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BlackRock Enhanced Global Dividend Trust

Regulatory Filings Sep 24, 2013

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N-Q 1 d592851dnq.htm BLACKROCK GLOBAL OPPORTUNITIES EQUITY TRUST BlackRock Global Opportunities Equity Trust

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

FORM N-Q

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED

MANAGEMENT INVESTMENT COMPANY

Investment Company Act file number 811-21729

Name of Fund: BlackRock Global Opportunities Equity Trust (BOE)

Fund Address: 100 Bellevue Parkway, Wilmington, DE 19809

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

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

Date of fiscal year end: 10/31/2013

Date of reporting period: 07/31/2013

Item 1 – Schedule of Investments

Schedule of Investments July 31, 2013 (Unaudited)
(Percentages shown are based on Net Assets)
Common Stocks Value
Australia — 0.7%
Treasury Wine Estates Ltd. 1,702,548 $ 7,295,354
Belgium — 1.0%
Anheuser-Busch InBev NV 116,859 11,237,354
France — 5.1%
AXA SA 513,100 11,309,484
BNP Paribas SA 139,380 9,037,040
Kering 38,100 8,737,651
Rexel SA 268,200 6,506,262
Technip SA 117,037 12,913,723
Valeo SA 96,400 7,646,030
56,150,190
Germany — 0.8%
Daimler AG 120,400 8,352,358
Hong Kong — 2.9%
AIA Group Ltd. 3,201,700 15,154,728
Jardine Matheson Holdings Ltd. 83,200 4,553,536
Melco Crown Entertainment Ltd. — ADR (a)(b) 483,200 12,022,016
31,730,280
India — 0.6%
Jubilant Foodworks Ltd. (a) 384,494 7,115,604
Indonesia — 1.6%
Global Mediacom Tbk PT 29,625,500 6,618,820
Matahari Department Store Tbk PT (a) 8,998,500 10,900,640
17,519,460
Ireland — 0.8%
Green REIT PLC (a) 5,625,299 8,582,233
Italy — 1.5%
Banca Generali SpA 378,000 9,529,454
Mediaset SpA (a)(b) 1,712,400 7,480,523
17,009,977
Japan — 11.4%
Hino Motors Ltd. 120,200 1,842,018
Honda Motor Co. Ltd. 300,900 11,145,660
ITOCHU Corp. 647,800 7,693,648
Kenedix Realty Investment Corp. — REIT 1,116 4,437,556
Nabtesco Corp. 403,500 8,448,358
Nitto Denko Corp. 131,200 7,390,758
Softbank Corp. 102,100 6,480,938
Sony Corp. 722,700 15,173,066
Sumitomo Mitsui Financial Group, Inc. 313,600 14,327,198
Tokio Marine Holdings, Inc. 413,000 13,181,705
Tokyo Tatemono Co. Ltd. 1,419,000 11,811,715
Tokyu Land Corp. 819,000 7,796,060
Toyota Motor Corp. 190,600 11,598,141
Yahoo! Japan Corp. 8,619 4,595,157
125,921,978
Common Stocks Value
Mexico — 0.4%
Fomento Economico Mexicano SAB de CV — ADR (b) 48,100 $ 4,785,469
Netherlands — 2.1%
ING Groep NV (a) 1,290,000 13,166,989
Randstad Holding NV 216,717 10,482,963
23,649,952
Russia — 0.3%
Eurasia Drilling Co. Ltd. — GDR 83,560 3,300,620
Spain — 1.4%
Cie Automotive SA 965,901 7,812,737
Sacyr SA (a) 1,999,515 7,413,791
15,226,528
Sweden — 2.5%
SKF AB, B Shares 451,200 12,515,355
Svenska Cellulosa AB, B Shares 559,827 14,808,942
27,324,297
Switzerland — 3.4%
Novartis AG 147,600 10,610,496
Partners Group Holding AG 39,300 10,406,972
Roche Holding AG 66,400 16,340,310
37,357,778
Taiwan — 0.2%
Taiwan Semiconductor Manufacturing Co. Ltd. — ADR (b) 159,400 2,706,612
Thailand — 0.6%
PTT Global Chemical PCL 3,432,300 7,241,522
United Kingdom — 12.4%
Aberdeen Asset Management PLC 2,453,400 14,359,782
APR Energy PLC 383,487 6,125,524
Aveva Group PLC 175,016 6,402,186
Barclays PLC — ADR (b) 878,800 15,361,424
BG Group PLC 620,600 11,190,829
Blinkx PLC (a) 4,230,400 8,389,945
British American Tobacco PLC 89,400 4,769,234
Centrica PLC 1,442,800 8,581,955
Crest Nicholson Holdings PLC (a) 1,292,078 6,561,297
esure Group PLC (a) 2,895,400 13,024,565
Partnership Assurance Group PLC (a) 1,406,900 10,679,898
Perform Group PLC (a) 1,313,498 9,964,767
Platform Acquisition Holdings Ltd. (a) 538,600 5,722,625
SABMiller PLC 111,728 5,476,466
Vodafone Group PLC — ADR (b) 347,700 10,413,615
137,024,112
United States — 50.4%
3D Systems Corp. (a)(b) 164,400 7,764,612
AbbVie, Inc. (b) 185,923 8,455,778

| 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: | ADR American Depositary Receipt AUD Australian Dollar CHF Swiss Franc EUR Euro GBP British Pound GDR Global Depositary Receipt | HKD Hong Kong Dollar JPY Japanese Yen REIT Real Estate Investment Trust SEK Swedish Krona USD US Dollar |
| --- | --- | --- |

