Monthly dividend increased by 5.12% to $0.0678 from $0.0645 per share. As of 2025-06-09, NAV Yield was 10.5%, and group average NAV yield was 10.2%. Mk Price Yield was 10.7% and group average yield was 10.6%. Ex-div date 2025-06-23, Record date 2025-06-23, Payable date 2025-06-30.