January NQ -- Converted by SEC Publisher, created by BCL Technologies Inc., for SEC Filing

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 811-21566

Name of Fund: BlackRock Floating Rate Income Trust (BGT) (formerly BlackRock Global Floating
Rate Income Trust)

Fund Address: 100 Bellevue Parkway, Wilmington, DE 19809

Name and address of agent for service: Donald C. Burke, Chief Executive Officer, BlackRock
Floating Rate Income Trust, 800 Scudders Mill Road, Plainsboro, NJ, 08536. Mailing
address: P.O. Box 9011, Princeton, NJ, 08543-9011

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

Date of fiscal year end: 10/31/2009

Date of reporting period: 11/01/2008 – 01/31/2009

Item 1 – Schedule of Investments


BlackRock Floating Rate Income Trust                 
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
                 Par     
Industry    Corporate Bonds            (000)         Value 
Air Freight & Logistics - 0.0%    Park-Ohio Industries, Inc., 8.375%, 11/15/14        USD    125    $ 55,312 
Auto Components - 0.0%    The Goodyear Tire & Rubber Co., 6.318%, 12/01/09 (a)        60    57,900 
    Lear Corp., 8.75%, 12/01/16            30    5,700 
                    63,600 
Building Products - 0.0%    CPG International I, Inc., 10.50%, 7/01/13            90    50,400 
Capital Markets - 1.1%    E*Trade Financial Corp., 12.50%, 11/30/17            2,656    1,474,219 
    Marsico Parent Co., LLC, 10.625%, 1/15/16            1,501    645,430 
    Marsico Parent Holdco, LLC, 12.50%, 7/15/16 (b)(c)        589    253,069 
    Marsico Parent Superholdco, LLC, 14.50%, 1/15/18 (b)(c)        400    172,116 
                    2,544,834 
Chemicals - 0.4%    American Pacific Corp., 9%, 2/01/15            125    105,000 
    Ames True Temper, Inc., 5.094%, 1/15/12 (a)            1,100    687,500 
    Key Plastics LLC, 11.75%, 3/15/13 (c)(d)            625    100,000 
                    892,500 
Commercial Banks - 4.8%    SNS Bank NV Series 572, 2.61%, 1/20/12        EUR    8,500    10,852,870 
Commercial Services &    DI Finance Series B, 9.50%, 2/15/13        USD    307    267,090 
Supplies - 0.1%                     
Containers & Packaging -    Berry Plastics Holding Corp., 5.871%, 9/15/14 (a)            300    108,000 
0.1%    Impress Holdings BV, 4.219%, 9/15/13 (a)(c)            150    107,154 
                    215,154 
Diversified Financial    FCE Bank Plc, 7.125%, 1/16/12        EUR    200    184,377 
Services - 0.1%                     
Diversified Telecommunication    Cincinnati Bell, Inc., 7.25%, 7/15/13        USD    310    296,050 
Services - 1.1%    Qwest Corp., 5.246%, 6/15/13 (a)            2,500    2,137,500 
    Wind Acquisition Finance SA, 10.75%, 12/01/15 (c)        150    133,500 
                    2,567,050 
Electronic Equipment &    Sanmina-SCI Corp., 8.125%, 3/01/16            540    232,200 
Instruments - 0.1%                     
Energy Equipment &    Compagnie Generale de Geophysique-Veritas, 7.50%, 5/15/15        70    50,925 
Services - 0.0%    Compagnie Generale de Geophysique-Veritas, 7.75%, 5/15/17        50    35,750 
                    86,675 
Health Care Equipment &    DJO Finance LLC, 10.875%, 11/15/14            1,000    740,000 
Supplies - 0.3%                     
Health Care Providers &    Tenet Healthcare Corp., 6.50%, 6/01/12            250    220,000 
Services - 0.1%                     
Hotels, Restaurants &    American Real Estate Partners LP, 7.125%, 2/15/13        140    114,100 
Leisure - 0.1%    Greektown Holdings, LLC, 10.75%, 12/01/13 (c)(d)            122    23,180 
    Universal City Florida Holding Co. I, 5.92%, 5/01/10 (a)        80    39,200 
                    176,480 
Household Durables - 0.0%    Berkline/BenchCraft, LLC, 4.50%, 11/03/12 (b)(d)(e)        400    0 
Independent Power    AES Ironwood LLC, 8.875%, 11/30/25            85    73,532 
Producers & Energy                     
Traders - 0.0%                     
Machinery - 0.2%    Sunstate Equipment Co. LLC, 10.50%, 4/01/13 (c)            210    111,300 
    Synventive Molding Solutions Sub-Series A, 14%, 1/14/11        922    387,403 
                    498,703 
Media - 1.4%    Affinion Group, Inc., 10.125%, 10/15/13            50    39,000 
    CSC Holdings, Inc., 8.50%, 4/15/14 (c)            880    864,600 

1


BlackRock Floating Rate Income Trust                 
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
                 Par     
Industry    Corporate Bonds            (000)       Value 
    Cablevision Systems Corp. Series B, 8.334%, 4/01/09 (a)    USD    100    $ 100,500 
    Charter Communications Holdings II, LLC, 10.25%, 9/15/10 (d)        370    222,000 
    Charter Communications Holdings II, LLC Series B, 10.25%,             
    9/15/10 (d)            45    26,550 
    EchoStar DBS Corp., 6.375%, 10/01/11            135    129,600 
    EchoStar DBS Corp., 7%, 10/01/13            158    150,100 
    EchoStar DBS Corp., 7.125%, 2/01/16            230    211,600 
    Local Insight Regatta Holdings, Inc., 11%, 12/01/17        977    244,250 
    Nielsen Finance LLC, 10%, 8/01/14            410    362,850 
    Rainbow National Services LLC, 8.75%, 9/01/12 (c)        750    748,125 
                    3,099,175 
Metals & Mining - 0.5%    AK Steel Corp., 7.75%, 6/15/12            495    410,850 
    Foundation PA Coal Co., 7.25%, 8/01/14            505    436,825 
    Freeport-McMoRan Copper & Gold, Inc., 7.084%, 4/01/15 (a)        250    177,500 
                    1,025,175 
Oil, Gas & Consumable    Chaparral Energy, Inc., 8.50%, 12/01/15            135    29,700 
Fuels - 10.9%    Morgan Stanley Bank AG for OAO Gazprom, 9.625%, 3/01/13        11,530    10,780,550 
    Pemex Project Trusting Master Fund, 2.894%, 10/15/09 (a)(f)        12,700    12,668,250 
    SandRidge Energy, Inc., 5.06%, 4/01/14 (a)            1,400    914,073 
    Whiting Petroleum Corp., 7.25%, 5/01/13            300    247,500 
                    24,640,073 
Paper & Forest Products -    Abitibi-Consolidated, Inc., 5.496%, 6/15/11 (a)            840    121,800 
0.7%    Ainsworth Lumber Co. Ltd., 11%, 7/29/15 (c)            470    240,026 
    Bowater, Inc., 4.996%, 3/15/10 (a)            2,040    438,600 
    NewPage Corp., 7.42%, 5/01/12 (a)            1,500    510,000 
    Verso Paper Holdings LLC Series B, 4.92%, 8/01/14 (a)        1,215    352,350 
                    1,662,776 
Pharmaceuticals - 0.4%    Angiotech Pharmaceuticals, Inc., 5.953%, 12/01/13 (a)        1,750    918,750 
Real Estate Investment    Rouse Co. LP, 5.375%, 11/26/13            6,350    2,190,750 
Trusts (REITs) - 1.0%                     
Specialty Retail - 0.2%    General Nutrition Centers, Inc., 7.584%, 3/15/14 (a)(b)        500    302,500 
    Lazy Days' R.V. Center, Inc., 11.75%, 5/15/12 (d)            375    37,500 
    Michaels Stores, Inc., 10%, 11/01/14            185    83,250 
                    423,250 
Tobacco - 0.8%    Reynolds American, Inc., 7.625%, 6/01/16 (g)            2,000    1,745,048 
Wireless    Centennial Communications Corp., 7.185%, 1/01/13 (a)        1,250    1,231,250 
Telecommunication    iPCS, Inc., 3.295%, 5/01/13 (a)            1,155    820,050 
Services - 1.6%    Nordic Telephone Co. Holdings ApS, 10.107%,                 
    5/01/16 (a)(f)        EUR    1,500    1,459,648 
                    3,510,948 
    Total Corporate Bonds - 26.0%                58,936,722 
    Foreign Government Obligations                 
    Brazilian Government International Bond, 7.216%,                 
    6/29/09 (a)        USD    6,935    7,056,362 
    Brazilian Government International                 
    Bond, 10.25%, 6/17/13            475    570,000 

