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UNITEDSTATES
SECURITIESANDEXCHANGECOMMISSION
Washington,D.C.20549

FORM N-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED
MANAGEMENT INVESTMENT COMPANY

Investment Company Act file number 811-21349

Name of Fund: BlackRock Limited Duration Income Trust (BLW)

Fund Address: 100 Bellevue Parkway, Wilmington, DE 19809

Name and address of agent for service: Anne F. Ackerley, Chief Executive Officer, BlackRock
Limited Duration 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: 08/31/2011

Date of reporting period: 11/30/2010

Item 1 – Schedule of Investments



Schedule of Investments November 30, 2010 (Unaudited)

BlackRock Limited Duration Income Trust (BLW)
(Percentages shown are based on Net Assets)

    Par   
Asset-Backed Securities    (000)  Value 
ARES CLO Funds, Series 2005-     
10A, Class B, 0.68%,       
9/18/17 (a)(b)  USD  1,500  $ 1,230,000 
Advanta Business Card Master     
Trust, Series 2007-A5, Class A5,     
0.75%, 8/20/13 (a)    290  290,124 
Carrington Mortgage Loan Trust,     
Series 2007-RFC1, Class A1,     
0.30%, 12/25/36 (a)    497  449,492 
Countrywide Asset-Backed       
Certificates Class 2A-1 (a):       
Series 2007-6, 0.35%,       
9/25/37    255  244,251 
Series 2007-10, 0.30%,       
6/25/47    2,741  2,651,975 
Ford Credit Floorplan Master       
Owner Trust, Series 2006-4,     
Class A, 0.50%, 6/15/13 (a)  4,015  4,001,132 
GSAA Trust, Series 2007-3, Class     
1A2, 0.42%, 3/25/47 (a)    3,608  1,793,470 
Golden Tree Loan Opportunities III,     
Ltd., Series 2007-3X, Class B,     
0.94%, 5/01/22    1,920  1,468,800 
LCM LP, Series 8A, Class C, 3.29%,     
1/14/21 (a)(b)    4,125  3,900,187 
SLC Student Loan Trust, Series     
2006-A, Class A4, 0.41%,       
1/15/19 (a)    1,920  1,830,107 
      17,859,538 
Interest Only Asset-Backed       
Securities — 0.3%       
Sterling Bank Trust, Series 2004-     
2, Class Note, 2.08%,       
3/30/30 (b)    14,203  940,928 
Sterling Coofs Trust, Series 1,       
2.36%, 4/15/29    12,395  832,804 
      1,773,732 
Total Asset-Backed Securities – 3.1%    19,633,270 
Common Stocks (c)    Shares   
Chemicals — 0.1%       
LyondellBasell Industries NV,       
Class B    11,642  339,946 

 

Common Stocks    Shares  Value 
Construction & Engineering —       
0.0%       
USI United Subcontractors       
Common    6,116  $ 125,370 
Hotels, Restaurants & Leisure —       
0.0%       
BLB Worldwide Holdings, Inc. (c)    51,947  285,709 
Machinery — 0.0%       
Accuride Corp.    3,478  40,349 
Metals & Mining — 0.0%       
Euramax International    234  70,694 
Software — 0.2%       
Bankruptcy Management       
Solutions, Inc.    880  440 
HMH Holdings/EduMedia    238,664  1,193,320 
      1,193,760 
Specialty Retail — 0.0%       
Lazydays RV Center, Inc.    10,549  66,773 
Total Common Stocks – 0.3%      2,122,601 
    Par   
Corporate Bonds    (000)   
Aerospace & Defense — 0.3%       
Kratos Defense & Security       
Solutions, Inc., 10.00%,       
6/01/17  USD  1,620  1,808,325 
Airlines — 1.5%       
Air Canada, 9.25%, 8/01/15 (b)    2,000  2,090,000 
American Airlines, Inc., 10.50%,       
10/15/12    1,890  2,064,825 
Continental Airlines, Inc., 6.75%,       
9/15/15 (b)    1,350  1,388,813 
Delta Air Lines, Inc., Series B,       
9.75%, 12/17/16 (d)    1,372  1,492,207 
United Air Lines, Inc., 12.75%,       
7/15/12 (d)    2,478  2,781,555 
      9,817,400 
Auto Components — 0.0%       
Delphi International Holdings       
Unsecured, 12.00%, 10/06/14    65  66,874 
Beverages — 0.1%       
Crown European Holdings SA,       
7.13%, 8/15/18 (b)  EUR  585  776,441 

 

Portfolio Abbreviations

To simplify the listings of portfolio holdings in the Schedule of Investments, the names and descriptions of many of the securities have been abbreviated
according to the following list:

EUR  Euro  GO  General Obligation Bonds 
FKA  Formerly Known As  USD  US Dollar 
GBP  British Pound     

 

BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010

1



Schedule of Investments(continued)

BlackRock Limited Duration Income Trust (BLW)
(Percentages shown are based on Net Assets)

    Par   
Corporate Bonds    (000)  Value 
Building Products — 1.0%       
Associated Materials LLC, 9.13%,       
11/01/17 (b)  USD  1,180  $ 1,203,600 
Building Materials Corp. of       
America, 7.00%, 2/15/20 (b)(d)    1,875  1,931,250 
CPG International I, Inc., 10.50%,       
7/01/13    750  762,187 
Momentive Performance       
Materials, Inc., 9.00%,       
1/15/21 (b)    2,445  2,432,775 
      6,329,812 
Capital Markets — 0.8%       
E*Trade Financial Corp., 3.99%,       
8/31/19 (b)(e)(f)    249  355,136 
Goldman Sachs Group LP, 5.00%,       
10/01/14 (d)    3,000  3,234,153 
SteelRiver Transmission Co. LLC,       
4.71%, 6/30/17 (b)    1,330  1,345,287 
      4,934,576 
Chemicals — 0.8%       
American Pacific Corp., 9.00%,       
2/01/15    1,100  1,101,375 
CF Industries, Inc., 6.88%,       
5/01/18    2,080  2,282,800 
Hexion U.S. Finance Corp., 9.00%,       
11/15/20 (b)    875  868,438 
OXEA Finance/Cy SCA, 9.50%,       
7/15/17 (b)    545  586,556 
      4,839,169 
Commercial Banks — 2.8%       
CIT Group, Inc.:       
7.00%, 5/01/16    700  687,750 
7.00%, 5/01/17 (d)    8,185  7,980,375 
Regions Financial Corp.:       
6.38%, 5/15/12 (d)    4,590  4,452,300 
4.88%, 4/26/13    1,355  1,266,925 
Standard Chartered Plc, 3.85%,       
4/27/15 (b)(d)    3,100  3,216,476 
      17,603,826 
Commercial Services & Supplies —       
0.8%       
ACCO Brands Corp., 10.63%,       
3/15/15    1,425  1,585,312 
Brickman Group Holdings, Inc.,       
9.13%, 11/01/18 (b)    725  734,063 
Mobile Mini, Inc., 7.88%,       
12/01/20 (b)    540  552,825 
West Corp. (b):       
8.63%, 10/01/18    1,185  1,232,400 
7.88%, 1/15/19    910  898,625 
      5,003,225 
Consumer Finance — 1.9%       
Capital One Multi-Asset Execution       
Trust, Series 4-3C, 6.63%,       
4/19/17 (a)  GBP  2,650  4,293,449 
Ford Motor Credit Co. LLC:       
7.38%, 2/01/11 (d)  USD  2,800  2,824,341 
3.04%, 1/13/12 (a)    565  565,000 
7.80%, 6/01/12 (d)    1,665  1,765,098 

 