JULY 31, 2013 1

Schedule of Investments (continued)
(Percentages shown are based on Net Assets)
Common Stocks Value
United States (continued)
Adobe Systems, Inc. (a) 191,800 $ 9,068,304
Amgen, Inc. (b) 54,000 5,847,660
Apple, Inc. (b) 42,400 19,186,000
Axiall Corp. 295,300 13,016,824
Baxter International, Inc. (b) 92,000 6,719,680
Becton Dickinson and Co. (b) 53,900 5,590,508
The Boeing Co. (b) 51,400 5,402,140
Bristol-Myers Squibb Co. (b) 221,200 9,564,688
Cabot Oil & Gas Corp. 118,600 8,992,252
Cameron International Corp. (a) 191,319 11,345,217
CBS Corp., Class B (b) 156,100 8,248,324
Celgene Corp. (a)(b) 65,100 9,560,586
Citigroup, Inc. (b) 233,061 12,151,801
Crown Castle International Corp. (a)(b) 139,100 9,771,775
Crown Holdings, Inc. (a) 165,300 7,245,099
CSX Corp. (b) 453,100 11,241,411
Delta Air Lines, Inc. 288,900 6,133,347
Discovery Communications, Inc., Class A (a) 107,400 8,561,928
Eastman Chemical Co. 127,500 10,254,825
Eaton Corp. PLC 85,000 5,860,750
eBay, Inc. (a)(b) 260,900 13,485,921
Eli Lilly & Co. (b) 157,450 8,362,170
Facebook, Inc., Class A (a)(b) 349,100 12,857,353
Flowserve Corp. (b) 195,400 11,075,272
General Electric Co. (b) 689,700 16,807,989
Genworth Financial, Inc., Class A (a)(b) 901,200 11,706,588
Gilead Sciences, Inc. (a)(b) 147,201 9,045,501
Google, Inc., Class A (a)(b) 32,393 28,752,027
The Hain Celestial Group, Inc. (a) 155,419 11,339,370
Hertz Global Holdings, Inc. (a)(b) 532,300 13,632,203
International Paper Co. (b) 224,100 10,826,271
JPMorgan Chase & Co. (b) 247,105 13,771,162
Kennedy-Wilson Holdings, Inc. 646,900 11,061,990
Las Vegas Sands Corp. (b) 123,300 6,851,781
Liberty Global PLC, Class A (a) 68,230 5,534,818
Lowe’s Cos, Inc. 185,900 8,287,422
Merck & Co., Inc. (b) 179,800 8,660,966
Mondelez International, Inc., Class A (b) 366,500 11,460,455
Monsanto Co. 112,000 11,063,360
National Oilwell Varco, Inc. (b) 169,227 11,874,659
Oasis Petroleum, Inc. (a)(b) 305,834 12,857,261
Common Stocks Value
United States (concluded)
Roper Industries, Inc. (b) 121,000 $ 15,241,160
Rowan Cos. PLC, Class A (a)(b) 424,745 14,589,991
ServiceNow, Inc. (a)(b) 201,900 8,798,802
United Rentals, Inc. (a)(b) 208,848 11,971,167
US Airways Group, Inc. (a)(b) 458,900 8,879,715
Visa, Inc., Class A 61,900 10,956,919
Weyerhaeuser Co. — REIT 344,426 9,781,698
Whirlpool Corp. 61,500 8,237,310
WisdomTree Investments, Inc. (a)(b) 926,200 11,994,290
Xilinx, Inc. 147,700 6,896,113
556,645,213
Warrants (c)
United Kingdom — 0.0%
Platform Acquisition Holdings Ltd., Expires 07/31/20 (a) 538,600 —
Total Long Term
Investments (Cost — $1,009,538,954) — 100.1% 1,106,176,891
Short-Term Securities
BlackRock Liquidity Funds, TempFund, Institutional Class,
0.04% (d)(e) 9,303,137 9,303,137
Total Short-Term
Securities (Cost — $9,303,137) — 0.8% 9,303,137
Total Investments Before Options
Written (Cost — $1,018,842,091*) — 100.9% 1,115,480,028
Options Written
(Premiums Received — $16,585,544) — (2.0)% (22,118,884 )
Total Investments Net of Options Written — 98.9% 1,093,361,144
Other Assets Less Liabilities — 1.1% 11,989,538
Net Assets — 100.0% $ 1,105,350,682

Notes to Schedule of Investments

  • As of July 31, 2013, gross unrealized appreciation and gross unrealized depreciation based on cost for federal income tax purposes were as follows:
Tax cost. $
Gross unrealized appreciation $ 109,290,220
Gross unrealized depreciation (50,593,985 )
Net unrealized appreciation $ 58,696,235

(a) Non-income producing security.

