Principal Real Estate Income Fund announced a 5.00% increase in its monthly distributions to $0.105 per share beginning in May payable on May 31, 2022, June 30, 2022 and July 29, 2022 respectively. Record Date is May 13, 2022, June 16, 2022 and July 15, 2022. Ex Date is May 12, 2022, June 15, 2022 and July 14, 2022.

Based on the Fund's current net asset value share price of $17.09 (as of market close on March 29, 2022), the distributions represent an annualized distribution rate of 7.37%.