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)
 
         
12/31/2019 $9.21 $8.02 (12.92%)  
01/02/2020 $9.26 $7.92 (14.47%)  
01/09/2020 $9.24 $7.68 (16.88%)  
01/16/2020 $9.36 $7.76 (17.09%)