    Par   
Corporate Bonds    (000)  Value 
Consumer Finance (concluded)       
Ford Motor Credit Co. LLC (concluded):     
6.63%, 8/15/17  USD  1,300  $ 1,339,937 
Hyundai Capital America, 3.75%,       
4/06/16 (b)    1,285  1,284,159 
      12,071,984 
Containers & Packaging — 1.9%       
Ardagh Packaging Finance Plc,       
7.38%, 10/15/17 (b)  EUR  695  888,608 
Ball Corp., 6.75%, 9/15/20  USD  880  937,200 
Berry Plastics Corp.:       
8.25%, 11/15/15    2,400  2,496,000 
9.75%, 1/15/21 (b)    1,650  1,579,875 
Impress Holdings BV, 3.41%,       
9/15/13 (a)(b)    1,255  1,245,588 
Pregis Corp., 12.38%, 10/15/13    2,020  2,009,900 
Smurfit Kappa Acquisitions (b):       
7.25%, 11/15/17  EUR  1,215  1,592,894 
7.75%, 11/15/19    1,155  1,540,470 
      12,290,535 
Diversified Financial Services —       
3.8%       
Ally Financial Inc.:       
8.30%, 2/12/15  USD  3,150  3,315,375 
7.50%, 9/15/20 (b)(d)    4,270  4,184,600 
Bank of America Corp., 4.50%,       
4/01/15 (d)    3,000  3,076,086 
Citigroup, Inc., 4.75%, 5/19/15 (d)    3,000  3,130,116 
JPMorgan Chase & Co., 3.40%,       
6/24/15 (d)    6,000  6,133,440 
Reynolds Group DL Escrow, Inc.,       
7.75%, 10/15/16 (b)(d)    2,610  2,720,925 
Reynolds Group Issuer, Inc.,       
7.13%, 4/15/19 (b)    1,800  1,831,500 
      24,392,042 
Diversified Telecommunication       
Services — 2.3%       
ITC Deltacom, Inc., 10.50%,       
4/01/16    1,690  1,812,525 
Nordic Telephone Co. Holdings       
ApS, 8.88%, 5/01/16 (b)    580  617,700 
Qwest Communications International,     
Inc. (d):       
7.50%, 2/15/14    610  616,100 
8.00%, 10/01/15    2,500  2,656,250 
Series B, 7.50%, 2/15/14    2,985  3,014,850 
Qwest Corp., 8.38%, 5/01/16    2,590  3,108,000 
TW Telecom Holdings, Inc., 8.00%,       
3/01/18    630  664,650 
Wind Acquisition Finance SA,       
12.00%, 12/01/15 (b)    900  950,625 
Windstream Corp.:       
8.13%, 8/01/13    590  644,575 
8.63%, 8/01/16    450  466,875 
      14,552,150 
Electric Utilities — 0.0%       
Elwood Energy LLC, 8.16%,       
7/05/26    126  121,647 

 

2 BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010



Schedule of Investments(continued)

BlackRock Limited Duration Income Trust (BLW)
(Percentages shown are based on Net Assets)

    Par   
Corporate Bonds    (000)  Value 
Electronic Equipment, Instruments     
& Components — 1.2%       
Agilent Technologies, Inc., 4.45%,     
9/14/12 (d)  USD  7,325  $ 7,680,870 
Energy Equipment & Services —     
0.3%       
Compagnie Generale de Geophysique-     
Veritas:       
7.50%, 5/15/15    195  199,875 
Compagnie Generale de Geophysique-     
Veritas (concluded):       
7.75%, 5/15/17    330  346,500 
Frac Tech Services LLC, 7.13%,     
11/15/18 (b)    1,270  1,260,475 
      1,806,850 
Food & Staples Retailing — 0.1%     
Rite Aid Corp., 8.00%, 8/15/20 (b)  620  638,600 
Food Products — 0.4%       
Bumble Bee Foods LLC, 7.75%,     
12/15/15    936  1,067,040 
Smithfield Foods, Inc., 10.00%,     
7/15/14 (b)    1,280  1,446,400 
      2,513,440 
Gas Utilities — 0.3%       
Florida Gas Transmission Co. LLC,     
4.00%, 7/15/15 (b)(d)    2,000  2,093,492 
Health Care Equipment &       
Supplies — 0.5%       
DJO Finance LLC, 10.88%,       
11/15/14 (d)    2,780  3,030,200 
Health Care Providers &       
Services — 1.6%       
American Renal Holdings, 8.38%,     
5/15/18 (b)    330  341,550 
HCA, Inc., 7.25%, 9/15/20    1,115  1,169,356 
Tenet Healthcare Corp.:       
9.00%, 5/01/15    812  870,870 
10.00%, 5/01/18 (d)    6,682  7,467,135 
      9,848,911 
Health Care Technology — 0.8%     
IMS Health, Inc., 12.50%,       
3/01/18 (b)    4,300  5,009,500 
Hotels, Restaurants & Leisure —     
0.3%       
Dunkin Finance Corp., 9.63%,       
12/01/18 (b)    520  523,250 
MGM Resorts International,       
10.38%, 5/15/14    1,135  1,259,850 
Tropicana Entertainment LLC,       
Series WI, 9.63%,       
12/15/14 (c)(g)    375  900 
      1,784,000 
Household Durables — 1.1%       
Beazer Homes USA, Inc., 12.00%,     
10/15/17 (d)    3,800  4,351,000 

 

    Par   
Corporate Bonds    (000)  Value 
Household Durables (concluded)     
Berkline/BenchCraft, LLC, 4.50%,     
11/03/12 (b)(c)(g)  USD  200  $ — 
K. Hovnanian Enterprises, Inc.,     
10.63%, 10/15/16    2,500  2,528,125 
      6,879,125 
IT Services — 0.6%       
First Data Corp., 10.55%,       
9/24/15 (h)    1,950  1,647,047 
iPayment, Inc., 9.75%, 5/15/14  950  878,750 
iPayment Investors LP, 12.75%,     
7/15/14 (b)(h)    1,422  1,223,297 
      3,749,094 
Independent Power Producers &     
Energy Traders — 3.3%       
Calpine Construction Finance Co.     
LP, 8.00%, 6/01/16 (b)(d)    5,225  5,499,313 
Calpine Corp., 7.50%, 2/15/21 (b)  1,360  1,336,200 
Energy Future Holdings Corp.,       
10.00%, 1/15/20 (b)(d)    3,870  3,959,606 
Energy Future Intermediate       
Holding Co. LLC, 10.00%,       
12/01/20    525  538,468 
NRG Energy, Inc. (d):       
7.25%, 2/01/14    4,695  4,788,900 
7.38%, 2/01/16    4,570  4,592,850 
      20,715,337 
Industrial Conglomerates — 1.5%     
Sequa Corp. (b):       
11.75%, 12/01/15    2,950  3,149,125 
13.50%, 12/01/15 (h)    5,870  6,368,949 
      9,518,074 
Machinery — 0.6%       
AGY Holding Corp., 11.00%,       
11/15/14    1,500  1,351,875 
Navistar International Corp.,       
8.25%, 11/01/21    2,400  2,574,000 
Synventive Molding Solutions, Sub-     
Series A, 14.00%, 1/14/11 (h)  824  16,485 
      3,942,360 
Media — 4.8%       
CCH II LLC, 13.50%, 11/30/16  2,306  2,712,477 
CCO Holdings LLC, 7.88%,       
4/30/18 (b)    2,925  3,027,375 
CMP Susquehanna Corp., 3.44%,     
5/15/14 (a)(b)    194  3,880 
Checkout Holding Corp., 10.70%,     
11/15/15 (b)(f)    2,050  1,240,250 
Clear Channel Worldwide Holdings, Inc.:     
9.25%, 12/15/17    933  988,980 
Series B, 9.25%, 12/15/17     
(d)    4,732  5,051,410 
DISH DBS Corp.:       
7.00%, 10/01/13    1,450  1,544,250 
7.13%, 2/01/16    200  205,500 
Interactive Data Corp., 10.25%,     
8/01/18 (b)    2,460  2,656,800 
Nielsen Finance LLC, 7.75%,       
10/15/18 (b)    1,400  1,424,500 

 

BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010

3



Schedule of Investments(continued)

BlackRock Limited Duration Income Trust (BLW)
(Percentages shown are based on Net Assets)

    Par   
Corporate Bonds    (000)  Value 
Media (concluded)       
ProtoStar I Ltd., 18.00%,       
10/15/12 (b)(c)(h)  USD  3,454  $ 34,541 
Rainbow National Services LLC (b):       
8.75%, 9/01/12    925  928,469 
10.38%, 9/01/14 (d)    3,134  3,255,443 
TL Acquisitions, Inc., 10.50%,       
1/15/15 (b)    1,450  1,450,000 
UPC Germany GmbH, 8.13%,       
12/01/17 (b)(d)    4,500  4,680,000 
Virgin Media Secured Finance Plc,       
6.50%, 1/15/18    1,000  1,056,250 
      30,260,125 
Metals & Mining — 0.8%       
Arch Western Finance LLC, 6.75%,       
7/01/13    933  943,496 
FMG Resources August 2006 Pty       
Ltd., 7.00%, 11/01/15 (b)    2,965  3,002,063 
New World Resources NV, 7.38%,       
5/15/15  EUR  995  1,275,409 
      5,220,968 
Multiline Retail — 0.4%       
Dollar General Corp., 11.88%,       
7/15/17 (d)(h)  USD  2,458  2,851,280 
Oil, Gas & Consumable       
Fuels — 3.5%       
BP Capital Markets Plc, 5.25%,       
11/07/13 (d)    6,000  6,522,924 
Berry Petroleum Co., 8.25%,       
11/01/16    550  570,625 
Chesapeake Energy Corp.:       
6.50%, 8/15/17    1,315  1,324,862 
7.25%, 12/15/18    1,185  1,244,250 
Coffeyville Resources LLC, 9.00%,       
4/01/15 (b)    705  750,825 
Consol Energy, Inc., 8.25%,       
4/01/20 (b)    1,500  1,623,750 
Crosstex Energy LP, 8.88%,       
2/15/18    135  140,738 
Denbury Resources, Inc., 8.25%,       
2/15/20    971  1,058,390 
El Paso Corp., 7.00%, 6/15/17 (d)    2,265  2,386,499 
Energy Transfer Equity LP, 7.50%,       
10/15/20    1,505  1,557,675 
Linn Energy LLC (b):       
8.63%, 4/15/20    1,000  1,060,000 
7.75%, 2/01/21    1,170  1,187,550 
Niska Gas Storage US LLC, 8.88%,       
3/15/18 (b)    950  997,500 
Overseas Shipholding Group, Inc.,       
8.75%, 12/01/13    1,190  1,276,275 
Petrohawk Energy Corp., 7.25%,       
8/15/18    690  688,275 
      22,390,138 
Paper & Forest Products — 0.6%       
NewPage Corp., 11.38%,       
12/31/14    3,950  3,574,750 

