Principal Global Investors Funds - Finisterre Unconstrained Emerging Markets Fixed Income Fund announced dividend on Euro Hedged I2 Class Income Units of 0.0927 per unit, on I2 Class Income Units of 0.1202 per unit, on N Class Income Units of 0.1097 per unit, on D Class Income Units of 0.0882 per unit, on A2 Class Income Units of 0.1392 per unit, on Euro Hedged A2 Class Income Units of 0.1397 per unit, on Singapore Dollar Hedged A2 Class Income Units of 0.1345 per unit, Sterling Hedged I2 Class Income Units of 0.1206 per unit, on I Class Income Units of 0.11 per unit, on Singapore Dollar Hedged N Class Income Units of 0.106 per unit, on Swiss Franc Hedged A Class Income Units of 0.0876 per unit, on Euro Hedged I Class Income Units of 0.1107 per unit, on Swiss Franc Hedged I Class Income Units of 0.1093 per unit, on Euro Hedged N Class Income Units of 0.1065 per unit, on Sterling Hedged I3 Class Income Units of 0.0883 per unit and I3 Class Income Units of 0.0886 per unit for the period ended 30 September 2019. Ex-date is October 1, 2019 and payment date is October 18, 2019.