SCHEDULE C

 

 

This Schedule sets forth information with respect to each purchase and sale of Shares which were effectuated by a Reporting Person within the past sixty days. All transactions were effectuated in the open market through a broker, except where otherwise noted.

 

OASIS INVESTMENTS II MASTER FUND LTD.

 

Trade Date Shares Purchased (Sold) Price ($)*
     
05/07/2026 (720) 30.03
05/26/2026 (10,000) 29.05
06/30/2026 (10,000) 28.90
07/02/2026 (117,612) 28.03

 

 

*       Excluding commissions, SEC fees, etc. (rounded to nearest cents).