2


BlackRock Floating Rate Income Trust                 
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
                 Par     
Industry    Foreign Government Obligations            (000)       Value 

 
 
 
 
 
    Colombia Government International Bond,                 
    8.541%, 3/17/13 (a)(f)        USD    1,200    $ 1,128,000 
    Costa Rica Government International Bond, 9.335%, 5/15/09 (f)        3,200    3,248,000 
    Malaysia Government International Bond, 8.75%, 6/01/09        800    814,278 
    Mexican Bonos Series M, 9%, 12/22/11        MXN    13,520    990,825 
    Republic of Venezuela, 2.123%, 4/20/11 (a)(f)        USD    4,000    2,630,000 
    South Africa Government International Bond, 7.375%,             
    4/25/12            2,400    2,460,000 
    Turkey Government International Bond, 7%, 9/26/16        2,735    2,652,950 
    Uruguay Government International Bond, 6.875%, 1/19/16    EUR    950    1,046,081 

 
 
 
 
    Total Foreign Government Obligations - 10.0%                22,596,496 

 
 
 
 
 
    Floating Rate Loan Interests                 

 
 
 
 
 
Aerospace & Defense - 1.3%    Avio SpA Dollar Mezzanine Term Loan, 5.811%, 9/25/16    USD    1,039    259,807 
    Hawker Beechcraft Acquisition Co. LLC LC Facility Deposit,             
    1.359%, 3/26/14            216    116,736 
    Hawker Beechcraft Acquisition Co. LLC Term Loan,             
    2.479% - 3.459%, 3/26/14            3,670    1,988,022 
    IAP Worldwide Services, Inc. First Lien Term Loan, 7.25%,             
    12/20/12            1,043    535,287 
    Wesco Aircraft Hardware Corp. First Lien Term Loan, 2.73%,             
    9/25/13            23    17,887 
                   
                    2,917,739 

 
 
 
 
 
Airlines - 0.3%    US Airways Group, Inc. Term Loan, 2.979%, 3/23/14        1,480    657,024 

 
 
 
 
Auto Components - 2.4%    Allison Transmission, Inc. Term Loan, 3.20%, 8/07/14        5,865    3,774,692 
    Dana Holding Corp. Term Advance, 7.25%, 1/31/15        2,241    948,755 
    Dayco Products LLC - (Mark IV Industries, Inc.) Replacement             
    Term Loan B, 6.35% - 8.48%, 6/01/11            853    273,071 
    GPX International Tire Corp. Tranche B Term Loan,             
    9.23%, 4/06/12            629    345,840 
    Metaldyne Co. LLC DF Loan, 0.358% - 5.125%, 1/11/12        104    18,000 
    Metaldyne Co. LLC Initial Tranche B Term Loan,                 
    7.875% - 8%, 1/11/14            708    122,726 
                   
                    5,483,084 

 
 
 
 
 
Beverages - 0.2%    Culligan International Second Lien Term Loan,                 
    6.268% - 6.561%, 4/24/13        EUR    1,000    304,093 
    Le-Nature's, Inc. Tranche Term Loan B, 10.25%, 12/28/12 (d)    USD    1,000    153,333 
               
                    457,426 

 
 
 
 
 
Building Products - 1.9%    Armstrong World Industries, Inc. Tranche B Term Loan,             
    2.223%, 10/02/13            194    170,307 
    Building Material Corp. of America Term Loan Advance,             
    3.625% - 3.875%, 2/22/14            2,699    1,725,552 
    Custom Building Products, Inc. Second Lien Term Loan,             
    10.75%, 4/29/12            1,500    847,500 
    Momentive Performance Materials (Blitz 06-103 GMBH)             
    Tranche B-1, 2.75%, 12/04/13            1,474    1,038,926 

3


BlackRock Floating Rate Income Trust                 
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
                 Par     
Industry    Floating Rate Loan Interests            (000)       Value 
    United Subcontractors, Inc. Tranche B Term Loan,             
    6.43% - 6.80%, 12/27/12        USD    2,275    $ 455,020 
                    4,237,305 
Cable Television    Insight Midwest Holdings, LLC Term Loan B, 2.50%, 4/06/14        1,700    1,471,350 
Services - 0.6%                     
Capital Markets - 0.4%    Marsico Parent Co., LLC Term Loan, 4.25% - 7.75%, 11/14/14        475    219,461 
    Nuveen Investments, Inc. Term Loan, 3.79% - 4.466%, 11/13/14        1,492    703,332 
                    922,793 
Chemicals - 8.3%    Brenntag Holdings GMBH & Co. KG Acquisition Facility,             
    2.47% - 3.501%, 1/19/13            393    298,473 
    Brenntag Holdings GMBH & Co. KG Facility B-2,                 
    2.47% - 3.501%, 1/24/13            1,607    1,221,527 
    Brenntag Holdings GMBH & Co. KG Facility B6A and B6B,             
    7.163%, 11/24/37        EUR    500    495,085 
    Brenntag Holdings GMBH & Co. KG Second Lien Facility 2,             
    5.501%, 7/17/15        USD    1,000    581,250 
    Cognis GMBH Term Loan A, 5.329%, 11/17/13            803    654,820 
    Cognis GMBH Term Loan B, 5.329%, 11/16/13            197    160,364 
    ElectriciInvest Holding Co. Ltd. (Viridian Group Plc) Junior             
    Term Facility, 6.082%, 4/20/12        EUR    1,787    1,544,710 
    ElectriciInvest Holding Co. Ltd. (Viridian Group Plc) Junior             
    Term Facility, 5.928%, 12/21/12        GBP    1,800    1,760,767 
    Huish Detergents, Inc. Second Lien Term Loan, 4.75%,             
    10/26/14        USD    750    498,750 
    Huish Detergents, Inc. Tranche B Term Loan, 2.25%, 4/26/14        1,738    1,459,944 
    Ineos U.S. Finance LLC Term Facility A4, 7.702%, 2/20/13        1,385    540,086 
    Ineos U.S. Finance LLC Term Facility B2, 8.202%, 2/20/15        631    235,058 
    Ineos U.S. Finance LLC Term Facility C2, 8.702%, 2/20/14        631    240,580 
    Invista Canada Co. Tranche B2 Term Loan, 4.50%, 4/29/11        675    526,164 
    Invista S.A.R.L. Tranche B1 Term Loan, 4.50%, 4/29/11        2,304    1,796,948 
    Lucite International Group Holdings Ltd., 0%, 7/03/14 (b)    EUR    1,185    1,046,897 
    Matrix Acquisition Corp. (MacDermid, Inc.) Tranche C Term             
    Loan, 3.799%, 12/15/13            1,784    948,071 
    PQ Corp. (fka Niagara Acquisition) First Lien Term Loan,             
    4.43% - 4.71%, 5/29/16        USD    2,736    1,628,069 
    PQ Corp. (fka Niagara Acquisition) Second Lien Term Loan,             
    7.68%, 5/29/15            2,250    787,500 
    Rockwood Specialties Group, Inc. Tranche E Term Loan,             
    1.979%, 12/13/12            1,255    1,091,881 
    Solutia, Inc. Term Loan, 8.50%, 2/28/14            1,990    1,308,392 
    TPG Spring (U.K.) Ltd. (British Vita Plc) Mezzanine,             
    13.521% - 14.521%, 7/22/13        EUR    2,077    26,597 
                    18,851,933 
Commercial Services &    ARAMARK Corp. LC Facility Letter of Credit, 2.038%, 1/26/14    USD    155    135,120 
Supplies - 3.3%    ARAMARK Corp. LC Facility Term Loan B, 3.334%, 1/26/14        2,437    2,126,878 
    EnviroSolutions Term Loan B, 10.50%, 7/01/12            2,012    1,157,102 
    John Maneely Co. Term Loan, 4.41% - 4.604%, 12/28/13        1,392    740,120 

