(7)
Consists of (i) 61,155 Common Shares and $1,359,000 principal amount of Notes owned by Kapitalforeningen Investin Pro — Lodbrok Select Opportunities, (ii) 107,010 Common Shares and $2,378,000 principal amount of Notes owned by Mercer QIF Fund PLC — Mercer Investment Fund 1, (iii) 53,550 Common Shares and $1,190,000 principal amount of Notes owned by Crown Managed Accounts SPC -Crown/Lodbrok Segregated Portfolio, (iv) 539,640 Common Shares and $11,992,000 principal amount of Notes owned by Lodbrok European Credit Opportunities Sarl and (v) 49,770 Common Shares and $1,106,000 principal amount of Notes owned by Lodbrok European Credit Opportunities Sarl — RAIF Assets (collectively, the “Lodbrok Funds”). Lodbrok Capital LLP is the investment manager acting on behalf of the Lodbrok Funds. The address for Lodbrock European Credit Opportunities Sarl — RAIF Assets and Lodbrok European Credit Opportunities Sarl is 14-16 Avenue Pasteur, L 2310 Luxembourg. The address for Crown Managed Accounts SPC — Crown/Lodbrok Segregated Portfolio is Grand Pavillion Commercial Centre, 1st Floor, 802 West Bay Road, PO Box 31855, KY1-1207, George Town, Grand Cayman, Cayman Islands. The address for Mercer QIF Fund PLC — Mercer Investment Fund 1 is 70 Sir John Rogerson’s Quay, Dublin 2. The address for Kapitalforeningen Investin Pro — Lodbrok Select Opportunities is c/o Nykredit Portefolji Administration A/S, Otto Monsteds Plads 9, 1780 Copenhagen V, Denmark.
(8)
Consists of (i) 70,728 Common Shares and $622,000 principal amount of Notes owned by OHA Artesian Customized Credit Fund I, L.P., (ii) 237,550 Common Shares and $2,261,000 principal amount of Notes owned by OHA Black Bear Fund, L.P., (iii) 423,602 Common Shares owned by OHA Diversified Credit Strategies Fund Master, L.P., (iv) 21,966 Common Shares owned by Eagle International Limited, (v) 55,040 Common Shares owned by OHA Enhanced Credit Strategies Master Fund, L.P., (vi) 152,153 Common Shares owned by Future Fund Board of Guardians, (vii) 77,212 Common Shares owned by Indiana Public Retirement System, (viii) 56,502 Common Shares owned by Illinois State Board of Investment, (ix) 491,298 Common Shares and $2,555,000 principal amount of Notes owned by OHA KC Customized Credit Master Fund, L.P., (x) 24,612 Common Shares owned by Northwell Health Inc., (xi) 630,637 Common Shares and $4,638,000 principal amount of Notes owned by OHA Centre Street Partnership, L.P., (xii) 66,304 Common Shares owned by OCA OHA Credit Fund LLC, (xiii) 404,933 Common Shares and $2,246,000 principal amount of Notes owned by OHA SA Customized Credit Fund, L.P., (xiv) 3,879,758 Common Shares and $35,790,000 principal amount of Notes owned by OHA Strategic Credit Master Fund II, L.P., (xv) 2,758,075 Common Shares and $14,127,000 principal amount of Notes owned by OHA Tactical Investment Master Fund, L.P., and (xvi) 62,452 Common Shares owned by OHAT Credit Fund, L.P. (collectively, the “Oak Hill Funds”). This information is as of June 3, 2022. Voting or investment control over the Registrable Securities is held by Oak Hill Advisors, L.P., in its capacity as investment manager. The address for the Oak Hill Funds is One Vanderbilt, 16th Floor, New York, NY 10017.
(9)
Includes (i) $799,000 principal amount of Notes owned by Oaktree Opps Xb Holdco Ltd., (ii) 1,400,540 Common Shares and $9,290,000 principal amount of Notes owned by Oaktree Opportunities Fund Xb Holdings (Cayman), L.P., (iii) $29,000 principal amount of Notes owned by Oaktree Opportunities Fund Xb Holdings (Delaware), L.P. and (iv) $6,466,000 principal amount of Notes owned by OCM Luxembourg Opps Xb S.a r.l. (collectively, the “Oaktree Funds”). Oaktree Opportunities Fund Xb Holdings (Cayman), L.P. is the sole shareholder of OCM Luxembourg Opps Xb S.a r.l. and Oaktree Opps Xb Holdco Ltd. The general partner of Oaktree Opportunities Fund Xb Holdings (Cayman), L.P. is Oaktree Fund GP 1A, Ltd. The director of Oaktree Fund GP 1A, Ltd. is Oaktree Fund GP I, L.P. The general partner of Oaktree Opportunities Fund Xb Holdings (Delaware), L.P. is Oaktree Fund GP, LLC. The managing member of Oaktree Fund GP, LLC is Oaktree Fund GP I, L.P. The general partner of Oaktree Fund GP I, L.P. is Oaktree Capital I, L.P. The general partner of Oaktree Capital I, L.P. is OCM Holdings I, LLC. The managing member of OCM Holdings I, LLC is Oaktree Holdings, LLC. The managing member of Oaktree Holdings, LLC is Oaktree Capital Group, LLC. Oaktree Capital Group, LLC is governed and controlled by its eleven-member board of directors. Each of the foregoing general partners, managing members, shareholders, and directors, disclaims beneficial ownership of the securities except to the extent of their pecuniary interest therein (if any). The address for the Oaktree Funds is c/o Oaktree Capital Management, L.P., 333 S. Grand Ave., 28th Floor, Los Angeles, CA 90071.
(10)
With respect to such Selling Stockholders, Pacific Investment Management Company LLC, as investment manager, adviser or sub-adviser of the funds and accounts who are the holders of records of the Registrable Securities, may be deemed to have or share voting and dispositive power over the