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BlackRock Enhanced Global Dividend Trust

Regulatory Filings Mar 26, 2013

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N-Q 1 d499542dnq.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: 01/31/2013

Item 1 – Schedule of Investments

Schedule of Investments January 31, 2013 (Unaudited) BlackRock Global Opportunities Equity Trust (BOE) (Percentages shown are based on Net Assets)

Common Stocks Value
Argentina – 0.4%
Arcos Dorados Holdings, Inc., Class A 316,800 $ 4,352,832
Australia – 0.9%
Australia & New Zealand Banking Group Ltd. 147,000 4,082,736
CSL Ltd. 67,724 3,876,723
PanAust Ltd. 708,500 2,187,555
10,147,014
Belgium – 1.0%
Anheuser-Busch InBev NV 124,359 10,942,106
Canada – 0.4%
Detour Gold Corp. (a)(b) 230,800 4,877,947
Cayman Islands – 1.0%
Eurasia Drilling Co., Ltd. - GDR 277,053 10,500,309
China – 1.2%
China Construction Bank Corp., H Shares 14,890,200 12,844,755
France – 4.0%
AXA SA 513,100 9,499,961
BNP Paribas SA 111,080 6,969,599
Danone SA (b) 121,000 8,385,504
LVMH Moet Hennessy Louis Vuitton SA 30,300 5,704,764
Sanofi 130,700 12,741,362
Technip SA 3,846 416,439
43,717,629
Germany – 3.7%
Deutsche Bank AG 167,500 8,662,947
Deutsche Lufthansa AG 372,800 7,405,100
GSW Immobilien AG 50,100 2,137,822
SAP AG - ADR 131,600 10,793,832
Volkswagen AG, Preference Shares 46,400 11,487,435
40,487,136
Hong Kong – 2.5%
AIA Group Ltd. 3,437,600 13,675,179
Cheung Kong Holdings Ltd. 325,000 5,330,230
Wharf Holdings Ltd. 936,200 8,269,812
27,275,221
India – 1.0%
ICICI Bank Ltd. 285,800 6,382,367
Jubilant Foodworks Ltd. (a) 194,894 4,400,126
10,782,493
Indonesia – 2.2%
Alam Sutera Realty Tbk PT 76,992,000 6,086,637
Bank Mandiri Persero Tbk PT 9,534,000 8,863,457
Global Mediacom Tbk PT 19,610,500 4,382,295
Tower Bersama Infrastructure Tbk PT (a) 6,797,100 4,116,777
23,449,166
Common Stocks Value
Ireland – 1.2%
Ingersoll-Rand Plc (b) 245,500 $ 12,616,245
Italy – 1.3%
Eni SpA 558,200 13,942,380
Japan – 5.8%
Dena Co. Ltd. 108,200 3,421,886
Hino Motors Ltd. 523,700 5,503,146
Honda Motor Co. Ltd. 268,200 10,137,744
ITOCHU Corp. 689,600 7,799,036
ORIX Corp. 77,600 8,301,701
Softbank Corp. 242,800 8,651,384
Tokio Marine Holdings, Inc. 286,400 8,457,961
Toyota Motor Corp. 138,200 6,601,047
Yahoo! Japan Corp. 10,213 4,015,062
62,888,967
Mexico – 1.7%
Fomento Economico Mexicano SAB de CV - ADR 51,100 5,513,179
Fresnillo Plc 211,800 5,567,695
Grupo Mexico SAB de CV, Series B 2,056,500 7,650,453
18,731,327
South Korea – 0.6%
Samsung Electronics Co. Ltd. 4,850 6,452,605
Spain – 0.8%
Iberdrola SA 1,661,700 8,941,369
Sweden – 3.1%
Electrolux AB, Series B 151,546 4,004,456
Svenska Cellulosa AB, B Shares 649,727 15,752,089
Volvo AB, B Shares 938,097 13,884,237
33,640,782
Switzerland – 8.4%
Cie Financiere Richemont SA 66,700 5,478,973
GAM Holding AG 769,200 12,677,642
Glencore International Plc 2,181,500 13,617,702
Nestle SA 119,900 8,419,077
Novartis AG (b) 121,300 8,245,545
Partners Group Holding AG 42,500 9,977,217
Roche Holding AG 60,700 13,417,074
Transocean Ltd. 141,900 8,047,149
UBS AG 634,600 11,021,502
90,901,881
Taiwan – 0.7%
MediaTek, Inc. 462,000 5,060,238
Taiwan Semiconductor Manufacturing Co. Ltd. - ADR 171,900 3,049,506
8,109,744
Thailand – 0.7%
Bangkok Bank PCL - NVDR 1,085,000 7,608,636
ADR American Depositary Receipt JPY Japanese Yen
AUD Australian Dollar KRW Korean Won
CAD Canadian Dollar MXN Mexican New Peso
CHF Swiss Franc NVDR Non-Voting Depository Receipt
EUR Euro REIT Real Estate Investment Trust
GBP British Pound SEK Swedish Krona
GDR Global Depositary Receipt TWD Taiwan Dollar
HKD Hong Kong Dollar USD US Dollar

