Principal Global Investors Funds - Preferred Securities Fund declared dividend of 0.0967 for A Class Income Units, 0.1198 for D Class Income Units, 0.1034 for F Class Income Units, 10.4607 for Yen Hedged I Class Income Units, 0.0677 for GBP Hedged A Class Income Units, 0.1265 for I Class Income, 0.0761 for Euro Hedged A Class Income Units, 0.0757 for GBP Hedged I Class Income Units, 0.0502 for D2 Class Income Units, 0.0887 for Sterling Hedged N Class Income Units, 0.1120 for A Sterling Hedged N Class Income Units, 0.1112 for Swiss Franc Hedged I Class Income, 0.1005 for Swiss Franc Hedged A Class Income, 0.1401 for Singapore Dollar Hedged A Class Income Units, 0.1627 for Singapore Dollar Hedged I Class Income Units, 0.1529 for AUD Hedged I Class Income Units, 0.1253 for Australian Dollar Hedged A Class Income Units, 0.0498 for Hong Kong Dollar D2 Class Income Units and 0.1325 for X Class Income Units, for the period ended 31 December 2019 payable on January 21, 2020. Ex-Date is January 02, 2020.