(b) All or a portion of security has been pledged/segregated as collateral in connection with outstanding options written.

(c) 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 of the warrants, if any.

(d) Represents the current yield as of report date.

2 JULY 31, 2013

Schedule of Investments (continued) BlackRock Global Opportunities Equity Trust (BOE)

(e) Investments in issuers considered to be an affiliate of the Trust during the period ended July 31, 2013, for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:

Affiliate — BlackRock Liquidity Funds, TempFund, Institutional Class 54,961,782 (45,658,645 ) 9,303,137 Income — $ 30,931 Realized Gain — $ 395

Ÿ Foreign currency exchange contracts as of July 31, 2013 were as follows:

Currency Purchased — USD 10,997,211 JPY 1,076,550,000 Counterparty — Barclays Bank PLC 8/01/13 Unrealized Appreciation (Depreciation) — $ 1,909
JPY 924,303,942 USD 9,431,673 Barclays Bank PLC 8/02/13 8,670
USD 37,887 AUD 42,000 Morgan Stanley Capital Services LLC 8/02/13 135
CHF 67,932 USD 73,565 BNP Paribas S.A. 8/05/13 (158 )
USD 1,221,850 JPY 119,477,014 Deutsche Bank AG 8/05/13 1,543
USD 73,565 CHF 67,932 BNP Paribas S.A. 8/06/13 158
USD 7,452,938 CHF 6,885,725 Toronto-Dominion Bank 8/06/13 12,193
Total $ 24,450

Ÿ Exchange-traded options written as of July 31, 2013 were as follows:

Description — eBay, Inc. Call USD 53.00 Expiration Date — 8/01/13 365 Market Value — $ (166 )
Citigroup, Inc. Call USD 53.00 8/02/13 350 (3,675 )
US Airways Group, Inc. Call USD 19.30 8/05/13 755 (21,730 )
General Electric Co. Call USD 23.90 8/06/13 1,260 (64,686 )
JPMorgan Chase & Co. Call USD 53.75 8/07/13 557 (114,064 )
Mediaset SpA Call EUR 3.40 8/16/13 470 (58,260 )
JPMorgan Chase & Co. Call USD 53.75 8/17/13 557 (132,420 )
3D Systems Corp. Call USD 55.00 8/19/13 495 (6,188 )
Amgen, Inc. Call USD 105.00 8/19/13 297 (120,285 )
The Boeing Co. Call USD 105.00 8/19/13 468 (91,494 )
Bristol-Myers Squibb Co. Call USD 47.00 8/19/13 266 (665 )
CBS Corp., Class B Call USD 50.00 8/19/13 130 (44,200 )
Celgene Corp. Call USD 140.00 8/19/13 346 (283,720 )
Crown Castle International Corp. Call USD 70.00 8/19/13 140 (22,750 )
Crown Castle International Corp. Call USD 77.50 8/19/13 625 (9,375 )
eBay, Inc. Call USD 55.00 8/19/13 1,070 (20,330 )
Eli Lilly & Co. Call USD 52.50 8/19/13 567 (70,308 )
Flowserve Corp. Call USD 55.00 8/19/13 544 (112,880 )
Fomento Economico Mexicano SAB de CV - ADR Call USD 100.00 8/19/13 132 (25,740 )
Fomento Economico Mexicano SAB de CV - ADR Call USD 105.00 8/19/13 132 (6,600 )
Genworth Financial, Inc., Class A Call USD 11.00 8/19/13 1,220 (248,880 )
Genworth Financial, Inc., Class A Call USD 13.00 8/19/13 1,185 (34,958 )
Gilead Sciences, Inc. Call USD 50.00 8/19/13 175 (201,250 )
Gilead Sciences, Inc. Call USD 52.50 8/19/13 175 (158,812 )
Google, Inc., Class A Call USD 900.00 8/19/13 58 (45,240 )
Google, Inc., Class A Call USD 920.00 8/19/13 31 (8,680 )
Hertz Global Holdings, Inc. Call USD 25.00 8/19/13 720 (82,800 )
Hertz Global Holdings, Inc. Call USD 27.00 8/19/13 1,530 (42,075 )

JULY 31, 2013 3

Schedule of Investments (continued) BlackRock Global Opportunities Equity Trust (BOE)

Ÿ Exchange-traded options written as of July 31, 2013 were as follows: (concluded)

