Dividend Reinvestment Plan
   
   
                     Historic Net Asset Value (NAV)
   
 
Net Asset Value Information for Prior Years
   
 
 
 
 
 
   
  Net Asset Value Information for Current Year
 
           
 
Date
Net Asset Value
Market Price
Premium/
 
(NAV)
(Discount)
 
           
  12/31/2024 $11.54 $9.75 (15.5%)  
  01/03/2025 $11.59 $9.75 (15.9%)  
  01/10/2025 $11.39 $9.50 (16.6%)  
  01/17/2025 $11.74 $9.68 (17.5%)  
  01/24/2025 $11.91 $9.76 (18.1%)  
  01/31/2025 $12.04 $9.76 (18.9%)  
  02/07/2025 $12.02 $9.85 (18.1%)  
  02/14/2025 $12.02 $9.85 (18.1%)  
  02/21/2025 $11.94 $9.81 (17.8%)  
  02/28/2025 $12.13 $9.83 (19.0%)  
  03/07/2025 $12.00 $10.12 (15.7%)  
  03/14/2025 $11.77 $9.90 (15.9%)