JANUARY 31, 2013 1

Schedule of Investments (continued) BlackRock Global Opportunities Equity Trust (BOE) (Percentages shown are based on Net Assets)

Common Stocks Value
United Kingdom – 11.7%
Afren Plc (a) 2,465,700 $ 5,616,510
Antofagasta Plc 696,475 12,628,931
APR Energy Plc 383,487 4,453,382
Aveva Group Plc 165,000 5,653,986
Babcock International Group Plc 179,100 2,949,112
Barclays Plc - ADR (b) 105,700 2,025,212
BG Group Plc 389,600 6,914,945
British American Tobacco Plc 231,300 12,020,975
Diageo Plc 275,400 8,198,110
Direct Line Insurance Group Plc (a) 493,817 1,745,731
HSBC Holdings Plc 902,330 10,261,034
National Grid Plc 931,100 10,195,164
Rightmove Plc 223,500 5,937,378
SABMiller Plc 171,600 8,568,379
Tullow Oil Plc 518,600 9,350,632
Unilever Plc 267,600 10,900,226
Vodafone Group Plc - ADR 366,500 10,012,780
127,432,487
United States – 41.2%
Air Products & Chemicals, Inc. (b) 58,800 5,140,884
Apple, Inc. (b) 10,210 4,648,715
Axiall Corp. (a)(b) 109,000 6,123,620
Bank of America Corp. (b) 1,281,200 14,503,184
Baxter International, Inc. (b) 80,700 5,474,688
Becton Dickinson & Co. 95,200 8,000,608
Cabot Oil & Gas Corp. (b) 138,300 7,299,474
Cameron International Corp. (a)(b) 133,600 8,458,216
Cardinal Health, Inc. (b) 110,300 4,832,243
Celgene Corp. (a)(b) 80,953 8,011,109
Citigroup, Inc. (b) 293,640 12,379,862
Comcast Corp., Class A (b) 252,300 9,607,584
ConAgra Foods, Inc. (b) 352,700 11,529,763
Costco Wholesale Corp. (b) 79,800 8,166,732
Crown Holdings, Inc. (a) 172,600 6,534,636
CSX Corp. 345,200 7,604,756
DIRECTV (a)(b) 97,100 4,965,694
Dominion Resources, Inc. 135,100 7,310,261
Eastman Chemical Co. (b) 129,000 9,178,350
Eaton Plc 145,000 8,257,750
eBay, Inc. (a)(b) 196,400 10,984,652
Eli Lilly & Co. 185,650 9,967,549
Express Scripts Holding Co. (a)(b) 98,600 5,267,212
Exxon Mobil Corp. (b) 84,200 7,575,474
Facebook, Inc., Class A (a)(b) 252,200 7,810,634
Federal Realty Investment Trust - REIT (b) 44,200 4,678,570
FedEx Corp. (b) 84,100 8,531,945
The Gap, Inc. (b) 137,400 4,490,232
Gilead Sciences, Inc. (a)(b) 110,200 4,347,390
Google, Inc., Class A (a)(b) 24,550 18,552,190
The Hain Celestial Group, Inc. (a) 79,819 4,548,885
Common Stocks Value
United States (concluded)
Hertz Global Holdings, Inc. (a) 327,300 $ 5,983,044
International Business Machines Corp. (b) 34,300 6,965,301
International Paper Co. (b) 158,600 6,569,212
JPMorgan Chase & Co. (b) 246,400 11,593,120
Kraft Foods Group, Inc. (b) 250,466 11,576,538
Las Vegas Sands Corp. (b) 135,900 7,508,475
Liberty Global, Inc., Class A (a) 103,100 7,040,699
Linear Technology Corp. (b) 131,894 4,829,958
Lowe’s Cos., Inc. 198,200 7,569,258
Monsanto Co. (b) 112,000 11,351,200
Norwegian Cruise Line Holdings Ltd. (a) 108,000 2,847,960
Oasis Petroleum, Inc. (a) 184,700 6,627,036
Oracle Corp. (b) 217,400 7,719,874
Owens Corning (a)(b) 259,500 10,813,365
Pfizer, Inc. (b) 581,000 15,849,680
Rowan Cos. Plc, Class A (a)(b) 277,400 9,564,752
Sandisk Corp. (a) 175,369 8,766,696
Smithfield Foods, Inc. (a)(b) 241,800 5,636,358
Time Warner, Inc. (b) 209,700 10,594,044
United Rentals, Inc. (a)(b) 166,248 8,415,474
Visa, Inc., Class A (b) 66,600 10,516,806
Weyerhaeuser Co. - REIT (b) 73,426 2,211,591
Whirlpool Corp. (b) 68,000 7,845,840
WisdomTree Investments, Inc. (a) 708,800 6,131,120
Xilinx, Inc. (b) 227,400 8,297,826
Zoetis, Inc. (a) 15,300 397,800
448,005,889
Total Long Term Investments (Cost – $926,688,755) – 95.5% 1,038,648,920
Short-Term Securities
BlackRock Liquidity Funds, TempFund, Institutional Class, 0.10% (c)(d) 54,784,743 54,784,743
Total Short-Term Securities (Cost – $54,784,743) – 5.0% 54,784,743
Total Investments Before Options Written (Cost – $981,473,498*) – 100.5% 1,093,433,663
Options Written
(Premiums Received – $14,568,153) – (1.9)% (21,344,760 )
Total Investments Net of Options Written – 98.6% 1,072,088,903
Other Assets Less Liabilities – 1.4% 15,773,885
Net Assets – 100.0% $ 1,087,862,788

