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The Fund’s investment objectives are to provide a high level of current income and to return $9.835 per share (the original net asset value ("NAV") per common share before deducting offering costs of $0.02 per share) to holders of common shares on or about December 1, 2023 (the "Termination Date"). The Fund seeks to achieve its investment objectives by primarily investing in securities collateralized by loans secured by real properties.