4


BlackRock Floating Rate Income Trust                 
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
                 Par     
Industry    Floating Rate Loan Interests            (000)       Value 
    Language Line, Inc. Tranche B-1 Services Term Loan, 4.71%,             
    11/14/11        USD    588    $ 493,734 
    Sirva Worldwide, Inc. Second Lien Term Loan, 12%, 5/15/15        123    6,149 
    Synagro Technologies, Inc. First Lien Term Loan B, 2.45%, 4/01/14        1,986    1,231,407 
    Synagro Technologies, Inc. Second Lien Term Loan, 5.20%,             
    10/01/14            500    125,000 
    West Corp. Term Loan B-2, 2.848% - 2.883%, 10/31/13        1,943    1,379,295 
                    7,394,805 
Computers & Peripherals -    Dealer Computer Services, Inc. (Reynolds & Reynolds) First             
0.9%    Lien Term Loan, 2.479%, 10/31/12            1,013    525,066 
    Intergraph Corp. First Lien Term Loan, 3.256%, 5/15/14        1,169    933,492 
    Intergraph Corp. Second Lien Term Loan, 6.479% - 7.256%, 11/17/14        750    600,000 
                    2,058,558 
Construction &    Airport Development and Investment Ltd. (BAA) Facility             
Engineering - 0.7%    Second Lien Term Loan, 6.334%, 4/07/11        GBP    566    283,704 
                                                        Brand Energy & Infrastructure Services, Inc. (FR Brand Acquisition
    Corp.) First Lien Term Loan B, 3.688% - 3.75%, 1/31/14    USD    990    593,800 
                                                         Brand Energy & Infrastructure Services, Inc. (FR Brand Acquisition
    Corp.) LC First Lien Term Loan, 1.375%, 2/15/14            500    300,000 
                                                        Brand Energy & Infrastructure Services, Inc. (FR Brand Acquisition
    Corp.) Second Lien Term Loan, 7% - 7.313%, 2/15/15        1,000    475,000 
                    1,652,504 
Construction Materials - 0.4%    Headwaters, Inc. First Lien Term Loan B-1, 5.97%, 4/30/11        1,250    937,500 
Containers & Packaging - 4.0%    Atlantis Plastic Films, Inc. Second Lien Term Loan, 15%, 3/22/12 (d)        500    0 
    Graham Packaging Co. LP New Term Loan, 2.75% - 6.313%, 9/30/11        929    741,083 
    Graphic Packaging International, Inc. Incremental Term Loan,             
    3.203% - 4.185%, 5/16/14            2,713    2,315,451 
    Modelo 3 SARL (Mivisa) Facility Tranche B-1 & B-2 Term Loan,             
    5.452%, 6/03/15        EUR    1,000    857,864 
    OI European Group BV Tranche Term Loan D, 3.147%, 6/14/13        1,915    2,047,381 
    Pregis Corp. Term Loan B-2, 5.464%, 9/30/12            484    402,604 
    Smurfit Kappa Acquisitions (JSG) Facility Term Loan C1,             
    3.668% - 5.28%, 7/16/15            750    601,385 
    Smurfit Kappa Acquisitions (JSG) Term Loan B1,                 
    3.428% - 5.03%, 7/16/14            750    601,385 
    Smurfit-Stone Container Enterprise, Inc. Tranche Term Loan B             
    & C, 1.313% - 5%, 11/01/11        USD    140    90,133 
    Solo Cup Co. Term Loan B-1, 3.973% - 5.75%, 2/27/11        1,675    1,443,869 
    Tegrant Corp. (SCA Packaging) Second Lien Term Loan, 6.96%,             
    3/07/15            500    45,000 
                    9,146,155 
Distributors - 0.3%    Keystone Automotive Operations, Inc. Term Loan,                 
    3.947% - 5.75%, 1/12/12            1,664    624,030 
Diversified Consumer    Coinmach Corp. Term Loan, 3.47% - 4.26%, 11/15/14        2,558    1,790,627 
Services - 0.8%                     

5


BlackRock Floating Rate Income Trust                 
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
                 Par     
Industry    Floating Rate Loan Interests            (000)       Value 
Diversified Financial    J.G. Wentworth, LLC First Lien Term Loan, 3.709%, 4/03/14    USD    3,800    $ 940,500 
Services - 0.7%    Professional Services Industries, Inc. First Lien Term Loan, 3.23%,             
    10/31/12            649    564,323 
                    1,504,823 
Diversified Telecommunication    BCM Ireland Holdings Ltd. (Eircom) Facility Term Loan B, 3.428%,             
Services - 5.2%    8/14/14        EUR    1,970    1,837,617 
                                                        BCM Ireland Holdings Ltd. (Eircom) Facility Term Loan C, 3.678%,
    8/14/13            1,970    1,837,821 
                                                        BCM Ireland Holdings Ltd. (Eircom) Facility Term Loan D, 5.803%,
    2/14/16            1,000    611,744 
    Cavtel Holdings, LLC Term Loan, 8.50%, 12/15/12        USD    388    99,837 
    Hawaiian Telcom Communications, Inc. Tranche Term Loan C,             
    4.75%, 6/01/14            1,204    508,999 
    Nordic Telephone Co. Holdings APS Facility Term Loan B2,             
    3.418%, 4/06/14        EUR    885    996,179 
    Nordic Telephone Co. Holdings APS Facility Term Loan C2,             
    3.668%, 4/06/15            1,058    1,190,240 
    PaeTec Holding Corp., Replacement Term Loan, 2.979%, 1/24/13    USD    746    465,081 
    Time Warner Telecom Holdings, Inc. Term Loan B, 2.48%, 2/23/14        1,477    1,272,432 
    Wind Telecomunicazione SpA Facility Term Loan A-1, 3.082% -             
    6.973%, 9/22/12        EUR    848    902,254 
    Wind Telecomunicazione SpA Facility Term Loan B-1, 7.723%,             
    9/22/13            1,000    1,084,333 
    Wind Telecomunicazione SpA Facility Term Loan C-1, 4.832% -             
    8.473%, 9/22/14            1,000    1,084,333 
                    11,890,870 
Electric Utilities - 0.9%    Astoria Generating Company Acquisitions, LLC Facility Term             
    Loan B, 2.20% - 2.23%, 2/23/13        USD    429    381,437 
    Astoria Generating Company Acquisitions, LLC Term Loan C,             
    4.23%, 8/23/13            1,500    1,045,000 
    TPF Generation Holdings, LLC First Lien Term Loan, 2.479%,             
    11/28/13            448    390,515 
    TPF Generation Holdings, LLC LC First Lien Term Loan,             
    1.359%, 11/28/13            151    131,223 
    TPF Generation Holdings, LLC Revolving Credit, 1.359%, 11/28/13        47    41,136 
                    1,989,311 
Electrical Equipment - 0.4%    Electrical Components International Holdings Co. (ECI) Second Lien Term         
    Loan, 11.50%, 5/05/14            500    125,000 
    Generac Acquisition Corp. First Lien Term Loan, 2.9936%,             
    11/10/13            1,479    782,051 
                    907,051 
Electronic Equipment &    Flextronics International Ltd. Closing Date Term Loan,             
Instruments - 1.3%    3.344% - 3.685%, 10/01/14            2,687    1,728,435 
    Flextronics International Ltd. Delay Draw Term Loan A-1,             
    3.344%, 10/05/14            772    496,677 
    Matinvest 2 SAS (Deutsch Connectors) Second Lien Term             
    Loan, 5.008%, 1/27/16            500    212,500 