Description — International Paper Co. Call USD 50.00 Expiration Date — 8/19/13 604 Market Value — $ (15,100 )
Las Vegas Sands Corp. Call USD 55.00 8/19/13 255 (37,995 )
Las Vegas Sands Corp. Call USD 57.50 8/19/13 175 (7,700 )
Melco Crown Entertainment Ltd. - ADR Call USD 24.00 8/19/13 1,325 (185,500 )
Melco Crown Entertainment Ltd. - ADR Call USD 25.00 8/19/13 1,325 (112,625 )
Oasis Petroleum, Inc. Call USD 45.00 8/19/13 100 (8,250 )
Rowan Cos. PLC, Class A Call USD 36.00 8/19/13 300 (7,500 )
ServiceNow, Inc. Call USD 45.00 8/19/13 555 (95,738 )
United Rentals, Inc. Call USD 50.00 8/19/13 340 (246,500 )
United Rentals, Inc. Call USD 57.50 8/19/13 808 (115,140 )
Vodafone Group PLC - ADR Call USD 28.00 8/19/13 950 (197,125 )
WisdomTree Investments, Inc. Call USD 12.50 8/19/13 400 (28,000 )
Baxter International, Inc. Call USD 73.50 8/22/13 510 (45,764 )
Apple, Inc. Call USD 460.00 8/23/13 83 (46,065 )
Citigroup, Inc. Call USD 54.00 8/23/13 350 (16,100 )
Google, Inc., Class A Call USD 905.00 8/30/13 89 (96,120 )
Mediaset SpA Call EUR 3.50 9/20/13 470 (86,034 )
Flowserve Corp. Call USD 59.00 9/21/13 530 (36,246 )
International Paper Co. Call USD 50.50 9/21/13 628 (45,564 )
Apple, Inc. Call USD 460.00 9/23/13 83 (84,660 )
Becton Dickinson and Co. Call USD 105.00 9/23/13 141 (23,618 )
Eli Lilly & Co. Call USD 52.50 9/23/13 299 (48,588 )
Facebook, Inc., Class A Call USD 27.00 9/23/13 1,920 (1,905,600 )
Genworth Financial, Inc., Class A Call USD 11.00 9/23/13 1,320 (276,540 )
Genworth Financial, Inc., Class A Call USD 13.00 9/23/13 1,185 (68,138 )
Gilead Sciences, Inc. Call USD 60.00 9/23/13 358 (122,615 )
Gilead Sciences, Inc. Call USD 62.50 9/23/13 101 (21,260 )
Hertz Global Holdings, Inc. Call USD 27.00 9/23/13 678 (50,850 )
Las Vegas Sands Corp. Call USD 57.50 9/23/13 248 (30,876 )
Merck & Co., Inc. Call USD 48.00 9/23/13 498 (54,531 )
National Oilwell Varco, Inc. Call USD 72.50 9/23/13 620 (76,880 )
National Oilwell Varco, Inc. Call USD 75.00 9/23/13 310 (18,600 )
Roper Industries, Inc. Call USD 135.00 9/23/13 195 (11,700 )
ServiceNow, Inc. Call USD 45.00 9/23/13 555 (138,750 )
Taiwan Semiconductor Manufacturing Co. Ltd. - ADR Call USD 17.50 9/23/13 880 (35,200 )
WisdomTree Investments, Inc. Call USD 12.50 9/23/13 1,483 (152,008 )
Total $ (6,581,711 )

Ÿ Over-the-counter options written as of July 31, 2013 were as follows:

Description — Kennedy-Wilson Holdings, Inc. Counterparty — Barclays Bank PLC Call USD 17.54 Expiration Date — 8/01/13 45,500 Market Value — $ (25 )
AbbVie, Inc. Deutsche Bank AG Call USD 43.75 8/02/13 72,000 (125,283 )
The Hain Celestial Group, Inc. Barclays Bank PLC Call USD 68.27 8/02/13 34,000 (159,642 )
Discovery Communications, Inc., Class A Citibank N.A. Call USD 77.62 8/05/13 39,500 (85,419 )
Discovery Communications, Inc., Class A Deutsche Bank AG Call USD 81.89 8/05/13 19,600 (350 )
Eaton Corp. PLC Citibank N.A. Call USD 67.34 8/05/13 46,700 (75,420 )
Roper Industries, Inc. Morgan Stanley & Co. International PLC Call USD 122.78 8/05/13 47,000 (150,381 )
Sacyr SA Citibank N.A. Call EUR 2.15 8/06/13 484,785 (410,543 )

4 JULY 31, 2013

Schedule of Investments (continued) BlackRock Global Opportunities Equity Trust (BOE)

Ÿ Over-the-counter options written as of July 31, 2013 were as follows: (continued)