 

    Par   
Corporate Bonds    (000)  Value 
Pharmaceuticals — 0.2%       
Valeant Pharmaceuticals       
International (b):       
6.75%, 10/01/17  USD  450  $ 444,375 
7.00%, 10/01/20    575  560,625 
      1,005,000 
Professional Services — 0.2%       
FTI Consulting, Inc.:       
7.75%, 10/01/16    350  358,750 
6.75%, 10/01/20 (b)    810  818,100 
      1,176,850 
Real Estate Investment Trusts       
(REITs) — 0.1%       
Omega Healthcare Investors, Inc.,       
6.75%, 10/15/22 (b)    635  633,413 
Real Estate Management &       
Development — 0.5%       
The Unique Pub Finance Co. Plc,       
Series M, 7.40%, 3/28/24  GBP  2,750  3,229,507 
Road & Rail — 0.6%       
Asciano Finance Ltd., 3.13%,       
9/23/15 (b)(d)  USD  3,400  3,364,263 
The Hertz Corp., 7.50%,       
10/15/18 (b)    735  742,350 
      4,106,613 
Semiconductors & Semiconductor       
Equipment — 0.5%       
National Semiconductor Corp.,       
6.15%, 6/15/12 (d)    3,000  3,207,894 
Specialty Retail — 0.1%       
Sonic Automotive, Inc., Series B,       
8.63%, 8/15/13    583  591,016 
Textiles, Apparel & Luxury       
Goods — 0.1%       
Phillips-Van Heusen Corp., 7.38%,       
5/15/20    840  900,900 
Tobacco — 0.5%       
Reynolds American, Inc., 7.63%,       
6/01/16 (d)    2,500  2,971,398 
Wireless Telecommunication       
Services — 1.3%       
Cricket Communications, Inc.:       
10.00%, 7/15/15    160  168,800 
7.75%, 5/15/16 (d)    2,250  2,300,625 
Digicel Group Ltd. (b):       
8.88%, 1/15/15    720  727,200 
9.13%, 1/15/15 (h)    2,267  2,289,670 
8.25%, 9/01/17    600  630,000 
Nextel Communications, Inc.,       
Series E, 6.88%, 10/31/13    1,175  1,173,531 
Sprint Capital Corp., 8.38%,       
3/15/12    925  973,563 
      8,263,389 
Total Corporate Bonds – 44.8%      284,201,100 

 

4 BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010



Schedule of Investments(continued)

BlackRock Limited Duration Income Trust (BLW)
(Percentages shown are based on Net Assets)

    Par   
Floating Rate Loan Interests (a)    (000)  Value 
Aerospace & Defense — 0.4%       
Hawker Beechcraft Acquisition Co., LLC:     
Letter of Credit Linked       
Deposit, 2.29%, 3/26/14  USD  184  $ 155,787 
Term Loan, 2.26% - 2.29%,       
3/26/14    3,072  2,605,796 
      2,761,583 
Auto Components — 0.9%       
Allison Transmission, Inc., Term       
Loan, 3.01% - 3.05%, 8/07/14    3,842  3,707,855 
Dayco Products LLC (Mark IV Industries,     
Inc.):       
Facility B U.S. Term Loan,       
10.50%, 5/13/14    311  309,922 
Facility C U.S. Term Loan,       
12.50%, 11/13/14 (h)    49  48,045 
Global Autocare, Term Loan B,       
6.00%, 11/02/16    1,400  1,400,875 
      5,466,697 
Automobiles — 0.5%       
Ford Motor Co.:       
Tranche B-1 Term Loan,       
3.01% - 3.05%, 12/15/13    2,512  2,485,182 
Tranche B-2 Term Loan,       
3.01% - 3.05%, 12/15/13    510  504,273 
      2,989,455 
Beverages — 0.1%       
Le-Nature's, Inc., Tranche B Term       
Loan, 9.50%, 3/01/11 (c)(g)    1,000  377,500 
Building Products — 1.4%       
Goodman Global, Inc.:       
Term Loan B, 5.75%,       
10/13/16    4,750  4,781,350 
Term Loan (Second Lien),       
9.00%, 10/13/17    1,800  1,840,950 
Momentive Performance Materials       
(Blitz 06-103 GmbH), Tranche       
B-2 Term Loan, 3.05%,       
12/04/13  EUR  1,536  1,881,375 
United Subcontractors, Inc., Term       
Loan (First Lien), 1.79%,       
6/30/15 (h)  USD  143  123,268 
      8,626,943 
Capital Markets — 0.3%       
Marsico Parent Co., LLC, Term       
Loan, 5.31%, 12/15/14    376  278,804 
Nuveen Investments, Inc., Term       
Loan (First Lien), 3.29%,       
11/13/14    1,834  1,708,940 
      1,987,744 
Chemicals — 3.0%       
Arizona Chemical, Term Loan B,       
6.75%, 11/18/16    1,300  1,307,313 
Brenntag Holding GmbH & Co. KG:       
Facility 3A (Second Lien),       
7.19%, 7/17/15  EUR  115  148,793 
Facility 3B (Second Lien),       
7.19%, 7/17/15    16  20,762 

 

    Par   
Floating Rate Loan Interests (a)    (000)  Value 
Chemicals (concluded)       
Brenntag Holding GmbH & Co. KG       
(concluded):       
Facility B-2 (Second Lien),       
6.45%, 7/17/15  USD  500  $ 501,250 
Facility B6A and B6B, 4.72%,       
1/20/14    181  233,570 
Term Loan B, 4.72%, 1/20/14    233  301,695 
CF Industries, Inc., Term Loan B-1,       
4.50%, 4/05/15    973  975,984 
Chemtura Corp., Exit Term Loan,       
5.50%, 8/16/16    1,300  1,307,583 
Gentek Holding, LLC, Term Loan B,       
6.75%, 9/30/15    2,000  2,025,000 
Huish Detergents, Inc., Tranche B       
Term Loan, 2.01%, 4/26/14    1,222  1,164,787 
Ineos Group Plc, US Finance LLC,       
Senior Credit Facility Term Loan       
A2, 7.00%, 12/17/12    61  62,562 
MacDermid, Inc., Tranche C Term       
Loan, 3.01%, 12/15/13  EUR  496  594,791 
PQ Corp. (FKA Niagara Acquisition,       
Inc.), Term Loan (First Lien),       
3.51% - 3.54%, 7/30/14  USD  2,996  2,848,081 
Rockwood Specialties Group, Inc.,       
Term Loan H, 6.00%, 5/15/14    1,621  1,625,541 
Solutia, Inc., Term Loan, 4.50%,       
3/17/17    1,617  1,622,381 
Styron Sarl, Term Loan, 7.50%,       
6/17/16    1,876  1,899,703 
Tronox Worldwide LLC, Exit Term       
Loan, 7.00%, 12/24/15    2,450  2,460,216 
      19,100,012 
Commercial Banks — 0.3%       
CIT Group, Inc., Tranche 3 Term       
Loan, 6.25%, 8/11/15    1,900  1,929,055 
Commercial Services & Supplies —       
2.7%       
AWAS Finance Luxembourg Sarl,       
Term Loan, 7.75%, 6/10/16    2,650  2,698,582 
Altegrity, Inc., Incremental Term       
Loan, 7.75%, 2/21/15    3,990  3,999,975 
Casella Waste Systems, Inc., Term       
Loan B, 7.00%, 4/09/14    627  630,982 
Delos Aircraft, Inc., Term Loan 2,       
7.00%, 3/17/16    1,454  1,475,914 
International Lease Finance Corp.,       
Term Loan 1, 6.75%, 3/17/15    3,040  3,079,475 
Quad Graphics, Inc., Term Loan,       
5.50%, 4/20/16    1,372  1,341,274 
Synagro Technologies, Inc., Term       
Loan (First Lien), 2.26%,       
4/02/14    1,284  1,131,824 
Volume Services America, Inc.       
(Centerplate), Term Loan B,       
10.75%, 8/24/16    2,600  2,593,500 
      16,951,526 
Communications Equipment —       
0.3%       
Avaya, Inc., Term Loan B, 3.04%,       
10/24/14    2,220  2,013,957 

 

BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010

5



Schedule of Investments(continued)

