Principal Global Investors Funds - High Yield Fund announced dividend on A Class Income Units of 0.1085 per unit, on Australian Dollar Hedged A Class Income Units of 0.1505 per unit, on D2 Class Income Units of 0.0339 per unit, on Euro Hedged N Class Income Units of 0.1256 per unit, on Hong Kong Dollar D2 Class Income Units of 0.0338 per unit, on N Class Income Units of 0.1251 per unit and on N Class Income Units of 0.1239 per unit for the period ended 30 September 2019. Ex-date is October 1, 2019 and payment date is October 18, 2019.