Description — Visa, Inc., Class A Counterparty — Morgan Stanley & Co. International PLC Call USD 184.93 Expiration Date — 8/06/13 34,000 Market Value — $ (21,338 )
WisdomTree Investments, Inc. Morgan Stanley & Co. International PLC Call USD 13.13 8/06/13 48,200 (10,594 )
Anheuser-Busch InBev NV Citibank N.A. Call EUR 70.82 8/07/13 85,800 (227,909 )
APR Energy PLC Citibank N.A. Call GBP 10.45 8/07/13 2,448 (801 )
APR Energy PLC Citibank N.A. Call GBP 10.61 8/07/13 16,552 (3,589 )
Aveva Group PLC Morgan Stanley & Co. International PLC Call GBP 24.33 8/07/13 10,957 (5,922 )
Crest Nicholson Holdings PLC Citibank N.A. Call GBP 3.61 8/07/13 13,295 (10 )
Crest Nicholson Holdings PLC Citibank N.A. Call GBP 3.65 8/07/13 10,846 (3 )
Crest Nicholson Holdings PLC Citibank N.A. Call GBP 3.68 8/07/13 32,814 (5 )
esure Group PLC Morgan Stanley & Co. International PLC Call GBP 3.43 8/07/13 75,000 (1 )
Novartis AG Citibank N.A. Call CHF 69.07 8/07/13 81,200 (2,355 )
Partners Group Holding AG Citibank N.A. Call CHF 245.03 8/07/13 6,000 (24,221 )
Rexel SA Deutsche Bank AG Call EUR 17.89 8/07/13 64,900 (42,775 )
Sacyr SA UBS AG Call EUR 2.15 8/07/13 130,200 (110,348 )
SKF AB, B Shares Goldman Sachs International Call SEK 165.85 8/07/13 186,500 (435,967 )
Cabot Oil & Gas Corp. Credit Suisse International Call USD 72.73 8/12/13 65,200 (229,761 )
WisdomTree Investments, Inc. Goldman Sachs International Call USD 12.20 8/12/13 75,000 (69,088 )
Eastman Chemical Co. Citibank N.A. Call USD 71.05 8/13/13 70,000 (660,655 )
Kennedy-Wilson Holdings, Inc. Deutsche Bank AG Call USD 17.41 8/13/13 69,000 (9,318 )
Kennedy-Wilson Holdings, Inc. Goldman Sachs International Call USD 16.86 8/13/13 47,400 (18,592 )
Xilinx, Inc. Morgan Stanley & Co. International PLC Call USD 39.04 8/13/13 81,200 (621,180 )
Aberdeen Asset Management PLC Morgan Stanley & Co. International PLC Call GBP 4.30 8/14/13 380,000 (7,084 )
British American Tobacco PLC Morgan Stanley & Co. International PLC Call GBP 35.35 8/14/13 49,200 (32,264 )
CSX Corp. Bank of America N.A. Call USD 24.27 8/14/13 70,000 (48,954 )
Partners Group Holding AG Morgan Stanley & Co. International PLC Call CHF 246.04 8/14/13 5,300 (27,035 )
Valeo SA Morgan Stanley & Co. International PLC Call EUR 51.56 8/14/13 53,000 (561,217 )
Adobe Systems, Inc. Deutsche Bank AG Call USD 45.70 8/15/13 105,500 (191,658 )
Delta Air Lines, Inc. Deutsche Bank AG Call USD 19.31 8/15/13 79,500 (160,250 )
Weyerhaeuser Co. - REIT UBS AG Call USD 27.62 8/15/13 150,000 (149,709 )
CSX Corp. Morgan Stanley & Co. International PLC Call USD 25.77 8/21/13 90,000 (11,639 )
Honda Motor Co. Ltd. Morgan Stanley & Co. International PLC Call JPY 3,983.56 8/21/13 49,600 (10,728 )
Nitto Denko Corp. Morgan Stanley & Co. International PLC Call JPY 6,365.40 8/21/13 25,800 (3,158 )
Sumitomo Mitsui Financial Group, Inc. Morgan Stanley & Co. International PLC Call JPY 4,948.59 8/21/13 71,500 (11,181 )
Tokyu Land Corp. Morgan Stanley & Co. International PLC Call JPY 1,087.63 8/21/13 450,000 (64,645 )
Toyota Motor Corp. Morgan Stanley & Co. International PLC Call JPY 6,572.31 8/21/13 24,300 (8,770 )
Barclays PLC - ADR Morgan Stanley & Co. International PLC Call USD 18.12 8/22/13 131,000 (28,422 )
Crown Holdings, Inc. Barclays Bank PLC Call USD 41.72 8/22/13 47,000 (118,493 )
Kennedy-Wilson Holdings, Inc. UBS AG Call USD 17.05 8/22/13 45,000 (16,137 )
Oasis Petroleum, Inc. Citibank N.A. Call USD 41.31 8/22/13 48,000 (123,494 )
Oasis Petroleum, Inc. Deutsche Bank AG Call USD 43.63 8/22/13 48,700 (72,290 )
WisdomTree Investments, Inc. Goldman Sachs International Call USD 12.20 8/23/13 75,000 (80,161 )
General Electric Co. Deutsche Bank AG Call USD 25.05 8/26/13 253,000 (77,198 )
Cameron International Corp. Deutsche Bank AG Call USD 63.87 8/27/13 35,000 (12,494 )
Delta Air Lines, Inc. Deutsche Bank AG Call USD 19.31 8/27/13 79,500 (170,264 )
Aberdeen Asset Management PLC Morgan Stanley & Co. International PLC Call GBP 4.30 8/28/13 380,000 (22,862 )
Aveva Group PLC Morgan Stanley & Co. International PLC Call GBP 22.69 8/28/13 10,957 (28,688 )
Becton Dickinson and Co. Credit Suisse International Call USD 100.65 8/28/13 15,500 (66,355 )
JPMorgan Chase & Co. Morgan Stanley & Co. International PLC Call USD 56.82 8/29/13 24,000 (15,975 )
Kennedy-Wilson Holdings, Inc. Goldman Sachs International Call USD 18.00 8/29/13 36,000 (3,561 )
Lowe’s Cos, Inc. Deutsche Bank AG Call USD 44.79 8/29/13 102,200 (106,689 )
AbbVie, Inc. Credit Suisse International Call USD 44.04 9/03/13 30,200 (70,770 )

