Exhibit 99.3
 FINANCIAL HIGHLIGHTS AS OF JUNE 30, 2022  Maturity Schedule  Capitalization Table  93% of Debt Maturities have a Fixed Weighted Average Rate @ 4%  7% of Debt Maturities are Floating @ SOFR + 165 bps  $1.26 - $1.36  2022 AFFO per share Guidance  $540M  Gross Real Estate Value  35%+  Discount to Consensus Target Price  $1.15  Annual Per Share Dividend  (Paid Monthly)  $65M  Purchasing Power  From Revolver and Cash