Risk Factors Update Summary
- The company may face challenges due to the transition away from LIBOR to SOFR, impacting floating rate investments.
- The ongoing invasion of Ukraine by Russia and related sanctions may have a material adverse impact.
- The company's exposure to Russia, a major oil and natural gas exporter, may be affected by geopolitical tensions.
- The company's ability to access funding sources could be impaired by financial industry disruptions.
- The company's portfolio may be impacted by the conflict between Russia and Ukraine, leading to economic uncertainty.
- The company's investments could be affected by retaliatory actions, such as cyberattacks, resulting from sanctions.
- The company's business may be disrupted by retaliatory actions against financial and governmental institutions.
Full Text Changes in Most Recent 10-K
Intended use: review the highlighted statements. These are additions to the risk factors disclosure in the most recent 10-K filing compared to the previous 10-K filing. Deleted and moved text is less important and is shown for context.
To view the full company filings, click on the following link to be taken to the SEC EDGAR database landing page for the company: https://www.sec.gov/edgar/browse/?CIK=1422183&owner=exclude
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