BlackRock Limited Duration Income Trust (BLW)
(Percentages shown are based on Net Assets)

    Par   
Floating Rate Loan Interests (a)  (000)  Value 
Construction & Engineering —       
0.6%       
Safway Services, LLC, First Out     
Tranche Loan, 9.00%,       
12/18/17  USD  3,750  $ 3,750,000 
Construction Materials — 0.2%     
Fairmount Minerals Ltd., Term       
Loan B, 6.25% - 6.75%,       
8/05/16    975  987,594 
Consumer Finance — 1.1%       
AGFS Funding Co., Term Loan,       
7.25%, 4/21/15    6,750  6,799,572 
Containers & Packaging — 0.2%     
Graham Packaging Co., LP, Term     
Loan D, 6.00%, 9/16/16    1,500  1,512,188 
Diversified Consumer Services —     
1.8%       
Coinmach Service Corp., Term       
Loan, 3.28%, 11/14/14    4,631  4,037,612 
Laureate Education, Series A New     
Term Loan, 7.00%, 8/15/14  4,634  4,608,029 
ServiceMaster Co.:       
Closing Date Term Loan,       
2.76% - 2.80%, 7/24/14    2,532  2,392,985 
Delayed Draw Term Loan,       
2.76%, 7/24/14    252  238,305 
      11,276,931 
Diversified Financial Services —     
1.0%       
Professional Service Industries,     
Inc., Term Loan (First Lien),       
3.01%, 10/31/12    442  353,466 
Reynolds Group Holdings, Inc.:     
Incremental US Term Loan,     
6.25%, 5/05/16    4,273  4,298,050 
Term Loan D, 6.50%, 5/01/16  1,100  1,107,334 
US Term Loan, 6.75%,       
5/05/16    836  842,262 
      6,601,112 
Diversified Telecommunication     
Services — 0.6%       
Hawaiian Telcom       
Communications, Inc., Term       
Loan, 9.00%, 10/28/15    1,442  1,449,942 
Level 3 Communications,       
Incremental Term Loan, 2.54%,     
3/13/14    2,750  2,553,570 
      4,003,512 
Electric Utilities — 0.8%       
New Development Holdings LLC,     
Term Loan, 7.00%, 7/03/17  4,489  4,560,031 
TPF Generation Holdings, LLC:       
Synthetic Letter of Credit       
Deposit (First Lien), 2.29%,     
12/15/13    151  145,500 
Synthetic Revolving Deposit,     
2.29%, 12/15/11    47  45,611 

 

    Par   
Floating Rate Loan Interests (a)  (000)  Value 
Electric Utilities (concluded)       
TPF Generation Holdings, LLC       
(concluded):       
Term Loan (First Lien), 2.29%,     
12/15/13  USD  366  $ 354,204 
      5,105,346 
Electronic Equipment, Instruments     
& Components — 1.1%       
CDW LLC (FKA CDW Corp.), Term     
Loan, 4.25%, 10/10/14    3,131  3,014,791 
Deutsche Group SAS (FKA Matinvest 2     
SAS)/Butterfly Wendel US, Inc.     
(Deutsche Connector):       
Facility B-2, 3.54%, 6/22/14  33  29,954 
Facility B-2, 3.29%, 6/22/14  445  401,388 
Deutsche Group SAS (FKA Matinvest 2     
SAS)/Butterfly Wendel US, Inc. :     
Facility C-2, 4.04%, 6/22/15  110  99,172 
Facility C-2, 4.04%, 6/22/15  719  649,197 
Flextronics International Ltd.:       
Closing Date Loan A, 2.50%,     
10/01/14    1,181  1,160,172 
Closing Date Loan B, 2.50%,     
10/01/12    1,876  1,856,366 
      7,211,040 
Energy Equipment & Services —     
0.4%       
MEG Energy Corp., Tranche D Term     
Loan, 6.00%, 4/03/16    2,705  2,707,428 
Food & Staples Retailing — 0.8%     
Pilot Travel Centers LLC, Initial     
Tranche B Term Loan, 5.25%,     
6/30/16    3,012  3,045,810 
U.S. Foodservice, Inc., Term Loan     
B, 2.75% - 2.76%, 7/03/14    2,079  1,882,468 
      4,928,278 
Food Products — 1.5%       
Advance Pierre Foods, Term Loan     
(Second Lien):       
7.00% - 7.50%, 9/29/16    4,100  4,062,415 
11.25%, 9/29/17    1,300  1,309,750 
Dole Food Co., Inc., Tranche B-1     
Term Loan, 5.00% - 5.50%,       
3/02/17    127  127,426 
Pilgrim's Pride Corp., Term Loan A,     
5.29%, 12/01/12    2,035  1,973,950 
Pinnacle Foods Finance LLC,       
Tranche D Term Loan, 6.00%,     
4/02/14    1,436  1,452,141 
Solvest Ltd. (Dole), Tranche C-1     
Term Loan, 5.00% - 5.50%,       
3/02/17    311  311,722 
      9,237,404 
Health Care Providers &       
Services — 3.3%       
Ardent Medical Services, Inc.,       
Term Loan, 6.50%, 9/15/15  1  1,313 
CHS/Community Health Systems, Inc.:     
Delayed Draw Term Loan,       
2.54%, 7/25/14    260  253,780 

 

6 BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010



Schedule of Investments(continued)

BlackRock Limited Duration Income Trust (BLW)
(Percentages shown are based on Net Assets)

    Par   
Floating Rate Loan Interests (a)  (000)  Value 
Health Care Providers &       
Services (concluded)       
CHS/Community Health Systems, Inc.     
(concluded)       
Term Loan Facility, 2.51% -     
3.79%, 7/25/14  USD  5,059  $ 5,007,591 
DaVita, Inc., Term Loan B, 4.50%,     
10/20/16    2,000  2,005,000 
HCA, Inc.:       
Tranche A-1 Term Loan,       
1.54%, 11/16/12    2,361  2,308,417 
Tranche B-1 Term Loan,       
2.54%, 11/18/13    340  332,775 
Harden Healthcare, LLC:       
Add-on Term Loan, 7.00%,     
3/02/15    4,095  4,013,100 
Tranche A Term Loan, 8.50%,     
2/22/15    673  659,651 
inVentiv Health, Inc. (FKA Ventive     
Health, Inc.), Term Loan B,       
6.50%, 7/31/16    3,288  3,304,063 
Renal Advantage Holdings, Inc.,     
Tranche B Term Loan, 6.00%,     
6/03/16    1,397  1,398,246 
Vanguard Health Holding Co. II,     
LLC (Vanguard Health Systems,     
Inc.), Initial Term Loan, 5.00%,     
1/29/16    1,427  1,431,680 
      20,715,616 
Health Care Technology — 0.7%     
IMS Health, Inc., Tranche B Dollar     
Term Loan, 5.25%, 2/26/16  2,606  2,628,520 
MedAssets, Inc., Term Loan B,       
5.25%, 11/15/16    1,700  1,707,438 
      4,335,958 
Hotels, Restaurants & Leisure —     
5.1%       
Blackstone UTP Capital LLC, Loan,     
7.75%, 11/06/14    3,722  3,759,094 
Dunkin' Finance Corp., Term Loan     
B, 5.75%, 11/09/17    2,600  2,623,910 
Harrah's Operating Co., Inc.:       
Term Loan B-1, 3.29%,       
1/28/15    449  391,392 
Term Loan B-3, 3.29%,       
1/28/15    5,683  4,959,500 
Term Loan B-4, 9.50%,       
10/31/16    1,241  1,281,100 
OSI Restaurant Partners, LLC, Pre-     
Funded RC Loan, 0.11% -       
2.63%, 6/14/13    32  30,141 
SW Acquisitions Co., Inc., Term     
Loan, 5.75%, 6/01/16    3,798  3,819,105 
Six Flags Theme Parks, Inc.,       
Tranche B Term Loan (First       
Lien), 6.00%, 6/30/16    4,838  4,858,174 
Travelport LLC (FKA Travelport,     
Inc.), Loan, 8.28%, 3/27/12 (h)  5,133  4,761,295 
Twin River, Senior Secured Term     
Loan, 8.50%, 11/05/15    1,676  1,654,742 

 

