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)
 
         
12/31/2021 $10.78 $9.51 (11.8%)  
01/07/2022 $10.87 $10.30 (5.2%)  
01/14/2022 $10.86 $10.25 (5.6%)  
01/21/2022 $10.42 $10.49 0.7%