News

Jul 26, 2018

pdfPrincipal Real Estate Income Fund Declares Monthly Distributions of $0.11 Per Share

Jul 09, 2018

pdfPrincipal Real Estate Income Fund Announces Results of Annual Shareholder Meeting

Apr 26, 2018

pdfSection 19a Notice: April

Apr 26, 2018

pdfPrincipal Real Estate Fund Announces Notification of Sources of Distribution

Apr 26, 2018

pdfPrincipal Real Estate Income Fund Declares Monthly Distributions Of $0.11 Per Share

Mar 29, 2018

pdfSection 19a Notice: March

Mar 29, 2018

pdfPrincipal Real Estate Fund Announces Notification of Sources of Distribution

Mar 15, 2018

pdfPrincipal Real Estate Income Fund Announces Board Approval of New Advisory and New Sub-Advisory Agreements and the Annual Shareholder Meeting

Feb 28, 2018

pdfSection 19a Notice: February

Feb 28, 2018

pdfPrincipal Real Estate Fund Announces Notification of Sources of Distribution

Jan 25, 2018

pdfSection 19a Notice: January

Jan 25, 2018

pdfPrincipal Real Estate Income Fund Declares Monthly Distributions Of $0.11 Per Share

Jan 25, 2018

pdfPrincipal Real Estate Income Fund Announces Notification of Sources of Distribution

Dec 28, 2017

pdfSection 19a Notice: December

Dec 28, 2017

pdfPrincipal Real Estate Income Fund Announces Notification of Sources of Distribution

Nov 30, 2017

pdfSection 19a Notice: November

Nov 30, 2017

pdfPrincipal Real Estate Fund Announces Notification of Sources of Distribution

Oct 26, 2017

pdfPrincipal Real Estate Fund Announces Notification of Sources of Distribution

Oct 26, 2017

pdfSection 19a Notice: October

Oct 04, 2017

pdfPrincipal Real Estate Income Fund Announces Investor Call

Sep 28, 2017

pdfSection 19a Notice: September

Sep 13, 2017

pdfPrincipal Real Estate Income Fund Announces Adoption of Managed Distribution Plan Including Monthly Distributions of $0.11 per Share and Investor Call

Aug 24, 2017

pdfSection 19a Notice: August

Jul 26, 2017

pdfSection 19a Notice: July

Jun 28, 2017

pdfSection 19a Notice: June

Dec 28, 2016

pdfSection 19a Notice: December

Nov 30, 2016

pdfSection 19a Notice: November

Oct 27, 2016

pdfSection 19a Notice: October

Feb 26, 2015

pdfSection 19a Notice: February

Jan 29, 2015

pdfSection 19a Notice: January

Nov 27, 2013

pdfSection 19a Notice: November

Oct 31, 2013

pdfSection 19a Notice: October

Sep 26, 2013

pdfSection 19a Notice: September

Aug 29, 2013

pdfSection 19a Notice: August

Please check the archives page for past releases.

Fund Data as of Aug 16, 2018
Ticker Symbol PGZ
NAV $19.95
Market Price $18.25
Premium/Discount -8.52%
Total Net Assets $137,640,221.51