    Par   
Floating Rate Loan Interests (a)    (000)  Value 
Hotels, Restaurants & Leisure       
(concluded)       
VML US Finance LLC (FKA Venetian     
Macau):       
New Project Term Loan,       
4.80%, 5/27/13  USD  1,580  $ 1,579,909 
Term B Delayed Draw Project       
Loan, 4.80%, 5/25/12    1,558  1,557,555 
Term B Funded Project Loan,       
4.80%, 5/27/13    1,118  1,117,292 
      32,393,209 
Household Durables — 0.2%       
Berkline/Benchcraft, LLC, Term       
Loan, 14.00%, 11/03/11 (c)(g)    130  6,498 
Visant Corp. (FKA Jostens), Term       
Loan B, 7.00%, 12/20/16    1,400  1,411,375 
      1,417,873 
IT Services — 2.7%       
Amadeus IT Group SA/Amadeus       
Verwaltungs GmbH:       
Term B3 Facility, 4.35%,       
6/30/13  EUR  307  387,588 
Term B4 Facility, 4.35%,       
6/30/13    119  149,982 
Term C3 Facility, 4.85%,       
6/30/14    307  387,588 
Term C4 Facility, 4.85%,       
6/30/14    118  148,015 
Ceridian Corp., US Term Loan,       
3.25% - 3.27%, 11/09/14  USD  1,628  1,532,736 
EVERTEC, Inc., Term Loan B,       
7.00% - 7.50%, 8/20/16    1,225  1,218,875 
First Data Corp.:       
Initial Tranche B-1 Term Loan,       
3.00%, 9/24/14    3,597  3,236,948 
Initial Tranche B-3 Term Loan,       
3.00%, 9/24/14    1,202  1,084,085 
SunGard Data Systems, Inc. (Solar       
Capital Corp.), Incremental Term       
Loan, 6.75%, 2/28/14    1,431  1,432,429 
TransUnion Corp., Term Loan B,       
6.75%, 6/15/17    5,985  6,046,346 
Travelex Plc:       
Term Loan B, 2.95%,       
10/31/13    712  680,447 
Term Loan C, 3.45%,       
10/31/14    712  680,447 
      16,985,486 
Independent Power Producers &       
Energy Traders — 0.4%       
Texas Competitive Electric Holdings Co.,     
LLC (TXU):       
Initial Tranche B-2 Term Loan,       
3.75% - 3.79%, 10/10/14    267  205,954 
Initial Tranche B-3 Term Loan,       
3.75% - 3.79%, 10/10/14    2,698  2,076,333 
      2,282,287 

 

BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010

7



Schedule of Investments(continued)

BlackRock Limited Duration Income Trust (BLW)
(Percentages shown are based on Net Assets)

    Par   
Floating Rate Loan Interests (a)    (000)  Value 
Industrial Conglomerates — 0.7%       
Sequa Corp., Term Loan, 3.54% -       
3.55%, 12/03/14  USD  2,324  $ 2,204,227 
Tomkins Plc, Term Loan B, 6.25%,       
9/16/16    2,400  2,426,251 
      4,630,478 
Media — 7.2%       
Affinion Group, Inc., Tranche B       
Term Loan, 5.00%, 10/09/16    1,493  1,481,929 
Cengage Learning Acquisitions, Inc.     
(Thomson Learning):       
Term Loan, 2.54%, 7/03/14    2,000  1,843,250 
Tranche 1 Incremental Term       
Loan, 7.50%, 7/03/14    2,063  2,067,736 
Charter Communications Operating,     
LLC:       
Term Loan B-1, 7.25%,       
3/06/14    2,043  2,118,321 
Term Loan C, 3.54%, 9/06/16    5,288  5,171,244 
FoxCo Acquisition Sub, LLC, Term       
Loan, 7.50%, 7/14/15    1,835  1,808,742 
Getty Images, Inc., Term Loan B,       
5.25%, 10/29/16    3,000  3,023,250 
HIT Entertainment, Inc., Term Loan       
(Second Lien), 5.79%, 2/26/13    400  305,333 
HMH Publishing Co., Ltd., Tranche       
A Term Loan, 5.75%,       
6/12/14 (h)    3,254  3,005,876 
Hanley-Wood, LLC, Term Loan,       
2.56%, 3/10/14    2,693  1,190,256 
Interactive Data Corp., Term Loan,       
6.75%, 1/29/17    1,546  1,566,727 
Lavena Holding 3 GmbH       
(Prosiebensat.1 Media AG):       
Facility B-1, 3.52%, 6/30/15  EUR  337  351,616 
Facility C-1, 3.77%, 6/30/16    337  351,616 
Facility D, 4.89%, 12/28/16    904  873,728 
MCNA Cable Holdings LLC       
(OneLink Communications),       
Loan, 7.00%, 3/01/13 (h)  USD  2,074  1,846,077 
Mediacom Illinois, LLC (FKA       
Mediacom Communications,       
LLC), Tranche D Term Loan,       
5.50%, 3/31/17    990  980,100 
Newsday, LLC, Fixed Rate Term       
Loan, 10.50%, 8/01/13    4,505  4,775,300 
Penton Media, Inc., Term Loan       
(First Lien), 5.00%, 8/01/14 (h)    3  2,092 
Springer Science+Business Media       
SA, Facility A1, 6.75%, 7/01/16 EUR  1,300  1,676,910 
Sunshine Acquisition Ltd. (FKA HIT       
Entertainment), Term Facility,       
5.54%, 6/01/12  USD  1,997  1,931,725 
TWCC Holdings Corp.,       
Replacement Term Loans,       
5.00%, 9/14/15    1,978  1,986,862 
Telecommunications Management,     
LLC:       
Multi-Draw Term Loan, 3.26%,       
6/30/13    229  206,471 
Term Loan, 3.26%, 6/30/13    910  818,663 
UPC Financing Partnership, Facility       
U, 4.85%, 12/31/17  EUR  1,838  2,232,358 

 

    Par   
Floating Rate Loan Interests (a)    (000)  Value 
Media (concluded)       
Univision Communications, Inc.,       
Exit Term Loan, 4.51%, 3/31/17           EUR  2,050  $ 1,909,329 
Virgin Media Investment Holdings       
Ltd., Facility B, 4.77%,       
12/31/15  GBP  750  1,153,675 
Yell Group Plc/Yell Finance (UK)       
Ltd., Facility A3, 2.76%,       
8/09/11  USD  758  734,917 
      45,414,103 
Multi-Utilities — 0.1%       
FirstLight Power Resources, Inc. (FKA     
NE Energy, Inc.):       
Synthetic Letter of Credit,       
2.81%, 11/01/13    13  12,917 
Term B Advance (First Lien),       
2.81%, 11/01/13    732  702,783 
Mach Gen, LLC, Synthetic Letter of       
Credit Loan (First Lien), 2.25%,       
2/22/13    69  63,811 
      779,511 
Multiline Retail — 0.8%       
Hema Holding BV:       
Facility B, 2.85%, 7/06/15  EUR  344  428,089 
Facility C, 3.60%, 7/05/16    344  428,089 
Facility D, 5.85%, 1/01/17    2,600  3,239,918 
The Neiman Marcus Group, Inc.,       
Term Loan B, 4.29%, 4/06/16  USD  805  788,773 
      4,884,869 
Oil, Gas & Consumable Fuels —       
1.6%       
Big West Oil, LLC, Term Loan,       
12.00%, 7/23/15    1,781  1,814,649 
Obsidian Natural Gas Trust, Term       
Loan, 7.00%, 11/30/15    5,807  5,923,140 
Turbo Beta Ltd., Dollar Facility,       
14.50%, 3/15/18 (h)    3,166  2,216,110 
      9,953,899 
Paper & Forest Products — 0.4%       
Georgia-Pacific LLC, Term Loan B,       
2.29%, 12/23/12    2,196  2,191,283 
Verso Paper Finance Holdings LLC,       
PIK Loan, 6.54% - 7.29%,       
2/01/13 (h)    653  522,067 
      2,713,350 
Personal Products — 0.2%       
NBTY, Inc., Term Loan B, 6.25%,       
9/20/17    1,400  1,415,740 
Pharmaceuticals — 0.4%       
Warner Chilcott Co., LLC, Term       
Loan A, 6.00%, 10/30/14    575  574,671 
Warner Chilcott Corp.:       
Additional Term Loan, 6.25%,       
4/30/15    1,084  1,089,941 
Term Loan B-1, 6.25%,       
4/30/15    187  187,933 
Term Loan B-2, 6.25%,       
4/30/15    315  316,984 
Term Loan B-3, 6.50%,       
2/20/16    491  495,469 

 

8 BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010



Schedule of Investments(continued)

BlackRock Limited Duration Income Trust (BLW)
(Percentages shown are based on Net Assets)

