Principal Global Investors Funds - Preferred Securities Fund declared dividend for the period ended 31 March 2019 of its A Class Income Units of 0.1056; D Class Income Units of 0.1326; F Class Income Units of 0.1179; Yen Hedged I Class Income Units of 11.4586; Euro Hedged I Class Income Units of 0.0910; GBP Hedged A Class Income Units of 0.0765; I Class Income of 0.1346; P Class Income Units of 0.1236; Euro Hedged A Class Income Units of 0.0875; GBP Hedged I Class Income Units of 0.0834; D2 Class Income Units of 0.0438; N Class Income Units of 0.1272; Euro Hedged N Class Income Units of 0.1004; Sterling Hedged N Class Income Units of 0.1239; Swiss Franc Hedged I Class Income of 0.1246; Swiss Franc Hedged A Class Income of 0.1156; Singapore Dollar Hedged A Class Income Units of 0.1565; Singapore Dollar Hedged I Class Income Units of 0.1769; AUD Hedged I Class Income Units of 0.1705; Australian Dollar Hedged A Class Income Units of 0.1432; and Hong Kong Dollar D2 Class Income Units of 0.0437, payable on April 18, 2019. Ex-dividend date is April 1, 2019.