Notes to Schedule of Investments

  • As of January 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 $ 119,962,203
Gross unrealized depreciation (45,943,740 )
Net unrealized appreciation $ 74,018,463

2 JANUARY 31, 2013

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

(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) Represents the current yield as of report date.

(d) Investments in issuers considered to be an affiliate of the Trust during the period ended January 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 (177,039 ) 54,784,743 Income — $ 16,399 Realized Gain — $ 395

— Foreign currency exchange contracts as of January 31, 2013 were as follows:

Currency Purchased Currency Sold Counterparty Settlement Date Unrealized Appreciation (Depreciation)
USD 765,558 CHF 705,686 Deutsche Bank Securities Corp. 2/01/13 $ (9,879 )
USD 7,782,347 SEK 49,574,707 Deutsche Bank Securities Corp. 2/01/13 (15,055 )
CHF 627,863 USD 689,300 UBS Securities LLC 2/04/13 648
GBP 131,934 USD 209,458 Citigroup Global Markets, Inc. 2/04/13 (216 )
HKD 18,667,481 USD 2,406,878 UBS Securities LLC 2/04/13 185
SEK 20,512,000 USD 3,220,372 Citigroup Global Markets, Inc. 2/04/13 5,615
SEK 26,857,000 USD 4,226,708 Deutsche Bank Securities Corp. 2/04/13 (2,823 )
USD 2,851,069 HKD 22,115,000 Citigroup Global Markets, Inc. 2/04/13 (532 )
USD 209,457 GBP 131,934 Citigroup Global Markets, Inc. 2/05/13 216
USD 4,755,564 GBP 2,996,990 Deutsche Bank Securities Corp. 2/05/13 2,486
Total $ (19,355 )

— Exchange-Traded options written as of January 31, 2013 were as follows:

Description — Facebook, Inc., Class A Call USD 32 2/01/13 670 Market Value — $ (3,685 )
Baxter International, Inc. Call USD 66.50 2/04/13 460 (61,702 )
International Business Machines Corp. Call USD 195 2/04/13 135 (110,362 )
Danone SA Call EUR 50 2/15/13 50 (10,217 )
Novartis AG Call CHF 58 2/15/13 700 (297,356 )
eBay, Inc. Call USD 52.25 2/16/13 315 (119,788 )
Air Products & Chemicals, Inc. Call USD 85 2/18/13 325 (91,813 )
Axiall Corp. Call USD 55 2/18/13 450 (112,500 )
Bank of America Corp. Call USD 11 2/18/13 3,485 (156,825 )
Cabot Oil & Gas Corp. Call USD 50 2/18/13 760 (235,600 )
Celgene Corp. Call USD 100 2/18/13 445 (89,668 )
Citigroup, Inc. Call USD 38 2/18/13 650 (274,625 )
Citigroup, Inc. Call USD 44 2/18/13 415 (6,847 )
Comcast Corp., Class A Call USD 39 2/18/13 290 (11,890 )
Comcast Corp., Class A Call USD 40 2/18/13 550 (8,800 )
Comcast Corp., Class A Call USD 41 2/18/13 550 (2,750 )
Detour Gold Corp. Call CAD 26 2/18/13 635 (4,457 )
Detour Gold Corp. Call CAD 27 2/18/13 635 (4,138 )
Facebook, Inc., Class A Call USD 28 2/18/13 720 (226,800 )
Federal Realty Investment Trust - REIT Call USD 105 2/18/13 240 (45,000 )
Google, Inc., Class A Call USD 730 2/18/13 105 (300,825 )
JPMorgan Chase & Co. Call USD 44 2/18/13 118 (37,170 )
Kraft Foods Group, Inc. Call USD 47.50 2/18/13 875 (15,313 )
Rowan Cos. Plc, Class A Call USD 35 2/18/13 760 (36,100 )

JANUARY 31, 2013 3

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

— Exchange-Traded options written as of January 31, 2013 were as follows: (concluded)

