  

9.63%, 6/01/19

       257       268,244  

7.77%, 12/15/37

       690       762,450  

Noble Energy, Inc.:

      

5.63%, 5/01/21

       1,784       1,851,280  

5.05%, 11/15/44

       3,500       3,561,960  

Noble Holding International, Ltd., 7.75%, 1/15/24

       1,112       1,105,050  

ONEOK Partners LP, 8.63%, 3/01/19 (d)

       10,000       11,246,820  

PDC Energy, Inc., 7.75%, 10/15/22

       1,225       1,300,031  
 

 

 

                
   BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017    9


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

Corporate Bonds   

Par  

(000)

    Value  

Oil, Gas & Consumable Fuels (continued)

      

Petroleos Mexicanos:

      

3.50%, 1/30/23 (d)

     USD       5,000     $ 4,606,150  

4.63%, 9/21/23

       3,965       3,865,875  

4.88%, 1/18/24 (d)

       2,000       1,930,000  

Pioneer Natural Resources Co., 6.88%, 5/01/18

       1,665       1,763,734  

Plains All American Pipeline LP/PAA Finance Corp.:

      

4.70%, 6/15/44

       1,498       1,346,193  

4.90%, 2/15/45

       2,102       1,961,843  

Range Resources Corp., 5.00%, 8/15/22 (c)

       32       32,192  

Rockies Express Pipeline LLC (c):

      

5.63%, 4/15/20

       295       312,700  

6.88%, 4/15/40

       580       595,950  

RSP Permian, Inc., 6.63%, 10/01/22

       789       833,381  

Ruby Pipeline LLC, 6.00%, 4/01/22 (c)

       10,000       10,596,240  

Sabine Pass Liquefaction LLC:

      

5.63%, 2/01/21

       405       437,400  

5.63%, 4/15/23

       10,510       11,403,350  

5.75%, 5/15/24

       2,575       2,803,531  

5.88%, 6/30/26 (c)

       1,481       1,642,059  

Sanchez Energy Corp.:

      

7.75%, 6/15/21

       153       156,060  

6.13%, 1/15/23

       2,119       2,034,240  

SM Energy Co.:

      

6.50%, 1/01/23

       177       182,310  

5.00%, 1/15/24

       181       172,403  

Southwestern Energy Co.:

      

7.50%, 2/01/18

       63       65,678  

5.80%, 1/23/20

       1,166       1,203,895  

4.10%, 3/15/22

       710       658,525  

6.70%, 1/23/25

       169       169,845  

Targa Resources Partners LP/Targa Resources Partners Finance Corp.:

      

6.38%, 8/01/22

       255       263,670  

5.25%, 5/01/23

       37       37,925  

6.75%, 3/15/24

       184       201,020  

Tesoro Corp. (c):

      

4.75%, 12/15/23

       1,230       1,263,825  

5.13%, 12/15/26

       937       976,823  

Tesoro Logistics LP/Tesoro Logistics Finance Corp.:

      

6.13%, 10/15/21

       125       130,781  

6.25%, 10/15/22

       1,519       1,617,735  

TransCanada PipeLines Ltd., 4.88%, 1/15/26

       4,485       4,987,594  

Weatherford International Ltd.:

      

4.50%, 4/15/22

       75       66,750  
Corporate Bonds   

Par  

(000)

    Value  

Oil, Gas & Consumable Fuels (continued)

      

Weatherford International Ltd. (continued):

      

6.50%, 8/01/36

     USD       45     $ 38,138  

Western Gas Partners LP, 5.38%, 6/01/21

       5,125       5,547,961  

Whiting Petroleum Corp., 6.25%, 4/01/23 (d)

       1,697       1,713,970  

Williams Cos., Inc.:

      

3.70%, 1/15/23

       2,245       2,205,712  

4.55%, 6/24/24

       1,253       1,268,662  

8.75%, 3/15/32

       2,478       3,168,742  

5.75%, 6/24/44

       685       693,563  

Williams Partners LP, 5.10%, 9/15/45

       5,075       5,069,154  

WPX Energy, Inc., 6.00%, 1/15/22

       164       170,560  
      

 

 

 
                       233,860,965  

Paper & Forest Products — 1.9%

      

International Paper Co. (d):

      

7.50%, 8/15/21

       9,675       11,574,735  

8.70%, 6/15/38

       4,000       5,750,684  

7.30%, 11/15/39

       10,000       12,992,000  
      

 

 

 
                       30,317,419  

Pharmaceuticals — 3.6%

      

AbbVie, Inc. (d):

      

2.90%, 11/06/22

       5,675       5,612,314  

4.70%, 5/14/45

       3,255       3,167,825  

Actavis Funding SCS:

      

3.45%, 3/15/22

       7,335       7,424,245  

3.85%, 6/15/24

       6,000       6,037,356  

4.75%, 3/15/45

       1,450       1,429,925  

Endo Finance LLC/Endo Finco, Inc. (c):

      

6.00%, 7/15/23

       1,514       1,290,685  

6.00%, 2/01/25

       530       431,287  

Forest Laboratories LLC, 5.00%, 12/15/21 (c)

       1,631       1,764,388  

Forest Laboratories, Inc., 4.38%, 2/01/19 (c)

       2,924       3,036,331  

Grifols Worldwide Operations Ltd., 5.25%, 4/01/22

       1,613       1,673,875  

inVentiv Group Holdings, Inc./inVentiv Health, Inc./inVentiv Health Clinical, Inc., 7.50%, 10/01/24 (c)

       739       774,102  

Merck & Co., Inc., 6.50%, 12/01/33

       6,420       8,322,631  

Mylan NV, 3.95%, 6/15/26 (i)

       7,500       7,099,410  
 

 

 

                
10    BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017   


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

Corporate Bonds   

Par  

(000)

    Value  

Pharmaceuticals (continued)