JULY 31, 2013 5

Schedule of Investments (continued) BlackRock Global Opportunities Equity Trust (BOE)

Ÿ Over-the-counter options written as of July 31, 2013 were as follows: (continued)

Description — AIA Group Ltd. Counterparty — UBS AG Call HKD 34.87 Expiration Date — 9/04/13 1,760,800 Market Value — $ (499,278 )
Kenedix Realty Investment Corp. - REIT UBS AG Call JPY 423,325.00 9/04/13 109 (8,486 )
Nabtesco Corp. Goldman Sachs International Call JPY 2,105.38 9/04/13 142,800 (92,935 )
Nitto Denko Corp. Goldman Sachs International Call JPY 6,257.87 9/04/13 46,300 (17,924 )
Tokio Marine Holdings, Inc. Morgan Stanley & Co. International PLC Call JPY 3,270.80 9/04/13 84,000 (79,117 )
Tokyo Tatemono Co. Ltd. Goldman Sachs International Call JPY 768.03 9/04/13 390,000 (338,071 )
Treasury Wine Estates Ltd. Citibank N.A. Call AUD 4.99 9/04/13 325,900 (21,666 )
Treasury Wine Estates Ltd. Citibank N.A. Call AUD 5.04 9/04/13 284,000 (15,354 )
3D Systems Corp. Deutsche Bank AG Call USD 49.61 9/05/13 40,900 (68,808 )
Crown Holdings, Inc. Barclays Bank PLC Call USD 44.53 9/05/13 44,000 (25,969 )
CSX Corp. Morgan Stanley & Co. International PLC Call USD 23.64 9/05/13 90,000 (120,587 )
Daimler AG Goldman Sachs International Call EUR 53.51 9/05/13 66,200 (103,161 )
Barclays PLC - ADR Citibank N.A. Call USD 18.53 9/06/13 135,000 (22,984 )
Barclays PLC - ADR Morgan Stanley & Co. International PLC Call USD 17.92 9/06/13 82,300 (29,052 )
The Hain Celestial Group, Inc. Deutsche Bank AG Call USD 75.62 9/06/13 51,400 (89,434 )
Axiall Corp. Citibank N.A. Call USD 42.01 9/09/13 162,400 (697,552 )
Kennedy-Wilson Holdings, Inc. Citibank N.A. Call USD 17.87 9/09/13 40,800 (7,119 )
Cameron International Corp. Deutsche Bank AG Call USD 63.87 9/10/13 35,000 (24,366 )
Aberdeen Asset Management PLC Morgan Stanley & Co. International PLC Call GBP 4.30 9/11/13 380,000 (38,646 )
Aveva Group PLC Bank of America N.A. Call GBP 24.00 9/11/13 11,754 (20,312 )
Blinkx PLC Morgan Stanley & Co. International PLC Call GBP 1.19 9/11/13 1,163,400 (307,187 )
BNP Paribas SA Morgan Stanley & Co. International PLC Call EUR 44.98 9/11/13 77,000 (450,817 )
Centrica PLC Goldman Sachs International Call GBP 3.78 9/11/13 254,000 (62,704 )
Rexel SA Morgan Stanley & Co. International PLC Call EUR 17.90 9/11/13 82,600 (87,464 )
Roche Holding AG Deutsche Bank AG Call CHF 239.10 9/11/13 36,500 (70,488 )
SABMiller PLC Deutsche Bank AG Call GBP 31.72 9/11/13 25,400 (41,124 )
SABMiller PLC Deutsche Bank AG Call GBP 32.72 9/11/13 36,000 (31,590 )
Technip SA Morgan Stanley & Co. International PLC Call EUR 83.78 9/11/13 11,500 (43,694 )
Rowan Cos. PLC, Class A Deutsche Bank AG Call USD 35.47 9/12/13 60,800 (43,896 )
Rowan Cos. PLC, Class A Morgan Stanley & Co. International PLC Call USD 36.43 9/12/13 143,000 (77,213 )
WisdomTree Investments, Inc. Deutsche Bank AG Call USD 13.15 9/12/13 122,900 (79,639 )
Monsanto Co. UBS AG Call USD 102.90 9/13/13 30,800 (36,400 )
Vodafone Group PLC - ADR Deutsche Bank AG Call USD 29.90 9/13/13 48,000 (40,827 )
Bristol-Myers Squibb Co. Morgan Stanley & Co. International PLC Call USD 44.96 9/16/13 95,200 (52,475 )
Whirlpool Corp. Deutsche Bank AG Call USD 126.86 9/16/13 33,900 (313,257 )
Aberdeen Asset Management PLC Deutsche Bank AG Call GBP 4.04 9/17/13 209,400 (47,307 )
BG Group PLC Deutsche Bank AG Call GBP 11.97 9/17/13 341,300 (159,227 )
Blinkx PLC Morgan Stanley & Co. International PLC Call GBP 1.19 9/17/13 1,163,400 (319,145 )
Partners Group Holding AG UBS AG Call CHF 248.47 9/17/13 5,100 (42,704 )
Sacyr SA Citibank N.A. Call EUR 2.70 9/17/13 441,000 (139,328 )
SKF AB, B Shares Goldman Sachs International Call SEK 175.13 9/17/13 61,600 (79,880 )
Technip SA Deutsche Bank AG Call EUR 86.55 9/17/13 23,800 (64,330 )
CBS Corp., Class B Deutsche Bank AG Call USD 53.35 9/18/13 72,800 (140,417 )
Citigroup, Inc. Morgan Stanley & Co. International PLC Call USD 53.44 9/18/13 58,100 (69,690 )
Kenedix Realty Investment Corp. - REIT Goldman Sachs International Call JPY 400,262.50 9/18/13 165 (29,975 )
Liberty Global PLC, Class A Deutsche Bank AG Call USD 82.21 9/18/13 37,500 (109,281 )
Mondelez International, Inc., Class A Morgan Stanley & Co. International PLC Call USD 31.12 9/18/13 201,500 (225,902 )
Oasis Petroleum, Inc. Morgan Stanley & Co. International PLC Call USD 42.69 9/18/13 61,500 (135,130 )