    Par   
Floating Rate Loan Interests (a)  (000)  Value 
Pharmaceuticals (concluded)       
Warner Chilcott Corp. (concluded):     
Term Loan B-4, 6.50%,       
2/20/16  USD  164  $ 165,167 
      2,830,165 
Professional Services — 0.5%       
Booz Allen Hamilton, Inc., Tranche     
C Term Loan, 6.00%, 7/31/15  1,489  1,492,100 
Fifth Third Processing Solutions,     
LLC, Term Loan B, 5.50%,       
10/21/16    2,000  2,006,500 
      3,498,600 
Real Estate Investment Trusts       
(REITs) — 0.1%       
iStar Financial, Inc., Term Loan     
(Second Lien), 1.75%, 6/28/11  575  550,243 
Real Estate Management &       
Development — 1.7%       
Enclave, Term Loan (First Lien),     
6.14%, 3/01/12 (c)(g)    3,000   
Pivotal Promontory, LLC, Term       
Loan (Second Lien), 12.00%,     
8/31/11 (c)(g)    750   
Realogy Corp.:       
Delayed Draw Term Loan B,     
3.25% - 3.29%, 10/10/13  7,075  6,496,491 
Realogy Corp. (concluded) :       
Initial Term Loan B, 3.29%,     
10/10/13    1,993  1,830,135 
Synthetic Letter of Credit,       
3.26%, 10/10/13    272  249,464 
Term Facility (Second Lien),     
13.50%, 10/15/17    2,250  2,438,438 
      11,014,528 
Semiconductors & Semiconductor     
Equipment — 0.2%       
Freescale Semiconductor, Inc.,     
Extended Maturity Term Loan,     
4.50%, 12/01/16    1,067  1,002,564 
Software — 0.1%       
Bankruptcy Management       
Solutions, Inc., Term Loan B,     
7.50%, 8/20/14    720  365,379 
Specialty Retail — 1.3%       
Gymboree Corp., Term Loan B,     
11/09/17    1,700  1,706,679 
Michaels Stores, Inc.:       
Term Loan B-1, 2.56%,       
10/31/13    2,170  2,090,926 
Term Loan B-2, 4.81%,       
7/31/16    500  495,070 
Petco Animal Supplies, Inc., Term     
Loan B, 6.00%, 8/18/17    2,500  2,504,375 
Toys 'R' US, Inc., Term Loan B,       
6.00%, 8/17/16    1,641  1,650,557 
      8,447,607 

 

    Par   
Floating Rate Loan Interests (a)  (000)  Value 
Textiles, Apparel & Luxury Goods —     
0.2%       
Philips Van Huesen Corp., US       
Tranche B Term Loan, 4.75%,     
5/06/16  USD  1,457  $ 1,473,475 
Trading Companies &       
Distributors — 0.0%       
Beacon Sales Acquisition, Inc.,     
Term Loan B, 2.25% - 2.29%,     
9/30/13    125  118,238 
Wireless Telecommunication       
Services — 1.6%       
Cavtel Holdings, LLC, Term Loan,     
11.50%, 12/31/12 (h)    1,131  1,134,915 
Digicel International Finance Ltd.,     
US Term Loan (Non-Rollover),     
2.81%, 3/30/12    1,506  1,460,532 
Vodafone Americas Finance 2 Inc.,     
Initial Loan, 6.88%, 7/30/15  7,750  7,866,250 
      10,461,697 
Total Floating Rate Loan Interests –     
49.5%      314,009,752 
Foreign Agency Obligations       
Turkey Government International     
Bond, 7.00%, 9/26/16    5,093  5,948,624 
Total Foreign Agency Obligations – 0.9%    5,948,624 
Non-Agency Mortgage-Backed       
Securities       
Collateralized Mortgage       
Obligations — 6.1%       
321 Henderson Receivables I LLC,     
Series 2010-3A, Class A, 3.82%,     
12/15/48 (b)    5,089  5,088,265 
Adjustable Rate Mortgage Trust,     
Series 2007-1, Class 3A21,       
5.90%, 3/25/37 (a)    3,603  3,312,940 
Countrywide Alternative Loan       
Trust, Series 2005-54CB, Class     
3A4, 5.50%, 11/25/35    7,603  6,140,066 
Countrywide Home Loan Mortgage Pass-     
Through Trust:       
Series 2005-17, Class 1A6,     
5.50%, 9/25/35    3,816  3,476,855 
Series 2006-17, Class A2,     
6.00%, 12/25/36    5,085  4,433,281 
Series 2007-16, Class A1,     
6.50%, 10/25/37    2,609  2,450,794 
Series 2007-HY5, Class 3A1,     
5.98%, 9/25/37 (a)    3,945  3,325,501 
GSR Mortgage Loan Trust, Series     
2005-AR5, Class 2A3, 2.98%,     
10/25/35 (a)    2,924  2,352,470 

 

BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010

9



Schedule of Investments(continued)

BlackRock Limited Duration Income Trust (BLW)
(Percentages shown are based on Net Assets)

Non-Agency Mortgage-Backed    Par   
Securities (concluded)    (000)  Value 
Collateralized Mortgage       
Obligations (concluded)       
Morgan Stanley Reremic Trust,     
Series 2010-R4, Class 4A,       
0.49%, 2/26/37 (a)(b)  USD  4,000  $ 3,830,000 
WaMu Mortgage Pass-Through     
Certificates, Series 2006-AR14,     
Class 1A1, 5.50%, 11/25/36 (a)  1,858  1,710,891 
Wells Fargo Mortgage-Backed       
Securities Trust, Series 2005-     
AR2, Class 2A1, 2.85%,       
3/25/35 (a)    2,723  2,497,418 
      38,618,481 
Commercial Mortgage-Backed       
Securities — 8.9%       
Banc of America Commercial Mortgage,     
Inc. (a):       
Series 2007-2, Class A2,       
5.63%, 4/10/49    9,158  9,468,437 
Series 2007-3, Class A2,       
5.84%, 6/10/49    2,975  3,080,192 
Series 2007-4, Class A4,       
5.93%, 2/10/51    2,150  2,284,627 
Citigroup/Deutsche Bank       
Commercial Mortgage Trust,     
Series 2007-CD4, Class A2B,     
5.21%, 12/11/49    3,235  3,326,394 
Credit Suisse Mortgage Capital     
Certificates Class A2 (a):       
Series 2007-C2, 5.45%,       
1/15/49    1,835  1,875,754 
Series 2007-C3, 5.91%,       
6/15/39    4,138  4,256,111 
Extended Stay America Trust,       
Series 2010-ESHA, Class C,       
4.86%, 11/05/27 (b)    2,320  2,293,813 
Greenwich Capital Commercial     
Funding Corp., Series 2007-       
GG9, Class A4, 5.44%, 3/10/39  2,110  2,206,825 
JPMorgan Chase Commercial Mortgage     
Securities Corp., Class A4:       
Series 2007-CB18, 5.44%,     
6/12/47    2,110  2,217,184 
Series 2007-CB19, 5.74%,     
2/12/49 (a)    2,140  2,262,470 
LB-UBS Commercial Mortgage       
Trust, Series 2007-C6, Class A4,     
5.86%, 7/15/40 (a)    3,395  3,558,029 
Morgan Stanley Capital I, Series     
2007-IQ15, Class A2, 6.04%,     
6/11/49 (a)    2,007  2,088,223 
Wachovia Bank Commercial Mortgage     
Trust (a):       
Series 2007-C33, Class A2,     
6.05%, 2/15/51    15,000  15,544,288 

 

Non-Agency Mortgage-Backed    Par   
Securities (concluded)    (000)  Value 
Wachovia Bank Commercial Mortgage     
Trust (a) (concluded):       
Series 2007-C33, Class A4,     
6.10%, 2/15/51  USD  2,030  $ 2,123,843 
      56,586,190 
Total Non-Agency Mortgage-Backed     
Securities – 15.0%      95,204,671 
    Beneficial   
    Interest   
Other Interests (i)    (000)   
Auto Components — 1.2%       
Delphi Debtor-in-Possession       
Holding Co. LLP, Class B       
Membership Interests    —(j)  7,279,119 
Lear Corp. Escrow    1,000  22,750 
      7,301,869 
Diversified Financial Services —     
0.2%       
J.G. Wentworth LLC Preferred       
Equity Interests (k)    1  1,308,236 
Health Care Providers &       
Services — 0.0%       
Critical Care Systems       
International, Inc.    8  1,525 
Household Durables — 0.0%       
Berkline Benchcraft Equity LLC  3  --- 
Total Other Interests – 1.4%      8,611,630 
Preferred Stocks    Shares   
Media — 0.0%       
CMP Susquehanna Radio Holdings     
Corp. (b)(c)(l)    45,243  --- 
Specialty Retail — 0.1%       
Lazydays RV Center, Inc. (b)    224  330,329 
Total Preferred Stocks – 0.1%      330,329 
    Par   
Taxable Municipal Bonds    (000)   
State - 1.5%       
State of California, GO:       
5.10%, 8/01/14  USD  2,225  2,350,312 
Taxable, Various Purpose 3,     
Mandatory Put Bonds, 5.65%,     
4/01/39 (a)    625  665,569 
Various Purpose 3, 5.25%,     
4/01/14    1,075  1,138,909 

 

10 BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010



Schedule of Investments(continued)

BlackRock Limited Duration Income Trust (BLW)
(Percentages shown are based on Net Assets)

