Oxford Square Capital Corp. Announces Net Asset Value and Selected Financial Results for the Quarter Ended June 30, 2021 and Declaration of Distributions of Common Stock for the Months Ending October 31, November 30, and December 31, 2021

As of June 30, 2021, net asset value (NAV) per share was $4.91, compared with the NAV per share of $4.88 at the prior quarter end.