      

Valeant Pharmaceuticals International, Inc. (c):

      

6.75%, 8/15/18 (d)

     USD       6,135     $ 6,050,644  

5.38%, 3/15/20

       62       53,320  

7.00%, 10/01/20

       447       404,535  

7.50%, 7/15/21

       273       237,169  

5.63%, 12/01/21

       1,137       898,230  

5.50%, 3/01/23

       31       23,483  

5.88%, 5/15/23

       665       506,231  

6.13%, 4/15/25

       116       86,855  
      

 

 

 
                       56,324,841  

Professional Services — 0.4%

      

Dun & Bradstreet Corp., 3.25%, 12/01/17

             5,750       5,823,715  

Real Estate Investment Trusts (REITs) — 3.2%

      

American Tower Corp.:

      

4.50%, 1/15/18

       6,500       6,664,879  

5.05%, 9/01/20

       500       538,523  

5.90%, 11/01/21 (d)

       3,770       4,213,356  

AvalonBay Communities, Inc., 6.10%, 3/15/20

       10,000       11,101,100  

DDR Corp.:

      

4.75%, 4/15/18

       2,140       2,194,987  

7.88%, 9/01/20

       2,650       3,084,409  

ERP Operating LP, 5.75%, 6/15/17 (d)

       10,000       10,159,330  

Hilton Domestic Operating Co., Inc., 4.25%, 9/01/24 (c)

       881       864,481  

Host Hotels & Resorts LP, 3.75%, 10/15/23 (d)

       3,600       3,582,004  

iStar, Inc., 4.00%, 11/01/17

       825       829,125  

MGM Growth Properties Operating Partnership LP/MGP Finance Co-Issuer, Inc.,
4.50%, 9/01/26 (c)

       740       708,550  

Starwood Property Trust, Inc., 5.00%, 12/15/21 (c)

       627       637,189  

UDR, Inc., 4.25%, 6/01/18 (d)

       5,225       5,384,477  
      

 

 

 
                       49,962,410  

Real Estate Management & Development — 0.4%

      

Northwest Florida Timber Finance LLC, 4.75%, 3/04/29 (c)(d)

       4,485       4,180,379  

Realogy Group LLC/Realogy Co-Issuer Corp. (c):

      

4.50%, 4/15/19

       803       829,097  

5.25%, 12/01/21

       344       354,320  

4.88%, 6/01/23

       1,332       1,298,700  
      

 

 

 
                       6,662,496  
Corporate Bonds   

Par  

(000)

    Value  

Road & Rail — 1.2%

      

Hertz Corp.:

      

6.75%, 4/15/19

     USD       420     $ 417,900  

5.88%, 10/15/20

       925       874,125  

7.38%, 1/15/21

       310       299,925  

5.50%, 10/15/24 (c)

       764       641,760  

Norfolk Southern Corp., 6.00%, 3/15/05

       12,700       14,765,503  

Penske Automotive Group, Inc., 5.38%, 12/01/24

       1,951       1,960,755  
      

 

 

 
                       18,959,968  

Semiconductors & Semiconductor Equipment — 0.3%

 

 

Micron Technology, Inc., 5.50%, 2/01/25

       150       150,750  

NXP BV/NXP Funding LLC (c):

      

4.13%, 6/15/20

       951       984,285  

4.13%, 6/01/21

       1,461       1,508,336  

4.63%, 6/15/22

       490       515,725  

4.63%, 6/01/23

       204       215,730  

Sensata Technologies BV, 5.00%, 10/01/25 (c)

       1,418       1,417,291  
      

 

 

 
                       4,792,117  

Software — 0.8%

      

Inception Merger Sub, Inc./Rackspace Hosting, Inc., 8.63%, 11/15/24 (c)

       2,034       2,110,275  

Infor US, Inc., 6.50%, 5/15/22

       2,425       2,488,656  

Informatica LLC, 7.13%, 7/15/23 (c)

       477       459,112  

Nuance Communications, Inc., 5.38%, 8/15/20 (c)

       1,901       1,948,525  

Oracle Corp., 2.65%, 7/15/26 (d)

       4,890       4,596,170  

PTC, Inc., 6.00%, 5/15/24

       313       333,336  
      

 

 

 
                       11,936,074  

Specialty Retail — 0.6%

      

L Brands, Inc.:

      

7.00%, 5/01/20

       3,050       3,362,625  

6.88%, 11/01/35

       1,119       1,091,025  

VF Corp., 5.95%, 11/01/17 (d)

       5,000       5,168,015  
      

 

 

 
                       9,621,665  

Technology Hardware, Storage & Peripherals — 0.7%

 

 

Diamond 1 Finance Corp./Diamond 2 Finance Corp. (c):

      

5.88%, 6/15/21

       615       648,741  

7.13%, 6/15/24

       747       817,874  

8.35%, 7/15/46

       6,005       7,497,819  
 

 

 

                
   BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017    11


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

Corporate Bonds   

Par  

(000)

    Value  

Technology Hardware, Storage & Peripherals (continued)

 

 

Western Digital Corp., 7.38%, 4/01/23 (c)

     USD       1,199     $ 1,318,900  
      

 

 

 
                       10,283,334  

Textiles, Apparel & Luxury Goods — 0.2%

      

Levi Strauss & Co., 5.00%, 5/01/25

       699       702,058  

Springs Industries, Inc., 6.25%, 6/01/21

       304       314,640  

William Carter Co., 5.25%, 8/15/21

       1,406       1,455,210  
      

 

 

 
                       2,471,908  

Thrifts & Mortgage Finance — 0.1%

      

Radian Group, Inc., 5.25%, 6/15/20

             1,045       1,092,025  

Tobacco — 1.7%

      

Altria Group, Inc., 10.20%, 2/06/39 (d)

       13,392       23,093,379  

Reynolds American, Inc.:

      

4.85%, 9/15/23

       1,120       1,214,886  

5.85%, 8/15/45

       2,335       2,713,041  
      

 

 

 
                       27,021,306  

Trading Companies & Distributors — 0.3%

      

Doric Nimrod Air Alpha Ltd. Pass-Through Trust, Series 2013-1, Class A, 5.25%, 5/30/25 (c)

       2,182       2,274,871  

Doric Nimrod Air Alpha Pass-Through Trust, Series 2013-1, Class B, 6.13%, 11/30/21 (c)

       2,159       2,245,138  
      

 

 

 
                       4,520,009  

Transportation Infrastructure — 0.8%

      

CEVA Group PLC, 4.00%, 5/01/18 (c)

       1,800       1,723,500  

Penske Truck Leasing Co. LP/PTL Finance Corp., 4.88%, 7/11/22 (c)

       10,500       11,301,423  
      

 

 

 
                       13,024,923  

Wireless Telecommunication Services — 1.5%

      

America Movil SAB de CV, 3.13%, 7/16/22 (d)

       1,275       1,254,822  

Crown Castle International Corp., 5.25%, 1/15/23

       1,380       1,499,094  

Crown Castle Towers LLC, 6.11%, 1/15/40 (c)

       4,555       4,942,433  

Digicel Group Ltd., 7.13%, 4/01/22 (c)

       370       295,837  

Digicel Ltd., 6.00%, 4/15/21 (c)

       1,285       1,198,005  
Corporate Bonds   

Par  

(000)

    Value  

Wireless Telecommunication Services (continued)

 

 

Sprint Communications, Inc., 9.00%, 11/15/18 (c)

     USD       5,290     $ 5,792,550  

Sprint Corp., 7.13%, 6/15/24

       1,755       1,833,975  

T-Mobile USA, Inc.:

      

6.63%, 4/28/21

       2,680       2,793,900  

6.73%, 4/28/22

       2,495       2,594,800  

6.84%, 4/28/23

       645       688,538  
      

 

 

 
                       22,893,954  
Total Corporate Bonds - 97.3%       1,516,671,253  
      
                          
Foreign Agency Obligations                      

Brazilian Government International Bond, 5.00%, 1/27/45

       4,525       3,868,875  

Indonesia Government International Bond, 5.88%, 1/15/24 (c)

       4,400       4,909,617  

Mexico Government International Bond,
4.75%, 3/08/44

       2,300       2,110,250  

Republic of Argentina, 5.63%, 1/26/22 (c)

             6,485       6,497,970  
Total Foreign Agency Obligations 1.1%       17,386,712  
      
                          
Municipal Bonds                      

City of Chicago Illinois, Refunding ARB, O’Hare International Airport, General 3rd Lien, Build America Bonds, Series B, 6.85%, 1/01/38

       5,000       5,596,800  

Metropolitan Transportation Authority, RB, Build America Bonds, Series B-1, 6.55%, 11/15/31

             10,000       12,882,200  
Total Municipal Bonds 1.2%       18,479,000  
      
                          
Preferred Securities                      
Capital Trusts                         

Banks — 3.5%

      

BNP Paribas SA (b)(c)(e)

      

7.20%

       5,000       5,418,750  

7.38%

       4,535       4,591,688  

Capital One Financial Corp.,
Series E, 5.55% (b)(e)

       5,000       5,099,400  
 

 

 

                
12    BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017   


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

Preferred Securities   

Par  

(000)

    Value  

Banks (continued)

 

Citigroup, Inc. (b)(e)

      

5.90%

     USD       2,210     $ 2,286,245  

5.95%

       7,000       7,120,750  

Credit Suisse Group AG, 7.50% (b)(c)(e)

       3,250       3,438,045  

HSBC Capital Funding LP, 10.18% (b)(c)(e)

       11,835       17,574,975  

Nordea Bank AB, 6.13% (b)(c)(e)

       5,540       5,380,725  

Wells Fargo & Co., (b)(e)

      

Series K, 7.98%

       809       849,450  

Series S, 5.90%

       281       288,924  

Series U, 5.88%

       2,655       2,822,597  
      

 

 

 
                       54,871,549  

Capital Markets — 1.6%

 

Charles Schwab Corp., Series E, 4.63% (b)(e)

       6,805       6,549,812  

Credit Suisse Group AG, 6.25% (b)(c)(e)

       5,000       4,931,250  

Goldman Sachs Group, Inc., Series L, 5.70% (b)(e)

       2,950       3,044,843  

Morgan Stanley, Series H, 5.45% (b)(e)

       8,675       8,805,125  

State Street Corp., Series F, 5.25% (b)(e)

       1,855       1,917,606  
      

 

 

 
                       25,248,636  

Consumer Finance — 0.3%

 

American Express Co., Series C, 4.90% (b)(e)

             4,510       4,415,570  

Diversified Financial Services — 4.3%

 

Bank of America Corp., (b)(e)

      

Series AA, 6.10%

       6,630       6,911,775  

Series K, 8.00%

       2,420       2,502,341  

Series U, 5.20% (d)

       5,785       5,676,531  

Barclays PLC, 6.63% (b)(e)

       7,385       7,098,831  

Credit Agricole SA, 8.13% (b)(c)(e)

       5,000       5,315,500  

JPMorgan Chase & Co., (b)(e)

      

6.75%

       7,775       8,509,038  

Series 1, 7.90%

       3,650       3,759,500  

Series Q, 5.15%

       4,000       3,915,000  

Series R, 6.00% (d)

       14,130       14,518,575  

Royal Bank of Scotland Group PLC, (b)(e)

      

8.00%

       970       941,026  

8.63%

       5,135       5,301,887  
Capital Trusts   

Par  

(000)

    Value  

Diversified Financial Services (continued)

 

Societe Generale SA, 7.38% (b)(c)(e)