Description — Whirlpool Corp. Call USD 105 Expiration Date — 2/18/13 375 Market Value — $ (397,500 )
Xilinx, Inc. Call USD 36 2/18/13 950 (70,300 )
Apple, Inc. Call USD 545 2/22/13 55 (1,155 )
Bank of America Corp. Call USD 11.50 2/22/13 512 (11,264 )
Bank of America Corp. Call USD 12 2/22/13 512 (4,352 )
FedEx Corp. Call USD 102 3/04/13 460 (86,773 )
Costco Wholesale Corp. Call USD 104 3/11/13 440 (64,731 )
Bank of America Corp. Call USD 11 3/18/13 2,535 (164,775 )
Barclays Plc - ADR Call USD 17 3/18/13 580 (130,500 )
Cameron International Corp. Call USD 60 3/18/13 500 (220,000 )
Cardinal Health, Inc. Call USD 45 3/18/13 555 (29,137 )
Citigroup, Inc. Call USD 42 3/18/13 550 (85,250 )
ConAgra Foods, Inc. Call USD 32 3/18/13 1,940 (208,550 )
DIRECTV Call USD 55 3/18/13 535 (20,330 )
Eastman Chemical Co. Call USD 72.50 3/18/13 390 (72,150 )
eBay, Inc. Call USD 55 3/18/13 765 (179,775 )
Express Scripts Holding Co. Call USD 57.50 3/18/13 550 (30,250 )
The Gap, Inc. Call USD 34 3/18/13 755 (64,553 )
Gilead Sciences, Inc. Call USD 40 3/18/13 605 (67,155 )
International Business Machines Corp. Call USD 210 3/18/13 53 (4,002 )
JPMorgan Chase & Co. Call USD 47 3/18/13 120 (15,420 )
Las Vegas Sands Corp. Call USD 49.75 3/18/13 180 (111,600 )
Linear Technology Corp. Call USD 37 3/18/13 725 (50,750 )
Oracle Corp. Call USD 35 3/18/13 1,195 (137,425 )
Owens Corning Call USD 42 3/18/13 1,265 (205,563 )
Pfizer, Inc. Call USD 27 3/18/13 550 (39,050 )
Smithfield Foods, Inc. Call USD 24 3/18/13 1,330 (93,100 )
United Rentals, Inc. Call USD 50 3/18/13 915 (251,625 )
Visa, Inc., Class A Call USD 150 3/18/13 185 (174,362 )
Xilinx, Inc. Call USD 37 3/18/13 300 (19,050 )
Google, Inc., Class A Call USD 750 3/21/13 30 (62,711 )
Ingersoll-Rand Plc Call USD 51.15 3/22/13 280 (50,090 )
Exxon Mobil Corp. Call USD 90.90 3/26/13 240 (34,058 )
Time Warner, Inc. Call USD 50.60 3/26/13 720 (102,681 )
Visa, Inc., Class A Call USD 160.25 3/26/13 180 (59,601 )
International Paper Co. Call USD 43 4/22/13 872 (73,684 )
Monsanto Co. Call USD 105 4/22/13 616 (124,432 )
Weyerhaeuser Co. - REIT Call USD 31 4/22/13 405 (30,375 )
Total $ (5,812,310 )

— Over-the-counter options written as of January 31, 2013 were as follows:

Description — JPMorgan Chase & Co. Counterparty — Goldman Sachs & Co. Call USD 41.65 Expiration Date — 2/04/13 32,500 Market Value — $ (175,500 )
Sandisk Corp. JPMorgan Chase Securities Call USD 43.49 2/04/13 104,500 (679,667 )
Afren Plc Goldman Sachs & Co. Call GBP 1.32 2/05/13 336,000 (62,879 )
Anheuser-Busch InBev NV Citigroup Global Markets, Inc. Call EUR 66.23 2/05/13 11,800 (518 )
Anheuser-Busch InBev NV Goldman Sachs & Co. Call EUR 67.67 2/05/13 56,600 (2,149 )
Aveva Group Plc Morgan Stanley & Co., Inc. Call GBP 20.45 2/05/13 20,000 (36,801 )
AXA SA Banc of America Securities Call EUR 13.00 2/05/13 282,200 (245,614 )
BNP Paribas SA Morgan Stanley & Co., Inc. Call EUR 45.54 2/05/13 61,100 (93,970 )