6


BlackRock Floating Rate Income Trust                 
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
                 Par     
Industry    Floating Rate Loan Interests            (000)       Value 
    SafeNet, Inc. Second Lien Term Loan, 7.16%, 3/05/15    USD    1,000    $ 450,000 
                                                      Tinnerman Palnut Engineered Products, LLC Second Lien Term Loan,
    13%, 11/01/11            2,293    114,652 
                    3,002,264 
Energy Equipment &    Dresser, Inc. Second Lien Term Loan, 6.988%, 5/15/15        1,500    720,000 
Services - 1.4%    Dresser, Inc. Term Loan B, 2.729% - 3.488%, 5/15/14        1,471    1,054,220 
    MEG Energy Corp. Initial Term Loan, 3.46%, 3/23/13        486    260,144 
    Trinidad USA Partnership LLP, US Term Loan, 2.997%, 4/15/11        1,459    1,094,062 
                    3,128,426 
Food & Staples Retailing - 3.2%    AB Acquisitions UK Topco 2 Ltd. (fka Alliance Boots) Facility Term             
    Loan B1, 4.593%, 7/09/15        GBP    2,500    2,557,823 
    Advantage Sales & Marketing, Inc. (ASM Merger Sub, Inc.) Term             
    Loan, 2.51% - 3.47%, 4/15/13        USD    970    698,511 
    Birds Eye Iglo Group Ltd. (Liberator Midco Ltd.) Facility Term             
    Loan B1, 3.803%, 10/27/19        EUR    500    485,749 
    Birds Eye Iglo Group Ltd. (Liberator Midco Ltd.) Facility Term             
    Loan C1, 4.396%, 10/27/15            489    474,784 
    Birds Eye Iglo Group Ltd. (Liberator Midco Ltd.) Sterling    GBP    399    338,327 
    Tranche Mezzanine, 5.595%, 11/02/15                 
    DSW Holdings, Inc. Term Loan, 4.455%, 3/31/12        USD    1,000    600,000 
    McJunkin Corp. Term Loan, 4.709%, 1/30/14            980    708,050 
    Roundy's Supermarkets, Inc. Tranche Term Loan B,             
    3.20% - 3.25%, 10/22/11            505    408,020 
    Wm. Bolthouse Farms, Inc. First Lien Term Loan, 2.75%,             
    11/29/12            970    756,600 
    Wm. Bolthouse Farms, Inc. Second Lien Term Loan, 5.979%,             
    11/29/12            500    295,000 
                    7,322,864 
Food Products - 2.4%    Dole Food Co., Inc. Credit-Linked Deposit, 0.66%, 4/12/13        139    114,833 
    Dole Food Co., Inc. Tranche Term Loan B, 2.50% - 4.25%, 4/12/13        245    203,009 
                                                      FSB Holdings (Fresh Start Bakeries) Second Lien Term Loan, 7.25%,
    3/29/14            500    175,000 
    Fresh Start Bakeries First Lien Term Loan, 3.75% - 4.063%, 9/29/13        494    340,687 
    JRD Holdings, Inc. (Jetro Holdings) Term Loan, 2.697%, 5/11/14        1,453    1,264,219 
    Solvest, Ltd. (Dole) Tranche Term Loan C, 2.563% - 4.25%, 4/12/13        914    756,353 
    Sturm Foods, Inc. First Lien Initial Term Loan, 3.438% - 3.75%,             
    1/22/14 (b)            833    485,500 
    Sturm Foods, Inc. Second Lien Initial Term Loan, 7.25%, 6/30/14        750    187,500 
    United Biscuits Holdco Ltd. Facility Term Loan B1,                 
    3.922% - 4.861%, 1/23/15        GBP    1,651    1,412,841 
    United Biscuits Holdco Ltd. Facility Term Loan B2, 4.843%,             
    12/14/14        EUR    535    420,100 
                    5,360,042 
Health Care Equipment &    Arizant, Inc. Term Loan, 2.997% - 3.966%, 7/14/10    USD    2,639    2,243,542 
Supplies - 4.6%    Bausch & Lomb, Inc. Delayed Draw Term Loan,                 
    1.50% - 4.709%, 4/26/15            99    82,140 
    Bausch & Lomb, Inc. Parent Term Loan, 4.709%, 4/26/15        390    325,276 

7


BlackRock Floating Rate Income Trust                 
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
                 Par     
Industry    Floating Rate Loan Interests            (000)       Value 

 
 
 
 
 
    Biomet, Inc. Term Loan, 5.964%, 3/25/15        EUR    2,541    $ 2,862,728 
    DJO Finance LLC (ReAble Therapeutics Fin LLC) Term             
    Loan, 3.479% - 4.459%, 11/20/13        USD    1,496    1,189,496 
    Hologic, Inc. Tranche Term Loan B, 3.75%, 3/31/13        635    571,302 
    Molnlycke Holding AB (Rotac Holding AB) Facility Term Loan             
    B1, 3.553%, 4/09/15        EUR    1,500    1,250,129 
    Molnlycke Holding AB (Rotac Holding AB) Facility Term Loan C1,             
    3.803%, 4/09/16            1,383    1,152,293 
    Select Medical Corp. Tranche Term Loan B,                 
    2.473% - 4.25%, 2/24/12        USD    963    755,562 
                   
                    10,432,468 

 
 
 
 
 
Health Care Providers &    CCS Medical, Inc. (Chronic Care) First Lien Term Loan, 4.71%, 8/01/12        216    97,379 
Services - 4.3%    CHS/Community Health Systems, Inc. Delay Draw Term Loan,             
    2.729%, 6/18/14            234    197,720 
    CHS/Community Health Systems, Inc. Funded Term Loan,             
    2.729% - 3.506%, 7/25/14            4,573    3,866,005 
    HCA, Inc. Tranche Term Loan B-1, 3.709%, 11/15/12        1,746    1,439,085 
    HealthSouth Corp. Term Loan, 2.95% - 4.75%, 3/12/13        2,293    1,999,159 
    Opica AB (Capio) Tranche Term Loan C2, 4.629%, 4/15/16    EUR    1,088    1,021,202 
    Surgical Care Affiliates, LLC Term Loan, 3.459%, 6/29/14    USD    495    287,085 
    Vanguard Health Holding Co. II (Vanguard Health System, Inc.)             
    Replacement Term Loan, 2.729% - 3.709%, 9/23/11        968    826,658 
               
                    9,734,293 

 
 
 
 
 
Hotels, Restaurants &    BLB Worldwide Holdings, Inc. (Wembley, Inc.) First Priority Term Loan,         
Leisure - 3.3%    2.95% - 3.94%, 8/12/12            2,418    886,678 
    BLB Worldwide Holdings, Inc. (Wembley, Inc.) Second Priority Term Loan,         
    6.50%, 2/12/13 (d)            1,500    97,500 
    Golden Nugget, Inc., Additional Advance First Lien Term Loan,             
    2% - 2.48%, 6/30/13            273    98,182 
    Golden Nugget, Inc., Advance First Lien Term Loan, 2.48%, 5/30/14        477    171,818 
    Golden Nugget, Inc., Second Lien Term Loan, 3.73%, 11/30/14        1,000    110,000 
    Green Valley Ranch Gaming, LLC First Lien Term Loan,             
    2.449% - 4%, 2/26/14            473    197,506 
    Green Valley Ranch Gaming, LLC Second Lien Term Loan,             
    3.697%, 2/26/14            1,500    161,250 
    Harrah's Operating Co., Inc. Term Loan B-1, 4.159% - 4.459%, 1/28/15        315    195,070 
    Harrah's Operating Co., Inc. Term Loan B-2, 4.159% - 4.459%, 1/28/15        2,367    1,468,640 
    Harrah's Operating Co., Inc. Term Loan B-3, 4.159% - 4.459%, 1/28/15        904    558,780 
    OSI Restaurant Partners, Inc. Pre-Refunded Revolving Credit Term Loan,         
    1.816% - 2.813%, 5/15/14            32    14,595 
    OSI Restaurant Partners, LLC Term Loan, 2.813%, 5/15/14        381    172,952 
    Penn National Gaming, Inc. Term Loan B, 2.23% - 2.99%, 10/03/12        2,629    2,357,752 
    QCE, LLC (Quiznos) Second Lien Term Loan, 7.218%, 11/05/13        2,500    962,500 
               