     USD       1,980     $ 1,983,663  
      

 

 

 
                       66,433,667  

Electric Utilities — 0.5%

 

PPL Capital Funding, Inc., Series A, 6.70% (b)

             8,300       7,636,000  

Industrial Conglomerates — 0.7%

 

General Electric Co., Series D, 5.00% (b)(e)

             10,777       11,208,080  

Insurance — 4.4%

 

ACE Capital Trust II, 9.70% (d)

       7,000       10,360,000  

Allstate Corp, 6.50% (b)

       10,400       11,882,000  

American International Group, Inc., 8.18% (b)

       3,755       4,806,400  

Bank One Capital III, 8.75%

       2,000       2,807,444  

Chubb Corp., 6.38% (b)(d)

       7,400       7,218,700  

Equitable of Iowa Cos. Capital Trust II,
Series B, 8.42%

       5,000       5,655,455  

Farmers Exchange Capital II, 6.15% (b)(c)

       4,890       5,128,387  

Great-West Life & Annuity Insurance Capital LP II, 3.45% (b)(c)

       500       440,000  

Hartford Financial Services Group, Inc., 8.13% (b)

       5,050       5,403,500  

Principal Financial Group, Inc., 4.70% (b)

       5,000       4,983,750  

Reinsurance Group of America, Inc., 3.63% (b)

       12,000       10,788,000  
      

 

 

 
                       69,473,636  

Media — 0.4%

 

NBCUniversal Enterprise, Inc., 5.25% (c)(e)

             5,600       5,866,000  

Oil, Gas & Consumable Fuels — 1.5%

 

Enterprise Products Operating LLC, 7.00% (b)

       2,500       2,262,500  

Enterprise Products Operating LLC,
Series A, 4.59% (b)

       9,325       9,092,807  

TransCanada PipeLines Ltd., 6.35% (b)

       9,400       8,624,500  

TransCanada Trust, 5.63% (b)

       2,755       2,823,875  
      

 

 

 
                       22,803,682  

Real Estate Investment Trusts (REITs) — 0.6%

 

Sovereign Real Estate Investment Trust, 0.00% (c)(e)

             7       8,680,000  
 

 

                
   BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017    13


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

Capital Trusts   

Par  

(000)

    Value  

Road & Rail — 0.4%

      

BNSF Funding Trust I, 6.61% (b)

             6,125       6,997,813  
                       283,634,633  
Preferred Stocks           Shares         

Banks — 1.8%

      

Citigroup, Inc., Series K, 6.88% (b)(e)

       488,320       13,580,179  

Wells Fargo & Co., 5.85% (b)

       550,500       14,296,485  
      

 

 

 
                       27,876,664  

Capital Markets — 0.7%

      

Goldman Sachs Group, Inc., Series J, 5.50% (b)(e)

       162,450       4,160,344  

SCE Trust III, 5.75% (b)(e)

       31,650       827,964  

State Street Corp., Series D, 5.90% (b)

       220,495       5,794,609  
      

 

 

 
                       10,782,917  

Electric Utilities — 0.1%

      

Entergy Louisiana LLC, 5.25%

             90,000       2,195,100  

Real Estate Investment Trusts (REITs) — 0.2%

      

Ventas Realty LP/Ventas Capital Corp., 5.45%

       75,000       1,933,500  

Vornado Realty Trust, Series K, 5.70%

       50,000       1,209,500  
      

 

 

 
                       3,143,000  

Wireless Telecommunication Services — 1.2%

      

Centaur Funding Corp., 9.08% (c)

             15,143       17,868,740  
Total Preferred Stocks — 1.2%       61,866,421  
 
           
Trust Preferred — 0.5%                      
 

Diversified Financial Services — 0.5%

      

GMAC Capital Trust I, Series 2, 8.13%, 2/15/40 (b)

             7,503,525       7,612,067  
Total Preferred Securities 22.7%       353,113,121  
U.S. Government Sponsored Agency
Securities — 0.2%
  

Par  

(000)

    Value  

Agency Obligations — 0.2%

      

Fannie Mae, 0.00%, 10/09/19 (d)(j)

     USD       3,945     $ 3,750,938  
      
                          
Investment Companies    Shares         
U.S. Treasury Obligations          

U.S. Treasury Bonds:

      

2.88%, 8/15/45

       400       385,547  

2.25%, 8/15/46 (d)

       49,480       41,617,331  

U.S. Treasury Notes, 1.63%, 2/15/26 (d)

             18,325       17,115,257  
Total U.S. Treasury Obligations 3.8%       59,118,135  

Total Long-Term Investments

(Cost — $1,931,662,344) — 130.7%

 

 

    2,036,873,031  
 
           
Short-Term Securities — 1.1%           Shares         

BlackRock Liquidity Funds, T-Fund, Institutional Class, 0.40% (k)(l)

 

    17,041,419       17,041,419  

Total Short-Term Securities

(Cost — $17,041,419) 1.1%

 

 

    17,041,419  
Total Investments Before Options Written
(Cost — $1,948,703,763) — 131.8%
      2,053,914,450  
Options Written (Premiums Received — $437,313) — (0.1)%       (1,372,866
Total Investments, Net of Options Written
(Cost — $1,948,266,450
*) — 131.7%
      2,052,541,584  
Liabilities in Excess of Other Assets (31.7)%       (493,455,938
      

 

 

 

Net Assets 100.0%

 

  $ 1,559,085,646  
      

 

 

 

 

*   As of January 31, 2017, gross unrealized appreciation and depreciation based on cost for federal income tax purposes were as follows:

 

Tax cost

     $ 1,948,922,489  

Gross unrealized appreciation

     $    124,431,530  

Gross unrealized depreciation

     (19,439,569)  

Net unrealized appreciation

     $    104,991,961  
 
Notes to Schedule of Investments

 

*   Cost for federal income tax purposes.