4 JANUARY 31, 2013

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

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

Description — Danone SA Counterparty — Morgan Stanley & Co., Inc. Call EUR 51.39 2/05/13 61,600 Market Value — $ (16,981 )
Deutsche Lufthansa AG Goldman Sachs & Co. Call EUR 14.05 2/05/13 205,000 (165,547 )
Eni SpA Goldman Sachs & Co. Call EUR 18.28 2/05/13 178,400 (52,888 )
Eni SpA Goldman Sachs & Co. Call EUR 19.55 2/05/13 128,700 (630 )
Eurasia Drilling Co., Ltd. - GDR Deutsche Bank Securities Corp. Call USD 32.74 2/05/13 24,000 (123,813 )
Fresnillo Plc Morgan Stanley & Co., Inc. Call GBP 19.77 2/05/13 116,500 (2 )
GAM Holding AG UBS Securities LLC Call CHF 11.92 2/05/13 119,400 (404,237 )
GSW Immobilien AG Morgan Stanley & Co., Inc. Call EUR 33.20 2/05/13 27,600 (199 )
Tullow Oil Plc Morgan Stanley & Co., Inc. Call GBP 12.37 2/05/13 70,500 (23 )
Tullow Oil Plc Morgan Stanley & Co., Inc. Call GBP 12.40 2/05/13 150,000 (52 )
Volkswagen AG, Preference Shares Morgan Stanley & Co., Inc. Call EUR 172.15 2/05/13 27,400 (380,661 )
Liberty Global, Inc., Class A Citigroup Global Markets, Inc. Call USD 60.88 2/06/13 56,500 (418,887 )
Arcos Dorados Holdings, Inc., Class A Goldman Sachs & Co. Call USD 12.87 2/08/13 88,000 (78,770 )
Pfizer, Inc. Goldman Sachs & Co. Call USD 25.66 2/08/13 272,000 (440,640 )
Hertz Global Holdings, Inc. Goldman Sachs & Co. Call USD 16.34 2/11/13 180,000 (351,676 )
JPMorgan Chase & Co. Goldman Sachs & Co. Call USD 41.65 2/11/13 32,500 (175,500 )
JPMorgan Chase & Co. Morgan Stanley & Co., Inc. Call USD 43.46 2/11/13 47,000 (168,730 )
Rowan Cos. Plc, Class A Goldman Sachs & Co. Call USD 33 2/11/13 76,000 (120,388 )
Vodafone Group Plc - ADR Morgan Stanley & Co., Inc. Call USD 26.24 2/11/13 101,000 (109,080 )
Aveva Group Plc Morgan Stanley & Co., Inc. Call GBP 20.97 2/12/13 22,000 (23,783 )
Babcock International Group Plc Morgan Stanley & Co., Inc. Call GBP 9.93 2/12/13 49,300 (35,298 )
Babcock International Group Plc Morgan Stanley & Co., Inc. Call GBP 9.97 2/12/13 49,300 (32,181 )
British American Tobacco Plc Morgan Stanley & Co., Inc. Call GBP 32.81 2/12/13 127,300 (65,136 )
Eurasia Drilling Co., Ltd. - GDR Morgan Stanley & Co., Inc. Call USD 35.35 2/12/13 24,000 (63,672 )
GAM Holding AG Goldman Sachs & Co. Call CHF 12.48 2/12/13 103,000 (286,246 )
HSBC Holdings Plc Morgan Stanley & Co., Inc. Call GBP 6.50 2/12/13 497,300 (528,140 )
LVMH Moet Hennessy Louis Vuitton SA Citigroup Global Markets, Inc. Call EUR 137.97 2/12/13 9,000 (34,131 )
LVMH Moet Hennessy Louis Vuitton SA Citigroup Global Markets, Inc. Call EUR 140.99 2/12/13 7,700 (12,098 )
Becton Dickinson & Co. Goldman Sachs & Co. Call USD 79.84 2/13/13 16,000 (67,200 )
Grupo Mexico SAB de CV, Series B Citigroup Global Markets, Inc. Call MXN 47.01 2/13/13 454,500 (32,229 )
ITOCHU Corp. Citigroup Global Markets, Inc. Call JPY 952.83 2/13/13 276,700 (246,222 )
Taiwan Semiconductor Manufacturing Co. Ltd. - ADR Deutsche Bank Securities Corp. Call USD 17.42 2/13/13 50,200 (21,151 )
Toyota Motor Corp. Citigroup Global Markets, Inc. Call JPY 3,893.55 2/13/13 76,000 (394,640 )
Eastman Chemical Co. Morgan Stanley & Co., Inc. Call USD 71.09 2/20/13 32,000 (61,864 )
Exxon Mobil Corp. Morgan Stanley & Co., Inc. Call USD 89.13 2/20/13 42,000 (71,753 )
WisdomTree Investments, Inc. Deutsche Bank Securities Corp. Call USD 6.43 2/21/13 88,500 (196,819 )
Axiall Corp. Deutsche Bank Securities Corp. Call USD 42.50 2/22/13 15,500 (212,040 )
Dominion Resources, Inc. Credit Suisse First Boston Call USD 54.21 2/22/13 38,000 (19,727 )
Eaton Plc Goldman Sachs & Co. Call USD 56.74 2/25/13 80,000 (90,866 )
Glencore International Plc UBS Securities LLC Call GBP 3.89 2/27/13 600,000 (110,558 )
Grupo Mexico SAB de CV, Series B UBS Securities LLC Call MXN 48.02 2/27/13 240,600 (14,509 )
Rightmove Plc Morgan Stanley & Co., Inc. Call GBP 15.01 2/27/13 62,000 (173,646 )
Becton Dickinson & Co. Goldman Sachs & Co. Call USD 82.23 2/28/13 36,500 (92,772 )
Eli Lilly & Co. Credit Suisse First Boston Call USD 53.34 2/28/13 21,500 (23,072 )
Owens Corning Morgan Stanley & Co., Inc. Call USD 40.19 2/28/13 43,000 (84,391 )
AIA Group Ltd. Morgan Stanley & Co., Inc. Call HKD 30.44 3/04/13 1,891,000 (213,302 )
CSL Ltd. JPMorgan Chase Securities Call AUD 52.61 3/04/13 37,300 (116,030 )
Hino Motors Ltd. Citigroup Global Markets, Inc. Call JPY 847.22 3/04/13 288,000 (365,150 )