6 JULY 31, 2013

Schedule of Investments (continued) BlackRock Global Opportunities Equity Trust (BOE)

Ÿ Over-the-counter options written as of July 31, 2013 were as follows: (concluded)

Description — Kennedy-Wilson Holdings, Inc. Counterparty — Citibank N.A. Call USD 17.74 Expiration Date — 9/19/13 36,000 Market Value — $ (9,142 )
US Airways Group, Inc. Credit Suisse International Call USD 19.63 9/19/13 176,500 (124,996 )
Weyerhaeuser Co. - REIT Morgan Stanley & Co. International PLC Call USD 29.35 9/19/13 39,400 (18,388 )
Aveva Group PLC Goldman Sachs International Call GBP 25.00 9/25/13 31,300 (42,773 )
AXA SA Goldman Sachs International Call EUR 16.81 9/25/13 282,200 (194,613 )
Centrica PLC Goldman Sachs International Call GBP 3.86 9/25/13 539,000 (100,191 )
Honda Motor Co. Ltd. UBS AG Call JPY 3,740.48 9/25/13 115,800 (145,672 )
ING Groep NV UBS AG Call EUR 7.64 9/25/13 709,500 (356,542 )
ITOCHU Corp. UBS AG Call JPY 1,191.08 9/25/13 356,200 (162,614 )
Jardine Matheson Holdings Ltd. UBS AG Call USD 58.96 9/25/13 45,600 (43,029 )
Kenedix Realty Investment Corp. - REIT Goldman Sachs International Call JPY 400,262.50 9/25/13 165 (32,478 )
Kering Goldman Sachs International Call EUR 177.01 9/25/13 21,000 (144,470 )
Nabtesco Corp. Citibank N.A. Call JPY 2,066.89 9/25/13 79,100 (83,376 )
Partners Group Holding AG UBS AG Call CHF 248.47 9/25/13 5,100 (47,001 )
Randstad Holding NV UBS AG Call EUR 37.89 9/25/13 59,500 (69,784 )
Softbank Corp. Goldman Sachs International Call JPY 6,336.84 9/25/13 56,100 (216,945 )
Sony Corp. Goldman Sachs International Call JPY 2,158.60 9/25/13 397,400 (414,617 )
Sumitomo Mitsui Financial Group, Inc. UBS AG Call JPY 4,614.13 9/25/13 100,900 (169,458 )
Svenska Cellulosa AB, B Shares Morgan Stanley & Co. International PLC Call SEK 174.12 9/25/13 308,000 (278,394 )
Technip SA UBS AG Call EUR 84.83 9/25/13 29,000 (112,245 )
Tokio Marine Holdings, Inc. Goldman Sachs International Call JPY 3,239.00 9/25/13 143,100 (246,834 )
Tokyo Tatemono Co. Ltd. Goldman Sachs International Call JPY 768.03 9/25/13 390,000 (398,508 )
Toyota Motor Corp. UBS AG Call JPY 6,139.70 9/25/13 80,500 (194,671 )
Treasury Wine Estates Ltd. UBS AG Call AUD 4.98 9/25/13 326,500 (36,177 )
Yahoo! Japan Corp. UBS AG Call JPY 54,033.46 9/25/13 4,700 (73,418 )
Barclays PLC - ADR Citibank N.A. Call USD 18.53 9/26/13 135,000 (37,514 )
Cameron International Corp. UBS AG Call USD 63.48 9/26/13 35,200 (29,900 )
Vodafone Group PLC - ADR Deutsche Bank AG Call USD 29.90 9/27/13 48,000 (46,736 )
Aveva Group PLC Goldman Sachs International Call GBP 25.00 10/01/13 31,300 (45,906 )
Eurasia Drilling Co. Ltd. - GDR Morgan Stanley & Co. International PLC Call USD 43.86 10/01/13 46,000 (23,060 )
Merck & Co., Inc. Morgan Stanley & Co. International PLC Call USD 48.77 10/01/13 49,000 (39,494 )
Randstad Holding NV UBS AG Call EUR 37.89 10/02/13 59,500 (74,134 )
Kenedix Realty Investment Corp. - REIT Goldman Sachs International Call JPY 400,262.50 10/09/13 165 (37,033 )
Monsanto Co. UBS AG Call USD 102.90 10/11/13 30,800 (61,508 )
Total $ (15,537,173 )

