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Assumed public offering price per share
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| | | $ | 129.10 | | |
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Net tangible book value per share as of June 30, 2026
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| | | $ | 19.72 | | |
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Pro forma increase in net tangible book value per share after June 30, 2026 attributable to
May 14, 2026 Equity Distribution Agreement |
| | | $ | 0.50 | | |
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Pro forma net tangible book value per shares after pro forma increase in net tangible book value per share after June 30, 2026 attributable to May 14, 2026 Equity Distribution Agreement
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| | | $ | 20.23 | | |
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Increase in net tangible book value per share attributable to this offering and the RSUs issued after June 30, 2026 as described above
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| | | $ | 5.98 | | |
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Adjusted net tangible book value per share as of June 30, 2026, after giving effect to this offering, the RSUs issued after June 30, 2026, and the pro forma increase in net tangible book value per shares after June 30, 2026 attributable to May 14, 2026 Equity Distribution Agreement
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| | | $ | 26.20 | | |
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Dilution per share to new investors purchasing shares in this offering
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| | | $ | 102.90 | | |
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Calculation of Filing Fee Tables |
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| Table 1: Newly Registered and Carry Forward Securities |
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Security Type |
Security Class Title |
Fee Calculation or Carry Forward Rule |
Amount Registered |
Proposed Maximum Offering Price Per Unit |
Maximum Aggregate Offering Price |
Fee Rate |
Amount of Registration Fee |
Carry Forward Form Type |
Carry Forward File Number |
Carry Forward Initial Effective Date |
Filing Fee Previously Paid in Connection with Unsold Securities to be Carried Forward |
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|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Newly Registered Securities | |||||||||||||
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1 |
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$
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$
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| Fees Previously Paid | |||||||||||||
| Carry Forward Securities | |||||||||||||
| Carry Forward Securities | |||||||||||||
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Total Offering Amounts: |
$
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$
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Total Fees Previously Paid: |
$
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Total Fee Offsets: |
$
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Net Fee Due: |
$
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Offering Note |
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1 |
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| Table 2: Fee Offset Claims and Sources |
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| Registrant or Filer Name | Form or Filing Type | File Number | Initial Filing Date | Filing Date | Fee Offset Claimed | Security Type Associated with Fee Offset Claimed | Security Title Associated with Fee Offset Claimed | Unsold Securities Associated with Fee Offset Claimed | Unsold Aggregate Offering Amount Associated with Fee Offset Claimed | Fee Paid with Fee Offset Source | |||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Rules 457(b) and 0-11(a)(2) | |||||||||||||
| Fee Offset Claims | |||||||||||||
| Fee Offset Sources | |||||||||||||
| Rule 457(p) | |||||||||||||
| Fee Offset Claims | |||||||||||||
| Fee Offset Sources | |||||||||||||
| Table 3: Combined Prospectuses |
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Security Type |
Security Class Title |
Amount of Securities Previously Registered |
Maximum Aggregate Offering Price of Securities Previously Registered |
Form Type |
File Number |
Initial Effective Date |
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|---|---|---|---|---|---|---|---|