    Par   
Taxable Municipal Bonds    (000)  Value 
State (concluded)       
State of Illinois, GO, 3.32%,       
1/01/13  USD  5,075  $ 5,172,592 
Total Taxable Municipal Bonds – 1.5%    9,327,382 
U.S. Government Sponsored Agency     
Securities       
Interest Only Collateralized       
Mortgage Obligations — 0.6%       
Fannie Mae Mortgage-Backed       
Securities, Series 2009-70,       
Class SA, 5.54%, 9/25/39 (a)  21,454  1,949,783 
U.S. Government Sponsored Agency     
Securities (concluded)       
Interest Only Collateralized       
Mortgage Obligations (concluded)     
Ginnie Mae Mortgage-Backed       
Securities, Series 2008-7, Class     
SA, 3.14%, 2/20/38 (a)    17,880  2,231,911 
      4,181,694 
Mortgage-Backed Securities —       
9.5%       
Fannie Mae Mortgage-Backed       
Securities:       
4.00%, 12/15/40 (m)    10,800  10,967,072 
5.00%, 7/01/20 - 8/01/23 (d)  22,940  24,600,443 
Freddie Mac Mortgage-Backed     
Securities, 4.50%, 4/01/25 (d)  23,022  24,479,511 
      60,047,026 
Total U.S. Government Sponsored     
Agency Securities – 10.1%      64,228,720 
Warrants (n)    Shares   
Machinery — 0.0%       
Synventive Molding Solutions       
(Expires 1/15/13)    1  -- 
Media — 0.0%       
CMP Susquehanna Radio Holdings     
Corp. (Expires 3/26/19) (b)    51,701  -- 
Oil, Gas & Consumable Fuels —     
0.0%       
Turbo Cayman Ltd. (no expiration)  2  -- 
Software — 0.0%       
Bankruptcy Management       
Solutions, Inc. (Expires       
9/29/17)    435  -- 
HMH Holdings/EduMedia (Expires     
3/09/17)    209,988  -- 
      -- 
Total Warrants – 0.0%      -- 

 

    Value 
Total Long-Term Investments     
(Cost – $802,238,790) – 126.7%  $ 803,618,079 
Short-Term Securities     
BlackRock Liquidity Funds,     
TempFund, Institutional Class,     
0.18%, 12/31/99 (o)(p)  5,814,509  5,814,509 
Total Short-Term Securities     
(Cost – $5,814,509) – 0.9%    5,814,509 
Options Purchased  Contracts   
Over-the-Counter Call Options —     
0.0%     
Marsico Parent Superholdco LLC,     
Strike Price USD 942.86, Expires     
12/01/19, Broker Goldman Sachs     
Bank USA  46  -- 
Total Options Purchased     
(Cost – $44,978) – 0.0%    -- 
Total Investments     
(Cost – $808,098,277*) – 127.6%  $ 809,432,588 
Liabilities in Excess of Other Assets – (27.6)%  (175,211,350) 
Net Assets – 100.0%  $ 634,221,238 

 

* The cost and unrealized appreciation (depreciation) of investments as of
November 30, 2010, as computed for federal income tax purposes were
as follows:

Aggregate cost  $ 805,517,773 
Gross unrealized appreciation  $ 28,870,548 
Gross unrealized depreciation  (24,955,733) 
Net unrealized appreciation  $ 3,914,815 

 

(a) Variable rate security. Rate shown is as of report date.
(b) 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.
(c) Non-income producing security.
(d) Security or a portion of security held as collateral for reverse repurchase
agreements.
(e) Convertible security.
(f) Represents a zero-coupon bond. Rate shown reflects the current yield as
of report date.
(g) Issuer filed for bankruptcy and/or is in default of interest payments.
(h) Represents a payment-in-kind security which may pay interest/dividends
in additional par/shares.
(i) Other interests represent beneficial interest in liquidation trusts and
other reorganization entities and are non-income producing.
(j) Amount is less than $1,000.
(k) The investment is held by a wholly owned taxable subsidiary of the Trust.
(l) Security is perpetual in nature and has no stated maturity date.

BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010

11



BlackRock Limited Duration Income Trust (BLW)
Schedule of Investments (continued)

(m) Represents or includes a to-be-announced (“TBA”) transaction.
Unsettled TBA transactions as of report date were as follows:

    Unrealized 
Counterparty  Value  (Depreciation) 
JP Morgan Securities, Inc.  $ 10,967,065 $ (145,122) 

 

(n) 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, if any.
(o) Represents the current yield as of report date.
(p) Investments in companies considered to be an affiliate of the Trust
during the period, for purposes of Section 2(a)(3) of the Investment
Company Act of 1940, as amended, were as follows:

  Shares    Shares   
  Held at    Held at   
  August 31,  Net  November 30,   
Affiliate  2010  Activity  2010  Income 
BlackRock         
Liquidity         
Funds,         
TempFund,         
Institutional         
Class  -  5,814,509  5,814,509  $ 4,135 

 

• 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 rating group indexes, and/or as
defined by Trust management. This definition may not apply for purposes
of this report, which may combine such industry sub-classifications for
reporting ease.

BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010

12



BlackRock Limited Duration Income Trust (BLW)
Schedule of Investments(continued)

• Financial futures contracts purchased as of November 30, 2010 were as follows:

        Notional  Unrealized 
Contracts  Issue  Exchange  Expiration  Value  Appreciation 
4  Euro Dollar  Chicago Mercantile  June 2013  $ 975,911  $ 7,239 

 

• Financial futures contracts sold as of November 30, 2010 were as follows:
__________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________

          Unrealized 
        Notional  Appreciation 
Contracts  Issue  Exchange  Expiration  Value  (Depreciation) 
24  Euro Dollar  Chicago Mercantile  December 2010  $ 5,962,443  $ (14,907) 
24  Euro Dollar  Chicago Mercantile  March 2011  $ 5,957,055  $ (8,445) 
14  Euro Dollar  Chicago Mercantile  June 2011  $ 3,479,423  $ 1,998 
20  Euro Dollar  Chicago Mercantile  September 2011  $ 4,952,842  $ (11,908) 
15  Euro Dollar  Chicago Mercantile  December 2011  $ 3,702,119  $ (18,444) 
15  Euro Dollar  Chicago Mercantile  March 2012  $ 3,695,482  $ (21,331) 
8  Euro Dollar  Chicago Mercantile  June 2012  $ 1,976,927  $ (3,073) 
12  Euro Dollar  Chicago Mercantile  September 2012  $ 2,948,415  $ (17,535) 
9  Euro Dollar  Chicago Mercantile  December 2012  $ 2,200,711  $ (19,927) 
9  Euro Dollar  Chicago Mercantile  March 2013  $ 2,196,461  $ (20,239) 
3  Euro Dollar  Chicago Mercantile  September 2013  $ 737,767  $ 2,017 
Total          $ (131,794) 

 

• Credit default swaps on single-name issues - buy protection outstanding as of November 30, 2010 were as follows:
__________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________________

  Pay      Notional     
  Fixed      Amount    Unrealized 
Issuer  Rate  Counterparty  Expiration  (000)    Appreciation 
K. Hovnanian  5.00%  Goldman Sachs Bank USA  December 2011  USD  800  $ 10,903 
Enterprises, Inc.             
K. Hovnanian  5.00%  Goldman Sachs Bank USA  September 2013  USD  300  $ 11,398 
Enterprises, Inc.             
Total            $ 22,301 

 

• Foreign currency exchange contracts as of November 30, 2010 were as follows:

Currency      Currency    Settlement  Unrealized 
Purchased      Sold  Counterparty  Date  Appreciation 
USD  5,583,349  GBP  3,515,000  Citibank NA  1/19/2011  $ 117,806 
USD  3,469,938  GBP  2,200,500  Deutsche Bank AG  1/19/2011  48,337 
USD  23,875,586  EUR  17,438,000  Deutsche Bank AG  1/28/2011  1,245,193 
Total            $ 1,411,336 

 

BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010

13



Schedule of Investments(continued)

BlackRock Limited Duration Income Trust (BLW)

• Reverse repurchase agreements outstanding as of November 30, 2010 were as follows:

  Interest  Trade  Maturity  Net Closing  Face 
Counterparty  Rate  Date  Date  Amount  Amount 
Credit Suisse  0.60%  9/8/10  Open  $ 6,597,676  $ 6,588,452 
Securities           
(USA) LLC           
Barclays  0.40%  9/8/10  Open  2,991,726  2,988,938 
Capital Inc.           
Credit Suisse  0.55%  9/20/10  Open  4,399,354  4,394,520 
Securities           
(USA) LLC           
Credit Suisse  0.45%  9/20/10  Open  4,096,434  4,092,750 
Securities           
(USA) LLC           
Barclays  0.40%  9/23/10  Open  3,232,475  3,230,000 
Capital Inc.           
Credit Suisse  0.60%  9/27/10  Open  2,320,844  2,318,333 
Securities           
(USA) LLC           
UBS Securities  0.38%  10/15/10  Open  2,870,423  2,869,000 
LLC           
Deutsche  0.60%  10/18/10  Open  4,035,850  4,032,893 
Bank           
Securities Inc.           
Deutsche  0.40%  10/18/10  Open  4,665,280  4,663,000 
Bank           
Securities Inc.           
Credit Suisse  0.50%  10/18/10  Open  4,350,535  4,347,878 
Securities           
(USA) LLC           
Credit Suisse  0.55%  10/18/10  Open  2,943,977  2,942,000 
Securities           
(USA) LLC           
Deutsche  0.60%  10/18/10  Open  2,556,874  2,555,000 
Bank           
Securities Inc.           
Barclays  0.40%  10/26/10  Open  3,114,871  3,113,625 
Capital Inc.           
Barclays  0.40%  10/26/10  Open  3,156,093  3,154,831 
Capital Inc.           
Barclays  0.40%  10/26/10  Open  5,987,394  5,985,000 
Capital Inc.           
Barclays  0.40%  10/26/10  Open  3,114,871  3,113,625 
Capital Inc.           
Barclays  0.40%  10/26/10  Open  2,954,494  2,953,312 
Capital Inc.           
Credit Suisse  0.60%  10/27/10  Open  5,848,344  5,844,935 
Securities           
(USA) LLC           
Credit Suisse  0.60%  10/27/10  Open  1,392,812  1,392,000 
Securities           
(USA) LLC           
Credit Suisse  0.60%  10/27/10  Open  2,526,473  2,525,000 
Securities           
(USA) LLC           
Credit Suisse  0.60%  10/27/10  Open  2,114,545  2,113,312 
Securities           
(USA) LLC           
Credit Suisse  0.60%  10/27/10  Open  2,458,784  2,457,350 
Securities           
(USA) LLC           
Credit Suisse  0.60%  10/27/10  Open  2,775,429  2,773,811 
Securities           
(USA) LLC           

 

14 BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010



Schedule of Investments(continued)      BlackRock Limited Duration Income Trust (BLW) 
  Interest  Trade  Maturity  Net Closing  Face   
Counterparty  Rate  Date  Date  Amount  Amount   
Credit Suisse  0.60%  10/27/10  Open  $ 2,980,997  $ 2,979,259   
Securities             
(USA) LLC             
Credit Suisse  0.60%  10/27/10  Open  2,456,745  2,455,312   
Securities             
(USA) LLC             
Credit Suisse  0.60%  10/27/10  Open  1,569,915  1,569,000   
Securities             
(USA) LLC             
Barclays  0.40%  11/1/10  Open  7,378,734  7,376,275   
Capital Inc.             
Barclays  0.40%  11/1/10  Open  2,033,678  2,033,000   
Capital Inc.             
Credit Suisse  0.40%  11/1/10  Open  5,261,753  5,260,000   
Securities             
(USA) LLC             
Credit Suisse  0.60%  11/1/10  Open  1,685,842  1,685,000   
Securities             
(USA) LLC             
Barclays  0.40%  11/3/10  Open  6,385,985  6,384,000   
Capital Inc.             
Credit Suisse  0.25%  11/10/10  12/13/10  11,758,715  11,757,000   
Securities             
(USA) LLC             
Morgan  0.25%  11/12/10  Open  12,248,616  12,247,000   
Stanley & Co.             
Deutsche  0.40%  11/16/10  Open  2,467,411  2,467,000   
Bank             
Securities Inc.             
Deutsche  0.55%  11/16/10  Open  2,737,190  2,736,562   
Bank             
Securities Inc.             
Deutsche  0.58%  11/16/10  Open  4,134,359  4,133,360   
Bank             
Securities Inc.             
Deutsche  0.58%  11/16/10  Open  2,321,393  2,320,832   
Bank             
Securities Inc.             
Deutsche  0.58%  11/16/10  Open  3,573,864  3,573,000   
Bank             
Securities Inc.             
Credit Suisse  0.28%  11/22/10  12/13/10  3,043,213  3,043,000   
Securities             
(USA) LLC             
Credit Suisse  0.28%  11/23/10  12/13/10  8,705,542  8,705,000   
Securities             
(USA) LLC             
Total        $161,249,510  $161,174,165   

 

BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010

15



Schedule of Investments(continued)

BlackRock Limited Duration Income Trust (BLW)

•Fair Value Measurements - Various inputs are used in determining the fair value of investments and derivatives, which are
as follows:

•Level 1 — price quotations in active markets/exchanges for identical assets and liabilities

•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
derivatives)

The inputs or methodologies 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 derivatives
and other significant accounting policies, please refer to the Trust’s most recent financial statements as contained in its
annual report.

The following tables summarize the inputs used as of November 30, 2010 in determining the fair valuation of the Trust’s
investments and derivatives:

Valuation Inputs  Level 1  Level 2  Level 3  Total 
Assets:         
Investments in Securities:         
Long-Term Investments:         
Asset-Backed Securities  -  $ 11,260,551  $8,372,719  $ 19,633,270 
Common Stocks  $ 380,295  482,213  1,260,093  2,122,601 
Corporate Bonds  -  284,079,320  121,780  284,201,100 
Floating Rate Loan Interests  -  237,167,377  76,842,375  314,009,752 
Foreign Agency Obligations  -  5,948,624  -  5,948,624 
Non-Agency Mortgage-Backed Securities  -  86,286,406  8,918,265  95,204,671 
Other Interests  -  7,279,119  1,332,511  8,611,630 
Preferred Stocks  -  -  330,329  330,329 
Taxable Municipal Bonds  -  9,327,382  -  9,327,382 
U.S. Government Sponsored Agency         
Securities  -  64,228,720  -  64,228,720 
Short-Term Securities  5,814,509  -  -  5,814,509 
Unfunded Loan         
Commitments  -  -  72,231  72,231 
Total  $6,194,804  $ 706,059,712  $97,250,303  $809,504,819 
Derivative Financial Instruments1

Valuation Inputs  Level 1  Level 2  Level 3  Total 
Assets:         
Foreign currency exchange contracts  -  $ 1,411,336  -  $ 1,411,336 
Interest rate contracts  $ 11,254  -  -  11,254 
Credit contracts  -  22,301  -  22,301 
Unfunded loan commitments  -  -  $ 72,231  72,231 
Liabilities:         
Interest rate contracts  (135,809)  -  -  (135,809) 
Total  $ (124,555)  $ 1,433,637  $ 72,231  $ 1,381,313 

 

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

16 BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010



Schedule of Investments(concluded)

BlackRock Limited Duration Income Trust (BLW)

The following table is a reconciliation of Level 3 investments for which significant unobservable inputs were
used to determine fair value:

  Asset-Backed    Corporate       Floating Rate Loan   
  Securities  Common Stocks  Bonds  Interests   
Assets/Liabilities:           
Balance, as of August 31, 2010  $ 2,092,187  $1,247,224  $3,412,781  $ 62,160,894   
Accrued discounts/premiums  24,667  -  65,368  335,831   
Net realized gain (loss)  -  -  -  (1,004,302)   
Net change in unrealized           
appreciation/depreciation2  (343,122)  (1,175,038)  (3,378,429)  2,609,621   
Purchases  -  1,187,907  22,060  343,650   
Sales  -  -  -  (20,129,709)   
Transfers in3  6,598,987  -  -  35,827,268   
Transfers out3  -  -  -  (3,300,878)   
Balance, as of November 30, 2010  $ 8,372,719  $ 1,260,093  $ 121,780  $ 76,842,375   
  Non-Agency         
  Mortgage         
  Backed        Preferred          Unfunded Loan   
  Securities  Other Interests  Stocks  Commitments  Total 
Assets:           
Balance, as of August 31,           
2010  $ 3,770,000  $ 1,856,579  $ 266,770  $ (173,683)  $ 74,632,752 
Accrued discounts/premiums  2,728  --  --  --  428,594 
Net realized gain (loss)  --  218,424  --  --  (785,878) 
Net change in unrealized           
appreciation/depreciation2  57,272  (208,174)  63,559  245,914  (2,128,397) 
Purchases  --  --  --  --  1,553,617 
Sales  --  (534,318)      (20,664,027) 
Transfers in3  5,088,265  --  --  --  47,514,520 
Transfers out3  --  --  --  --  (3,300,878) 
Balance, as of November 30, 2010              $ 8,918,265 $ 1,332,511  $ 330,329  $ 72,231  $ 97,250,303 

 

2The change in unrealized appreciation/depreciation on securities still held at November 30, 2010 was $(3,846,736).
3 The Trust’s policy is to recognize transfers in and transfers out as of the end of the period of the event or the change in circumstances
that caused the transfer.

BLACKROCK LIMITED DURATION INCOME TRUST

NOVEMBER 30, 2010

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 31940 Act3)) 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 Limited Duration Income Trust

By: /s/ Anne F. Ackerley
Anne F. Ackerley
Chief Executive Officer (principal executive officer) of
BlackRock Limited Duration Income Trust

Date: January 26, 2011

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/ Anne F. Ackerley
Anne F. Ackerley
Chief Executive Officer (principal executive officer) of
BlackRock Limited Duration Income Trust

Date: January 26, 2011

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

Date: January 26, 2011