 

(a)   Restricted security as to resale, excluding 144A securities. As of period end, the Trust held restricted securities with a current value of $2,951 and an original cost of $45,445, which was less than 0.05% of its net assets.

 

(b)   Variable rate security. Rate as of period end.

 

                
14    BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017   


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

 

(c)   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.

 

(d)   All or a portion of security has been pledged as collateral in connection with outstanding reverse repurchase agreements.

 

(e)   Perpetual security with no stated maturity date.

 

(f)   Issuer filed for bankruptcy and/or is in default.

 

(g)   Non-income producing security.

 

(h)   Step-up bond that pays an initial coupon rate for the first period and then a higher coupon rate for the following periods. Rate as of period end.

 

(i)   When-issued security.

 

(j)   Zero-coupon bond.

 

(k)   During the period ended January 31, 2017, investments in issuers considered to be affiliates of the Trust for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:

 

Affiliate      Shares Held
at October 31,
2016
       Net
Activity
       Shares Held
at January 31,
2017
       Value at
January 31,
2017
       Income        Net Realized
Gain (Loss)
       Change in
Unrealized
Appreciation
(Depreciation)
 

BlackRock Liquidity Funds, T-Fund, Institutional Class

       9,872,272          7,169,147        $ 17,041,419        $ 17,041,419        $ 12,483                    

 

(l)   Current yield as of period end.

 

 

Portfolio Abbreviations

 

ARB    Airport Revenue Bonds
CLO    Collateralized Loan Obligation
CR    Custodian Receipt
EUR    Euro
FKA    Formerly Known As
FNMA    Federal National Mortgage Association
OTC    Over-the-Counter
RB    Revenue Bonds
USD    United States Dollar

 

                
   BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017    15


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

 

Reverse Repurchase Agreements  
Counterparty   Interest
Rate
  Trade
Date
  Maturity
Date1
  Face Value     Face Value
Including
Accrued
Interest
    Type of Non-Cash Underlying  Collateral  

Remaining

Contractual Maturity
of the Agreements1

 

Deutsche Bank Securities, Inc.

  0.19%   3/05/15   Open   $ 3,570,225     $ 3,583,377     U.S. Government Sponsored Agency Securities     Open/Demand  

RBC Capital Markets LLC

  0.64%   7/11/16   Open     7,404,000       7,433,486     Corporate Bonds     Open/Demand  

Credit Suisse Securities (USA) LLC

  0.70%   10/06/16   Open     4,645,500       4,656,069     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  0.64%   11/10/16   Open     8,920,000       8,933,162     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  0.64%   11/18/16   Open     5,005,778       5,012,452     Corporate Bonds     Open/Demand  

Barclays Capital, Inc.

  0.50%   12/15/16   Open     492,075       492,396     Corporate Bonds     Open/Demand  

Barclays Capital, Inc.

  1.25%   12/15/16   Open     10,088,750       10,105,214     Capital Trusts     Open/Demand  

Barclays Capital, Inc.

  1.25%   12/15/16   Open     2,452,813       2,456,815     Corporate Bonds     Open/Demand  

Barclays Capital, Inc.

  1.25%   12/15/16   Open     4,606,313       4,613,830     Corporate Bonds     Open/Demand  

Barclays Capital, Inc.

  1.25%   12/15/16   Open     1,192,188       1,194,133     Corporate Bonds     Open/Demand  

Barclays Capital, Inc.

  1.25%   12/15/16   Open     10,425,000       10,442,013     Corporate Bonds     Open/Demand  

Barclays Capital, Inc.

  1.25%   12/15/16   Open     6,156,250       6,166,297     Corporate Bonds     Open/Demand  

Barclays Capital, Inc.

  1.25%   12/15/16   Open     6,826,500       6,837,640     Capital Trusts     Open/Demand  

Barclays Capital, Inc.

  1.25%   12/15/16   Open     4,415,250       4,422,455     Corporate Bonds     Open/Demand  

Barclays Capital, Inc.

  1.25%   12/15/16   Open     4,778,713       4,786,511     Corporate Bonds     Open/Demand  

Barclays Capital, Inc.

  1.25%   12/15/16   Open     715,313       716,480     Corporate Bonds     Open/Demand  

Barclays Capital, Inc.

  1.25%   12/15/16   Open     2,793,219       2,797,777     Corporate Bonds     Open/Demand  

Credit Suisse Securities (USA) LLC

  1.00%   12/15/16   Open     1,208,063       1,209,640     Corporate Bonds     Open/Demand  

HSBC Securities (USA), Inc.

  1.00%   12/15/16   Open     10,000,000       10,013,056     Capital Trusts     Open/Demand  

UBS Securities LLC

  1.00%   12/16/16   Open     8,210,000       8,220,034     Corporate Bonds     Open/Demand  

UBS Securities LLC

  1.00%   12/16/16   Open     3,155,313       3,159,169     Corporate Bonds     Open/Demand  

UBS Securities LLC

  1.00%   12/16/16   Open     5,552,375       5,559,161     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     1,852,000       1,854,455     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     5,404,000       5,411,165     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     3,007,000       3,010,987     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     5,297,000       5,304,023     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     2,888,000       2,891,829     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     5,873,000       5,880,787     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     4,905,000       4,911,503     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     3,204,000       3,208,248     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     7,060,000       7,069,360     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     4,369,000       4,374,793     Corporate Bonds     Open/Demand  

 

                
16    BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017   


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

 

Reverse Repurchase Agreements                      
Counterparty   Interest
Rate
  Trade
Date
  Maturity
Date1
  Face Value     Face Value
Including
Accrued
Interest
    Type of Non-Cash Underlying  Collateral   Remaining
Contractual Maturity
of the Agreements1
 

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open   $ 15,728,000     $ 15,748,853     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     2,752,000       2,755,649     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     4,585,000       4,591,079     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     9,483,000       9,495,573     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     4,950,000       4,956,563     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     9,266,000       9,278,285     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     4,976,000       4,982,597     Corporate Bonds     Open/Demand  

BNP Paribas Securities Corp.

