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Will the target distribution stay consistent based on my original investment or does it change based on the NAV of my investment at any given time?

The Fund’s goal is to maintain a regular annual distribution yield of 5% to 7% based on the net asset value (NAV) of your account. While the dividend is paid on a per-share basis (currently $0.06/share), the yield will ultimately fluctuate depending on the prevailing share price.