Monthly dividend increased by 0.41% to $0.01468 from $0.01462 per share. As of 2025-02-28, NAV Yield was 9.4%, and group average NAV yield was 9.9%. Mk Price Yield was 10.1% and group average yield was 10.1%. Ex-div date 2025-03-18, Record date 2025-03-18, Payable date 2025-03-31.