  1.11%   12/19/16   Open     10,976,000       10,990,552     Corporate Bonds     Open/Demand  

Credit Suisse Securities (USA) LLC

  0.50%   12/19/16   Open     4,685,850       4,683,117     Capital Trusts     Open/Demand  

Credit Suisse Securities (USA) LLC

  0.95%   12/19/16   Open     2,935,625       2,938,879     Corporate Bonds     Open/Demand  

Credit Suisse Securities (USA) LLC

  0.95%   12/19/16   Open     2,229,563       2,232,034     Corporate Bonds     Open/Demand  

Credit Suisse Securities (USA) LLC

  1.00%   12/19/16   Open     525,938       526,551     Corporate Bonds     Open/Demand  

Credit Suisse Securities (USA) LLC

  1.00%   12/19/16   Open     6,304,656       6,312,012     Corporate Bonds     Open/Demand  

Credit Suisse Securities (USA) LLC

  1.00%   12/19/16   Open     5,055,188       5,061,085     Corporate Bonds     Open/Demand  

Credit Suisse Securities (USA) LLC

  1.00%   12/19/16   Open     4,973,063       4,978,864     Corporate Bonds     Open/Demand  

Credit Suisse Securities (USA) LLC

  1.00%   12/19/16   Open     2,919,531       2,922,937     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     4,150,000       4,155,155     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     5,606,250       5,613,214     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     4,565,000       4,570,671     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     8,685,000       8,695,789     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     3,244,125       3,248,155     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     3,294,000       3,298,092     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     7,834,750       7,844,483     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     13,740,000       13,757,068     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     3,509,513       3,513,872     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     7,425,000       7,434,224     Corporate Bonds     Open/Demand  

 

                
   BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017    17


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

 

Reverse Repurchase Agreements                      
Counterparty   Interest
Rate
  Trade
Date
  Maturity
Date1
  Face Value     Face Value
Including
Accrued
Interest
    Type of Non-Cash Underlying  Collateral  

Remaining
Contractual Maturity

of the Agreements1

 

RBC Capital Markets LLC

  1.04%   12/19/16   Open   $ 3,900,000     $ 3,904,845     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     9,825,000       9,837,205     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     3,311,650       3,315,764     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     4,405,500       4,410,973     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     6,450,000       6,458,012     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     12,570,000       12,585,615     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     5,260,000       5,266,534     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     3,225,000       3,229,006     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     17,356,500       17,378,061     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     3,633,438       3,637,951     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     21,996,360       22,023,684     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     4,034,160       4,039,171     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     3,225,000       3,229,006     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     17,512,500       17,534,254     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     6,961,875       6,970,523     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/19/16   Open     6,630,000       6,638,236     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  0.25%   12/21/16   Open     715,645       715,849     Corporate Bonds     Open/Demand  

RBC Capital Markets LLC

  1.04%   12/21/16   Open     8,789,375       8,799,786     Corporate Bonds     Open/Demand  

Deutsche Bank Securities, Inc.

  1.74%   12/29/16   Open     41,996,150       41,990,271     U.S. Treasury Obligations     Open/Demand  

RBC Capital Markets LLC

  0.45%   12/30/16   Open     17,133,875       17,140,943     U.S. Treasury Obligations     Open/Demand  

Citigroup Global Markets, Inc.

  2.00%   1/04/17   Open     1,391,540       1,389,453     Corporate Bonds     Open/Demand  

Credit Suisse Securities (USA) LLC

  1.00%   1/11/17   Open     3,391,090       3,393,074     Corporate Bonds     Open/Demand  

Citigroup Global Markets, Inc.

  0.25%   1/12/17   Open     4,908,000       4,907,318     Corporate Bonds     Open/Demand  

 

                
18    BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017   


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

 

Reverse Repurchase Agreements                        
Counterparty   Interest
Rate
    Trade
Date
    Maturity
Date1
    Face Value     Face Value
Including
Accrued
Interest
    Type of Non-Cash
Underlying
Collateral
  Remaining
Contractual
Maturity of
the Agreements1
 

RBC Capital Markets LLC

    1.04     1/18/17       Open     $ 1,898,800     $ 1,899,458     Corporate Bonds    
Open/
Demand

 

Total

        $ 521,393,148     $ 522,008,662      
       

 

 

     

1    Certain agreements have no stated maturity and can be terminated by either party at any time.

 

 

Derivative Financial Instruments Outstanding as of Period End

 

Futures Contracts                          
Contracts
Long (Short)
       Issue   Expiration     Notional
Value
           Unrealized
Appreciation
(Depreciation)
        
  54        2-Year U.S. Treasury Note     March 2017       USD       11,707,031       $ (2,006  
  758        5-Year U.S. Treasury Note     March 2017       USD       89,343,329         (159,172  
  (1,429      10-Year U.S. Treasury Note     March 2017       USD       177,865,844         (1,813,150  
  (244      Ultra U.S. Treasury Bond     March 2017       USD       39,207,750               224,879          
  Total                  $ (1,749,449        

OTC Interest Rate Swaptions Written

 

Description   Counterparty     Put/
Call
    Exercise
Rate
    Pay/
Receive
Exercise
Rate
    Floating Rate
Index
    Expiration
Date
   

Notional
Amount (000)

    Value  

2-Year Interest Rate Swap

    Bank of America N.A.       Put       1.70     Receive       6-month LIBOR       3/15/18       USD       77,900     $ (682,880

2-Year Interest Rate Swap

    Bank of America N.A.       Put       1.70     Receive       6-month LIBOR       3/19/18       USD       77,900       (689,986

Total

                  $ (1,372,866
                 

 

 

 

OTC Credit Default Swaps — Buy Protection

 

Issuer/Index   Pay Fixed Rate     Counterparty   Expiration
Date
    Notional Amount
(000)
    Value     Premiums
Paid
(Received)
    Unrealized
Depreciation
 

STMicro Electronics

    1.00   Barclays Bank PLC     6/20/17     EUR     1,500     $ (7,549   $ 8,351     $ (15,900

Cigna Corp.

