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/(Discount)
Notes
(NAV)
 
         
01/10/2019 $8.27 $7.33 (11.37%)  
01/03/2019 $7.99 $7.32 (8.39%)  
12/31/2018 $8.15 $7.30 (10.43%)