Ÿ Fair Value Measurements — Various inputs are used in determining the fair value of investments and derivative financial instruments. These inputs to valuation techniques are categorized into a disclosure hierarchy consisting of three broad levels for financial reporting purposes as follows:

Ÿ Level 1 — unadjusted price quotations in active markets/exchanges for identical assets or liabilities that the Trust has the ability to access

Ÿ 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)

Ÿ Level 3 — unobservable inputs based on the best information available in the circumstances, to the extent observable inputs are not available (including the Trust’s own assumptions used in determining the fair value of investments and derivative financial instruments)

The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized in Level 3. The inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, for disclosure purposes, the fair value hierarchy classification is determined

JULY 31, 2013 7

Schedule of Investments (concluded) BlackRock Global Opportunities Equity Trust (BOE)

based on the lowest level input that is significant to the fair value measurement in its entirety.

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

The following tables summarize the Trust’s investments and derivative financial instruments categorized in the disclosure hierarchy as of July 31, 2013:

Assets:
Investments:
Long-Term Investments:
Common Stocks:
Australia — $ 7,295,354 — $ 7,295,354
Belgium — 11,237,354 — 11,237,354
France $ 14,152,292 41,997,898 — 56,150,190
Germany — 8,352,358 — 8,352,358
Hong Kong 16,575,552 15,154,728 — 31,730,280
India — 7,115,604 — 7,115,604
Indonesia 10,900,640 6,618,820 — 17,519,460
Ireland 8,582,233 — — 8,582,233
Italy 9,529,454 7,480,523 — 17,009,977
Japan 16,406,872 109,515,106 — 125,921,978
Mexico 4,785,469 — — 4,785,469
Netherlands — 23,649,952 — 23,649,952
Russia 3,300,620 — — 3,300,620
Spain 7,812,737 7,413,791 — 15,226,528
Sweden 12,515,355 14,808,942 — 27,324,297
Switzerland — 37,357,778 — 37,357,778
Taiwan 2,706,612 — — 2,706,612
Thailand — 7,241,522 — 7,241,522
United Kingdom 69,909,606 67,114,506 — 137,024,112
United States 556,645,213 — — 556,645,213
Short-Term Securities 9,303,137 — — 9,303,137
Total $ 743,125,792 $ 372,354,236 — $ 1,115,480,028
Level 1 Level 2 Level 3 Total
Derivative Financial Instruments 1
Assets:
Foreign currency exchange contracts $ 24,608 — — $ 24,608
Liabilities:
Equity contracts (5,976,775 ) $ (16,142,109 ) — (22,118,884 )
Foreign currency exchange contracts (158 ) — — (158 )
Total $ (5,952,325 ) $ (16,142,109 ) — $ (22,094,434 )
1 Derivative
financial instruments are foreign currency exchange contracts and options written. Foreign currency exchange contracts are valued at the unrealized appreciation/ depreciation on the instrument and options written are shown at value.
Certain of the Trust’s assets are held at carrying amount, which approximates fair value for financial reporting purposes. As of July 31, 2013, such assets
are categorized within the disclosure hierarchy as follows:
Level 1 Level 2 Level 3 Total
Assets:
Cash $ 3,873,731 — — $ 3,873,731
Foreign currency at value 4,704,799 — — 4,704,799
Total $ 8,578,530 — — $ 8,578,530

There were no transfers between levels during the period ended July 31, 2013.

8 JULY 31, 2013

Item 2 – Controls and Procedures
2(a) – The registrant’s principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrant’s disclosure controls and
procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”)) are effective as of a date within 90 days of the filing of this report based on the evaluation of these controls and procedures
required by Rule 30a-3(b) under the 1940 Act and Rule 13a-15(b) under the Securities Exchange Act of 1934, as amended.
2(b) – There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act) that occurred during the registrant’s
last fiscal quarter that have materially affected, or are reasonably likely to materially affect, the registrant’s internal control over financial reporting.
Item 3 – Exhibits
Certifications – Attached hereto

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

BlackRock Global Opportunities Equity Trust
By: /s/ John M. Perlowski
John M. Perlowski
Chief Executive Officer (principal executive officer) of
BlackRock Global Opportunities Equity Trust
Date: September 24, 2013

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

By: /s/ John M. Perlowski
John M. Perlowski
Chief Executive Officer (principal executive officer) of
BlackRock Global Opportunities Equity Trust
Date: September 24, 2013
By: /s/ Neal J. Andrews
Neal J. Andrews
Chief Financial Officer (principal financial officer) of
BlackRock Global Opportunities Equity Trust
Date: September 24, 2013

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