JANUARY 31, 2013 5

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

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

Description — PanAust Ltd. Counterparty — JPMorgan Chase Securities Call AUD 3.36 3/04/13 390,000 Market Value — $ (9,146 )
WisdomTree Investments, Inc. JPMorgan Chase Securities Call USD 8.13 3/04/13 100,000 (71,565 )
SAP AG - ADR Citigroup Global Markets, Inc. Call USD 79.18 3/05/13 33,400 (121,250 )
SAP AG - ADR Citigroup Global Markets, Inc. Call USD 79.56 3/05/13 39,000 (131,451 )
Afren Plc Citigroup Global Markets, Inc. Call GBP 1.43 3/06/13 949,700 (95,817 )
Antofagasta Plc Banc of America Securities Call GBP 13.35 3/06/13 131,800 (617 )
Antofagasta Plc Goldman Sachs & Co. Call GBP 13.84 3/06/13 60,000 (443 )
APR Energy Plc Banc of America Securities Call GBP 7.98 3/06/13 22,300 (4,343 )
Arcos Dorados Holdings, Inc., Class A Goldman Sachs & Co. Call USD 12.50 3/06/13 46,000 (64,031 )
Diageo Plc Morgan Stanley & Co., Inc. Call GBP 18.06 3/06/13 151,500 (184,414 )
Eurasia Drilling Co., Ltd. - GDR UBS Securities LLC Call USD 37.32 3/06/13 23,200 (39,716 )
GAM Holding AG Goldman Sachs & Co. Call CHF 14.74 3/06/13 51,700 (39,911 )
Glencore International Plc UBS Securities LLC Call GBP 3.93 3/06/13 600,000 (103,176 )
Iberdrola SA Citigroup Global Markets, Inc. Call EUR 4.14 3/06/13 882,000 (20,246 )
Ingersoll-Rand Plc Morgan Stanley & Co., Inc. Call USD 51.30 3/06/13 107,000 (141,585 )
Partners Group Holding AG Morgan Stanley & Co., Inc. Call CHF 216.88 3/06/13 6,000 (15,158 )
Rightmove Plc Morgan Stanley & Co., Inc. Call GBP 15.16 3/06/13 62,000 (156,763 )
Crown Holdings, Inc. Goldman Sachs & Co. Call USD 38.32 3/07/13 48,500 (24,083 )
Kraft Foods Group, Inc. Goldman Sachs & Co. Call USD 46.01 3/07/13 50,000 (42,018 )
Time Warner, Inc. Bank of New York Mellon Corp. Call USD 49.49 3/07/13 43,400 (86,797 )
Cardinal Health, Inc. Goldman Sachs & Co. Call USD 42.79 3/08/13 5,000 (7,144 )
Dominion Resources, Inc. Morgan Stanley & Co., Inc. Call USD 52.86 3/08/13 36,300 (58,135 )
Eli Lilly & Co. UBS Securities LLC Call USD 54 3/11/13 90,000 (78,725 )
Vodafone Group Plc - ADR Citigroup Global Markets, Inc. Call USD 26.11 3/11/13 50,000 (63,004 )
Vodafone Group Plc - ADR Citigroup Global Markets, Inc. Call USD 26.72 3/11/13 50,500 (49,306 )
Afren Plc Banc of America Securities Call GBP 1.40 3/12/13 336,000 (44,919 )
Aveva Group Plc Banc of America Securities Call GBP 21.54 3/12/13 24,400 (18,567 )
Deutsche Bank AG Goldman Sachs & Co. Call EUR 37.84 3/12/13 92,200 (194,370 )
Eurasia Drilling Co., Ltd. - GDR Morgan Stanley & Co., Inc. Call USD 36.06 3/12/13 24,000 (62,255 )
GAM Holding AG Goldman Sachs & Co. Call CHF 15.25 3/12/13 50,000 (27,995 )
Nestle SA Citigroup Global Markets, Inc. Call CHF 62.62 3/12/13 66,000 (128,964 )
Roche Holding AG Deutsche Bank Securities Corp. Call CHF 195.28 3/12/13 33,400 (256,780 )
SABMiller Plc Deutsche Bank Securities Corp. Call GBP 29.73 3/12/13 94,400 (284,481 )
Sanofi Goldman Sachs & Co. Call EUR 74.07 3/12/13 71,900 (67,346 )
Svenska Cellulosa AB, B Shares Morgan Stanley & Co., Inc. Call SEK 145.42 3/12/13 357,400 (539,151 )
UBS AG Morgan Stanley & Co., Inc. Call CHF 16.27 3/12/13 349,000 (126,858 )
Arcos Dorados Holdings, Inc., Class A Morgan Stanley & Co., Inc. Call USD 14.18 3/13/13 40,000 (16,904 )
Las Vegas Sands Corp. Citigroup Global Markets, Inc. Call USD 47.25 3/13/13 56,500 (460,617 )
Antofagasta Plc Banc of America Securities Call GBP 12.88 3/20/13 191,300 (15,028 )
Aveva Group Plc Banc of America Securities Call GBP 22.02 3/20/13 24,400 (12,273 )
Eurasia Drilling Co., Ltd. - GDR Morgan Stanley & Co., Inc. Call USD 35.65 3/20/13 24,000 (71,960 )
GAM Holding AG UBS Securities LLC Call CHF 15.48 3/20/13 49,800 (25,918 )
Partners Group Holding AG Morgan Stanley & Co., Inc. Call CHF 217.66 3/20/13 5,700 (16,411 )
Taiwan Semiconductor Manufacturing Co. Ltd. - ADR Morgan Stanley & Co., Inc. Call USD 18.02 3/20/13 44,500 (19,955 )
Tullow Oil Plc Morgan Stanley & Co., Inc. Call GBP 11.88 3/20/13 64,800 (22,134 )
Unilever Plc Morgan Stanley & Co., Inc. Call GBP 25.85 3/20/13 73,600 (34,406 )
BG Group Plc Deutsche Bank Securities Corp. Call GBP 11.60 3/21/13 214,300 (99,796 )
Grupo Mexico SAB de CV, Series B Citigroup Global Markets, Inc. Call MXN 47.85 3/21/13 436,000 (55,895 )