                    7,453,223 

 
 
 
 
 
Household Durables - 2.4%    American Residential Services LLC Second Lien Term Loan,             
    10%, 4/17/15            2,020    1,672,601 
    Berkline/Benchcraft, LLC Term Loan, 6.578%, 11/10/11 (e)        95    4,735 

8


BlackRock Floating Rate Income Trust             
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
             Par     
Industry    Floating Rate Loan Interests        (000)       Value 
    Jarden Corp. Term Loan B3, 3.959%, 1/24/12    USD    1,237    $ 1,077,810 
    Simmons Bedding Co. Tranche Term Loan D, 9.535%, 12/19/11    1,500    1,111,875 
    Visant Corp. (fka Jostens) Tranche Term Loan C, 2.4978%, 9/30/11    1,300    1,105,102 
    Yankee Candle Co., Inc. Term Loan, 2.48% - 3.47%, 2/06/14    1,000    540,000 
                5,512,123 
Household Products - 0.4%    VI-JON, Inc. (VJCS Acquisition, Inc.) Tranche Term Loan B,         
    2.72%, 4/30/14        1,100    935,000 
IT Services - 4.4%    Activant Solutions, Inc. Term Loan, 3.438%, 5/02/13    446    211,830 
    Affiliated Computer Services, Inc. (ACS) Term Loan B, 2.479%, 3/20/13    728    665,435 
    Amadeus IT Group SA/Amadeus Verwaltungs GmbH Facility         
    Term Loan B3, 3.532%, 6/30/13    EUR    615    $ 366,605 
    Amadeus IT Group SA/Amadeus Verwaltungs GmbH Facility         
    Term Loan B4, 3.532%, 6/30/13        496    296,010 
    Amadeus IT Group SA/Amadeus Verwaltungs GmbH Facility         
    Term Loan C3, 4.032%, 6/30/14        615    366,605 
    Amadeus IT Group SA/Amadeus Verwaltungs GmbH Facility         
    Term Loan C4, 4.032%, 6/30/14        496    296,010 
    Audio Visual Services Group, Inc. Second Lien Term Loan,         
    6.96%, 8/28/13    USD    1,000    50,000 
    Ceridian Corp. Term Loan, 3.47%, 11/09/14        2,000    1,360,000 
    First Data Corp. Initial Tranche Term Loan B-1,             
    3.223% - 3.229%, 9/24/14        2,472    1,559,512 
    First Data Corp. Initial Tranche Term Loan B-2,             
    3.223% - 3.229%, 9/24/14        496    311,881 
    First Data Corp. Initial Tranche Term Loan B-3,             
    3.223% - 3.229%, 9/24/14        982    618,967 
    RedPrairie Corp. Second Lien Term Loan, 7.736%, 1/31/13    1,250    562,500 
    RedPrairie Corp. Term Loan, 5.188% - 5.25%, 7/17/12    975    614,250 
SunGard Data Systems, Inc. (Solar Capital Corp.) New US Term Loan,
    2.198% - 2.991%, 2/28/14        3,408    2,638,901 
                9,918,506 
Independent Power    Dynegy Holdings Inc. Tranche Term Loan B, 1.91%, 4/02/13  -(h)       240 
Producers & Energy    Texas Competitive Electric Holdings Co., LLC (TXU) Initial         
Traders - 4.0%    Tranche Term Loan B-1, 3.948% - 4.451%, 10/10/14    2,496    1,738,348 
    Texas Competitive Electric Holdings Co., LLC (TXU) Initial         
    Tranche Term Loan B-2, 3.948% - 4.451%, 10/10/14    5,476    3,808,719 
    Texas Competitive Electric Holdings Co., LLC (TXU) Initial         
    Tranche Term Loan B-3, 3.948% - 4.451%, 10/10/14    5,017    3,485,611 
                9,032,918 
Insurance - 0.5%    Alliant Holdings I, Term Loan, 4.459%, 10/23/14        988    770,250 
    Conseco, Inc. Term Loan, 2.447%, 10/10/13        733    461,881 
                1,232,131 
Internet & Catalog    FTD Group, Inc. Tranche Term Loan B, 6.75%, 8/26/14    748    639,647 
Retail - 0.3%    Oriental Trading Co., Inc. Second Lien Term Loan, 6.48%, 1/31/14    500    111,250 
                750,897 

9


BlackRock Floating Rate Income Trust             
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
             Par     
Industry    Floating Rate Loan Interests        (000)       Value 
Leisure Equipment &    24 Hour Fitness Worldwide, Inc. Tranche Term Loan B,         
Products - 0.4%    2.98% - 3.93%, 6/08/12    USD    973    $ 593,225 
    Kerasotes Showplace Theatres, LLC Term Loan B2, 5.063%, 11/01/11    555    333,289 
                926,514 
Life Sciences Tools &    Invitrogen Term Loan B, 5.25%, 6/11/15        2,993    2,925,169 
Services - 1.3%                 
Machinery - 3.2%    Blount, Inc. Term Loan B, 2.247%, 8/09/10        593    508,816 
    Cl Acquisition, Inc. (Chart Industries) Term Loan B, 2.50%, 10/17/12    222    188,889 
    LN Acquisition Corp. (Lincoln Industrials) Delay Draw First Lien Term Loan,         
    2.95%, 7/11/14        269    209,536 
                                           LN Acquisition Corp. (Lincoln Industrials) Initial First Lien Term Loan,
    2.95%, 7/11/14        716    558,764 
    NACCO Materials Handling Group, Inc. Term Loan,             
    2.479% - 4.595%, 3/21/13        488    253,500 
    Navistar International Corp. Advance Term Loan, 3.729%, 1/19/12    3,667    2,591,112 
    Navistar International Corp. Revolving Credit-Linked Deposit,         
    3.718% - 3.729%, 1/19/12        1,333    942,223 
    OshKosh Truck Corp. Term Loan B, 2.20% - 3.95%, 12/06/13    2,201    1,503,983 
    Standard Steel, LLC Delay Draw Term Loan, 2.98%, 6/21/12    77    49,169 
    Standard Steel, LLC Initial Term Loan, 3.96%, 6/21/12    381    243,966 
    Trimas Co. LLC Tranche Term Loan B-1, 2.40%, 8/02/11    94    56,250 
    Trimas Co. Tranche Term Loan B, 2.729% - 3.434%, 8/02/13    397    238,266 
                7,344,474 
Marine - 0.8%    Delphi Acquisition Holding l BV (fka Dockwise) Facility Term Loan B,         
    3.459%, 4/26/15        1,233    665,895 
                                           Delphi Acquisition Holding l BV (fka Dockwise) Facility Term Loan C,
    4.334%, 4/26/16        1,233    665,895 
                                           Delphi Acquisition Holding l BV (fka Dockwise) Facility Term Loan D,
    5.959%, 10/26/16        1,650    445,500 
                1,777,290 
Media - 30.9%    Acosta, Inc. Term Loan, 2.73%, 2/28/14        1,463    1,067,625 
    Affinion Group Holdings, Inc. Term Loan, 9.867%, 3/01/12    975    438,750 
    Alix Partners, LLP Tranche Term Loan C, 2.94% - 3.36%, 10/30/13    931    796,406 
    Alpha Topco Ltd. (Formula One) Facility Term Loan B1, 2.659%,         
    1/05/14        571    296,786 
    Alpha Topco Ltd. (Formula One) Facility Term Loan B2, 2.854%,         
    12/31/13        393    204,040 
    Amsterdamse Beheer - En Consultingmaatschappij BV (Casema)         
    Casema Facility Term Loan C, 4.553%, 11/02/15    EUR    625    702,601 
    Amsterdamse Beheer - En Consultingmaatschappij BV (Casema)         
    Kabelcom Facility Term Loan B, 4.0531%, 11/02/14    625    702,601 
    Atlantic Broadband Finance, LLC Tranche Term Loan B-2,         
    3.71%, 2/27/14    USD    1,950    1,670,729 
    Bresnan Communications, Additional First Lien Term Loan B,         
    3.13%, 9/17/11        1,500    1,224,375 
    Bresnan Communications, LLC Second Lien Term Loan,         
    4.95% - 5.01%, 3/31/14        250    162,500 