    1.00   Goldman Sachs Bank USA     9/20/17     USD     4,500       (32,333     (1,388     (30,945

Cigna Corp.

    1.00   Goldman Sachs International     9/20/17     USD     2,800       (20,118     (929     (19,190

General Dynamics Corp.

    1.00   Credit Suisse International     9/20/17     USD     5,585       (40,751     (18,635     (22,116

Humana, Inc.

    1.00   Goldman Sachs Bank USA     9/20/17     USD     4,500       (31,763     9,549       (41,312

Humana, Inc.

    1.00   Goldman Sachs International     9/20/17     USD     2,800       (19,764     6,390       (26,154

Lockheed Martin Corp.

    1.00   Credit Suisse International     9/20/17     USD     5,585       (40,461     (6,410     (34,052

Northrop Grumman Corp.

    1.00   Credit Suisse International     9/20/17     USD     4,715       (34,605     (14,481     (20,124

Raytheon Co.

    1.00   Credit Suisse International     9/20/17     USD     4,715       (34,497     (14,869     (19,627

Citigroup, Inc.

    1.00   Deutsche Bank AG     3/20/19     USD     16,700       (229,992     (31,279     (198,713

 

 

                
   BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017    19


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

OTC Credit Default Swaps — Buy Protection

 

Issuer/Index   Pay Fixed Rate     Counterparty     Expiration
Date
    Notional Amount
(000)
    Value     Premiums
Paid
(Received)
    Unrealized
Depreciation
 

Prudential Financial, Inc.

    1.00     JPMorgan Chase Bank N.A.       6/20/21       USD       9,500     $ (124,207   $ 105,601     $ (229,808

Prudential Financial, Inc.

    1.00     Goldman Sachs International       6/20/21       USD       1,155       (15,101     15,602       (30,703

Prudential Financial, Inc.

    1.00     Citibank N.A.       6/20/21       USD       1,920       (25,104     24,386       (49,489

Total

            $ (656,245     81,888       (738,133

 

 

OTC Credit Default Swaps — Sell Protection

 

Issuer/Index   Receive
Fixed
Rate
    Counterparty     Expiration
Date
    Credit
Rating1
    Notional
Amount
(000)2
    Value     Premiums
Paid
(Received)
    Unrealized
Depreciation
 

Anadarko Petroleum Corp.

    1.00     Credit Suisse International       6/20/17       BBB       USD       2,425     $ 10,820       (9,779   $  20,600  

Anadarko Petroleum Corp.

    1.00     Morgan Stanley Capital Services LLC       6/20/17       BBB       USD       10       45       (48     92  

Anadarko Petroleum Corp.

    1.00     UBS AG       6/20/17       BBB       USD       994       4,435       (4,645     9,080  

Athem, Inc. (FKA WellPoint, Inc.)

    1.00     Goldman Sachs Bank USA       9/20/17       N/R       USD       4,500       30,878       (5,492     36,370  

Athem, Inc. (FKA WellPoint, Inc.)

    1.00     Goldman Sachs International       9/20/17       N/R       USD       2,800       19,213       (3,675     22,888  

Comcast Corp.

    1.00     Credit Suisse International       9/20/17       N/R       USD       12,200       86,040       7,047       78,993  

United Health Group, Inc.

    1.00     Goldman Sachs Bank USA       9/20/17       A-       USD       4,500       32,421       (1,382     33,803  

United Health Group, Inc.

    1.00     Goldman Sachs International       9/20/17       A-       USD       2,800       20,173       (925     21,098  

MetLife, Inc.

    1.00     Deutsche Bank AG       3/20/18       N/R       USD       3,025       30,657       (29,731     60,388  

Bank of America Corp.

    1.00     Deutsche Bank AG       3/20/19       BBB+       USD       16,700       232,744       55,771       176,973  

American Tower Corp.

    1.00     Morgan Stanley Capital Services LLC       6/20/21       BBB-       USD       10,000       (185,970     (359,849     173,879  

Total

              $ 281,456     $ (352,708   $ 634,164  

1    Using Standard & Poor’s rating of the issuer or the underlying securities of the index, as applicable.

     

 

2    The maximum potential amount the Trust may pay should a negative credit event take place as defined under the terms of the agreement.

     

 

 

                
20    BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017   


Schedule of Investments (continued)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

 

Fair Value Hierarchy as of Period End

Various inputs are used in determining the fair value of investments and derivative financial instruments. 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 for identical assets or liabilities that the Trust has the ability to access

 

 

Level 2 – other observable inputs (including, but not limited to, quoted prices for similar assets or liabilities in markets that are active, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable for the assets or liabilities (such as interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market–corroborated inputs)

 

 

Level 3 – unobservable inputs based on the best information available in the circumstances, to the extent observable inputs are not available (including the Trust’s own assumptions used in determining the fair value of investments and derivative 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 BlackRock Global Valuation Methodologies Committee (the “Global Valuation Committee”) in determining the price for Fair Valued Investments. Level 3 Investments include equity or debt issued by Private Companies. There may not be a secondary market, and/or there are a limited number of investors. Level 3 investments may also be adjusted to reflect illiquidity and/or non-transferability, with the amount of such discount estimated by the Global Valuation Committee in the absence of market information.

