INVESTORS

NET ASSET VALUE

*Change in NAV reflects share class total return, inclusive of accrued distributions.

FORMS & INFORMATION

Issuers of corporate securities are required to complete Internal Revenue Service Form 8937 to report organizational actions, including nontaxable distributions that affect the basis of the securities involved in the organizational action. Form 8937 is supplemental information solely for the use of the intended recipient(s) and should not be relied upon as legal, tax, accounting, or similar advice. The recipient is urged to consult its own legal and tax advisors for any such matters as the Fund does not provide any such advice.

FINANCIALS

PERFORMANCE

FUND PERFORMANCE1

Period

Total Return (No Sales Load)

YTD

6.7%

6 Months

8.2%

1 Year

12.0%

Inception to Date

29.7%

1. Returns are not annualized and returns are as of May 31, 2026. Inception date is October 13, 2023. Returns shown reflect the percent change in NAV per share from the beginning of the applicable period, plus the amount of any distribution per share declared in the period. All returns shown assume reinvestment of distributions pursuant to the Fund’s distribution reinvestment plan, are derived from unaudited financial information and are net of all Fund expenses, including general and administrative expenses, transaction related expenses, management fees, and incentive fees. Past performance is not indicative of, or a guarantee of, future performance. Return information is not a measure used under GAAP. The returns have been prepared using unaudited data and valuations of the underlying investments in the Fund’s portfolio, which are estimates of fair value and form the basis for the Fund’s NAV. Valuations based upon unaudited reports may not correspond to realized value and may not accurately reflect the price at which assets could be liquidated. Performance reflects certain expense limitation and fee waiver arrangements in effect during the periods shown. Absent these arrangements, the Fund’s performance would have been lower. Certain expenses paid by the Advisor or its affiliates on the Fund’s behalf are subject to reimbursement by the Fund for up to three years (which reimbursement would have the effect of reducing the Fund’s performance). Performance does not reflect the impact of federal, state or local taxation to which an investor may be subject.

DISTRIBUTIONS2

Class Ticker CUSIP Payable Date Distributions per Share
June 2026 Distribution
Class I SharesENHIX2698064027/1/2026$0.091
Class A SharesENHAX2698062047/1/2026$0.089
Class C SharesENHHX2698063037/1/2026$0.083
Class S SharesENHSX2698065017/1/2026$0.084
Class AA Shares2698061057/1/2026$0.091
May 2026 Distribution +
Class I SharesENHIX2698064026/1/2026$0.091
Class A SharesENHAX2698062046/1/2026$0.089
Class C SharesENHHX2698063036/1/2026$0.083
Class S SharesENHSX2698065016/1/2026$0.084
Class AA Shares2698061056/1/2026$0.091
April 2026 Distribution +
Class I SharesENHIX2698064025/1/2026$0.091
Class A SharesENHAX2698062045/1/2026$0.089
Class C SharesENHHX2698063035/1/2026$0.083
Class S SharesENHSX2698065015/1/2026$0.084
Class AA Shares2698061055/1/2026$0.091
March 2026 Distribution +
Class I SharesENHIX2698064024/1/2026$0.091
Class A SharesENHAX2698062044/1/2026$0.089
Class C SharesENHHX2698063034/1/2026$0.083
Class S SharesENHSX2698065014/1/2026$0.084
Class AA Shares2698061054/1/2026$0.091
February 2026 Distribution +
Class I SharesENHIX2698064023/2/2026$0.091
Class A SharesENHAX2698062043/2/2026$0.089
Class C SharesENHHX2698063033/2/2026$0.083
Class S SharesENHSX2698065013/2/2026$0.084
Class AA Shares2698061053/2/2026$0.091
January 2026 Distribution +
Class I SharesENHIX2698064022/2/2026$0.091
Class A SharesENHAX2698062042/2/2026$0.089
Class C SharesENHHX2698063032/2/2026$0.083
Class S SharesENHSX2698065012/2/2026$0.084
Class AA Shares2698061052/2/2026$0.091
December 2025 Distribution +
Class I SharesENHIX2698064021/2/2026$0.091
Class A SharesENHAX2698062041/2/2026$0.089
Class C SharesENHHX2698063031/2/2026$0.083
Class S SharesENHSX2698065011/2/2026$0.084
Class AA Shares2698061051/2/2026$0.091
November 2025 Distribution +
Class I SharesENHIX26980640212/1/2025$0.091
Class A SharesENHAX26980620412/1/2025$0.089
Class C SharesENHHX26980630312/1/2025$0.083
Class S SharesENHSX26980650112/1/2025$0.084
Class AA Shares26980610512/1/2025$0.091
October 2025 Distribution +
Class I SharesENHIX26980640211/3/2025$0.091
Class A SharesENHAX26980620411/3/2025$0.089
Class C SharesENHHX26980630311/3/2025$0.083
Class S SharesENHSX26980650111/3/2025$0.084
Class AA Shares26980610511/3/2025$0.091

² Distributions are not guaranteed in frequency or amount.

SHARE PRICES

Date Brokerage
Offering Price
Affiliated RIA
Offering Price
Institutional
Offering Price
5/31/2026$10.46$9.82$9.78
4/30/2026$10.43$9.80$9.76
3/31/2026$10.09$9.48$9.42
2/28/2026$9.99$9.39$9.33
1/31/2026$10.34$9.71$9.64
12/31/2025$10.27$9.65$9.58
11/30/2025$10.23$9.61$9.54
10/31/2025$10.39$9.76$9.69
9/30/2025$10.53$9.89$9.82
8/31/2025$10.48$9.84$9.77
7/31/2025$10.58$9.94$9.87
6/30/2025$10.46$9.82$9.75
5/31/2025$10.47$9.83$9.76
4/30/2025$10.29$9.67$9.60
3/31/2025$10.49$9.85$9.78
2/28/2025$10.86$10.21$10.13
1/31/2025$10.92$10.26$10.18
12/31/2024$10.97$10.31$10.23
11/30/2024$11.05$10.38$10.30
10/31/2024$11.13$10.46$10.38
9/30/2024$11.13$10.46$10.38
8/31/2024$11.10$10.43$10.35
7/31/2024N/AN/A$10.75
6/30/2024N/AN/A$10.61
5/31/2024N/AN/A$10.60
4/30/2024N/AN/A$10.32
3/31/2024N/AN/A$10.26
2/29/2024N/AN/A$10.61
1/31/2024N/AN/A$10.53
12/31/2023N/AN/A$10.35

CORPORATE GOVERNANCE

BOARD OF TRUSTEES

Thomas P. Majewski

Chairman, Interested Trustee

James R. Matthews

Interested Trustee

Scott W. Appleby

Independent Trustee

Kevin F. McDonald

Independent Trustee

Paul E. Tramontano

Independent Trustee

Jeffrey L. Weiss

Independent Trustee

OFFICERS

Thomas P. Majewski

Chief Executive Officer and Principal Executive Officer

Lena Umnova

Chief Financial Officer, Principal Accounting Officer and Chief Operating Officer

Nauman S. Malik

Chief Compliance Officer

Courtney B. Fandrick

Secretary

FAQ