10


BlackRock Floating Rate Income Trust                 
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
                 Par     
Industry    Floating Rate Loan Interests            (000)       Value 
    CSC Holdings, Inc. (Cablevision) Incremental Term Loan,             
    2.205% - 2.692%, 3/28/13        USD    2,145    $ 1,927,054 
    Catalina Marketing Corp. Initial Term Loan, 4.459%, 10/01/14        2,476    1,730,231 
    Cengage Learning Acquisitions, Inc. (Thomson Learning) Term             
    Loan, 2.98%, 7/05/14            1,476    1,113,287 
    Cengage Learning Acquisitions, Inc. (Thomson Learning)             
    Tranche 1 Incremental Term Loan, 7.50%, 7/05/14        4,230    3,024,448 
    Cequel Communications, LLC Term Loan, 2.445% - 4.25%, 11/05/13        4,888    3,883,918 
    Charter Communications Operating, LLC New Term Loan,             
    3.18% - 3.36%, 3/06/14            1,960    1,492,359 
    Clarke American Corp. Tranche Term Loan B, 2.979% - 3.959%,             
    12/31/14            1,972    1,150,610 
    Cumulus Media, Inc. Replacement Term Loan, 2.196%, 6/11/14        1,411    479,676 
    Dex Media West LLC Tranche Term Loan B, 7%, 10/24/14        2,000    1,080,000 
    Discovery Communications Holding, LLC Term Loan B, 3.459%, 5/14/14        1,975    1,766,170 
    Emmis Operating Co. Tranche Term Loan B, 2.479% - 3.466%,             
    11/02/13            464    191,864 
    FoxCo Acquisition Sub, Term Loan, 7.25%, 7/14/15        499    261,844 
    GateHouse Media Operating, Inc. Delay Draw Term Loan,             
    2.45% - 4.48%, 9/15/14            293    69,895 
    GateHouse Media Operating, Inc. Initial Term Loan, 2.48%, 8/28/14        135    32,179 
    Getty Images, Inc. Initial Term Loan, 6.25% - 7.25%, 6/30/15        994    930,398 
    Gray Television, Inc. Term Loan B, 2.01% - 2.93%, 12/31/14        1,347    570,212 
    HIT Entertainment, Inc. Second Lien Term Loan, 6.74%, 2/24/13        1,000    150,000 
    HMH Publishing Co., Ltd. (fka Education Media) Mezzanine             
    Assignment, 5.256%, 11/14/14            7,162    2,148,651 
    HMH Publishing Co., Ltd. (fka Education Media) Tranche Term             
    Loan A, 5.256%, 11/14/14            2,630    1,420,077 
    Hanley-Wood, LLC (FSC Acquisition) Term Loan,                 
    2.697% - 4.50%, 3/08/14            2,223    811,437 
                                        Hargray Acquisition Co./DPC Acquisition LLC/HCP Acquisition LLC
    First Lien Term Loan, 3.386%, 6/18/14            982    814,746 
    Hargray Acquisition Co./DPC Acquisition LLC, Second Lien             
    Term Loan, 6.736%, 6/18/14            500    247,500 
    Idearc, Inc. (Verizon) Tranche Term Loan B, 2.48% - 3.46%, 11/17/14        1,505    508,535 
    Kabel Deutschland Holding GMBH Facility Term Loan A,             
    3.303%, 6/01/12        EUR    4,000    4,401,060 
    Knology, Inc. Term Loan, 2.747%, 6/30/12        USD    485    320,273 
    Lavena Holding 3 GmbH (ProSiebenSat.1 Media AG) Facility             
    Term Loan B, 4.589%, 6/28/15        EUR    337    34,499 
    Lavena Holding 3 GmbH (ProSiebenSat. 1 Media AG) Facility             
    Term Loan C1, 4.839%, 6/28/15            674    68,997 
    Liberty Cablevision of Puerto Rico Ltd. Initial Facility Term             
    Loan B, 3.996%, 3/01/13        USD    1,478    886,500 
    Local TV Finance, LLC Term Loan, 2.48%, 5/07/13            744    267,960 
    MCC Iowa LLC (Mediacom Broadband Group) Tranche Term             
    Loan A, 1.88%, 3/31/10            825    754,644 

11


BlackRock Floating Rate Income Trust                 
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
                 Par     
Industry    Floating Rate Loan Interests            (000)       Value 
    MCC Iowa LLC (Mediacom Broadband Group) Tranche Term             
    Loan D-1, 2.13%, 1/31/15        USD    1,470    $ 1,229,900 
    Mediacom Illinois, LLC (fka Mediacom Communications, LLC)             
    Tranche Term Loan C, 1.88%, 1/31/15            2,430    1,978,792 
    Mediannuaire Holding (Pages Jaunes) Term Loan B2,             
    3.909%, 1/11/15        EUR    453    123,522 
    Mediannuaire Holding (Pages Jaunes) Term Loan C, 4.409%, 1/11/16        938    255,543 
    Mediannuaire Holding (Pages Jaunes) Term Loan D, 5.909%, 1/11/17        500    73,623 
    Metro-Goldwyn-Mayer, Inc., Tranche Term Loan B,             
    3.729% - 4.709%, 3/15/12            1,920    865,949 
    Multicultural Radio Broadcasting, Inc. Term Loan,                 
    3.258% - 5%, 12/15/12        USD    331    231,910 
    Mission Broadcasting, Inc. Term Loan B, 3.209%, 10/01/12        1,883    1,091,950 
    National Cinemedia, LLC Term Loan, 3.75%, 2/12/15        1,000    620,714 
    Newsday LLC Term Loan, 9.75%, 7/02/13            1,500    1,320,000 
    Newsday LLC Term Loan, 6.594%, 8/01/13            1,250    1,071,875 
    NV Broadcasting, LLC First Lien Term Loan, 5.25%, 10/21/13        990    366,290 
    NV Broadcasting, LLC Second Lien Term Loan, 5.25%, 10/26/14        1,500    300,000 
    Nexstar Broadcasting, Term Loan B, 3.209%, 10/01/12        1,781    1,033,129 
    Nielsen Finance LLC Dollar Term Loan, 2.448%, 8/15/13        3,818    3,025,562 
    Penton Media, Inc. First Lien Term Loan,                 
    2.729% - 3.424%, 2/01/13            1,105    416,703 
    Penton Media, Inc. Second Lien Term Loan, 6.174%, 2/01/14        1,000    111,000 
    Puerto Rico Cable Acquisition Co., Inc. (D/B/A Choice TV)             
    Second Lien Term Loan, 8%, 1/28/12            692    380,769 
    Quebecor Media Facility Term Loan B, 3.094%, 1/17/13        728    603,825 
    San Juan Cable Term Loan B, 9.62%, 3/02/13            1,769    1,061,439 
    Sitel, LLC (ClientLogic) Term Loan, 5.947% - 6.911%, 1/30/14        1,366    805,935 
    Sunshine Acquisition Ltd. (aka HIT Entertainment) Facility             
    Term Loan, 3.49%, 8/31/12            1,098    477,652 
    Telecommunications Management, LLC Multi-Draw Term Loan,             
    3.979%, 6/30/13            233    140,080 
    Telecommunications Management, LLC Term Loan,             
    3.979%, 6/30/13            926    555,750 
    UPC Financing Partnership Facility Term Loan M, 3.545%,             
    11/19/37        EUR    3,767    3,431,616 
                                   Virgin Media Investment Holdings Ltd. Facility Term Loan B, 4.392%,
    11/19/37        GBP    1,779    1,959,215 
                                   Virgin Media Investment Holdings Ltd. Facility Term Loan C, 4.919%,
    7/17/13            1,500    1,381,907 
    Wallace Theater Corp. (Hollywood Theatres) First Lien Term             
    Loan, 6.56%, 8/09/09        USD    1,623    1,201,385 
    Wallace Theater Corp. (Hollywood Theaters) Second Lien             
    Term Loan, 10.31%, 8/09/09            2,500    1,750,000 
    Weather Channel Term Loan B, 7.25%, 6/01/15            998    935,655 
    Yell Group Plc Facility Term Loan B2, 4.553%, 4/30/11    EUR    1,750    1,525,268 
                    70,132,395 