Changes in valuation techniques may result in transfers into or out of an assigned level within the hierarchy. In accordance with the Trust’s policy, transfers between different levels of the fair value hierarchy are deemed to have occurred as of the beginning of the reporting period. The categorization of a value determined for investments and derivative financial instruments is based on the pricing transparency of the investments and derivative financial instruments and is not necessarily an indication of the risks associated with investing in those securities. For information about the Trust’s policy regarding valuation of investments and derivative financial instruments, refer to the Trust’s most recent financial statements as contained in its annual report.

The following tables summarize the Trust’s investments and derivative financial instruments categorized in the disclosure hierarchy:

 

     Level 1        Level 2        Level 3        Total  

Assets:

                
Investments:                 
Long-Term Investments:                 

Asset-Backed Securities

           $ 66,745,321        $ 1,605,600        $ 68,350,921  

Common Stocks

                      2,951          2,951  

Corporate Bonds

             1,511,635,753          5,035,500          1,516,671,253  

Foreign Agency Obligations

             17,386,712                   17,386,712  

Municipal Bonds

             18,479,000                   18,479,000  

Preferred Securities

  $ 43,997,681          301,503,373                   345,501,054  

Trust Preferred

    7,612,067                            7,612,067  

U.S. Government Sponsored Agency Securities

             3,750,938                   3,750,938  

U.S. Treasury Obligations

             59,118,135                   59,118,135  

Short-Term Securities

    17,041,419                            17,041,419  
 

 

 

 

Total

  $ 68,651,167        $ 1,978,619,232        $ 6,644,051        $ 2,053,914,450  
 

 

 

 

 

 

                
   BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017    21


Schedule of Investments (concluded)

  

BlackRock Credit Allocation Income Trust (BTZ)

 

Derivative Financial Instruments 1                 

Assets:

                

Credit contracts

           $ 634,164                 $ 634,164  

Interest rate contracts

  $ 224,879                            224,879  

Liabilities:

                

Credit contracts

             (738,133                 (738,133

Interest rate contracts

    (1,974,328        (1,372,866                 (3,347,194
 

 

 

      

 

 

      

 

 

      

 

 

 

Total

  $ (1,749,449      $ (1,476,835               $ (3,226,284
 

 

 

      

 

 

      

 

 

      

 

 

 

1    Derivative financial instruments are swaps, futures contracts, forward foreign currency exchange contracts, and options written. Swaps, futures contracts and forward foreign currency exchange contracts are valued at the unrealized appreciation (depreciation) on the instrument and options written are shown at value.

     

The Trust may hold assets and/or liabilities in which the fair value approximates the carrying amount or face value, including accrued interest, for financial reporting purposes. As of period end, reverse repurchase agreements of $(522,008,662) were categorized as Level 2 within the disclosure hierarchy.

During the period ended January 31, 2017, there were no transfers between Level 1 and Level 2.

A reconciliation of Level 3 investments is presented when the Trust had a significant amount of Level 3 investments at the beginning and/or end of the period in relation to net assets. The following table is a reconciliation of Level 3 investments for which significant unobservable inputs were used in determining fair value:

 

    

Asset-Backed

Securities

   

Corporate

Bonds

   

Common

Stocks

    Total  

Assets:

       

Opening Balance, as of October 31, 2016

  $ 15,186,952     $ 5,113,500       2,951     $ 20,303,403  

Transfers into Level 3

                       

Transfers out of Level 31

    (11,331,752                 (11,331,752

Accrued discounts/premiums

    591                   591  

Net realized gain (loss)

    58,188                   58,188  

Net change in unrealized appreciation (depreciation)2

    (58,379     (78,000           (136,379

Purchases

                       

Sales

    (2,250,000                 (2,250,000
 

 

 

 

Closing Balance, as of January 31, 2017

  $ 1,605,600     $ 5,035,500     $ 2,951     $ 6,644,051  
 

 

 

 

Net change in unrealized appreciation (depreciation) on investments still held at January 31, 20172

  $ 3,200     $ (78,000         $ (74,800
 

 

 

 

1    As of October 31, 2016, the Trust used significant unobservable inputs in determining the value of certain investments. As January 31, 2017, the Trust used observable inputs in determining the value of the same investments. As a result, investments at beginning of period value were transferred from Level 3 to Level 2 in the disclosure hierarchy.

     

2    Any difference between net change in unrealized appreciation (depreciation) and net change in unrealized appreciation (depreciation) on investments still held at January 31, 2017 is generally due to investments no longer held or categorized as Level 3 at period end.

     

The Trust’s investments that are categorized as Level 3 were valued utilizing third party pricing information without adjustment. Such valuations are based on unobservable inputs. A significant change in third party information could result in a significantly lower or higher value of such Level 3 investments.

 

 

                
22    BLACKROCK CREDIT ALLOCATION INCOME TRUST    JANUARY 31, 2017   


Item 2 – Controls and Procedures

 

2(a) – The registrant’s principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”)) are effective as of a date within 90 days of the filing of this report based on the evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act and Rule 13a-15(b) under the Securities Exchange Act of 1934, as amended.

 

2(b) – There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act) that occurred during the registrant’s last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the registrant’s internal control over financial reporting.

Item 3 – Exhibits

Certifications – Attached hereto


Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

BlackRock Credit Allocation Income Trust

 

By:  

/s/ John M. Perlowski

 
  John M. Perlowski  
  Chief Executive Officer (principal executive officer) of
  BlackRock Credit Allocation Income Trust
Date: March 23, 2017  

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By:  

/s/ John M. Perlowski

 
  John M. Perlowski  
  Chief Executive Officer (principal executive officer) of
  BlackRock Credit Allocation Income Trust
Date: March 23, 2017  
By:  

/s/ Neal J. Andrews

 
  Neal J. Andrews  
  Chief Financial Officer (principal financial officer) of
  BlackRock Credit Allocation Income Trust
Date: March 23, 2017