Principal Global Investors Funds - Preferred Securities Fund announced dividend of 0.0919 per unit on A Class Income Units, 0.1141 per unit on D Class Income Units, 0.0991 per unit on F Class Income Units, 9.7215 per unit on Yen Hedged I Class Income Units, 0.0747 per unit on Euro Hedged I Class Income Units, 0.0653 per unit on GBP Hedged A Class Income Units, 0.1195 per unit on I Class Income, 0.1083 per unit on P Class Income Units, 0.1083 per unit on Euro Hedged A Class Income Units, 0.0726 per unit on GBP Hedged I Class Income Units, 0.0434 per unit on D2 Class Income Units, 0.1122 per unit on N Class Income Units, 0.0818 per unit on Euro Hedged N Class Income Units, 0.0809 per unit on Sterling Hedged N Class Income Units, 0.1034 per unit on Swiss Franc Hedged I Class Income, 0.0938 per unit on Swiss Franc Hedged A Class Income, 0.1325 per unit on Singapore Dollar Hedged A Class Income Units, 0.153 per unit on Singapore Dollar Hedged I Class Income Units, 0.1388 per unit on AUD Hedged I Class Income Units, 0.114 per unit on Australian Dollar Hedged A Class Income Units, 0.0427 per unit on Hong Kong Dollar D2 Class Income Units, 0.1263 per unit on X Class Income Units, 0.0502 per unit on Hong Kong Dollar D2 Class Income Plus Units, 0.0502 per unit on D2 Class Income Plus Units for the period ended June 30, 2020. The dividend is payable on July 20, 2020 and ex dividend dates is July 7, 2020.