Principal Global Investors Funds - Finisterre Unconstrained Emerging Markets Fixed Income Fund declared dividend of EUR 0.0941 for Euro Hedged I2 Class Income Units, EUR 0.1273 for I2 Class Income Units, EUR 0.1172 for N Class Income Unit, EUR 0.0964 for D Class Income Units, EUR 0.1443 for A2 Class Income Units, EUR 0.1392 for Euro Hedged A2 Class Income Units, SGD 0.1366 Singapore Dollar Hedged A2 Class Income Units, EUR 0.1228 for Sterling Hedged I2 Class Income Units, EUR 0.1172 for I Class Income Units, SGD 0.1100 for Singapore Dollar Hedged N Class Income Units, EUR 0.0915 for Swiss Franc Hedged A Class Income Units, EUR 0.1125 for Euro Hedged I Class Income Units, EUR 0.1119 for Swiss Franc Hedged I Class Income Units, EUR 0.1082 for Euro Hedged N Class Income Units, EUR 0.1115 for Sterling Hedged I3 Class Income Units, EUR 0.1177 for I3 Class Income Units, EUR 0.0939 for Euro Hedged I3 Class Income Units EUR 0.1172 for N Class Income Unit, EUR 0.0658 for Euro Hedged A Class Income Units, for the period ended 31 December 2019 payable on January 21, 2020. Ex-Date is January 02, 2020.