Monthly dividend increased by 10.0% to $0.11 from $0.1 per share. As of 2026-09-10, NAV Yield was 11.6%, and group average NAV yield was 9.0%. Mk Price Yield was 11.4% and group average yield was 9.5%. Ex-div date 2026-09-22, Record date 2026-09-22, Payable date 2026-09-30.