Ex-div date 2026-10-20, Record date 2026-10-20, Payable date 2026-10-30. The Fund declared its initial N/A cash distribution of $0.0812 per share.As of 2026-09-22, NAV Yield was 0.0%, and group average NAV yield was 6.6%. Mk Price Yield was 0.0% and group average yield was 7.3%.
