Principal Global Investors Funds - Global Property Securities Fund announced dividend on A Class Income Units of 0.1061 per unit, on D Class Income Units of 0.1322 per unit, on F Class Income Units of 0.1157 per unit, on Yen Hedged I Class Income Units of 11.471 per unit, on Euro Hedged I Class Income Units of 0.0918 per unit, on GBP Hedged A Class Income Units of 0.0774 per unit, on I Class Income of 0.1371 per unit, on P Class Income Units of 0.1248 per unit, on Euro Hedged A Class Income Units of 0.087 per unit, on GBP Hedged I Class Income Units of 0.0855 per unit, on D2 Class Income Units of 0.042 per unit, on N Class Income Units of 0.1289 per unit, on Euro Hedged N Class Income Units of 0.1008 per unit, on Sterling Hedged N Class Income Units of 0.1184 per unit, on Swiss Franc Hedged I Class Income of 0.1254 per unit, on Swiss Franc Hedged A Class Income of 0.1146 per unit, on Singapore Dollar Hedged A Class Income Units  of 0.1576 per unit, on Singapore Dollar Hedged I Class Income Units of 0.1807 per unit, on AUD Hedged I Class Income Units of 0.175 per unit, on Australian Dollar Hedged A Class Income Units of 0.1449 per unit, on Hong Kong Dollar D2 Class Income Units of 0.04 per unit and X Class Income Units  of 0.1292 per unit for the period ended 30 September 2019. Ex-date is October 1, 2019 and payment date is October 18, 2019.