12


BlackRock Floating Rate Income Trust                 
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
                 Par     
Industry    Floating Rate Loan Interests            (000)       Value 
Metals & Mining - 1.0%    Compass Minerals International, Inc. Term Loan,                 
    1.96% - 2.96%, 12/22/12        USD    776    $ 722,136 
    Essar Steel Algoma, Inc. (fka Algoma Steel, Inc.) Term Loan,             
    3%, 6/19/13            1,949    1,217,949 
    Euramax International Holdings B.V. Second Lien Term Loan,             
    13%, 6/29/13            738    132,819 
    Euramax International, Inc. Second Lien Term Loan, 13%,             
    6/29/13            482    86,846 
                    2,159,750 
Multi-Utilities - 0.7%    FirstLight Power Resources, Inc. (fka NE Energy, Inc.) First             
    Lien Advance Term Loan B, 4.125%, 10/31/13            1,230    1,002,803 
    FirstLight Power Resources, Inc. (fka NE Energy, Inc.) Letter             
    of Credit, 1.35%, 10/03/13            159    129,207 
    FirstLight Power Resources, Inc. (fka NE Energy, Inc.) Second             
    Lien Advance Term Loan, 5.966%, 10/31/14            750    375,000 
    Mach Gen, LLC Synthetic Letter of Credit First Lien Term             
    Loan, 1.218%, 2/12/13            69    50,359 
                    1,557,369 
Multiline Retail - 0.5%    Dollar General Corp. Tranche Term Loan B-1, 3.198% - 3.924%,             
    7/03/14            1,250    1,046,875 
Oil, Gas & Consumable    Big West Oil, LLC Delay Draw Term Loan, 4.50%, 5/15/14        550    247,500 
Fuels - 2.2%    Big West Oil, LLC Term Loan, 4.50%, 5/15/14            438    196,875 
    Coffeyville Resources, LLC Letter of Credit, 3.15%, 12/21/13        324    229,459 
    Coffeyville Resources, LLC Tranche Term Loan D, 8.75%, 12/21/13        1,045    739,039 
    Drummond Co., Inc. Advance Term Loan B, 1.723%, 2/15/12        1,275    1,236,750 
    Niskas Gas Storage Canada ULC Asset Sale Bridge Facility Term             
    Loan, 2.205%, 5/08/11            29    22,388 
    Niskas Gas Storage Canada ULC Term Loan B, 4.847%,             
    5/08/13            453    350,961 
    Niskas Gas Storage Gas LLC Wild Goose Acquisition Delay Draw             
    Term Loan B, 2.203%, 5/08/13            51    39,214 
    Niskas Gas Storage LLC Term Loan B, 4.847%, 5/08/13        75    57,889 
    Vulcan Energy Corp. (fka Plains Resources, Inc.) Term Loan B3,             
    5.50%, 9/03/11            1,750    1,470,000 
    Western Refining Co., Inc. Term Loan, 8.25%, 5/30/14        915    501,910 
                    5,091,985 
Paper & Forest    Boise Cascade Holdings LLC Second Lien Term Loan, 5.75%, 2/05/15        368    304,106 
Products - 2.1%    Georgia-Pacific LLC Lien Term Loan B, 2.956% - 4.189%, 12/22/12        3,808    3,278,548 
    NewPage Corp. Term Loan, 5.313%, 12/21/14            1,984    1,127,425 
    Verso Paper Finance Holdings LLC Term Loan,                 
    7.685% - 8.435%, 2/01/13            345    68,957 
                    4,779,036 
Personal Products - 0.6%    American Safety Razor Co., LLC Second Lien Term Loan,             
    6.73%, 1/25/14            2,000    1,280,000 
Pharmaceuticals - 1.7%    Catalent Pharma Solutions, Inc. (fka Cardinal Health 409,             
    Inc.) Term Loan, 5.223%, 4/15/14        EUR    2,463    2,270,137 

13


BlackRock Floating Rate Income Trust                 
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
                   Par     
Industry    Floating Rate Loan Interests            (000)       Value 
    Warner Chilcott Co., Inc. Acquisition Date Tranche             
    Term Loan B, 3.459%, 1/18/12        USD    1,255    $ 1,113,377 
    Warner Chilcott Co., Inc. Acquisition Date Tranche             
    Term Loan C, 3.459%, 1/30/13            515    457,118 
                    3,840,632 
Professional Services - 0.2%    Booz Allen Hamilton, Inc. Tranche Term Loan B, 7.50%, 7/01/15        499    462,591 
Real Estate Management    Capital Automotive LP Term Loan, 2.25%, 12/16/10        1,675    646,071 
& Development - 1.1%    Enclave First Lien Term Loan, 6.14%, 3/01/12            2,000    1,000,000 
    Georgian Towers Term Loan, 6.14%, 3/01/12            2,000    900,000 
    Pivotal Promontory, LLC Second Lien Term Loan, 14.75%, 8/11/11 (d)        750    37,500 
                    2,583,571 
Road & Rail - 0.9%    Rail America, Inc. Term Loan, 5.44%, 6/30/09            2,250    2,025,000 
Software - 0.5%    Bankruptcy Management Solutions, Inc. First Lien Term             
    Loan, 4.41%, 7/06/12            978    742,900 
    Bankruptcy Management Solutions, Inc. Second Lien Term             
    Loan, 6.698%, 7/06/13            489    215,050 
    CCC Information Services Group, Inc. Term Loan, 3.72%,             
    2/10/13            411    287,979 
                    1,245,929 
Specialty Retail - 1.9%    ADESA, Inc. (KAR Holdings, Inc.) Initial Term Loan, 2.73% - 3.709%,             
    10/20/13            2,395    1,588,010 
    Burlington Coat Factory Warehouse Corp. Term Loan, 2.73%, 5/28/13        517    228,114 
    General Nutrition Centers, Inc. Term Loan, 3.69% - 3.72%, 9/26/13        995    669,095 
    OSH Properties LLC (Orchard Supply) Participation 1 Term             
    Loan B, 2.784%, 12/21/13            1,500    900,000 
    Sensata Technology BV/Sensata Technology Finance Co., LLC             
    Term Loan, 3.971% - 4.13%, 4/27/13        EUR    1,463    852,038 
                    4,237,257 
Textiles, Apparel &    Renfro Corp. Tranche Term Loan B, 4.16% - 4.71%, 9/30/13    USD    436    174,500 
Luxury Goods - 0.1%                     
Trading Companies &    Beacon Sales Acquisition, Inc. Term Loan B, 2.479% - 3.435%, 11/02/13        1,222    769,781 
Distributors - 0.3%                     
Wireless    Cricket Communications, Inc. (aka Leap Wireless) Term Loan B,             
Telecommunication    6.50%, 6/16/13            1,419    1,292,623 
Services - 1.6%    MetroPCS Wireless, Inc. Tranche Term Loan B, 2.75% - 3.438%, 11/03/13    1,618    1,405,698 
    Ntelos, Inc. Advance Term Loan B-1, 2.73%, 8/14/11        928    823,099 
                    3,521,420 
    Total Floating Rate Loan Interests - 117.5%                266,591,581 
    Common Stocks            Shares     
Capital Markets - 0.1%    E*Trade Financial Corp. (i)            121,011    137,953 
Commercial Services &    Sirva Common Stock            554    2,770 
Supplies - 0.0%                     
Paper & Forest Products - 0.0%        Ainsworth Lumber Co. Ltd. (i)            55,855    38,717 
    Ainsworth Lumber Co. Ltd. (c)(i)            62,685    42,975 
                    81,692 
    Total Common Stocks - 0.1%                222,415 

14


BlackRock Floating Rate Income Trust             
Schedule of Investments January 31, 2009 (Unaudited)    (Percentages shown are based on Net Assets) 