6 JANUARY 31, 2013

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

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

Description — The Hain Celestial Group, Inc. Counterparty — Morgan Stanley & Co., Inc. Call USD 56.27 3/21/13 43,900 Market Value — $ (193,113 )
National Grid Plc Deutsche Bank Securities Corp. Call GBP 7.06 3/21/13 512,300 (35,247 )
Cameron International Corp. UBS Securities LLC Call USD 60 3/22/13 23,400 (102,699 )
Lowe’s Cos., Inc. JPMorgan Chase Securities Call USD 37.39 3/22/13 109,000 (210,335 )
Oasis Petroleum, Inc. Morgan Stanley & Co., Inc. Call USD 37.16 3/25/13 51,000 (57,195 )
Cie Financiere Richemont SA Morgan Stanley & Co., Inc. Call CHF 78.80 3/26/13 36,700 (87,405 )
Crown Holdings, Inc. JPMorgan Chase Securities Call USD 38.70 3/26/13 46,500 (22,373 )
Eurasia Drilling Co., Ltd. - GDR Morgan Stanley & Co., Inc. Call USD 40.37 3/26/13 23,100 (19,878 )
GAM Holding AG Morgan Stanley & Co., Inc. Call CHF 15.40 3/26/13 49,200 (28,793 )
Partners Group Holding AG Morgan Stanley & Co., Inc. Call CHF 217.66 3/26/13 5,700 (17,823 )
Transocean Ltd. Morgan Stanley & Co., Inc. Call USD 56.46 3/26/13 64,000 (157,726 )
Transocean Ltd. Morgan Stanley & Co., Inc. Call USD 59.43 3/26/13 14,500 (18,144 )
Samsung Electronics Co. Ltd. Morgan Stanley & Co., Inc. Call KRW 1,414,866.89 3/27/13 2,700 (187,570 )
WisdomTree Investments, Inc. Goldman Sachs & Co. Call USD 8.82 3/27/13 56,000 (26,119 )
CSX Corp. Morgan Stanley & Co., Inc. Call USD 22.67 4/01/13 190,000 (73,256 )
Electrolux AB, Series B Morgan Stanley & Co., Inc. Call SEK 165.55 4/03/13 83,400 (92,278 )
Eurasia Drilling Co., Ltd. - GDR Morgan Stanley & Co., Inc. Call USD 38.80 4/03/13 23,000 (34,842 )
Partners Group Holding AG Morgan Stanley & Co., Inc. Call CHF 217.66 4/03/13 5,700 (19,705 )
Unilever Plc Citigroup Global Markets, Inc. Call GBP 25.85 4/03/13 73,600 (36,862 )
Volvo AB, B Shares Goldman Sachs & Co. Call SEK 97.62 4/03/13 516,000 (133,373 )
Oasis Petroleum, Inc. Morgan Stanley & Co., Inc. Call USD 37.16 4/08/13 51,000 (67,493 )
Australia & New Zealand Banking Group Ltd. Morgan Stanley & Co., Inc. Call AUD 27.01 4/10/13 80,800 (43,258 )
Cheung Kong Holdings Ltd. Citigroup Global Markets, Inc. Call HKD 129.75 4/10/13 178,000 (100,547 )
China Construction Bank Corp., H Shares Citigroup Global Markets, Inc. Call HKD 6.73 4/10/13 8,190,000 (195,050 )
Dena Co. Ltd. Citigroup Global Markets, Inc. Call JPY 2,898.92 4/10/13 59,500 (121,577 )
Honda Motor Co. Ltd. Citigroup Global Markets, Inc. Call JPY 3,520.07 4/10/13 147,500 (268,151 )
MediaTek, Inc. JPMorgan Chase Securities Call TWD 322.24 4/10/13 254,000 (89,141 )
ORIX Corp. Citigroup Global Markets, Inc. Call JPY 9,847.19 4/10/13 42,700 (163,438 )
Softbank Corp. Citigroup Global Markets, Inc. Call JPY 3,228.67 4/10/13 133,500 (208,142 )
Tokio Marine Holdings, Inc. Morgan Stanley & Co., Inc. Call JPY 2,743.76 4/10/13 157,500 (217,101 )
Wharf Holdings Ltd. JPMorgan Chase Securities Call HKD 70.61 4/10/13 515,000 (170,848 )
Yahoo! Japan Corp. Goldman Sachs & Co. Call JPY 36,322.83 4/10/13 5,620 (83,988 )
Fomento Economico Mexicano SAB de CV - ADR Goldman Sachs & Co. Call USD 111.81 4/11/13 28,100 (42,725 )
Total $ (15,532,450 )

