News

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

Aug 07, 2017

pdfPrincipal Real Estate Income Fund Declares Monthly Distributions Of $0.145 Per Share

Jul 26, 2017

pdfSection 19a Notice: July

Jun 28, 2017

pdfSection 19a Notice: June

Apr 27, 2017

pdfPrincipal Real Estate Income Fund Declares Monthly Distributions Of $0.145 Per Share

Apr 12, 2017

pdfPrincipal Real Estate Income Fund Declares Monthly Distributions Of $0.145 Per Share

Jan 27, 2017

pdfPrincipal Real Estate Income Fund Declares Monthly Distributions Of $0.145 Per Share

Dec 28, 2016

pdfSection 19a Notice: December

Nov 30, 2016

pdfSection 19a Notice: November

Oct 28, 2016

pdfPrincipal Real Estate Income Fund Declares Monthly Distributions Of $0.145 Per Share

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 Oct 20, 2017
Ticker Symbol PGZ
NAV $19.45
Market Price $17.58
Premium/Discount -9.61%
Total Net Assets $134,168,362.18