I ask because I was formerly a corporate lawyer, and some of the deals I had had a BDC component in them and some of them, unfortunately, had a bad debt component to them as well, or a writedown, or you guys taking pennies on the dollar for your shares. For what percentage of the portfolio does that happen? How many bad deals, essentially, do you guys do per year?
On October 27th, 2016. See this statement in context.