— 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:

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

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

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

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

JANUARY 31, 2013 7

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

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 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 Trust’s investments and derivative financial instruments categorized in the disclosure hierarchy as of January 31, 2013:

Level 1 Level 2 Level 3 Total
Assets:
Investments:
Long-Term Investments:
Common Stocks:
Argentina $ 4,352,832 – – $ 4,352,832
Australia – $ 10,147,014 – 10,147,014
Belgium – 10,942,106 – 10,942,106
Canada 4,877,947 – – 4,877,947
Cayman Islands 10,500,309 – – 10,500,309
China – 12,844,755 – 12,844,755
France 8,385,504 35,332,125 – 43,717,629
Germany 10,793,832 29,693,304 – 40,487,136
Hong Kong – 27,275,221 – 27,275,221
India – 10,782,493 – 10,782,493
Indonesia 6,086,637 17,362,529 – 23,449,166
Ireland 12,616,245 – – 12,616,245
Italy – 13,942,380 – 13,942,380
Japan 7,436,948 55,452,019 – 62,888,967
Mexico 13,163,632 5,567,695 – 18,731,327
South Korea – 6,452,605 – 6,452,605
Spain – 8,941,369 – 8,941,369
Sweden 4,004,456 29,636,326 – 33,640,782
Switzerland 8,047,149 82,854,732 – 90,901,881
Taiwan 3,049,506 5,060,238 – 8,109,744
Thailand – 7,608,636 – 7,608,636
United Kingdom 13,783,723 113,648,764 – 127,432,487
United States 448,005,889 – – 448,005,889
Short-Term Securities 54,784,743 – – 54,784,743
Total $ 609,889,352 $ 483,544,311 – $ 1,093,433,663
Level 1 Level 2 Level 3 Total
Derivative Financial Instruments 1
Assets:
Foreign currency exchange contracts $ 9,150 – – $ 9,150
Liabilities:
Equity contracts (4,872,818 ) $ (16,471,942 ) – (21,344,760 )
Foreign currency exchange contracts (28,505 ) – – (28,505 )
Total $ (4,892,173 ) $ (16,471,942 ) – $ (21,364,115 )

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.

8 JANUARY 31, 2013

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

Certain of the Trust’s assets are held at carrying amount, which approximates fair value for financial reporting purposes. As of January 31, 2013, such assets are categorized within the disclosure hierarchy as follows:

Level 1 Level 2 Level 3 Total
Assets:
Cash $ 4,610,201 – – $ 4,610,201
Foreign currency at value 4,784,401 – – 4,784,401
Cash pledged as collateral for options written 410,000 – – 410,000
Total $ 9,804,602 – – $ 9,804,602

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

JANUARY 31, 2013 9

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:
John M. Perlowski
Chief Executive Officer (principal executive officer) of
BlackRock Global Opportunities Equity Trust

Date: March 26, 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:
John M. Perlowski
Chief Executive Officer (principal executive officer) of
BlackRock Global Opportunities Equity Trust

Date: March 26, 2013

By:
Neal J. Andrews
Chief Financial Officer (principal financial officer) of
BlackRock Global Opportunities Equity Trust

Date: March 26, 2013

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