NYSE : MUC

BlackRock MuniHoldings California Quality Fund, Inc.

$10.85 USD

-$0.08 (-0.73%)

Volume
206.68K
Average Volume
297.76K
Market Capitalization
$1.02B
P/E Ratio
47.17
Dividend Yield
5.92%
Price Target
Year High
$11.16
Year Low
$10.00
Day High
Day Low
Payout Ratio
$2.81
Current Ratio
$86.69
Institutional Ownership Summary
Institutional Ownership %

1.16%

Investors Holding

10

change: -126 | last: 136
Increased Positions

4

change: -94 | last: 98
Reduced Positions

3

change: -16 | last: 19
New Positions

0

change: -42 | last: 42
Sold Positions

126

change: 109 | last: 17
Total Calls

-

Total Puts

-

Put-Call Ratio

0.00

change: 0 | last: 0
Total Invested

12M

MUC Enterprise Value History
Annual
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2025-07-31 $10.06 94.18M $947.49M -$ $734.65M $1.68B
2024-07-31 $11.15 94.18M $1.05B -$ $673.6M $1.72B
2023-07-31 $10.85 95.43M $1.04B $6.83M $626.4M $1.66B
2022-07-31 $12.61 97.53M $1.23B -$ $90761 $1.23B
2021-07-31 $16.09 41.01M $659.88M $19.39M $406.15M $1.05B
2020-07-31 $14.67 41M $601.51M -$1.87M $412.51M $1.02B
2019-07-31 $14.00 41M $574.03M -$ $10.89M $584.92M
2018-07-31 $13.07 40.66M $531.38M -$ $9.45M $540.84M
2017-07-31 $14.75 41M $604.79M -$ $380.93K $605.17M
2016-07-31 $16.24 62.96M $1.02B -$ $424.84M $1.45B
Quarterly
Date Stock Price Shares Outstanding Market Cap Cash & Equivalents Total Debt Enterprise Value
2026-01-31 $11.02 94.18M $1.04B -$ $738.8M $1.78B
2025-07-31 $10.06 94.18M $947.49M -$ $734.65M $1.68B
2025-01-31 $10.85 94.18M $1.02B $2269 $688.44M $1.71B
2024-07-31 $11.15 94.18M $1.05B -$ $673.6M $1.72B
2024-01-31 $11.14 94.18M $1.05B -$54.79M $673.59M $1.78B
2023-07-31 $10.85 190.87M $2.07B $6.83M $626.4M $2.69B
2023-01-31 $11.52 193.36M $2.23B $6.38M $738M $2.96B
2022-07-31 $12.61 154.02M $1.94B -$ $90761 $1.94B
2022-01-31 $14.34 41.04M $588.53M -$17.11M $386.14M $991.79M
2021-07-31 $16.09 41.01M $659.88M $19.39M $406.15M $1.05B
2021-01-31 $15.09 41M $618.73M $105.5K $412.51M $1.03B
2020-07-31 $14.67 82.01M $1.2B -$1.87M $412.51M $1.62B