 
Industry    Preferred Stocks        Shares    Value 
Capital Markets - 0.0%    Marsico Parent Superholdco, LLC, 16.75% (c)(i)        100    $ 45,000 
    Total Preferred Stocks - 0.0%            45,000 
    Warrants (j)             
Machinery - 0.0%    Synventive Molding Solutions (expires 1/15/13)        2    0 
    Total Warrants - 0.0%            0 
    Other Interests (k)             
Health Care Providers &    Critical Care Systems International, Inc. (e)        947    191 
Services - 0.0%                 
Household Durables - 0.0%    Berkline Benchcraft Equity LLC (e)        6,155    0 
    Total Other Interests - 0.0%            191 
    Total Long-Term Investments (Cost - $516,945,364) - 153.6%        348,392,405 
    Options Purchased        Contracts     
Over-the-Counter Traded Put    Marsico Parent Superholdco LLC, expiring December 2009 at         
Options    USD 942.86, Broker Goldman Sachs Group, Inc.        26    42,120 
    Total Options Purchased (Cost - $25,422) - 0.0%            42,120 
    Total Investments (Cost - $516,970,786*) - 153.6%        348,434,525 
    Liabilities in Excess of Other Assets - (27.7)%            (62,752,755) 
    Preferred Shares, at Redemption Value - (25.9)%            (58,819,369) 
    Net Assets Applicable to Common Shares - 100.0%        $ 226,862,401 

* The cost and unrealized appreciation (depreciation) of investments as of January 31, 2009, as computed for
federal income tax purposes, were as follows:

Aggregate cost    $ 517,008,850 
Gross unrealized appreciation    $ 711,748 
Gross unrealized depreciation    (169,286,073) 
Net unrealized depreciation    $ (168,574,325) 

(a)      Variable rate security. Rate shown is as of report date.
(b)      Represents a payment-in-kind security which may pay interest/dividends in additional par/shares.
(c)      Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration to qualified institutional investors.
(d)      Issuer filed for bankruptcy and/or is in default of interest payments.
(e)      Security is valued in accordance with the Trust's fair valuation policy.
(f)      Restricted securities as to resale, representing 9.3% of net assets were as follows:
 
    Acquisition         
Issue    Date(s)             Cost    Value 
Colombia Government International             
Bond, 8.541%,             
3/17/13    2/15/06    $ 1,299,459    $ 1,128,000 
Costa Rica Government International             
Bond, 9.335%,             
5/15/09    8/30/04 - 11/01/04    3,220,092    3,248,000 
Nordic Telephone Co. Holdings ApS,             
10.107%, 5/01/16    4/26/06    1,867,951    1,459,648 
Pemex Project Funding Master             
Trust, 2.894%, 10/15/09    8/27/04 - 12/15/04    12,791,943    12,668,250 
Republic of Venezuela, 2.123%,             
4/20/11    10/26/04    3,769,343    2,630,000 
Total        $ 22,948,788    $ 21,133,898 

15


BlackRock Floating Rate Income Trust

Schedule of Investments January 31, 2009 (Unaudited)

(g)      All or a portion of security has been pledged as collateral for reverse repurchase agreements.
(h)      Amount is less than $1,000.
(i)      Non-income producing security.
(j)      Warrants entitle the Trust to purchase a predetermined number of shares of common stock and are non-income producing. The purchase price and number of shares are subject to adjustment under certain conditions until the expiration date.
(k)      Other interests represent beneficial interest in liquidation trusts and other reorganization entities and are non-income producing.
 
 
  • For Trust compliance purposes, the Trust's industry classifications refer to any one or more of the industry sub-classifications used by one or more widely recognized market indexes or ratings group indexes, and/or as defined by Trust management. This definition may not apply for purposes of this report, which may combine industry sub-classifications for reporting ease.
     
     
  • Foreign currency exchange contracts as of January 31, 2009 were as follows:
     
                            Unrealized 
                        Settlement    Appreciation 
           Currency Purchased     Currency Sold                 Counterparty    Date    (Depreciation) 
    USD    44,459,310    EUR    33,912,000    Deutsche Bank AG    3/18/09    $ 1,066,704 
    USD    1,323,079    EUR    1,000,000    Citibank NA    3/18/09    43,514 
    USD    8,816,729    GBP    5,946,000    UBS AG    3/18/09    205,066 
    USD    332,953    GBP    242,500    Citibank NA    3/18/09    (18,262) 
    USD    739,126    MXN    10,416,500    Deutsche AG, London    3/18/09    21,337 
    Total                        $ 1,318,359 

    Credit default swaps on traded indexes - sold protection outstanding as of January 31, 2009 were as follows:     

     
            Receive            Notional         
            Fixed            Amount    Unrealized 
       Issuer        Rate    Counterparty    Expiration    (000)    Depreciation 
       BAA Ferovial                         
       Junior Term Loan    2.00%    Deutsche Bank AG    June 2012    GBP 1,800    $ (611,795) 

     
     
     
     
     
    Currency Abbreviations:                     
       EUR    Euro                         
       GBP    British Pound                     
       MXN    Mexican Peso                     
       USD    US Dollar                     

    16


    BlackRock Floating Rate Income Trust

    Schedule of Investments January 31, 2009 (Unaudited)

  • Effective November 1, 2008, the Trust adopted Financial Accounting Standards Board Statement of Financial Accounting Standards No. 157, "Fair Value Measurements" ("FAS 157"). FAS 157 clarifies the definition of fair value, establishes a framework for measuring fair values and requires additional disclosures about the use of fair value measurements. Various inputs are used in determining the fair value of investments, which are as follows:
     
     
  • Level 1 - price quotations in active markets/exchanges for identical securities
     
     
  • Level 2 - other observable inputs (including, but not limited to: quoted prices for 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 circumstance, to the extent observable inputs are not available (including the Trust's own assumption used in determining the fair value of investments)
     

    The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in
    those securities. For information about the Trust's policy regarding valuation of investments and other significant accounting
    policies, please refer to the Trust's most recent financial statements as contained in its annual report.

    The following table summarizes the inputs used as of January 31, 2009 in determining the fair valuation of the Trust's

    investments: 

                   
    Valuation    Investments in    Other Financial     
    Inputs    Securities    Instruments*     
        Assets             Assets    Liabilities     
    Level 1    $ 176,670                                     -    -     
    Level 2    226,638,796    $ 1,378,741     $ (18,262)     
    Level 3    121,576,939                                     -    (611,795)     
    Total    $ 348,392,405    $ 1,378,741    $  (630,057)     
    * Other financial instruments are swaps, foreign currency exchange and options contracts.     

    Swaps and foreign currency exchange contracts are valued at the unrealized appreciation/depreciation on the instrument and
    options are at shown at market value.

    The following is a reconciliation of investments for unobservable inputs (Level 3) were used in determining fair

    value: 

           
        Investments in    Other Financial 
        Securities    Instruments* 
    Balance, as of October 31, 2008    $ 119,862,229    $ (543,254) 
    Accrued discounts/premiums    176,462    - 
    Realized gain (loss)    (7,614,669)    - 
    Change in unrealized appreciation (depreciation)    (41,771,326)    (68,541) 
    Net purchases (sales)    (12,951,188)    - 
    Net transfers in/out of Level 3    63,875,431    - 
    Balance, as of January 31, 2009    $ 121,576,939    $ (611,795) 
       
     
    * Other financial instruments are swap contracts. Swap contracts are valued at the unrealized     
    appreciation/depreciation on the instrument.         

    17


    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 13(a)-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 Floating Rate Income Trust

    By: /s/ Donald C. Burke
    Donald C. Burke
    Chief Executive Officer of
    BlackRock Floating Rate Income Trust

    Date: March 25, 2009

    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/ Donald C. Burke
    Donald C. Burke
    Chief Executive Officer (principal executive officer) of
    BlackRock Floating Rate Income Trust

    Date: March 25, 2009

    By: /s/ Neal J. Andrews
    Neal J. Andrews
    Chief Financial Officer (principal financial officer) of
    BlackRock Floating Rate Income Trust

    Date: March 25, 2009